Mirae Asset Aggressive Hybrid Reg-IDCW

Fund Category: Aggressive Hybrid

Fund Category Aggressive Hybrid

Very High Hybrid IDCW

3 Morning Star

3 Value Research

NAV( 16 Mar 2026)

₹ 16.4
-6.4%

Mirae Asset Aggressive Hybrid Reg-IDCW

Invest now

Performance

13.37%3y Returns

0.48% 1D Returns

Investment details

  • Min SIP amount

    ₹ 99
  • Min Lumpsum

    ₹ 5000
  • Lock In

    0
  • Expense ratio

    1.72%
  • Exit load

    1% Exit load for units in excess of 15% of the investment,1% will be charged for redemption within 365 days.
    L After 365 days

Fund details

View Fund Documents
  • Fund size

    ₹ 9,530 Cr
  • Plan

    REGULAR
  • Launch date

    8 Jul 2015
  • Fund type

    OPEN
  • Fund benchmark

    CRISIL Hybrid 35+65 Aggressive Index
  • ISIN

    INF769K01DF3

Fund allocation

Asset allocation

Company holdings
Company Allocation %
Kotak Mahindra Prime Ltd NCD 8.135 10/02/2027 0.26%
GOI Sec 7.23 15/04/2039 0.35%
GOI Sec 7.09 25/11/2074 0.25%
GOI Sec 7.26 06/02/2033 0.1%
GOI Sec 6.90 15/04/2065 0.29%
GOI Sec 7.25 12/06/2063 0.02%
GOI Sec 7.30 19/06/2053 0.16%
GOI Sec 7.34 22/04/2064 0.69%
GOI Sec 6.33 05/05/2035 0.01%
GOI Sec 7.32 13/11/2030 0.49%
Karnataka State SDL 7.59 29/03/2027 0.04%
Telangana State SDL 6.99 10/06/2028 0.11%
Laurus Labs Ltd 1.12%
Indus Towers Ltd 0.56%
Larsen & Toubro Ltd 2.71%
Union Bank of India CD 25/06/2026 0.92%
NTPC Ltd 2.12%
Adani Ports and Special Economic Zone Ltd 0.65%
Small Industries Devp. Bank of India Ltd SR V Bonds 7.51 12/06/2028 0.24%
Export-Import Bank Of India Bonds 8.02 20/04/2026 0.15%
National Bank For Agriculture & Rural Development SR Bonds 7.01 26-D 16/03/2029 0.79%
National Bank For Agriculture & Rural Development SR 25G Bonds 7.48 15/09/2028 0.79%
National Bank For Agriculture & Rural Development SR 25E Bonds 7.53 24/03/2028 0.53%
Export-Import Bank Of India SR AA 03 Bonds 7.12 27/06/2030 0.26%
REC Ltd Bonds 7.35 31/07/2034 0.03%
Muthoot Finance Ltd NCD 8.65 15/03/2027 0.26%
Torrent Pharmaceuticals Ltd SR 2 NCD 7.60 19/01/2029 0.15%
National Housing Bank NCD 7.22 23/07/2026 0.05%
HDB Financial Services Ltd SR 188 NCD 7.84 14/07/2026 0.03%
Muthoot Finance Ltd NCD 7.88 22/11/2028 1.05%
Indian Railway Finance Corporation Ltd SR 175 NCD 7.57 18/04/2029 0.23%
Jio Credit Ltd SR III Bonds/NCD 7.05 13/10/2027 0.52%
Piramal Finance Pvt. Ltd Bonds/NCD 8.75 29/10/2027 0.53%
Small Industries Devp. Bank of India Ltd SR II Bonds/NCD 7.47 05/09/2029 0.25%
Karnataka State SDL 7.15 01/01/2043 0.13%
Meghalaya State SDL 7.49 21/12/2027 0.27%
Sona BLW Precision Forgings Ltd 0.56%
Krishna Institute Of Medical Sciences Ltd 0.51%
Prince Pipes & Fittings Ltd 0.31%
LG Electronics India Ltd Equity 0.78%
Net Receivables 0.67%
Onesource Specialty Pharma Ltd 0.44%
National Bank For Agriculture & Rural Development SR 24A FRB 7.50 0.1%
Power Finance Corporation Ltd 0.54%
Sagility Ltd 0.47%
Zensar Technologies Ltd 0.39%
Maruti Suzuki India Ltd 0.62%
Varun Beverages Ltd 0.88%
Kotak Mahindra Bank Ltd 0.39%
Crompton Greaves Consumer Electricals Ltd 0.29%
Oil And Natural Gas Corporation Ltd 0.51%
Eternal Ltd 1.28%
Swiggy Ltd 0.29%
Meesho Ltd 0.23%
Go Digit General Insurance Ltd 0.54%
HDFC Asset Management Company Ltd 0.38%
Campus Activewear Ltd 0.13%
Repo 1.68%
International Gemmological Institute (India) Ltd 0.16%
Craftsman Automation Ltd 0.49%
Avenue Supermarts Ltd 0.72%
Gateway Distriparks Ltd 0.25%
