UTI-Money Market Fund - Direct (IDCW-F)

by:UTI-Money Market Fund

Statistics

  • AUM

    8198.39Cr

  • Returns

    1y : 8.52%
    3y : 6.67%
    5y : 6.01%
    Since Inception : 6.88%

  • NAV

    1,251.93 ( as on 19-12-2024)

  • Risk

    Moderately Low

  • Last Dividend Paid

    2.38

  • Expense Ratio

    0.20%

  • Benchmark

    CRISIL Money Market Fund A-I Index

  • Exit Load

    -

Fund Manager Name
Amit Sharma
Qualification
B.Com, CA, FRM
Designation
FUND MANAGER
Experience
Mr. Amit Sharma is Vice President & Fund Manager - Debt. He joined UTI in 2008. He has worked in Department of Fund Accounts. He has been associated with the Dept. of Fund Management for the past 4 years.
Remarks

    Holdings

  • Company

    Sector

    Percentage held

  • Net CA & Others

    NA

    5.16%

  • Tata Power Co.

    NA

    4.84%

  • GSEC2021

    NA

    3.59%

  • ODISHA 2024

    NA

    3.21%

  • Kotak Mahindra P

    NA

    3.20%

  • Bajaj Housing

    NA

    3.16%

  • TBILL-91D

    NA

    2.85%

  • Larsen & Toubro

    NA

    2.58%

  • Vedanta

    NA

    2.37%

  • Shriram Trans.

    NA

    2.20%

  • TBILL-364D

    NA

    2.15%

  • Sikka Ports

    NA

    2.01%

  • Havells India

    NA

    1.98%

  • Tata Steel

    NA

    1.97%

  • H P C L

    NA

    1.96%

  • REC Ltd

    NA

    1.91%

  • Bharti Airtel

    NA

    1.86%

  • Piramal Enterp.

    NA

    1.84%

  • Sun Pharma.Inds.

    NA

    1.78%

  • IGH Holdings

    NA

    1.76%

  • Jamnagar Utiliti

    NA

    1.73%

  • GSEC2022

    NA

    1.71%

  • Karnataka 2022

    NA

    1.65%

  • Netwrk.18 Media

    NA

    1.62%

  • RBL Bank

    NA

    1.61%

  • Shriram Finance

    NA

    1.58%

  • Tata Motors Fin.

    NA

    1.57%

  • JM Finan. Credit

    NA

    1.47%

  • Sundaram Finance

    1.41%

  • Axis Finance

    NA

    1.40%

  • IIFL Finance

    NA

    1.39%

  • ICICI Home Fin

    NA

    1.36%

  • IIFL Wealth Mgt

    NA

    1.35%

  • Tata Capital Fin

    NA

    1.34%

  • Tata Mot.Fin.Sol

    NA

    1.32%

  • Aditya Bir. Fas.

    1.28%

  • L&T Finance

    NA

    1.27%

  • L&T Infra Fin

    NA

    1.24%

  • ORISSA 2024

    NA

    1.20%

  • UltraTech Cem.

    NA

    1.19%

  • Fullerton India

    NA

    1.17%

  • TMF Business Ser

    NA

    1.15%

  • JM Financial Pro

    NA

    1.05%

  • Piramal Capital

    NA

    1.03%

  • Panatone Finvest

    NA

    0.96%

  • Pun. & Sind Bank

    NA

    0.95%

  • Telangana 2025

    NA

    0.89%

  • Sterlite Tech.

    NA

    0.87%

  • Tata Projects

    NA

    0.85%

  • The Ramco Cement

    NA

    0.80%

  • IndusInd Bank

    NA

    0.79%

  • HDFC Securities

    NA

    0.78%

  • Mahindra Rural

    NA

    0.75%

  • Godrej Industrie

    NA

    0.71%

  • Natl. Hous. Bank

    NA

    0.70%

  • Gujarat 2023

    NA

    0.69%

  • Power Fin.Corpn.

    NA

    0.68%

  • Aditya Birla Hsg

    NA

    0.67%

  • Crompton Gr. Con

    NA

    0.67%

  • Dalmia BharatLtd

    NA

    0.66%

  • Godrej Agrovet

    NA

    0.65%

  • Deutsche Invest

    NA

    0.64%

  • GSEC2020

    NA

    0.63%

  • Baha.Chand.Inv.

    NA

    0.62%

  • Rajasthan 2023

    NA

    0.60%

  • Bharti Hexacom

    NA

    0.58%

  • KOTAK MAHI. INV.

    NA

    0.58%

  • Stand.Char. Inv.

    NA

    0.56%

  • K E C Intl.

    NA

    0.53%

  • Jharkhand SDL 2023

    NA

    0.49%

  • MAHARASHTRA SDL 2023

    NA

    0.48%

  • Bajaj Finance

    NA

    0.47%

  • GIC Housing Fin

    NA

    0.45%

  • Rel. Retail Vent

    NA

    0.40%

  • JM Finan Serv

    NA

    0.38%

  • HSBC Investdirec

    NA

    0.37%

  • Uttar Pradesh 2025

    NA

    0.35%

  • Andhra Pradesh 2023

    NA

    0.34%

  • Barclays Invest

    NA

    0.33%

  • Tata Capital

    NA

    0.32%

  • Kotak Mah. Bank

    NA

    0.32%

  • HSBC InvestDir

    NA

    0.31%

  • Gujarat 2025

    NA

    0.30%

  • R B I

    NA

    0.25%

  • CDMDF-A2

    NA

    0.24%

  • Tamil Nadu 2023

    NA

    0.23%

  • Motilal Finvest

    NA

    0.22%

  • Maharashtra 2025

    NA

    0.16%

  • MAHARASHTRA 2023

    NA

    0.14%

  • GUJARAT 2025

    NA

    0.13%

  • KARNATAKA 2023

    NA

    0.09%

  • TBILL-182D

    NA

    0.07%

  • Tamilnadu 2023

    NA

    0.05%

  • C C I

    NA

    0.02%

Scheme Objective

The investment objective of the scheme is to generate reasonable income with high level of liquidity by investing in a portfolio of money market instruments. However there can be no assurance that the investment objective of the Scheme will be achieved. The Scheme does not guarantee / indicate any returns.

AMC Details

  • Name

    UTI Asset Management Company Ltd

  • Email Id

    service@uti.co.in

  • Website Url

    www.utimf.com

  • Address

    UTI Towers, Gn Block,Bandra Kurla Complex,Bandra (East), Mumbai 400 051

  • Telephone Number

    022 66786666

  • Fax Number

    022 66786503;66786578

Fund Details

  • Scheme Type

    Fortnightly - Dividend

  • Category

    Liquid Funds

  • Launch Date

    2014-09-15

  • Fund Type

    Open-Ended

  • Fund Manager

    Amit Sharma

  • Min. Investment (One Time)

    20000

  • Min. Investment (SIP)

    500

  • AMFI Code

    135606

  • ISIN Code

    INF789FA1M20