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UTI Liquid Fund-Reg(G)

Scheme Returns

6.18%

Category Returns

6.08%

Riskometer

  • Low
  • Low to moderate
  • Moderate
  • Moderately High
  • High
  • Very High

NAV Chart

Trailing Returns

1 Day 1 week 1 Mth 3 Mth 1 Yrs 3 Yrs 4 Yrs 5 Yrs Since Inception
UTI Liquid Fund-Reg(G) 11.17 5.80 6.18 6.65 7.17 6.95 6.10 5.51 6.87
Debt - Liquid Fund 10.21 5.77 6.08 6.54 7.09 6.87 6.03 5.45 6.44

* Equity - Returns upto 1 year are absolute and over 1 year are CAGR.

* Debt - Returns upto 1 year are annualized and over 1 year are CAGR.

  • AMC

    UTI Asset Management Company Private Limited

  • Fund

    UTI Mutual Fund

Snapshot

  • Inception Date

    10-Dec-2003

  • Initial Price

    ₹1,000

  • Entry Load

    --

  • Size of Fund(in Cr.)

    2,777,239.55

  • Scheme Plan

    --

  • Scheme Class

    Debt - Liquid Fund

  • Objectives

    The investment objective of the scheme is to generate steady and reasonable income, with low risk and high level of liquidity from a portfolio of debt & money market instruments. However there can be no assurance that the investment objective of the Scheme will be achieved. The Scheme does not guarantee / indicate any returns.

  • Scheme Type

    Open ended scheme

  • Min. Investment

    ₹500

  • Exit Load

    0.007

  • Latest NAV

    4283.7659

  • Fund Manager

    Mr. Amit Sharma

  • Fund Manager Profile

    --

  • Fund Information

  • AMC

    UTI Asset Management Company Private Limited

  • Address

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

  • Phone

    +91 (22) 66786666

  • Fax

    +91 (22) 66786503,56786578

  • Email

    service@uti.co.in

  • Website

    www.utimf.com

  • Registrar Agent

  • Registrar

    KFin Technologies Limited

  • Address

    Selenium Building, Tower-B, Plot No 31 & 32 Financial District,Nanakramguda, Serilingampally Hyderabad - 500 032

