UTI Treasury Advantage Fund

Fund Overview Image
Image
Treasury Advantage Fund
Fund Name
UTI Low Duration Fund
Fund Short Description

A low duration debt fund with high credit quality portfolio having portfolio duration between 6-12 months

Fund Long Description

• UTI Treasury Advantage Fund is a low duration fund which invests in high credit quality debt issuers to provide reasonable returns with low volatility over the short-term. • The fund intends to maintain portfolio duration around 6 to 12 months which provides a high degree of liquidity. • Investors who want to park their money for short period of time with an investment horizon of 6-12 months may look at this fund.

BM Index
CRISIL Low Duration Fund AI Index
Exit Load

Nil

Special Facilities

SWP/Redeem/SIP/STRIP/Switch

Benchmark Risk image and icon
Riskometer of Benchmark
Low to Moderate
Scheme Risk Category for image & icon
Type Ended
DISCONTINUED
scheme Fund Category
Debt
Scheme Riskometer
Low to Moderate
Fund Manager
Type (Primary/Comanage/Description)
Fund Manager
From Date
Potential Risk Class

Moderate interest rate risk and Relatively Moderate Credit Risk (B-II)

Stated Asset Allocation

Money market instruments (including Triparty Repos on Government Securities or treasury bill & Repo): 0-100% (Low) Debt Securities (including securitised debt)*: 0-100% (Low to Medium) *Debt securities will also include Securitised Debt, which may go up to 50% of the portfolio. The scheme will invest in money market & debt securities such that the Macaulay duration of the portfolio is between 6 months and 12 months.

Maturity Date
1900-01-01T00:00:00
Investment Objective

The investment objective is to generate reasonable income for its investors consistent with high liquidity by investing in a portfolio of debt & 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.

DOFA SchCode
165
Brief Intro Description

Low Duration

Fund Type

An open ended low duration debt scheme investing in instruments such that the Macaulay duration of the portfolio is between 6 months and 12 months. A Moderate interest rate risk and Relatively Moderate Credit Risk (B-II)

Features

• Endeavors to create a well-diversified portfolio of predominantly credit high quality debt issuers • Intends to invest 80-100% investments in AAA/equivalent rated issuers • The portfolio duration of the scheme ranges from 6 months to 12 months • Investments in high credit quality issuers and low duration of the portfolio makes it relatively lesser volatile to interest rate movements and also reduces liquidity risk • Better alternative for traditional investment avenues in the short-term space

Product Labeling

This product is suitable for investors who are seeking*: Reasonable income consistent with high liquidity over short term. Investment in Debt & Money Market instruments. Investors should consult their financial advisers if in doubt about whether the product is suitable for them.

Who should Invest?

- Investors looking for overall portfolio diversification - Investors who want growth with limited downside risk to their portfolio - Investors looking for tax efficient returns - Retirees looking for moderate and stable returns with low volatility - First time mutual fund investors

