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India - Funds

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Condition

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%

Frequency

Frequency

Delivery Method

Status

 NameSymbolLastChg. %Total AssetsTime
 ICICI Prudential Life - Money Market Fund0P0000.27.421+0.02%252.86B14/02 
 Birla Sun Life Savings Fund - Growth - Regular Pla0P0000.531.851+0.01%163.49B14/02 
 Aditya Birla Sun Life Savings Fund Daily Dividend 0P0000.100.2590%163.49B14/02 
 Birla Sun Life Savings Fund - Growth - Direct Plan0P0000.540.934+0.01%163.49B14/02 
 Aditya Birla Sun Life Savings Fund Retail Daily Di0P0000.100.2680%163.49B14/02 
 Birla Sun Life Savings Fund Fund Retail Growth0P0000.514.664+0.01%163.49B14/02 
 Aditya Birla Sun Life Savings Fund Retail Weekly D0P0000.100.797+0.01%163.49B14/02 
 Aditya Birla Sun Life Savings Fund Weekly Dividend0P0000.100.458+0.01%163.49B14/02 
 Birla Sun Life Savings Fund - Discipline Advantage0P0000.305.926+0.01%163.49B14/02 
 Aditya Birla Sun Life Savings Fund Weekly Dividend0P0000.100.399+0.01%163.49B14/02 
 Aditya Birla Sun Life Savings Fund Daily Dividend 0P0000.100.2590%163.49B14/02 
 Kotak Treasury Advantage Fund-Growth0P0000.41.669+0.01%131.51B14/02 
 KotakTreasury Advantage Fund-Growth - Direct0P0000.43.579+0.01%131.51B14/02 
 KotakTreasury Advantage Fund-Monthly Dividend - Di0P0000.18.790+0.01%131.51B14/02 
 Kotak Treasury Advantage Fund-Monthly Dividend Pay0P0000.10.7160%131.51B14/02 
 UTI Floating Rate Fund Short Term Plan Institution0P0000.2,954.656+0.02%34.62B14/02 
 UTI Floating Rate Fund STP Daily Dividend Reinvest0P0000.1,046.1480.00%34.62B14/02 
 UTI FLOATING RATE STP -Regular Plan Flexi Dividend0P0000.1,591.823+0.02%34.62B14/02 
 UTI Floating Rate Fund Short Term Plan Daily Divid0P0000.1,468.512+0.02%34.62B14/02 
 UTI - FLOATING RATE STP -Regular Plan Flexi Divide0P0000.2,141.634+0.02%34.62B14/02 
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