Interglobe Aviation Ltd 0.82%
Delhivery Ltd 1.07%
GOI Sec 6.79 07/10/2034 0.9%
GOI Sec 7.26 22/08/2032 0.06%
GOI Sec 7.10 08/04/2034 1.26%
Vishal Mega Mart Ltd 0.46%
SBI Life Insurance Company Ltd 0.87%
State Bank of India 4.89%
Bajaj Finance Ltd 0.88%
L&T Finance Ltd 0.39%
Biocon Ltd 0.51%
Bharat Heavy Electricals Ltd 0.35%
Infosys Ltd 1.84%
Godrej Consumer Products Ltd 0.6%
Sun Pharmaceutical Industries Ltd 0.42%
Mahindra & Mahindra Ltd 1.61%
HDFC Bank Ltd 6.92%
Gujarat State Petronet Ltd 0.79%
Tata Consultancy Services Ltd 1.44%
Titan Company Ltd 0.23%
Bharat Electronics Ltd 0.94%
ICICI Bank Ltd 4.26%
Bajaj Finance Ltd CP 365-D 06/11/2026 0.75%
Mindspace Business Parks REIT SR Debenture 7.1485 15/11/2030 0.1%
ICICI Securities Ltd SR 1 Debenture 7.45 24/11/2028 1.04%
Small Industries Devp. Bank of India Ltd SR II Debenture 6.74 10/01/2029 0.52%
Small Industries Devp. Bank of India Ltd SR II Debenture 7.44 04/09/2026 0.21%
Power Finance Corporation Ltd SR 248A Debenture 7.75 15/04/2026 0.21%
Indostar Capital Finance Ltd SR XXVIII Debenture 8.85 22/05/2028 0.26%
Shriram Finance Ltd 1.66%
Ultratech Cement Ltd 0.51%
TD Power Systems Ltd 0.58%
Aurobindo Pharma Ltd 0.56%
Vedanta Ltd 0.88%
Glenmark Pharmaceuticals Ltd 1.4%
Bharat Petroleum Corporation Ltd 0.53%
Indusind Bank Ltd 0.9%
Hindalco Industries Ltd 0.55%
National Bank For Agriculture & Rural Development SR 24E Debenture 7.80 15/03/2027 0.37%
360 ONE Wealth Ltd SR VIII TR I Debenture 9.66 18/01/2029 0.13%
National Bank For Agriculture & Rural Development SR 26A Debenture 6.66 12/10/2028 0.26%
REC Ltd SR 234-A Debenture 7.70 31/08/2026 0.18%
HDFC Bank Ltd SR AB002 Debenture 7.97 17/02/2033 0.03%
Housing & Urban Development Corporation Ltd SR D Debenture 7.12 26/12/2034 0.24%
Tata Steel Ltd 0.97%
Multi Commodity Exchange Of India Ltd 1.1%
Bharti Airtel Ltd 2.99%
Greenply Industries Ltd 0.62%
Hindustan Unilever Ltd 0.33%
TVS Motor Company Ltd 1.25%
JSW Energy Ltd 0.94%
Atul Ltd 0.49%
Brigade Enterprises Ltd 0.47%
Schaeffler India Ltd 0.63%
Deepak Nitrite Ltd 0.36%
ITC Ltd 1.1%
Tata Motors Passenger Vehicles Ltd 0.55%
Ambuja Cements Ltd 1.32%
ABB India Ltd 0.47%
Axis Bank Ltd 2.84%
Century Plyboards (India) Ltd 0.27%
Divi's Laboratories Ltd 0.54%
Mphasis Ltd 0.68%
Reliance Industries Ltd 2.96%
Mindspace Business Parks REIT SR Debenture 6.9601 08/12/2028 0.55%
National Bank For Agriculture & Rural Development SR 24H Debenture 7.62 10/05/2029 0.25%
TVS Motor Company Ltd Pref. Shares 6.00 01/09/2026 0.01%
Jio Credit Ltd SR 1 Debenture 7.19 15/03/2028 0.26%
Bajaj Housing Finance Ltd Debenture 7.10 16/10/2028 0.52%
Shriram Pistons & Rings Ltd SR II Debenture 7.35 23/02/2028 0.26%
LIC Housing Finance Ltd Bonds/Deb 8.45 22/05/2026 0.05%
REC Ltd SR 236-B Debenture 7.56 31/08/2027 0.25%
LIC Housing Finance Ltd Debenture 7.9265 14/07/2027 0.26%
Northern ARC Capital Ltd Debenture 8.9454 10/03/2027 0.47%
Power Finance Corporation Ltd SR-177 Debenture 7.85 03/04/2028 0.11%
Torrent Pharmaceuticals Ltd SR 1 Debenture 7.45 19/01/2028 1.73%
Kotak Mahindra Investments Ltd Debenture 7.4735 30/10/2028 0.26%
Sectors
Company Allocation %
Others 2.79%
Construction 3.83%
Automobile 5.35%
Consumer Staples 2.91%
Materials 3.03%
Financial 37.78%
Capital Goods 3.91%
Consumer Discretionary 1.59%
Chemicals 0.85%
Services 7.34%
Sovereign 4.58%
Energy 6.91%
Technology 4.35%
Insurance 1.41%
Metals & Mining 2.40%
Healthcare 7.38%
Communication 3.55%

