1. Current NAV: The Current Net Asset Value of the UTI Unit Linked Insurance Plan as of Jan 16, 2025 is Rs 39.96 for IDCW option of its Regular plan. 2. Returns: Its trailing returns over different ...
1. Current NAV: The Current Net Asset Value of the Bandhan Sterling Value Fund - Direct Plan as of Jan 08, 2025 is Rs 162.52 for Growth option of its Direct plan. 2. Returns: Its trailing returns over ...