UTI-Dividend Yield Fund.-Growth

Category: Equity: Dividend Yield
Launch Date: 03-05-2005
Asset Class: Equity
Benchmark: NIFTY 500 TRI
Expense Ratio: 2.0% As on (30-12-2024)
Status: Open Ended Schemes
Minimum Investment: 5000.0
Minimum Topup: 1000.0
Total Assets: 4,082.1 Cr As on (31-12-2024)
Turn over: 30%
NAV as on 14-01-2025

167.5488

1.28 (0.7656%)

CAGR Since Inception

15.37%

NIFTY 500 TRI 12.44%

PERFORMANCE of UTI-Dividend Yield Fund.-Growth

Scheme Performance (%)

Data as on - 14-01-2025

Yearly Performance (%)

Fund Managers

Amit Kumar Premchandani

Investment Objective

An Open ended equity scheme which aims to provide medium to long term capital gains and/or dividend distribution by investing predominantly in equity and equity related instruments which offer high dividend yield.

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

Show All Monthly Lumpsum Returns
NAV Date NAV Units Market
Value
Returns
(%)
03-05-2005 10.0 10000.0 100000 0.0 %
03-06-2005 10.02 - 100200 0.2 %
04-07-2005 10.02 - 100200 0.2 %
03-08-2005 10.67 - 106700 6.7 %
05-09-2005 11.46 - 114600 14.6 %
03-10-2005 11.98 - 119800 19.8 %
07-11-2005 11.31 - 113100 13.1 %
05-12-2005 12.33 - 123300 23.3 %
03-01-2006 13.22 - 132200 32.2 %
03-02-2006 13.49 - 134900 34.9 %
03-03-2006 14.0 - 140000 40.0 %
03-04-2006 15.26 - 152600 52.6 %
03-05-2006 15.37 - 153700 53.7 %
05-06-2006 12.62 - 126200 26.2 %
03-07-2006 12.48 - 124800 24.8 %
03-08-2006 12.99 - 129900 29.9 %
04-09-2006 14.37 - 143700 43.7 %
03-10-2006 15.05 - 150500 50.5 %
03-11-2006 15.5 - 155000 55.0 %
04-12-2006 15.8 - 158000 58.0 %
03-01-2007 15.81 - 158100 58.1 %
05-02-2007 16.57 - 165700 65.7 %
05-03-2007 14.82 - 148200 48.2 %
03-04-2007 15.29 - 152900 52.9 %
03-05-2007 16.69 - 166900 66.9 %
04-06-2007 17.54 - 175400 75.4 %
03-07-2007 18.03 - 180300 80.3 %
03-08-2007 18.27 - 182700 82.7 %
03-09-2007 18.6 - 186000 86.0 %
03-10-2007 21.39 - 213900 113.9 %
05-11-2007 24.18 - 241800 141.8 %
03-12-2007 24.4 - 244000 144.0 %
03-01-2008 27.23 - 272300 172.3 %
04-02-2008 22.55 - 225500 125.5 %
03-03-2008 21.32 - 213200 113.2 %
03-04-2008 19.37 - 193700 93.7 %
05-05-2008 21.5 - 215000 115.0 %
03-06-2008 20.06 - 200600 100.6 %
03-07-2008 17.23 - 172300 72.3 %
04-08-2008 19.2 - 192000 92.0 %
04-09-2008 19.17 - 191700 91.7 %
03-10-2008 17.22 - 172200 72.2 %
03-11-2008 15.05 - 150500 50.5 %
03-12-2008 13.79 - 137900 37.9 %
05-01-2009 15.44 - 154400 54.4 %
03-02-2009 14.63 - 146300 46.3 %
03-03-2009 13.83 - 138300 38.3 %
06-04-2009 15.81 - 158100 58.1 %
04-05-2009 17.39 - 173900 73.9 %
03-06-2009 20.92 - 209200 109.2 %
03-07-2009 21.2 - 212000 112.0 %
03-08-2009 22.92 - 229200 129.2 %
03-09-2009 22.68 - 226800 126.8 %
05-10-2009 24.88 - 248800 148.8 %
03-11-2009 23.95 - 239500 139.5 %
03-12-2009 26.79 - 267900 167.9 %
04-01-2010 27.77 - 277700 177.7 %
03-02-2010 26.69 - 266900 166.9 %
03-03-2010 27.4 - 274000 174.0 %
05-04-2010 28.86 - 288600 188.6 %
03-05-2010 28.94 - 289400 189.4 %
03-06-2010 28.74 - 287400 187.4 %
05-07-2010 29.6 - 296000 196.0 %
03-08-2010 30.71 - 307100 207.1 %
03-09-2010 31.93 - 319300 219.3 %
04-10-2010 34.54 - 345400 245.4 %
03-11-2010 35.12 - 351200 251.2 %
