Navi Conservative Hybrid Fund Direct dividend payout
Hybrid • Conservative • Direct dividend payout
Average credit rating
AAA (Highest)
CAGR
₹1,000 invested for 5 years
Fund Info
Hybrid
Conservative
Direct dividend payout
Launched On
01 Jan 2013
13.3 years ago
Lock-in Period
No lock-in
NAV
as of 14 Nov 2024
₹13.11
+0.0626% (0.10)
AUM
₹36 Cr
Expense ratio
0.33%
Benchmark
CRISIL Hybrid 85+15 - ConservativeTR INR
Fund Plan
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Tax info and exit load
Taxes
Units sold anytime
As per tax slab
Exit Load
If units sold anytime
0%
What's in this fund?
Credit Rating
Sectors
Holdings
Energy
22.52%
Technology
22.45%
Financial Services
22.31%
Communication Services
21.13%
Healthcare
10.20%
Fund House
Navi
Inc: 19 Feb 2010 • Total AUM: ₹2,291 Cr • Rank #45
Navi Mutual Fund, started in 2010, has Anmol Como Broking Private Limited as its sponsors. The fund house is headed by Hari Shyamsunder as the CEO. As of 31 March 2024, it has an AUM of ₹4,944 Cr.
Fund Managers
Aditya Mulki
Experience: 4.09 yrs • Total AUM: 365 Cr
Ashutosh Shirwaikar
Experience: 2.70 yrs • Total AUM: 32,428 Cr
Tanmay Sethi
Experience: 2.19 yrs • Total AUM: 4,016 Cr
Risk
Category risk
Moderate
As provided by the fund house document, this risk is specific to this fund category (Hybrid). To know the risk of this fund particularly, check 'Risk vs Category'.
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