Scheme Code
BF
Aseet Class
Debt Fund
Direct Option Code
G
Direct Option Desc
Growth
Direct Plan Code
D6
Direct Plan Description
Direct Plan
regular Option Code
G
regular Option Desc
Growth
regular Plan Code
IG
regular Plan Description
Regular Plan
Scheme plan details
DofaPlanCode
AD
Plan
AP
Category
DEBT
OptionName
D
OptionDescription
Annual Payout of IDCW
PlanMode
REGULAR
PlanDescription
Regular Plan
Nav since inception Data
Inception Years
1Y
schemeRedemption
7.75
BenchMarkReturn
7.58
Inception Years
3Y
schemeRedemption
6.76
BenchMarkReturn
6.68
Inception Years
5Y
schemeRedemption
7.16
BenchMarkReturn
5.84
Inception Years
SI
schemeRedemption
7.19
BenchMarkReturn
7.71
nav
3313.671
MinimumInvestmentAmount
20000.00
AUM
2734.89
ReturnsAsOn
31/03/2025
asOfDate
04/04/2025
DofaPlanCode
AD
Plan
AP
Category
DEBT
OptionName
R
OptionDescription
Annual Reinvestment of IDCW
PlanMode
REGULAR
PlanDescription
Regular Plan
Nav since inception Data
Inception Years
1Y
schemeRedemption
7.75
BenchMarkReturn
7.58
Inception Years
3Y
schemeRedemption
6.76
BenchMarkReturn
6.68
Inception Years
5Y
schemeRedemption
7.16
BenchMarkReturn
5.84
Inception Years
SI
schemeRedemption
7.19
BenchMarkReturn
7.71
nav
3313.671
MinimumInvestmentAmount
20000.00
AUM
2734.89
ReturnsAsOn
31/03/2025
asOfDate
04/04/2025
DofaPlanCode
BON
Plan
BO
Category
DEBT
OptionName
B
OptionDescription
Bonus
PlanMode
REGULAR
PlanDescription
Discontinued - Bonus Units
Nav since inception Data
Inception Years
1Y
schemeRedemption
7.75
BenchMarkReturn
7.58
Inception Years
3Y
schemeRedemption
6.76
BenchMarkReturn
6.68
Inception Years
5Y
schemeRedemption
7.16
BenchMarkReturn
5.84
Inception Years
SI
schemeRedemption
7.19
BenchMarkReturn
7.71
nav
4110.89
MinimumInvestmentAmount
100000.00
AUM
2734.89
ReturnsAsOn
31/03/2025
asOfDate
04/04/2025
DofaPlanCode
BON
Plan
BP
Category
DEBT
OptionName
G
OptionDescription
Growth
PlanMode
REGULAR
PlanDescription
Discontinued - Bonus Plan
Nav since inception Data
Inception Years
1Y
schemeRedemption
7.75
BenchMarkReturn
7.58
Inception Years
3Y
schemeRedemption
6.76
BenchMarkReturn
6.68
Inception Years
5Y
schemeRedemption
7.16
BenchMarkReturn
5.84
Inception Years
SI
schemeRedemption
7.19
BenchMarkReturn
7.71
nav
4110.89
MinimumInvestmentAmount
500.00
AUM
2734.89
ReturnsAsOn
31/03/2025
asOfDate
04/04/2025
DofaPlanCode
DI
Plan
DP
Category
DEBT
OptionName
D
OptionDescription
Quarterly Payout of IDCW
PlanMode
REGULAR
PlanDescription
Regular Plan
Nav since inception Data
Inception Years
1Y
schemeRedemption
7.75
BenchMarkReturn
7.58
Inception Years
3Y
schemeRedemption
6.76
BenchMarkReturn
6.68
Inception Years
5Y
schemeRedemption
7.16
BenchMarkReturn
5.84
Inception Years
SI
schemeRedemption
7.19
BenchMarkReturn
7.71
nav
2180.5852
MinimumInvestmentAmount
20000.00
AUM
2734.89
ReturnsAsOn
31/03/2025
asOfDate
04/04/2025
DofaPlanCode
DI
Plan
DP
Category
DEBT
OptionName
R
OptionDescription
Quarterly Reinvestment of IDCW
PlanMode
REGULAR
PlanDescription
Regular Plan
Nav since inception Data
Inception Years
1Y
schemeRedemption
7.75
BenchMarkReturn
7.58
Inception Years
3Y
schemeRedemption
6.76
BenchMarkReturn
6.68
Inception Years
5Y
schemeRedemption
7.16
BenchMarkReturn
5.84
Inception Years
SI
schemeRedemption
7.19
BenchMarkReturn
7.71
nav
2180.5852
MinimumInvestmentAmount
20000.00
AUM
2734.89
ReturnsAsOn
31/03/2025
asOfDate
04/04/2025
DofaPlanCode
DI
Plan
DP
Category
DEBT
OptionName
S
OptionDescription
Quarterly Payout of IDCW (Sweep)
PlanMode
REGULAR
PlanDescription
Regular Plan
Nav since inception Data
Inception Years
1Y
schemeRedemption
7.75
BenchMarkReturn
7.58
Inception Years
3Y
schemeRedemption
6.76
BenchMarkReturn
6.68
Inception Years
5Y
schemeRedemption
7.16
BenchMarkReturn
5.84
Inception Years
SI
schemeRedemption
7.19
BenchMarkReturn
7.71
nav
2180.5852
MinimumInvestmentAmount
20000.00
AUM
2734.89
ReturnsAsOn
31/03/2025
asOfDate
04/04/2025
DofaPlanCode
FT
Plan
FT
Category
DEBT
OptionName
D
OptionDescription
Fortnightly Payout of IDCW
PlanMode
REGULAR
PlanDescription
Regular Plan
Nav since inception Data
Inception Years
1Y
schemeRedemption
7.75
BenchMarkReturn
7.58
Inception Years
3Y
schemeRedemption
6.76
BenchMarkReturn
6.68
Inception Years
5Y
schemeRedemption
7.16
BenchMarkReturn
5.84
Inception Years
SI
schemeRedemption
7.19
BenchMarkReturn
7.71
nav
1337.6295
MinimumInvestmentAmount
20000.00
AUM
2734.89
ReturnsAsOn
31/03/2025
asOfDate
04/04/2025
DofaPlanCode
FT
Plan
FT
Category
DEBT
OptionName
R
OptionDescription
Fortnightly Reinvestment of IDCW
PlanMode
REGULAR
PlanDescription
Regular Plan
Nav since inception Data
Inception Years
1Y
schemeRedemption
7.75
BenchMarkReturn
7.58
Inception Years
3Y
schemeRedemption
6.76
BenchMarkReturn
6.68
Inception Years
5Y
schemeRedemption
7.16
BenchMarkReturn
5.84
Inception Years
SI
schemeRedemption
7.19
BenchMarkReturn
7.71
nav
1337.6295
MinimumInvestmentAmount
20000.00
AUM
2734.89
ReturnsAsOn
31/03/2025
asOfDate
04/04/2025
DofaPlanCode
FX
Plan
FI
Category
DEBT
OptionName
D
OptionDescription
Flexi Payout of IDCW
PlanMode
REGULAR
PlanDescription
Regular Plan
Nav since inception Data
Inception Years
1Y
schemeRedemption
7.75
BenchMarkReturn
7.58
Inception Years
3Y
schemeRedemption
6.76
BenchMarkReturn
6.68
Inception Years
5Y
schemeRedemption
7.16
BenchMarkReturn
5.84
Inception Years
SI
schemeRedemption
7.19
BenchMarkReturn
7.71
nav
1326.194
MinimumInvestmentAmount
20000.00
AUM
2734.89
ReturnsAsOn
31/03/2025
asOfDate
04/04/2025
DofaPlanCode
FX
Plan
FI
Category
DEBT
OptionName
R
OptionDescription
Flexi Reinvestment of IDCW
PlanMode
REGULAR
PlanDescription
Regular Plan
Nav since inception Data
Inception Years
1Y
schemeRedemption
7.75
BenchMarkReturn
7.58
Inception Years
3Y
schemeRedemption
6.76
BenchMarkReturn
6.68
Inception Years
5Y
schemeRedemption
7.16
BenchMarkReturn
5.84
Inception Years
SI
schemeRedemption
7.19
BenchMarkReturn
7.71
nav
1326.194
MinimumInvestmentAmount
20000.00
AUM
2734.89
ReturnsAsOn
31/03/2025
asOfDate
04/04/2025
DofaPlanCode
GR
Plan
GP
Category
DEBT
OptionName
G
OptionDescription
Growth
PlanMode
REGULAR
PlanDescription
Discontinued - Growth Plan
Nav since inception Data
Inception Years
1Y
schemeRedemption
7.75
BenchMarkReturn
7.58
Inception Years
3Y
schemeRedemption
6.76
BenchMarkReturn
6.68
Inception Years
5Y
schemeRedemption
7.16
BenchMarkReturn
5.84
Inception Years
SI
schemeRedemption
7.19
BenchMarkReturn
7.71
nav
6167.038
MinimumInvestmentAmount
500.00
AUM
2734.89
ReturnsAsOn
31/03/2025
asOfDate
04/04/2025
DofaPlanCode
HY
Plan
HI
Category
DEBT
OptionName
D
OptionDescription
Half-yearly Payout of IDCW
PlanMode
REGULAR
PlanDescription
Regular Plan
Nav since inception Data
Inception Years
1Y
schemeRedemption
7.75
BenchMarkReturn
7.58
Inception Years
3Y
schemeRedemption
6.76
BenchMarkReturn
6.68
Inception Years
5Y
schemeRedemption
7.16
BenchMarkReturn
5.84
Inception Years
SI
schemeRedemption
7.19
BenchMarkReturn
7.71
nav
1376.3452
MinimumInvestmentAmount
20000.00
AUM
2734.89
ReturnsAsOn
31/03/2025
asOfDate
04/04/2025
DofaPlanCode
HY
Plan
HI
Category
DEBT
OptionName
R
OptionDescription
Half-yearly Reinvestment of IDCW
PlanMode
REGULAR
PlanDescription
Regular Plan
Nav since inception Data
Inception Years
1Y
schemeRedemption
7.75
BenchMarkReturn
7.58
Inception Years
3Y
schemeRedemption
6.76
BenchMarkReturn
6.68
Inception Years
5Y
schemeRedemption
7.16
BenchMarkReturn
5.84
Inception Years
SI
schemeRedemption
7.19
BenchMarkReturn
7.71
nav
1376.3452
MinimumInvestmentAmount
20000.00
AUM
2734.89
ReturnsAsOn
31/03/2025
asOfDate
04/04/2025
DofaPlanCode
IBO
Plan
IB
Category
DEBT
OptionName
B
OptionDescription
Bonus
PlanMode
REGULAR
PlanDescription
Discontinued - Bonus Plan
Nav since inception Data
Inception Years
1Y
schemeRedemption
7.75
BenchMarkReturn
7.58
Inception Years
3Y
schemeRedemption
6.76
BenchMarkReturn
6.68
Inception Years
5Y
schemeRedemption
7.16
BenchMarkReturn
5.84
Inception Years
SI
schemeRedemption
7.19
