UTI Nifty India Manufacturing Index Fund

Fund Overview Image
Image
Fund_Card_1250x750-01
Fund Name
UTI Nifty India Manufacturing Index Fund
Fund Short Description

An open-ended scheme replicating/ tracking Nifty India Manufacturing TRI

Fund Long Description

UTI Nifty India Manufacturing Index Fund, through its underlying Index i.e. Nifty India Manufacturing Index Fund will offer exposure to diversified portfolio of companies in the manufacturing segment.

BM Index
Nifty India Manufacturing TRI
Exit Load

NIL

Special Facilities

SIP, SWP, STRIP, Flexi STRIP

Benchmark Risk image and icon
Inception Date
28 Jan 2025
Riskometer of Benchmark
Very High
Scheme Risk Category for image & icon
Type Ended
OPEN
scheme Fund Category
Index Fund
Scheme Riskometer
Very High
Fund Manager
Type (Primary/Comanage/Description)
Fund Manager
From Date
Maturity Date
1900-01-01T00:00:00
Investment Objective

The Investment objective of the Scheme is to provide returns that, before expenses, corresponds to the total return of the securities as represented by the underlying index, subject to tracking error.
However, there is no guarantee or assurance that the investment objective of the scheme will be achieved.

DOFA SchCode
785
Features
  • Universe Coverage: Exposure to the entire universe of companies in the manufacturing segment in a defined and disciplined way
  • Passive Fund: Tracks the performance of Nifty India Manufacturing Index in an unbiased manner.
  • Cost Effective: Lower expenses as compared to actively managed funds
Product Labeling

The product is suitable for investors who are seeking*:

  • Returns that are commensurate with the performance of the Nifty India Manufacturing Index over long term, subject to tracking error.
  • Investment in securities covered by the Nifty India Manufacturing Index

    Product labelling assigned during the New Fund Offer (NFO) is based on      internal assessment of the scheme characteristics or model portfolio and        the same may vary post NFO when the actual investments are made.
    #Based on the Index Composition as on December 31, 2024.

  * Investors should consult their financial advisers if in doubt about whether the product is suitable for them

Who should Invest?
  • Investors with a High-risk appetite.
  • Interested to take an exposure in Indian Manufacturing theme in an unbiased manner.
  • Seeking long term capital growth.
  • Seeking investments in equity and equity related securities and portfolio replicating the composition of the Nifty India Manufacturing Index, subject to tracking errors.
Scheme Code
NZ
Scheme plan details
DofaPlanCode
02
Plan
GP
Category
EQUITY
OptionName
G
OptionDescription
Growth
PlanMode
REGULAR
PlanDescription
Regular Plan
Nav since inception Data
Inception Years
1Y
schemeRedemption
0.00
BenchMarkReturn
0.00
Inception Years
3Y
schemeRedemption
0.00
BenchMarkReturn
0.00
Inception Years
5Y
schemeRedemption
0.00
BenchMarkReturn
0.00
Inception Years
SI
schemeRedemption
1.44
BenchMarkReturn
1.69
nav
9.7378
MinimumInvestmentAmount
1000.00
AUM
19.03
ReturnsAsOn
31/03/2025
asOfDate
04/04/2025
Face Value
10
Show in SIP Calculator
Off
Scheme faq
NFO
Off
Min. Lumpsum
1000
Min. SIP
500
Start date
END Date
Features Details
More About the NFO
Tags
spotlight banner
Off
Segregated
Off
MFD Choice
On
Curated Fund
Off
Fund of Month
Off
Plan info for investor
asOfDate
04/04/2025
AUM
19.03
Category
EQUITY
DofaPlanCode
DGR
MinimumInvestmentAmount
1000.00
nav
9.746
OptionDescription
Growth
OptionName
G
Plan
G1
PlanDescription
Direct Plan
PlanMode
DIRECT
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
0.00
Inception Years
1Y
schemeRedemption
0.00
BenchMarkReturn
0.00
Inception Years
3Y
schemeRedemption
0.00
BenchMarkReturn
0.00
Inception Years
5Y
schemeRedemption
0.00
BenchMarkReturn
1.69
Inception Years
SI
schemeRedemption
1.52
asOfDate
04/04/2025
AUM
19.03
Category
EQUITY
DofaPlanCode
02
MinimumInvestmentAmount
1000.00
nav
9.7378
OptionDescription
Growth
OptionName
G
Plan
GP
PlanDescription
Regular Plan
PlanMode
REGULAR
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
0.00
Inception Years
1Y
schemeRedemption
0.00
BenchMarkReturn
0.00
Inception Years
3Y
schemeRedemption
0.00
BenchMarkReturn
0.00
Inception Years
5Y
schemeRedemption
0.00
BenchMarkReturn
1.69
Inception Years
SI
schemeRedemption
1.44
isSmallcaseInvest
Off
Show in Contingency Calculator
Off
Campaign Content
Campaign Content Details
Campaign Banner
Enable Campaign page
On
Hide from Our Fund
Off
User Roles
administrator
Non Investment Fund
On
Ideal Investment Horizon