NAV (direct) : 24.7733
(24.7712)NAV (regular) : 24.3736
(24.3717)Uti Q Interval Fund Sr V Reg net asset value or NAV jumped from 24.7712 to 24.7733 since last working day
Uti Q Interval Fund Sr V Reg direct last 1 year returns is 2.82%
Uti Q Interval Fund Sr V Reg direct last 3 year returns is 5.05%
Uti Q Interval Fund Sr V Reg direct last 5 year returns is 5.99%
Uti Q Interval Fund Sr V Reg direct returns since launch is 7.12%
Uti Q Interval Fund Sr V Reg asset under management or AUM is 7.12 crores
Uti Q Interval Fund Sr V Reg one year annualised return is 2.82 compared to benchmark CRISIL Liquid Fund Total Return Index one year annualised return of 4.36