
To understand the structure, types, and functioning of mutual funds in India.
To analyze the product offerings and performance of UTI Mutual Funds.
To evaluate the role of FinTech in enhancing mutual fund access, distribution, and investor engagement.
To assess investor behavior, risk appetite, and preferences in selecting UTI mutual fund schemes.
To identify the challenges and growth opportunities for mutual funds in the Indian investment ecosystem.
Conduct a literature review on mutual funds in India, SEBI guidelines, and FinTech-driven distribution channels.
Study UTI Mutual Funds’ portfolio range, asset allocation strategies, and fund performance over the last 3–5 years.
Compare UTI’s offerings with industry benchmarks and peer AMCs on returns, risk ratios, and consistency.
Analyze how UTI leverages digital tools, mobile apps, and FinTech platforms to reach and retain investors.
Collect user reviews and investor case studies to understand perception, ease of investment, and trust in UTI.
Identify regulatory trends and FinTech innovations likely to impact the mutual fund industry in the near future.
Prepare a detailed report with findings, comparative analysis, investor insights, and strategic recommendations for UTI Mutual Funds’ growth.