3 Year Absolute Returns
5.92% ↑
NAV (₹) on 18 Dec 2025
1162.88
1 Day NAV Change
0.02%
Risk Level
Moderate Risk
Rating
UTI Ultra Short Duration Fund - Direct Plan is a Debt mutual fund categorized under FRF-ST, offered by UTI Asset Management Co. Ltd.. Launched on 27 Mar 2015, investors can start with a minimum SIP of ... Read more
AUM
₹ 4,787.82 Cr
| Sectors | Weightage |
|---|---|
| Certificate of Deposits | 38.29% |
| Commercial Paper | 8.91% |
| Non Convertible Debentures | 5.45% |
| Others - Not Mentioned | 4.67% |
| Finance - Banks - Private Sector | 4.37% |
| Finance - Housing | 4.29% |
| Non-Banking Financial Company (NBFC) | 3.66% |
| Treasury Bill | 2.41% |
| Current Assets | 2.29% |
| Government Securities | 1.23% |
| Power - Generation/Distribution | 1.22% |
| Finance - Banks - Public Sector | 1.21% |
| Personal Care | 0.61% |
| Detergents | 0.61% |
| Real Estate Investment Trusts (REIT) | 0.61% |
| Telecom Equipment | 0.61% |
| Realty | 0.60% |
| Finance & Investments | 0.46% |
| Mining/Minerals | 0.37% |
| Others | 0.30% |
| Auto - LCVs/HCVs | 0.07% |
| Short Term Deposits | 0.02% |
| Name | Weightage | Value (in Cr.) | Sector |
|---|---|---|---|
| SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA | 4.37% | ₹ 180.47 | Finance - Banks - Private Sector |
| CANARA BANK - 06/03/2026 | 2.93% | ₹ 120.92 | Others |
| SHRIRAM FINANCE LTD | 2.44% | ₹ 100.91 | Non-Banking Financial Company (NBFC) |
| 91 DAYS T -BILL MD 25/09/25 | 2.41% | ₹ 99.41 | Others |
| 182D TBILL MAT - 18/09/2025 | 2.41% | ₹ 99.51 | Others - Not Mentioned |
| IDFC FIRST BANK - 19/11/25 | 2.38% | ₹ 98.44 | Others |
| CANARA BANK - 19/12/2025 | 2.37% | ₹ 97.99 | Others |
| HDFC BANK - 04/02/2026 | 2.35% | ₹ 97.20 | Others |
| INDIAN BANK - 06/03/2026 | 2.34% | ₹ 96.73 | Others |
| NET CURRENT ASSETS | 2.29% | ₹ 95.56 | Others |
| EQUITAS SMALL FIN BANK - 12/09/25 | 1.81% | ₹ 74.67 | Others |
| ANGEL ONE LTD | 1.77% | ₹ 72.97 | Others |
| INDIAN BANK - 25/03/26 | 1.75% | ₹ 72.33 | Others |
| INDIAN BANK - 19/03/2026 | 1.75% | ₹ 72.40 | Others |
| PNB HOUSING FINANCE LTD. | 1.23% | ₹ 50.64 | Finance - Housing |
| LIC HOUSING FINANCE LTD. | 1.23% | ₹ 50.79 | Finance - Housing |
| NTPC LTD. | 1.22% | ₹ 50.27 | Power - Generation/Distribution |
| MUTHOOT FINANCE LTD | 1.22% | ₹ 50.22 | Non-Banking Financial Company (NBFC) |
| GIC HOUSING FINANCE LTD. | 1.22% | ₹ 50.36 | Finance - Housing |
| BAJAJ HOUSING FINANCE LTD | 1.22% | ₹ 50.37 | Others |
| SIKKA PORTS AND TERMINALS LIMITED | 1.21% | ₹ 50.01 | Others |
| NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT | 1.21% | ₹ 50.16 | Finance - Banks - Public Sector |
| BARCLAYS INVESTMENTS AND LOANS INDIA PRIVATE LIMITED | 1.20% | ₹ 49.66 | Others |
| TATA TELESERVICES MAHARASHTRA LTD | 1.20% | ₹ 49.76 | Others |
| AU SMALL FIN BANK - 21/11/25 | 1.19% | ₹ 49.18 | Others |
