Mutual Fund Products

Mutual funds are evolving as a suitable investment option amongst individual investors. Since they’re convenient to invest in and professionally managed. Investors may choose from a myriad of mutual funds in India. They are largely divided in five major categories.

Filters
  • All Schemes (71)
  • Equity (23)
  • ETF (8)
  • Debt (24)
  • Overnight & Liquid (2)
  • Solution based (4)
  • Hybrid (8)
  • FOF (2)
Risk Metric:
Inception Date:
Investment Purpose:
₹ 47.7210 as of Sep 22, 2023
ETF - Equity
2.06 %
8.2 %
UTI Arbitrage Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 30.8690 as of Sep 22, 2023
Hybrid - Arbitrage Fund
6.59 %
5.1 %
UTI Balanced Advantage Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 10.1167 as of Sep 22, 2023
Balanced Advantage Fund
N/A
N/A
Risk Metric:
Inception Date:
Investment Purpose:
₹ 137.9647 as of Sep 22, 2023
Equity - Sectoral
12.77 %
5.73 %
UTI Banking & PSU Debt Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 19.1606 as of Sep 22, 2023
Debt - Banking & PSU Debt Fund
5.72 %
6.56 %
UTI Bond Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 64.0865 as of Sep 22, 2023
Debt - Medium to Long Duration Fund
6.43 %
8.97 %
A segregated portfolio has been created for Vodafone Idea Ltd. in UTI Bond Fund. The performance of the scheme is affected to the extent of the segregated portfolio.
Risk Metric:
Inception Date:
Investment Purpose:
₹ 6.8146 as of Jan 27, 2022
None
N/A
N/A
Risk Metric:
Inception Date:
Investment Purpose:
₹ 10.6324 as of Sep 22, 2023
An Open-Ended Fund of Fund Scheme investing in UTI CRISIL SDL Maturity April 2033 Index Fund
N/A
N/A
Risk Metric:
Inception Date:
Investment Purpose:
₹ 10.4630 as of Sep 22, 2023
An open-ended Target Maturity Debt Index Fund tracking CRISIL IBX SDL Index – June 2027
N/A
N/A
Risk Metric:
Inception Date:
Investment Purpose:
₹ 65.7463 as of Sep 22, 2023
Solution Oriented - Children's Fund
7.75 %
10.04 %
Risk Metric:
Inception Date:
Investment Purpose:
₹ 33.4086 as of Sep 22, 2023
Solution Oriented - Children's Fund
6.9 %
12.22 %
UTI Core Equity Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 122.6733 as of Sep 22, 2023
Equity - Large & Mid Cap Fund
19.3 %
12.93 %
UTI Corporate Bond Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 14.2671 as of Sep 22, 2023
Open-ended Debt Scheme
6.24 %
4.88 %
UTI Credit Risk Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 14.9609 as of Sep 22, 2023
Debt - Credit Risk Fund
6.52 %
10.77 %
A segregated portfolio has been created for Altico Capital India Ltd, Vodafone Idea Ltd., Yes Bank Ltd. and Zee Learn Ltd.in UTI Credit Risk Fund. The performance of the scheme is affected to the extent of segregated portfolio. The entire proceeds of Rs. 40.80 Crores have been recovered from Zee Learn Limited on July 14, 2020 and same has been distributed to investors on July 15, 2020.
Risk Metric:
Inception Date:
Investment Purpose:
₹ 0.0000 as of Sep 22, 2023
None
N/A
N/A
Risk Metric:
Inception Date:
Investment Purpose:
₹ 0.0000 as of Mar 10, 2022
None
-19.19 %
N/A
Risk Metric:
Inception Date:
Investment Purpose:
₹ 2.4018 as of Jan 31, 2022
None
N/A
N/A
UTI Dividend Yield Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 123.2090 as of Sep 22, 2023
Equity - Dividend Yield Fund
16.07 %
11.85 %
UTI Dynamic Bond Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 26.9743 as of Sep 22, 2023
Debt - Dynamic Bond Fund
5.68 %
9.23 %
A segregated portfolio has been created for Vodafone Idea Ltd. in UTI Dynamic Bond Fund. The performance of the scheme is affected to the extent of the segregated portfolio.
Risk Metric:
Inception Date:
Investment Purpose:
₹ 1.2708 as of Jan 27, 2022
None
N/A
N/A
UTI Equity Savings Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 15.2151 as of Sep 22, 2023
Hybrid - Equity Saving
10.93 %
8.5 %
Risk Metric:
Inception Date:
Investment Purpose:
