mutualfunds.angelbroking.com Open in urlscan Pro
103.82.178.96  Public Scan

Submitted URL: http://mutualfunds.angelbroking.com/
Effective URL: https://mutualfunds.angelbroking.com/Login.aspx?ReturnUrl=%2f
Submission: On August 17 via manual from IN — Scanned from DE

Form analysis 1 forms found in the DOM

POST ./Login.aspx?ReturnUrl=%2f

<form method="post" action="./Login.aspx?ReturnUrl=%2f" onsubmit="javascript:return WebForm_OnSubmit();" id="form1">
  <div class="aspNetHidden">
    <input type="hidden" name="__EVENTTARGET" id="__EVENTTARGET" value="">
    <input type="hidden" name="__EVENTARGUMENT" id="__EVENTARGUMENT" value="">
    <input type="hidden" name="__VIEWSTATE" id="__VIEWSTATE"
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">
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                                                                <a href="#2" id="hr2" rel="facebox" title="Click to see News Detail">UTI AMC - Board Meeting Intimation for Considering And Approving Un-Audited Standalone And Consolidated Financial Results For</a>
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                                                          <div class="newstickerdetailHeading">UTI AMC - Board Meeting Intimation for Considering And Approving Un-Audited Standalone And Consolidated Financial Results For</div>
                                                          <div class="newstickerdetailInfo">UTI Asset Management Company Ltdhas informed BSE that the meeting of the Board of Directors of the Company is scheduled on 25/07/2024 ,inter alia, to consider
                                                            and approve un-audited standalone and consolidated financial results for the quarter ending 30th June, 2024 and Discuss other business matters.</div>
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                                                              <td><a href="#3" id="hr3" rel="facebox" title="Click to see News Detail">Canara Robeco Equity Hybrid Fund: change in investment factsheets for June 2024</a></td>
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                                                          <div class="newstickerdetailHeading">Canara Robeco Equity Hybrid Fund: change in investment factsheets for June 2024</div>
                                                          <div class="newstickerdetailInfo">Canara Robeco Equity Hybrid Fund has announced change in investment factsheets and fund flash for the month ended June 15, 2024.As on Jun 15, 2024, the total
                                                            size of the Fund was Rs 10,555.93 crores, compared with Rs 10,152.64 crores in the last month. The Fund''s NAV per unit was Rs 333.84 for Growth, while 52-Week High and Low ranges were Rs
                                                            335.28 and Rs 261.54 respectively.The Equity - Hybrid fund with Growth plan was launched on Feb 01, 1993 and managed by Fund Managers Shridatta Bhandwaldar, Ennette Fernandes, Avnish
                                                            Jain.The top five companies based on a percentage of total holdings were HDFC Bank Ltd (541.80 Cr.), Reliance Industries Ltd (427.01 Cr.), ICICI Bank Ltd (402.46 Cr.), Larsen &amp; Toubro
                                                            Ltd (318.99 Cr.) and Power Finance Corporation Ltd (295.83 Cr.).Canara Robeco Equity Hybrid Fund is promoted by Canara Robeco Mutual Fund and managed by Canara Robeco Asset Management
                                                            Company Ltd..</div>
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                                                              <td><a href="#4" id="hr4" rel="facebox" title="Click to see News Detail">Shriram A M C - Reg. 34 (1) Annual Report.</a></td>
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                                                          <div class="newstickerdetailHeading">Shriram A M C - Reg. 34 (1) Annual Report.</div>
                                                          <div class="newstickerdetailInfo">As per the Regulation 34 of the Securities and Exchange Board of India (Listing Obligations and Disclosure Requirements) Regulations, 2015, please find
                                                            enclosed the ''''Annual Report'''' of our Company for the Financial Year 2023-2024.</div>
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                                                              <td><a href="#5" id="hr5" rel="facebox" title="Click to see News Detail">Union ELSS Tax Saver Fund: change in investment factsheets for December 2023</a></td>
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                                                          <div class="newstickerdetailHeading">Union ELSS Tax Saver Fund: change in investment factsheets for December 2023</div>
                                                          <div class="newstickerdetailInfo">Union ELSS Tax Saver Fund has announced change in investment factsheets and fund flash for the month ended December 31, 2023.As on Dec 31, 2023, the total
                                                            size of the Fund was Rs 789.29 crores, compared with Rs 747.79 crores in the last month. The Fund''s NAV per unit was Rs 54.77 for Growth, while 52-Week High and Low ranges were Rs 54.87 and
                                                            Rs 40.23 respectively.The Equity - ELSS fund with Growth plan was launched on Nov 08, 2011 and managed by Fund Managers Sanjay Bembalkar, Hardick Bora.The top five companies based on a
                                                            percentage of total holdings were HDFC Bank Ltd. (59.29 Cr.), ICICI Bank Ltd. (46.15 Cr.), Larsen &amp; Toubro Ltd. (31.72 Cr.), Infosys Ltd. (24.53 Cr.) and Reliance Industries Ltd. (24.37
                                                            Cr.).Union ELSS Tax Saver Fund is promoted by Union Mutual Fund and managed by Union Asset Management Company Pvt. Ltd..</div>
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                                                              <td><a href="#6" id="hr6" rel="facebox" title="Click to see News Detail">UTI Value Fund: change in investment factsheets for December 2023</a></td>
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                                                      <div id="6" style="display:none">
                                                        <div class="newstickerdetailwrapper">
                                                          <div class="newstickerdetailHeading">UTI Value Fund: change in investment factsheets for December 2023</div>
                                                          <div class="newstickerdetailInfo">UTI Value Fund has announced change in investment factsheets and fund flash for the month ended December 31, 2023.As on Dec 31, 2023, the total size of the
                                                            Fund was Rs 8,467.71 crores, compared with Rs 7,978.23 crores in the last month. The Fund''s NAV per unit was Rs 131.29 for Growth, while 52-Week High and Low ranges were Rs 132.58 and Rs
                                                            96.80 respectively.The Equity - Diversified fund with Growth plan was launched on Jul 20, 2005 and managed by Fund Manager Amit Premchandani.The top five companies based on a percentage of
                                                            total holdings were HDFC BANK LIMITED (811.89 Cr.), ICICI BANK LTD (448.47 Cr.), INFOSYS LTD. (432.01 Cr.), AXIS BANK LTD. (363.76 Cr.) and BHARTI AIRTEL LTD. (299.34 Cr.).UTI Value Fund is
                                                            promoted by UTI Mutual Fund and managed by UTI Asset Management Company Ltd..</div>
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                                                              <td><a href="#7" id="hr7" rel="facebox" title="Click to see News Detail">Sundaram Multi Cap Fund: change in investment factsheets for December 2023</a></td>
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                                                      <div id="7" style="display:none">
                                                        <div class="newstickerdetailwrapper">
                                                          <div class="newstickerdetailHeading">Sundaram Multi Cap Fund: change in investment factsheets for December 2023</div>
                                                          <div class="newstickerdetailInfo">Sundaram Multi Cap Fund has announced change in investment factsheets and fund flash for the month ended December 31, 2023.As on Dec 31, 2023, the total size
                                                            of the Fund was Rs 2,344.03 crores, compared with Rs 2,201.48 crores in the last month. The Fund''s NAV per unit was Rs 312.71 for Growth, while 52-Week High and Low ranges were Rs 315.88
                                                            and Rs 222.88 respectively.The Equity - Diversified fund with Growth plan was launched on Oct 25, 2000 and managed by Fund Managers Sudhir Kedia, Ratish B Varier.The top five companies based
                                                            on a percentage of total holdings were ICICI Bank Ltd (137.45 Cr.), HDFC Bank Ltd (110.89 Cr.), Reliance Industries Ltd (104.17 Cr.), Power Finance Corporation Ltd (79.45 Cr.) and NTPC LTD
                                                            (75.72 Cr.).Sundaram Multi Cap Fund is promoted by Sundaram Mutual Fund and managed by Sundaram Asset Management Company Ltd..</div>
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                                                              <td><span class="lefttextbull">•</span>&nbsp;&nbsp;</td>
                                                              <td><a href="#8" id="hr8" rel="facebox" title="Click to see News Detail">Tata ELSS Tax Saver Fund: change in investment factsheets for December 2023</a></td>
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                                                      <div id="8" style="display:none">
                                                        <div class="newstickerdetailwrapper">
                                                          <div class="newstickerdetailHeading">Tata ELSS Tax Saver Fund: change in investment factsheets for December 2023</div>
                                                          <div class="newstickerdetailInfo">Tata ELSS Tax Saver Fund has announced change in investment factsheets and fund flash for the month ended December 31, 2023.As on Dec 31, 2023, the total size
                                                            of the Fund was Rs 3,955.02 crores, compared with Rs 3,698.54 crores in the last month. The Fund''s NAV per unit was Rs 36.75 for Growth, while 52-Week High and Low ranges were Rs 37.02 and
                                                            Rs 27.45 respectively.The Equity - ELSS fund with Growth plan was launched on Mar 31, 1996 and managed by Fund Managers Tejas Gutka, Sailesh Jain.The top five companies based on a percentage
                                                            of total holdings were HDFC BANK LTD (369.20 Cr.), ICICI BANK LTD (231.71 Cr.), INFOSYS LTD (178.98 Cr.), RELIANCE INDUSTRIES LTD (174.48 Cr.) and STATE BANK OF INDIA (160.51 Cr.).Tata ELSS
                                                            Tax Saver Fund is promoted by Tata Mutual Fund and managed by Tata Asset Management Ltd..</div>
                                                        </div>
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                                                              <td><span class="lefttextbull">•</span>&nbsp;&nbsp;</td>
                                                              <td><a href="#9" id="hr9" rel="facebox" title="Click to see News Detail">Tata S&amp;P BSE Sensex Index Fund - Regular Plan: change in investment factsheets for December 2023</a></td>
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                                                      <div id="9" style="display:none">
                                                        <div class="newstickerdetailwrapper">
                                                          <div class="newstickerdetailHeading">Tata S&amp;P BSE Sensex Index Fund - Regular Plan: change in investment factsheets for December 2023</div>
                                                          <div class="newstickerdetailInfo">Tata S&amp;P BSE Sensex Index Fund - Regular Plan has announced change in investment factsheets and fund flash for the month ended December 31, 2023.As on Dec
                                                            31, 2023, the total size of the Fund was Rs 298.89 crores, compared with Rs 275.83 crores in the last month. The Fund''s NAV per unit was Rs 178.09 for Growth, while 52-Week High and Low
                                                            ranges were Rs 179.99 and Rs 142.11 respectively.The Equity - Index Fund fund with Growth plan was launched on Feb 25, 2003 and managed by Fund Manager Sonam Udasi.The top five companies
                                                            based on a percentage of total holdings were HDFC BANK LTD (46.94 Cr.), RELIANCE INDUSTRIES LTD (32.43 Cr.), ICICI BANK LTD (25.35 Cr.), INFOSYS LTD (20.02 Cr.) and LARSEN &amp; TOUBRO LTD
                                                            (15.50 Cr.).Tata S&amp;P BSE Sensex Index Fund - Regular Plan is promoted by Tata Mutual Fund and managed by Tata Asset Management Ltd..</div>
                                                        </div>
                                                      </div>
                                                    </li>
                                                    <li><span class="NewsTitle">
                                                        <table border="0" cellspacing="0" cellpadding="0">
                                                          <tbody>
                                                            <tr>
                                                              <td>&nbsp;&nbsp;</td>
                                                              <td><span class="lefttextbull">•</span>&nbsp;&nbsp;</td>
