Mutual Fund Products

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  • All Schemes (43)
  • Equity (14)
  • Hybrid (5)
  • Debt (12)
  • Overnight & Liquid (2)
  • Solution based (5)
  • ETF (5)
Risk Metric:
Inception Date:
Investment Purpose:
₹ 3467.6864 as of Sep 18, 2019
ETF - Commodity
30.1 %
7.06 %
UTI Gilt Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 44.3698 as of Sep 18, 2019
Debt - Gilt Fund
15.07 %
9.14 %
UTI Corporate Bond Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 11.1205 as of Sep 18, 2019
Open-ended Debt Scheme
10.69 %
N/A
UTI Money Market Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 5168.1038 as of Sep 18, 2019
Debt - Money Market Fund
8.63 %
7.52 %
UTI Liquid Cash Plan Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 2932.7128 as of Sep 18, 2019
Debt - Liquid Fund
7.34 %
7.07 %
UTI Arbitrage Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 25.6475 as of Sep 18, 2019
Hybrid - Arbitrage Fund
6.89 %
6.57 %
UTI Medium Term Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 13.9058 as of Sep 18, 2019
Debt - Medium Term Fund
6.53 %
6.79 %
UTI Overnight Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 2646.6844 as of Sep 18, 2019
Debt - Overnight Fund
6.12 %
6.08 %
UTI Ultra Short Term Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 3008.3388 as of Sep 18, 2019
Debt - Ultra Short Duration Fund
3.03 %
5.63 %
UTI Credit Risk Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 15.5294 as of Sep 18, 2019
Debt - Credit Risk Fund
1.73 %
5.11 %
UTI Banking & PSU Debt Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 14.7352 as of Sep 18, 2019
Debt - Banking & PSU Debt Fund
1.17 %
5.14 %
UTI Equity Savings Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 10.1017 as of Sep 18, 2019
Hybrid - Equity Saving
0.99 %
N/A
UTI Regular Savings Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 40.4327 as of Sep 18, 2019
Hybrid - Conservative Hybrid Fund
-1.38 %
5.11 %
UTI Dynamic Bond Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 19.9200 as of Sep 18, 2019
Debt - Dynamic Bond Fund
-1.7 %
3.55 %
Risk Metric:
Inception Date:
Investment Purpose:
₹ 385.0312 as of Sep 18, 2019
ETF - Equity
-2.15 %
N/A
UTI Bond Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 50.4989 as of Sep 18, 2019
Debt - Medium to Long Duration Fund
-3.1 %
2.46 %
UTI Multi Asset Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 33.1248 as of Sep 18, 2019
Hybrid - Multi Asset Allocation
-3.12 %
3.9 %
UTI Treasury Advantage Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 4295.4050 as of Sep 18, 2019
Debt - Low Duration Fund
-4.01 %
3.36 %
UTI Short Term Income Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 29.7426 as of Sep 18, 2019
Debt - Short Duration Fund
-4.25 %
2.85 %
Risk Metric:
Inception Date:
Investment Purpose:
₹ 1146.2693 as of Sep 18, 2019
ETF - Equity
-4.38 %
N/A
UTI Nifty Index Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 71.0695 as of Sep 18, 2019
Equity - Index
-4.55 %
7.71 %
Risk Metric:
Inception Date:
Investment Purpose:
₹ 22.1195 as of Sep 18, 2019
Solution Oriented - Children's Fund
-6.34 %
3.68 %
Risk Metric:
Inception Date:
Investment Purpose:
₹ 24.8485 as of Sep 18, 2019
Solution Oriented - Retirement Fund
-6.96 %
3.55 %
UTI Mastershare Unit Scheme Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 115.7916 as of Sep 18, 2019
Equity - Large Cap Fund
-7.11 %
8.03 %
UTI Dividend Yield Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 62.5718 as of Sep 18, 2019
Equity - Dividend Yield Fund
-8.69 %
6.87 %
Risk Metric:
Inception Date:
Investment Purpose:
₹ 23.9632 as of Sep 18, 2019
Solution based Funds - Investment cum Insurance
-9.09 %
3.41 %
UTI Hybrid Equity Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 159.3555 as of Sep 18, 2019
Hybrid - Aggressive Hybrid Fund
-9.21 %
6.58 %
Risk Metric:
Inception Date:
Investment Purpose:
₹ 81.3922 as of Sep 18, 2019
Equity - ELSS
-9.58 %
7.13 %
UTI Value Opportunities Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 57.4463 as of Sep 18, 2019
Equity - Value Fund
-10.16 %
5.46 %
UTI Infrastructure Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 48.8232 as of Sep 18, 2019
Equity - Thematic
-10.52 %
4.87 %
UTI Equity Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 135.0934 as of Sep 18, 2019
Equity - Multi Cap Fund
-10.79 %
8.49 %
UTI Core Equity Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 57.6638 as of Sep 18, 2019
Equity - Large & Mid Cap Fund
-12.44 %
5.95 %
Risk Metric:
Inception Date:
Investment Purpose:
₹ 88.8679 as of Sep 18, 2019
Equity - Sectoral
-12.54 %
9.53 %
Risk Metric:
Inception Date:
Investment Purpose:
₹ 34.1326 as of Sep 18, 2019
Solution Oriented - Children's Fund
-14.29 %
7.69 %
UTI MNC Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 181.2293 as of Sep 18, 2019
Equity - Thematic
-14.4 %
10.29 %
Risk Metric:
Inception Date:
Investment Purpose:
₹ 268.2758 as of Sep 18, 2019
ETF - Equity
-14.41 %
N/A
UTI Nifty Next 50 Index Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 9.3165 as of Sep 18, 2019
Equity - Index
-15.3 %
N/A
UTI India Consumer Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 24.2389 as of Sep 18, 2019
Equity - Thematic
-15.63 %
5.15 %
UTI Mid Cap Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 91.4817 as of Sep 18, 2019
Equity - Mid Cap Fund
-16.45 %
7.43 %
UTI Healthcare Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 79.2877 as of Sep 18, 2019
Equity - Sectoral
-17.17 %
0.4 %
Risk Metric:
Inception Date:
Investment Purpose:
₹ 82.2377 as of Sep 18, 2019
Equity - Sectoral
-31.18 %
3.84 %
UTI Floater Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 1076.9220 as of Sep 18, 2019
Open-ended Debt Scheme
N/A
N/A
Risk Metric:
Inception Date:
Investment Purpose:
₹ 300.3409 as of Sep 18, 2019
Open-ended Equity Scheme
N/A
N/A
Risk Metric:
Inception Date:
Investment Purpose:
ETF - Commodity
₹ 3467.6864
30.1 %
7.06 %
UTI Gilt Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
Debt - Gilt Fund
₹ 44.3698
15.07 %
9.14 %
UTI Corporate Bond Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
Open-ended Debt Scheme
₹ 11.1205
10.69 %
N/A
UTI Money Market Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
Debt - Money Market Fund
₹ 5168.1038
8.63 %
7.52 %
UTI Liquid Cash Plan Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
Debt - Liquid Fund
₹ 2932.7128
7.34 %
7.07 %
UTI Arbitrage Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
Hybrid - Arbitrage Fund
₹ 25.6475
6.89 %
6.57 %
UTI Medium Term Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
Debt - Medium Term Fund
₹ 13.9058
6.53 %
6.79 %
UTI Overnight Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
Debt - Overnight Fund
₹ 2646.6844
6.12 %
6.08 %
UTI Ultra Short Term Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
Debt - Ultra Short Duration Fund
₹ 3008.3388
3.03 %
5.63 %
UTI Credit Risk Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
Debt - Credit Risk Fund
₹ 15.5294
1.73 %
5.11 %
UTI Banking & PSU Debt Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
Debt - Banking & PSU Debt Fund
₹ 14.7352
1.17 %
5.14 %
UTI Equity Savings Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