₹ 256.9794 as of Sep 22, 2023
Equity - Multi Cap Fund
3.91 %
10.95 %
UTI Floater Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 1321.9357 as of Sep 22, 2023
Open-ended Debt Scheme
6.39 %
4.48 %
UTI Focused Equity Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 11.8032 as of Sep 22, 2023
An open-ended equity scheme investing in maximum 30 stocks across market caps
10.7 %
N/A
UTI Gilt Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 54.6814 as of Sep 22, 2023
Debt - Gilt Fund
6.52 %
4.4 %
Risk Metric:
Inception Date:
Investment Purpose:
₹ 10.8546 as of Sep 22, 2023
Debt - Gilt Fund
6.62 %
N/A
UTI Gold ETF Fund of Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 11.5310 as of Sep 22, 2023
FoF - Gold ETF
N/A
N/A
Risk Metric:
Inception Date:
Investment Purpose:
₹ 50.3768 as of Sep 22, 2023
ETF - Commodity
14.74 %
3.21 %
UTI Healthcare Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 181.0339 as of Sep 22, 2023
Equity - Sectoral
21.87 %
13.67 %
UTI Hybrid Equity Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 301.0164 as of Sep 22, 2023
Hybrid - Aggressive Hybrid Fund
15.33 %
11.07 %
UTI India Consumer Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 43.2863 as of Sep 22, 2023
Equity - Thematic
4.44 %
8.35 %
UTI Infrastructure Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 99.4083 as of Sep 22, 2023
Equity - Thematic
18.67 %
12.16 %
UTI Innovation Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ - as of -
Thematic Fund
N/A
N/A
UTI Liquid Cash Plan Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 3785.1012 as of Sep 24, 2023
Debt - Liquid Fund
6.73 %
4.6 %
UTI Long Duration Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 10.0181 as of Mar 21, 2023
An open ended debt scheme
N/A
N/A
Risk Metric:
Inception Date:
Investment Purpose:
₹ 159.1466 as of Sep 22, 2023
Equity - ELSS
8.3 %
11.57 %
UTI MNC Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 311.7770 as of Sep 22, 2023
Equity - Thematic
8.89 %
7.63 %
UTI Mastershare Unit Scheme Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 214.7176 as of Sep 22, 2023
Equity - Large Cap Fund
8.0 %
10.7 %
UTI Medium Term Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 16.0498 as of Sep 22, 2023
Debt - Medium Term Fund
6.0 %
5.48 %
A segregated portfolio has been created for Vodafone Idea Ltd., Yes Bank Ltd. and Zee Learn Ltd.in UTI Medium Term Fund. The performance of the scheme is affected to the extent of segregated portfolio. The entire proceeds of Rs. 3.40 Crores have been recovered from Zee Learn Limited on July 14, 2020 and same has been distributed to investors on July 15, 2020.
Risk Metric:
Inception Date:
Investment Purpose:
₹ 0.3488 as of Jan 27, 2022
None
N/A
N/A
UTI Mid Cap Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 225.9138 as of Sep 22, 2023
Equity - Mid Cap Fund
17.89 %
15.74 %
UTI Money Market Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 2700.3420 as of Sep 22, 2023
Debt - Money Market Fund
7.13 %
5.02 %
UTI Multi Asset Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 52.4174 as of Sep 22, 2023
Hybrid - Multi Asset Allocation
15.98 %
8.44 %
Risk Metric:
Inception Date:
Investment Purpose:
₹ 10.7665 as of Sep 22, 2023
Equity Index Fund
N/A
N/A
UTI Nifty 50 ETF Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 2111.5236 as of Sep 22, 2023
ETF - Equity
9.49 %
11.7 %
UTI Nifty 50 Index Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 133.0906 as of Sep 22, 2023
Equity - Index
9.2 %
11.46 %
Risk Metric:
Inception Date:
Investment Purpose:
₹ 12.1960 as of Sep 22, 2023
Equity Index Fund
N/A
N/A
UTI Nifty Bank ETF Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 45.3532 as of Sep 22, 2023
Open-Ended Scheme replicating/tracking Nifty Bank Index
12.16 %
N/A
Risk Metric:
Inception Date:
Investment Purpose:
₹ 149.7516 as of Sep 22, 2023
ETFs
N/A
N/A
Risk Metric:
