» Nav History

Nav History

UTI-CRTS (G) - Scheme Profile

Fund

Fund House : UTI Mutual Fund

Fund Class : Hybrid - Debt Oriented

NAV 21 Sep 313.06 0.26
(0.08%)
Date Nav(Rs)
21-09-2016 313.06
20-09-2016 312.80
19-09-2016 312.97
16-09-2016 312.58
15-09-2016 312.35
14-09-2016 312.26
12-09-2016 311.80
09-09-2016 313.89
08-09-2016 314.78
07-09-2016 314.34
06-09-2016 314.03
02-09-2016 312.33
01-09-2016 311.89
31-08-2016 311.96
30-08-2016 311.30
29-08-2016 309.84
26-08-2016 309.40
25-08-2016 309.56
24-08-2016 309.77
23-08-2016 309.01