A Oneindia Venture

UTI Conservative Hybrid Fund

Debt Hybrid Regular
Regular
Direct

3 Year Absolute Returns

10.28% ↑

NAV (₹) on 18 Dec 2025

17.39

1 Day NAV Change

0.03%

Risk Level

Moderately High Risk

Rating

UTI Conservative Hybrid Fund is a Debt mutual fund categorized under Hybrid, offered by UTI Asset Management Co. Ltd.. Launched on 16 Dec 2003, investors can start with a minimum SIP of ₹100 or a ... Read more

NAV History

Fund Details

Min. SIP Amount
₹500
Inception Date
16 Dec 2003
Min. Lumpsum Amount
₹ 5,000
Fund Age
22 Yrs
AUM
₹ 1,701.31 Cr.
Benchmark
CRISIL Short Term Debt Hybrid 75+25 Fund Index
Expense Ratio
1.80%
Scheme Type
Open Ended
Exit Load
1%

Returns Calculator

Investment amount per month
₹1,000
Over the past
Would have become
On total investment of
*Calculation based on past performance of this fund.

Asset Allocation

AUM

₹ 1,701.31 Cr

Equity
24.04%
Debt
74%
Other Assets & Liabilities
1.96%

Sector Holdings

Sectors Weightage
Government Securities 36.72%
Finance - Banks - Private Sector 13.79%
Finance & Investments 7.97%
Finance - Term Lending Institutions 6.23%
Non Convertible Debentures 6.16%
Finance - Housing 4.58%
IT Consulting & Software 2.55%
Refineries 2.55%
Finance - Banks - Public Sector 2.29%
Non-Banking Financial Company (NBFC) 1.85%
Current Assets 1.69%
Pharmaceuticals 1.23%
Telecom Services 1.02%
Auto - Cars & Jeeps 0.97%
Auto - 2 & 3 Wheelers 0.76%
Mining/Minerals 0.59%
Personal Care 0.55%
Hospitals & Medical Services 0.53%
Finance - Mutual Funds 0.51%
Domestic Appliances 0.42%
Aluminium 0.42%
Power - Transmission/Equipment 0.40%
Cement 0.39%
Finance - Non Life Insurance 0.39%
Ceramics/Tiles/Sanitaryware 0.33%
Realty 0.33%
Aerospace & Defense 0.32%
Finance - Life Insurance 0.31%
Internet & Catalogue Retail 0.30%
Hotels, Resorts & Restaurants 0.30%
Retail - Apparel/Accessories 0.29%
Iron & Steel 0.29%
Shipping 0.28%
Auto Ancl - Electrical 0.27%
Others 0.27%
Agro Chemicals/Pesticides 0.25%
Construction, Contracting & Engineering 0.24%
LPG/CNG/PNG/LNG Bottling/Distribution 0.23%
Castings/Foundry 0.21%
Paper & Paper Products 0.21%
Port & Port Services 0.20%
E-Commerce/E-Retail 0.20%
Entertainment & Media 0.20%
Consumer Electronics 0.17%
Plywood/Laminates 0.17%
Short Term Deposits 0.07%

