UTI Fixed Income Interval Fund - I- Monthly Interval Plan- Retail Option

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Snapshot

Fund Type
Risk Metric
NAV
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Fund Facts

Opens on
Closes on
Minimum Investment Amount
Allotment Date
Maturity Date
Benchmark Index
Exit Load

Fund Overview

Scheme Riskometer

In terms of SEBI Circular No. SEBI/HO/IMD/IMD-II DOF 3/P/CIR/2021/573 dated June 07, 2021, all debt schemes of UTI Mutual Fund have been classified in terms of a Potential Risk Class (PRC) Matrix, consisting of maximum interest rate risk (measured by Macaulay Duration (MD) of the scheme) and maximum credit risk (measured by Credit Risk Value (CRV) of the scheme) that a scheme can take, effective December 1, 2021.

Fund Managers

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