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Summary Info
Fund Name Mirae Asset Mutual Fund
Scheme Name Mirae Asset Flexi Cap Fund - Regular (G)
AMC Mirae Asset Mutual Fund
Type Open
Category Equity - Diversified
Launch Date 03-Feb-23
Fund Manager Varun Goel
Net Assets ()Cr 3,012.19
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 1.68 3.53 3.03 18.31 2.18 - - 20.29
Category Avg 1.61 3.81 3.35 17.80 -1.68 18.74 22.69 15.67
Category Best 6.44 10.58 11.15 44.53 19.87 31.53 35.41 50.82
Category Worst -0.24 -1.72 -3.60 -0.65 -17.36 3.84 11.81 -22.02
Holdings
Company Name No of Shares Market Value Hold %
HDFC Bank 1,993,050 189.66 6.30
ICICI Bank 1,003,000 140.20 4.65
Reliance Industr 883,238 119.87 3.98
SBI 1,094,844 87.86 2.92
Bharti Airtel 385,290 72.77 2.42
Infosys 494,000 72.60 2.41
Axis Bank 610,500 63.81 2.12
Cartrade Tech 235,109 56.38 1.87
TVS Motor Co. 166,000 54.39 1.81
TCS 168,622 52.01 1.73
L&T Finance Ltd 2,380,000 51.68 1.72
Inventurus Knowl 337,791 51.15 1.70
Larsen & Toubro 140,000 50.41 1.67
M & M 155,670 49.81 1.65
Mankind Pharma 191,516 47.33 1.57
Multi Comm. Exc. 61,661 45.57 1.51
Narayana Hrudaya 251,650 44.13 1.47
Havells India 279,383 42.62 1.42
CG Power & Ind 600,000 41.66 1.38
SBI Life Insuran 230,000 41.53 1.38
Cummins India 102,250 39.12 1.30
Chola Financial 221,193 38.17 1.27
Hyundai Motor I 152,600 37.55 1.25
Britannia Inds. 64,177 37.38 1.24
Shriram Finance 643,380 37.33 1.24
HDFC AMC 68,000 37.15 1.23
Welspun Corp 439,678 37.04 1.23
Divi's Lab. 60,000 36.79 1.22
LTIMindtree 71,437 36.67 1.22
ITC 882,509 36.16 1.20
UltraTech Cem. 28,500 36.02 1.20
Dr Reddy's Labs 266,908 33.63 1.12
Supreme Inds. 71,941 32.17 1.07
Sun Pharma.Inds. 197,995 31.57 1.05
Bank of Baroda 1,350,000 31.43 1.04
J K Cements 43,000 29.87 0.99
Indian Hotels Co 379,478 28.78 0.96
S A I L 2,395,046 28.42 0.94
Zensar Tech. 368,308 28.29 0.94
Tech Mahindra 190,000 28.15 0.93
Hind. Unilever 105,750 28.13 0.93
Interglobe Aviat 49,708 28.07 0.93
JSW Energy 570,000 27.84 0.92
DLF 370,000 27.34 0.91
B P C L 867,000 26.72 0.89
Bajaj Finance 298,930 26.24 0.87
Jindal Steel 277,161 26.21 0.87
Deepak Nitrite 146,430 26.18 0.87
Godrej Consumer 205,437 25.53 0.85
Bharat Electron 685,494 25.32 0.84
Can Fin Homes 338,921 24.32 0.81
Krishna Institu. 329,988 23.89 0.79
Eternal Ltd 740,000 23.23 0.77
Motherson Wiring 5,531,437 22.99 0.76
Varun Beverages 450,000 21.92 0.73
Schaeffler India 55,920 21.63 0.72
General Insuranc 582,278 21.17 0.70
PB Fintech. 117,881 20.87 0.69
Sobha 139,717 19.98 0.66
Cera Sanitary. 30,783 19.43 0.64
Safari Inds. 89,420 19.16 0.64
Century Plyboard 255,382 19.06 0.63
Hindalco Inds. 270,000 19.01 0.63
Vedanta 450,000 18.93 0.63
Wonderla Holiday 307,825 18.86 0.63
Neogen Chemicals 131,921 18.52 0.61
Titan Company 50,000 18.14 0.60
Syngene Intl. 289,088 18.09 0.60
Tata Comm 116,674 18.07 0.60
Sai Life 208,286 17.18 0.57
O N G C 700,000 16.36 0.54
Tata Motors 230,000 15.39 0.51
Coal India 410,000 15.37 0.51
Brigade Enterpr. 165,907 15.31 0.51
Go Digit General 406,079 14.52 0.48
Asian Paints 56,000 14.10 0.47
United Spirits 100,000 13.11 0.44
Tata Consumer 118,000 12.57 0.42
OneSource Speci. 62,851 11.89 0.39
Kotak Mah. Bank 60,000 11.76 0.39
Cohance Life 131,280 11.56 0.38
HDB FINANC SER 147,844 11.51 0.38
JNK 372,388 10.99 0.36
Praj Industries 251,577 9.84 0.33
Anthem Bioscienc 11,579 0.95 0.03
TREPS 0 95.69 3.18
Net CA & Others 0 1.41 0.05
TVS Motor Co. 664,000 0.66 0.02