| Sr. No. | Scheme Name | NAV Date | NAV ( ₹ ) |
|---|---|---|---|
| 1371 | IDBI MF Gold Exchange Traded Fund | 2022-09-16 11:29:36 | 4532.3 |
| 1372 | IDBI MF Gold Exchange Traded Fund | 2022-09-16 11:59:36 | 4526.95 |
| 1373 | IDBI MF Gold Exchange Traded Fund | 2022-09-16 12:29:36 | 4523.99 |
| 1374 | IDBI MF Gold Exchange Traded Fund | 2022-09-16 12:59:36 | 4527.64 |
| 1375 | IDBI MF Gold Exchange Traded Fund | 2022-09-16 13:29:37 | 4514.05 |
| 1376 | IDBI MF Gold Exchange Traded Fund | 2022-09-16 13:59:37 | 4512.31 |
| 1377 | IDBI MF Gold Exchange Traded Fund | 2022-09-16 14:29:36 | 4519.46 |
| 1378 | IDBI MF Gold Exchange Traded Fund | 2022-09-16 14:59:37 | 4532.07 |
| 1379 | IDBI MF Gold Exchange Traded Fund | 2022-09-19 10:01:36 | 4532.66 |
| 1380 | IDBI MF Gold Exchange Traded Fund | 2022-09-19 10:31:37 | 4529.45 |