ITI Dynamic Term Fund Direct-IDCW Yearly (₹ 13.52) - NAV, Reviews & asset allocation
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Information is available about the ITI Dynamic Term Fund Direct-IDCW Yearly, including its net asset value, reviews, and asset allocation, with a reported value of ₹ 13.52. Additionally, details are available for the ITI Ultra Short Term Fund Regular-IDCW Fortnightly. The two funds appear to have different characteristics, including their values and distribution frequencies.