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Summary Info
Fund Name Mirae Asset Mutual Fund
Scheme Name Mirae Asset Focused Fund (G)
AMC Mirae Asset Mutual Fund
Type Open
Category Equity - Diversified
Launch Date 23-Apr-19
Fund Manager Gaurav Misra
Net Assets ()Cr 6,049.53
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 4.52 4.71 -10.69 -12.44 -0.49 7.76 7.89 12.56
Category Avg 4.74 4.42 -3.86 -4.22 9.00 16.99 15.55 11.70
Category Best 8.20 10.98 5.81 7.61 30.11 33.42 29.02 39.01
Category Worst 0.37 -5.05 -16.59 -18.10 -9.68 0.77 3.92 -18.87
Holdings
Company Name No of Shares Market Value Hold %
HDFC Bank 7,546,179 552.04 9.13
ICICI Bank 4,354,730 525.14 8.68
Bharti Airtel 1,991,166 354.91 5.87
Infosys 2,605,982 325.90 5.39
One 97 2,707,546 259.65 4.29
Eternal 11,084,084 253.80 4.20
Axis Bank 2,131,009 247.47 4.09
Sona BLW Precis. 4,608,506 221.90 3.67
ITC 7,513,089 216.15 3.57
Maruti Suzuki 169,485 208.57 3.45
Godrej Consumer 1,965,602 193.57 3.20
Kalpataru Proj. 1,811,196 191.55 3.17
Gland Pharma 1,097,228 186.10 3.08
Arvind Fashions. 4,568,646 184.34 3.05
SKF India Indus. 871,624 181.58 3.00
Ratnamani Metals 823,000 181.21 3.00
Siemens Ener.Ind 693,083 177.81 2.94
Gujarat Fluoroch 579,226 175.41 2.90
Syngene Intl. 4,207,261 164.04 2.71
FSN E-Commerce 6,679,129 156.96 2.59
Ambuja Cements 3,543,401 142.18 2.35
Sapphire Foods 8,984,995 135.15 2.23
Orient Electric 8,479,995 132.54 2.19
Sobha 1,055,473 125.33 2.07
KPIT Technologi. 1,968,956 124.98 2.07
Mphasis 541,084 111.08 1.84
Guj.St.Petronet 4,674,451 107.35 1.77
PB Fintech. 677,948 96.80 1.60
TREPS 0 132.75 2.19
Net CA & Others 0 -16.75 -0.28