UTI Asset Management Company Limited has informed the Exchange that the Net Asset Value (per unit) of UTI Mutual Fund – UTI FTIP – Sr XXXV – II (1223 Days) -RP-QIDCWP as on October 14, 2025 is Rs. 12.1154. |SUBJECT: Declaration of NAV
UTI Asset Management Company Limited has informed the Exchange that the Net Asset Value (per unit) of UTI Mutual Fund – UTI FTIP – Sr XXXV – II (1223 Days) -RP-QIDCWP as on October 14, 2025 is Rs. 12.1154. |SUBJECT: Declaration of NAV