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Dynamic Term FundOtherRisk: Moderately Low

UTI Dynamic Term Fund - Regular Plan - Growth

UTI Mutual Fund · AMFI Code 113077

Latest NAV
32.4970
As of 19 Sept 2026, 9:00 pm
+4.74% (1Y)
AUM
₹405 Cr
Assets under management
Expense Ratio
1.69%
Total Expense Ratio (TER)
Sharpe Ratio
0.09
Risk-adjusted return
Volatility
3.69%
Standard deviation (annualised)

Returns Trail

Trailing returns. ≥1Y figures are annualised (CAGR).

Category median based on 20 peers
Period1D5D1M3M6M1Y3YCAGR5YCAGR10YCAGR
This Fund+0.03%+0.02%-0.12%+1.05%+2.22%+4.74%+6.44%+8.69%+6.10%
Category Median+0.02%-0.02%-0.23%+1.21%+1.83%+4.32%+6.29%+5.15%+5.72%

Past performance does not guarantee future returns. Returns are net of expenses but do not account for taxes or exit loads. Mutual fund investments are subject to market risks.

NAV History

Daily NAV from AMFI. Use the range buttons to zoom in.

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NAV data sourced from AMFI via the public MFAPI feed. UTI Dynamic Term Fund - Regular Plan - Growth · AMFI 113077.

Calendar-Year Returns

Year-by-year performance (Jan – Dec, absolute, not annualised).

2021
+10.8%
2022
+10.1%
2023
+6.2%
2024
+8.6%
2025
+6.0%

Portfolio Allocation

Asset Mix

  • Debt95.2%
  • Cash & Equivalents4.4%
Net equity exposure (after derivatives): 0.0%

Market-Cap Split

Market-cap split coming soon

Concentration

  • Top 3 holdings40.8%
  • Top 5 holdings53.3%
  • Top 10 holdings80.6%
  • Top 20 holdings100.0%
  • Total holdings: 20

Risk Profile

Sharpe Ratio
0.09

Risk-adjusted return — excess return per unit of total volatility. Higher is better.

Sortino Ratio
0.10

Like Sharpe, but penalises only downside volatility. Higher is better.

Volatility (1Y)
3.69%

Annualised standard deviation of daily returns. Lower means a smoother ride.

Max Drawdown
Coming soon

Largest peak-to-trough loss over the period. A measure of worst-case downside.

Fund Manager

Fund management team
UTI Mutual Fund

Manager-level attribution is being added shortly. In the meantime, this scheme is run by the UTI Mutual Fund investment team under their stated investment process and benchmark.

Scheme Information

AMFI Code
113077
Scheme Name
UTI Dynamic Term Fund - Regular Plan - Growth
AMC
UTI Mutual Fund
Category (AMFI)
Other
Sub-category
Dynamic Term Fund
External Category
Dynamic Term Fund
Launch Date
22 Jun 2010
TER
1.69%
Riskometer
Moderately Low
Benchmark
Exit Load
ISIN

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Trustner Asset Services — AMFI-registered Mutual Fund Distributor · ARN-286886. We distribute Regular plans and earn trail commission from AMCs — see our commission disclosure. Mutual fund investments are subject to market risks; read all scheme-related documents carefully.

Disclaimer: The information on this page is for educational and research purposes only and does NOT constitute investment advice as defined under SEBI (Investment Advisers) Regulations, 2013. Trustner Asset Services Pvt. Ltd. is an AMFI Registered Mutual Fund Distributor (ARN-286886) and recommends Regular plans only. Fund data is sourced from AMFI / MFAPI and refreshed periodically; verify with the AMC before investing.

Mutual fund investments are subject to market risks. Read all scheme-related documents carefully before investing. Past performance does not guarantee future returns. · AMFI Registered Mutual Fund Distributor and SIF Distributor; APMI Registered PMS Distributor | ARN-286886 · Investors are advised to deal only with SEBI Registered Mutual Fund Distributors. Please verify the registration status at www.amfiindia.com.

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