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India - Funds

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Condition

Frequency

Once
%

Frequency

Frequency

Delivery Method

Status

 NameSymbolLastChg. %Total AssetsTime
 UTI Treasury Advantage Institutional Growth0P0000.3,402.467+0.03%35.05B26/12 
 UTI Treasury Advantage Institutional Monthly Divid0P0000.1,337.642+0.03%35.05B26/12 
 UTI Treasury Advantage Bonus0P0000.4,011.401+0.03%35.05B26/12 
 UTI Treasury Advantage Fund Institutional Half Yea0P0001.1,336.554+0.03%35.05B26/12 
 UTI Treasury Advantage Institutional Weekly Divide0P0000.1,314.688+0.03%35.05B26/12 
 UTI Treasury Advantage Fund Institutional Plan Dai0P0000.1,318.976+0.03%35.05B26/12 
 UTI Treasury Advantage Institutional Quarterly Div0P0000.1,340.475+0.03%35.05B26/12 
 UTI Treasury Advantage Flexi Dividend0P0000.3,233.476+0.03%35.05B26/12 
 UTI Treasury Advantage Dividend Payout0P0000.2,127.812+0.03%35.05B26/12 
 UTI Treasury Advantage Fund Institutional-weekly D0P0000.1,021.735-0.04%35.05B26/12 
 UTI Treasury Advantage Fund Institutional Flexi Di0P0001.1,294.098+0.03%35.05B26/12 
 UTI Treasury Advantage Fund Institutional Fortnigh0P0001.1,340.555+0.03%35.05B26/12 
 UTI Treasury Advantage Fund - Institutional Plan -0P0000.3,454.670+0.03%35.05B26/12 
 UTI Treasury Advantage Periodic Dividend Payout0P0000.1,052.951+0.03%35.05B26/12 
 UTI Treasury Advantage Fund Institutional Flexi Di0P0001.1,466.113+0.03%35.05B26/12 
 UTI Treasury Advantage Fund Institutional Half Yea0P0001.1,343.021+0.03%35.05B26/12 
 UTI Treasury Advantage Growth0P0000.6,017.788+0.03%35.05B26/12 
 UTI Treasury Advantage Weekly Dividend Payout0P0000.1,088.247+0.03%35.05B26/12 
 UTI Treasury Advantage Fund Institutional Plan Mon0P0000.1,348.801+0.03%35.05B26/12 
 UTI Treasury Advantage Fund Fortnightly Dividend P0P0001.1,331.840+0.03%35.05B26/12 
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