UTI Mid Cap Fund-Growth Option

Category: Equity: Mid Cap
Launch Date: 05-08-2005
Asset Class: Equity
Benchmark: NIFTY Midcap 150 TRI
Expense Ratio: 1.75% As on (30-12-2024)
Status: Open Ended Schemes
Minimum Investment: 5000.0
Minimum Topup: 1000.0
Total Assets: 11,996.94 Cr As on (31-12-2024)
Turn over: 40%
NAV as on 14-01-2025

284.8629

4.36 (1.5299%)

CAGR Since Inception

16.04%

NIFTY Midcap 150 TRI 17.68%

PERFORMANCE of UTI Mid Cap Fund-Growth Option

Scheme Performance (%)

Data as on - 14-01-2025

Yearly Performance (%)

Fund Managers

Ankit Agarwal

Investment Objective

An open-ended equity fund with the objective to provide 'Capital appreciation' by investing primarily in mid cap stocks.

NAV & Lumpsum details( Invested amount 1,00,000)

Show All Monthly Lumpsum Returns
NAV Date NAV Units Market
Value
Returns
(%)
01-08-2005 15.73 6357.2791 100000 0.0 %
01-09-2005 17.42 - 110744 10.74 %
03-10-2005 18.55 - 117928 17.93 %
02-11-2005 16.84 - 107057 7.06 %
01-12-2005 18.76 - 119263 19.26 %
02-01-2006 20.54 - 130579 30.58 %
01-02-2006 21.93 - 139415 39.41 %
01-03-2006 22.43 - 142594 42.59 %
03-04-2006 24.71 - 157088 57.09 %
02-05-2006 26.53 - 168659 68.66 %
01-06-2006 21.51 - 136745 36.74 %
03-07-2006 18.83 - 119708 19.71 %
01-08-2006 17.2 - 109345 9.35 %
01-09-2006 19.22 - 122187 22.19 %
03-10-2006 19.99 - 127082 27.08 %
01-11-2006 21.1 - 134139 34.14 %
01-12-2006 23.15 - 147171 47.17 %
02-01-2007 22.97 - 146027 46.03 %
01-02-2007 23.81 - 151367 51.37 %
01-03-2007 20.71 - 131659 31.66 %
02-04-2007 19.18 - 121933 21.93 %
03-05-2007 21.24 - 135029 35.03 %
01-06-2007 22.35 - 142085 42.09 %
02-07-2007 22.98 - 146090 46.09 %
01-08-2007 22.63 - 143865 43.86 %
03-09-2007 23.09 - 146790 46.79 %
01-10-2007 24.88 - 158169 58.17 %
01-11-2007 27.58 - 175334 75.33 %
03-12-2007 29.32 - 186395 86.39 %
01-01-2008 34.9 - 221869 121.87 %
01-02-2008 26.76 - 170121 70.12 %
03-03-2008 25.08 - 159441 59.44 %
01-04-2008 21.84 - 138843 38.84 %
02-05-2008 24.22 - 153973 53.97 %
02-06-2008 22.93 - 145772 45.77 %
01-07-2008 18.68 - 118754 18.75 %
01-08-2008 21.21 - 134838 34.84 %
01-09-2008 21.54 - 136936 36.94 %
01-10-2008 18.28 - 116211 16.21 %
03-11-2008 14.05 - 89320 -10.68 %
01-12-2008 12.41 - 78894 -21.11 %
01-01-2009 13.62 - 86586 -13.41 %
02-02-2009 12.28 - 78067 -21.93 %
02-03-2009 11.68 - 74253 -25.75 %
01-04-2009 12.68 - 80610 -19.39 %
04-05-2009 14.55 - 92498 -7.5 %
01-06-2009 19.71 - 125302 25.3 %
01-07-2009 19.61 - 124666 24.67 %
03-08-2009 21.36 - 135791 35.79 %
01-09-2009 22.9 - 145582 45.58 %
01-10-2009 25.23 - 160394 60.39 %
03-11-2009 23.45 - 149078 49.08 %
01-12-2009 26.39 - 167769 67.77 %
04-01-2010 28.61 - 181882 81.88 %
01-02-2010 28.16 - 179021 79.02 %
02-03-2010 27.77 - 176542 76.54 %
01-04-2010 29.19 - 185569 85.57 %
03-05-2010 30.29 - 192562 92.56 %
01-06-2010 29.06 - 184743 84.74 %
01-07-2010 30.94 - 196694 96.69 %
02-08-2010 32.37 - 205785 105.78 %
01-09-2010 33.61 - 213668 113.67 %
01-10-2010 35.28 - 224285 124.28 %
01-11-2010 35.36 - 224793 124.79 %
01-12-2010 34.18 - 217292 117.29 %
03-01-2011 33.88 - 215385 115.39 %
01-02-2011 29.35 - 186586 86.59 %
