UTI-Monthly Income Scheme (D)

UTI-Monthly Income Scheme (D)

Summary Info
Fund Name : UTI Mutual Fund
Scheme Name : UTI-Monthly Income Scheme (D)
AMC : UTI Mutual Fund
Type : Open
Category : Monthly Income Plans - Short Term
Launch Date : 12-Sep-02
Fund Manager : Amandeep Chopra
Net Assets (Rs. cr) : 298.48

NAV Details

NAV Date : 24-May-13
NAV [Rs.] : 12.0
Buy/Resale Price [Rs.] : 11.99
Sell/Repurchase Price [Rs.] : 11.99
Entry Load % : NIL
Exit Load % : < 1 year - 1%. >=1 year - NIL.

NAV Chart

Graph: 1m |   3m |   6m |   1y |   3y

Performance(%)

* returns above 1 yr. are annualized

  1w 1m 3m 6m 1y 3y 5y Since INC
Scheme Returns [0.4] 2.5 4.0 6.3 12.8 8.0 8.6 8.1
Category Avg 6.2 9.8 [1.4] 3.0 0.4 5.0 6.5 7.0
Category Best 39.3 22.4 13.5 14.0 8.3 10.0 9.0 11.2
Category Worst [22.4] [12.7] [23.7] [11.9] [9.3] 0.6 4.1 3.7

Latest Payouts

  Dividends Bonus
Ratio 0.79549102 % NA
Date 30-Apr-13 NA

Investment Details

Tax Benefits : NA
Min. Investment(Rs.) : 10,000.00
Increm.Investment(Rs.) : 1,000.00

In & Out

In
Name of the Company No of shares
Oil India 15,000
Out
Name of the Company No of shares
No investments sold out

Fund Holdings

As on 31-Mar-2013

Asset TypeInstrument NameIndustryNet Assets
(%)
No of SharesMkt Value
(Cr.)
Equity & Equity related Investments
Equityeq wipro ltd.IT - Software1.280,0003.5
Equityeq infosys ltd.IT - Software1.111,0003.2
Equityeq itc ltd.Tobacco Products0.878,0002.4
Equityeq icici bank ltdBanks0.720,5002.1
Equityeq hdfc ltd.Finance0.725,0002.1
Equityeq dr. reddy's laboratories ltd.Pharmaceuticals0.711,0001.9
Equityeq asian paints ltd.Paints/Varnish0.63,5501.7
Equityeq reliance industries ltd.Refineries0.622,5001.7
Equityeq state bank of indiaBanks0.68,0001.7
Equityeq cairn india ltd.Crude Oil & Natural Gas0.660,0001.6
Equityeq larsen & toubro ltd.Infrastructure Developers & Operators0.612,0001.6
Equityeq hdfc bank ltd.Banks0.525,0001.6
Equityeq power grid corporation of india ltdPower Generation & Distribution0.5146,6501.6
Equityeq ntpc ltd.Power Generation & Distribution0.5100,0001.4
Equityeq grasim industries ltd.Textiles0.55,0001.4
Equityeq axis bank ltd.Banks0.410,0001.3
Equityeq bharti airtel ltd.Telecomm-Service0.440,0001.2
Equityeq bank of barodaBanks0.417,0001.1
Equityeq hindustan unilever ltd.FMCG0.425,0001.2
Equityeq jindal steel & power ltd.Steel0.433,0491.1
Equityeq cipla ltd.Pharmaceuticals0.430,0001.1
Equityeq tata consultancy services ltd.IT - Software0.47,0001.1
Equityeq maruti suzuki india ltd.Automobile0.48,5001.1
Equityeq tata steel ltd.Steel0.434,5001.1
Equityeq mahindra & mahindra ltd.Automobile0.39,0000.8
Equityeq c e s c ltd.Power Generation & Distribution0.225,0000.7
Equityeq adani ports and special economic zone ltdInfrastructure Developers & Operators0.240,0000.6
Equityeq titan industries ltd.Diamond, Gems and Jewellery0.220,0000.5
Debt Investments
NCDncd bmw india financial services pvt ltdAAA8.625025.6
NCDncd reliance gas transportation infrastructure ltd.AAA7.020020.6
NCDncd mahindra & mahindra fin.ser.ltd.AA+6.820020.1
NCDncd tata steel ltd.AA5.415015.9
NCDncd shriram transport finance co.ltd.AA5.115015.0
NCDncd tata power company ltd.AA3.510010.5
NCDncd power finance corporation ltd.AAA3.410010.1
NCDncd magma fincorp ltd.AA+3.410010.1
NCDncd cholamandalam investment & finance company ltdAA3.410010.0
NCDncd mahindra vehicles manufacturers ltd.AA1.8505.2
NCDncd bmw india financial services pvt ltdAAA1.7505.1
NCDncd sundaram bnp paribas home finance ltd.AA+1.7505.0
NCDncd union bank of indiaAAA1.7505.0
NCDncd steel authority of india ltd.AAA1.7505.0
NCDncd lic housing finance ltd.AAA0.9252.5
PTCptc standard chartered bankAAA0.51,000,0001.4
PTCptc standard chartered bankAAA0.2350,0000.7
PSU & PFI Bondsddb bajaj finance ltd.AA+0.010.1
Government Securities
Govt. Securitiesgsec 11/06/2022Sovereign6.8200,000,00020.3
Govt. Securitiesgsec 12/12/2041Sovereign5.4150,000,00016.0
Govt. Securitiesgsec 05/12/2030Sovereign1.850,000,0005.3
Money Market Investments
Certificate of Depositsc d yes bank ltd.A1+7.7250,000,00023.0
Term Deposits
Fixed Depositssterm-dep: bank of baroda-/-0.0NA0.0
Cash & Cash Equivalent
Net CA & Othersnet current assets-/-7.3NA21.5

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Key Information

Fund House: UTI Mutual Fund
Incorporation Date : 14-Nov-2002
Total Assets Managed (Cr.) : 30,108.87
Trustee/s : S Ravi
Chairman : N/A
CEO / MD : N/A
CIO : N/A
President : N/A
Director/s : Pradeep Gupta
Compliance Officer/s : Shri Vivek Maheshwari
Investor Service Officer/s : G S Arora
Fund Manager/s : Amandeep Chopra

Other Information

Auditors :  N/A
Registered Office : UTI Towers, Gn Block, ,Bandra Kurla Complex, ,Bandra (East), Mumbai 400 051
Contact Nos : 022-66786666
Fax : 66786503;66786578
Email : service@uti.co.in
Website :  www.utimf.com

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