xi

UTI Fixed Term Income Fund Series XXIX-I (1134 days) - Regular Plan - Annual Div Option

Category Income
NAV 10.1264
Repurchase Price
Sale Price
Date 08-May-2020




xi

UTI Fixed Term Income Fund Series XXIX-I (1134 days) - Direct Plan - Quarterly Div Option

Category Income
NAV 10.1304
Repurchase Price
Sale Price
Date 08-May-2020




xi

UTI Fixed Term Income Fund Series XXIX-I (1134 days) - Direct Plan - Maturity Div Option

Category Income
NAV 11.3569
Repurchase Price
Sale Price
Date 08-May-2020




xi

UTI Fixed Term Income Fund Series XXIX- I (1134 Days) - Direct Plan - Annual Div Option

Category Income
NAV 10.1309
Repurchase Price
Sale Price
Date 08-May-2020




xi

UTI Fixed Term Income Fund Series XXIX -I (1134 days) - Direct Plan - Growth Option

Category Income
NAV 11.3568
Repurchase Price
Sale Price
Date 08-May-2020




xi

UTI - Regular Savings Fund - Regular Plan - Flexi Dividend Option

Category Hybrid Scheme - Conservative Hybrid Fund
NAV 31.8044
Repurchase Price
Sale Price
Date 08-May-2020




xi

UTI - Regular Savings Fund - Direct Plan - Flexi Dividend Option

Category Hybrid Scheme - Conservative Hybrid Fund
NAV 33.5656
Repurchase Price
Sale Price
Date 08-May-2020




xi

UTI - Regular Saving Fund (Segregated - 17022020) - Regular Plan - Flexi Dividend Option

Category Hybrid Scheme - Conservative Hybrid Fund
NAV 0.915
Repurchase Price
Sale Price
Date 08-May-2020




xi

UTI - Regular Saving Fund (Segregated - 17022020) - Direct Plan - Flexi Dividend Option

Category Hybrid Scheme - Conservative Hybrid Fund
NAV 0.9642
Repurchase Price
Sale Price
Date 08-May-2020




xi

UTI - Floater Fund - Regular Plan - Flexi Div Option

Category Debt Scheme - Floater Fund
NAV 1094.212
Repurchase Price
Sale Price
Date 08-May-2020




xi

UTI - Floater Fund - Direct Plan - Flexi Div Option

Category Debt Scheme - Floater Fund
NAV 1131.7066
Repurchase Price
Sale Price
Date 08-May-2020




xi

UTI Banking & PSU Debt Fund - Regular Plan - Flexi Div Option

Category Debt Scheme - Banking and PSU Fund
NAV 10.7524
Repurchase Price
Sale Price
Date 08-May-2020




xi

UTI Banking & PSU Debt Fund - Direct Plan - Flexi Div Option

Category Debt Scheme - Banking and PSU Fund
NAV 13.2878
Repurchase Price
Sale Price
Date 08-May-2020




xi

UTI Credit Risk Fund - Regular Plan - Flexi Div Option

Category Debt Scheme - Credit Risk Fund
NAV 7.672
Repurchase Price
Sale Price
Date 08-May-2020




xi

UTI Credit Risk Fund - Direct Plan - Flexi Div Option

Category Debt Scheme - Credit Risk Fund
NAV 8.1566
Repurchase Price
Sale Price
Date 08-May-2020




xi

UTI - Credit Risk Fund (Segregated - 17022020) - Regular Plan - Flexi Dividend Option

Category Debt Scheme - Credit Risk Fund
NAV 0.9241
Repurchase Price
Sale Price
Date 08-May-2020




xi

UTI - Credit Risk Fund (Segregated - 17022020) - Direct Plan - Flexi Dividend Option

Category Debt Scheme - Credit Risk Fund
NAV 0.9797
Repurchase Price
Sale Price
Date 08-May-2020




xi

UTI - Credit Risk Fund (Segregated - 13092019) - Regular Plan - Flexi Dividend Option

Category Debt Scheme - Credit Risk Fund
NAV 0.1187
Repurchase Price
Sale Price
Date 08-May-2020




xi

UTI - Credit Risk Fund (Segregated - 13092019) - Direct Plan - Flexi Dividend Option

Category Debt Scheme - Credit Risk Fund
NAV 0.1255
Repurchase Price
Sale Price
Date 08-May-2020




xi

UTI - Credit Risk Fund (Segregated - 06032020) - Regular Plan - Flexi Dividend Option

Category Debt Scheme - Credit Risk Fund
NAV 0
Repurchase Price
Sale Price
Date 08-May-2020




xi

UTI - Credit Risk Fund (Segregated - 06032020) - Direct Plan - Flexi Dividend Option

Category Debt Scheme - Credit Risk Fund
NAV 0
Repurchase Price
Sale Price
Date 08-May-2020




xi

UTI Corporate Bond Fund - Regular Plan - Flexi Div Option

Category Debt Scheme - Corporate Bond Fund
NAV 11.2244
Repurchase Price
Sale Price
Date 08-May-2020




xi

UTI Corporate Bond Fund - Direct Plan - Flexi Div Option

Category Debt Scheme - Corporate Bond Fund
NAV 11.2911
Repurchase Price
Sale Price
Date 08-May-2020




xi

UTI - Bond Fund ( Segregated - 17022020 ) - Regular Plan - Flexi Dividend Option

Category Debt Scheme - Corporate Bond Fund
NAV 0.4121
Repurchase Price
Sale Price
Date 08-May-2020




xi

UTI - Bond Fund ( Segregated - 17022020 ) - Direct Plan - Flexi Dividend Option

Category Debt Scheme - Corporate Bond Fund
NAV 0.4228
Repurchase Price
Sale Price
Date 08-May-2020




xi

UTI Dynamic Bond Fund - Regular Plan - Flexi Div Option

Category Debt Scheme - Dynamic Bond
NAV 11.238
Repurchase Price
Sale Price
Date 08-May-2020




xi

UTI Dynamic Bond Fund - Direct Plan - Flexi Dividend Option

Category Debt Scheme - Dynamic Bond
NAV 11.5823
Repurchase Price
Sale Price
Date 08-May-2020




xi

UTI - Dynamic Bond Fund (Segregated - 17022020) - Regular Plan - Flexi Dividend Option