BenchMarkReturn
7.71
nav
2914.2727
MinimumInvestmentAmount
10000.00
AUM
2734.89
ReturnsAsOn
31/03/2025
asOfDate
04/04/2025
DofaPlanCode
IBO
Plan
IO
Category
DEBT
OptionName
B
OptionDescription
Bonus
PlanMode
REGULAR
PlanDescription
Discontinued - Bonus Plan
Nav since inception Data
Inception Years
1Y
schemeRedemption
7.75
BenchMarkReturn
7.58
Inception Years
3Y
schemeRedemption
6.76
BenchMarkReturn
6.68
Inception Years
5Y
schemeRedemption
7.16
BenchMarkReturn
5.84
Inception Years
SI
schemeRedemption
7.19
BenchMarkReturn
7.71
nav
2914.2727
MinimumInvestmentAmount
100000.00
AUM
2734.89
ReturnsAsOn
31/03/2025
asOfDate
04/04/2025
DofaPlanCode
IM
Plan
IM
Category
DEBT
OptionName
D
OptionDescription
Monthly Payout of IDCW
PlanMode
REGULAR
PlanDescription
Regular Plan
Nav since inception Data
Inception Years
1Y
schemeRedemption
7.75
BenchMarkReturn
7.58
Inception Years
3Y
schemeRedemption
6.76
BenchMarkReturn
6.68
Inception Years
5Y
schemeRedemption
7.16
BenchMarkReturn
5.84
Inception Years
SI
schemeRedemption
7.19
BenchMarkReturn
7.71
nav
1370.8177
MinimumInvestmentAmount
20000.00
AUM
2734.89
ReturnsAsOn
31/03/2025
asOfDate
04/04/2025
DofaPlanCode
IM
Plan
IM
Category
DEBT
OptionName
R
OptionDescription
Monthly Reinvestment of IDCW
PlanMode
REGULAR
PlanDescription
Regular Plan
Nav since inception Data
Inception Years
1Y
schemeRedemption
7.75
BenchMarkReturn
7.58
Inception Years
3Y
schemeRedemption
6.76
BenchMarkReturn
6.68
Inception Years
5Y
schemeRedemption
7.16
BenchMarkReturn
5.84
Inception Years
SI
schemeRedemption
7.19
BenchMarkReturn
7.71
nav
1370.8177
MinimumInvestmentAmount
20000.00
AUM
2734.89
ReturnsAsOn
31/03/2025
asOfDate
04/04/2025
DofaPlanCode
IPD
Plan
ID
Category
DEBT
OptionName
R
OptionDescription
Daily Reinvestment of IDCW
PlanMode
REGULAR
PlanDescription
Regular Plan
Nav since inception Data
Inception Years
1Y
schemeRedemption
7.75
BenchMarkReturn
7.58
Inception Years
3Y
schemeRedemption
6.76
BenchMarkReturn
6.68
Inception Years
5Y
schemeRedemption
7.16
BenchMarkReturn
5.84
Inception Years
SI
schemeRedemption
7.19
BenchMarkReturn
7.71
nav
1343.9097
MinimumInvestmentAmount
20000.00
AUM
2734.89
ReturnsAsOn
31/03/2025
asOfDate
04/04/2025
DofaPlanCode
IPG
Plan
IG
Category
DEBT
OptionName
G
OptionDescription
Growth
PlanMode
REGULAR
PlanDescription
Regular Growth Plan
Nav since inception Data
Inception Years
1Y
schemeRedemption
7.75
BenchMarkReturn
7.58
Inception Years
3Y
schemeRedemption
6.76
BenchMarkReturn
6.68
Inception Years
5Y
schemeRedemption
7.16
BenchMarkReturn
5.84
Inception Years
SI
schemeRedemption
7.19
BenchMarkReturn
7.71
nav
3486.8538
MinimumInvestmentAmount
500.00
AUM
2734.89
ReturnsAsOn
31/03/2025
asOfDate
04/04/2025
DofaPlanCode
QI
Plan
QI
Category
DEBT
OptionName
D
OptionDescription
Quarterly Payout of IDCW
PlanMode
REGULAR
PlanDescription
Regular Plan
Nav since inception Data
Inception Years
1Y
schemeRedemption
7.75
BenchMarkReturn
7.58
Inception Years
3Y
schemeRedemption
6.76
BenchMarkReturn
6.68
Inception Years
5Y
schemeRedemption
7.16
BenchMarkReturn
5.84
Inception Years
SI
schemeRedemption
7.19
BenchMarkReturn
7.71
nav
1364.6549
MinimumInvestmentAmount
20000.00
AUM
2734.89
ReturnsAsOn
31/03/2025
asOfDate
04/04/2025
DofaPlanCode
QI
Plan
QI
Category
DEBT
OptionName
R
OptionDescription
Quarterly Reinvestment of IDCW
PlanMode
REGULAR
PlanDescription
Regular Plan
Nav since inception Data
Inception Years
1Y
schemeRedemption
7.75
BenchMarkReturn
7.58
Inception Years
3Y
schemeRedemption
6.76
BenchMarkReturn
6.68
Inception Years
5Y
schemeRedemption
7.16
BenchMarkReturn
5.84
Inception Years
SI
schemeRedemption
7.19
BenchMarkReturn
7.71
nav
1364.6549
MinimumInvestmentAmount
20000.00
AUM
2734.89
ReturnsAsOn
31/03/2025
asOfDate
04/04/2025
DofaPlanCode
RD
Plan
RD
Category
DEBT
OptionName
D
OptionDescription
Periodic Payout of IDCW
PlanMode
REGULAR
PlanDescription
Regular Plan
Nav since inception Data
Inception Years
1Y
schemeRedemption
7.75
BenchMarkReturn
7.58
Inception Years
3Y
schemeRedemption
6.76
BenchMarkReturn
6.68
Inception Years
5Y
schemeRedemption
7.16
BenchMarkReturn
5.84
Inception Years
SI
schemeRedemption
7.19
BenchMarkReturn
7.71
nav
1055.3406
MinimumInvestmentAmount
20000.00
AUM
2734.89
ReturnsAsOn
31/03/2025
asOfDate
04/04/2025
DofaPlanCode
RD
Plan
RD
Category
DEBT
OptionName
R
OptionDescription
Periodic Reinvestment of IDCW
PlanMode
REGULAR
PlanDescription
Regular Plan
Nav since inception Data
Inception Years
1Y
schemeRedemption
7.75
BenchMarkReturn
7.58
Inception Years
3Y
schemeRedemption
6.76
BenchMarkReturn
6.68
Inception Years
5Y
schemeRedemption
7.16
BenchMarkReturn
5.84
Inception Years
SI
schemeRedemption
7.19
BenchMarkReturn
7.71
nav
1055.3406
MinimumInvestmentAmount
20000.00
AUM
2734.89
ReturnsAsOn
31/03/2025
asOfDate
04/04/2025
DofaPlanCode
RM
Plan
RM
Category
DEBT
OptionName
D
OptionDescription
Monthly Payout of IDCW
PlanMode
REGULAR
PlanDescription
Regular Plan
Nav since inception Data
Inception Years
1Y
schemeRedemption
7.75
BenchMarkReturn
7.58
Inception Years
3Y
schemeRedemption
6.76
BenchMarkReturn
6.68
Inception Years
5Y
schemeRedemption
7.16
BenchMarkReturn
5.84
Inception Years
SI
schemeRedemption
7.19
BenchMarkReturn
7.71
nav
1024.4102
MinimumInvestmentAmount
20000.00
AUM
2734.89
ReturnsAsOn
31/03/2025
asOfDate
04/04/2025
DofaPlanCode
RM
Plan
RM
Category
DEBT
OptionName
R
OptionDescription
Monthly Reinvestment of IDCW
PlanMode
REGULAR
PlanDescription
Regular Plan
Nav since inception Data
Inception Years
1Y
schemeRedemption
7.75
BenchMarkReturn
7.58
Inception Years
3Y
schemeRedemption
6.76
BenchMarkReturn
6.68
Inception Years
5Y
schemeRedemption
7.16
BenchMarkReturn
5.84
Inception Years
SI
schemeRedemption
7.19
BenchMarkReturn
7.71
nav
1024.4102
MinimumInvestmentAmount
20000.00
AUM
2734.89
ReturnsAsOn
31/03/2025
asOfDate
04/04/2025
DofaPlanCode
RW
Plan
RW
Category
DEBT
OptionName
D
OptionDescription
Flexi Payout of IDCW
PlanMode
REGULAR
PlanDescription
Regular Plan
Nav since inception Data
Inception Years
1Y
schemeRedemption
7.75
BenchMarkReturn
7.58
Inception Years
3Y
schemeRedemption
6.76
BenchMarkReturn
6.68
Inception Years
5Y
schemeRedemption
7.16
BenchMarkReturn
5.84
Inception Years
SI
schemeRedemption
7.19
BenchMarkReturn
7.71
nav
1085.5845
MinimumInvestmentAmount
20000.00
AUM
2734.89
ReturnsAsOn
31/03/2025
asOfDate
04/04/2025
DofaPlanCode
RW
Plan
RW
Category
DEBT
OptionName
R
OptionDescription
Flexi Reinvestment of IDCW
PlanMode
REGULAR
PlanDescription
Regular Plan
Nav since inception Data
Inception Years
1Y
schemeRedemption
7.75
BenchMarkReturn
7.58
Inception Years
3Y
schemeRedemption
6.76
BenchMarkReturn
6.68
Inception Years
5Y
schemeRedemption
7.16
BenchMarkReturn
5.84
Inception Years
SI
schemeRedemption
7.19
BenchMarkReturn
7.71
nav
1085.5845
MinimumInvestmentAmount
20000.00
AUM
2734.89
ReturnsAsOn
31/03/2025
asOfDate
04/04/2025
DofaPlanCode
WI
Plan
WI
Category
DEBT
OptionName
D
OptionDescription
Weekly Payout of IDCW
PlanMode
REGULAR
PlanDescription
Regular Plan
Nav since inception Data
Inception Years
1Y
schemeRedemption
7.75
BenchMarkReturn
7.58
Inception Years
3Y
schemeRedemption
6.76
BenchMarkReturn
6.68
Inception Years
5Y
schemeRedemption
7.16
BenchMarkReturn
5.84
Inception Years
SI
schemeRedemption
7.19
BenchMarkReturn
7.71
nav
1347.2941
MinimumInvestmentAmount
20000.00
AUM
2734.89
ReturnsAsOn
31/03/2025
asOfDate
04/04/2025
DofaPlanCode
WI
Plan
WI
Category
DEBT
OptionName
R
OptionDescription
Weekly Reinvestment of IDCW
PlanMode
REGULAR
PlanDescription
Regular Plan
Nav since inception Data
Inception Years
1Y
schemeRedemption
7.75
BenchMarkReturn
7.58
Inception Years
3Y
schemeRedemption
6.76
BenchMarkReturn
6.68
Inception Years
5Y
schemeRedemption
7.16
BenchMarkReturn
5.84
Inception Years
SI
schemeRedemption
7.19
BenchMarkReturn
7.71
nav
1347.2941
MinimumInvestmentAmount
20000.00
AUM
2734.89
ReturnsAsOn
31/03/2025
asOfDate
04/04/2025
Face Value
1000
Brief Intro Web

