Mirae Asset Aggressive Hybrid Fund – Direct (IDCW)

₹ 500
Min SIP
₹ 5,000
Min Lumpsum
0.37 %
Expense Ratio
Rating
8,545
Fund Size (in Cr)
9 Years
Fund Age
Mutual Fund SIP Calculator
Monthly Investment
Max: ₹1,00,000
Investment Period
Yrs
Max: 5 yrs
  • Invested Amount
    --
  • Wealth Gained
    --
  • Expected Amount
    --

Scheme Performance

Returns and Ranks ( as on 17 May 2024 )
1Y1Y 3Y3Y 5Y5Y MaxMax
Trailing Returns 24.3% 15.7% 16.2% 14.1%
Category Average 21.6% 15.7% 15.7% -

Scheme Allocation

By Holding
By Sector
By Asset
6.08%
4.79%
3.21%
Others
78.25%
View all Holdings
Holdings Sector Instrument Asset
HDFC Bank Banks Equity 6.08%
ICICI Bank Banks Equity 4.79%
Reliance Industr Refineries Equity 3.93%
St Bk of India Banks Equity 3.75%
Infosys IT - Software Equity 3.21%
Larsen & Toubro Infrastructure Developers & Operators Equity 2.52%
Axis Bank Banks Equity 2.5%
NTPC Power Generation & Distribution Equity 2.48%
Bharti Airtel Telecomm-Service Equity 1.95%
ITC Tobacco Products Equity 1.63%
Aurobindo Pharma Pharmaceuticals Equity 1.54%
Bharat Electron Aerospace & Defence Equity 1.53%
Tata Motors Automobile Equity 1.51%
TCS IT - Software Equity 1.45%
Ambuja Cements Cement Equity 1.28%
Shriram Finance Finance Equity 1.25%
Zomato Ltd E-Commerce/App based Aggregator Equity 1.08%
Balkrishna Inds Tyres Equity 1.05%
Samvardh. Mothe. Auto Ancillaries Equity 1.04%
Glenmark Pharma. Pharmaceuticals Equity 1.02%
Tata Steel Steel Equity 1%
Havells India Consumer Durables Equity 0.99%
Kotak Mah. Bank Banks Equity 0.99%
Craftsman Auto Auto Ancillaries Equity 0.96%
Godrej Consumer FMCG Equity 0.92%
Hindalco Inds. Non Ferrous Metals Equity 0.91%
Hind. Unilever FMCG Equity 0.88%
Delhivery Logistics Equity 0.85%
Guj.St.Petronet Gas Distribution Equity 0.83%
Interglobe Aviat Air Transport Service Equity 0.83%
Greenply Industr Plywood Boards/Laminates Equity 0.81%
LIC Housing Fin. Finance Equity 0.77%
Prince Pipes Plastic products Equity 0.71%
SBI Life Insuran Insurance Equity 0.68%
Coal India Mining & Mineral products Equity 0.65%
TD Power Systems Capital Goods - Electrical Equipment Equity 0.65%
TVS Motor Co. Automobile Equity 0.64%
Dabur India FMCG Equity 0.62%
Kajaria Ceramics Ceramic Products Equity 0.58%
Torrent Pharma. Pharmaceuticals Equity 0.57%
IndusInd Bank Banks Equity 0.56%
Titan Company Diamond, Gems and Jewellery Equity 0.55%
Mphasis IT - Software Equity 0.54%
Fusion Microfin. Finance Equity 0.54%
Crompton Gr. Con Consumer Durables Equity 0.53%
Electronics Mart Retail Equity 0.52%
Krishna Institu. Healthcare Equity 0.52%
Maruti Suzuki Automobile Equity 0.52%
Vinati Organics Chemicals Equity 0.52%
Page Industries Readymade Garments/ Apparells Equity 0.51%
Gateway Distri Logistics Equity 0.5%
Max Financial Finance Equity 0.5%
Federal Bank Banks Equity 0.47%
Dalmia BharatLtd Cement Equity 0.45%
Brigade Enterpr. Realty Equity 0.44%
Syngene Intl. Pharmaceuticals Equity 0.43%
LTIMindtree IT - Software Equity 0.43%
Sona BLW Precis. Auto Ancillaries Equity 0.41%
O N G C Crude Oil & Natural Gas Equity 0.4%
Eicher Motors Automobile Equity 0.36%
UltraTech Cem. Cement Equity 0.33%
Tatva Chintan Chemicals Equity 0.33%
Cipla Pharmaceuticals Equity 0.33%
Westlife Food Quick Service Restaurant Equity 0.32%
Go Fashion (I) Textiles Equity 0.28%
B P C L Refineries Equity 0.26%
Avalon Tech Consumer Durables Equity 0.25%
Yatra Online E-Commerce/App based Aggregator Equity 0.24%
Sun Pharma.Inds. Pharmaceuticals Equity 0.23%
Bajaj Finance Finance Equity 0.22%
Chola Financial Finance Equity 0.2%
HCL Technologies IT - Software Equity 0.18%
One 97 E-Commerce/App based Aggregator Equity 0.09%
Bharti Hexacom Telecomm-Service Equity 0.08%
Debt
26.03%
Banks
19.48%
IT-Software
6.81%
Petroleum Products
4.36%
Automobiles
3.71%
Others
39.61%
View all Sectors
Sectors Asset
Debt 26.03%
Banks 19.48%
IT-Software 6.81%
Petroleum Products 4.36%
Automobiles 3.71%
Consumer Durables 3.5%
Pharmaceuticals & Biotech 2.9%
Diversified FMCG 2.74%
Finance 2.63%
Construction 2.6%
Power 2.49%
Auto Components 2.36%
Transport Services 2.13%
Cement & Cement Products 1.84%
Telecom-Services 1.82%
Retailing 1.67%
Personal Products 1.43%
Insurance 1.36%
Aerospace & Defense 1.31%
Gas 1.19%
Ferrous Metals 1.04%
Chemicals & Petrochemical 0.87%
Electrical Equipments 0.75%
Industrial Products 0.65%
Consumable Fuels 0.61%
Healthcare Services 0.59%
Leisure Services 0.56%
Non-Ferrous Metals 0.54%
Realty 0.44%
Cash & Others 0.38%
Textiles & Apparels 0.36%
Financial Technology (Fin 0.09%
Equity
74.46%
Corporate Debentures
11.34%
Govt Securities / Sovereign
6.77%
Reverse Repos
4.21%
Commercial Paper
0.87%
Others
2.35%
View all Assets
Assets Asset
Equity 74.46%
Corporate Debentures 11.34%
Govt Securities / Sovereign 6.77%
Reverse Repos 4.21%
Commercial Paper 0.87%
Certificate of Deposit 0.85%
REITs 0.74%
Debt & Others 0.65%
Net Curr Ass/Net Receivables 0.11%

