UTI India Consumer Fund - Growth Option-Direct - Latest NAV ₹27.0318, Returns, Performance & Portfolio

UTI India Consumer Fund - Growth Option-Direct

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    5.99%
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    (+0.07)27.0318
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Fund Summarystar

PeriodReturns(per year)
10 Years--
5 Years5.99%
3 Years2.09%
1 Year-0.72%
6 Months11.68%
Fund Details
ISININF789F01VF3
RiskHigh Risk
Fund TypeEquity - Other
NAV27.0318
Exit Load1% for 365 Days

More about this fundstar

Top HoldingsWeightage
Hindustan Unilever Ltd8.09%
Bharti Airtel Ltd8.02%
Maruti Suzuki India Ltd7%
Asian Paints Ltd5.82%
Nestle India Ltd5.19%
ITC Ltd4.91%
Dabur India Ltd4.01%
Crompton Greaves Consumer Electricals Ltd3.22%
Avenue Supermarts Ltd3.12%
Marico Ltd2.85%

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Frequently Asked Questions

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High Risk

All investments come with risk. Risk is the volatility or fluctuation in the price (and returns) of the investment. Usually,

  • High Risk = High possible returns
  • Low Risk = Stable, relatively lower returns