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UTI-Unit Linked Insurance Plan - Scheme Profile

Scheme Details

17.5575-0.02(-0.10)
(Rs)       (%)
NAV as on 17 Oct 14
Fund Family :UTI Mutual Fund
Fund Class:Hybrid - Debt Oriented
Performance
1 Week :0.00%
1 Month:0.00%
1 Year:0.00%
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Performance Chart

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Y Axis : NAV (Rs)

Trailing Returns

% 1-Mth 3-Mths 1-Yr 3-Yrs
Scheme0.000.000.000.00
Category-0.213.3620.6312.07
Sensex-2.443.0726.5656.05
Nifty-2.982.8127.3154.74
Total Assets (Rs cr): 0
Last Dividend (Rs):N.A.

Load Details

Exit (From Date: N.A)
Investment
Period
Ivestment Amount
(Rs)
Exit Load
(%)
N.AN.A.0.00
 Asset AllocationSector AllocationTop Holdings 

The pie chart shows the how much has the scheme invested across various asset types.

Asset Type %
Equity38.60
NCD36.16
Govt. Securities20.69
Net CA & Others1.85
Commercial Paper1.18
Fixed Deposits0.91
PSU & PFI Bonds0.58

Scheme Information

Launch Date :01 Oct 71
Redemption Date :N.A.
Fund Manager :Amandeep Chopra
Registrar :UTI Asset Management Company Ltd

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