Stock Holdings

Name Weightage Value (in Cr.) Sector
7.10% - MAT - 08/04/2034 15.65% ₹ 263.55 Others
6.79% GOVT BONDS - 07/10/2034 10.89% ₹ 183.36 Others
POWER FINANCE CORPORATION LTD. 4.68% ₹ 78.87 Finance - Term Lending Institutions
REC LTD 4.67% ₹ 78.62 Others
07.18% MAT -14/08/2033 4.08% ₹ 68.77 Others
7.34% MAT- 22/04/2064 3.16% ₹ 53.22 Others
HDFC BANK LTD. 3.13% ₹ 52.72 Finance - Banks - Private Sector
7.28% WB SGS MAT - 12/03/2039 3.11% ₹ 52.36 Finance & Investments
7.29% WB SDL MAT - 12/03/2038 3.10% ₹ 52.19 Finance & Investments
LIC HOUSING FINANCE LTD. 3.05% ₹ 51.32 Finance - Housing
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA 3.04% ₹ 51.23 Finance - Banks - Private Sector
HDFC BANK LIMITED 2.37% ₹ 39.87 Finance - Banks - Private Sector
NET CURRENT ASSETS 1.69% ₹ 28.73 Others
07.18% MAT -24/07/2037 1.58% ₹ 26.63 Others
HDFC BANK LTD. 1.55% ₹ 26.08 Finance - Banks - Private Sector
POWER FINANCE CORPORATION LTD. 1.55% ₹ 26.16 Finance - Term Lending Institutions
ICICI BANK LTD 1.55% ₹ 26.02 Finance - Banks - Private Sector
INDIAN OIL CORPORATION LTD. 1.53% ₹ 25.74 Refineries
LIC HOUSING FINANCE LTD. 1.53% ₹ 25.71 Finance - Housing
7.08% A P SGL MAT - 26/03/2037 1.53% ₹ 25.75 Finance & Investments
EXPORT IMPORT BANK OF INDIA 1.52% ₹ 25.60 Finance - Banks - Public Sector
BAJAJ FINANCE LTD. 1.50% ₹ 25.19 Non-Banking Financial Company (NBFC)
AXIS FINANCE LTD 1.49% ₹ 25.04 Others
6.92% G SEC MAT- 18/11/39 1.24% ₹ 20.94 Others
INFOSYS LTD. 1.11% ₹ 18.75 IT Consulting & Software
BHARTI AIRTEL LTD. 1.02% ₹ 17.17 Telecom Services
AXIS BANK LTD. 0.94% ₹ 15.86 Finance - Banks - Private Sector
KOTAK MAHINDRA BANK LTD. 0.85% ₹ 14.25 Finance - Banks - Private Sector
STATE BANK OF INDIA 0.77% ₹ 13 Finance - Banks - Public Sector
RELIANCE INDUSTRIES LTD. 0.74% ₹ 12.50 Refineries
TECH MAHINDRA LTD. 0.65% ₹ 11.02 IT Consulting & Software
MAHINDRA & MAHINDRA LTD. 0.64% ₹ 10.72 Auto - Cars & Jeeps
CIPLA LTD. 0.48% ₹ 8.06 Pharmaceuticals
HINDALCO INDUSTRIES LTD. 0.42% ₹ 7.13 Aluminium
CROMPTON GREAVES CONSUMER ELEC 0.42% ₹ 7.06 Domestic Appliances
EICHER MOTORS LTD 0.40% ₹ 6.67 Auto - 2 & 3 Wheelers
POWER GRID CORPORATION OF INDI 0.40% ₹ 6.66 Power - Transmission/Equipment
MPHASIS LTD 0.40% ₹ 6.65 IT Consulting & Software
ICICI LOMBARD GENERAL INSURANC 0.39% ₹ 6.56 Finance - Non Life Insurance
HCL TECHNOLOGIES LTD. 0.39% ₹ 6.55 IT Consulting & Software
DALMIA BHARAT LTD 0.39% ₹ 6.55 Cement
SUN PHARMACEUTICALS INDUSTRIES 0.38% ₹ 6.37 Pharmaceuticals
BAJAJ AUTO LTD. 0.36% ₹ 6.02 Auto - 2 & 3 Wheelers
INDUSIND BANK 0.36% ₹ 5.98 Finance - Banks - Private Sector
COAL INDIA LTD. 0.35% ₹ 5.96 Mining/Minerals
MAHINDRA & MAHINDRA FINANCIAL 0.34% ₹ 5.66 Non-Banking Financial Company (NBFC)
MARUTI SUZUKI INDIA LTD. 0.33% ₹ 5.54 Auto - Cars & Jeeps
PHOENIX MILLS LTD 0.33% ₹ 5.53 Realty
KAJARIA CERAMICS LTD. 0.33% ₹ 5.54 Ceramics/Tiles/Sanitaryware
BHARAT ELECTRONICS LTD. 0.32% ₹ 5.38 Aerospace & Defense
DABUR INDIA LTD. 0.32% ₹ 5.31 Personal Care
GLENMARK PHARMACEUTICALS LTD. 0.32% ₹ 5.46 Pharmaceuticals
ICICI PRUDENTIAL LIFE INSURA L 0.31% ₹ 5.30 Finance - Life Insurance
INFO-EDGE (INDIA) LTD. 0.30% ₹ 5 Internet & Catalogue Retail
SAPPHIRE FOODS INDIA LTD 0.30% ₹ 5.12 Hotels, Resorts & Restaurants
TATA STEEL LTD. 0.29% ₹ 4.83 Iron & Steel
GREAT EASTERN SHIPPING CO. LTD 0.28% ₹ 4.77 Shipping
FORTIS HEALTHCARE LTD. 0.28% ₹ 4.73 Hospitals & Medical Services
BHARAT PETROLEUM CORPN LTD. 0.28% ₹ 4.78 Refineries
ADITYA BIRLA SUN LIFE AMC LTD 0.28% ₹ 4.71 Finance - Mutual Funds
SAMVARDHANA MOTHERSON INTL LTD 0.27% ₹ 4.59 Auto Ancl - Electrical
CORPORATE DEBT MARKET DEVT FUND - A2 UNITS 0.27% ₹ 4.58 Others
METROPOLIS HEALTHCARE LTD 0.25% ₹ 4.27 Hospitals & Medical Services
P I INDUSTRIES LTD 0.25% ₹ 4.21 Agro Chemicals/Pesticides
PNC INFRATECH LTD 0.24% ₹ 4.02 Construction, Contracting & Engineering
NMDC LTD. 0.24% ₹ 3.99 Mining/Minerals
EMAMI LTD. 0.23% ₹ 3.80 Personal Care
MAHANAGAR GAS LTD. 0.23% ₹ 3.84 LPG/CNG/PNG/LNG Bottling/Distribution
JK PAPER LTD. 0.21% ₹ 3.48 Paper & Paper Products
AIA ENGINEERING LTD. 0.21% ₹ 3.48 Castings/Foundry
SWIGGY LTD 0.20% ₹ 3.33 E-Commerce/E-Retail
JSW INFRASTRUCTURE LIMITED 0.20% ₹ 3.34 Port & Port Services
PVR INOX LIMITED 0.20% ₹ 3.43 Entertainment & Media
7.05% ODISHA SGS MAT - 26/03/2035 0.19% ₹ 3.23 Finance & Investments
SYMPHONY LTD. 0.17% ₹ 2.89 Consumer Electronics
GREENPANEL INDUSTRIES LTD 0.17% ₹ 2.84 Plywood/Laminates
ADITYA BIRLA LIFESTYLE BRANDS LIMITED 0.16% ₹ 2.74 Retail - Apparel/Accessories
Nifty 10 yr Benchmark G-Sec ETF 0.12% ₹ 1.96 Finance - Mutual Funds
7.04% MAT- 03/06/2029 0.12% ₹ 2.08 Others
Nifty 5 yr Benchmark G-Sec ETF 0.11% ₹ 1.88 Finance - Mutual Funds
RAYMOND LIFESTYLE LTD 0.10% ₹ 1.69 Retail - Apparel/Accessories
CLEARING CORPORATION OF INDIA LTD. STD - MARGIN 0.07% ₹ 1.12 Others
ORCHID PHARMA LTD. 0.05% ₹ 0.92 Pharmaceuticals
7.38% PN SGS MAT - 03/07/2034 0.04% ₹ 0.62 Finance & Investments
ADITYA BIRLA FASHION & RETAIL 0.03% ₹ 0.43 Retail - Apparel/Accessories
Mahindra & Mahindra Financial Ser LTD 0.01% ₹ 0.18 Non-Banking Financial Company (NBFC)

