Corporate Info
Funds
Downloads
Investor Services
Sale:24.4569
Repurchase:24.4569
Fund: NIT-IPFDSF
Valid For 15 Oct 2025
Sale:20.0958
Repurchase:19.6057
Fund: NIT-AAF
Valid For 16 Oct 2025
Day End NAV: 34.5958
Fund: NIT-PGETF
Sale:31.3001
Repurchase:31.3001
Fund: NIT-IPFESF
Valid For 16 Oct 2025
Sale:105.2836
Repurchase:104.2412
Fund: NIT-IMMF
Valid For 17 Oct 2025
Sale:10.5747
Repurchase:10.5747
Fund: NIT-SIF
Valid For 16 Oct 2025
Sale:24.2314
Repurchase:24.2314
Fund: NIT-IPFMMSF
Valid For 16 Oct 2025
Sale:24.4632
Repurchase:24.4632
Fund: NIT-IPFDSF
Valid For 16 Oct 2025
Sale:31.9812
Repurchase:31.9812
Fund: NIT-PFESF
Valid For 16 Oct 2025
Sale:27.4440
Repurchase:27.4440
Fund: NIT-PFMMSF
Valid For 16 Oct 2025
Sale:28.0578
Repurchase:28.0578
Fund: NIT-PFDSF
Valid For 16 Oct 2025
Sale:126.4725
Repurchase:126.4725
Fund: KPK-IPF
Valid For 16 Oct 2025
Sale:130.1736
Repurchase:130.1736
Fund: KPK-PF
Valid For 16 Oct 2025
Sale:34.59
Repurchase:34.59
Fund: NIT-PGETF
17th Oct, 25 12:00 AM