Hybrid - Equity Saving
₹ 10.1017
0.99 %
N/A
UTI Regular Savings Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
Hybrid - Conservative Hybrid Fund
₹ 40.4327
-1.38 %
5.11 %
UTI Dynamic Bond Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
Debt - Dynamic Bond Fund
₹ 19.9200
-1.7 %
3.55 %
Risk Metric:
Inception Date:
Investment Purpose:
ETF - Equity
₹ 385.0312
-2.15 %
N/A
UTI Bond Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
Debt - Medium to Long Duration Fund
₹ 50.4989
-3.1 %
2.46 %
UTI Multi Asset Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
Hybrid - Multi Asset Allocation
₹ 33.1248
-3.12 %
3.9 %
UTI Treasury Advantage Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
Debt - Low Duration Fund
₹ 4295.4050
-4.01 %
3.36 %
UTI Short Term Income Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
Debt - Short Duration Fund
₹ 29.7426
-4.25 %
2.85 %
Risk Metric:
Inception Date:
Investment Purpose:
ETF - Equity
₹ 1146.2693
-4.38 %
N/A
UTI Nifty Index Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
Equity - Index
₹ 71.0695
-4.55 %
7.71 %
Risk Metric:
Inception Date:
Investment Purpose:
Solution Oriented - Children's Fund
₹ 22.1195
-6.34 %
3.68 %
Risk Metric:
Inception Date:
Investment Purpose:
Solution Oriented - Retirement Fund
₹ 24.8485
-6.96 %
3.55 %
UTI Mastershare Unit Scheme Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
Equity - Large Cap Fund
₹ 115.7916
-7.11 %
8.03 %
UTI Dividend Yield Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
Equity - Dividend Yield Fund
₹ 62.5718
-8.69 %
6.87 %
Risk Metric:
Inception Date:
Investment Purpose:
Solution based Funds - Investment cum Insurance
₹ 23.9632
-9.09 %
3.41 %
UTI Hybrid Equity Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
Hybrid - Aggressive Hybrid Fund
₹ 159.3555
-9.21 %
6.58 %
Risk Metric:
Inception Date:
Investment Purpose:
Equity - ELSS
₹ 81.3922
-9.58 %
7.13 %
UTI Value Opportunities Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
Equity - Value Fund
₹ 57.4463
-10.16 %
5.46 %
UTI Infrastructure Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
Equity - Thematic
₹ 48.8232
-10.52 %
4.87 %
UTI Equity Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
Equity - Multi Cap Fund
₹ 135.0934
-10.79 %
8.49 %
UTI Core Equity Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
Equity - Large & Mid Cap Fund
₹ 57.6638
-12.44 %
5.95 %
Risk Metric:
Inception Date:
Investment Purpose:
Equity - Sectoral
₹ 88.8679
-12.54 %
9.53 %
Risk Metric:
Inception Date:
Investment Purpose:
Solution Oriented - Children's Fund
₹ 34.1326
-14.29 %
7.69 %
UTI MNC Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
Equity - Thematic
₹ 181.2293
-14.4 %
10.29 %
Risk Metric:
Inception Date:
Investment Purpose:
ETF - Equity
₹ 268.2758
-14.41 %
N/A
UTI Nifty Next 50 Index Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
Equity - Index
₹ 9.3165
-15.3 %
N/A
UTI India Consumer Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
Equity - Thematic
₹ 24.2389
-15.63 %
5.15 %
UTI Mid Cap Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
Equity - Mid Cap Fund
₹ 91.4817
-16.45 %
7.43 %
UTI Healthcare Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
Equity - Sectoral
₹ 79.2877
-17.17 %
0.4 %
Risk Metric:
Inception Date:
Investment Purpose:
Equity - Sectoral
₹ 82.2377
-31.18 %
3.84 %
UTI Floater Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
Open-ended Debt Scheme
₹ 1076.9220
N/A
N/A
Risk Metric:
Inception Date:
Investment Purpose:
Open-ended Equity Scheme
₹ 300.3409
N/A
N/A
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