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1. Current NAV: The Current Net Asset Value of the UTI Liquid Fund - Regular Plan as of May 19, 2025 is Rs 4,252.66 for Growth option of its Regular plan. 2. Returns: Its trailing returns over ...
1. Current NAV: The Current Net Asset Value of the Bandhan Infrastructure Fund - Regular Plan as of May 21, 2025 is Rs 50.00 for Growth option of its Regular plan. 2. Returns: Its trailing returns ...
April 29, 2017 PDF edition. Green Sheet, April 22, 2017 PDF edition. April 22, 2017 PDF edition. April 15, 2017 PDF edition. April 8, 2017 PDF edition. April 1, 2017 PDF edition. March 25, 2017 PDF ...