An open ended low duration debt scheme positioned at the short end of the curve with investments in debt & money market instruments such that Macaulay duration of the portfolio is between 6 to 12 months

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Investment Purpose
Filter Load
Nil
Scheme faq
Question
What are Treasury Advantage Fund?
Answer

UTI Treasury Advantage Fund is an open ended low duration debt scheme investing in instruments such that the Macaulay duration of the portfolio is between 6 months and 12 months (Please refer to page no.16 of SID on which the concept of Macaulay duration has been explained)

Question
Who should Invest in UTI Treasury Advantage Fund?
Answer

• Investors looking towards reasonable returns and liquidity over short term
• Investors having a low risk appetite and wanting to park money for a short period of time Investors having an investment horizon of 6 months and above
• Investors looking for alternative avenues to traditional fixed income avenues like bank deposit, bonds, etc.
• Investors seeking to do asset allocation across various asset classes

Question
How to Invest in UTI Treasury Advantage Fund?
Answer

Investors can simply log on to utimf.com or use UTI Mutual Fund Application and start investing subject to KYC compliance. Investors may also approach nearest UTI Financial Centres (UFCs). Alternatively, you may also approach your mutual fund distributor, financial advisor or various online platform for investments.

Question
How are Treasury Advantage Fund taxed?
Answer

UTI Treasury Advantage Fund will attract capital gains tax if the redemption value is more than the purchase price. The gains can either be short term or long term in nature.
If you hold units for 3 years or less, the gains made are subject to Short-Term Capital Gains Tax and are taxed as per your income slab. If you hold the units for more than three years, the gains are subject to Long-Term Capital Gains Tax which is taxed at 20% and you would get the benefit of indexation (available to debt funds). Indexation accounts for the effect of inflation in the acquisition purchase cost i.e. the purchase price is increased to adjust for inflation (using an index provided by the Government) before calculating the capital gain. Thus, it reduces the overall tax liability.

Question
What are the benefits of investing in UTI Treasury Advantage Fund?
Answer

• UTI Treasury Advantage Fund maintains a diversified portfolio through investing in money market instruments and lower maturity debt instruments along with tactical exposure to g-secs
• Aims to generate reasonable income with lower volatility over the short-term
• The portfolio duration of the fund is generally around 6 to 12 months which provides a high degree of liquidity

Question
Why Invest in UTI Treasury Advantage Fund?
Answer

• The fund follows accrual strategy through investing in CPs, CDs and low duration corporate bonds along with tactical exposure to G-secs
• The scheme maintains a portfolio duration of 6 to 12 months which provides a high degree of liquidity

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A short term debt fund usually, with duration of around 6 to 12 months