Advance Ratio

3.01
Alpha
2.68
SD
0.68
Beta
0.86
Sharpe

Exit Load

Exit Load 15% of the units allotted (including Switch-in/STP - in on or before completion of 365 days from the date of allotment of units: Nil. 1.00% - If redeemed within 1 year (365 days) from the date of allotment. Nil - If redeemed after 1 Year (365 days) from the date of allotment.

Fund Objective

The investment objective of the Scheme is to generate capital appreciation along with current income from a combined portfolio of predominantly investing in equity & equity related instruments and balance in debt and money market instruments. The Scheme does not guarantee or assure any returns.

Fund Managers

Harshad Borawake

Risk-O-Meter

Peer Comparison

Fund Name

AMC Contact Details

Mirae Asset Mutual Fund
AUM:
1,64,467 Cr
Address:
Unit 606,6th Flr,Windsor Off. CST Road,Kalina, Santacruz(E),Mumbai-400098
Contact:
022-67800300
Email ID:
customercare@miraeasset.com

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Frequently Asked Questions

How to invest in Mirae Asset Aggressive Hybrid Fund – Direct (IDCW) ?

You can invest in Mirae Asset Aggressive Hybrid Fund – Direct (IDCW) in a quick and simple process. Follow the below steps;
  • Login to your 5paisa account, Go to the Mutual Funds section.
  • Search for Mirae Asset Aggressive Hybrid Fund – Direct (IDCW) in the search box.
  • Click on "Start SIP" if you wish to do a SIP or click on “One-time” if you wish to invest a lumpsum amount then click on "Invest Now"

What is the NAV of Mirae Asset Aggressive Hybrid Fund – Direct (IDCW) ?

The NAV of Mirae Asset Aggressive Hybrid Fund – Direct (IDCW) is ₹19.9 as of 17 May 2024.

How to redeem Mirae Asset Aggressive Hybrid Fund – Direct (IDCW) holding ?

You can go to your holding on the app and click on the fund name you will get two options Invest More and Redeem; click on redeem and enter the amount or units you desire to redeem or you can tick on “Redeem all units”.

What is the minimum sip amount of Mirae Asset Aggressive Hybrid Fund – Direct (IDCW)?

The minimum SIP amount of Mirae Asset Aggressive Hybrid Fund – Direct (IDCW) is ₹500

What are the top sectors Mirae Asset Aggressive Hybrid Fund – Direct (IDCW) has invested in?

The top sectors Mirae Asset Aggressive Hybrid Fund – Direct (IDCW) has invested in are
  1. Debt - 26.03%
  2. Banks - 19.48%
  3. IT-Software - 6.81%
  4. Petroleum Products - 4.36%
  5. Automobiles - 3.71%

Can I make investments in both the SIP and Lump Sum schemes of Mirae Asset Aggressive Hybrid Fund – Direct (IDCW)?

Yes, You can select both SIP or Lumpsum investment of Mirae Asset Aggressive Hybrid Fund – Direct (IDCW) based on your investment objective and risk tolerance.

How much returns have Mirae Asset Aggressive Hybrid Fund – Direct (IDCW) generated ?

The Mirae Asset Aggressive Hybrid Fund – Direct (IDCW) has delivered 14.1% since inception

What is the expense ratio of Mirae Asset Aggressive Hybrid Fund – Direct (IDCW) ?

The expense ratio of Mirae Asset Aggressive Hybrid Fund – Direct (IDCW) is 0.37 % as of 17 May 2024.

What is the AUM of Mirae Asset Aggressive Hybrid Fund – Direct (IDCW)?

The AUM of Mirae Asset Aggressive Hybrid Fund – Direct (IDCW) is ₹1,64,467 Cr as of 17 May 2024

What are the top stock holdings of Mirae Asset Aggressive Hybrid Fund – Direct (IDCW)?

The top stock holdings of Mirae Asset Aggressive Hybrid Fund – Direct (IDCW) are
  1. HDFC Bank - 6.08%
  2. ICICI Bank - 4.79%
  3. Reliance Industr - 3.93%
  4. St Bk of India - 3.75%
  5. Infosys - 3.21%

How can I redeem my investments in Mirae Asset Aggressive Hybrid Fund – Direct (IDCW)?

Step 1: Visit the fund house's website
Step 2: Log in to your account by adding Folio No. and M-Pin
Step 3: Click on Widhrawal > Redemption
Step 4: Select Mirae Asset Aggressive Hybrid Fund – Direct (IDCW) in Scheme, enter the redemption amount, and click on submit button.
Invest Now