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Funds

Every scheme with a disclosed portfolio: its NAV, returns, size and cost, and every measure we derive from the disclosures — each one something you can order the list by, and each one shown in its own units when you do.

Narrow by number

Three ranges, and only three: what a fund costs, how big it is, and how long the person running it has been there. There is no range over a fund's record, because filtering on a record builds a shortlist of past winners — and our own testing found that shortlist does not predict the next three years. A fund with no expense or tenure on file is excluded by those two, never silently included.

550 funds

ordered by size · names starting with U · showing 451–500

FundCategory NAV1 yr3 yrs p.a.AssetsExpense, Direct How often it beat its category
UTI FTIF Series XVII -XV (1825 DAYS)-Flexi Div Optionno recent NAV
UNKNOWN
Uncategorised — −26.5% −4.9% ₹0 Cr — not measured
UTI FTIF Series XX - VI (1100 Days) - Maturity Div Optionno recent NAV
UNKNOWN
Uncategorised — −17.0% — ₹0 Cr — not measured
UTI FTIF Series XII - X ( 1096 DAYS) - Maturity Dividend Optionno recent NAV
UNKNOWN
Uncategorised — −15.4% — ₹0 Cr — not measured
UTI FTIF Series XX - XI (1100 Days) - Maturity Div Optionno recent NAV
UNKNOWN
Uncategorised — −16.9% — ₹0 Cr — not measured
UTI FTIF Series XIX - VIII ( 368 Days )no recent NAV
UTI Asset Mgmt. Co. Ltd.
Uncategorised ₹13.65
3 Jul 2018
6.9% 7.7% ₹0 Cr — not measured
UTI FTIF Series XIX- II (368 Days) - Maturity Div Optionno recent NAV
UNKNOWN
Uncategorised — — — ₹0 Cr — not measured
UTI FTIF Series XVI - IV (369 DAYS) - Maturity Div Optionno recent NAV
UNKNOWN
Uncategorised — −9.5% — ₹0 Cr — not measured
UTI FTIF Series XX - XVI (1100 days) Annual Div Optionno recent NAV
UNKNOWN
Uncategorised — −7.8% −0.1% ₹0 Cr — not measured
UTI FTIF Series XXI-XV (1103 Days) - Maturity Div Optionno recent NAV
UNKNOWN
Uncategorised — −17.1% −0.1% ₹0 Cr — not measured
UTI FTIF Series XIX - XVIII (1105 Days) - Maturity Div Optionno recent NAV
UNKNOWN
Uncategorised — −17.4% — ₹0 Cr — not measured
UTI FTIF Series XIX - IV (366 Days) - Flexi Div Optionno recent NAV
UNKNOWN
Uncategorised — −8.3% — ₹0 Cr — not measured
UTI - Medium Term Fund (Segregated - 07072020)no recent NAV
UTI Asset Mgmt. Co. Ltd.
Medium Duration ₹0.23
7 Jul 2020
— — ₹0 Cr — not measured
UTI FTIF Series XXII-XII (1100 Days) - Maturity Div Optionno recent NAV
UNKNOWN
Uncategorised — −15.7% −0.0% ₹0 Cr — not measured
UTI FTIF Series XIX - V (1095 Days)- Maturity Div Optionno recent NAV
UNKNOWN
Uncategorised — −18.2% — ₹0 Cr — not measured
UTI FTIF Series XX - III (1100 Days) - Maturity Div Optionno recent NAV
UNKNOWN
Uncategorised — −16.2% — ₹0 Cr — not measured
UTI FTIF Series XIX - V (1095 Days)- Flexi Div Optionno recent NAV
UNKNOWN
Uncategorised — −14.9% — ₹0 Cr — not measured
UTI FTIF Series XIX - XV (1101 Days) - Maturity Div Optionno recent NAV
UNKNOWN
Uncategorised — −17.7% — ₹0 Cr — not measured
UTI FTIF Series XIX - XV (1101 Days) - Flexi Div Optionno recent NAV
UNKNOWN
Uncategorised — −16.7% — ₹0 Cr — not measured
UTI FTIF Series XVII -XV (1825 DAYS)-Maturity Div Optionno recent NAV
UNKNOWN
Uncategorised — −29.9% −6.4% ₹0 Cr — not measured
UTI FTIF Series XVII - XIII (369 DAYS)-Maturity Div Optionno recent NAV
UNKNOWN
Uncategorised — −9.7% — ₹0 Cr — not measured
UTI FTIF Series XIX - XX (1099 Days) - Maturity Div Optionno recent NAV
UNKNOWN
Uncategorised — −16.4% — ₹0 Cr — not measured
UTI FTIF Series XXI-IV (1146 Days) - Maturity Div Optionno recent NAV
UNKNOWN
Uncategorised — −17.6% −0.4% ₹0 Cr — not measured
UTI FTIF Series XVI - V (731 DAYS)- Maturity Div Optionno recent NAV
UNKNOWN
Uncategorised — −15.7% — ₹0 Cr — not measured
UTI FTIF Series XIX - IX (369 Days) - Maturity Div Optionno recent NAV
UNKNOWN
Uncategorised — — — ₹0 Cr — not measured
