FUND PROFILE


Incorporated on
 Nov 14 , 2002


Total assets under management ()( Cr)
 361,294.51(Jun 30 , 2025)


Type
 Others


Address:
 UTI Towers, Gn Block,Bandra Kurla Complex,Bandra (East), Mumbai 400 051


Tel No.
 022 66786666


Fax:
 022 66786503;66786578


E-mail:


Website


Registrar
NA


Scheme Name Category Asset Size () (Cr.) Asset Date NAV () NAV Date Fund Manager
UTI-Aggressive Hybrid ... Balanced 6422.41 31-Jul-2025 424.53 29-Aug-2025 V Srivatsa
UTI-Aggressive Hybrid ... Balanced 6422.41 31-Jul-2025 46.22 29-Aug-2025 V Srivatsa
UTI-Aggressive Hybrid ... Balanced 6422.41 31-Jul-2025 394.42 29-Aug-2025 V Srivatsa
UTI-Aggressive Hybrid ... Balanced 6422.41 31-Jul-2025 41.23 29-Aug-2025 V Srivatsa
UTI-Annual Interval Fu... Bond Funds 23.64 31-Jul-2025 35.08 29-Aug-2025 Sunil Patil
UTI-Annual Interval Fu... Bond Funds 23.64 31-Jul-2025 11.24 29-Aug-2025 Sunil Patil
UTI-Annual Interval Fu... Bond Funds 23.64 31-Jul-2025 36.06 29-Aug-2025 Sunil Patil
UTI-Annual Interval Fu... Bond Funds 23.64 31-Jul-2025 34.66 29-Aug-2025 Sunil Patil
UTI-Annual Interval Fu... Bond Funds 23.64 31-Jul-2025 10.89 29-Aug-2025 Sunil Patil
UTI-Arbitrage Fund - D... Equity - Diversified 8511.83 31-Jul-2025 37.67 29-Aug-2025 Rajeev Gupta