Curated Fund
Off
Fund of Month
Off
Plan info for investor
asOfDate
04/04/2025
AUM
2734.89
Category
DEBT
DofaPlanCode
AD
MinimumInvestmentAmount
20000.00
nav
3313.671
OptionDescription
Annual Payout of IDCW
OptionName
D
Plan
AP
PlanDescription
Regular Plan
PlanMode
REGULAR
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.58
Inception Years
1Y
schemeRedemption
7.75
BenchMarkReturn
6.68
Inception Years
3Y
schemeRedemption
6.76
BenchMarkReturn
5.84
Inception Years
5Y
schemeRedemption
7.16
BenchMarkReturn
7.71
Inception Years
SI
schemeRedemption
7.19
asOfDate
04/04/2025
AUM
2734.89
Category
DEBT
DofaPlanCode
AD
MinimumInvestmentAmount
20000.00
nav
3313.671
OptionDescription
Annual Reinvestment of IDCW
OptionName
R
Plan
AP
PlanDescription
Regular Plan
PlanMode
REGULAR
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.58
Inception Years
1Y
schemeRedemption
7.75
BenchMarkReturn
6.68
Inception Years
3Y
schemeRedemption
6.76
BenchMarkReturn
5.84
Inception Years
5Y
schemeRedemption
7.16
BenchMarkReturn
7.71
Inception Years
SI
schemeRedemption
7.19
asOfDate
04/04/2025
AUM
2734.89
Category
DEBT
DofaPlanCode
BON
MinimumInvestmentAmount
100000.00
nav
4110.89
OptionDescription
Bonus
OptionName
B
Plan
BO
PlanDescription
Discontinued - Bonus Units
PlanMode
REGULAR
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.58
Inception Years
1Y
schemeRedemption
7.75
BenchMarkReturn
6.68
Inception Years
3Y
schemeRedemption
6.76
BenchMarkReturn
5.84
Inception Years
5Y
schemeRedemption
7.16
BenchMarkReturn
7.71
Inception Years
SI
schemeRedemption
7.19
asOfDate
04/04/2025
AUM
2734.89
Category
DEBT
DofaPlanCode
BON
MinimumInvestmentAmount
500.00
nav
4110.89
OptionDescription
Growth
OptionName
G
Plan
BP
PlanDescription
Discontinued - Bonus Plan
PlanMode
REGULAR
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.58
Inception Years
1Y
schemeRedemption
7.75
BenchMarkReturn
6.68
Inception Years
3Y
schemeRedemption
6.76
BenchMarkReturn
5.84
Inception Years
5Y
schemeRedemption
7.16
BenchMarkReturn
7.71
Inception Years
SI
schemeRedemption
7.19
asOfDate
04/04/2025
AUM
2734.89
Category
DEBT
DofaPlanCode
DAD
MinimumInvestmentAmount
20000.00
nav
1310.8011
OptionDescription
Annual Payout of IDCW
OptionName
D
Plan
D1
PlanDescription
Direct Plan
PlanMode
DIRECT
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.58
Inception Years
1Y
schemeRedemption
7.84
BenchMarkReturn
6.68
Inception Years
3Y
schemeRedemption
6.86
BenchMarkReturn
5.84
Inception Years
5Y
schemeRedemption
7.27
BenchMarkReturn
7.71
Inception Years
SI
schemeRedemption
6.94
asOfDate
04/04/2025
AUM
2734.89
Category
DEBT
DofaPlanCode
DAD
MinimumInvestmentAmount
20000.00
nav
1310.8011
OptionDescription
Annual Reinvestment of IDCW
OptionName
R
Plan
D1
PlanDescription
Direct Plan
PlanMode
DIRECT
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.58
Inception Years
1Y
schemeRedemption
7.84
BenchMarkReturn
6.68
Inception Years
3Y
schemeRedemption
6.86
BenchMarkReturn
5.84
Inception Years
5Y
schemeRedemption
7.27
BenchMarkReturn
7.71
Inception Years
SI
schemeRedemption
6.94
asOfDate
04/04/2025
AUM
2734.89
Category
DEBT
DofaPlanCode
DFT
MinimumInvestmentAmount
20000.00
nav
1346.4006
OptionDescription
Fortnightly Payout of IDCW
OptionName
D
Plan
DF
PlanDescription
Direct Plan
PlanMode
DIRECT
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.58
Inception Years
1Y
schemeRedemption
7.84
BenchMarkReturn
6.68
Inception Years
3Y
schemeRedemption
6.86
BenchMarkReturn
5.84
Inception Years
5Y
schemeRedemption
7.27
BenchMarkReturn
7.71
Inception Years
SI
schemeRedemption
6.94
asOfDate
04/04/2025
AUM
2734.89
Category
DEBT
DofaPlanCode
DFT
MinimumInvestmentAmount
20000.00
nav
1346.4006
OptionDescription
Fortnightly Reinvestment of IDCW
OptionName
R
Plan
DF
PlanDescription
Direct Plan
PlanMode
DIRECT
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.58
Inception Years
1Y
schemeRedemption
7.84
BenchMarkReturn
6.68
Inception Years
3Y
schemeRedemption
6.86
BenchMarkReturn
5.84
Inception Years
5Y
schemeRedemption
7.27
BenchMarkReturn
7.71
Inception Years
SI
schemeRedemption
6.94
asOfDate
04/04/2025
AUM
2734.89
Category
DEBT
DofaPlanCode
DFX
MinimumInvestmentAmount
20000.00
nav
1502.7789
OptionDescription
Flexi Payout of IDCW
OptionName
D
Plan
FD
PlanDescription
Direct Plan
PlanMode
DIRECT
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.58
Inception Years
1Y
schemeRedemption
7.84
BenchMarkReturn
6.68
Inception Years
3Y
schemeRedemption
6.86
BenchMarkReturn
5.84
Inception Years
5Y
schemeRedemption
7.27
BenchMarkReturn
7.71
Inception Years
SI
schemeRedemption
6.94
asOfDate
04/04/2025
AUM
2734.89
Category
DEBT
DofaPlanCode
DFX
MinimumInvestmentAmount
20000.00
nav
1502.7789
OptionDescription
Flexi Reinvestment of IDCW
OptionName
R
Plan
FD
PlanDescription
Direct Plan
PlanMode
DIRECT
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.58
Inception Years
1Y
schemeRedemption
7.84
BenchMarkReturn
6.68
Inception Years
3Y
schemeRedemption
6.86
BenchMarkReturn
5.84
Inception Years
5Y
schemeRedemption
7.27
BenchMarkReturn
7.71
Inception Years
SI
schemeRedemption
6.94
asOfDate
04/04/2025
AUM
2734.89
Category
DEBT
DofaPlanCode
DHY
MinimumInvestmentAmount
20000.00
nav
1369.9922
OptionDescription
Half-yearly Payout of IDCW
OptionName
D
Plan
HD
PlanDescription
Direct Plan
PlanMode
DIRECT
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.58
Inception Years
1Y
schemeRedemption
7.84
BenchMarkReturn
6.68
Inception Years
3Y
schemeRedemption
6.86
BenchMarkReturn
5.84
Inception Years
5Y
schemeRedemption
7.27
BenchMarkReturn
7.71
Inception Years
SI
schemeRedemption
6.94
asOfDate
04/04/2025
AUM
2734.89
Category
DEBT
DofaPlanCode
DHY
MinimumInvestmentAmount
20000.00
nav
1369.9922
OptionDescription
Half-yearly Reinvestment of IDCW
OptionName
R
Plan
HD
PlanDescription
Direct Plan
PlanMode
DIRECT
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.58
Inception Years
1Y
schemeRedemption
7.84
BenchMarkReturn
6.68