Returns

Annualised returns
9M 1Y 2Y 3Y
Fund returns 1.93% -0.59% 3.00% 3.32%
Category returns 6.79% 5.72% 17.68% 29.92%

Fund Objective

Endeavours to make periodic income distribution to unitholders through investments in fixed income securities and equity & equity related instruments.

AMC Details

Name
UTI Asset Management Co. Ltd.
Date of Incorporation
01 Feb 2003
CEO
Mr. Vetri Subramaniam
CIO
Mr Vetri Subramaniam
Type
Bank Sponsored
Address
UTI Towers, Gn Block, Bandra Kurla Complex, Bandra (East), Mumbai, Maharashtra, India - 400051
Website
https://www.utimf.com
Email
service@uti.co.in

Top Funds from Hybrid - Conservative

Scheme Name
NAV
Returns
1Y 3Y 5Y
AUM (Cr)
Expense Ratio
Risk Meter
Nippon India Conservative Hybrid Fund - Direct Plan
Hybrid Direct
10.11% 33.00% 56.06% ₹923 1.27%
High
ICICI Prudential Regular Savings Fund
Hybrid Regular
7.04% 32.81% 54.53% ₹3,375 1.72%
High
Aditya Birla Sun Life Regular Savings Fund - Direct Plan
Hybrid Direct
7.32% 32.61% 62.83% ₹1,549 0.93%
Moderately High
Aditya Birla Sun Life Regular Savings Fund - Direct Plan
Hybrid Direct
7.32% 32.61% 62.83% ₹1,549 0.93%
Moderately High
DSP Regular Savings Fund
Hybrid Regular
6.32% 32.51% 48.42% ₹180 1.18%
Moderately High
Franklin India Conservative Hybrid Fund - Plan A - Direct...
Hybrid Direct
5.86% 32.40% 52.19% ₹205 0.77%
Moderately High
Kotak Debt Hybrid Fund - Regular Plan
Hybrid Regular
3.83% 32.39% 57.85% ₹3,132 1.66%
Moderately High
HDFC Hybrid Debt Fund - Regular Plan
Hybrid Regular
4.56% 31.93% 59.64% ₹3,373 1.75%
Moderately High
SBI Conservative Hybrid Fund
Hybrid Regular
5.45% 31.75% 58.61% ₹9,977 1.54%
High
SBI Conservative Hybrid Fund
Hybrid Regular
5.45% 31.75% 58.61% ₹9,977 1.54%
High

