UTI Medium Duration Fund Direct-idcw Monthly

  • 3 Months
  • 6 Months
  • 1 Year
  • 3 Years
  • 5 Years
  • RSI
3 Months Returns : 1.03%
Fund NAV

Fund Overview of UTI Medium Duration Fund Direct-idcw Monthly

  • ₹40.8 Cr
    AUM
  • ₹10.64
    NAV
  • 0.83%
    Expense Ratio
  • Debt
    Fund Category
As on Wed Nov 26, 2025

Returns of UTI Medium Duration Fund Direct-idcw Monthly

Tenure Absolute(%) Annualised(%) Category Average(%)
3 Months 1.03% NA 0.84%
6 Months 3.03% NA 4.74%
1 Year 7.65% 7.65% 9.16%
2 Years 17.22% 8.27% 8.80%
3 Years 25.55% 7.88% 8.10%
5 Years 37.99% 6.65% 7.60%
7 Years 49.09% 5.87% NA
10 Years 89.15% 6.58% 7.69%
View More
As on Wed Nov 26, 2025

Dividend of UTI Medium Duration Fund Direct-idcw Monthly : 0.60%

Dividends are declared by the fund house based on the income generated from the underlying assets. While many mutual funds distribute dividends annually, the payout frequency ultimately depends on the fund house’s decision

Asset Allocation

debt instruments

90.63%

other assets or cash equivalents

9.37%
Top Holdings
Goi Sec 7.18 14/08/2033
16.68%
Goi Sec 7.18 14/08/2033
16.57%
Goi Sec 7.18 14/08/2033
16.57%
Goi Sec 7.18 14/08/2033
16.65%
Goi Sec 7.18 14/08/2033
1.00%
 
Top Sectors
Entities
166.76%
Unspecified
75.37%
Financial
71.58%
Healthcare
21.98%
Materials
20.77%
Detailed Portfolio Analysis
As on Wed Nov 26, 2025
Invest Now

About Fund

About UTI Medium Duration Fund Direct-idcw Monthly

UTI Medium Duration Fund Direct-idcw Monthly is one Debt mutual fund offered by UTI Mutual Fund. the fund aims Reasonable income over the medium to long term. Investment in Debt & Money Market Instruments It manages assets worth ₹40.8 crore as on Thu Jul 31, 2025. The expense ratio stands at 0.83%.
The portfolio allocation consists of 90.63% in debt instruments, 9.37% in other assets or cash equivalents. Managed by Sunil Madhukar Patil, it has delivered a return of 7.65% in the last year, a total return since inception of 6.74%.

The latest dividend was declared on 03 Nov 2025 at 0.60% of face value. Read more
  • Sunil Madhukar Patil

    Fund Manager

  • Mr. Patil is MMF, Finance

    Manager Education

Key Metrics of UTI Medium Duration Fund Direct-idcw Monthly

  • Standard Deviation
    1.39%
  • Sharpe Ratio
    0.59%
  • Alpha
    0.52%
  • Beta
    0.77%

Fund Details

Fund Names UTI Medium Duration Fund Direct-idcw Monthly
Lock In No Lock-in
SIP Minimum Investment amount ₹ 500
SWP Minimum Investment amount ₹ 500
STP Minimum Investment amount ₹ 100
 
Risk Principal at moderate risk
Category Average Annual Returns 9.16
More Details

Top Performing Mutual Funds

Fund Names AUM (Cr) 1M 3M 1Yr 3Yr 5Yr
Nippon India Medium Duration Fund Direct-growth trend ₹106 0.76% 2.24% 10.89% 8.97% 9.51%
Nippon India Medium Duration Fund-growth trend ₹106 0.72% 2.12% 10.29% 8.39% 8.92%
ICICI Prudential Medium Term Bond Fund Direct Plan-growth trend ₹5,688 0.76% 2.91% 9.93% 8.71% 7.39%
ICICI Prudential Medium Term Bond Fund-growth trend ₹5,688 0.70% 2.75% 9.25% 8.02% 6.68%
SBI Magnum Medium Duration Fund Direct -growth trend ₹6,589 0.77% 2.42% 8.57% 8.27% 6.59%
UTI Medium Duration Fund Direct-flexi Idcw trend ₹41 0.63% 2.13% 7.91% 7.66% 6.54%
SBI Magnum Medium Duration Fund-growth trend ₹6,589 0.73% 2.30% 8.03% 7.70% 6.03%
UTI Medium Duration Fund Regular-flexi Idcw trend ₹41 0.57% 1.96% 7.19% 6.96% 5.85%
View More
increase growth is based on 1-month returns of the funds & Top fund are based on 3Y Returns

