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Mutual Funds Multi Asset UTI Multi Asset Allocation Fund - Direct Plan - Growth
Multi Asset · Hybrid

UTI Multi Asset Allocation Fund - Direct Plan - Growth

Fund House: UTI Mutual Fund Plan: Direct · Growth Earliest NAV: 2013-01-02 Scheme Code: 120760
SignalIQ View Descriptive research · not a buy/sell recommendation
Sharpe (3Y)
1.01
Return per unit of risk · rf 6.5%
Sortino (3Y)
1.25
Downside-only Sharpe
Max Drawdown
-25.0%
Peak-to-trough · full history
Vol (3Y)
9.6%
Annualised σ of daily returns
Positive Days
56%
Smoothness proxy
This fund has delivered solid risk-adjusted returns over the last 3 years (Sharpe 1.01). Its worst peak-to-trough drop over the full history was 25.0% (moderate drawdowns) between 2020-02-19 and 2020-03-23. About 56% of trading days closed up. Profile: consistent compounder · smooth NAV path.
YTD
-0.9%
Calendar YTD
1 Year
+3.6%
Trailing 12 mo
3 Year
+15.0%
CAGR
5 Year
+13.2%
CAGR
10 Year
+11.1%
CAGR
Since Inception
CAGR (?y)
📈 NAV History
End-of-day NAV series from AMFI (via MFAPI.in).
🎯 Rolling-Return Consistency

3-Year Rolling Windows

Sample size
2639 windows
Best window CAGR
+23.99%
Median CAGR
+9.83%
Avg CAGR
+11.20%
Worst window CAGR
-3.73%
Positive windows
99.1%

5-Year Rolling Windows

Sample size
2147 windows
Best window CAGR
+21.30%
Median CAGR
+9.30%
Avg CAGR
+10.49%
Worst window CAGR
-0.41%
Positive windows
100.0%

Every trading day in the history is treated as a potential window end-date; the fund's CAGR over the trailing 3 (or 5) years ending that day is computed, and the full distribution is summarised. A narrower band + higher "positive windows" percentage means more predictable outcomes — reduces the timing luck a single point-in-time CAGR can hide.

🏁 Peer Comparison · Top in Multi Asset
Scheme 1Y 3Y CAGR 5Y CAGR Latest NAV
Quant Multi Asset Allocation Fund
quant Mutual Fund
+16.2% +22.6% +20.1%
Nippon India Multi Asset Allocation Fund
Nippon India Mutual Fund
+11.5% +19.0% +15.9%
WhiteOak Capital Multi Asset Allocation Fund
WhiteOak Capital Mutual Fund
+11.5% +16.8%
Aditya Birla Sun Life Multi Asset Omni FoF
Aditya Birla Sun Life Mutual Fund
+13.1% +16.8% +13.6%
Aditya Birla Sun Life Multi Asset Allocation Fund
Aditya Birla Sun Life Mutual Fund
+11.8% +16.2%
HSBC Multi Asset Active FOF (erstwhile HSBC Managed Solutions India - Moderate Fund)
HSBC Mutual Fund
+12.8% +15.4% +12.4%
UTI Multi Asset Allocation Fund (this fund)
UTI Mutual Fund
+3.6% +15.0% +13.2%
Disclaimer: Mutual fund investments are subject to market risks. Read all scheme related documents carefully before investing. Past performance is not indicative of future results. This page publishes descriptive rank-and-return analysis only — not personalised advice on which fund to buy. Trailing returns and rolling-window statistics are computed from AMFI's official daily NAV series. Research by Equity Alfa Analytics, SEBI Registered Research Analyst · INH000024985 · BSE RAASB Enlistment 6942.