                                                              <td><a href="#10" id="hr10" rel="facebox" title="Click to see News Detail">Taurus ELSS Tax Saver Fund: change in investment factsheets for December 2023</a></td>
                                                            </tr>
                                                          </tbody>
                                                        </table>
                                                      </span>
                                                      <div id="10" style="display:none">
                                                        <div class="newstickerdetailwrapper">
                                                          <div class="newstickerdetailHeading">Taurus ELSS Tax Saver Fund: change in investment factsheets for December 2023</div>
                                                          <div class="newstickerdetailInfo">Taurus ELSS Tax Saver Fund has announced change in investment factsheets and fund flash for the month ended December 31, 2023.As on Dec 31, 2023, the total
                                                            size of the Fund was Rs 70.88 crores, compared with Rs 67.62 crores in the last month. The Fund''s NAV per unit was Rs 154.89 for Growth, while 52-Week High and Low ranges were Rs 155.06 and
                                                            Rs 115.92 respectively.The Equity - ELSS fund with Growth plan was launched on Mar 31, 1996 and managed by Fund Manager Anuj Kapil.The top five companies based on a percentage of total
                                                            holdings were HCL Technologies Ltd. (6.93 Cr.), HDFC Bank Ltd. (6.45 Cr.), Bajaj Holdings &amp; Investment Ltd. (4.22 Cr.), Tech Mahindra Ltd. (3.95 Cr.) and Axis Bank Ltd. (3.86 Cr.).Taurus
                                                            ELSS Tax Saver Fund is promoted by Taurus Mutual Fund and managed by Taurus Asset Management Co. Ltd..</div>
                                                        </div>
                                                      </div>
                                                    </li>
                                                    <li><span class="NewsTitle">
                                                        <table border="0" cellspacing="0" cellpadding="0">
                                                          <tbody>
                                                            <tr>
                                                              <td>&nbsp;&nbsp;</td>
                                                              <td><span class="lefttextbull">•</span>&nbsp;&nbsp;</td>
                                                              <td>
                                                                <a href="#11" id="hr11" rel="facebox" title="Click to see News Detail">Tata Retirement Savings Fund - Moderate Plan - Regular Plan: change in investment factsheets for December 2023</a>
                                                              </td>
                                                            </tr>
                                                          </tbody>
                                                        </table>
                                                      </span>
                                                      <div id="11" style="display:none">
                                                        <div class="newstickerdetailwrapper">
                                                          <div class="newstickerdetailHeading">Tata Retirement Savings Fund - Moderate Plan - Regular Plan: change in investment factsheets for December 2023</div>
                                                          <div class="newstickerdetailInfo">Tata Retirement Savings Fund - Moderate Plan - Regular Plan has announced change in investment factsheets and fund flash for the month ended December 31,
                                                            2023.As on Dec 31, 2023, the total size of the Fund was Rs 1,916.73 crores, compared with Rs 1,839.22 crores in the last month. The Fund''s NAV per unit was Rs 53.53 for Growth, while
                                                            52-Week High and Low ranges were Rs 53.91 and Rs 40.74 respectively.The Equity - Hybrid fund with Growth plan was launched on Oct 07, 2011 and managed by Fund Managers Sonam Udasi, Murthy
                                                            Nagarajan.The top five companies based on a percentage of total holdings were HDFC BANK LTD (129.99 Cr.), RELIANCE INDUSTRIES LTD (86.08 Cr.), ITC LTD (72.83 Cr.), ICICI BANK LTD (65.78 Cr.)
                                                            and TATA CONSULTANCY SERVICES LTD (53.32 Cr.).Tata Retirement Savings Fund - Moderate Plan - Regular Plan is promoted by Tata Mutual Fund and managed by Tata Asset Management Ltd..</div>
                                                        </div>
                                                      </div>
                                                    </li>
                                                    <li><span class="NewsTitle">
                                                        <table border="0" cellspacing="0" cellpadding="0">
                                                          <tbody>
                                                            <tr>
                                                              <td>&nbsp;&nbsp;</td>
                                                              <td><span class="lefttextbull">•</span>&nbsp;&nbsp;</td>
                                                              <td><a href="#12" id="hr12" rel="facebox" title="Click to see News Detail">UTI Flexi Cap Fund: change in investment factsheets for December 2023</a></td>
                                                            </tr>
                                                          </tbody>
                                                        </table>
                                                      </span>
                                                      <div id="12" style="display:none">
                                                        <div class="newstickerdetailwrapper">
                                                          <div class="newstickerdetailHeading">UTI Flexi Cap Fund: change in investment factsheets for December 2023</div>
                                                          <div class="newstickerdetailInfo">UTI Flexi Cap Fund has announced change in investment factsheets and fund flash for the month ended December 31, 2023.As on Dec 31, 2023, the total size of
                                                            the Fund was Rs 26,424.14 crores, compared with Rs 25,503.37 crores in the last month. The Fund''s NAV per unit was Rs 274.18 for Growth, while 52-Week High and Low ranges were Rs 277.96 and
                                                            Rs 215.47 respectively.The Equity - Diversified fund with Growth plan was launched on Apr 20, 1992 and managed by Fund Manager Ajay Tyagi.The top five companies based on a percentage of
                                                            total holdings were LTIMindtree Limited (1728.35 Cr.), HDFC BANK LIMITED (1698.57 Cr.), ICICI BANK LTD (1505.94 Cr.), BAJAJ FINANCE LTD. (1420.15 Cr.) and AVENUE SUPERMARTS LTD. (1022.96
                                                            Cr.).UTI Flexi Cap Fund is promoted by UTI Mutual Fund and managed by UTI Asset Management Company Ltd..</div>
                                                        </div>
                                                      </div>
                                                    </li>
                                                    <li><span class="NewsTitle">
                                                        <table border="0" cellspacing="0" cellpadding="0">
                                                          <tbody>
                                                            <tr>
                                                              <td>&nbsp;&nbsp;</td>
                                                              <td><span class="lefttextbull">•</span>&nbsp;&nbsp;</td>
                                                              <td><a href="#13" id="hr13" rel="facebox" title="Click to see News Detail">Tata Nifty 50 Index Fund - Regular Plan: change in investment factsheets for December 2023</a></td>
                                                            </tr>
                                                          </tbody>
                                                        </table>
                                                      </span>
                                                      <div id="13" style="display:none">
                                                        <div class="newstickerdetailwrapper">
                                                          <div class="newstickerdetailHeading">Tata Nifty 50 Index Fund - Regular Plan: change in investment factsheets for December 2023</div>
                                                          <div class="newstickerdetailInfo">Tata Nifty 50 Index Fund - Regular Plan has announced change in investment factsheets and fund flash for the month ended December 31, 2023.As on Dec 31, 2023,
                                                            the total size of the Fund was Rs 581.90 crores, compared with Rs 527.90 crores in the last month. The Fund''s NAV per unit was Rs 132.99 for Growth, while 52-Week High and Low ranges were
                                                            Rs 133.98 and Rs 103.81 respectively.The Equity - Index Fund fund with Growth plan was launched on Feb 25, 2003 and managed by Fund Manager Sonam Udasi.The top five companies based on a
                                                            percentage of total holdings were HDFC BANK LTD (78.31 Cr.), RELIANCE INDUSTRIES LTD (53.41 Cr.), ICICI BANK LTD (42.63 Cr.), INFOSYS LTD (33.64 Cr.) and LARSEN &amp; TOUBRO LTD (26.02
                                                            Cr.).Tata Nifty 50 Index Fund - Regular Plan is promoted by Tata Mutual Fund and managed by Tata Asset Management Ltd..</div>
                                                        </div>
                                                      </div>
                                                    </li>
                                                    <li><span class="NewsTitle">
                                                        <table border="0" cellspacing="0" cellpadding="0">
                                                          <tbody>
                                                            <tr>
                                                              <td>&nbsp;&nbsp;</td>
                                                              <td><span class="lefttextbull">•</span>&nbsp;&nbsp;</td>
                                                              <td><a href="#14" id="hr14" rel="facebox" title="Click to see News Detail">Taurus Banking And Financial Services Fund: change in investment factsheets for December 2023</a></td>
                                                            </tr>
                                                          </tbody>
                                                        </table>
                                                      </span>
                                                      <div id="14" style="display:none">
                                                        <div class="newstickerdetailwrapper">
                                                          <div class="newstickerdetailHeading">Taurus Banking And Financial Services Fund: change in investment factsheets for December 2023</div>
                                                          <div class="newstickerdetailInfo">Taurus Banking And Financial Services Fund has announced change in investment factsheets and fund flash for the month ended December 31, 2023.As on Dec 31,
                                                            2023, the total size of the Fund was Rs 10.22 crores, compared with Rs 9.65 crores in the last month. The Fund''s NAV per unit was Rs 45.44 for Growth, while 52-Week High and Low ranges were
                                                            Rs 46.05 and Rs 35.49 respectively.The Equity - Sector Fund fund with Growth plan was launched on May 02, 2012 and managed by Fund Manager Anuj Kapil.The top five companies based on a
                                                            percentage of total holdings were HDFC Bank Ltd. (1.88 Cr.), ICICI Bank Ltd. (1.67 Cr.), State Bank of India (1.06 Cr.), Axis Bank Ltd. (1.00 Cr.) and Bank of India (0.98 Cr.).Taurus Banking
                                                            And Financial Services Fund is promoted by Taurus Mutual Fund and managed by Taurus Asset Management Co. Ltd..</div>
                                                        </div>
                                                      </div>
                                                    </li>
                                                    <li><span class="NewsTitle">
                                                        <table border="0" cellspacing="0" cellpadding="0">
                                                          <tbody>
                                                            <tr>
                                                              <td>&nbsp;&nbsp;</td>
                                                              <td><span class="lefttextbull">•</span>&nbsp;&nbsp;</td>
                                                              <td><a href="#15" id="hr15" rel="facebox" title="Click to see News Detail">UTI Banking &amp; Financial Services Fund: change in investment factsheets for December 2023</a></td>
                                                            </tr>
                                                          </tbody>
                                                        </table>
                                                      </span>
                                                      <div id="15" style="display:none">
                                                        <div class="newstickerdetailwrapper">
                                                          <div class="newstickerdetailHeading">UTI Banking &amp; Financial Services Fund: change in investment factsheets for December 2023</div>
