Results
NewsData.io24 Sept 2026, 7:30 am ISTDelayed
ICICI Prudential India Opportunities Fund NAV update
What happened
- The Net Asset Value (NAV) of the ICICI Prudential India Opportunities Fund was Rs 39.24 on September 23.
- This represents a 0.26% increase.
Key terms explained
Financial terms from this story, in everyday words.
- NAV (Net Asset Value)
- the price of one unit of a mutual fund
Original source
NewsData.io
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