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You are here : Makemystocks Mutual Fund Fund details
UTI Treasury Advantage-(MD)
Fund Summary
NAV (Rs), Jan 01 1970
1037.54
Initial Price
1000
Min investment
Rs 5000
52 Weeks high
1042.06
52 Weeks low
1025.05
NAV Returns
Duration
Percentage
1 Week
0.14
1 Month
0.78
3 Months
2.08
6 Months
3.8
1 Year
6.42
Scheme Profile
Fund category
Debt - Ultra Short Term
Scheme plan
Dividend
Scheme type
Open Ended
Launch date
May 14, 2007
Fund manager
Puneet Pal
AMC
Karvy Computershare Pvt Ltd - Hyderabad
Objective
To generate an attractive return consistent with capital preservation & liquidity.
Asset (Rs crore)
10.86 ( Mar 31, 2011)
Other Details
Registered office
Uti Tower, ‘Gn’ Block, Bandra-Kurla Complex Bandra(E) Mumbai - 400051
Tel
+91-22- 66786666
Email
uticoirc@uti.co.in
Website
www.utimf.com
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