03-12-2010 33.84 - 338400 238.4 %
03-01-2011 34.32 - 343200 243.2 %
03-02-2011 31.47 - 314700 214.7 %
03-03-2011 31.11 - 311100 211.1 %
04-04-2011 33.3 - 333000 233.0 %
03-05-2011 32.35 - 323500 223.5 %
03-06-2011 31.98 - 319800 219.8 %
04-07-2011 32.55 - 325500 225.5 %
03-08-2011 32.04 - 320400 220.4 %
05-09-2011 30.55 - 305500 205.5 %
03-10-2011 30.19 - 301900 201.9 %
03-11-2011 31.5 - 315000 215.0 %
05-12-2011 30.3 - 303000 203.0 %
03-01-2012 28.68 - 286800 186.8 %
03-02-2012 31.43 - 314300 214.3 %
05-03-2012 31.39 - 313900 213.9 %
03-04-2012 32.08 - 320800 220.8 %
03-05-2012 30.27 - 302700 202.7 %
04-06-2012 28.89 - 288900 188.9 %
03-07-2012 31.45 - 314500 214.5 %
03-08-2012 31.14 - 311400 211.4 %
03-09-2012 30.85 - 308500 208.5 %
03-10-2012 33.62 - 336200 236.2 %
05-11-2012 33.42 - 334200 234.2 %
03-12-2012 33.91 - 339100 239.1 %
03-01-2013 35.17 - 351700 251.7 %
04-02-2013 34.6128 - 346128 246.13 %
04-03-2013 32.7579 - 327579 227.58 %
03-04-2013 32.3981 - 323981 223.98 %
03-05-2013 33.2809 - 332809 232.81 %
03-06-2013 33.4931 - 334931 234.93 %
03-07-2013 32.0355 - 320355 220.35 %
05-08-2013 30.807 - 308070 208.07 %
03-09-2013 29.2569 - 292569 192.57 %
03-10-2013 32.1723 - 321723 221.72 %
05-11-2013 33.6738 - 336738 236.74 %
03-12-2013 33.4314 - 334314 234.31 %
03-01-2014 34.1932 - 341932 241.93 %
03-02-2014 32.9944 - 329944 229.94 %
03-03-2014 33.9274 - 339274 239.27 %
03-04-2014 36.8313 - 368313 268.31 %
05-05-2014 36.84 - 368400 268.4 %
03-06-2014 41.821 - 418210 318.21 %
03-07-2014 44.2794 - 442794 342.79 %
04-08-2014 43.2246 - 432246 332.25 %
03-09-2014 46.1003 - 461003 361.0 %
07-10-2014 44.9383 - 449383 349.38 %
03-11-2014 47.6737 - 476737 376.74 %
03-12-2014 50.0331 - 500331 400.33 %
05-01-2015 49.5326 - 495326 395.33 %
03-02-2015 50.278 - 502780 402.78 %
03-03-2015 51.8041 - 518041 418.04 %
06-04-2015 49.3939 - 493939 393.94 %
04-05-2015 48.0522 - 480522 380.52 %
03-06-2015 46.9886 - 469886 369.89 %
03-07-2015 47.9315 - 479315 379.31 %
03-08-2015 49.7014 - 497014 397.01 %
03-09-2015 45.9933 - 459933 359.93 %
05-10-2015 47.2919 - 472919 372.92 %
03-11-2015 46.8769 - 468769 368.77 %
03-12-2015 46.1932 - 461932 361.93 %
04-01-2016 45.9062 - 459062 359.06 %
03-02-2016 42.3753 - 423753 323.75 %
03-03-2016 42.7007 - 427007 327.01 %
04-04-2016 45.1149 - 451149 351.15 %
03-05-2016 45.3246 - 453246 353.25 %
03-06-2016 46.8262 - 468262 368.26 %
04-07-2016 48.7912 - 487912 387.91 %
03-08-2016 48.754 - 487540 387.54 %
06-09-2016 51.8385 - 518385 418.38 %
03-10-2016 51.9568 - 519568 419.57 %
03-11-2016 50.5491 - 505491 405.49 %
05-12-2016 48.9036 - 489036 389.04 %
03-01-2017 49.5159 - 495159 395.16 %
03-02-2017 53.0509 - 530509 430.51 %
03-03-2017 53.2138 - 532138 432.14 %
03-04-2017 55.7049 - 557049 457.05 %
03-05-2017 56.9015 - 569015 469.01 %
05-06-2017 57.9806 - 579806 479.81 %
03-07-2017 57.4822 - 574822 474.82 %
03-08-2017 58.599 - 585990 485.99 %
04-09-2017 58.8792 - 588792 488.79 %
03-10-2017 58.7419 - 587419 487.42 %
03-11-2017 62.4692 - 624692 524.69 %
04-12-2017 61.0473 - 610473 510.47 %
03-01-2018 63.0769 - 630769 530.77 %
05-02-2018 63.7134 - 637134 537.13 %
05-03-2018 62.9732 - 629732 529.73 %