                                                          <div class="newstickerdetailInfo">UTI Banking &amp; Financial Services Fund has announced change in investment factsheets and fund flash for the month ended December 31, 2023.As on Dec 31,
                                                            2023, the total size of the Fund was Rs 1,002.30 crores, compared with Rs 950.66 crores in the last month. The Fund''s NAV per unit was Rs 153.68 for Growth, while 52-Week High and Low
                                                            ranges were Rs 155.28 and Rs 117.03 respectively.The Equity - Sector Fund fund with Growth plan was launched on Mar 09, 2004 and managed by Fund Manager Preethi R S.The top five companies
                                                            based on a percentage of total holdings were HDFC BANK LIMITED (167.28 Cr.), ICICI BANK LTD (151.48 Cr.), AXIS BANK LTD. (61.73 Cr.), BAJAJ FINANCE LTD. (60.34 Cr.) and KOTAK MAHINDRA BANK
                                                            LTD. (48.35 Cr.).UTI Banking &amp; Financial Services Fund is promoted by UTI Mutual Fund and managed by UTI Asset Management Company Ltd..</div>
                                                        </div>
                                                      </div>
                                                    </li>
                                                    <li><span class="NewsTitle">
                                                        <table border="0" cellspacing="0" cellpadding="0">
                                                          <tbody>
                                                            <tr>
                                                              <td>&nbsp;&nbsp;</td>
                                                              <td><span class="lefttextbull">•</span>&nbsp;&nbsp;</td>
                                                              <td><a href="#16" id="hr16" rel="facebox" title="Click to see News Detail">Taurus Mid Cap Fund: change in investment factsheets for December 2023</a></td>
                                                            </tr>
                                                          </tbody>
                                                        </table>
                                                      </span>
                                                      <div id="16" style="display:none">
                                                        <div class="newstickerdetailwrapper">
                                                          <div class="newstickerdetailHeading">Taurus Mid Cap Fund: change in investment factsheets for December 2023</div>
                                                          <div class="newstickerdetailInfo">Taurus Mid Cap Fund has announced change in investment factsheets and fund flash for the month ended December 31, 2023.As on Dec 31, 2023, the total size of
                                                            the Fund was Rs 112.72 crores, compared with Rs 107.25 crores in the last month. The Fund''s NAV per unit was Rs 109.48 for Growth, while 52-Week High and Low ranges were Rs 109.69 and Rs
                                                            69.98 respectively.The Equity - Diversified fund with Growth plan was launched on Sep 05, 1994 and managed by Fund Manager Anuj Kapil.The top five companies based on a percentage of total
                                                            holdings were Bank of India (6.18 Cr.), Century Textiles &amp; Industries Ltd. (5.21 Cr.), Bharat Heavy Electricals Ltd. (5.13 Cr.), Hindware Home Innovation Ltd. (4.83 Cr.) and HDFC Asset
                                                            Management Co. Ltd. (4.15 Cr.).Taurus Mid Cap Fund is promoted by Taurus Mutual Fund and managed by Taurus Asset Management Co. Ltd..</div>
                                                        </div>
                                                      </div>
                                                    </li>
                                                    <li><span class="NewsTitle">
                                                        <table border="0" cellspacing="0" cellpadding="0">
                                                          <tbody>
                                                            <tr>
                                                              <td>&nbsp;&nbsp;</td>
                                                              <td><span class="lefttextbull">•</span>&nbsp;&nbsp;</td>
                                                              <td><a href="#17" id="hr17" rel="facebox" title="Click to see News Detail">UTI MNC Fund: change in investment factsheets for December 2023</a></td>
                                                            </tr>
                                                          </tbody>
                                                        </table>
                                                      </span>
                                                      <div id="17" style="display:none">
                                                        <div class="newstickerdetailwrapper">
                                                          <div class="newstickerdetailHeading">UTI MNC Fund: change in investment factsheets for December 2023</div>
                                                          <div class="newstickerdetailInfo">UTI MNC Fund has announced change in investment factsheets and fund flash for the month ended December 31, 2023.As on Dec 31, 2023, the total size of the Fund
                                                            was Rs 2,728.88 crores, compared with Rs 2,642.80 crores in the last month. The Fund''s NAV per unit was Rs 334.89 for Growth, while 52-Week High and Low ranges were Rs 337.10 and Rs 258.33
                                                            respectively.The Equity - Sector Fund fund with Growth plan was launched on May 29, 1998 and managed by Fund Manager Karthikraj Lakshmanan.The top five companies based on a percentage of
                                                            total holdings were MARUTI SUZUKI INDIA LTD. (206.05 Cr.), NESTLE INDIA LTD. (196.69 Cr.), UNITED SPIRITS LTD. (163.17 Cr.), BRITANNIA INDUSTRIES LTD. (134.53 Cr.) and UNITED BREWERIES LTD.
                                                            (134.43 Cr.).UTI MNC Fund is promoted by UTI Mutual Fund and managed by UTI Asset Management Company Ltd..</div>
                                                        </div>
                                                      </div>
                                                    </li>
                                                    <li><span class="NewsTitle">
                                                        <table border="0" cellspacing="0" cellpadding="0">
                                                          <tbody>
                                                            <tr>
                                                              <td>&nbsp;&nbsp;</td>
                                                              <td><span class="lefttextbull">•</span>&nbsp;&nbsp;</td>
                                                              <td><a href="#18" id="hr18" rel="facebox" title="Click to see News Detail">Sundaram ELSS Tax Saver Fund: change in investment factsheets for December 2023</a></td>
                                                            </tr>
                                                          </tbody>
                                                        </table>
                                                      </span>
                                                      <div id="18" style="display:none">
                                                        <div class="newstickerdetailwrapper">
                                                          <div class="newstickerdetailHeading">Sundaram ELSS Tax Saver Fund: change in investment factsheets for December 2023</div>
                                                          <div class="newstickerdetailInfo">Sundaram ELSS Tax Saver Fund has announced change in investment factsheets and fund flash for the month ended December 31, 2023.As on Dec 31, 2023, the total
                                                            size of the Fund was Rs 1,192.91 crores, compared with Rs 1,130.47 crores in the last month. The Fund''s NAV per unit was Rs 421.52 for Growth, while 52-Week High and Low ranges were Rs
                                                            424.81 and Rs 317.49 respectively.The Equity - ELSS fund with Growth plan was launched on Mar 31, 1996 and managed by Fund Managers Sudhir Kedia, Rohit Seksaria.The top five companies based
                                                            on a percentage of total holdings were HDFC Bank Ltd (103.59 Cr.), Reliance Industries Ltd (70.83 Cr.), ICICI Bank Ltd (65.88 Cr.), Infosys Ltd (48.29 Cr.) and State Bank of India (34.61
                                                            Cr.).Sundaram ELSS Tax Saver Fund is promoted by Sundaram Mutual Fund and managed by Sundaram Asset Management Company Ltd..</div>
                                                        </div>
                                                      </div>
                                                    </li>
                                                    <li><span class="NewsTitle">
                                                        <table border="0" cellspacing="0" cellpadding="0">
                                                          <tbody>
                                                            <tr>
                                                              <td>&nbsp;&nbsp;</td>
                                                              <td><span class="lefttextbull">•</span>&nbsp;&nbsp;</td>
                                                              <td><a href="#19" id="hr19" rel="facebox" title="Click to see News Detail">Sundaram Balanced Advantage Fund: change in investment factsheets for December 2023</a></td>
                                                            </tr>
                                                          </tbody>
                                                        </table>
                                                      </span>
                                                      <div id="19" style="display:none">
                                                        <div class="newstickerdetailwrapper">
                                                          <div class="newstickerdetailHeading">Sundaram Balanced Advantage Fund: change in investment factsheets for December 2023</div>
                                                          <div class="newstickerdetailInfo">Sundaram Balanced Advantage Fund has announced change in investment factsheets and fund flash for the month ended December 31, 2023.As on Dec 31, 2023, the
                                                            total size of the Fund was Rs 1,568.29 crores, compared with Rs 1,541.18 crores in the last month. The Fund''s NAV per unit was Rs 30.50 for Growth, while 52-Week High and Low ranges were Rs
                                                            30.52 and Rs 25.48 respectively.The Equity - Hybrid fund with Growth plan was launched on Nov 26, 2010 and managed by Fund Managers Dwijendra Srivastava, S Bharath, Ravi Gopalakrishnan.The
                                                            top five companies based on a percentage of total holdings were HDFC Bank Ltd (123.34 Cr.), ICICI Bank Ltd (98.46 Cr.), Reliance Industries Ltd (77.94 Cr.), Infosys Ltd (68.38 Cr.) and
                                                            Larsen &amp; Toubro Ltd (36.32 Cr.).Sundaram Balanced Advantage Fund is promoted by Sundaram Mutual Fund and managed by Sundaram Asset Management Company Ltd..</div>
                                                        </div>
                                                      </div>
                                                    </li>
                                                    <li><span class="NewsTitle">
                                                        <table border="0" cellspacing="0" cellpadding="0">
                                                          <tbody>
                                                            <tr>
                                                              <td>&nbsp;&nbsp;</td>
                                                              <td><span class="lefttextbull">•</span>&nbsp;&nbsp;</td>
                                                              <td><a href="#20" id="hr20" rel="facebox" title="Click to see News Detail">UTI Transportation and Logistic Fund: change in investment factsheets for December 2023</a></td>
                                                            </tr>
                                                          </tbody>
                                                        </table>
                                                      </span>
                                                      <div id="20" style="display:none">
                                                        <div class="newstickerdetailwrapper">
                                                          <div class="newstickerdetailHeading">UTI Transportation and Logistic Fund: change in investment factsheets for December 2023</div>
                                                          <div class="newstickerdetailInfo">UTI Transportation and Logistic Fund has announced change in investment factsheets and fund flash for the month ended December 31, 2023.As on Dec 31, 2023,
                                                            the total size of the Fund was Rs 2,752.60 crores, compared with Rs 2,595.99 crores in the last month. The Fund''s NAV per unit was Rs 209.63 for Growth, while 52-Week High and Low ranges
                                                            were Rs 209.63 and Rs 137.79 respectively.The Equity - Sector Fund fund with Growth plan was launched on Apr 19, 2004 and managed by Fund Manager Sachin Trivedi.The top five companies based
                                                            on a percentage of total holdings were TATA MOTORS LTD. (337.01 Cr.), MAHINDRA &amp; MAHINDRA LTD. (329.97 Cr.), MARUTI SUZUKI INDIA LTD. (297.51 Cr.), EICHER MOTORS LTD (241.44 Cr.) and
