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Scheme Name NAV Date NAV (₹) NAV REPrice (₹) NAV SAPrice (₹)
UTI-CRISIL SDL Maturity April 2033 Index Fund-Reg (G) 28-Nov-2025 12.55 0.00 0.00
UTI-CRISIL SDL Maturity June 2027 Index Fund-Dir (G) 28-Nov-2025 12.43 0.00 0.00
UTI-CRISIL SDL Maturity June 2027 Index Fund-Reg (G) 28-Nov-2025 12.34 0.00 0.00
UTI-Dividend Yield Fund - Direct (G) 28-Nov-2025 196.22 0.00 0.00
UTI-Dividend Yield Fund - Direct (IDCW) 28-Nov-2025 41.19 0.00 0.00
UTI-Dividend Yield Fund (G) 28-Nov-2025 181.45 0.00 0.00
UTI-Dividend Yield Fund (IDCW) 28-Nov-2025 34.15 0.00 0.00
UTI-Dynamic Bond Fund - Direct (Flexi) 28-Nov-2025 17.23 0.00 0.00
UTI-Dynamic Bond Fund - Direct (G) 28-Nov-2025 34.33 0.00 0.00
UTI-Dynamic Bond Fund - Direct (IDCW-A) 28-Nov-2025 14.86 0.00 0.00