  • Phone

    (040) 23312454 23320751 23320752

  • Fax

    (040) 23311968

  • Email

    customercare@karvy.com

  • Website

    https://mfs.kfintech.com/

Portfolio Details

Allocation
Debt : 105.67
Others : -5.67

Companies - Holding Percentage

Company Market Value hold percentage
91 D TBILL MAT - 26/06/2025 133977.06 5.67
91 D TBILL MAT- 19/06/25 99714.8 4.22
182 DAYS T BILL - 24/07/2025 99191.6 4.2
CP INDIAN OIL CORPORATION LTD. 64819.82 2.74
CP RELIANCE RETAIL VENTURES LIMITED 64750.27 2.74
364 D TBILL MAT - 12/06/2025 62392.81 2.64
CP RELIANCE INDUSTRIES LTD. 62249.38 2.64
CP INDIAN OIL CORPORATION LTD. 62215.06 2.63
091 D TBILL MAT - 05/06/25 49968.1 2.12
CD - CANARA BANK - 12/06/25 49905.25 2.11
CP RELIANCE INDUSTRIES LTD. 49782.15 2.11
CP TATA STEEL LTD. 49569.5 2.1
CP NTPC LTD. 49501.9 2.1
CD - HDFC BANK - 18/08/2025 49354 2.09
CD - PUNJAB & SIND BANK - 18/08/25 49347.25 2.09
CD - INDIAN BANK - 25/08/2025 49298 2.09
CD - CANARA BANK - 26/08/25 49291.55 2.09
CP EXPORT IMPORT BANK OF INDIA 46963.68 1.99
NCD CHENNAI PETROLEUM CORPORATION LIMITED 35453.5 1.5
CP JSW ENERGY LTD. 34994.05 1.48
CP TITAN COMPANY LTD. 34950.76 1.48
CD - HDFC BANK - 11/06/25 34939.91 1.48
CP RELIANCE INDUSTRIES LTD. 34853.56 1.48
CP ULTRATECH CEMENT LTD. 34623.93 1.47
CP AXIS SECURITIES LTD 29954.7 1.27
CD - INDIAN BANK - 16/06/2025 29922.54 1.27
CD - CANARA BANK - 17/06/25 29917.26 1.27
CD - PUNJAB & SIND BANK - 17/06/25 29916.15 1.27
CP ONGC PETRO-ADDITIONS LTD. 29882.04 1.26
CD - KARUR VYSYA BANK - 17/07/25 29764.08 1.26
CP KOTAK MAHINDRA PRIME LTD. 29714.7 1.26
182 D TBILL MAT - 12/06/2025 27452.84 1.16
CP SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA 24960.93 1.06
CP BAJAJ FINANCIAL SECURITIES LTD 24957.95 1.06
CP NETWORK18 MEDIA AND INVESTMENTS LTD. 24956.15 1.06
CP ICICI SECURITIES LTD. 24952.98 1.06
CP EXPORT IMPORT BANK OF INDIA 24952.85 1.06
CP RELIANCE INDUSTRIES LTD. 24947.6 1.06
CD - HDFC BANK - 17/06/2025 24931.1 1.06
CP SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA 24867.9 1.05
CD - ICICI BANK - 25/07/2025 24772.4 1.05
CP ADITYA BIRLA CAPITAL LTD 24747.45 1.05
CP NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT 24658.75 1.04
CP ICICI SECURITIES LTD. 22487.72 0.95
NCD EXPORT IMPORT BANK OF INDIA 20000.48 0.85
CP HDFC SECURITIES LTD 19988.74 0.85
CP MOTILAL OSWAL FINANCIAL SERVICES LTD. 19981.2 0.85
CP ICICI SECURITIES LTD. 19958.62 0.84
CD - KARUR VYSYA BANK - 18/06/2025 19940.56 0.84
CP GODREJ CONSUMER PRODUCTS LTD 19916.16 0.84
364 D TBILL MAT - 18/07/25 19856.5 0.84
CP NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT 19849.84 0.84
CD - INDIAN OVERSEAS BANK -24/07/2025 19818.42 0.84
364 D TBILL MAT - 21/08/2025 19754.5 0.84
CP SUNDARAM FINANCE LTD. 19729.96 0.84
CP HINDUSTAN ZINC LTD. 19723.34 0.83
CP JULIUS BAER CAPITAL INDIA PRIVATE LIMITED 19712.24 0.83
CD - UNION BANK OF INDIA - 17/06/25 17451.96 0.74
CP GIC HOUSING FINANCE LTD. 17293.34 0.73
CD - CANARA BANK - 20/08/25 17269.12 0.73
CP SIKKA PORTS AND TERMINALS LIMITED 14971.13 0.63
CP INFINA FINANCE PRIVATE LIMITED 14855.03 0.63
CP 360 ONE PRIME LTD 14774.72 0.63
CP MUTHOOT FINANCE LTD 14769.47 0.63
CP NUVAMA WEALTH MANAGEMENT LTD 12486.01 0.53
5.22% GS 15/06/2025 9998.12 0.42
CP ASEEM INFRASTRUCTURE FINANCE LTD 9992.54 0.42
CP HINDUSTAN ZINC LTD. 9991.24 0.42
CP JUBILANT INGREVIA LTD. 9990.78 0.42
CP ICICI SECURITIES LTD. 9969.84 0.42
CP PIRAMAL FINANCE LIMITED 9968.36 0.42
CP THE RAMCO CEMENTS LIMITED 9955.48 0.42
CP ANGEL ONE LTD 9944.16 0.42
CP IGH HOLDINGS PRIVATE LIMITED 9907.25 0.42
CP HINDUSTAN ZINC LTD. 9904.83 0.42
CP INFINA FINANCE PRIVATE LIMITED 9899.68 0.42
CP ADITYA BIRLA MONEY LTD 9884.66 0.42
CP PIRAMAL FINANCE LIMITED 9882.33 0.42
CP PIRAMAL ENTERPRISES LTD. 9868.41 0.42
CP INFINA FINANCE PRIVATE LIMITED 9864.41 0.42
CP MOTILAL OSWAL FINANCIAL SERVICES LTD. 9859.99 0.42
CP MOTILAL OSWAL FINANCIAL SERVICES LTD. 9858.22 0.42
CP AXIS SECURITIES LTD 9849.08 0.42
NCD HDFC BANK LTD. 9000.26 0.38
CORPORATE DEBT MARKET DEVT FUND - A2 UNITS 6493.73 0.27
CP HDFC SECURITIES LTD 4998.13 0.21
CD - BANK OF INDIA - 12/06/2025 4990.54 0.21
CD - INDIAN BANK - 12/06/25 4990.54 0.21
CP CREDILA FINANCIAL SERVICES LTD 4988.21 0.21
CP TATA TELESERVICES MAHARASHTRA LTD 4984.59 0.21
CD - AXIS BANK - 15/07/2025 4962.67 0.21
CD - BANK OF INDIA - 08/08/2025 4943.23 0.21
CP ANGEL ONE LTD 4922.39 0.21
CP EXPORT IMPORT BANK OF INDIA 1999.31 0.08
CLEARING CORPORATION OF INDIA LTD. STD - MARGIN 501 0.02
NET CURRENT ASSETS -140972.68 -5.97