                                                            BAJAJ AUTO LTD. (214.03 Cr.).UTI Transportation and Logistic Fund is promoted by UTI Mutual Fund and managed by UTI Asset Management Company Ltd..</div>
                                                        </div>
                                                      </div>
                                                    </li>
                                                    <li><span class="NewsTitle">
                                                        <table border="0" cellspacing="0" cellpadding="0">
                                                          <tbody>
                                                            <tr>
                                                              <td>&nbsp;&nbsp;</td>
                                                              <td><span class="lefttextbull">•</span>&nbsp;&nbsp;</td>
                                                              <td><a href="#21" id="hr21" rel="facebox" title="Click to see News Detail">UTI Aggressive Hybrid Fund: change in investment factsheets for December 2023</a></td>
                                                            </tr>
                                                          </tbody>
                                                        </table>
                                                      </span>
                                                      <div id="21" style="display:none">
                                                        <div class="newstickerdetailwrapper">
                                                          <div class="newstickerdetailHeading">UTI Aggressive Hybrid Fund: change in investment factsheets for December 2023</div>
                                                          <div class="newstickerdetailInfo">UTI Aggressive Hybrid Fund has announced change in investment factsheets and fund flash for the month ended December 31, 2023.As on Dec 31, 2023, the total
                                                            size of the Fund was Rs 5,215.37 crores, compared with Rs 4,955.38 crores in the last month. The Fund''s NAV per unit was Rs 330.32 for Growth, while 52-Week High and Low ranges were Rs
                                                            331.23 and Rs 252.94 respectively.The Equity - Hybrid fund with Growth plan was launched on Jan 02, 1995 and managed by Fund Managers V Srivatsa, Sunil Patil.The top five companies based on
                                                            a percentage of total holdings were HDFC BANK LIMITED (387.49 Cr.), ICICI BANK LTD (277.27 Cr.), RELIANCE INDUSTRIES LTD. (233.11 Cr.), INFOSYS LTD. (224.48 Cr.) and LARSEN &amp; TOUBRO LTD.
                                                            (178.47 Cr.).UTI Aggressive Hybrid Fund is promoted by UTI Mutual Fund and managed by UTI Asset Management Company Ltd..</div>
                                                        </div>
                                                      </div>
                                                    </li>
                                                    <li><span class="NewsTitle">
                                                        <table border="0" cellspacing="0" cellpadding="0">
                                                          <tbody>
                                                            <tr>
                                                              <td>&nbsp;&nbsp;</td>
                                                              <td><span class="lefttextbull">•</span>&nbsp;&nbsp;</td>
                                                              <td><a href="#22" id="hr22" rel="facebox" title="Click to see News Detail">UTI Large &amp; Mid Cap Fund: change in investment factsheets for December 2023</a></td>
                                                            </tr>
                                                          </tbody>
                                                        </table>
                                                      </span>
                                                      <div id="22" style="display:none">
                                                        <div class="newstickerdetailwrapper">
                                                          <div class="newstickerdetailHeading">UTI Large &amp; Mid Cap Fund: change in investment factsheets for December 2023</div>
                                                          <div class="newstickerdetailInfo">UTI Large &amp; Mid Cap Fund has announced change in investment factsheets and fund flash for the month ended December 31, 2023.As on Dec 31, 2023, the total
                                                            size of the Fund was Rs 2,380.08 crores, compared with Rs 2,184.28 crores in the last month. The Fund''s NAV per unit was Rs 138.68 for Growth, while 52-Week High and Low ranges were Rs
                                                            139.85 and Rs 96.75 respectively.The Equity - Diversified fund with Growth plan was launched on Jan 18, 1993 and managed by Fund Manager V Srivatsa.The top five companies based on a
                                                            percentage of total holdings were HDFC BANK LIMITED (217.76 Cr.), ICICI BANK LTD (113.24 Cr.), RELIANCE INDUSTRIES LTD. (101.56 Cr.), INFOSYS LTD. (79.63 Cr.) and FEDERAL BANK LTD. (75.49
                                                            Cr.).UTI Large &amp; Mid Cap Fund is promoted by UTI Mutual Fund and managed by UTI Asset Management Company Ltd..</div>
                                                        </div>
                                                      </div>
                                                    </li>
                                                    <li><span class="NewsTitle">
                                                        <table border="0" cellspacing="0" cellpadding="0">
                                                          <tbody>
                                                            <tr>
                                                              <td>&nbsp;&nbsp;</td>
                                                              <td><span class="lefttextbull">•</span>&nbsp;&nbsp;</td>
                                                              <td><a href="#23" id="hr23" rel="facebox" title="Click to see News Detail">UTI Nifty 50 Index Fund: change in investment factsheets for December 2023</a></td>
                                                            </tr>
                                                          </tbody>
                                                        </table>
                                                      </span>
                                                      <div id="23" style="display:none">
                                                        <div class="newstickerdetailwrapper">
                                                          <div class="newstickerdetailHeading">UTI Nifty 50 Index Fund: change in investment factsheets for December 2023</div>
                                                          <div class="newstickerdetailInfo">UTI Nifty 50 Index Fund has announced change in investment factsheets and fund flash for the month ended December 31, 2023.As on Dec 31, 2023, the total size
                                                            of the Fund was Rs 15,002.04 crores, compared with Rs 13,626.63 crores in the last month. The Fund''s NAV per unit was Rs 146.30 for Growth, while 52-Week High and Low ranges were Rs 147.41
                                                            and Rs 113.90 respectively.The Equity - Index Fund fund with Growth plan was launched on Feb 14, 2000 and managed by Fund Managers Sharwan Kumar Goyal, Ayush jain.The top five companies
                                                            based on a percentage of total holdings were HDFC BANK LIMITED (2029.79 Cr.), RELIANCE INDUSTRIES LTD. (1381.89 Cr.), ICICI BANK LTD (1104.67 Cr.), INFOSYS LTD. (870.30 Cr.) and LARSEN &amp;
                                                            TOUBRO LTD. (658.69 Cr.).UTI Nifty 50 Index Fund is promoted by UTI Mutual Fund and managed by UTI Asset Management Company Ltd..</div>
                                                        </div>
                                                      </div>
                                                    </li>
                                                    <li><span class="NewsTitle">
                                                        <table border="0" cellspacing="0" cellpadding="0">
                                                          <tbody>
                                                            <tr>
                                                              <td>&nbsp;&nbsp;</td>
                                                              <td><span class="lefttextbull">•</span>&nbsp;&nbsp;</td>
                                                              <td><a href="#24" id="hr24" rel="facebox" title="Click to see News Detail">Sundaram Global Brand Fund: change in investment factsheets for December 2023</a></td>
                                                            </tr>
                                                          </tbody>
                                                        </table>
                                                      </span>
                                                      <div id="24" style="display:none">
                                                        <div class="newstickerdetailwrapper">
                                                          <div class="newstickerdetailHeading">Sundaram Global Brand Fund: change in investment factsheets for December 2023</div>
                                                          <div class="newstickerdetailInfo">Sundaram Global Brand Fund has announced change in investment factsheets and fund flash for the month ended December 31, 2023.As on Dec 31, 2023, the total
                                                            size of the Fund was Rs 119.21 crores, compared with Rs 117.18 crores in the last month. The Fund''s NAV per unit was Rs 28.19 for Growth, while 52-Week High and Low ranges were Rs 28.73 and
                                                            Rs 22.48 respectively.The Funds of Funds fund with Growth plan was launched on Sep 01, 2007 and managed by Fund Managers Rohit Seksaria, Ashish Aggarwal.Sundaram Global Brand Fund is
                                                            promoted by Sundaram Mutual Fund and managed by Sundaram Asset Management Company Ltd..</div>
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                                                              <td>&nbsp;&nbsp;</td>
                                                              <td><span class="lefttextbull">•</span>&nbsp;&nbsp;</td>
                                                              <td><a href="#25" id="hr25" rel="facebox" title="Click to see News Detail">Bank of India ELSS Tax Saver: change in investment factsheets for December 2023</a></td>
                                                            </tr>
                                                          </tbody>
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                                                      </span>
                                                      <div id="25" style="display:none">
                                                        <div class="newstickerdetailwrapper">
                                                          <div class="newstickerdetailHeading">Bank of India ELSS Tax Saver: change in investment factsheets for December 2023</div>
                                                          <div class="newstickerdetailInfo">Bank of India ELSS Tax Saver has announced change in investment factsheets and fund flash for the month ended December 31, 2023.As on Dec 31, 2023, the total
                                                            size of the Fund was Rs 1,040.01 crores, compared with Rs 951.28 crores in the last month. The Fund''s NAV per unit was Rs 138.05 for Growth, while 52-Week High and Low ranges were Rs 139.23
                                                            and Rs 94.45 respectively.The Equity - ELSS fund with Growth plan was launched on Dec 12, 2008 and managed by Fund Manager Alok Singh.The top five companies based on a percentage of total
                                                            holdings were HDFC Bank Limited (58.11 Cr.), State Bank of India (50.08 Cr.), Power Finance Corporation Limited (47.90 Cr.), Canara Bank (39.16 Cr.) and Bank of Baroda (38.13 Cr.).Bank of
                                                            India ELSS Tax Saver is promoted by Bank of India Mutual Fund and managed by BOI STAR Investment Managers Pvt. Ltd..</div>
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                                                              <td><span class="lefttextbull">•</span>&nbsp;&nbsp;</td>
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                                                                <a href="#1" id="hr1" rel="facebox" title="Click to see News Detail">Aditya Birla SL AMC - Grant Of Employee Stock Options/Restricted Stock Units Under Aditya Birla Sun Life AMC Limited Employee</a>
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                                                      <div id="1" style="display:none">
                                                        <div class="newstickerdetailwrapper">
                                                          <div class="newstickerdetailHeading">Aditya Birla SL AMC - Grant Of Employee Stock Options/Restricted Stock Units Under Aditya Birla Sun Life AMC Limited Employee</div>
                                                          <div class="newstickerdetailInfo">The Nomination, Remuneration and Compensation Committee of the Board of Directors of the Company at its meeting held today i.e. June 24, 2024, has inter alia,
                                                            approved the grant of Employee Stock Options/Restricted Stock Units under ESOP Scheme 2021.</div>
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 *   •  UTI AMC - Board Meeting Intimation for Considering And Approving
   Un-Audited Standalone And Consolidated Financial Results For
   
