» Nav History

Nav History

UTI-Liquid - Cash Plan - Regular (Flexi) - Scheme Profile

Fund

Fund House : UTI Mutual Fund

Fund Class : Liquid Funds

NAV 18 Jan 1210.74 0.07
(0.01%)
Date Nav(Rs)
26-12-2020 1208.64
24-12-2020 1208.45
23-12-2020 1208.34
22-12-2020 1208.23
21-12-2020 1208.13
20-12-2020 1208.04
18-12-2020 1207.84
17-12-2020 1207.74
16-12-2020 1207.66
15-12-2020 1207.57
14-12-2020 1207.49
13-12-2020 1207.40
12-12-2020 1207.30
10-12-2020 1207.10
09-12-2020 1206.97
08-12-2020 1206.90
07-12-2020 1206.84
06-12-2020 1206.74
04-12-2020 1206.55
03-12-2020 1206.44