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HYB
MIRAE MF-MIRAE ASSET NIFTY200 MOMENTUM 30PLUS 8-13 YR G-SEC 50:50 ETF
HYBRIDETF·NSE ETF ·NAV as of 30 Sep 2026
Hybrid Equity/Debt HYBRIDETFEQN
₹9.78
+0.06 (+0.62%)
-0.89% below NAV LIVE
TRACKS Nifty200 Momentum 30 Plus 8-13 yr G-Sec 50:50 Total Return Index
NAV
₹0.00
iNAV
₹0.00
Prem / Disc
-0.89%
1M return
-2.49%
1Y return
+0.00%
52W high
₹11.99
52W low
₹9.71
Day turnover
₹0.0 Cr
Where the price sits
₹9.78
52-week range at 3%
₹9.78
52W low₹9.71
52W high₹11.99
Price vs NAV -0.89% below NAV
NAV
-0.89%
Discount−2%
NAV₹0.00
Premium+2%
Price vs NAV
Price-vs-NAV history builds from the daily ETF sync.
First NAV recorded 30 Sep 2026. The chart draws once a second trading day is in.
ETF info
Market price
₹9.78
+0.62% today
NAV
₹0.00
30 Sep 2026
Intraday iNAV ₹0.00
Tracked index / assetNifty200 Momentum 30 Plus 8-13 yr G-Sec 50:50 Total Return Index
CategoryHybrid
Sub-categoryEquity/Debt
1M return-2.49%
1Y return+0.00%
Price chart
89 pts · NSE
Open
₹9.95
High
₹9.95
Low
₹9.75
Prev close
₹9.72
Avg price
₹9.83
Volume
2,589
Order book NO LIVE DEPTH
Bids · 0
— 0
— 0
— 0
— 0
— 0
Asks · 0
— 0
— 0
— 0
— 0
— 0
Price band 8.81-10.75 prev No Band
Trading & liquidity
Volume2,589
Turnover₹0.0 Cr
Avg price₹9.83
Delivery99.96% (2,588)
Impact cost0.18%
Applicable margin8.00%
Face value₹10
AUM (units × price)₹15.0 Cr
Units outstanding15,338,273
Delivery share99.96%
Price & risk
52-week high₹11.99 19 Aug 2026
52-week low₹9.71 01 Oct 2026
Tick size₹0.01
Price band8.81-10.75
Indicative close—
NAV (NSE quote)— —
iNAV₹0.00 LIVE
Daily volatility0.25%
Annualised volatility4.78%
Security LISTED
Listed since31 Jul 2026
BoardMain
Trading segmentNormal Market
Class of shareEquity
MacroFinancial Services
SectorFinancial Services
IndustryCapital Markets
Basic industryMutual Fund Scheme
CategoryHybrid · Equity/Debt
Trading statusActive
NSE quote updated 05-Oct-2026 16:00:00
NAV history 1 DAY
DateNAVClosePremium / Discount
30 Sep 2026 ₹9.80 ₹9.71 -0.89%