Inception Years
3Y
schemeRedemption
6.86
BenchMarkReturn
5.84
Inception Years
5Y
schemeRedemption
7.27
BenchMarkReturn
7.71
Inception Years
SI
schemeRedemption
6.94
asOfDate
04/04/2025
AUM
2734.89
Category
DEBT
DofaPlanCode
DI
MinimumInvestmentAmount
20000.00
nav
2180.5852
OptionDescription
Quarterly Payout of IDCW
OptionName
D
Plan
DP
PlanDescription
Regular Plan
PlanMode
REGULAR
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.58
Inception Years
1Y
schemeRedemption
7.75
BenchMarkReturn
6.68
Inception Years
3Y
schemeRedemption
6.76
BenchMarkReturn
5.84
Inception Years
5Y
schemeRedemption
7.16
BenchMarkReturn
7.71
Inception Years
SI
schemeRedemption
7.19
asOfDate
04/04/2025
AUM
2734.89
Category
DEBT
DofaPlanCode
DI
MinimumInvestmentAmount
20000.00
nav
2180.5852
OptionDescription
Quarterly Reinvestment of IDCW
OptionName
R
Plan
DP
PlanDescription
Regular Plan
PlanMode
REGULAR
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.58
Inception Years
1Y
schemeRedemption
7.75
BenchMarkReturn
6.68
Inception Years
3Y
schemeRedemption
6.76
BenchMarkReturn
5.84
Inception Years
5Y
schemeRedemption
7.16
BenchMarkReturn
7.71
Inception Years
SI
schemeRedemption
7.19
asOfDate
04/04/2025
AUM
2734.89
Category
DEBT
DofaPlanCode
DI
MinimumInvestmentAmount
20000.00
nav
2180.5852
OptionDescription
Quarterly Payout of IDCW (Sweep)
OptionName
S
Plan
DP
PlanDescription
Regular Plan
PlanMode
REGULAR
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.58
Inception Years
1Y
schemeRedemption
7.75
BenchMarkReturn
6.68
Inception Years
3Y
schemeRedemption
6.76
BenchMarkReturn
5.84
Inception Years
5Y
schemeRedemption
7.16
BenchMarkReturn
7.71
Inception Years
SI
schemeRedemption
7.19
AUM
2734.89
Category
DEBT
DofaPlanCode
DIB
MinimumInvestmentAmount
20000.00
OptionDescription
Bonus
OptionName
B
Plan
D3
PlanDescription
Regular Plan
PlanMode
DIRECT
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.58
Inception Years
1Y
schemeRedemption
7.84
BenchMarkReturn
6.68
Inception Years
3Y
schemeRedemption
6.86
BenchMarkReturn
5.84
Inception Years
5Y
schemeRedemption
7.27
BenchMarkReturn
7.71
Inception Years
SI
schemeRedemption
6.94
asOfDate
04/04/2025
AUM
2734.89
Category
DEBT
DofaPlanCode
DIG
MinimumInvestmentAmount
500.00
nav
3541.1135
OptionDescription
Growth
OptionName
G
Plan
D6
PlanDescription
Direct Growth Plan
PlanMode
DIRECT
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.58
Inception Years
1Y
schemeRedemption
7.84
BenchMarkReturn
6.68
Inception Years
3Y
schemeRedemption
6.86
BenchMarkReturn
5.84
Inception Years
5Y
schemeRedemption
7.27
BenchMarkReturn
7.71
Inception Years
SI
schemeRedemption
6.94
asOfDate
04/04/2025
AUM
2734.89
Category
DEBT
DofaPlanCode
DII
MinimumInvestmentAmount
20000.00
nav
1351.9796
OptionDescription
Daily Reinvestment of IDCW
OptionName
R
Plan
D5
PlanDescription
Direct Plan
PlanMode
DIRECT
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.58
Inception Years
1Y
schemeRedemption
7.84
BenchMarkReturn
6.68
Inception Years
3Y
schemeRedemption
6.86
BenchMarkReturn
5.84
Inception Years
5Y
schemeRedemption
7.27
BenchMarkReturn
7.71
Inception Years
SI
schemeRedemption
6.94
asOfDate
04/04/2025
AUM
2734.89
Category
DEBT
DofaPlanCode
DMI
MinimumInvestmentAmount
20000.00
nav
1382.5509
OptionDescription
Monthly Payout of IDCW
OptionName
D
Plan
D4
PlanDescription
Direct Plan
PlanMode
DIRECT
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.58
Inception Years
1Y
schemeRedemption
7.84
BenchMarkReturn
6.68
Inception Years
3Y
schemeRedemption
6.86
BenchMarkReturn
5.84
Inception Years
5Y
schemeRedemption
7.27
BenchMarkReturn
7.71
Inception Years
SI
schemeRedemption
6.94
asOfDate
04/04/2025
AUM
2734.89
Category
DEBT
DofaPlanCode
DMI
MinimumInvestmentAmount
20000.00
nav
1382.5509
OptionDescription
Monthly Reinvestment of IDCW
OptionName
R
Plan
D4
PlanDescription
Direct Plan
PlanMode
DIRECT
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.58
Inception Years
1Y
schemeRedemption
7.84
BenchMarkReturn
6.68
Inception Years
3Y
schemeRedemption
6.86
BenchMarkReturn
5.84
Inception Years
5Y
schemeRedemption
7.27
BenchMarkReturn
7.71
Inception Years
SI
schemeRedemption
6.94
asOfDate
04/04/2025
AUM
2734.89
Category
DEBT
DofaPlanCode
DQI
MinimumInvestmentAmount
20000.00
nav
1898.638
OptionDescription
Quarterly Payout of IDCW
OptionName
D
Plan
D7
PlanDescription
Direct Plan
PlanMode
DIRECT
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.58
Inception Years
1Y
schemeRedemption
7.84
BenchMarkReturn
6.68
Inception Years
3Y
schemeRedemption
6.86
BenchMarkReturn
5.84
Inception Years
5Y
schemeRedemption
7.27
BenchMarkReturn
7.71
Inception Years
SI
schemeRedemption
6.94
asOfDate
04/04/2025
AUM
2734.89
Category
DEBT
DofaPlanCode
DQI
MinimumInvestmentAmount
20000.00
nav
1898.638
OptionDescription
Quarterly Reinvestment of IDCW
OptionName
R
Plan
D7
PlanDescription
Direct Plan
PlanMode
DIRECT
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.58
Inception Years
1Y
schemeRedemption
7.84
BenchMarkReturn
6.68
Inception Years
3Y
schemeRedemption
6.86
BenchMarkReturn
5.84
Inception Years
5Y
schemeRedemption
7.27
BenchMarkReturn
7.71
Inception Years
SI
schemeRedemption
6.94
asOfDate
04/04/2025
AUM
2734.89
Category
DEBT
DofaPlanCode
DWI
MinimumInvestmentAmount
20000.00
nav
1022.4395
OptionDescription
Weekly Payout of IDCW
OptionName
D
Plan
D8
PlanDescription
Direct Plan
PlanMode
DIRECT
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.58
Inception Years
1Y
schemeRedemption
7.84
BenchMarkReturn
6.68
Inception Years
3Y
schemeRedemption
6.86
BenchMarkReturn
5.84
Inception Years
5Y
schemeRedemption
7.27
BenchMarkReturn
7.71
Inception Years
SI
schemeRedemption
6.94
asOfDate
04/04/2025
AUM
2734.89
Category
DEBT
DofaPlanCode
DWI
MinimumInvestmentAmount
20000.00
nav
1022.4395
OptionDescription
Weekly Reinvestment of IDCW
OptionName
R
Plan
D8
PlanDescription
Direct Plan
PlanMode
DIRECT
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.58