| CANARA BANK - 04/12/2025 | 1.19% | ₹ 49.11 | Others |
| CANARA BANK - 05/12/25 | 1.19% | ₹ 49.11 | Others |
| CANARA BANK - 18/12/2025 | 1.19% | ₹ 49 | Others |
| 364 D TBILL MAT - 04/12/2025 | 1.19% | ₹ 49.18 | Others - Not Mentioned |
| CREDILA FINANCIAL SERVICES LTD | 1.19% | ₹ 49.15 | Others |
| NUVOCO VISTAS CORPORATION LTD | 1.19% | ₹ 49.21 | Others |
| S I D B I -05/12/2025 | 1.19% | ₹ 49.10 | Others |
| KOTAK MAH BANK - 11/12/2025 | 1.19% | ₹ 49.06 | Others |
| KOAK MAH BANK - 04/12/25 | 1.19% | ₹ 49.12 | Others |
| AXIS BANK LIMITED 07/01/26 | 1.18% | ₹ 48.83 | Others |
| AXIS BANK 04/02/2026 | 1.18% | ₹ 48.60 | Others |
| HDFC BANK LTD - 06/02/2026 | 1.18% | ₹ 48.58 | Others |
| NUVAMA WEALTH FINANCE LTD | 1.18% | ₹ 48.70 | Others |
| S I D B I - 27/02/26 | 1.17% | ₹ 48.41 | Others |
| AXIS BANK - 04/03/26 | 1.17% | ₹ 48.38 | Others |
| KOTAK MAHINDRA BANK - 19/03/26 | 1.17% | ₹ 48.28 | Others |
| NABARD - 10/03/2026 | 1.17% | ₹ 48.33 | Others |
| EQUITAS SMALL FIN BANK - 17/03/26 | 1.16% | ₹ 48.03 | Others |
| INDIAN BANK - 06/05/2026 | 1.16% | ₹ 47.84 | Others |
| AXIS BANK - 11/06/2026 | 1.15% | ₹ 47.55 | Others |
| 182 D TBILL MAT - 18/12/2025 | 1.07% | ₹ 44.17 | Others - Not Mentioned |
| ADITYA BIRLA RENEWABLES LTD | 0.98% | ₹ 40.58 | Others |
| 7.59% GJ SDL 15/02/2027 | 0.62% | ₹ 25.54 | Others |
| NIRMA LTD. | 0.61% | ₹ 25.34 | Detergents |
| BHARTI TELECOM LTD. | 0.61% | ₹ 25.11 | Telecom Equipment |
| AADHAR HOUSING FINANCE LIMITED | 0.61% | ₹ 25.19 | Others |
| EMBASSY OFFICE PARKS REIT | 0.61% | ₹ 25.20 | Real Estate Investment Trusts (REIT) |
| MOTILAL OSWAL FINVEST LTD | 0.61% | ₹ 25.03 | Others |
| GODREJ INDUSTRIES LTD. | 0.61% | ₹ 25.33 | Personal Care |
| ICICI HOME FINANCE COMPANY LIMITED | 0.61% | ₹ 25.21 | Finance - Housing |
| 07.15% KARNATAKA SDL MAT - 11/01/2027 | 0.61% | ₹ 25.36 | Others |
| GODREJ PROPERTIES LTD. | 0.60% | ₹ 24.73 | Realty |
| ASTEC LIFESCIENCES LTD | 0.60% | ₹ 24.92 | Others |
| IDFC FIRST BANK - 27/01/2026 | 0.59% | ₹ 24.32 | Others |
| ADITYA BIRLA REAL ESTATE LTD | 0.58% | ₹ 24.10 | Others |
| 360 ONE WAM LIMITED | 0.58% | ₹ 24.17 | Others |
| 360 ONE PRIME LTD | 0.46% | ₹ 19.08 | Finance & Investments |
| VEDANTA LTD | 0.37% | ₹ 15.15 | Mining/Minerals |
| CORPORATE DEBT MARKET DEVT FUND - A2 UNITS | 0.30% | ₹ 12.56 | Others |
| TATA PROJECTS LTD | 0.24% | ₹ 10.02 | Others |
| TATA MOTORS LTD. | 0.07% | ₹ 3 | Auto - LCVs/HCVs |
| CLEARING CORPORATION OF INDIA LTD. STD - MARGIN | 0.02% | ₹ 0.93 | Others |
| Annualised returns | ||||
|---|---|---|---|---|
| 9M | 1Y | 2Y | 3Y | |
| Fund returns | 1.44% | 1.87% | 2.06% | 1.94% |
| Category returns | 5.71% | 8.02% | 16.74% | 25.71% |
To generate regular income through investment in a portfolio comprising substantially of floating rate debt / money market instruments and fixed rate debt / money market instruments.
