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UTI Banking PSU Fund Flexi

UTI Banking PSU Fund Flexi

Fund Name

UTI Mutual Fund

Scheme Name

UTI Banking PSU Fund Flexi

AMC

UTI Mutual Fund

Type

:  Open

Category

Income Funds

Launch Date

15-Sep-2014

Fund Manager

Anurag Mittal

Net Assets (Rs. cr)

785.18

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UTI Banking PSU Fund Flexi - Nav Details

Nav Date

:  08-May-2025

NAV [Rs.]

:  14.5542

Buy/Resale Price [Rs.]

0

Sell/Repurchase Price [Rs.]

0

Entry Load %

Nil

Exit Load %

0.25% - If redeemed/switched out less than or equal to 30 days from the date of allotment. Nil - If redeemed/switched out greater than 30 days from the date of allotment.

UTI Banking PSU Fund Flexi- NAV Chart

UTI Banking PSU Fund Flexi- Performance(%)

Returns above 1 yr. are annualized

1W
1M
3M
6M
1Y
3Y
5Y
Since INC
Scheme Returns
0.04
0.84
2.57
4.32
8.59
7.28
7.2
6.41
Category Avg
-0.1
0.97
3.29
4.99
10
7.97
6.87
7.12
Category Best
0.29
11.92
15.63
17.89
23.23
15.41
27.38
11.29
Category Worst
-2.03
-1.68
-1.15
-0.2
-0.03
1.74
3.34
0.02

UTI Banking PSU Fund Flexi- Latest Dividends

Record DateDividend %Bonus
22-Mar-202150

UTI Banking PSU Fund Flexi- Investment Details

Min. Investment(Rs.)

20000

Increm.Investment(Rs.)

500

In & Out

In

InName Of The CompanyNo Of Shares
--

Out

InName Of The CompanyNo Of Shares
--

Fund Holdings

Asset Type
Instrument Name
Industry
Net Assets(%)
No of Shares
Mkt Value(Cr.)
Debt Investments
NCDAxis Bank-/-7.0155055.51
NCDE X I M Bank-/-6.42500050.82
NCDS I D B I-/-6.42500050.81
NCDPower Fin.Corpn.-/-5.1540040.82
NCDREC Ltd-/-4.52350035.79
NCDHDFC Bank-/-4.4635035.32
NCDI R F C-/-3.8630030.55
NCDN A B A R D-/-3.85300030.48
NCDN A B A R D-/-3.2725025.88
NCDI R F C-/-3.22250025.52
NCDPower Fin.Corpn.-/-3.2125025.41
NCDNatl. Hous. Bank-/-3.21250025.41
NCDAditya Birla Hsg-/-3.20250025.32
NCDE X I M Bank-/-3.1925025.25
NCDI O C L-/-3.1325024.80
NCDICICI Bank-/-3.1025024.56
NCDREC Ltd-/-1.9315015.25
NCDN A B A R D-/-1.92150015.22
NCDNHPC Ltd-/-1.9175015.16
NCDICICI Bank-/-1.9115015.11
NCDPower Fin.Corpn.-/-1.29100010.24
NCDNatl. Hous. Bank-/-1.29100010.17
NCDNHPC Ltd-/-1.2850010.16
Government Securities
Govt. SecuritiesGSEC2027-/-11.6790000000092.41
Govt. SecuritiesGSEC2028-/-1.9715000000015.61
Govt. SecuritiesGSEC2028-/-1.3010000000010.27
Govt. SecuritiesGSEC2028-/-1.3010000000010.26
Govt. SecuritiesGSEC2027-/-0.75700000005.96
Govt. SecuritiesTAMIL NADU 2027-/-0.65500000005.13
Term Deposits
Fixed DepositsC C I-/-0.0300.20
Cash & Cash Equivalent
Net CA & OthersNet CA & Others-/-3.25025.75

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MY WEALTH AT RETIREMENT

Calculate the worth of your wealth at retirement

Key information

Fund House:
UTI Mutual Fund
Incorporation Date:
14-Nov-2002
Total Assets Managed (Cr.):
3,39,982.89
Trustee/s:
Prof P G Apte, Mr. A Ramesh Kumar, Mr. Suhail Nathani, UTI Tustee Company Pvt. L
Chairman:
NA
CEO / MD:
Imtaiyazur Rahman, Mr.Imtaiyazur Rahman
CIO:
NA
President:
Mr. Debashish Mohanty
Director/s:
Mr.N Seshadri, Santosh Kumar, Mr. James Sellers Riepe, Mr. Flemming Madsen
Compliance Officer/s:
Ms. Suruchi wanare
Investor Service Officer/s:
Ms.Madhavi Dicholkar
Fund Manager/s:
Anurag Mittal
Auditors:
M/s Haribhakti & Co.,

OTHER INFORMATION

Registered Office:
UTI Towers, Gn Block, Bandra Kurla Complex, Bandra (East), Mumbai 400 051
Contact Nos:
022 66786666
Fax:
022 66786503;66786578

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