Inception Years
1Y
schemeRedemption
7.84
BenchMarkReturn
6.68
Inception Years
3Y
schemeRedemption
6.86
BenchMarkReturn
5.84
Inception Years
5Y
schemeRedemption
7.27
BenchMarkReturn
7.71
Inception Years
SI
schemeRedemption
6.94
asOfDate
04/04/2025
AUM
2734.89
Category
DEBT
DofaPlanCode
FT
MinimumInvestmentAmount
20000.00
nav
1337.6295
OptionDescription
Fortnightly Payout of IDCW
OptionName
D
Plan
FT
PlanDescription
Regular Plan
PlanMode
REGULAR
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.58
Inception Years
1Y
schemeRedemption
7.75
BenchMarkReturn
6.68
Inception Years
3Y
schemeRedemption
6.76
BenchMarkReturn
5.84
Inception Years
5Y
schemeRedemption
7.16
BenchMarkReturn
7.71
Inception Years
SI
schemeRedemption
7.19
asOfDate
04/04/2025
AUM
2734.89
Category
DEBT
DofaPlanCode
FT
MinimumInvestmentAmount
20000.00
nav
1337.6295
OptionDescription
Fortnightly Reinvestment of IDCW
OptionName
R
Plan
FT
PlanDescription
Regular Plan
PlanMode
REGULAR
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.58
Inception Years
1Y
schemeRedemption
7.75
BenchMarkReturn
6.68
Inception Years
3Y
schemeRedemption
6.76
BenchMarkReturn
5.84
Inception Years
5Y
schemeRedemption
7.16
BenchMarkReturn
7.71
Inception Years
SI
schemeRedemption
7.19
asOfDate
04/04/2025
AUM
2734.89
Category
DEBT
DofaPlanCode
FX
MinimumInvestmentAmount
20000.00
nav
1326.194
OptionDescription
Flexi Payout of IDCW
OptionName
D
Plan
FI
PlanDescription
Regular Plan
PlanMode
REGULAR
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.58
Inception Years
1Y
schemeRedemption
7.75
BenchMarkReturn
6.68
Inception Years
3Y
schemeRedemption
6.76
BenchMarkReturn
5.84
Inception Years
5Y
schemeRedemption
7.16
BenchMarkReturn
7.71
Inception Years
SI
schemeRedemption
7.19
asOfDate
04/04/2025
AUM
2734.89
Category
DEBT
DofaPlanCode
FX
MinimumInvestmentAmount
20000.00
nav
1326.194
OptionDescription
Flexi Reinvestment of IDCW
OptionName
R
Plan
FI
PlanDescription
Regular Plan
PlanMode
REGULAR
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.58
Inception Years
1Y
schemeRedemption
7.75
BenchMarkReturn
6.68
Inception Years
3Y
schemeRedemption
6.76
BenchMarkReturn
5.84
Inception Years
5Y
schemeRedemption
7.16
BenchMarkReturn
7.71
Inception Years
SI
schemeRedemption
7.19
asOfDate
04/04/2025
AUM
2734.89
Category
DEBT
DofaPlanCode
GR
MinimumInvestmentAmount
500.00
nav
6167.038
OptionDescription
Growth
OptionName
G
Plan
GP
PlanDescription
Discontinued - Growth Plan
PlanMode
REGULAR
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.58
Inception Years
1Y
schemeRedemption
7.75
BenchMarkReturn
6.68
Inception Years
3Y
schemeRedemption
6.76
BenchMarkReturn
5.84
Inception Years
5Y
schemeRedemption
7.16
BenchMarkReturn
7.71
Inception Years
SI
schemeRedemption
7.19
asOfDate
04/04/2025
AUM
2734.89
Category
DEBT
DofaPlanCode
HY
MinimumInvestmentAmount
20000.00
nav
1376.3452
OptionDescription
Half-yearly Payout of IDCW
OptionName
D
Plan
HI
PlanDescription
Regular Plan
PlanMode
REGULAR
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.58
Inception Years
1Y
schemeRedemption
7.75
BenchMarkReturn
6.68
Inception Years
3Y
schemeRedemption
6.76
BenchMarkReturn
5.84
Inception Years
5Y
schemeRedemption
7.16
BenchMarkReturn
7.71
Inception Years
SI
schemeRedemption
7.19
asOfDate
04/04/2025
AUM
2734.89
Category
DEBT
DofaPlanCode
HY
MinimumInvestmentAmount
20000.00
nav
1376.3452
OptionDescription
Half-yearly Reinvestment of IDCW
OptionName
R
Plan
HI
PlanDescription
Regular Plan
PlanMode
REGULAR
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.58
Inception Years
1Y
schemeRedemption
7.75
BenchMarkReturn
6.68
Inception Years
3Y
schemeRedemption
6.76
BenchMarkReturn
5.84
Inception Years
5Y
schemeRedemption
7.16
BenchMarkReturn
7.71
Inception Years
SI
schemeRedemption
7.19
asOfDate
04/04/2025
AUM
2734.89
Category
DEBT
DofaPlanCode
IBO
MinimumInvestmentAmount
10000.00
nav
2914.2727
OptionDescription
Bonus
OptionName
B
Plan
IB
PlanDescription
Discontinued - Bonus Plan
PlanMode
REGULAR
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.58
Inception Years
1Y
schemeRedemption
7.75
BenchMarkReturn
6.68
Inception Years
3Y
schemeRedemption
6.76
BenchMarkReturn
5.84
Inception Years
5Y
schemeRedemption
7.16
BenchMarkReturn
7.71
Inception Years
SI
schemeRedemption
7.19
asOfDate
04/04/2025
AUM
2734.89
Category
DEBT
DofaPlanCode
IBO
MinimumInvestmentAmount
100000.00
nav
2914.2727
OptionDescription
Bonus
OptionName
B
Plan
IO
PlanDescription
Discontinued - Bonus Plan
PlanMode
REGULAR
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.58
Inception Years
1Y
schemeRedemption
7.75
BenchMarkReturn
6.68
Inception Years
3Y
schemeRedemption
6.76
BenchMarkReturn
5.84
Inception Years
5Y
schemeRedemption
7.16
BenchMarkReturn
7.71
Inception Years
SI
schemeRedemption
7.19
asOfDate
04/04/2025
AUM
2734.89
Category
DEBT
DofaPlanCode
IM
MinimumInvestmentAmount
20000.00
nav
1370.8177
OptionDescription
Monthly Payout of IDCW
OptionName
D
Plan
IM
PlanDescription
Regular Plan
PlanMode
REGULAR
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.58
Inception Years
1Y
schemeRedemption
7.75
BenchMarkReturn
6.68
Inception Years
3Y
schemeRedemption
6.76
BenchMarkReturn
5.84
Inception Years
5Y
schemeRedemption
7.16
BenchMarkReturn
7.71
Inception Years
SI
schemeRedemption
7.19
asOfDate
04/04/2025
AUM
2734.89
Category
DEBT
DofaPlanCode
IM
MinimumInvestmentAmount
20000.00
nav
1370.8177
OptionDescription
Monthly Reinvestment of IDCW
OptionName
R
Plan
IM
PlanDescription
Regular Plan
PlanMode
REGULAR
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.58
Inception Years
1Y
schemeRedemption
7.75
BenchMarkReturn
6.68
Inception Years
3Y
schemeRedemption
6.76
BenchMarkReturn
5.84
Inception Years
5Y
schemeRedemption
7.16
BenchMarkReturn
7.71
Inception Years
SI
schemeRedemption
7.19
asOfDate
04/04/2025
AUM
2734.89
Category
DEBT
DofaPlanCode
IPD
MinimumInvestmentAmount
20000.00
nav
1343.9097
OptionDescription
Daily Reinvestment of IDCW
OptionName
