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Summary Info
Fund Name Trust Mutual Fund
Scheme Name TRUSTMF Arbitrage Fund - Regular (G)
AMC Trust Mutual Fund
Type Open
Category Arbitrage Funds
Launch Date 18-Aug-25
Fund Manager Mihir Vora
Net Assets ()Cr 64.01
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 0.41 1.44 2.87 - - - 3.29
Category Avg 1.99 2.52 3.59 5.35 8.62 7.61 6.32 5.60
Category Best 355.38 357.29 361.59 368.50 381.14 76.51 42.85 14.87
Category Worst -0.03 0.28 1.02 2.03 4.04 5.71 4.78 -0.17
Holdings
Company Name No of Shares Market Value Hold %
HDFC Bank 56,100 4.98 7.78
Bandhan Bank 216,000 3.93 6.14
ICICI Bank 24,500 3.38 5.28
RBL Bank 104,775 3.35 5.23
Vodafone Idea 2,716,050 2.88 4.49
Sammaan Capital 167,700 2.51 3.93
Bajaj Finance 23,250 2.32 3.62
Eternal 92,150 2.27 3.55
Cholaman.Inv.&Fn 11,875 2.06 3.21
NBCC 221,000 2.05 3.20
ITC 44,800 1.40 2.19
Crompton Gr. Con 52,200 1.35 2.10
Reliance Industr 9,000 1.25 1.96
Suzlon Energy 270,750 1.16 1.80
Interglobe Aviat 2,100 1.01 1.58
Uno Minda 8,250 0.98 1.53
Kalyan Jewellers 22,325 0.92 1.43
Inox Wind 92,950 0.86 1.34
Lodha Developers 8,100 0.80 1.25
Trent 1,900 0.74 1.16
B H E L 26,250 0.70 1.09
IDFC First Bank 74,200 0.55 0.85
Bajaj Holdings 500 0.54 0.84
Exide Inds. 14,400 0.48 0.75
DLF 7,425 0.45 0.70
Kotak Mah. Bank 10,000 0.42 0.65
Glenmark Pharma. 1,875 0.40 0.63
APL Apollo Tubes 1,750 0.39 0.61
Ambuja Cements 7,350 0.37 0.57
Bajaj Finserv 1,500 0.30 0.47
ICICI Pru Life 3,700 0.24 0.38
Nestle India 1,500 0.19 0.30
NHPC Ltd 19,200 0.14 0.23
TREPS 0 1.02 1.60
Net CA & Others 0 17.64 27.56