UTI - Treasury Advantage Fund - Regular Plan - Growth Option
₹ 2876.59 1.77 (0.06%) Nav: As on 2022-07-04
₹ 2876.59 1.77 (0.06%) Nav: As on 2022-07-04
- Benchmark CRISIL Liquid Fund TR INR
- Dividend null
- Category Fixed Income
- Launch Date 2007-04-23
- Minimum SIP 500.00
- Expense ratio 0.43
Nav vs Time/Day As on 2022-07-04
mf002653
Portfolio
Asset Allocation
Top holdings in portfolio
STOCKS NAME
TOTAL HOLDINGS
Returns
- Period Invested
- 1 month
- 3 month
- 6 month
- 1 year
- 2 year
- 3 year
- 5 year
- Since Inception
- Absolute
Returns - 0.45
- 0.65
- 1.73
- 8.80
- -
- 23.71
- 26.00
- 187.66
- Annualise
Return - -
- -
- -
- 8.80
- 6.58
- 7.35
- 4.73
- 7.20