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Nav History

UTI-Equity Fund (G) - Scheme Profile

Fund

Fund House : UTI Mutual Fund

Fund Class : Equity - Diversified

NAV 17 Oct 142.51 1.93
(1.37%)
Date Nav(Rs)
17-10-2019 142.51
16-10-2019 140.58
15-10-2019 140.28
14-10-2019 139.63
11-10-2019 139.48
10-10-2019 138.91
09-10-2019 140.38
07-10-2019 138.58
04-10-2019 138.83
03-10-2019 139.76
01-10-2019 140.48
30-09-2019 142.05
27-09-2019 143.26
26-09-2019 143.64
25-09-2019 142.79
24-09-2019 144.60
23-09-2019 145.07
20-09-2019 140.69
19-09-2019 133.46
18-09-2019 135.09