Sectors - Holding Percentage

Sector hold percentage
Bank 31.45%
G-Sec 22.11%
Finance 20.09%
Crude Oil 14.15%
Power 3.58%
Retailing 2.74%
Iron & Steel 2.1%
Construction Materials 1.89%
Chemicals 1.69%
Non - Ferrous Metals 1.68%
Diamond & Jewellery 1.48%
Media & Entertainment 1.06%
FMCG 0.84%
Logistics 0.63%
Telecom 0.21%

Divident Details

Scheme Name Date Dividend (%)
No Data Found

Alternative Funds From Category

Scheme Name Asset Size 1M 3M 6M 1Y 3Y
Franklin India Liquid Fund - Super Institutional Plan - Growth 1549.3 6.24 6.77 7.2 7.25 6.96
BANK OF INDIA Liquid Fund- Regular Plan- Growth 590.23 6.19 6.72 7.15 7.24 7.01
Groww Liquid Fund (formerly known as Indiabulls Liquid Fund) - Growth Option 128.19 6.16 6.74 7.19 7.21 6.85
Axis Liquid Fund - Regular Plan - Growth Option 25738.5 6.21 6.68 7.19 7.21 6.99
DSP Liquidity Fund - Regular Plan - Growth 9375.19 6.2 6.64 7.12 7.2 6.94
Canara Robeco Liquid Fund-Regular Plan-Growth 3221.93 6.13 6.71 7.16 7.2 6.98
PGIM India Liquid Fund - Growth 686.14 6.14 6.68 7.15 7.19 6.93
HSBC Liquid Fund - Growth 2110.4 6.27 6.69 7.15 7.19 6.85
Union Liquid Fund - Growth Option 1618.27 6.13 6.61 7.1 7.18 6.96
Aditya Birla Sun Life Liquid Fund-Institutional (Growth) 122.23 6.14 6.67 7.13 7.18 6.96

Other Funds From - UTI Liquid Fund-Reg(G)

Scheme Name Asset Size 1M 3M 6M 1Y 3Y
UTI Nifty 50 ETF 62533.31 3.36 9.01 8.68 7.47 18.64
UTI Nifty 50 ETF 62296.91 3.36 9.01 8.68 7.47 18.64
UTI Nifty 50 ETF 61103.05 3.36 9.01 8.68 7.47 18.64
UTI Nifty 50 ETF 60277.47 3.36 9.01 8.68 7.47 18.64
UTI Nifty 50 ETF 60032.18 3.36 9.01 8.68 7.47 18.64
UTI Nifty 50 ETF 59666.85 3.36 9.01 8.68 7.47 18.64
UTI Nifty 50 ETF 58573.02 3.36 9.01 8.68 7.47 18.64
UTI Nifty 50 ETF 58194.81 3.36 9.01 8.68 7.47 18.64
UTI Nifty 50 ETF 57902.18 3.36 9.01 8.68 7.47 18.64
UTI Nifty 50 ETF 57440.04 3.36 9.01 8.68 7.47 18.64