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 |
Category | Hybrid Scheme - Conservative Hybrid Fund |
NAV | 33.5656 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Hybrid Scheme - Conservative Hybrid Fund |
NAV | 1.101 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Hybrid Scheme - Conservative Hybrid Fund |
NAV | 0.3872 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Hybrid Scheme - Conservative Hybrid Fund |
NAV | 1.1005 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Hybrid Scheme - Conservative Hybrid Fund |
NAV | 0.915 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Hybrid Scheme - Conservative Hybrid Fund |
NAV | 1.1336 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Hybrid Scheme - Conservative Hybrid Fund |
NAV | 0.4103 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Hybrid Scheme - Conservative Hybrid Fund |
NAV | 1.1525 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Hybrid Scheme - Conservative Hybrid Fund |
NAV | 0.9642 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Floater Fund |
NAV | 1083.4594 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Floater Fund |
NAV | 1073.6345 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Floater Fund |
NAV | 1124.607 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Floater Fund |
NAV | 1094.212 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Floater Fund |
NAV | 1124.615 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Floater Fund |
NAV | 1141.8475 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Floater Fund |
NAV | 1101.2705 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Floater Fund |
NAV | 1141.8476 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Floater Fund |
NAV | 1111.0447 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Floater Fund |
NAV | 1131.7066 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Gilt Fund |
NAV | 29.7011 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Gilt Fund |
NAV | 20.3736 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Gilt Fund |
NAV | 47.882 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Gilt Fund |
NAV | 35.6216 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Gilt Fund |
NAV | 35.6019 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Gilt Fund |
NAV | 48.8795 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Gilt Fund |
NAV | 24.6284 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Banking and PSU Fund |
NAV | 11.2268 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Banking and PSU Fund |
NAV | 15.3251 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Banking and PSU Fund |
NAV | 11.7956 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Banking and PSU Fund |
NAV | 10.8295 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Banking and PSU Fund |
NAV | 10.7524 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Banking and PSU Fund |
NAV | 10.845 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Banking and PSU Fund |
NAV | 12.186 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Banking and PSU Fund |
NAV | 11.8396 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Banking and PSU Fund |
NAV | 10.8272 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Banking and PSU Fund |
NAV | 15.4195 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Banking and PSU Fund |
NAV | 13.2878 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Banking and PSU Fund |
NAV | 10.9055 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Credit Risk Fund |
NAV | 7.0968 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Credit Risk Fund |
NAV | 7.927 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Credit Risk Fund |
NAV | 7.672 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Credit Risk Fund |
NAV | 7.8857 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Credit Risk Fund |
NAV | 9.0695 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Credit Risk Fund |
NAV | 7.6704 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Credit Risk Fund |
NAV | 8.1837 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Credit Risk Fund |
NAV | 12.8525 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Credit Risk Fund |
NAV | 8.1566 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Credit Risk Fund |
NAV | 8.3396 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Credit Risk Fund |
NAV | 8.3943 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Credit Risk Fund |
NAV | 11.8177 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |