UTI Multi Asset Allocation Fund - DIR
Multi Cap
Current NAV
85.25
▼
1.74%
Year 1 Forecast
101.33
+18.9%
Year 2 Forecast
107.22
+25.8%
Fund at a Glance
Key information and performance summary
Key Metrics
AUM (Cr.)
82,115
Holdings
126
Risk
High
Funds in Category
18
Fund Return
1 Month
-4.5%
3 Month
-3.0%
1 Year
2.4%
3 Year
14.2%
Category Return
1 Month
-4.5%
3 Month
-4.1%
1 Year
-0.6%
3 Year
12.9%
NAV Performance History
Asset Allocation
Latest Portfolio
2026-10-01
Equity
Debt
Cash
Others
Top Holdings
| Company | Weight | Industry |
|---|---|---|
| GOLDBETA | 13.4% | - |
| ICICI Bank | 3.3% | Banks - Large Private |
| Kotak Mahindra Bank | 3.0% | Banks - Large Private |
| Nestle India | 2.7% | FMCG |
Fund Narrative
AI-powered fund insights and portfolio commentary will be available here
Investment Thesis
This section will eventually be generated by the Vista Narrative Engine and will summarize the investment philosophy of the fund, portfolio positioning, key strengths, potential risks, and the suitability of the fund for different investor profiles.
🚀 Coming Soon