NAV Indian Mutual Fund
The Indian Mutual Fund NAV API provides real-time Net Asset Value (NAV) data for any mutual fund in India using its scheme code. This API is useful for investors, financial analysts, and developers who need up-to-date mutual fund data for analysis, portfolio tracking, or integration into financial applications. 🚀 Features & Functionality ✅ Fetch latest NAV data for any mutual fund in India. ✅…
NAV Indian Mutual Fund endpoints
| Method | Endpoint | Description |
|---|---|---|
| GET |
GET NAV /nav |
Gives latest NAV |
NAV Indian Mutual Fund pricing
| Plan | Price | Rate limit | Quotas |
|---|---|---|---|
| BASIC | Free | — |
|
| PRO | $2 / month | 100 / second |
|