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Motilal Oswal Multi Cap Fund Regular Plan Growth

Category: Equity: Multi Cap Launch Date: 18-06-2024
AUM:

4,676.55 Cr

Expense Ratio

2.39%

Benchmark

Nifty500 Multicap 50:25:25 TRI

ISIN

INF247L01CO2

Minimum Investment

500.0

Minimum Topup

500.0

Minimum SIP Amount

500

Fund Manager

Mr. Sandeep Jain, Mr. Atul Mehra, Mr. Bhalchandra Shinde, Mr. Rakesh Shetty, Mr. Swapnil Mayekar

Fund Performance 1Y (%) 3Y (%) 5Y (%)
Motilal Oswal Multi Cap Fund Regular Plan Growth 9.13 - -
NIFTY500 MULTICAP 50:25:25 TRI -1.49 10.56 10.78
If you invested in this fund:
₹
In the past (time duration):
Total value today:
0
Returns:
0%
If you invested in this fund:
In the past (time duration):
Total value today:
0
Returns:
0%

Overview

NAV
14.4477
Last change
-0.16 (-1.1247%)
Fund Size (AUM)
₹ 4,676.55 Cr
Performance
16.27% (Inception)

Asset Allocation

Equity

Debt

Others

Nav Movement

Investment Objective

To achieve long term capital appreciation by predominantly investing in equity and equity related instruments of large, mid and small cap companies. However, there can be no assurance that the investment objective of the scheme will be realized.

Fund Manager
Mr. Sandeep Jain, Mr. Atul Mehra, Mr. Bhalchandra Shinde, Mr. Rakesh Shetty, Mr. Swapnil Mayekar
Riskometer
Very High

Top 10 Holdings

Company Holdings (%)
DIVIS LABORATORIES LIMITED EQ NEW RS. 2/- 4.94
ZOMATO LIMITED EQ 4.56
Shaily Engineering Plastics Limited 4.23
LENSKART SOLUTIONS PRIVATE LIMITED EQ 4.09
KALYAN JEWELLERS INDIA LIMITED EQ 3.86
INDUSIND BANK LIMITED EQ 3.59
CG POWER AND INDUSTRIAL SOLUTIONS LIMITED EQ NEW FV RS.2/- 3.58
Coforge Limited 3.4
Bajaj Finance Limited 3.39
ONE 97 COMMUNICATIONS LIMITED EQ NEW FV RE.1/- 3.28

Sector Allocation

Sector Holdings (%)
Financial Services 28.62
Capital Goods 20.28
Consumer Services 11.0
Healthcare 7.77
Services 7.21
Consumer Durables 6.22
Chemicals 5.28
Information Technology 4.98
Automobile and Auto Components 4.8
Fast Moving Consumer Goods 2.11

Peer Comparison

Scheme Name 5Y (%)
Motilal Oswal Multi Cap Fund Reg Gr 0.0