Top Funds from UTI Asset Management Co. Ltd.

Scheme Name
NAV
Returns
1Y 3Y 5Y
AUM (Cr)
Expense Ratio
Risk Meter
UTI Aggressive Hybrid Fund - Direct Plan
Hybrid Direct
-3.15% 33.01% 65.19% ₹6,718 1.22%
Very High
UTI Aggressive Hybrid Fund - Direct Plan
Hybrid Direct
-3.15% 33.01% 65.19% ₹6,718 1.22%
Very High
UTI Ultra Short Duration Fund - Direct Plan
FRF-ST Direct
-0.03% 0.03% 0.02% ₹4,788 0.34%
Moderate
UTI Ultra Short Duration Fund - Direct Plan
FRF-ST Direct
-0.03% 0.03% 0.02% ₹4,788 0.34%
Moderate
UTI Unit Linked Insurance Plan (ULIP) - Direct Plan
Hybrid Direct
3.89% 32.35% 52.97% ₹5,300 1.03%
High
UTI Large Cap Fund
Largecap Regular
2.62% 32.27% 58.79% ₹13,399 1.74%
Very High
UTI Childrens Hybrid Fund - Direct Plan
Hybrid Direct
3.69% 31.16% 58.61% ₹4,559 1.58%
High
UTI Childrens Hybrid Fund - Direct Plan
Hybrid Direct
3.69% 31.16% 58.61% ₹4,559 1.58%
High
UTI Conservative Hybrid Fund
Hybrid Regular
5.04% 30.99% 54.82% ₹1,701 1.80%
Moderately High
UTI Conservative Hybrid Fund
Hybrid Regular
5.04% 30.99% 54.82% ₹1,701 1.80%
Moderately High

FAQs

What is the current NAV of UTI Conservative Hybrid Fund Regular Monthly IDCW Reinvestment?

The current Net Asset Value (NAV) of UTI Conservative Hybrid Fund Regular Monthly IDCW Reinvestment is ₹17.39 as of 18 Dec 2025. NAV represents the per-unit market value of the fund and is updated daily based on the closing prices of the underlying securities.

What is the fund size (AUM) of UTI Conservative Hybrid Fund Regular Monthly IDCW Reinvestment?

The Assets Under Management (AUM) of UTI Conservative Hybrid Fund Regular Monthly IDCW Reinvestment is ₹1,701.31 Crores. AUM indicates the total market value of assets managed by the fund and reflects investor confidence and fund popularity.

What are the historical returns of UTI Conservative Hybrid Fund Regular Monthly IDCW Reinvestment?

UTI Conservative Hybrid Fund Regular Monthly IDCW Reinvestment has delivered returns of -0.59% (1 Year), 3.32% (3 Year), 2.89% (5 Year). Past performance does not guarantee future results, and investors should consider their risk appetite before investing.

What is the risk level of UTI Conservative Hybrid Fund Regular Monthly IDCW Reinvestment?

UTI Conservative Hybrid Fund Regular Monthly IDCW Reinvestment has a risk rating of 'Moderately High' as per the SEBI Riskometer. This indicates the fund is suitable for investors willing to accept higher volatility for potentially better returns. Investors should align their investment choices with their personal risk tolerance and financial goals.

What is the minimum investment amount for UTI Conservative Hybrid Fund Regular Monthly IDCW Reinvestment?

The minimum lumpsum investment required for UTI Conservative Hybrid Fund Regular Monthly IDCW Reinvestment is ₹5,000. The fund also offers SIP (Systematic Investment Plan) option starting from as low as ₹500, making it accessible for regular investments. This allows investors to start their mutual fund journey with a manageable amount.

Disclaimer: This is 3rd Party content/feed, viewers are requested to use their discretion and conduct proper diligence before investing, GoodReturns does not take any liability on the genuineness and correctness of the information in this article

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