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NAV HISTORY

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UTI Ultra Short Duration Fund


Fund : UTI Mutual Fund
Category : Debt - Floaters
Type : Open Ended
NAV(17/10/2025) 1381.8207
Percentage Returns :
1 Month Ago : 0.49%
3 Months Ago : 1.36%
1 Year Ago : 6.89%
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NAV DateRepurcahse ()Sale ()Amount ()
20/10/20251,382.411,382.411,382.41
17/10/20251,381.821,381.821,381.82
16/10/20251,381.631,381.631,381.63
15/10/20251,381.501,381.501,381.50
14/10/20251,381.281,381.281,381.28
13/10/20251,381.041,381.041,381.04
10/10/20251,380.511,380.511,380.51
09/10/20251,380.321,380.321,380.32
08/10/20251,380.121,380.121,380.12
07/10/20251,379.971,379.971,379.97
06/10/20251,379.831,379.831,379.83
03/10/20251,379.161,379.161,379.16
01/10/20251,378.441,378.441,378.44
30/09/20251,377.941,377.941,377.94
29/09/20251,377.391,377.391,377.39
26/09/20251,376.751,376.751,376.75
25/09/20251,376.541,376.541,376.54
24/09/20251,376.421,376.421,376.42
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