01-03-2011 29.3 - 186268 86.27 %
01-04-2011 31.11 - 197775 97.78 %
02-05-2011 31.41 - 199682 99.68 %
01-06-2011 31.6 - 200890 100.89 %
01-07-2011 31.68 - 201399 101.4 %
01-08-2011 32.59 - 207184 107.18 %
02-09-2011 30.09 - 191291 91.29 %
03-10-2011 29.59 - 188112 88.11 %
01-11-2011 30.66 - 194914 94.91 %
01-12-2011 28.16 - 179021 79.02 %
02-01-2012 25.46 - 161856 61.86 %
01-02-2012 28.87 - 183535 83.53 %
01-03-2012 29.58 - 188048 88.05 %
02-04-2012 30.75 - 195486 95.49 %
02-05-2012 30.67 - 194978 94.98 %
01-06-2012 29.1 - 184997 85.0 %
02-07-2012 30.71 - 195232 95.23 %
01-08-2012 30.55 - 194215 94.22 %
03-09-2012 30.83 - 195995 95.99 %
01-10-2012 33.59 - 213541 113.54 %
01-11-2012 33.58 - 213477 113.48 %
03-12-2012 35.39 - 224984 124.98 %
01-01-2013 36.34 - 231024 131.02 %
01-02-2013 34.9294 - 222056 122.06 %
01-03-2013 32.355 - 205690 105.69 %
01-04-2013 31.6881 - 201450 101.45 %
02-05-2013 32.9813 - 209671 109.67 %
03-06-2013 34.1298 - 216973 116.97 %
01-07-2013 32.4638 - 206381 106.38 %
01-08-2013 30.4233 - 193409 93.41 %
02-09-2013 29.9957 - 190691 90.69 %
01-10-2013 31.9274 - 202971 102.97 %
01-11-2013 34.8803 - 221744 121.74 %
02-12-2013 37.179 - 236357 136.36 %
01-01-2014 39.7896 - 252954 152.95 %
03-02-2014 38.372 - 243942 143.94 %
03-03-2014 40.6572 - 258469 158.47 %
01-04-2014 44.7281 - 284349 184.35 %
02-05-2014 45.8362 - 291394 191.39 %
02-06-2014 51.9206 - 330074 230.07 %
01-07-2014 58.6325 - 372743 272.74 %
01-08-2014 58.532 - 372104 272.1 %
01-09-2014 64.3554 - 409125 309.12 %
01-10-2014 67.7895 - 430957 330.96 %
03-11-2014 71.4182 - 454025 354.02 %
01-12-2014 73.5837 - 467792 367.79 %
01-01-2015 75.8744 - 482355 382.36 %
02-02-2015 78.378 - 498271 398.27 %
02-03-2015 79.2828 - 504023 404.02 %
01-04-2015 80.1935 - 509812 409.81 %
04-05-2015 77.9853 - 495774 395.77 %
01-06-2015 79.6413 - 506302 406.3 %
01-07-2015 79.4746 - 505242 405.24 %
03-08-2015 83.7773 - 532596 432.6 %
01-09-2015 78.9767 - 502077 402.08 %
01-10-2015 80.0653 - 508997 409.0 %
02-11-2015 79.5301 - 505595 405.6 %
01-12-2015 80.4392 - 511374 411.37 %
01-01-2016 80.8767 - 514156 414.16 %
01-02-2016 75.295 - 478671 378.67 %
01-03-2016 70.4567 - 447913 347.91 %
01-04-2016 75.5305 - 480168 380.17 %
02-05-2016 78.9699 - 502034 402.03 %
01-06-2016 80.4779 - 511620 411.62 %
01-07-2016 84.9319 - 539936 439.94 %
01-08-2016 88.4061 - 562022 462.02 %
01-09-2016 90.8557 - 577595 477.59 %
03-10-2016 94.2081 - 598907 498.91 %
01-11-2016 94.1229 - 598366 498.37 %
01-12-2016 84.7095 - 538522 438.52 %
02-01-2017 84.0543 - 534357 434.36 %
01-02-2017 89.4759 - 568823 468.82 %
01-03-2017 91.6482 - 582633 482.63 %
03-04-2017 95.8074 - 609074 509.07 %
02-05-2017 100.3192 - 637757 537.76 %
01-06-2017 99.2546 - 630989 530.99 %
03-07-2017 98.8842 - 628634 528.63 %
01-08-2017 101.8942 - 647770 547.77 %
01-09-2017 101.7211 - 646669 546.67 %
03-10-2017 101.7675 - 646964 546.96 %
01-11-2017 111.0791 - 706161 606.16 %
01-12-2017 112.2112 - 713358 613.36 %
01-01-2018 117.5799 - 747488 647.49 %
01-02-2018 113.8394 - 723709 623.71 %
01-03-2018 112.4318 - 714760 614.76 %
02-04-2018 109.7001 - 697394 597.39 %
02-05-2018 115.4944 - 734230 634.23 %
