Tracking Total Expense Ratios of Indian Mutual Funds. Automatically updated daily.
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Updated
Feb 9, 2025 - Python
Tracking Total Expense Ratios of Indian Mutual Funds. Automatically updated daily.
Retrieve Net Asset Value (NAV) data for mutual funds effortlessly with the AMFI NAV API. This API provides information on mutual fund schemes, including scheme code, ISIN, fund house, scheme type, scheme name, and daily NAV data. Users can query by scheme code, ISIN, scheme name, or specific date to access the latest or historical NAV values.
Mutual Funds Data Scraper
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