Risk Associated

Very High
  • Investors be aware that principal under this fund will be at Very High risk.
  • This product is suitable for investors who are seeking capital appreciation over long term

Contact Information

Address:

Unit No.606 ,6th flr,Windsor Bldg off. CST Road,Kalina, Santacruz ( E )

About

Mirae Asset Global Investments was founded in Asia and now has a presence in 14 countries, where they take a collaborative approach in managing a fully diversified investment platform. Powered by a unique perspective and the expertise of global investment professionals, they adapt to clients? changing needs and deliver innovative solutions across asset classes. They currently manage $135 billion on behalf of clients, giving the scale and expertise to identify opportunities in an evolving world. Mirae Asset India started its journey in India with establishment of Asset Management business with a seed capital of USD 50 Mn. It is now recognized one of the fast growing AMC in India, actively managing/advising on USD 5.3 Bn AUM.

  • Funds Offered

    19
  • AUM

    ₹ 42,969 Cr
  • Highest Return

    13.37%
About

Mahendra Kumar Jajoo Fund Manager - Role of a fund manager includes buying and selling of securities based on their research and analysis. Check out the mutual fund managers across all the categories for best guidance now

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UTI Aggressive Hybrid Reg-G Canserve

0 Morning Star

5 Value Research

-5.97 %

0 Morning Star

5 Value Research

NAV

390.92

1M Returns

-5.97%

1Y Returns

6.67%

3Y Returns

15.42%

Min. Investment

Rs.500.0

Fund Size

Rs.6663.35 Cr

Fund Manager

V Srivatsa
Very High Hybrid G
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NAV

390.92

Min Investment

₹500.0

Fund Size

₹6663.35 cr

Fund Manager

V Srivatsa
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Aditya Birla SL Equity Hybrid 95 Reg-G

2 Morning Star

3 Value Research

-7.28 %

2 Morning Star

3 Value Research

NAV

1443.47

1M Returns

-7.28%

1Y Returns

5.76%

3Y Returns

12.83%

Min. Investment

Rs.100.0

Fund Size

Rs.7287.14 Cr

Fund Manager

Satyabrata Mohanty
Very High Hybrid G
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NAV

1443.47

Min Investment

₹100.0

Fund Size

₹7287.14 cr

Fund Manager

Satyabrata Mohanty
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SBI Equity Hybrid-G

3 Morning Star

3 Value Research

-5.33 %

3 Morning Star

3 Value Research

NAV

291.08

1M Returns

-5.33%

1Y Returns

8.17%

3Y Returns

14.22%

Min. Investment

Rs.500.0

Fund Size

Rs.82317.65 Cr

Fund Manager

R. Srinivasan
Very High Hybrid G
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NAV

291.08

Min Investment

₹500.0

Fund Size

₹82317.65 cr

Fund Manager

R. Srinivasan
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Franklin India Aggressive Hybrid Reg-G

3 Morning Star

4 Value Research

-6.58 %

3 Morning Star

4 Value Research

NAV

255.19

1M Returns

-6.58%

1Y Returns

3.91%

3Y Returns

13.0%

Min. Investment

Rs.500.0

Fund Size

Rs.2349.87 Cr

Fund Manager

Anand Radhakrishnan
Very High Hybrid G
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NAV

255.19

Min Investment

₹500.0

Fund Size

₹2349.87 cr

Fund Manager

Anand Radhakrishnan
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Motilal Oswal Equity Hybrid Reg-G

2 Morning Star

0 Value Research

-%

2 Morning Star

0 Value Research

NAV

18.23

1M Returns

-%

1Y Returns

-%

3Y Returns

-%

Min. Investment

Rs.500.0

Fund Size

Rs.417.89 Cr

Fund Manager

Siddharth Bothra
Very High Hybrid G
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NAV

18.23

Min Investment

₹500.0

Fund Size

₹417.89 cr

Fund Manager

Siddharth Bothra
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Nippon India Aggressive Hybrid-G

2 Morning Star

4 Value Research

-6.58 %

2 Morning Star

4 Value Research

NAV

100.57

1M Returns

-6.58%

1Y Returns

7.7%

3Y Returns

14.19%

Min. Investment

Rs.100.0

Fund Size

Rs.4063.06 Cr

Fund Manager

Meenakshi Dawar
Very High Hybrid G
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NAV

100.57

Min Investment

₹100.0

Fund Size

₹4063.06 cr

Fund Manager

Meenakshi Dawar
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HDFC Hybrid Equity Reg-G

3 Morning Star

3 Value Research

-6.98 %

3 Morning Star

3 Value Research

NAV

110.66

1M Returns

-6.98%

1Y Returns

3.38%

3Y Returns

9.85%

Min. Investment

Rs.100.0

Fund Size

Rs.23810.7 Cr

Fund Manager

Chirag Setalvad
Very High Hybrid G
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NAV

110.66

Min Investment

₹100.0

Fund Size

₹23810.7 cr

Fund Manager

Chirag Setalvad
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