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  • All Schemes (50)
  • Equity (14)
  • ETF (5)
  • Debt (18)
  • Overnight & Liquid (2)
  • Solution based (4)
  • Hybrid (7)
UTI Arbitrage Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 26.7559 as of Aug 07, 2020
Hybrid - Arbitrage Fund
5.78 %
6.1 %
UTI Equity Savings Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 10.3984 as of Aug 07, 2020
Hybrid - Equity Saving
-1.81 %
N/A
UTI Hybrid Equity Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 160.9568 as of Aug 07, 2020
Hybrid - Aggressive Hybrid Fund
-2.09 %
4.11 %
UTI Multi Asset Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 36.2231 as of Aug 07, 2020
Hybrid - Multi Asset Allocation
-1.08 %
3.66 %
Risk Metric:
Inception Date:
Investment Purpose:
₹ 1.1244 as of Aug 07, 2020
None
N/A
N/A
UTI Regular Savings Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
₹ 41.3648 as of Aug 07, 2020
Hybrid - Conservative Hybrid Fund
1.5 %
2.6 %
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:
₹ 25.4497 as of Aug 07, 2020
Solution based Funds - Investment cum Insurance
4.98 %
2.07 %
UTI Arbitrage Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
Hybrid - Arbitrage Fund
₹ 26.7559
5.78 %
6.1 %
UTI Equity Savings Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
Hybrid - Equity Saving
₹ 10.3984
-1.81 %
N/A
UTI Hybrid Equity Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
Hybrid - Aggressive Hybrid Fund
₹ 160.9568
-2.09 %
4.11 %
UTI Multi Asset Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
Hybrid - Multi Asset Allocation
₹ 36.2231
-1.08 %
3.66 %
Risk Metric:
Inception Date:
Investment Purpose:
None
₹ 1.1244
N/A
N/A
UTI Regular Savings Fund Regular - Growth
Risk Metric:
Inception Date:
Investment Purpose:
Hybrid - Conservative Hybrid Fund
₹ 41.3648
1.5 %
2.6 %
Risk Metric:
Inception Date:
Investment Purpose:
Solution based Funds - Investment cum Insurance
₹ 25.4497
4.98 %
2.07 %
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