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Summary Info
Fund Name Mirae Asset Mutual Fund
Scheme Name Mirae Asset Large Cap Fund - Direct (G)
AMC Mirae Asset Mutual Fund
Type Open
Category Equity - Diversified
Launch Date 01-Jan-13
Fund Manager Gaurav Misra
Net Assets ()Cr 41,802.47
NAV Graph
  One Month   Three Month   Six Month   One Year   Three Year   Five Year   Since INC
Latest Payouts
Dividends Bonus
Ratio NA NA
Date NA NA
Performance(%)
1 Week[%] 1 Month[%] 3 Month[%] 6 Month[%] 1 Year[%] 3 Year[%] 5 Year[%] Since INC[%]
Scheme Return 0.23 -0.52 0.97 2.50 11.67 14.63 13.66 15.99
Category Avg -0.09 -0.52 -1.20 -0.61 6.22 18.34 17.37 13.82
Category Best 7.97 7.54 8.01 9.40 29.46 31.12 29.58 39.84
Category Worst -2.72 -6.78 -9.18 -15.06 -15.14 2.35 5.37 -17.60
Holdings
Company Name No of Shares Market Value Hold %
HDFC Bank 40,619,277 4,026.18 9.63
ICICI Bank 24,744,264 3,322.91 7.95
Infosys 13,788,580 2,227.41 5.33
Reliance Industr 13,533,143 2,125.24 5.08
Bharti Airtel 8,571,128 1,804.74 4.32
ITC 43,675,034 1,760.10 4.21
Larsen & Toubro 3,805,147 1,553.83 3.72
TCS 4,612,393 1,478.83 3.54
Axis Bank 10,663,212 1,353.59 3.24
SBI 12,236,391 1,201.86 2.88
Maruti Suzuki 615,292 1,027.35 2.46
Eternal 35,816,714 995.88 2.38
M & M 2,598,370 963.79 2.31
Kotak Mah. Bank 3,384,978 745.07 1.78
Godrej Consumer 5,232,831 639.56 1.53
Ambuja Cements 11,409,235 634.75 1.52
Shriram Finance 6,122,288 609.90 1.46
Varun Beverages 12,423,074 608.54 1.46
Asian Paints 2,114,041 585.48 1.40
Eicher Motors 799,085 584.33 1.40
Apollo Hospitals 804,081 566.27 1.35
Hind. Unilever 2,249,564 520.98 1.25
NTPC 15,380,031 506.85 1.21
One 97 3,870,137 502.69 1.20
SBI Life Insuran 2,223,708 452.50 1.08
Sun Pharma.Inds. 2,317,131 398.48 0.95
Siemens 1,291,094 395.50 0.95
JSW Energy 7,908,800 381.56 0.91
Britannia Inds. 615,107 370.97 0.89
Dr Reddy's Labs 2,870,116 364.91 0.87
Gland Pharma 2,105,893 362.63 0.87
IndusInd Bank 4,133,947 357.26 0.85
Bajaj Finance 3,385,240 334.06 0.80
Titan Company 820,337 332.36 0.80
Indian Hotels Co 4,380,332 323.64 0.77
Trent 733,609 313.91 0.75
Adani Ports 2,061,959 303.07 0.72
FSN E-Commerce 10,638,076 282.07 0.67
Sona BLW Precis. 5,782,613 277.22 0.66
Swiggy 6,653,688 257.00 0.61
Mphasis 903,344 252.14 0.60
Siemens Ener.Ind 978,178 250.42 0.60
Vedanta 4,063,791 245.62 0.59
Lodha Developers 2,308,009 244.95 0.59
Timken India 805,394 241.87 0.58
Pidilite Inds. 1,625,196 240.92 0.58
Aurobindo Pharma 2,020,497 239.02 0.57
GAIL (India) 13,537,417 233.06 0.56
Interglobe Aviat 434,282 219.73 0.53
Jindal Steel 2,050,688 216.10 0.52
Power Fin.Corpn. 5,999,884 213.24 0.51
O N G C 8,152,536 195.97 0.47
Avenue Super. 517,094 195.58 0.47
Kalpataru Proj. 1,485,064 178.56 0.43
Wipro 6,671,894 175.66 0.42
Gujarat Fluoroch 447,971 164.24 0.39
Bharat Electron 3,883,096 155.17 0.37
Crompton Gr. Con 6,123,739 154.47 0.37
Indus Towers 3,470,999 145.35 0.35
Tata Motors 3,309,866 137.52 0.33
Tata Steel 7,390,848 133.09 0.32
Indian Energy Ex 9,497,548 127.48 0.30
B P C L 3,227,348 123.93 0.30
EPL Ltd 5,706,533 122.81 0.29
Titagarh Rail 1,316,745 117.45 0.28
Tata Motors PVeh 2,984,449 109.63 0.26
Biocon 2,631,200 103.64 0.25
A B B 176,746 91.38 0.22
Sobha 591,632 86.34 0.21
Guj.St.Petronet 2,485,215 76.11 0.18
Restaurant Brand 10,746,200 67.81 0.16
Havells India 464,751 66.22 0.16
ICICI AMC 226,464 60.26 0.14
Chemplast Sanmar 2,059,363 53.79 0.13
SKF India Indus. 203,478 52.92 0.13
Go Digit General 1,300,356 44.81 0.11
KPIT Technologi. 363,010 42.56 0.10
Billionbrains 2,198,550 34.33 0.08
Kwality Wall's 2,303,345 9.26 0.02
Divi's Lab. 7,175 4.59 0.01
Bajaj Auto 4,430 4.14 0.01
Cipla 2,752 0.42 0.00
L&T Finance Ltd 850 0.03 0.00
Torrent Pharma. 1 0.00 0.00
Kalyan Jewellers 1 0.00 0.00
TREPS 0 92.49 0.22
Net CA & Others 0 162.25 0.39
Mirae Asset Liquid Fund - Direct (G) 215,726 61.87 0.15