UTI FTIF Series XVII -VIII (1096 DAYS)-Flexi Div Optionno recent NAV
UNKNOWN
Uncategorised — −12.2% — ₹0 Cr — not measured
UTI FTIF Series XVIII -VII (368 DAYS)-Maturity Div Optionno recent NAV
UNKNOWN
Uncategorised — −7.6% — ₹0 Cr — not measured
UTI - Dual Advantage Fixed Term Series II-IV (1278 Days)no recent NAV
UTI Asset Mgmt. Co. Ltd.
Uncategorised — −17.2% −1.4% ₹0 Cr — not measured
UTI FTIF Series XVII -VIII (1096 DAYS)-Maturity Div Optionno recent NAV
UNKNOWN
Uncategorised — −17.3% — ₹0 Cr — not measured
UTI FTIF Series XX - XVI (1100 days) Quarterly Div Optionno recent NAV
UNKNOWN
Uncategorised — −1.4% −0.1% ₹0 Cr — not measured
UTI FTIF Series XVI - III (368 DAYS) - Maturity Div Optionno recent NAV
UNKNOWN
Uncategorised — −8.7% — ₹0 Cr — not measured
UTI FTIF Series XVIII - XII (366 Days) - Maturity Div Optionno recent NAV
UNKNOWN
Uncategorised — −8.4% — ₹0 Cr — not measured
UTI FTIF Series XX - III (1100 Days) - Flexi Div Optionno recent NAV
UNKNOWN
Uncategorised — −16.2% — ₹0 Cr — not measured
UTI FTIF Series XX - V (1100 Days) - Maturity Div Optionno recent NAV
UNKNOWN
Uncategorised — −18.0% −0.2% ₹0 Cr — not measured
UTI FTIF Series XX - XII (1103 Days) - Maturity Div Optionno recent NAV
UNKNOWN
Uncategorised — −18.3% −0.1% ₹0 Cr — not measured
UTI FTIF Series XX - XII (1103 Days) - Flexi Div Optionno recent NAV
UNKNOWN
Uncategorised — −17.2% −0.1% ₹0 Cr — not measured
UTI FTIF Series XVIII -II (1825 DAYS)-Maturity Div Optionno recent NAV
UNKNOWN
Uncategorised — −30.4% −6.6% ₹0 Cr — not measured
UTI FTIF Series XX - VI (1100 Days) - Flexi Div Optionno recent NAV
UNKNOWN
Uncategorised — −16.0% — ₹0 Cr — not measured
UTI FTIF Series XIX - IV (366 Days) - Maturity Div Optionno recent NAV
UNKNOWN
Uncategorised — −8.5% — ₹0 Cr — not measured
UTI FTIF Series XIX- I (369 Days) - Maturity Div Optionno recent NAV
UNKNOWN
Uncategorised — — — ₹0 Cr — not measured
UTI FTIF Series XVIII - IX (733 Days) - Maturity Div Optionno recent NAV
UNKNOWN
Uncategorised — −0.1% −3.3% ₹0 Cr — not measured
UTI FTIF Series XXIV-XI (10980 Days)no recent NAV
UNKNOWN
Uncategorised — −14.1% 0.0% ₹0 Cr — not measured
UTI FTIF Series XXI-VIII (1136 Days) - Maturity Div Optionno recent NAV
UNKNOWN
Uncategorised — −17.0% −0.5% ₹0 Cr — not measured
UTI FTIF Series XIX - XII (366 Days) - Flexi Div Optionno recent NAV
UNKNOWN
Uncategorised — — — ₹0 Cr — not measured
UTI FTIF Series XX - X (1105 Days) - Maturity Div Optionno recent NAV
UNKNOWN
Uncategorised — −16.3% −0.1% ₹0 Cr — not measured
UTI FTIF Series XVIII - XI (1095 Days) - Maturity Div Optionno recent NAV
UNKNOWN
Uncategorised — −16.0% — ₹0 Cr — not measured
UTI FTIF Series XIX - III (368 Days) - Maturity Div Optionno recent NAV
UNKNOWN
Uncategorised — — — ₹0 Cr — not measured
UTI FTIF Series XX - VII (1103 Days) - Flexi Div Optionno recent NAV
UNKNOWN
Uncategorised — −17.1% −0.2% ₹0 Cr — not measured
UTI FTIF Series XVII -XVII (395 DAYS)-Maturity Div Optionno recent NAV
UNKNOWN
Uncategorised — −7.2% — ₹0 Cr — not measured
UTI FTIF Series XIX - XI (366 Days) - Maturity Div Optionno recent NAV
UNKNOWN
Uncategorised — −7.6% — ₹0 Cr — not measured
UTI FTIF Series XIX - VI (366 Days) - Maturity Div Optionno recent NAV
UNKNOWN
Uncategorised — −8.2% — ₹0 Cr — not measured

NAV is the growth class, Direct plan where one exists; returns are CAGR to the build's NAV date. How often it beat its category is the share of rolling three-year stretches in which the fund beat its category median; a full record needs 36 windows, and a thinner one is greyed. Funds without that measurement sort last, never first; a fund with no NAV in the last 45 days — wound up, merged or dormant — sorts last of all and is marked. On a phone the table keeps three columns — the fund, its size and the measure you ordered by; category, NAV, both returns and the expense ratio are dropped rather than pushed off the right-hand edge, because an ordering you cannot see is worth nothing.