01-06-2018 108.2451 - 688144 588.14 %
02-07-2018 102.7559 - 653248 553.25 %
01-08-2018 107.4024 - 682787 582.79 %
03-09-2018 108.6666 - 690824 590.82 %
01-10-2018 95.8598 - 609408 509.41 %
01-11-2018 96.8492 - 615697 515.7 %
03-12-2018 99.0652 - 629785 529.79 %
01-01-2019 100.4257 - 638434 538.43 %
01-02-2019 95.7941 - 608990 508.99 %
01-03-2019 95.2945 - 605814 505.81 %
01-04-2019 101.2919 - 643941 543.94 %
02-05-2019 96.7975 - 615369 515.37 %
03-06-2019 100.8672 - 641241 541.24 %
01-07-2019 99.1243 - 630161 530.16 %
01-08-2019 89.8315 - 571084 471.08 %
03-09-2019 89.2957 - 567678 467.68 %
01-10-2019 94.8828 - 603196 503.2 %
01-11-2019 99.3124 - 631357 531.36 %
02-12-2019 98.9249 - 628893 528.89 %
01-01-2020 100.3147 - 637729 537.73 %
03-02-2020 104.8876 - 666800 566.8 %
02-03-2020 101.3791 - 644495 544.5 %
01-04-2020 74.4988 - 473610 373.61 %
04-05-2020 82.6407 - 525370 425.37 %
01-06-2020 87.9032 - 558825 458.83 %
01-07-2020 92.7159 - 589421 489.42 %
03-08-2020 99.2445 - 630925 530.92 %
01-09-2020 106.6475 - 677988 577.99 %
01-10-2020 110.6817 - 703634 603.63 %
02-11-2020 110.4304 - 702037 602.04 %
01-12-2020 125.2225 - 796074 696.07 %
01-01-2021 134.3011 - 853790 753.79 %
01-02-2021 134.9603 - 857980 757.98 %
01-03-2021 145.4434 - 924624 824.62 %
01-04-2021 148.5502 - 944375 844.38 %
03-05-2021 147.9569 - 940603 840.6 %
01-06-2021 155.1959 - 986624 886.62 %
01-07-2021 165.1238 - 1049738 949.74 %
02-08-2021 177.2468 - 1126807 1026.81 %
01-09-2021 180.773 - 1149224 1049.22 %
01-10-2021 185.2147 - 1177462 1077.46 %
01-11-2021 189.4438 - 1204347 1104.35 %
01-12-2021 185.7824 - 1181071 1081.07 %
03-01-2022 192.9792 - 1226823 1126.82 %
01-02-2022 188.9062 - 1200929 1100.93 %
02-03-2022 175.1451 - 1113446 1013.45 %
01-04-2022 181.8757 - 1156235 1056.24 %
02-05-2022 180.7371 - 1148996 1049.0 %
01-06-2022 171.8709 - 1092631 992.63 %
01-07-2022 165.5648 - 1052542 952.54 %
01-08-2022 184.7197 - 1174315 1074.32 %
01-09-2022 192.4704 - 1223588 1123.59 %
03-10-2022 188.7581 - 1199988 1099.99 %
01-11-2022 194.4483 - 1236162 1136.16 %
01-12-2022 194.2634 - 1234987 1134.99 %
02-01-2023 189.2888 - 1203362 1103.36 %
01-02-2023 184.2923 - 1171598 1071.6 %
01-03-2023 184.8195 - 1174949 1074.95 %
03-04-2023 178.7384 - 1136290 1036.29 %
02-05-2023 187.1208 - 1189579 1089.58 %
01-06-2023 198.4153 - 1261381 1161.38 %
03-07-2023 209.731 - 1333319 1233.32 %
01-08-2023 220.0483 - 1398908 1298.91 %
01-09-2023 227.2156 - 1444473 1344.47 %
03-10-2023 228.4613 - 1452392 1352.39 %
01-11-2023 220.1354 - 1399462 1299.46 %
01-12-2023 237.3589 - 1508957 1408.96 %
01-01-2024 247.5874 - 1573982 1473.98 %
01-02-2024 252.0708 - 1602484 1502.48 %
01-03-2024 254.1068 - 1615428 1515.43 %
01-04-2024 255.1967 - 1622357 1522.36 %
02-05-2024 265.4747 - 1687697 1587.7 %
03-06-2024 276.7651 - 1759473 1659.47 %
01-07-2024 299.438 - 1903611 1803.61 %
01-08-2024 313.2184 - 1991217 1891.22 %
02-09-2024 320.866 - 2039835 1939.84 %
01-10-2024 324.2136 - 2061116 1961.12 %
04-11-2024 300.3411 - 1909352 1809.35 %
02-12-2024 308.223 - 1959460 1859.46 %
01-01-2025 305.6348 - 1943006 1843.01 %
14-01-2025 284.8629 - 1810953 1710.95 %

