Fund Overview

NAV (20 Jan 25)

₹ 9.74

AUM (in Cr)

-

1 Month Returns

% -3.44

Risk Level 

Very High

Fund Performance

Name
1 Month%
3 Month%
6 Month%
1 Year%
3 Year%
5 Year%
UTI Nifty Midcap 150 Index Fund
-3.44
0.00
0.00
0.00
0.00
0.00
Index Funds/ETFs
-6.39
-6.70
-1.66
12.62
11.15
14.99

Scheme Information

Expense Ratio
% 1.04
Benchmark
-
AUM
-
Inception Date
11 Nov 2024
Turnover Ratio
-
Exit Load
Nil
Asset Class
Solution Oriented
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