Inception Date:
Investment Purpose:
₹ 10.9708 as of Sep 22, 2023
An open-ended scheme replicating/tracking Nifty Midcap 150 Quality 50 TRI
10.69 %
N/A
UTI Nifty Next 50 Index Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 16.0891 as of Sep 22, 2023
Equity - Index
1.35 %
7.34 %
Risk Metric:
Inception Date:
Investment Purpose:
₹ 10.4301 as of Sep 22, 2023
An open-ended Target Maturity Index Fund investing in constituents of Nifty SDL Plus AAA PSU Bond Apr 2026 75:25 Index
N/A
N/A
Risk Metric:
Inception Date:
Investment Purpose:
₹ 10.4494 as of Sep 22, 2023
An open-ended Target Maturity Index Fund investing in constituents of Nifty SDL Plus AAA PSU Bond Apr 2028 75:25 Index
N/A
N/A
Risk Metric:
Inception Date:
Investment Purpose:
₹ 15.3863 as of Sep 22, 2023
An Open-Ended Scheme replicating/tracking the Nifty200 Momentum 30 Index
14.39 %
N/A
UTI Overnight Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 3135.0372 as of Sep 24, 2023
Debt - Overnight Fund
6.32 %
4.36 %
Risk Metric:
Inception Date:
Investment Purpose:
₹ 3.8396 as of Jan 27, 2022
None
N/A
N/A
UTI Regular Savings Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 57.2703 as of Sep 22, 2023
Hybrid - Conservative Hybrid Fund
7.89 %
11.25 %
A segregated portfolio has been created for Vodafone Idea Ltd. in UTI Regular Savings Fund. The performance of the scheme is affected to the extent of the segregated portfolio.
Risk Metric:
Inception Date:
Investment Purpose:
₹ 39.6686 as of Sep 22, 2023
Solution Oriented - Retirement Fund
11.12 %
14.41 %
Risk Metric:
Inception Date:
Investment Purpose:
₹ 10.9195 as of Sep 22, 2023
Equity Index Fund
N/A
N/A
Risk Metric:
Inception Date:
Investment Purpose:
₹ 12.6961 as of Sep 22, 2023
An open-ended scheme replicating/tracking S&P BSE Low Volatility TRI
14.43 %
N/A
UTI S&P BSE Sensex ETF Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 708.2926 as of Sep 22, 2023
ETF - Equity
10.28 %
12.17 %
Risk Metric:
Inception Date:
Investment Purpose:
₹ 11.6000 as of Sep 22, 2023
An open-ended scheme replicating/tracking the S&P BSE Sensex Index
9.91 %
N/A
Risk Metric:
Inception Date:
Investment Purpose:
₹ 59.5602 as of Sep 22, 2023
Open-ended Equity Scheme
11.26 %
N/A
UTI Short Term Income Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 27.6667 as of Sep 22, 2023
Debt - Short Duration Fund
6.38 %
6.52 %
UTI Silver ETF Fund of Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 9.6451 as of Sep 22, 2023
FoF - Silver ETF
N/A
N/A
Risk Metric:
Inception Date:
Investment Purpose:
₹ 73.0687 as of Sep 22, 2023
ETF - Commodity
N/A
N/A
UTI Small Cap Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 18.9011 as of Sep 22, 2023
An open-ended equity scheme predominantly investing in small-cap stocks.
22.14 %
N/A
Risk Metric:
Inception Date:
Investment Purpose:
₹ 182.8320 as of Sep 22, 2023
Equity - Sectoral
14.93 %
8.44 %
UTI Treasury Advantage Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 3109.0269 as of Sep 22, 2023
Debt - Low Duration Fund
6.71 %
6.66 %
UTI Ultra Short Term Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 3750.1416 as of Sep 22, 2023
Debt - Ultra Short Duration Fund
6.38 %
5.48 %
Risk Metric:
Inception Date:
Investment Purpose:
₹ - as of
Solution based Funds - Investment cum Insurance
5.22 %
10.74 %
UTI Value Opportunities Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 117.4579 as of Sep 22, 2023
Equity - Value Fund
12.89 %
12.39 %
Risk Metric:
Inception Date:
Investment Purpose:
ETF - Equity
₹ 47.7210
2.06 %
8.2 %
UTI Arbitrage Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
Hybrid - Arbitrage Fund
₹ 30.8690
6.59 %
5.1 %
UTI Balanced Advantage Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
Balanced Advantage Fund
₹ 10.1167
N/A
N/A
Risk Metric:
Inception Date:
Investment Purpose:
Equity - Sectoral
₹ 137.9647
12.77 %
5.73 %
UTI Banking & PSU Debt Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