R
Plan
ID
PlanDescription
Regular Plan
PlanMode
REGULAR
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.58
Inception Years
1Y
schemeRedemption
7.75
BenchMarkReturn
6.68
Inception Years
3Y
schemeRedemption
6.76
BenchMarkReturn
5.84
Inception Years
5Y
schemeRedemption
7.16
BenchMarkReturn
7.71
Inception Years
SI
schemeRedemption
7.19
asOfDate
04/04/2025
AUM
2734.89
Category
DEBT
DofaPlanCode
IPG
MinimumInvestmentAmount
500.00
nav
3486.8538
OptionDescription
Growth
OptionName
G
Plan
IG
PlanDescription
Regular Growth Plan
PlanMode
REGULAR
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.58
Inception Years
1Y
schemeRedemption
7.75
BenchMarkReturn
6.68
Inception Years
3Y
schemeRedemption
6.76
BenchMarkReturn
5.84
Inception Years
5Y
schemeRedemption
7.16
BenchMarkReturn
7.71
Inception Years
SI
schemeRedemption
7.19
asOfDate
04/04/2025
AUM
2734.89
Category
DEBT
DofaPlanCode
QI
MinimumInvestmentAmount
20000.00
nav
1364.6549
OptionDescription
Quarterly Payout of IDCW
OptionName
D
Plan
QI
PlanDescription
Regular Plan
PlanMode
REGULAR
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.58
Inception Years
1Y
schemeRedemption
7.75
BenchMarkReturn
6.68
Inception Years
3Y
schemeRedemption
6.76
BenchMarkReturn
5.84
Inception Years
5Y
schemeRedemption
7.16
BenchMarkReturn
7.71
Inception Years
SI
schemeRedemption
7.19
asOfDate
04/04/2025
AUM
2734.89
Category
DEBT
DofaPlanCode
QI
MinimumInvestmentAmount
20000.00
nav
1364.6549
OptionDescription
Quarterly Reinvestment of IDCW
OptionName
R
Plan
QI
PlanDescription
Regular Plan
PlanMode
REGULAR
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.58
Inception Years
1Y
schemeRedemption
7.75
BenchMarkReturn
6.68
Inception Years
3Y
schemeRedemption
6.76
BenchMarkReturn
5.84
Inception Years
5Y
schemeRedemption
7.16
BenchMarkReturn
7.71
Inception Years
SI
schemeRedemption
7.19
asOfDate
04/04/2025
AUM
2734.89
Category
DEBT
DofaPlanCode
RD
MinimumInvestmentAmount
20000.00
nav
1055.3406
OptionDescription
Periodic Payout of IDCW
OptionName
D
Plan
RD
PlanDescription
Regular Plan
PlanMode
REGULAR
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.58
Inception Years
1Y
schemeRedemption
7.75
BenchMarkReturn
6.68
Inception Years
3Y
schemeRedemption
6.76
BenchMarkReturn
5.84
Inception Years
5Y
schemeRedemption
7.16
BenchMarkReturn
7.71
Inception Years
SI
schemeRedemption
7.19
asOfDate
04/04/2025
AUM
2734.89
Category
DEBT
DofaPlanCode
RD
MinimumInvestmentAmount
20000.00
nav
1055.3406
OptionDescription
Periodic Reinvestment of IDCW
OptionName
R
Plan
RD
PlanDescription
Regular Plan
PlanMode
REGULAR
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.58
Inception Years
1Y
schemeRedemption
7.75
BenchMarkReturn
6.68
Inception Years
3Y
schemeRedemption
6.76
BenchMarkReturn
5.84
Inception Years
5Y
schemeRedemption
7.16
BenchMarkReturn
7.71
Inception Years
SI
schemeRedemption
7.19
asOfDate
04/04/2025
AUM
2734.89
Category
DEBT
DofaPlanCode
RM
MinimumInvestmentAmount
20000.00
nav
1024.4102
OptionDescription
Monthly Payout of IDCW
OptionName
D
Plan
RM
PlanDescription
Regular Plan
PlanMode
REGULAR
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.58
Inception Years
1Y
schemeRedemption
7.75
BenchMarkReturn
6.68
Inception Years
3Y
schemeRedemption
6.76
BenchMarkReturn
5.84
Inception Years
5Y
schemeRedemption
7.16
BenchMarkReturn
7.71
Inception Years
SI
schemeRedemption
7.19
asOfDate
04/04/2025
AUM
2734.89
Category
DEBT
DofaPlanCode
RM
MinimumInvestmentAmount
20000.00
nav
1024.4102
OptionDescription
Monthly Reinvestment of IDCW
OptionName
R
Plan
RM
PlanDescription
Regular Plan
PlanMode
REGULAR
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.58
Inception Years
1Y
schemeRedemption
7.75
BenchMarkReturn
6.68
Inception Years
3Y
schemeRedemption
6.76
BenchMarkReturn
5.84
Inception Years
5Y
schemeRedemption
7.16
BenchMarkReturn
7.71
Inception Years
SI
schemeRedemption
7.19
asOfDate
04/04/2025
AUM
2734.89
Category
DEBT
DofaPlanCode
RW
MinimumInvestmentAmount
20000.00
nav
1085.5845
OptionDescription
Flexi Payout of IDCW
OptionName
D
Plan
RW
PlanDescription
Regular Plan
PlanMode
REGULAR
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.58
Inception Years
1Y
schemeRedemption
7.75
BenchMarkReturn
6.68
Inception Years
3Y
schemeRedemption
6.76
BenchMarkReturn
5.84
Inception Years
5Y
schemeRedemption
7.16
BenchMarkReturn
7.71
Inception Years
SI
schemeRedemption
7.19
asOfDate
04/04/2025
AUM
2734.89
Category
DEBT
DofaPlanCode
RW
MinimumInvestmentAmount
20000.00
nav
1085.5845
OptionDescription
Flexi Reinvestment of IDCW
OptionName
R
Plan
RW
PlanDescription
Regular Plan
PlanMode
REGULAR
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.58
Inception Years
1Y
schemeRedemption
7.75
BenchMarkReturn
6.68
Inception Years
3Y
schemeRedemption
6.76
BenchMarkReturn
5.84
Inception Years
5Y
schemeRedemption
7.16
BenchMarkReturn
7.71
Inception Years
SI
schemeRedemption
7.19
asOfDate
04/04/2025
AUM
2734.89
Category
DEBT
DofaPlanCode
WI
MinimumInvestmentAmount
20000.00
nav
1347.2941
OptionDescription
Weekly Payout of IDCW
OptionName
D
Plan
WI
PlanDescription
Regular Plan
PlanMode
REGULAR
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.58
Inception Years
1Y
schemeRedemption
7.75
BenchMarkReturn
6.68
Inception Years
3Y
schemeRedemption
6.76
BenchMarkReturn
5.84
Inception Years
5Y
schemeRedemption
7.16
BenchMarkReturn
7.71
Inception Years
SI
schemeRedemption
7.19
asOfDate
04/04/2025
AUM
2734.89
Category
DEBT
DofaPlanCode
WI
MinimumInvestmentAmount
20000.00
nav
1347.2941
OptionDescription
Weekly Reinvestment of IDCW
OptionName
R
Plan
WI
PlanDescription
Regular Plan
PlanMode
REGULAR
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.58
Inception Years
1Y
schemeRedemption
7.75
BenchMarkReturn
6.68
Inception Years
3Y
schemeRedemption
6.76
BenchMarkReturn
5.84
Inception Years
5Y
schemeRedemption
7.16
BenchMarkReturn
7.71
Inception Years
SI
schemeRedemption
7.19
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