03-04-2018 61.6254 - 616254 516.25 %
03-05-2018 63.415 - 634150 534.15 %
04-06-2018 62.8022 - 628022 528.02 %
03-07-2018 62.013 - 620130 520.13 %
03-08-2018 66.1263 - 661263 561.26 %
03-09-2018 67.7873 - 677873 577.87 %
03-10-2018 64.3936 - 643936 543.94 %
05-11-2018 62.1667 - 621667 521.67 %
03-12-2018 62.5869 - 625869 525.87 %
03-01-2019 62.4348 - 624348 524.35 %
04-02-2019 62.9085 - 629085 529.09 %
05-03-2019 63.9618 - 639618 539.62 %
03-04-2019 65.7229 - 657229 557.23 %
03-05-2019 64.9995 - 649995 550.0 %
03-06-2019 66.2529 - 662529 562.53 %
03-07-2019 64.8573 - 648573 548.57 %
05-08-2019 60.578 - 605780 505.78 %
03-09-2019 61.7012 - 617012 517.01 %
03-10-2019 64.3175 - 643175 543.17 %
04-11-2019 67.1305 - 671305 571.3 %
03-12-2019 64.5621 - 645621 545.62 %
03-01-2020 66.2001 - 662001 562.0 %
03-02-2020 64.623 - 646230 546.23 %
03-03-2020 63.0651 - 630651 530.65 %
03-04-2020 49.4979 - 494979 394.98 %
04-05-2020 54.2484 - 542484 442.48 %
03-06-2020 57.7783 - 577783 477.78 %
03-07-2020 61.6145 - 616145 516.14 %
03-08-2020 65.2691 - 652691 552.69 %
03-09-2020 67.1088 - 671088 571.09 %
05-10-2020 67.0897 - 670897 570.9 %
03-11-2020 66.8782 - 668782 568.78 %
03-12-2020 74.0968 - 740968 640.97 %
04-01-2021 79.9258 - 799258 699.26 %
03-02-2021 80.8863 - 808863 708.86 %
03-03-2021 85.0912 - 850912 750.91 %
05-04-2021 84.6977 - 846977 746.98 %
03-05-2021 85.5067 - 855067 755.07 %
03-06-2021 91.8555 - 918555 818.55 %
05-07-2021 96.3821 - 963821 863.82 %
03-08-2021 101.3069 - 1013069 913.07 %
03-09-2021 106.9652 - 1069652 969.65 %
04-10-2021 109.043 - 1090430 990.43 %
03-11-2021 108.2724 - 1082724 982.72 %
03-12-2021 105.7325 - 1057325 957.32 %
03-01-2022 109.3504 - 1093504 993.5 %
03-02-2022 105.0367 - 1050367 950.37 %
03-03-2022 102.1565 - 1021565 921.57 %
04-04-2022 107.9622 - 1079622 979.62 %
04-05-2022 100.1369 - 1001369 901.37 %
03-06-2022 98.4 - 984000 884.0 %
04-07-2022 94.045 - 940450 840.45 %
03-08-2022 102.2332 - 1022332 922.33 %
05-09-2022 102.4154 - 1024154 924.15 %
03-10-2022 98.997 - 989970 889.97 %
03-11-2022 103.8106 - 1038106 938.11 %
05-12-2022 106.7291 - 1067291 967.29 %
03-01-2023 103.4099 - 1034099 934.1 %
03-02-2023 103.8331 - 1038331 938.33 %
03-03-2023 103.6061 - 1036061 936.06 %
03-04-2023 102.2523 - 1022523 922.52 %
03-05-2023 104.9819 - 1049819 949.82 %
05-06-2023 109.8002 - 1098002 998.0 %
03-07-2023 113.5399 - 1135399 1035.4 %
03-08-2023 118.2061 - 1182061 1082.06 %
04-09-2023 122.4012 - 1224012 1124.01 %
03-10-2023 122.8805 - 1228805 1128.81 %
03-11-2023 120.3939 - 1203939 1103.94 %
04-12-2023 131.6731 - 1316731 1216.73 %
03-01-2024 138.4829 - 1384829 1284.83 %
05-02-2024 143.1828 - 1431828 1331.83 %
04-03-2024 148.1776 - 1481776 1381.78 %
03-04-2024 147.9655 - 1479655 1379.65 %
03-05-2024 151.7374 - 1517374 1417.37 %
03-06-2024 160.3797 - 1603797 1503.8 %
03-07-2024 171.1963 - 1711963 1611.96 %
05-08-2024 174.8896 - 1748896 1648.9 %
03-09-2024 186.6829 - 1866829 1766.83 %
03-10-2024 186.1693 - 1861693 1761.69 %
04-11-2024 176.8018 - 1768018 1668.02 %
03-12-2024 179.8082 - 1798082 1698.08 %
03-01-2025 175.3399 - 1753399 1653.4 %
14-01-2025 167.5488 - 1675488 1575.49 %

