Weekly NAV

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Fund NameDateNAVInvestor's Purchase PriceInvestor's Sale PriceValidityDownload
3i AMCL 1st Mutual FundDecember 19, 20247.837.837.8322 December to 24 December 2024Download
3i AMCL 1st Mutual FundDecember 12, 20247.787.787.7815,17 & 18 December 2024Download
3i AMCL 1st Mutual FundDecember 05, 20247.917.917.9108 December to 11 December 2024Download
3i AMCL 1st Mutual FundNovember 28, 20247.807.807.8001 December to 04 December 2024Download
3i AMCL 1st Mutual FundNovember 21, 20247.747.747.7424 November to 27 November 2024Download
3i AMCL 1st Mutual FundNovember 14, 20247.927.927.9217 November to 20 November 2024Download
3i AMCL 1st Mutual FundNovember 07, 20247.977.977.9710 November to 13 November 2024Download
3i AMCL 1st Mutual FundOctober 31, 20247.637.637.6303 November to 06 November 2024Download
3i AMCL 1st Mutual FundOctober 24, 20247.397.397.3927 October to 30 October 2024Download
3i AMCL 1st Mutual FundOctober 17, 20247.657.657.6520 October to 23 October 2024Download
3i AMCL 1st Mutual FundOctober 09, 20248.068.068.0614 October to 16 October 2024Download
3i AMCL 1st Mutual FundOctober 03, 20247.977.977.9706 October to 09 October 2024Download
3i AMCL 1st Mutual FundSeptember 26, 20248.378.378.3729 September to 02 October 2024Download
3i AMCL 1st Mutual FundSeptember 19, 20249.069.069.0622 September to 25 September 2024Download
3i AMCL 1st Mutual FundSeptember 12, 20249.039.039.0315,17 & 18 September 2024Download
3i AMCL 1st Mutual FundSeptember 05, 20249.269.269.26September 08 to September 11 , 2024Download
3i AMCL 1st Mutual FundAugust 29, 20249.499.499.49September 01 to September 04 , 2024Download
3i AMCL 1st Mutual FundAugust 22, 20249.329.329.3225,27 & 28 August 2024 Download
3i AMCL 1st Mutual FundAugust 15, 20249.769.769.76August 18 to August 21, 2024Download
3i AMCL 1st Mutual FundJune 30, 2024-
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Buy and Sale of Units will remain closed due to the Book Closure period.-
3i AMCL 1st Mutual FundJune 27, 20249.249.249.24June 30, 2024Download
3i AMCL 1st Mutual FundJune 20, 20249.099.099.09June 23 to June 26, 2024Download
3i AMCL 1st Mutual FundJune 13, 20248.798.798.79June 19, 2024Download
3i AMCL 1st Mutual FundJune 06, 20248.988.988.98June 09 to June 12, 2024Download
3i AMCL 1st Mutual FundMay 30, 20248.918.918.91June 02 to June 05, 2024Download
3i AMCL 1st Mutual FundMay 23, 20248.938.938.93May 26 to May 29, 2024Download
3i AMCL 1st Mutual FundMay 16, 20249.359.359.35May 19 to May 21, 2024Download
3i AMCL 1st Mutual FundMay 09, 20249.629.629.62May 12 to May 15, 2024Download
3i AMCL 1st Mutual FundMay 02, 20249.569.569.56May 05 to May 08, 2024Download
3i AMCL 1st Mutual FundApril 25, 20249.479.479.47April 28 to April 30,2024Download
3i AMCL 1st Mutual FundApril 18, 20249.849.849.84April 21 to April 24,2024Download
3i AMCL 1st Mutual FundApril 09, 202410.0210.0210.02April 15 to April 17,2024Download
3i AMCL 1st Mutual FundApril 04, 20249.969.969.96April 08, 2024Download
3i AMCL 1st Mutual FundMarch 28, 20249.989.989.98March 31 to April 03, 2024Download
3i AMCL 1st Mutual FundMarch 21, 202410.0110.0110.0124, 25 & 27 March, 2024Download
3i AMCL 1st Mutual Fund March 14, 202410.0110.0110.0118,19 & 20 March, 2024Download
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