More funds from UTI Mutual Fund

Fund Names AUM (Cr) 1M 3M 6M 1Yr 3Yr
UTI Medium Duration Fund Direct-flexi Idcw increase ₹41 0.63% 2.13% 2.13% 7.91% 7.66%
UTI Medium Duration Fund Regular-flexi Idcw increase ₹41 0.57% 1.96% 1.79% 7.19% 6.96%
UTI Medium Duration Fund Direct-growth increase ₹41 0.63% 2.13% 2.13% 7.91% 7.66%
UTI Medium Duration Fund Regular-growth increase ₹41 0.57% 1.96% 1.79% 7.19% 6.96%
UTI Medium Duration Fund Direct-idcw Half Yearly increase ₹41 0.63% 2.13% 2.13% 7.91% 7.66%
UTI Medium Duration Fund Regular-idcw Half Yearly increase ₹41 0.57% 1.96% 1.79% 7.19% 6.96%
UTI Medium Duration Fund Regular-idcw Monthly increase ₹41 0.57% 1.96% 1.79% 7.19% 6.96%
UTI Medium Duration Fund Direct-idcw Quarterly increase ₹41 0.63% 2.13% 2.13% 7.91% 7.66%
UTI Medium Duration Fund Direct-idcw Yearly increase ₹41 0.63% 2.13% 2.13% 7.91% 7.66%
View More
increase growth is based on 1-month returns of the funds

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Top Mutual Funds

Fund Names AUM (Cr) NAV 3Yr 5Yr 10Yr
SBI Magnum Medium Duration Fund-growth trend ₹6,589 ₹52.51 7.70% 6.03% 8.05%
SBI Magnum Medium Duration Fund Direct -growth trend ₹6,589 ₹56.87 8.27% 6.59% 8.76%
ICICI Prudential Medium Term Bond Fund Direct Plan-growth trend ₹5,688 ₹51.04 8.71% 7.39% 8.25%
ICICI Prudential Medium Term Bond Fund-growth trend ₹5,688 ₹46.37 8.02% 6.68% 7.46%
Invesco India Medium Duration Fund Direct - Discretionary Idcw trend ₹173 ₹1,311.90 7.88% - -
Invesco India Medium Duration Fund Regular - Discretionary Idcw trend ₹173 ₹1,264.98 7.04% - -
Nippon India Medium Duration Fund-growth trend ₹106 ₹16.20 8.39% 8.92% 3.46%
Nippon India Medium Duration Fund Direct-growth trend ₹106 ₹17.58 8.97% 9.51% 4.20%
UTI Medium Duration Fund Direct-flexi Idcw trend ₹41 ₹15.59 7.66% 6.54% 6.57%
UTI Medium Duration Fund Regular-flexi Idcw trend ₹41 ₹13.78 6.96% 5.85% 5.87%
View More
Top funds are based on Fund AUM

