Navi Aggressive Hybrid Fund - Regular (IDCW)

Navi Aggressive Hybrid Fund - Regular (IDCW)

Summary Info


Fund Name:Navi Mutual Fund
Scheme Name:Navi Aggressive Hybrid Fund - Regular (IDCW)
AMC:Navi Mutual Fund
Type:O
Category:Hybrid - Equity Oriented
Launch Date: 09-Apr-2018
Fund Manager:Aditya Mulki
Net Assets (Rs. cr):101.74

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Navi Aggressive Hybrid Fund - Regular (IDCW)- NAV Details
NAV Date:18-Apr-2024
NAV [Rs.]:17.86
Buy/Resale Price [Rs.]:0
Sell/Repurchase Price [Rs.]:0
Entry Load %:Nil
Exit Load %: 15% of the units allotted shall be redeemed without any Exit Load on or before completion of 365 days from the date of allotment of units. 1.00% - If redeemed or switched out on or before completion of 365 days from the date of allotment of units. Nil - If redeemed or switched out after completion of 365 days from the date of allotment of units.
Navi Aggressive Hybrid Fund - Regular (IDCW)- NAV Chart
Navi Aggressive Hybrid Fund - Regular (IDCW)- Performance(%)
1w1m3m6m1y3y5ySince INC
Scheme Returns-1.64 0.41 1.23 8.77 23.27 13.79 11.03 10.19
Category Avg-1.112.63 3.26 12.77 27.49 15.36 13.84 12.41
Category Best0.0710.51 15.34 35.66 51.75 32.47 29.77 41.39
Category Worst-1.64 0.41 1.23 8.77 23.27 13.79 11.03 10.19
Navi Aggressive Hybrid Fund - Regular (IDCW)- Latest Dividends
DividendsBonus

No Record Found

Navi Aggressive Hybrid Fund - Regular (IDCW)- Investment Details
Min. Investment(Rs.):10
Increm.Investment(Rs.):10
My Wealth At Retirement

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In & Out
In
Name of the CompanyNo of shares

No Record Found

Out
Name of the CompanyNo of shares

No Record Found

Fund Holdings
Asset TypeInstrument NameIndustryNet Assets(%)No of SharesMkt Value(Cr.)
Equity & Equity related Investments
EquityReliance Industr PETROLEUM PRODUCTS 5.55 19,000.00 5.65
EquityInfosys IT - SOFTWARE 4.08 27,700.00 4.15
EquityICICI Bank BANKS 3.98 37,000.00 4.05
EquityTCS IT - SOFTWARE 3.40 8,917.00 3.46
EquityHDFC Bank BANKS 3.25 22,868.00 3.31
EquitySun Pharma.Inds. PHARMACEUTICALS & BIOTECHNOLOGY 3.14 19,700.00 3.19
EquityHind.Aeronautics AEROSPACE & DEFENSE 2.42 7,400.00 2.46
EquityAxis Bank BANKS 2.16 21,000.00 2.20
EquityUno Minda AUTO COMPONENTS 2.09 31,000.00 2.12
EquityTata Motors-DVR AUTOMOBILES 1.95 30,150.00 1.98
EquitySBI Life Insuran INSURANCE 1.92 13,000.00 1.95
EquityIndusInd Bank BANKS 1.91 12,500.00 1.94
EquityTata Consumer AGRICULTURAL FOOD & OTHER PRODUCTS 1.91 17,700.00 1.94
EquityApollo Hospitals HEALTHCARE SERVICES 1.75 2,800.00 1.78
EquityUnited Spirits BEVERAGES 1.64 14,700.00 1.67
EquityElecon Engg.Co INDUSTRIAL MANUFACTURING 1.49 16,000.00 1.52
EquityMTAR Technologie AEROSPACE & DEFENSE 1.49 9,000.00 1.52
EquitySuprajit Engg. AUTO COMPONENTS 1.48 36,500.00 1.50
EquityZydus Lifesci. PHARMACEUTICALS & BIOTECHNOLOGY 1.34 13,485.00 1.36
EquityHCL Technologies IT - SOFTWARE 1.29 8,500.00 1.31
EquityHind. Unilever DIVERSIFIED FMCG 1.29 5,800.00 1.31
EquityRadico Khaitan BEVERAGES 1.21 7,100.00 1.23
EquityM M Forgings AUTO COMPONENTS 1.13 13,200.00 1.15
EquityVedant Fashions RETAILING 1.09 12,000.00 1.11
EquityITC DIVERSIFIED FMCG 1.01 24,000.00 1.03
EquityHindalco Inds. NON - FERROUS METALS 0.99 18,000.00 1.01
EquityAshok Leyland AGRICULTURAL, COMMERCIAL & CONSTRUCTION VEHICLES 0.95 56,500.00 0.97
EquityPage Industries TEXTILES & APPARELS 0.95 280.00 0.96
EquityAU Small Finance BANKS 0.89 16,000.00 0.90
EquityValiant Organics CHEMICALS & PETROCHEMICALS 0.79 21,000.00 0.80
EquityVinati Organics CHEMICALS & PETROCHEMICALS 0.79 5,500.00 0.81
EquityJio Financial FINANCE 0.78 22,500.00 0.80
EquityBharti Airtel TELECOM - SERVICES 0.66 5,500.00 0.68
EquityCoromandel Inter FERTILIZERS & AGROCHEMICALS 0.38 3,600.00 0.39
EquityDeepak Fertiliz. CHEMICALS & PETROCHEMICALS 0.31 6,200.00 0.31
EquityKNR Construct. CONSTRUCTION 0.24 10,000.00 0.25
EquityIdeaforge Tech AEROSPACE & DEFENSE 0.20 3,000.00 0.21
Debt Investments
Corporate DebtsMuthoot Finance -/- 3.96 4,09,420.00 4.02
Corporate DebtsLIC Housing Fin. -/- 3.89 4,00,000.00 3.95
Corporate DebtsNatl. Hous. Bank -/- 0.98 1,00,000.00 1.00
Corporate DebtsPower Grid Corpn -/- 0.90 90,000.00 0.92
Corporate DebtsHDFC Bank -/- 0.38 40,000.00 0.38
Cash & Cash Equivalent
Net CA & OthersNet CA & Others -/- 10.93 0.00 11.14
Money Market Investments
T BillsTBILL-364D -/- 4.66 5,00,000.00 4.74
Commercial PaperBirla Group -/- 3.42 3,50,000.00 3.48
Commercial PaperN A B A R D -/- 3.42 3,50,000.00 3.48
Commercial PaperICICI Securities -/- 1.93 2,00,000.00 1.97
Certificate of DepositsCanara Bank -/- 1.93 2,00,000.00 1.96
Commercial PaperCholaman.Inv.&Fn -/- 1.70 1,75,000.00 1.73
Key Information
Fund House: Navi Trustee Limited
Incorporation Date: 09-Apr-2009
Total Assets Managed (Cr.): 4,944.33
Trustee/s: Navi Trustee Limited
Chairman: N/A
CEO / MD: Mr. Rajiv Naresh
CIO: N/A
President: N/A
Director/s: N/A
Compliance Officer/s: N/A
Investor Service Officer/s: Mr.Tushar Chandel
Fund Manager/s: Aditya Mulki
Other Information
Auditors: N/A
Registered Office: peerless mansion,3rd floor,1 chowringhee square , kolkata 700069
Contact Nos: 033 - 40185000/022 - 40635000
Fax: 033 - 40185010.
Email : mf@navi.com
Website : https://www.navimutualfund.com