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Summary Info
Fund Name Navi Mutual Fund
Scheme Name Navi BSE Sensex Index Fund - Regular (G)
AMC Navi Mutual Fund
Type Open
Category Equity - Index
Launch Date 21-Aug-23
Fund Manager Ashutosh Shirwaikar
Net Assets ()Cr 18.13
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 5.72 -0.91 -7.35 -5.99 5.34 - - 6.62
Category Avg 7.05 0.29 -4.30 -3.73 11.61 16.88 12.39 5.86
Category Best 12.94 7.21 8.39 13.30 51.05 32.73 18.69 38.53
Category Worst 1.47 -5.01 -18.25 -18.61 -16.88 3.52 9.02 -23.42
Holdings
Company Name No of Shares Market Value Hold %
HDFC Bank 32,406 2.37 13.08
Reliance Industr 14,391 1.93 10.67
ICICI Bank 15,223 1.83 10.12
Bharti Airtel 6,064 1.08 5.97
Infosys 7,418 0.93 5.12
Larsen & Toubro 2,487 0.87 4.81
SBI 8,834 0.87 4.77
Axis Bank 6,079 0.71 3.90
ITC 20,519 0.59 3.26
M & M 1,904 0.56 3.10
Kotak Mah. Bank 15,654 0.55 3.05
TCS 2,155 0.51 2.80
Bajaj Finance 5,691 0.46 2.52
Sun Pharma.Inds. 2,296 0.40 2.23
Hind. Unilever 1,899 0.39 2.15
NTPC 10,105 0.37 2.07
Eternal 15,188 0.35 1.92
Maruti Suzuki 281 0.35 1.91
Titan Company 869 0.34 1.89
Tata Steel 17,523 0.34 1.85
Bharat Electron 7,618 0.31 1.68
HCL Technologies 2,251 0.30 1.67
Power Grid Corpn 9,693 0.29 1.58
UltraTech Cem. 251 0.27 1.49
Adani Ports 1,568 0.21 1.14
Asian Paints 959 0.21 1.14
Bajaj Finserv 1,191 0.19 1.07
Interglobe Aviat 477 0.19 1.04
Tech Mahindra 1,354 0.19 1.04
Trent 469 0.15 0.85
Net CA & Others 0 0.02 0.11