What is the current NAV of This fund?
The current NAV of This fund is - as of -. The NAV of a mutual fund reflects the per-unit market value of the fund's holdings and is updated at the end of every trading day.
What is the AUM of This fund?
The AUM (Assets Under Management) of This fund is -. AUM represents the total market value of assets the fund currently manages on behalf of its investors.
What is the expense ratio of This fund?
The expense ratio of This fund is -% per annum. This is the annual fee charged by the fund house to manage your investment. A lower expense ratio means more of your returns stay with you — which is one reason direct plans have a lower expense ratio than regular plans.
Who is the fund manager of This fund?
This fund is managed by -. You can check the full list of fund managers in the "Fund Manager" section above.
What is the benchmark of This fund?
The benchmark of This fund is -. This is the index against which the fund's performance is measured. Consistently beating the benchmark over long periods is a key indicator of a fund manager's skill.
When was This fund launched?
This fund was launched on -. The fund has been in existence for - years. A longer track record gives investors more data to evaluate how the fund has performed across different market cycles.
What is the minimum investment in This fund?
The minimum investment in This fund is - for a lump sum and - per month for a SIP (Systematic Investment Plan). SIPs allow you to invest a fixed amount regularly, making it easier to build wealth over time without needing a large upfront amount.
What is the exit load on This fund?
The exit load on This fund is shown in the Scheme Overview section above. Exit load is charged to discourage early withdrawals and protect long-term investors in the fund.
What category does This fund belong to?
This fund is available in the fund screener, where you can filter by category, risk level and other parameters.