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India - Funds

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Condition

Frequency

Once
%

Frequency

Frequency

Delivery Method

Status

 NameSymbolLastChg. %Total AssetsTime
 UTI Floating Rate Fund - Short Term Plan - Growth 0P0000.4,516.130+0.02%41.31B23/05 
 UTI Floating Rate STP Quarterly Dividend Payout Op0P0001.1,875.142+0.02%41.31B23/05 
 UTI Floating Rate Fund Short Term Plan Weekly Divi0P0000.1,083.713+0.02%41.31B23/05 
 UTI Floating Rate Fund Short Term Plan Growth0P0000.4,212.283+0.02%41.31B23/05 
 UTI Floating Rate STP Quarterly Dividend Payout Op0P0001.1,253.655+0.02%41.31B23/05 
 UTI Floating Rate Fund Short Term Plan Weekly Divi0P0000.1,349.122+0.02%41.31B23/05 
 UTI Floating Rate Fund Short Term Plan Institution0P0000.3,018.249+0.02%41.31B23/05 
 UTI Floating Rate STP Monthly Dividend Payout Opti0P0001.1,077.809+0.02%41.31B23/05 
 UTI Floating Rate STP Annual Dividend Payout Optio0P0001.1,378.410+0.02%41.31B23/05 
 UTI - FLOATING RATE STP -Regular Plan Flexi Divide0P0000.2,191.115+0.02%41.31B23/05 
 UTI Floating Rate STP Fortnightly Dividend Payout 0P0001.1,322.405+0.02%41.31B23/05 
 UTI Floating Rate Fund STP Daily Dividend Reinvest0P0000.1,048.335+0.00%41.31B23/05 
 UTI Floating Rate STP Direct Plan Annual Dividend 0P0001.1,420.527+0.02%41.31B23/05 
 UTI Floating Rate STP Half Yearly Dividend Payout 0P0001.1,038.272+0.05%41.31B25/11 
 UTI FLOATING RATE STP -Regular Plan Flexi Dividend0P0000.1,626.083+0.02%41.31B23/05 
 UTI Floating Rate STP Monthly Dividend Payout Opti0P0001.1,155.778+0.02%41.31B23/05 
 UTI Floating Rate Fund Short Term Plan Daily Divid0P0000.1,502.441+0.02%41.31B23/05 
 UTI Treasury Advantage Institutional Growth0P0000.3,530.006+0.01%32.71B23/05 
 UTI Treasury Advantage Institutional Monthly Divid0P0000.1,387.780+0.01%32.71B23/05 
 UTI Treasury Advantage Bonus0P0000.4,161.762+0.01%32.71B23/05 
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