Debt - Banking & PSU Debt Fund
₹ 19.1606
5.72 %
6.56 %
UTI Bond Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
Debt - Medium to Long Duration Fund
₹ 64.0865
6.43 %
8.97 %
Risk Metric:
Inception Date:
Investment Purpose:
None
₹ 6.8146
N/A
N/A
Risk Metric:
Inception Date:
Investment Purpose:
An Open-Ended Fund of Fund Scheme investing in UTI CRISIL SDL Maturity April 2033 Index Fund
₹ 10.6324
N/A
N/A
Risk Metric:
Inception Date:
Investment Purpose:
An open-ended Target Maturity Debt Index Fund tracking CRISIL IBX SDL Index – June 2027
₹ 10.4630
N/A
N/A
Risk Metric:
Inception Date:
Investment Purpose:
Solution Oriented - Children's Fund
₹ 65.7463
7.75 %
10.04 %
Risk Metric:
Inception Date:
Investment Purpose:
Solution Oriented - Children's Fund
₹ 33.4086
6.9 %
12.22 %
UTI Core Equity Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
Equity - Large & Mid Cap Fund
₹ 122.6733
19.3 %
12.93 %
UTI Corporate Bond Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
Open-ended Debt Scheme
₹ 14.2671
6.24 %
4.88 %
UTI Credit Risk Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
Debt - Credit Risk Fund
₹ 14.9609
6.52 %
10.77 %
Risk Metric:
Inception Date:
Investment Purpose:
None
₹ 0.0000
N/A
N/A
Risk Metric:
Inception Date:
Investment Purpose:
None
₹ 0.0000
-19.19 %
N/A
Risk Metric:
Inception Date:
Investment Purpose:
None
₹ 2.4018
N/A
N/A
UTI Dividend Yield Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
Equity - Dividend Yield Fund
₹ 123.2090
16.07 %
11.85 %
UTI Dynamic Bond Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
Debt - Dynamic Bond Fund
₹ 26.9743
5.68 %
9.23 %
Risk Metric:
Inception Date:
Investment Purpose:
None
₹ 1.2708
N/A
N/A
UTI Equity Savings Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
Hybrid - Equity Saving
₹ 15.2151
10.93 %
8.5 %
Risk Metric:
Inception Date:
Investment Purpose:
Equity - Multi Cap Fund
₹ 256.9794
3.91 %
10.95 %
UTI Floater Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
Open-ended Debt Scheme
₹ 1321.9357
6.39 %
4.48 %
UTI Focused Equity Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
An open-ended equity scheme investing in maximum 30 stocks across market caps
₹ 11.8032
10.7 %
N/A
UTI Gilt Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
Debt - Gilt Fund
₹ 54.6814
6.52 %
4.4 %
Risk Metric:
Inception Date:
Investment Purpose:
Debt - Gilt Fund
₹ 10.8546
6.62 %
N/A
UTI Gold ETF Fund of Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
FoF - Gold ETF
₹ 11.5310
N/A
N/A
Risk Metric:
Inception Date:
Investment Purpose:
ETF - Commodity
₹ 50.3768
14.74 %
3.21 %
UTI Healthcare Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
Equity - Sectoral
₹ 181.0339
21.87 %
13.67 %
UTI Hybrid Equity Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
Hybrid - Aggressive Hybrid Fund
₹ 301.0164
15.33 %
11.07 %
UTI India Consumer Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
Equity - Thematic
₹ 43.2863
4.44 %
8.35 %
UTI Infrastructure Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
Equity - Thematic
₹ 99.4083
18.67 %
12.16 %
UTI Innovation Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
Thematic Fund
₹ -
N/A
N/A
UTI Liquid Cash Plan Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
Debt - Liquid Fund
₹ 3785.1012
6.73 %
4.6 %
UTI Long Duration Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
An open ended debt scheme
₹ 10.0181
N/A
N/A
Risk Metric:
Inception Date:
Investment Purpose:
Equity - ELSS
₹ 159.1466
8.3 %
11.57 %
UTI MNC Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
Equity - Thematic
₹ 311.7770
8.89 %
7.63 %
UTI Mastershare Unit Scheme Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
Equity - Large Cap Fund
₹ 214.7176
8.0 %
10.7 %
UTI Medium Term Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
Debt - Medium Term Fund
₹ 16.0498
6.0 %
5.48 %
Risk Metric:
Inception Date:
