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Here are the details of the schemes you searched for  UTI-CRTS (G)

  Scheme Details
 
Asset Size (Cr.) Fund Mngr Launch Date Min. Inv Inc. Inv(Rs.)
432.1 Amandeep Chopra Oct 01 1981 10000 0
  Latest Navs
 
Latest NAV Latest Dividend
168.3602 0.00
  1 Year NAV Chart
 
Chart.

  Previous NAV
 
Date NAV (Rs.)
18 Feb 2011 168.3602
17 Feb 2011 169.3579
15 Feb 2011 168.867
14 Feb 2011 168.6542
11 Feb 2011 167.2023
  Asset Allocation
 
Type AssetValue
Equity 0
Debt 0
Others 0
  Return Summary
 

Scheme Name 3MONTH 6MONTH 1YEAR
Nifty -9.00 -0.37 11.69
Sensex -8.63 -0.25 11.54
UTI-CRTS (G) -3.41 -1.20 9.14
  Sectorial Allocation
 


No data available

  Previous Dividend
 
No data available
  Scheme Portfolio
 
Company %ofInv Inv Amt
Union Bank (I) 0.02 0
UCO Bank 0.24 0
Oriental Bank 0.73 0
Net CA & Others 5.07 0
IDBI Bank 25.97 0
  Contact Information
 
Address Phone Fax Website
UTI Towers, Gn Block,Bandra Kurla Complex,Bandra (East), Mumbai 400 051 022-66786666 022-26523031 www.utimf.com

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Equities: Equities transactions executed by Reliance Securities Limited | NSE SEBI Registration Number Capital Market :- INB 231234833 |BSE SEBI Registration Number Capital Market :- INB 011234839 | NSE SEBI Registration Number Derivatives :- INF 231234833 | Mutual Funds : Reliance Securities Limited | AMFI ARN No.29889
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