close
Sucess

Great! You have sucessfully subscribed for newsletters for investments

Subscribed email:

UTI Conservative Hybrid Fund Regular Plan-Growth

Previously called: UTI Regular Savings Reg-G

NAV as of Sep 03, 2025Returns since inceptionET Money RankAUM (Fund size)
9.26% p.a.
App exclusive lock icon
1,684 Cr

Historical NAV & returns

NAV: ₹69.0949 as on Sep 03, 2025
This fund Category average
Loading...
This fund Category average

UTI Conservative Hybrid Fund overview

Expense ratio1.8% as on Aug 31, 2025
Plan typeRegular
Exit load1.0%info
Exit Load for units in excess of 10% of the investment,1% will be charged for redemption within 12 months.!
AUM (Fund size)1,684 Cr
Lock-in PeriodNil
Age21 yrs 9 m since Dec 01, 2003
BenchmarkNIFTY 50 Hybrid Composite Debt 15:85 Conservative
Min. investment

SIP: 500 & Lumpsum: 5000

RiskModerately HighModerately High Risk
Tax on your gainsProfits are added to your income and taxed as per your slab rate

UTI Conservative Hybrid Fund Returns calculator

Investment type
Investment period
Investment period
Disclaimer: Products compared like fixed deposits may provide fixed guaranteed returns. Mutual Funds investments are subject to market risk, read all scheme related documents carefully. Past performance is not an indicator of future returns.
  • Total investment ₹ 12 lakh
  • Profit ₹12 lakhs
  • Total corpus ₹1 lakh
  • Absolute return 52.69%

Trailing returns as on Sep 04, 2025

PeriodThis fundCategory average
1 Month -0.66% -0.43%
3 Months -0.4% 0.04%
6 Months 5.65% 5.71%
1 Year 4.12% 4.47%
2 Years 9.92% 9.13%
3 Years 9.43% 8.69%
4 Years 8.42% 7.64%
5 Years 10.61% 9.07%
7 Years 7.83% 7.68%
10 Years 8.3% 7.75%

Asset allocationas on May 31, 2025

Large Cap 16.55%

Mid Cap 3.74%

Small Cap 3.49%

Other Cap 0%

Top sectors

Financial 7.3500000000000005%

Technology 2.42%

Healthcare 2.0100000000000002%

Automobile 2.0%

SOV 44.92720399%

AAA 29.23673578%

Cash & Call Money 1.70949592%

Others 0.27185812%

Top Debt Holdings

GOI 34.69%

HDFC Bank Ltd. 4.57%

National Bank For Agriculture & Rural Development 4.49%

West Bengal State 4.47%

Allocation by Instruments

Bifurcation by Instrument is not available for this fund

Other Holdings

Others 2.09%

UTI Nifty 5 yr Benchmark G-Sec ETF - Growth 0.11%

UTI Nifty 10 yr Benchmark G-Sec ETF - Growth 0.11%

Peer comparison

Fund nameETM RankAUMFund ageExpense ratio
UTI Conservative Hybrid FundN.A.1,684 Cr21 yrs 9 m1.8%
ICICI Prudential Regular Savings FundN.A.3,188 Cr21 yrs 6 m1.72%
SBI Conservative Hybrid FundN.A.9,643 Cr24 yrs 6 m1.55%
Canara Robeco Conservative Hybrid FundN.A.953 Cr22 yrs 11 m1.84%
Baroda BNP Paribas Conservative Hybrid FundN.A.824 Cr21 yrs2.0%
HDFC Hybrid Debt FundN.A.3,406 Cr21 yrs 9 m1.74%
Fund name1M6M1Y3Y5Y10Y
UTI Conservative Hybrid Fund-0.66%5.65%4.12%9.43%10.61%8.3%
ICICI Prudential Regular Savings Fund0.52%7.25%6.45%10.03%9.91%9.54%
SBI Conservative Hybrid Fund-0.05%6.83%4.59%9.85%11.01%9.04%
Canara Robeco Conservative Hybrid Fund-0.13%6.57%5.02%8.33%8.44%8.09%
Baroda BNP Paribas Conservative Hybrid Fund-0.47%5.35%4.01%8.05%7.54%7.31%
HDFC Hybrid Debt Fund-0.99%4.65%2.71%9.88%10.91%8.92%
Fund nameStd. deviationBetaSharpeSortino
UTI Conservative Hybrid Fund3.850.980.681.11
ICICI Prudential Regular Savings Fund3.00.741.061.73
SBI Conservative Hybrid Fund3.360.790.921.58
Canara Robeco Conservative Hybrid Fund3.60.890.460.76
Baroda BNP Paribas Conservative Hybrid Fund3.430.840.40.58
HDFC Hybrid Debt Fund4.060.980.771.44

Key risk & return ratios Compared to other funds in the category

Alpha 0.19 vs. 2.73 Underperformed at beating benchmark
Sharpe 0.68 vs. 2.71 Poor risk-adjusted returns
Beta 0.98 vs. 0.91 More sensitive to market's ups & downs
Standard deviation 3.85 vs. 3.57 More volatile performance

Compare UTI Conservative Hybrid Fund in detail with

ET Money rank

in Conservative Hybrid
#NA
Ranking for this fund is unavailable.
  • Return Outperformance: This fund has generated highest return amongst Conservative Hybrid funds in the last 10 Years.
  • Volatility Protection: This fund ranks lower in terms of protecting against volatility within its category.
  • Chance: This fund has generated only 8.0% annual return in 70% of times for investors holding for at least 5 years.
  • Return/Risk: The fund is performing poorly than its category.
  • Exit Load: Exit Load for units in excess of 10% of the investment,1% will be charged for redemption within 12 months.