Uti Fixed Term Income Fund Series Xxx Iii 1106 Days Direct Plan

Benchmarks Nifty24,339.80-26.21FEATURED FUNDS★★★★★Motilal Oswal Midcap Fund Direct-Growth5Y Return23.43 % Invest NowEnter search text:HomeETPrimeMarketsMarket DataNewsIndustrySMEPoliticsWealthMFTechAICareersOpinionNRIPanacheThis Mutual Fund scheme is no longer active now and not accepting any fresh investments.UTI Fixed Term Income Fund - Series XXX - III (1106 Days) Direct-IDCWUnratedInvestment GrowthSIP5,0001 YearLoading...UTI Fixed Term Income Fund - Series XXX - III (1106 Days) Direct-IDCWUnratedUTI Fixed…

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Uti Fixed Term Income Fund Series Xxx Iii 1106 Days Direct Plan
Benchmarks
Nifty24,339.80-26.21
FEATURED FUNDS

★★★★★
Motilal Oswal Midcap Fund Direct-Growth
5Y Return
23.43 %
Invest Now
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This Mutual Fund scheme is no longer active now and not accepting any fresh investments.
UTI Fixed Term Income Fund – Series XXX – III (1106 Days) Direct-IDCW

Unrated

Investment Growth

SIP
5,000
1 Year
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UTI Fixed Term Income Fund – Series XXX – III (1106 Days) Direct-IDCW

Unrated

UTI Fixed Term Income Fund – Series XXX – III (1106 Days) Direct-IDCW Fund Key Highlights

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UTI Fixed Term Income Fund – Series XXX – III (1106 Days) Direct-IDCW Returns

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    Return Comparison

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    UTI Fixed Term Income Fund – Series XXX – III (1106 Days) Direct-IDCW Fund Details

    Investment Objective – The scheme aims to generate returns by investing in a portfolio of fixed income securities maturing on or before the date of maturity of the scheme.

    Fund HouseUTI Mutual FundLaunch DateSep 11, 2018Benchmark-

    UTI Fixed Term Income Fund – Series XXX – III (1106 Days) Direct-IDCW Investment Details

    Minimum Investment (Rs.)5,000.00Minimum Additional Investment (Rs.)10.00Minimum SIP Investment (Rs.)-Minimum Withdrawal (Rs.)-Exit Load0%

    Portfolio Allocation

    Portfolio Aggregates

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    Style Box

    CREDIT RATING
    INTEREST RATE SENSITIVITY
    HighMediumLow
    HighMediumLow

    Investment / Portfolio Grades

    Security TypeWeight(%)Category Avg(%)Government Backed–Low Risk–Moderate Risk–High Risk–Very High Risk–Others–

    Type of Holdings

    Security TypeWeight(%)Category Avg(%)GOI–CD–T-Bills–CP–NCD & Bonds–PTC–Cash & Others–

    Debt Holding In Portfolio

    InstrumentTypeSectorRatingValue(Mn)Total Holding(%)QuantityJM Financial Asset Reconstruction Company LtdZero Coupon BondsFinancialAA-275.1910.90205

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      Risk Ratios

      Ratios are calculated using the calendar month returns for the last 3 years

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