|
Scheme Name
|
NAV
|
Returns
1Y
3Y
5Y
|
AUM (Cr)
|
Expense Ratio
|
Risk Meter
|
||
|---|---|---|---|---|---|---|---|
|
UTI Ultra Short Duration Fund - Direct Plan
FRF-ST
Direct
|
₹1,324.63 | -0.03% | 0.03% | 0.02% | ₹4,788 | 0.34% |
Moderate
|
|
UTI Ultra Short Duration Fund - Direct Plan
FRF-ST
Direct
|
₹1,324.63 | -0.03% | 0.03% | 0.02% | ₹4,788 | 0.34% |
Moderate
|
|
ICICI Prudential Ultra Short Term Fund
Hybrid
Regular
|
₹10.08 | -0.03% | 0.29% | -0.03% | ₹19,711 | 0.79% |
Moderate
|
|
ICICI Prudential Ultra Short Term Fund
Hybrid
Regular
|
₹10.08 | -0.03% | 0.29% | -0.03% | ₹19,711 | 0.79% |
Moderate
|
|
Nippon India Ultra Short Duration Fund - Direct Plan
Liquid
Direct
|
₹4,580.44 | 7.57% | 25.00% | 43.15% | ₹13,682 | 0.38% |
Moderate
|
|
Aditya Birla Sun Life Savings Fund - Direct Plan
STP
Direct
|
₹575.58 | 7.65% | 24.93% | 36.25% | ₹23,785 | 0.34% |
Moderate
|
|
Axis Ultra Short Duration Fund - Direct Plan
STP
Direct
|
₹16.10 | 7.47% | 24.68% | 36.16% | ₹6,924 | 0.38% |
Moderate
|
|
Axis Ultra Short Duration Fund - Direct Plan
STP
Direct
|
₹16.11 | 7.47% | 24.66% | 36.14% | ₹6,924 | 0.38% |
Moderate
|
|
Axis Ultra Short Duration Fund - Direct Plan
FMP
Direct
|
₹16.11 | 7.47% | 24.66% | 36.14% | ₹6,924 | 0.38% |
Moderate
|
|
ICICI Prudential Ultra Short Term Fund - Direct Plan
Hybrid
Direct
|
₹30.88 | 7.51% | 24.63% | 36.75% | ₹19,711 | 0.39% |
Moderate
|
|
Scheme Name
|
NAV
|
Returns
1Y
3Y
5Y
|
AUM (Cr)
|
Expense Ratio
|
Risk Meter
|
||
|---|---|---|---|---|---|---|---|
|
UTI Aggressive Hybrid Fund - Direct Plan
Hybrid
Direct
|
₹47.86 | -3.15% | 33.01% | 65.19% | ₹6,718 | 1.22% |
Very High
|
|
UTI Aggressive Hybrid Fund - Direct Plan
Hybrid
Direct
|
₹47.86 | -3.15% | 33.01% | 65.19% | ₹6,718 | 1.22% |
Very High
|
|
UTI Ultra Short Duration Fund - Direct Plan
FRF-ST
Direct
|
₹1,324.63 | -0.03% | 0.03% | 0.02% | ₹4,788 | 0.34% |
Moderate
|
|
UTI Ultra Short Duration Fund - Direct Plan
FRF-ST
Direct
|
₹1,324.63 | -0.03% | 0.03% | 0.02% | ₹4,788 | 0.34% |
Moderate
|
|
UTI Unit Linked Insurance Plan (ULIP) - Direct Plan
Hybrid
Direct
|
₹45.69 | 3.89% | 32.35% | 52.97% | ₹5,300 | 1.03% |
High
|
|
UTI Large Cap Fund
Largecap
Regular
|
₹55.40 | 2.62% | 32.27% | 58.79% | ₹13,399 | 1.74% |
Very High
|
|
UTI Childrens Hybrid Fund - Direct Plan
Hybrid
Direct
|
₹41.60 | 3.69% | 31.16% | 58.61% | ₹4,559 | 1.58% |
High
|
|
UTI Childrens Hybrid Fund - Direct Plan
Hybrid
Direct
|
₹41.60 | 3.69% | 31.16% | 58.61% | ₹4,559 | 1.58% |
High
|
|
UTI Conservative Hybrid Fund
Hybrid
Regular
|
₹70.30 | 5.04% | 30.99% | 54.82% | ₹1,701 | 1.80% |
Moderately High
|
|
UTI Conservative Hybrid Fund
Hybrid
Regular
|
₹70.33 | 5.04% | 30.99% | 54.82% | ₹1,701 | 1.80% |
Moderately High
|
What is the current NAV of UTI Ultra Short Duration Fund - Direct Plan IDCW-Monthly?
The current Net Asset Value (NAV) of UTI Ultra Short Duration Fund - Direct Plan IDCW-Monthly is ₹1,162.88 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 Ultra Short Duration Fund - Direct Plan IDCW-Monthly?
The Assets Under Management (AUM) of UTI Ultra Short Duration Fund - Direct Plan IDCW-Monthly is ₹4,787.82 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 Ultra Short Duration Fund - Direct Plan IDCW-Monthly?
UTI Ultra Short Duration Fund - Direct Plan IDCW-Monthly has delivered returns of 1.87% (1 Year), 1.94% (3 Year), 1.18% (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 Ultra Short Duration Fund - Direct Plan IDCW-Monthly?
UTI Ultra Short Duration Fund - Direct Plan IDCW-Monthly has a risk rating of 'Moderate' as per the SEBI Riskometer. This indicates the fund is suitable for investors with balanced risk appetite. Investors should align their investment choices with their personal risk tolerance and financial goals.
What is the minimum investment amount for UTI Ultra Short Duration Fund - Direct Plan IDCW-Monthly?
The minimum lumpsum investment required for UTI Ultra Short Duration Fund - Direct Plan IDCW-Monthly is ₹1,000. 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.
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