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Summary Info
Fund Name Motilal Oswal Mutual Fund
Scheme Name Motilal Oswal Large Cap Fund - Direct (G)
AMC Motilal Oswal Mutual Fund
Type Open
Category Equity - Diversified
Launch Date 17-Jan-24
Fund Manager Ajay Khandelwal
Net Assets ()Cr 3,066.19
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 -0.04 -1.04 -0.58 -0.40 10.01 - - 20.35
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 2,900,000 287.45 9.37
Reliance Industr 1,400,000 219.86 7.17
ICICI Bank 1,400,000 188.01 6.13
Bharti Airtel 742,500 156.34 5.10
Infosys 827,132 133.61 4.36
Larsen & Toubro 240,000 98.00 3.20
SBI 922,400 90.60 2.95
TCS 250,000 80.16 2.61
M & M 195,000 72.33 2.36
Axis Bank 535,000 67.91 2.21
Kotak Mah. Bank 300,000 66.03 2.15
Maruti Suzuki 38,000 63.45 2.07
Tata Capital 1,534,790 52.47 1.71
Bajaj Finance 500,000 49.34 1.61
CG Power & Ind 757,566 49.08 1.60
J B Chemicals & 263,083 47.87 1.56
Indus Towers 1,100,000 46.06 1.50
Chola Financial 250,000 45.32 1.48
Samvardh. Mothe. 3,750,000 44.98 1.47
SBI Life Insuran 220,000 44.77 1.46
DLF 650,000 44.68 1.46
NTPC 1,310,169 43.18 1.41
Indiqube Spaces 1,968,912 41.31 1.35
Brigade Hotel 6,100,000 40.79 1.33
Interglobe Aviat 80,000 40.48 1.32
Whirlpool India 450,000 40.46 1.32
ITC 1,000,000 40.30 1.31
Power Grid Corpn 1,500,000 39.69 1.29
Grasim Inds 140,000 39.61 1.29
Varun Beverages 800,000 39.19 1.28
Sun Pharma.Inds. 220,000 37.83 1.23
Bajaj Holdings 32,836 37.20 1.21
Eternal 1,300,000 36.15 1.18
O N G C 1,500,000 36.06 1.18
REC Ltd 1,000,000 35.68 1.16
LTIMindtree 58,672 35.58 1.16
Tech Mahindra 221,823 35.29 1.15
Bajaj Housing 3,684,210 34.75 1.13
Sagility 6,500,000 33.81 1.10
Flair Writing 1,012,221 31.91 1.04
GNG Electronics 1,035,335 31.85 1.04
Euro Pratik Sale 1,012,200 31.19 1.02
ICICI AMC 116,565 31.02 1.01
Aptus Value Hou. 1,100,878 30.73 1.00
Solarworld Ene. 1,100,000 30.16 0.98
Privi Speci. 105,800 29.67 0.97
Titan Company 70,000 28.36 0.92
Sambhv Steel 2,900,000 27.86 0.91
Restaurant Brand 4,000,000 25.24 0.82
Swiggy 501,193 19.36 0.63
Trent 40,000 17.12 0.56
Tenneco Clean 302,939 15.39 0.50
Canara HSBC 990,920 14.68 0.48
JSW Cement 1,020,459 12.13 0.40
Canara Robeco 329,224 10.36 0.34
Sudeep Pharma 102,450 6.18 0.20
Reverse Repo 2,851,000 28.51 0.93
Net CA & Others 0 8.83 0.29