Detailed Portfolio

Stocks Sector % of Holding Value
Goi Sec 7.18 14/08/2033Entities16.68%₹6.80 Cr
Goi Sec 7.18 14/08/2033Entities16.57%₹6.74 Cr
Goi Sec 7.18 14/08/2033Entities16.57%₹6.74 Cr
Goi Sec 7.18 14/08/2033Entities16.65%₹6.71 Cr
Goi Sec 7.18 14/08/2033Entities-
Net Current AssetsUnspecified13.82%₹5.64 Cr
Government Of India 31909 Goi 22ag32 7.26 Fv Rs 100Entities10.34%₹4.21 Cr
Government Of India 31909 Goi 22ag32 7.26 Fv Rs 100Entities10.32%₹4.16 Cr
Government Of India 31909 Goi 22ag32 7.26 Fv Rs 100Entities-
Government Of India 31909 Goi 22ag32 7.26 Fv Rs 100Entities10.22%₹4.16 Cr
Government Of India 31909 Goi 22ag32 7.26 Fv Rs 100Entities10.22%₹4.16 Cr
Net Current AssetsUnspecified9.37%₹3.81 Cr
Net Current AssetsUnspecified9.37%₹3.81 Cr
Net Current AssetsUnspecified8.77%₹3.54 Cr
State Development Loan 32803 Up 29mr33 7.79 Fv Rs 100Unspecified7.90%₹3.22 Cr
State Development Loan 32803 Up 29mr33 7.79 Fv Rs 100Unspecified7.76%₹3.16 Cr
State Development Loan 32803 Up 29mr33 7.79 Fv Rs 100Unspecified7.76%₹3.16 Cr
State Development Loan 32803 Up 29mr33 7.79 Fv Rs 100Unspecified7.80%₹3.15 Cr
State Development Loan 32803 Up 29mr33 7.79 Fv Rs 100Unspecified-
Central Government Loan 31280 Goi 17jn32 6.54 Fv Rs 100Entities7.47%₹3.04 Cr
Bajaj Finance Limited Ncd 7.38 28ju30 Fvrs1lacFinancial7.40%₹3.02 Cr
Central Government Loan 31280 Goi 17jn32 6.54 Fv Rs 100Entities7.41%₹3.01 Cr
Central Government Loan 31280 Goi 17jn32 6.54 Fv Rs 100Entities7.41%₹3.01 Cr
Bajaj Finance Limited Ncd 7.38 28ju30 Fvrs1lacFinancial7.40%₹3.01 Cr
Bajaj Finance Limited Ncd 7.38 28ju30 Fvrs1lacFinancial7.40%₹3.01 Cr
Central Government Loan 31280 Goi 17jn32 6.54 Fv Rs 100Entities7.46%₹3.01 Cr
Central Government Loan 31280 Goi 17jn32 6.54 Fv Rs 100Entities-
Bajaj Finance Limited Ncd 7.38 28ju30 Fvrs1lacFinancial7.44%₹3.00 Cr
Bajaj Finance Limited Ncd 7.38 28ju30 Fvrs1lacFinancial-
Government Of India 34208 Goi 08ap34 7.1 Fv Rs 100Entities6.39%₹2.61 Cr
Government Of India 34208 Goi 08ap34 7.1 Fv Rs 100Entities6.34%₹2.58 Cr
Government Of India 34208 Goi 08ap34 7.1 Fv Rs 100Entities6.34%₹2.58 Cr
Government Of India 34208 Goi 08ap34 7.1 Fv Rs 100Entities6.38%₹2.57 Cr
Government Of India 34208 Goi 08ap34 7.1 Fv Rs 100Entities-
Shivshakti Securitisation Trust Ss Trust Ptc 15sept254.98%₹2.02 Cr
Shivshakti Securitisation Trust Ss Trust Ptc 15sept254.98%₹2.02 Cr
Century Textiles And Industries Limited Sr Xxi 8.10 Loa 25ap26 Fvrs1lacMaterials4.93%₹2.01 Cr
Century Textiles And Industries Limited Sr Xxi 8.10 Loa 25ap26 Fvrs1lacMaterials4.97%₹2.01 Cr
Century Textiles And Industries Limited Sr Xxi 8.10 Loa 25ap26 Fvrs1lacMaterials-
Century Textiles And Industries Limited Sr Xxi 8.10 Loa 25ap26 Fvrs1lacMaterials4.93%₹2.01 Cr
Century Textiles And Industries Limited Sr Xxi 8.10 Loa 25ap26 Fvrs1lacMaterials4.93%₹2.01 Cr
Shivshakti Securitisation Trust Ss Trust Ptc 15sept254.97%₹2.01 Cr
Tata Motors Limited Sr E30 B 6.95 Loa 31mr26 Fvrs10lacConsumer Discretionary4.91%₹2.00 Cr
Tata Motors Limited Sr E30 B 6.95 Loa 31mr26 Fvrs10lacConsumer Discretionary4.96%₹2.00 Cr
Tata Motors Limited Sr E30 B 6.95 Loa 31mr26 Fvrs10lacConsumer Discretionary-
Tata Motors Limited Sr E30 B 6.95 Loa 31mr26 Fvrs10lacConsumer Discretionary4.92%₹2.00 Cr
Tata Motors Limited Sr E30 B 6.95 Loa 31mr26 Fvrs10lacConsumer Discretionary4.92%₹2.00 Cr