   UTI AMC - Board Meeting Intimation for Considering And Approving Un-Audited
   Standalone And Consolidated Financial Results For
   UTI Asset Management Company Ltdhas informed BSE that the meeting of the
   Board of Directors of the Company is scheduled on 25/07/2024 ,inter alia, to
   consider and approve un-audited standalone and consolidated financial results
   for the quarter ending 30th June, 2024 and Discuss other business matters.

 *   •  Canara Robeco Equity Hybrid Fund: change in investment factsheets for
   June 2024
   
   Canara Robeco Equity Hybrid Fund: change in investment factsheets for June
   2024
   Canara Robeco Equity Hybrid Fund has announced change in investment
   factsheets and fund flash for the month ended June 15, 2024.As on Jun 15,
   2024, the total size of the Fund was Rs 10,555.93 crores, compared with Rs
   10,152.64 crores in the last month. The Fund''s NAV per unit was Rs 333.84
   for Growth, while 52-Week High and Low ranges were Rs 335.28 and Rs 261.54
   respectively.The Equity - Hybrid fund with Growth plan was launched on Feb
   01, 1993 and managed by Fund Managers Shridatta Bhandwaldar, Ennette
   Fernandes, Avnish Jain.The top five companies based on a percentage of total
   holdings were HDFC Bank Ltd (541.80 Cr.), Reliance Industries Ltd (427.01
   Cr.), ICICI Bank Ltd (402.46 Cr.), Larsen & Toubro Ltd (318.99 Cr.) and Power
   Finance Corporation Ltd (295.83 Cr.).Canara Robeco Equity Hybrid Fund is
   promoted by Canara Robeco Mutual Fund and managed by Canara Robeco Asset
   Management Company Ltd..