RETURNS CALCULATOR for UTI-Dividend Yield Fund.-Growth

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-Dividend Yield Fund.-Growth

Key Statistics Volatility Sharpe Ratio Alpha Beta Yield to Maturity Average Maturity
UTI-Dividend Yield Fund.-Growth 13.05 0.69 1.9 0.95 - -
Equity: Dividend Yield - - - - - -

PEER COMPARISION of UTI-Dividend Yield Fund.-Growth

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-Dividend Yield Fund.-Growth 03-05-2005 19.35 27.39 14.69 20.01 13.09
LIC MF Dividend Yield Fund-Regular Plan-Growth 17-12-2018 22.25 29.14 16.35 21.04 0.0
ICICI Prudential Dividend Yield Equity Fund Growth Option 01-05-2014 16.67 28.01 19.65 23.92 14.3
Templeton India Equity Income Fund-Growth Plan 18-05-2006 13.98 23.94 16.44 22.85 14.79
SBI Dividend Yield Fund - Regular Plan - Growth 03-03-2023 10.93 0.0 0.0 0.0 0.0
Aditya Birla Sun Life Dividend Yield Fund - Growth - Regular Plan 26-02-2003 10.3 24.39 17.46 20.92 11.56
HDFC Dividend Yield Fund - Growth Plan 10-12-2020 9.67 23.74 16.42 0.0 0.0
Sundaram Dividend Yield Fund (Formerly Known as Principal Dividend Yield Fund)-Growth Plan 01-02-2013 9.01 21.63 12.72 18.46 13.59
Tata Dividend Yield Fund-Regular Plan-Growth 20-05-2021 4.81 19.6 11.86 0.0 0.0

PORTFOLIO ANALYSIS of UTI-Dividend Yield Fund.-Growth

Asset Allocation (%)

Allocation Percentage (%)

Market Cap Distribution

Small Cap

19.07%

Others

2.41%

Large Cap

65.6%

Mid Cap

12.76%

Total

100%