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UTI Value Fund-Reg(G)

very highequity
170.40 1.61(0.95%) NAV as on 26 Jun 2025
3.42 % 1 M
7.34 % 1 Y
23.98 % 3 Y

Growth Chart of the Scheme vis a vis benchmark

  • 1W
  • 1M
  • 3M
  • 6M
  • 1Y
  • 3Y
  • 5Y
  • 10Y

SCHEME DETAILS

Expenses Ratio :

1.82

As on 31 May, 2025
Age :

19 yrs 11 m

Since 20 07 ,2005
Exit Load :

0%

AUM :

9,752.28 Crs

Portfolio Price To Book Value :

4.4

Investing Style :

Large Growth

Min. Investment :

SIP 500 & Lumpsum 5000

Category :

value fund

Fund Manager :

Amit Premchandani

Launch Date :

20-Jul-05

Scheme Benchmark :

NA

FUND OBJECTIVE

The primary objective of the scheme is to generate long term capital appreciation by investing predominantly in equity and equity related securities of companies across market capitalization spectrum. However, there can be no assurance or guarantee that the investment objective of the scheme would be achieved.

RISKOMETER Level of Risk in the Scheme

Investors understand that their principal will be at very high risk

LATEST ASSET & PORTFOLIO ALLOCATION

as on May 31 ,2025
Debt 0.27 %
Others 0.94 %
Equity 98.80 %

TOP HOLDINGS

HDFC Bank Ltd.9.77 %
ICICI Bank Ltd.6.37 %
Infosys Ltd.4.65 %
Bharti Airtel Ltd.4.18 %
Axis Bank Ltd.3.79 %

ALLOCATION BY MARKET CAP

ALLOCATION BY SECTOR

Bank - Private25.15
IT - Software10.71
Pharmaceuticals & Drugs5.00
Refineries4.24
Telecommunication - Service Provider4.18

5-YEARS HISTORY

Financial Year2020-20212021-20222022-20232023-20242024-2025
NAV in Rs (as on 31-Mar-2025)82.9098.8399.05135.74156.23
Net Assets(Rs Crores) (as on 31-Mar-2025) 5514.54 6615.19 6652.02 8577.75 9455.20
Scheme Returns(%)(Absolute)82.5918.05-0.7236.4614.03
B'mark Returns(%)(Absolute)NANANANANA
Category Rank9/1710/2116/1918/201/21

Quarterly Performance - Last 5 Years (Absolute Ret. In %)

Financial Year Q1 Q2 Q3 Q4
2024-202517.1210.79-7.33-4.28
2023-202411.606.4112.432.64
2022-2023-9.4512.163.98-5.09
2021-202210.0410.00-0.25-1.26
2020-202120.849.2423.618.02

PERFORMANCE COMPARISON WITH SIMILAR SCHEMES

UTI Value Fund-Reg(G)Very HighEquity170.401.61(0.95%)NAV As on 26 Jun, 202520-Jul-2005Inception Date9,752.28AUM In Cr.7.34%1Y23.98%3Y24.35%5Y15.27%Since Inception
HSBC Value Fund-Reg(G)Very HighEquity111.620.64(0.58%)NAV As on 26 Jun, 202508-Jan-2010Inception Date13,325.48AUM In Cr.4.27%1Y30.43%3Y29.25%5Y16.87%Since Inception
JM Value Fund(G)Very HighEquity99.500.53(0.54%)NAV As on 26 Jun, 202502-Jun-1997Inception Date1,089.00AUM In Cr.-2.80%1Y30.29%3Y28.34%5Y16.90%Since Inception
Quant Value Fund-Reg(G)Very HighEquity19.610.21(1.09%)NAV As on 26 Jun, 202530-Nov-2021Inception Date1,794.51AUM In Cr.-5.34%1Y29.62%3YNA%5Y20.74%Since Inception
Axis Value Fund-Reg(G)Very HighEquity18.540.18(0.98%)NAV As on 26 Jun, 202522-Sep-2021Inception Date921.06AUM In Cr.6.98%1Y27.92%3YNA%5Y17.84%Since Inception
Nippon India Value Fund(G)Very HighEquity227.822.00(0.89%)NAV As on 26 Jun, 202508-Jun-2005Inception Date8,663.75AUM In Cr.5.26%1Y27.64%3Y28.73%5Y16.86%Since Inception

Mutual fund and other investments are always subject to market risks. Please read all, Scheme Information Documents (SID), Key Information Memorandum (KIM), Addendums(if any) issued there to from time to time and any other related documents or information carefully before investing. Past performance is not indicative or assurance of future performance or returns. Please consider your specific investment requirements before choosing a fund.

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