RETURNS CALCULATOR for UTI Mid Cap Fund-Growth Option

Growth of 10000 In SIP (Fund vs Benchmark)

Amount :
Period :
Start :
End :

Growth of 10000 In LUMPSUM (Fund vs Benchmark)

Amount :
Start :

Rolling Returns

Rolling returns are the annualized returns of the scheme taken for a specified period (rolling returns period) on every day/week/month and taken till the last day of the duration. In this chart we are showing the annualized returns over the rolling returns period on every day from the start date and comparing it with the benchmark. Rolling returns is the best measure of a fund's performance. Trailing returns have a recency bias and point to point returns are specific to the period in consideration. Rolling returns, on the other hand, measures the fund's absolute and relative performance across all timescales, without bias.

Riskometer

riskometer

Key Performance and Risk Statistics of UTI Mid Cap Fund-Growth Option

Key Statistics Volatility Sharpe Ratio Alpha Beta Yield to Maturity Average Maturity
UTI Mid Cap Fund-Growth Option 13.04 0.69 -3.42 0.88 - -
Equity: Mid Cap - - - - - -

PEER COMPARISION of UTI Mid Cap Fund-Growth Option

Amount :
Start :
End :
Period
Data as on - 14-01-2025
Scheme Name Launch
Date
1-Year
Ret (%)
2-Yrs
Ret (%)
3-Yrs
Ret (%)
5-Yrs
Ret (%)
10-Yrs
Ret (%)
UTI Mid Cap Fund-Growth Option 05-08-2005 14.28 23.26 12.94 22.55 14.08
Motilal Oswal Midcap Fund-Regular Plan-Growth Option 02-02-2014 34.93 41.14 28.73 30.04 18.83
Invesco India Midcap Fund - Growth Option 19-04-2007 28.87 34.08 20.02 25.55 17.02
Edelweiss Mid Cap Fund - Regular Plan - Growth Option 26-12-2007 25.56 34.32 21.1 27.73 17.92
HSBC Midcap Fund - Regular Growth 09-08-2004 22.93 32.42 19.65 21.68 15.87
Kotak Emerging Equity Scheme - Growth 30-03-2007 22.79 28.37 18.41 24.46 17.46
JM Midcap Fund (Regular) - Growth 21-11-2022 21.76 35.56 0.0 0.0 0.0
WhiteOak Capital Mid Cap Fund Regular Plan Growth 07-09-2022 21.39 32.92 0.0 0.0 0.0
LIC MF Mid Cap Fund-Regular Plan-Growth 02-02-2017 21.14 29.83 15.33 21.43 0.0
Franklin India Prima Fund-Growth 01-12-1993 20.9 30.15 17.99 21.27 14.87

PORTFOLIO ANALYSIS of UTI Mid Cap Fund-Growth Option

Asset Allocation (%)

Allocation Percentage (%)

Market Cap Distribution

Small Cap

24.09%

Others

2.16%

Large Cap

7.85%

Mid Cap

65.9%

Total

100%