 *   •  Shriram A M C - Reg. 34 (1) Annual Report.
   
   Shriram A M C - Reg. 34 (1) Annual Report.
   As per the Regulation 34 of the Securities and Exchange Board of India
   (Listing Obligations and Disclosure Requirements) Regulations, 2015, please
   find enclosed the ''''Annual Report'''' of our Company for the Financial Year
   2023-2024.

 *   •  Union ELSS Tax Saver Fund: change in investment factsheets for December
   2023
   
   Union ELSS Tax Saver Fund: change in investment factsheets for December 2023
   Union ELSS Tax Saver Fund has announced change in investment factsheets and
   fund flash for the month ended December 31, 2023.As on Dec 31, 2023, the
   total size of the Fund was Rs 789.29 crores, compared with Rs 747.79 crores
   in the last month. The Fund''s NAV per unit was Rs 54.77 for Growth, while
   52-Week High and Low ranges were Rs 54.87 and Rs 40.23 respectively.The
   Equity - ELSS fund with Growth plan was launched on Nov 08, 2011 and managed
   by Fund Managers Sanjay Bembalkar, Hardick Bora.The top five companies based
   on a percentage of total holdings were HDFC Bank Ltd. (59.29 Cr.), ICICI Bank
   Ltd. (46.15 Cr.), Larsen & Toubro Ltd. (31.72 Cr.), Infosys Ltd. (24.53 Cr.)
   and Reliance Industries Ltd. (24.37 Cr.).Union ELSS Tax Saver Fund is
   promoted by Union Mutual Fund and managed by Union Asset Management Company
   Pvt. Ltd..

 *   •  UTI Value Fund: change in investment factsheets for December 2023
   
   UTI Value Fund: change in investment factsheets for December 2023
   UTI Value Fund has announced change in investment factsheets and fund flash
   for the month ended December 31, 2023.As on Dec 31, 2023, the total size of
   the Fund was Rs 8,467.71 crores, compared with Rs 7,978.23 crores in the last
   month. The Fund''s NAV per unit was Rs 131.29 for Growth, while 52-Week High
   and Low ranges were Rs 132.58 and Rs 96.80 respectively.The Equity -
   Diversified fund with Growth plan was launched on Jul 20, 2005 and managed by
   Fund Manager Amit Premchandani.The top five companies based on a percentage
   of total holdings were HDFC BANK LIMITED (811.89 Cr.), ICICI BANK LTD (448.47
   Cr.), INFOSYS LTD. (432.01 Cr.), AXIS BANK LTD. (363.76 Cr.) and BHARTI
   AIRTEL LTD. (299.34 Cr.).UTI Value Fund is promoted by UTI Mutual Fund and
   managed by UTI Asset Management Company Ltd..

 *   •  Sundaram Multi Cap Fund: change in investment factsheets for December
   2023
   
   Sundaram Multi Cap Fund: change in investment factsheets for December 2023
   Sundaram Multi Cap Fund has announced change in investment factsheets and
   fund flash for the month ended December 31, 2023.As on Dec 31, 2023, the
   total size of the Fund was Rs 2,344.03 crores, compared with Rs 2,201.48
   crores in the last month. The Fund''s NAV per unit was Rs 312.71 for Growth,
   while 52-Week High and Low ranges were Rs 315.88 and Rs 222.88
   respectively.The Equity - Diversified fund with Growth plan was launched on
   Oct 25, 2000 and managed by Fund Managers Sudhir Kedia, Ratish B Varier.The
   top five companies based on a percentage of total holdings were ICICI Bank
   Ltd (137.45 Cr.), HDFC Bank Ltd (110.89 Cr.), Reliance Industries Ltd (104.17
   Cr.), Power Finance Corporation Ltd (79.45 Cr.) and NTPC LTD (75.72
   Cr.).Sundaram Multi Cap Fund is promoted by Sundaram Mutual Fund and managed
   by Sundaram Asset Management Company Ltd..

 *   •  Tata ELSS Tax Saver Fund: change in investment factsheets for December
   2023
   
   Tata ELSS Tax Saver Fund: change in investment factsheets for December 2023
   Tata ELSS Tax Saver Fund has announced change in investment factsheets and
   fund flash for the month ended December 31, 2023.As on Dec 31, 2023, the
   total size of the Fund was Rs 3,955.02 crores, compared with Rs 3,698.54
   crores in the last month. The Fund''s NAV per unit was Rs 36.75 for Growth,
   while 52-Week High and Low ranges were Rs 37.02 and Rs 27.45 respectively.The
   Equity - ELSS fund with Growth plan was launched on Mar 31, 1996 and managed
   by Fund Managers Tejas Gutka, Sailesh Jain.The top five companies based on a
   percentage of total holdings were HDFC BANK LTD (369.20 Cr.), ICICI BANK LTD
   (231.71 Cr.), INFOSYS LTD (178.98 Cr.), RELIANCE INDUSTRIES LTD (174.48 Cr.)
   and STATE BANK OF INDIA (160.51 Cr.).Tata ELSS Tax Saver Fund is promoted by
   Tata Mutual Fund and managed by Tata Asset Management Ltd..

 *   •  Tata S&P BSE Sensex Index Fund - Regular Plan: change in investment
   factsheets for December 2023
   
   Tata S&P BSE Sensex Index Fund - Regular Plan: change in investment
   factsheets for December 2023
   Tata S&P BSE Sensex Index Fund - Regular Plan has announced change in
   investment factsheets and fund flash for the month ended December 31, 2023.As
   on Dec 31, 2023, the total size of the Fund was Rs 298.89 crores, compared
   with Rs 275.83 crores in the last month. The Fund''s NAV per unit was Rs
   178.09 for Growth, while 52-Week High and Low ranges were Rs 179.99 and Rs
   142.11 respectively.The Equity - Index Fund fund with Growth plan was
   launched on Feb 25, 2003 and managed by Fund Manager Sonam Udasi.The top five
   companies based on a percentage of total holdings were HDFC BANK LTD (46.94
   Cr.), RELIANCE INDUSTRIES LTD (32.43 Cr.), ICICI BANK LTD (25.35 Cr.),
   INFOSYS LTD (20.02 Cr.) and LARSEN & TOUBRO LTD (15.50 Cr.).Tata S&P BSE
   Sensex Index Fund - Regular Plan is promoted by Tata Mutual Fund and managed
   by Tata Asset Management Ltd..

 *   •  Taurus ELSS Tax Saver Fund: change in investment factsheets for December
   2023
   
   Taurus ELSS Tax Saver Fund: change in investment factsheets for December 2023
   Taurus ELSS Tax Saver Fund has announced change in investment factsheets and
   fund flash for the month ended December 31, 2023.As on Dec 31, 2023, the
   total size of the Fund was Rs 70.88 crores, compared with Rs 67.62 crores in
   the last month. The Fund''s NAV per unit was Rs 154.89 for Growth, while
   52-Week High and Low ranges were Rs 155.06 and Rs 115.92 respectively.The
   Equity - ELSS fund with Growth plan was launched on Mar 31, 1996 and managed
   by Fund Manager Anuj Kapil.The top five companies based on a percentage of
   total holdings were HCL Technologies Ltd. (6.93 Cr.), HDFC Bank Ltd. (6.45
   Cr.), Bajaj Holdings & Investment Ltd. (4.22 Cr.), Tech Mahindra Ltd. (3.95
   Cr.) and Axis Bank Ltd. (3.86 Cr.).Taurus ELSS Tax Saver Fund is promoted by
   Taurus Mutual Fund and managed by Taurus Asset Management Co. Ltd..

 *   •  Tata Retirement Savings Fund - Moderate Plan - Regular Plan: change in
   investment factsheets for December 2023
   
   Tata Retirement Savings Fund - Moderate Plan - Regular Plan: change in
   investment factsheets for December 2023
   Tata Retirement Savings Fund - Moderate Plan - Regular Plan has announced
   change in investment factsheets and fund flash for the month ended December
   31, 2023.As on Dec 31, 2023, the total size of the Fund was Rs 1,916.73
   crores, compared with Rs 1,839.22 crores in the last month. The Fund''s NAV
   per unit was Rs 53.53 for Growth, while 52-Week High and Low ranges were Rs
   53.91 and Rs 40.74 respectively.The Equity - Hybrid fund with Growth plan was
   launched on Oct 07, 2011 and managed by Fund Managers Sonam Udasi, Murthy
   Nagarajan.The top five companies based on a percentage of total holdings were
   HDFC BANK LTD (129.99 Cr.), RELIANCE INDUSTRIES LTD (86.08 Cr.), ITC LTD
   (72.83 Cr.), ICICI BANK LTD (65.78 Cr.) and TATA CONSULTANCY SERVICES LTD
   (53.32 Cr.).Tata Retirement Savings Fund - Moderate Plan - Regular Plan is
   promoted by Tata Mutual Fund and managed by Tata Asset Management Ltd..

