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Uti Unit Linked Insurance Plan

NAV (direct) : 28.4163

(28.2561)

NAV (regular) : 27.1755

(27.0240)
Hybrid - Dynamic Asset Allocation
Last Updated on 10-Nov-2020

Uti Unit Linked Insurance Plan net asset value or NAV jumped from 28.2561 to 28.4163 since last working day

Uti Unit Linked Insurance Plan last 1 year returns is 10.10%

Uti Unit Linked Insurance Plan last 3 year returns is 4.63%

Uti Unit Linked Insurance Plan last 5 year returns is 7.43%

Uti Unit Linked Insurance Plan returns since launch is 8.67%

Uti Unit Linked Insurance Plan asset under management or AUM is 4,644.16 crores

Uti Unit Linked Insurance Plan one year annualised return is 10.10 compared to benchmark CRISIL Short Term Debt Hybrid 60+40 Fund Index one year annualised return of 9.93

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