UTI-Corporate Bond Fund - Direct (IDCW-H)
Summary Info
Fund Name UTI Mutual Fund
Scheme Name UTI-Corporate Bond Fund - Direct (IDCW-H)
AMC UTI Mutual Fund
Type Open
Category Corporate Bond Fund
Launch Date 23-Jul-18
Fund Manager Anurag Mittal
Net Assets ( Cr.) 4,813.27
NAV Graph
  One Month   Three Month   Six Month   One Year   Three Year   Five Year
Latest Payouts
Dividends Bonus
Ratio 2.5% 0
Date 22-Mar-22 0
Performance(%)
1 Week[%] 1 Month[%] 3 Month[%] 6 Month[%] 1 Year[%] 3 Year[%] 5 Year[%] Since INC[%]
Scheme Return -0.00 0.63 1.58 4.04 8.20 6.33 6.79 7.58
Category Avg -0.03 0.60 1.62 4.13 8.19 6.05 6.52 7.13
Category Best 0.10 1.21 2.00 5.07 9.39 7.03 13.33 10.48
Category Worst -0.63 -0.03 0.69 2.37 5.20 3.89 5.01 4.49
Holdings
Comapany Name Hold %
GSEC2034 20.92
LIC Housing Fin. 3.69
E X I M Bank 3.66
N A B A R D 3.45
GSEC2034 3.13
I R F C 2.50
I O C L 2.20
S I D B I 2.09
LIC Housing Fin. 2.08
HDB FINANC SER 2.07
Power Fin.Corpn. 1.75
REC Ltd 1.60
I R F C 1.58
Bajaj Finance 1.57
S I D B I 1.57
N A B A R D 1.57
I R F C 1.57
Kotak Mahindra P 1.56
REC Ltd 1.56
S I D B I 1.55
N A B A R D 1.55
Summit Digitel. 1.55
INDIA UNIVERSAL TRUST AL1-SERIES A3 1.55
HDB FINANC SER 1.52
GSEC2037 1.28
Power Fin.Corpn. 1.26
Bajaj Finance 1.05
N A B A R D 1.05
LIC Housing Fin. 1.04
S I D B I 1.04
S I D B I 1.04
S I D B I 1.04
Kotak Mahindra P 1.04
REC Ltd 1.04
REC Ltd 1.04
REC Ltd 1.04
REC Ltd 1.04
REC Ltd 1.04
LIC Housing Fin. 1.01
HDFC Bank 1.00
N A B A R D 0.73
Haryana 2029 0.63
I R F C 0.62
LIC Housing Fin. 0.52
I O C L 0.52
E X I M Bank 0.52
E X I M Bank 0.52
E X I M Bank 0.52
Power Fin.Corpn. 0.52
Power Fin.Corpn. 0.52
Power Fin.Corpn. 0.52
Natl. Hous. Bank 0.52
Natl. Hous. Bank 0.52
I R F C 0.52
REC Ltd 0.52
I O C L 0.51
GSEC2027 0.35
E X I M Bank 0.31
N A B A R D 0.31
S I D B I 0.21
E X I M Bank 0.21
GSEC2027 0.18
GSEC2027 0.15
GSEC2033 0.01
Net CA & Others 4.36
CDMDF-A2 UNITS 0.20
C C I 0.07