Investment Purpose:
None
₹ 0.3488
N/A
N/A
UTI Mid Cap Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
Equity - Mid Cap Fund
₹ 225.9138
17.89 %
15.74 %
UTI Money Market Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
Debt - Money Market Fund
₹ 2700.3420
7.13 %
5.02 %
UTI Multi Asset Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
Hybrid - Multi Asset Allocation
₹ 52.4174
15.98 %
8.44 %
Risk Metric:
Inception Date:
Investment Purpose:
Equity Index Fund
₹ 10.7665
N/A
N/A
UTI Nifty 50 ETF Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
ETF - Equity
₹ 2111.5236
9.49 %
11.7 %
UTI Nifty 50 Index Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
Equity - Index
₹ 133.0906
9.2 %
11.46 %
Risk Metric:
Inception Date:
Investment Purpose:
Equity Index Fund
₹ 12.1960
N/A
N/A
UTI Nifty Bank ETF Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
Open-Ended Scheme replicating/tracking Nifty Bank Index
₹ 45.3532
12.16 %
N/A
Risk Metric:
Inception Date:
Investment Purpose:
ETFs
₹ 149.7516
N/A
N/A
Risk Metric:
Inception Date:
Investment Purpose:
An open-ended scheme replicating/tracking Nifty Midcap 150 Quality 50 TRI
₹ 10.9708
10.69 %
N/A
UTI Nifty Next 50 Index Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
Equity - Index
₹ 16.0891
1.35 %
7.34 %
Risk Metric:
Inception Date:
Investment Purpose:
An open-ended Target Maturity Index Fund investing in constituents of Nifty SDL Plus AAA PSU Bond Apr 2026 75:25 Index
₹ 10.4301
N/A
N/A
Risk Metric:
Inception Date:
Investment Purpose:
An open-ended Target Maturity Index Fund investing in constituents of Nifty SDL Plus AAA PSU Bond Apr 2028 75:25 Index
₹ 10.4494
N/A
N/A
Risk Metric:
Inception Date:
Investment Purpose:
An Open-Ended Scheme replicating/tracking the Nifty200 Momentum 30 Index
₹ 15.3863
14.39 %
N/A
UTI Overnight Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
Debt - Overnight Fund
₹ 3135.0372
6.32 %
4.36 %
Risk Metric:
Inception Date:
Investment Purpose:
None
₹ 3.8396
N/A
N/A
UTI Regular Savings Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
Hybrid - Conservative Hybrid Fund
₹ 57.2703
7.89 %
11.25 %
Risk Metric:
Inception Date:
Investment Purpose:
Solution Oriented - Retirement Fund
₹ 39.6686
11.12 %
14.41 %
Risk Metric:
Inception Date:
Investment Purpose:
Equity Index Fund
₹ 10.9195
N/A
N/A
Risk Metric:
Inception Date:
Investment Purpose:
An open-ended scheme replicating/tracking S&P BSE Low Volatility TRI
₹ 12.6961
14.43 %
N/A
UTI S&P BSE Sensex ETF Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
ETF - Equity
₹ 708.2926
10.28 %
12.17 %
Risk Metric:
Inception Date:
Investment Purpose:
An open-ended scheme replicating/tracking the S&P BSE Sensex Index
₹ 11.6000
9.91 %
N/A
Risk Metric:
Inception Date:
Investment Purpose:
Open-ended Equity Scheme
₹ 59.5602
11.26 %
N/A
UTI Short Term Income Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
Debt - Short Duration Fund
₹ 27.6667
6.38 %
6.52 %
UTI Silver ETF Fund of Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
FoF - Silver ETF
₹ 9.6451
N/A
N/A
Risk Metric:
Inception Date:
Investment Purpose:
ETF - Commodity
₹ 73.0687
N/A
N/A
UTI Small Cap Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
An open-ended equity scheme predominantly investing in small-cap stocks.
₹ 18.9011
22.14 %
N/A
Risk Metric:
Inception Date:
Investment Purpose:
Equity - Sectoral
₹ 182.8320
14.93 %
8.44 %
UTI Treasury Advantage Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
Debt - Low Duration Fund
₹ 3109.0269
6.71 %
6.66 %
UTI Ultra Short Term Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
Debt - Ultra Short Duration Fund
₹ 3750.1416
6.38 %
5.48 %
Risk Metric:
Inception Date:
Investment Purpose:
Solution based Funds - Investment cum Insurance
₹ -
5.22 %
10.74 %
UTI Value Opportunities Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
Equity - Value Fund
₹ 117.4579
12.89 %
12.39 %