360 One Prime Limited Sr Vi Tr I 9.61 Ncd 18jn27 Fvrs1000Financial3.76%₹1.52 Cr
360 One Prime Limited Sr Vi Tr I 9.61 Ncd 18jn27 Fvrs1000Financial-
360 One Prime Limited Sr Vi Tr I 9.61 Ncd 18jn27 Fvrs1000Financial3.73%₹1.52 Cr
360 One Prime Limited Sr Vi Tr I 9.61 Ncd 18jn27 Fvrs1000Financial3.73%₹1.52 Cr
360 One Prime Limited Sr Vi Tr I 9.61 Ncd 18jn27 Fvrs1000Financial3.71%₹1.51 Cr
Aditya Birla Renewables Limited 8.6 Ncd 24sp27 Fvrs1lacEnergy & Utilities2.50%₹1.02 Cr
Eris Lifesciences Limited Strpp Ii 8.73 Ncd 07ju27 Fvrs1lacHealthcare2.50%₹1.02 Cr
Aditya Birla Renewables Limited 8.6 Ncd 24sp27 Fvrs1lacEnergy & Utilities2.50%₹1.02 Cr
Aditya Birla Renewables Limited 8.6 Ncd 24sp27 Fvrs1lacEnergy & Utilities2.50%₹1.02 Cr
Eris Lifesciences Limited Strpp Ii 8.73 Ncd 07ju27 Fvrs1lacHealthcare2.50%₹1.02 Cr
Eris Lifesciences Limited Strpp Ii 8.73 Ncd 07ju27 Fvrs1lacHealthcare2.50%₹1.02 Cr
Aditya Birla Renewables Limited 8.6 Ncd 24sp27 Fvrs1lacEnergy & Utilities2.52%₹1.02 Cr
Aditya Birla Renewables Limited 8.6 Ncd 24sp27 Fvrs1lacEnergy & Utilities-
Eris Lifesciences Limited Strpp I 8.73 Ncd 07dc26 Fvrs1lacHealthcare2.49%₹1.02 Cr
Eris Lifesciences Limited Strpp Ii 8.73 Ncd 07ju27 Fvrs1lacHealthcare2.52%₹1.01 Cr
Eris Lifesciences Limited Strpp Ii 8.73 Ncd 07ju27 Fvrs1lacHealthcare-
Eris Lifesciences Limited Strpp I 8.73 Ncd 07dc26 Fvrs1lacHealthcare2.49%₹1.01 Cr
Eris Lifesciences Limited Strpp I 8.73 Ncd 07dc26 Fvrs1lacHealthcare2.49%₹1.01 Cr
Eris Lifesciences Limited Strpp I 8.73 Ncd 07dc26 Fvrs1lacHealthcare2.51%₹1.01 Cr
Eris Lifesciences Limited Strpp I 8.73 Ncd 07dc26 Fvrs1lacHealthcare-
Aditya Birla Finance Limited Sr I 8 Loa 09ot26 Fvrs1000Financial2.48%₹1.01 Cr
Aditya Birla Finance Limited Sr I 8 Loa 09ot26 Fvrs1000Financial2.50%₹1.01 Cr
Aditya Birla Finance Limited Sr I 8 Loa 09ot26 Fvrs1000Financial2.48%₹1.01 Cr
Aditya Birla Finance Limited Sr I 8 Loa 09ot26 Fvrs1000Financial2.48%₹1.01 Cr
Tata Projects Limited Sr M 8.43 Ncd 06fb26 Fvrs1lacIndustrials2.47%₹1.01 Cr
Tata Projects Limited Sr M 8.43 Ncd 06fb26 Fvrs1lacIndustrials2.49%₹1.00 Cr
Tata Projects Limited Sr M 8.43 Ncd 06fb26 Fvrs1lacIndustrials-
Tata Projects Limited Sr M 8.43 Ncd 06fb26 Fvrs1lacIndustrials2.47%₹1.00 Cr
Tata Projects Limited Sr M 8.43 Ncd 06fb26 Fvrs1lacIndustrials2.47%₹1.00 Cr
Dewan Housing Finance Corporation Ltd Debenture 6.75 26/09/2031Financial2.31%₹0.94 Cr
Dewan Housing Finance Corporation Ltd Debenture 6.75 26/09/2031Financial2.27%₹0.92 Cr
Dewan Housing Finance Corporation Ltd Debenture 6.75 26/09/2031Financial2.27%₹0.92 Cr
Dewan Housing Finance Corporation Ltd Debenture 6.75 26/09/2031Financial2.27%₹0.92 Cr
Avanse Financial Services Limited Sr 40 9.60 Ncd 30ap27 Fvrs1lacFinancial1.25%₹0.50 Cr
Avanse Financial Services Limited Sr 40 9.60 Ncd 30ap27 Fvrs1lacFinancial-
Avanse Financial Services Limited Sr 40 9.60 Ncd 30ap27 Fvrs1lacFinancial1.24%₹0.50 Cr
Avanse Financial Services Limited Sr 40 9.60 Ncd 30ap27 Fvrs1lacFinancial1.24%₹0.50 Cr
Avanse Financial Services Limited Sr 40 9.60 Ncd 30ap27 Fvrs1lacFinancial1.23%₹0.50 Cr
Others Class A2 AifUnspecified0.40%₹0.16 Cr
Others Class A2 AifUnspecified0.40%₹0.16 Cr
Others Class A2 AifUnspecified0.40%₹0.16 Cr
Others Class A2 AifUnspecified0.39%₹0.16 Cr
Others CbloUnspecified0.07%₹0.03 Cr
Others CbloUnspecified0.07%₹0.03 Cr
Others CbloUnspecified0.05%₹0.02 Cr
Others CbloUnspecified0.05%₹0.02 Cr
View More

