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Here are the details of the schemes you searched for  UTI-Mahila Unit Plan (G)

  Scheme Details
 
Asset Size (Cr.) Fund Mngr Launch Date Min. Inv Inc. Inv(Rs.)
247.94 Amandeep Chopra Mar 08 2001 1000 1
  Latest Navs
 
Latest NAV Latest Dividend
20.2911 0
  1 Year NAV Chart
 
Chart.

  Previous NAV
 
Date NAV (Rs.)
18 Feb 2011 20.2911
17 Feb 2011 20.3601
15 Feb 2011 20.2922
14 Feb 2011 20.2908
11 Feb 2011 20.127
  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-Mahila Unit Plan (G) -2.90 0.37 6.73
  Sectorial Allocation
 


No data available

  Previous Dividend
 
Dividend Date Dividend (%)
Apr 01 2010 0.00
  Scheme Portfolio
 
Company %ofInv Inv Amt
Union Bank (I) 0.02 0
Oriental Bank 0.38 0
Trent 0.12 0
Trent 0.13 0
Net CA & Others 10.29 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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