 *   •  UTI Flexi Cap Fund: change in investment factsheets for December 2023
   
   UTI Flexi Cap Fund: change in investment factsheets for December 2023
   UTI Flexi Cap Fund has announced change in investment factsheets and fund
   flash for the month ended December 31, 2023.As on Dec 31, 2023, the total
   size of the Fund was Rs 26,424.14 crores, compared with Rs 25,503.37 crores
   in the last month. The Fund''s NAV per unit was Rs 274.18 for Growth, while
   52-Week High and Low ranges were Rs 277.96 and Rs 215.47 respectively.The
   Equity - Diversified fund with Growth plan was launched on Apr 20, 1992 and
   managed by Fund Manager Ajay Tyagi.The top five companies based on a
   percentage of total holdings were LTIMindtree Limited (1728.35 Cr.), HDFC
   BANK LIMITED (1698.57 Cr.), ICICI BANK LTD (1505.94 Cr.), BAJAJ FINANCE LTD.
   (1420.15 Cr.) and AVENUE SUPERMARTS LTD. (1022.96 Cr.).UTI Flexi Cap Fund is
   promoted by UTI Mutual Fund and managed by UTI Asset Management Company Ltd..

 *   •  Tata Nifty 50 Index Fund - Regular Plan: change in investment factsheets
   for December 2023
   
   Tata Nifty 50 Index Fund - Regular Plan: change in investment factsheets for
   December 2023
   Tata Nifty 50 Index Fund - Regular Plan has announced change in investment
   factsheets and fund flash for the month ended December 31, 2023.As on Dec 31,
   2023, the total size of the Fund was Rs 581.90 crores, compared with Rs
   527.90 crores in the last month. The Fund''s NAV per unit was Rs 132.99 for
   Growth, while 52-Week High and Low ranges were Rs 133.98 and Rs 103.81
   respectively.The Equity - Index Fund fund with Growth plan was launched on
   Feb 25, 2003 and managed by Fund Manager Sonam Udasi.The top five companies
   based on a percentage of total holdings were HDFC BANK LTD (78.31 Cr.),
   RELIANCE INDUSTRIES LTD (53.41 Cr.), ICICI BANK LTD (42.63 Cr.), INFOSYS LTD
   (33.64 Cr.) and LARSEN & TOUBRO LTD (26.02 Cr.).Tata Nifty 50 Index Fund -
   Regular Plan is promoted by Tata Mutual Fund and managed by Tata Asset
   Management Ltd..

 *   •  Taurus Banking And Financial Services Fund: change in investment
   factsheets for December 2023
   
   Taurus Banking And Financial Services Fund: change in investment factsheets
   for December 2023
   Taurus Banking And Financial Services Fund has announced change in investment
   factsheets and fund flash for the month ended December 31, 2023.As on Dec 31,
   2023, the total size of the Fund was Rs 10.22 crores, compared with Rs 9.65
   crores in the last month. The Fund''s NAV per unit was Rs 45.44 for Growth,
   while 52-Week High and Low ranges were Rs 46.05 and Rs 35.49 respectively.The
   Equity - Sector Fund fund with Growth plan was launched on May 02, 2012 and
   managed by Fund Manager Anuj Kapil.The top five companies based on a
   percentage of total holdings were HDFC Bank Ltd. (1.88 Cr.), ICICI Bank Ltd.
   (1.67 Cr.), State Bank of India (1.06 Cr.), Axis Bank Ltd. (1.00 Cr.) and
   Bank of India (0.98 Cr.).Taurus Banking And Financial Services Fund is
   promoted by Taurus Mutual Fund and managed by Taurus Asset Management Co.
   Ltd..

 *   •  UTI Banking & Financial Services Fund: change in investment factsheets
   for December 2023
   
   UTI Banking & Financial Services Fund: change in investment factsheets for
   December 2023
   UTI Banking & Financial Services Fund has announced change in investment
   factsheets and fund flash for the month ended December 31, 2023.As on Dec 31,
   2023, the total size of the Fund was Rs 1,002.30 crores, compared with Rs
   950.66 crores in the last month. The Fund''s NAV per unit was Rs 153.68 for
   Growth, while 52-Week High and Low ranges were Rs 155.28 and Rs 117.03
   respectively.The Equity - Sector Fund fund with Growth plan was launched on
   Mar 09, 2004 and managed by Fund Manager Preethi R S.The top five companies
   based on a percentage of total holdings were HDFC BANK LIMITED (167.28 Cr.),
   ICICI BANK LTD (151.48 Cr.), AXIS BANK LTD. (61.73 Cr.), BAJAJ FINANCE LTD.
   (60.34 Cr.) and KOTAK MAHINDRA BANK LTD. (48.35 Cr.).UTI Banking & Financial
   Services Fund is promoted by UTI Mutual Fund and managed by UTI Asset
   Management Company Ltd..

 *   •  Taurus Mid Cap Fund: change in investment factsheets for December 2023
   
   Taurus Mid Cap Fund: change in investment factsheets for December 2023
   Taurus Mid Cap Fund has announced change in investment factsheets and fund
   flash for the month ended December 31, 2023.As on Dec 31, 2023, the total
   size of the Fund was Rs 112.72 crores, compared with Rs 107.25 crores in the
   last month. The Fund''s NAV per unit was Rs 109.48 for Growth, while 52-Week
   High and Low ranges were Rs 109.69 and Rs 69.98 respectively.The Equity -
   Diversified fund with Growth plan was launched on Sep 05, 1994 and managed by
   Fund Manager Anuj Kapil.The top five companies based on a percentage of total
   holdings were Bank of India (6.18 Cr.), Century Textiles & Industries Ltd.
   (5.21 Cr.), Bharat Heavy Electricals Ltd. (5.13 Cr.), Hindware Home
   Innovation Ltd. (4.83 Cr.) and HDFC Asset Management Co. Ltd. (4.15
   Cr.).Taurus Mid Cap Fund is promoted by Taurus Mutual Fund and managed by
   Taurus Asset Management Co. Ltd..

 *   •  UTI MNC Fund: change in investment factsheets for December 2023
   
   UTI MNC Fund: change in investment factsheets for December 2023
   UTI MNC Fund has announced change in investment factsheets and fund flash for
   the month ended December 31, 2023.As on Dec 31, 2023, the total size of the
   Fund was Rs 2,728.88 crores, compared with Rs 2,642.80 crores in the last
   month. The Fund''s NAV per unit was Rs 334.89 for Growth, while 52-Week High
   and Low ranges were Rs 337.10 and Rs 258.33 respectively.The Equity - Sector
   Fund fund with Growth plan was launched on May 29, 1998 and managed by Fund
   Manager Karthikraj Lakshmanan.The top five companies based on a percentage of
   total holdings were MARUTI SUZUKI INDIA LTD. (206.05 Cr.), NESTLE INDIA LTD.
   (196.69 Cr.), UNITED SPIRITS LTD. (163.17 Cr.), BRITANNIA INDUSTRIES LTD.
   (134.53 Cr.) and UNITED BREWERIES LTD. (134.43 Cr.).UTI MNC Fund is promoted
   by UTI Mutual Fund and managed by UTI Asset Management Company Ltd..

 *   •  Sundaram ELSS Tax Saver Fund: change in investment factsheets for
   December 2023
   
   Sundaram ELSS Tax Saver Fund: change in investment factsheets for December
   2023
   Sundaram ELSS Tax Saver Fund has announced change in investment factsheets
   and fund flash for the month ended December 31, 2023.As on Dec 31, 2023, the
   total size of the Fund was Rs 1,192.91 crores, compared with Rs 1,130.47
   crores in the last month. The Fund''s NAV per unit was Rs 421.52 for Growth,
   while 52-Week High and Low ranges were Rs 424.81 and Rs 317.49
   respectively.The Equity - ELSS fund with Growth plan was launched on Mar 31,
   1996 and managed by Fund Managers Sudhir Kedia, Rohit Seksaria.The top five
   companies based on a percentage of total holdings were HDFC Bank Ltd (103.59
   Cr.), Reliance Industries Ltd (70.83 Cr.), ICICI Bank Ltd (65.88 Cr.),
   Infosys Ltd (48.29 Cr.) and State Bank of India (34.61 Cr.).Sundaram ELSS Tax
   Saver Fund is promoted by Sundaram Mutual Fund and managed by Sundaram Asset
   Management Company Ltd..