Top Debt Funds

Fund Names NAV 3Yr 5Yr 52 weeks high
Nippon India Medium Duration Fund Direct-growth increase ₹17.58 8.97% 9.51% -
Nippon India Medium Duration Fund-growth increase ₹16.20 8.39% 8.92% -
ICICI Prudential Medium Term Bond Fund Direct Plan-growth increase ₹51.04 8.71% 7.39% -
ICICI Prudential Medium Term Bond Fund-growth increase ₹46.37 8.02% 6.68% -
SBI Magnum Medium Duration Fund Direct -growth increase ₹56.87 8.27% 6.59% -
UTI Medium Duration Fund Direct-flexi Idcw increase ₹15.59 7.66% 6.54% -
SBI Magnum Medium Duration Fund-growth increase ₹52.51 7.70% 6.03% -
UTI Medium Duration Fund Regular-flexi Idcw increase ₹13.78 6.96% 5.85% -
View More
increase growth is based on 5Y returns of the funds

Frequently Asked Questions

UTI Medium Duration Fund Direct-idcw Monthly

What is the current AUM of UTI Medium Duration Fund Direct-idcw Monthly?

As of Thu Jul 31, 2025, UTI Medium Duration Fund Direct-idcw Monthly manages assets worth ₹40.8 crore

How has UTI Medium Duration Fund Direct-idcw Monthly performed recently?

  • 3 Months: 1.03%
  • 6 Months: 3.03%

What is the long-term performance of UTI Medium Duration Fund Direct-idcw Monthly?

  • 3 Years CAGR: 7.88%
  • 5 Years CAGR: 6.65%
  • Since Inception: 6.74%

What is the portfolio composition of UTI Medium Duration Fund Direct-idcw Monthly?

Debt: 90.63%, Others: 9.37%.

Who manages UTI Medium Duration Fund Direct-idcw Monthly?

UTI Medium Duration Fund Direct-idcw Monthly is managed by Sunil Madhukar Patil from UTI Mutual Fund.

When was the last dividend declared by UTI Medium Duration Fund Direct-idcw Monthly?

Latest dividend was declared on 03 Nov 2025 at 0.60% of face value.

Which are the top companies UTI Medium Duration Fund Direct-idcw Monthly has invested in?

  • GOI Sec 7.18 14/08/2033 – 16.68% of the fund's portfolio
  • GOI Sec 7.18 14/08/2033 – 16.57% of the fund's portfolio
  • GOI Sec 7.18 14/08/2033 – 16.57% of the fund's portfolio
  • GOI Sec 7.18 14/08/2033 – 16.65% of the fund's portfolio
  • GOI Sec 7.18 14/08/2033 – 1.00% of the fund's portfolio

Which are the major sectors UTI Medium Duration Fund Direct-idcw Monthly focuses on?

  • Entities – 166.76% of the fund's portfolio
  • Unspecified – 75.37% of the fund's portfolio
  • Financial – 71.58% of the fund's portfolio
  • Healthcare – 21.98% of the fund's portfolio
  • Materials – 20.77% of the fund's portfolio
View more FAQ's

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Policybazaar is a registered Insurance Broker | Registration No. 742, Registration Code No. IRDA/ DB 797/ 19, Valid till 09/06/2024, License category- Direct Broker (Life & General) |CIN: U74999HR2014PTC053454 | Registered Office - Plot No.119, Sector - 44, Gurgaon, Haryana – 122001 |Visitors are hereby informed that their information submitted on the website may be shared with insurers. Product information is authentic and solely based on the information received from the insurers.©️ Copyright 2008-2025 policybazaar.com. All Rights Reserved

^Returns as on 10th Jan’25. Tata AIA Life Top 200 ULIP Fund has delivered 18% returns over the last 10 years. Past performance is not necessarily indicative of future results. This disclaimer is specifically regarding a ULIP fund and is not related to mutual funds. Source: Morningstar.

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