Frequently asked questions

What are different types of mutual funds?

Mutual funds provide a wide range of investment options to investors. You can choose the right type of mutual fund scheme depending on your risk appetite, financial goals and investment horizon. Mutual funds can be broadly classified into five categories, viz. equity funds, debt funds, hybrid funds, solution-oriented schemes and other schemes. There are further sub-categories of mutual fund schemes under these five broad categories, which are differentiated based on the specific investment objectives of these schemes. With different types of mutual fund schemes available for investors with diverse investment objectives, it becomes easier for them to choose the best suited financial plans.

What are long-term mutual funds?

While there is no specific category of long-term mutual fund schemes under the SEBI (Securities & Exchange Board of India) guidelines, mutual fund schemes suited for long- term investment horizons can be classified as long-term mutual funds. Investors generally have several long-term financial goals, like retirement planning, buying a house, child’s education, etc., for which the investors must choose like-minded mutual fund schemes. Different asset classes tend to be suited for different goals. For example, equities are suited for long-term investment horizons carrying the potential of wealth creation over the long term but volatile over the short term. Debt may render relative stability to the investment portfolio over the short term with a predominantly fixed income portfolio. Investors can choose the mutual fund scheme that suits their financial goals and investment horizon.

What is the difference between long-term and short-term investment?

No specific long-term and short-term mutual fund schemes are defined under the SEBI (Securities & Exchange Board of India) guidelines. However, mutual fund schemes that suit long-term and short-term financial goals may be considered for long-term and short- term investments. The broader difference between long-term and short-term investments is the proportion of asset classes, viz., equity and debt, within them. This is because equities carry the potential of wealth creation over the long term but are volatile over the short term. Similarly, debt tends to render relative stability over the short term, albeit with reasonable returns. Thus, the risk-reward trade-offs for investing in the short- term and long-term are strikingly different. The lower the risk undertaken, the lower may be the expected returns for investors.

How do I choose the right mutual fund investment plans for me?

There is no certain right or wrong mutual fund investment plan for investors. One must choose to invest in mutual fund schemes depending upon the investment objective and asset allocation pattern. An investment approach contrary to the objective can be harmful to financial planning. While equities may be suitable for long-term goals with their potential for wealth creation over the long term, choosing such schemes for short- term goals may expose the investors to short-term volatility. Similarly, debt may be suitable for short-term stability in the investment portfolio, but choosing such schemes for long-term goals may hamper the long-term financial goals with relatively lower returns and correspondingly higher investment requirements. Since one may have different short-term and long-term goals simultaneously, the investment portfolio should ideally include an optimal balance between different mutual fund schemes, which are further chosen based on investors’ financial goals, risk profile and investment horizon.

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