Category Debt Scheme - Dynamic Bond
NAV 0.2015
Repurchase Price
Sale Price
Date 08-May-2020




xi

UTI - Dynamic Bond Fund (Segregated - 17022020) - Direct Plan - Flexi Dividend Option

Category Debt Scheme - Dynamic Bond
NAV 0.2072
Repurchase Price
Sale Price
Date 08-May-2020




xi

UTI Bond Fund - Flexi Dividend Option - Direct

Category Debt Scheme - Medium to Long Duration Fund
NAV 10.908
Repurchase Price
Sale Price
Date 08-May-2020




xi

UTI Bond Fund - Flexi Dividend Option

Category Debt Scheme - Medium to Long Duration Fund
NAV 10.2672
Repurchase Price
Sale Price
Date 08-May-2020




xi

UTI - Medium Term Fund (Segregated - 17022020) - Regular Plan - Flexi Dividend Option

Category Debt Scheme - Medium Duration Fund
NAV 0.0713
Repurchase Price
Sale Price
Date 08-May-2020




xi

UTI - Medium Term Fund (Segregated - 17022020) - Direct Plan - Flexi Dividend Option

Category Debt Scheme - Medium Duration Fund
NAV 0.0808
Repurchase Price
Sale Price
Date 08-May-2020




xi

UTI - Medium Term Fund (Segregated - 06032020) - Regular Plan - Flexi Dividend Option

Category Debt Scheme - Medium Duration Fund
NAV 0
Repurchase Price
Sale Price
Date 08-May-2020




xi

UTI - Medium Term Fund (Segregated - 06032020) - Direct Plan - Flexi Dividend Option

Category Debt Scheme - Medium Duration Fund
NAV 0
Repurchase Price
Sale Price
Date 08-May-2020




xi

UTI Medium Term Fund - Regular Plan - Flexi Div Option

Category Debt Scheme - Medium Duration Fund
NAV 10.7203
Repurchase Price
Sale Price
Date 08-May-2020




xi

UTI Medium Term Fund - Direct Plan - Flexi Div Option

Category Debt Scheme - Medium Duration Fund
NAV 11.6593
Repurchase Price
Sale Price
Date 08-May-2020




xi

UTI - Short Term Income Fund - Regular Plan - Flexi Dividend Option

Category Debt Scheme - Short Duration Fund
NAV 13.4469
Repurchase Price
Sale Price
Date 08-May-2020




xi

UTI - Short Term Income Fund - Direct Plan - Flexi Dividend Option

Category Debt Scheme - Short Duration Fund
NAV 13.445
Repurchase Price
Sale Price
Date 08-May-2020




xi

UTI MMF- Discontinued - Regular Plan - Flexi Dividend Option

Category Debt Scheme - Money Market Fund
NAV 2894.055
Repurchase Price
Sale Price
Date 08-May-2020




xi

UTI MMF - Regular Plan - Flexi Dividend Option

Category Debt Scheme - Money Market Fund
NAV 1068.185
Repurchase Price
Sale Price
Date 08-May-2020




xi

UTI MMF - Direct Plan - Flexi Dividend Option

Category Debt Scheme - Money Market Fund
NAV 1172.8149
Repurchase Price
Sale Price
Date 08-May-2020




xi

UTI - Treasury Advantage Fund - Regular Plan - Flexi Dividend Option

Category Debt Scheme - Low Duration Fund
NAV 1017.1919
Repurchase Price
Sale Price
Date 08-May-2020




xi

UTI - Treasury Advantage Fund - Discontinued Flexi Dividend Plan

Category Debt Scheme - Low Duration Fund
NAV 1029.3093
Repurchase Price
Sale Price
Date 08-May-2020




xi

UTI - Treasury Advantage Fund - Direct Plan - Flexi Dividend Option

Category Debt Scheme - Low Duration Fund
NAV 1137.5079
Repurchase Price
Sale Price
Date 08-May-2020




xi

UTI - Ultra Short Term Fund -Regular Plan -Flexi Dividend Option

Category Debt Scheme - Ultra Short Duration Fund
NAV 1281.3734
Repurchase Price
Sale Price
Date 08-May-2020




xi

UTI - Ultra Short Term Fund - Direct Plan -Flexi Dividend Option

Category Debt Scheme - Ultra Short Duration Fund
NAV 1619.8905
Repurchase Price
Sale Price
Date 08-May-2020




xi

UTI- Liquid cash plan - Regular Plan - Flexi Dividend Option

Category Debt Scheme - Liquid Fund
NAV 1183.14
Repurchase Price
Sale Price
Date 10-May-2020




xi

UTI - Liquid Cash Plan - Direct Plan - Flexi Dividend Option

Category Debt Scheme - Liquid Fund
NAV 1184.532
Repurchase Price
Sale Price
Date 10-May-2020