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Navi Aggressive Hybrid Fund Regular IDCW H

Navi Aggressive Hybrid Fund Regular IDCW H

Fund Name

Navi Mutual Fund

Scheme Name

Navi Aggressive Hybrid Fund Regular IDCW H

AMC

Navi Mutual Fund

Type

:  Open

Category

Hybrid - Equity Oriented

Launch Date

09-Apr-2018

Fund Manager

Ashutosh Shirwaikar

Net Assets (Rs. cr)

112.1

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Navi Aggressive Hybrid Fund Regular IDCW H - Nav Details

Nav Date

:  16-Mar-2026

NAV [Rs.]

:  19.4198

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 H- NAV Chart

Navi Aggressive Hybrid Fund Regular IDCW H- Performance(%)

Returns above 1 yr. are annualized

1W
1M
3M
6M
1Y
3Y
5Y
Since INC
Scheme Returns
-3.28
-6.72
-7.62
-6.05
6.47
10.97
9.37
8.77
Category Avg
-3.37
-5.78
-5.88
-3.62
8.03
12.8
10.79
10.86
Category Best
-0.73
-1.77
4.36
15.41
29.89
24.57
26.23
31.32
Category Worst
-5.15
-13.98
-14.59
-17.45
-3.59
2.58
1.79
-4.03

Navi Aggressive Hybrid Fund Regular IDCW H- Latest Dividends

No Records Found

Navi Aggressive Hybrid Fund Regular IDCW H- Investment Details

Min. Investment(Rs.)

100

Increm.Investment(Rs.)

100

In & Out

In

InName Of The CompanyNo Of Shares
Bank of Baroda39,500
GNG Electronics17,000
KPIT Technologi.6,500

Out

InName Of The CompanyNo Of Shares
Jio Financial19,866

Fund Holdings

Asset Type
Instrument Name
Industry
Net Assets(%)
No of Shares
Mkt Value(Cr.)
Equity & Equity related Investments
EquityAxis BankBANKS4.81389295.38
EquityRedingtonCOMMERCIAL SERVICES & SUPPLIES3.971586404.44
EquityUPLFERTILIZERS & AGROCHEMICALS3.82672094.28
EquityHDFC BankBANKS3.72469464.16
EquityKotak Mah. BankBANKS3.23871403.61
EquityUsha MartinINDUSTRIAL PRODUCTS3.14842083.52
EquityReliance IndustrPETROLEUM PRODUCTS2.74220233.06
EquityCreditAcc. Gram.FINANCE2.23198002.50
EquityICICI BankBANKS2.19178302.45
EquityVarun BeveragesBEVERAGES1.91473662.13
EquityBLS Internat.LEISURE SERVICES1.79718512.00
EquityIndegeneHEALTHCARE SERVICES1.78402391.99
EquitySansera Enginee.AUTO COMPONENTS1.6578741.84
EquitySenco GoldCONSUMER DURABLES1.61569181.80
EquityYash HighvoltageELECTRICAL EQUIPMENT1.55380001.74
EquityASK AutomotiveAUTO COMPONENTS1.43385001.59
EquitySky Gold & Diam.CONSUMER DURABLES1.42440001.58
EquitySuprajit Engg.AUTO COMPONENTS1.39357961.56
EquityFiem IndustriesAUTO COMPONENTS1.3670001.52
EquityRainbow Child.HEALTHCARE SERVICES1.33125001.48
EquityBharti AirtelTELECOM - SERVICES1.2675371.41
EquitySJS EnterprisesAUTO COMPONENTS1.2680001.40
EquityLumax IndustriesAUTO COMPONENTS1.2422991.38
EquityAditya AMCCAPITAL MARKETS1.24155001.38
EquityC.E. Info SystemIT - SOFTWARE1.20130001.34
EquityBank of BarodaBANKS1.13395001.27
EquityUnited SpiritsBEVERAGES1.1190001.24
EquityPricol LtdAUTO COMPONENTS1.08200001.20
EquityUno MindaAUTO COMPONENTS0.9590001.06
EquityCanara RobecoCAPITAL MARKETS0.95425001.06
EquityAlivus LifePHARMACEUTICALS & BIOTECHNOLOGY0.89109921.00
EquityTCSIT - SOFTWARE0.8837250.98
EquityPower Fin.Corpn.FINANCE0.74200000.82
EquityNarayana HrudayaHEALTHCARE SERVICES0.7345000.82
EquityAditya Birla CapFINANCE0.68225000.77
EquityInfosysIT - SOFTWARE0.6555630.72
EquityGNG ElectronicsCONSUMER DURABLES0.58170000.65
Equity360 ONECAPITAL MARKETS0.5455000.60
EquityKewal Kir.Cloth.TEXTILES & APPARELS0.54120000.60
EquityBank of MahaBANKS0.53800000.59
EquityAshok LeylandAGRICULTURAL, COMMERCIAL & CONSTRUCTION VEHICLES0.52275000.58
EquityInterglobe AviatTRANSPORT SERVICES0.5111820.57
EquityREC LtdFINANCE0.51165000.57
EquityGulf Oil Lubric.PETROLEUM PRODUCTS0.4950000.55
EquityCams ServicesCAPITAL MARKETS0.4575000.50
EquityKPIT Technologi.IT - SOFTWARE0.4565000.50
EquityAction Const.Eq.AGRICULTURAL, COMMERCIAL & CONSTRUCTION VEHICLES0.4355000.48
EquityP I IndustriesFERTILIZERS & AGROCHEMICALS0.4215000.46
EquityDhanuka AgritechFERTILIZERS & AGROCHEMICALS0.4145000.45
EquityUnion Bank (I)BANKS0.37205000.41
EquitySamvardh. Mothe.AUTO COMPONENTS0.30248710.33
EquityLarsen & ToubroCONSTRUCTION0.277000.29
EquityAstralINDUSTRIAL PRODUCTS0.2617460.29
EquityTata MotorsAUTOMOBILES0.1840000.20
EquityNippon Life Ind.CAPITAL MARKETS0.1720000.18
EquitySupreme Inds.INDUSTRIAL PRODUCTS0.154370.17
EquityJubilant Food.LEISURE SERVICES0.0715410.08

Invest wise with Expert advice

By continuing, I accept the T&C and agree to receive communication on Whatsapp

Karvy Customer: For activating your account click here.

MY WEALTH AT RETIREMENT

Calculate the worth of your wealth at retirement

Key information

Fund House:
Navi Mutual Fund
Incorporation Date:
09-Apr-2009
Total Assets Managed (Cr.):
8,958.67
Trustee/s:
Navi Trustee Limited
Chairman:
NA
CEO / MD:
Aditya Venkatesh Mulki
CIO:
NA
President:
NA
Director/s:
NA
Compliance Officer/s:
NA
Investor Service Officer/s:
Mr.Tushar Chandel
Fund Manager/s:
Ashutosh Shirwaikar
Auditors:
M/s Varma & Varma

OTHER INFORMATION

Registered Office:
Vaishnavi Tech Square, 7th Floor, Iballur Village, Begur Hobli, Bengaluru, Karnataka 560102
Contact Nos:
+91 8147544555
Fax:
NA
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