 *   •  Sundaram Balanced Advantage Fund: change in investment factsheets for
   December 2023
   
   Sundaram Balanced Advantage Fund: change in investment factsheets for
   December 2023
   Sundaram Balanced Advantage Fund has announced change in investment
   factsheets and fund flash for the month ended December 31, 2023.As on Dec 31,
   2023, the total size of the Fund was Rs 1,568.29 crores, compared with Rs
   1,541.18 crores in the last month. The Fund''s NAV per unit was Rs 30.50 for
   Growth, while 52-Week High and Low ranges were Rs 30.52 and Rs 25.48
   respectively.The Equity - Hybrid fund with Growth plan was launched on Nov
   26, 2010 and managed by Fund Managers Dwijendra Srivastava, S Bharath, Ravi
   Gopalakrishnan.The top five companies based on a percentage of total holdings
   were HDFC Bank Ltd (123.34 Cr.), ICICI Bank Ltd (98.46 Cr.), Reliance
   Industries Ltd (77.94 Cr.), Infosys Ltd (68.38 Cr.) and Larsen & Toubro Ltd
   (36.32 Cr.).Sundaram Balanced Advantage Fund is promoted by Sundaram Mutual
   Fund and managed by Sundaram Asset Management Company Ltd..

 *   •  UTI Transportation and Logistic Fund: change in investment factsheets
   for December 2023
   
   UTI Transportation and Logistic Fund: change in investment factsheets for
   December 2023
   UTI Transportation and Logistic Fund has announced change in investment
   factsheets and fund flash for the month ended December 31, 2023.As on Dec 31,
   2023, the total size of the Fund was Rs 2,752.60 crores, compared with Rs
   2,595.99 crores in the last month. The Fund''s NAV per unit was Rs 209.63 for
   Growth, while 52-Week High and Low ranges were Rs 209.63 and Rs 137.79
   respectively.The Equity - Sector Fund fund with Growth plan was launched on
   Apr 19, 2004 and managed by Fund Manager Sachin Trivedi.The top five
   companies based on a percentage of total holdings were TATA MOTORS LTD.
   (337.01 Cr.), MAHINDRA & MAHINDRA LTD. (329.97 Cr.), MARUTI SUZUKI INDIA LTD.
   (297.51 Cr.), EICHER MOTORS LTD (241.44 Cr.) and BAJAJ AUTO LTD. (214.03
   Cr.).UTI Transportation and Logistic Fund is promoted by UTI Mutual Fund and
   managed by UTI Asset Management Company Ltd..

 *   •  UTI Aggressive Hybrid Fund: change in investment factsheets for December
   2023
   
   UTI Aggressive Hybrid Fund: change in investment factsheets for December 2023
   UTI Aggressive Hybrid Fund has announced change in investment factsheets and
   fund flash for the month ended December 31, 2023.As on Dec 31, 2023, the
   total size of the Fund was Rs 5,215.37 crores, compared with Rs 4,955.38
   crores in the last month. The Fund''s NAV per unit was Rs 330.32 for Growth,
   while 52-Week High and Low ranges were Rs 331.23 and Rs 252.94
   respectively.The Equity - Hybrid fund with Growth plan was launched on Jan
   02, 1995 and managed by Fund Managers V Srivatsa, Sunil Patil.The top five
   companies based on a percentage of total holdings were HDFC BANK LIMITED
   (387.49 Cr.), ICICI BANK LTD (277.27 Cr.), RELIANCE INDUSTRIES LTD. (233.11
   Cr.), INFOSYS LTD. (224.48 Cr.) and LARSEN & TOUBRO LTD. (178.47 Cr.).UTI
   Aggressive Hybrid Fund is promoted by UTI Mutual Fund and managed by UTI
   Asset Management Company Ltd..

 *   •  UTI Large & Mid Cap Fund: change in investment factsheets for December
   2023
   
   UTI Large & Mid Cap Fund: change in investment factsheets for December 2023
   UTI Large & Mid Cap Fund has announced change in investment factsheets and
   fund flash for the month ended December 31, 2023.As on Dec 31, 2023, the
   total size of the Fund was Rs 2,380.08 crores, compared with Rs 2,184.28
   crores in the last month. The Fund''s NAV per unit was Rs 138.68 for Growth,
   while 52-Week High and Low ranges were Rs 139.85 and Rs 96.75
   respectively.The Equity - Diversified fund with Growth plan was launched on
   Jan 18, 1993 and managed by Fund Manager V Srivatsa.The top five companies
   based on a percentage of total holdings were HDFC BANK LIMITED (217.76 Cr.),
   ICICI BANK LTD (113.24 Cr.), RELIANCE INDUSTRIES LTD. (101.56 Cr.), INFOSYS
   LTD. (79.63 Cr.) and FEDERAL BANK LTD. (75.49 Cr.).UTI Large & Mid Cap Fund
   is promoted by UTI Mutual Fund and managed by UTI Asset Management Company
   Ltd..

 *   •  UTI Nifty 50 Index Fund: change in investment factsheets for December
   2023
   
   UTI Nifty 50 Index Fund: change in investment factsheets for December 2023
   UTI Nifty 50 Index Fund has announced change in investment factsheets and
   fund flash for the month ended December 31, 2023.As on Dec 31, 2023, the
   total size of the Fund was Rs 15,002.04 crores, compared with Rs 13,626.63
   crores in the last month. The Fund''s NAV per unit was Rs 146.30 for Growth,
   while 52-Week High and Low ranges were Rs 147.41 and Rs 113.90
   respectively.The Equity - Index Fund fund with Growth plan was launched on
   Feb 14, 2000 and managed by Fund Managers Sharwan Kumar Goyal, Ayush jain.The
   top five companies based on a percentage of total holdings were HDFC BANK
   LIMITED (2029.79 Cr.), RELIANCE INDUSTRIES LTD. (1381.89 Cr.), ICICI BANK LTD
   (1104.67 Cr.), INFOSYS LTD. (870.30 Cr.) and LARSEN & TOUBRO LTD. (658.69
   Cr.).UTI Nifty 50 Index Fund is promoted by UTI Mutual Fund and managed by
   UTI Asset Management Company Ltd..

 *   •  Sundaram Global Brand Fund: change in investment factsheets for December
   2023
   
   Sundaram Global Brand Fund: change in investment factsheets for December 2023
   Sundaram Global Brand Fund has announced change in investment factsheets and
   fund flash for the month ended December 31, 2023.As on Dec 31, 2023, the
   total size of the Fund was Rs 119.21 crores, compared with Rs 117.18 crores
   in the last month. The Fund''s NAV per unit was Rs 28.19 for Growth, while
   52-Week High and Low ranges were Rs 28.73 and Rs 22.48 respectively.The Funds
   of Funds fund with Growth plan was launched on Sep 01, 2007 and managed by
   Fund Managers Rohit Seksaria, Ashish Aggarwal.Sundaram Global Brand Fund is
   promoted by Sundaram Mutual Fund and managed by Sundaram Asset Management
   Company Ltd..

 *   •  Bank of India ELSS Tax Saver: change in investment factsheets for
   December 2023
   
   Bank of India ELSS Tax Saver: change in investment factsheets for December
   2023
   Bank of India ELSS Tax Saver has announced change in investment factsheets
   and fund flash for the month ended December 31, 2023.As on Dec 31, 2023, the
   total size of the Fund was Rs 1,040.01 crores, compared with Rs 951.28 crores
   in the last month. The Fund''s NAV per unit was Rs 138.05 for Growth, while
   52-Week High and Low ranges were Rs 139.23 and Rs 94.45 respectively.The
   Equity - ELSS fund with Growth plan was launched on Dec 12, 2008 and managed
   by Fund Manager Alok Singh.The top five companies based on a percentage of
   total holdings were HDFC Bank Limited (58.11 Cr.), State Bank of India (50.08
   Cr.), Power Finance Corporation Limited (47.90 Cr.), Canara Bank (39.16 Cr.)
   and Bank of Baroda (38.13 Cr.).Bank of India ELSS Tax Saver is promoted by
   Bank of India Mutual Fund and managed by BOI STAR Investment Managers Pvt.
   Ltd..

 *   •  Aditya Birla SL AMC - Grant Of Employee Stock Options/Restricted Stock
   Units Under Aditya Birla Sun Life AMC Limited Employee
   
   Aditya Birla SL AMC - Grant Of Employee Stock Options/Restricted Stock Units
   Under Aditya Birla Sun Life AMC Limited Employee
   The Nomination, Remuneration and Compensation Committee of the Board of
   Directors of the Company at its meeting held today i.e. June 24, 2024, has
   inter alia, approved the grant of Employee Stock Options/Restricted Stock
   Units under ESOP Scheme 2021.

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