UTI TREASURY ADVANTAGE FUND WEEKLY DIVIDEND PLAN

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Banking & PSU NAV 1089.4402 0 23 January, 2019
  • 0%
  • Y 0M

Fund Details

Category Banking & PSU
Fund Type Open Ended
Investment Plan Dividend
Launch Date 21 March, 2003
Benchmark CRISIL Liquid Fund
Asset Size(Cr) 2546.88 (As on June 30, 2019)
Min Investment ₹ 10000
Min SIP Investment ₹ 1000
Min Addl Investment ₹ 10000
Exit Load -
Expense Ratio 0.37% (As on June 30, 2019)
Fund Manager Sudhir Agrawal (5.2)

Investment Returns (As on 23 Jan, 2019)

  • 3 Month -
  • 6 Month -
  • 1 Year -
  • 3 Year -
  • 5 Year -
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Disclaimer: Above returns are calculated on the basis of historical NAV movement for the selected period. However, historical performance does not guarantee future returns. Investors must take investment decisions based on his/her own requirements.

Peer Comparison

Fund Name 1 Yr Rtn. 3 Yr Rtn. 5 Yr Rtn.
UTI TREASURY ADVANTAGE FUND WEEKLY DIVIDEND PLAN 0% 0% 0%
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