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Fund Overview

Fund Size

Fund Size

₹310 Cr

Expense Ratio

Expense Ratio

2.04%

ISIN

ISIN

INF174V01BT8

Minimum SIP

Minimum SIP

₹1,000

Exit Load

Exit Load

No Charges

Inception Date

Inception Date

13 Mar 2024

About this fund

This fund has been in existence for 4 months and 13 days, having been launched on 13-Mar-24.
As of 25-Jul-24, it has a Net Asset Value (NAV) of ₹11.05, Assets Under Management (AUM) of 309.84 Crores, and an expense ratio of 2.04%.
  • Mahindra Manulife Multi Asset Allocation Fund Regular Growth has given a CAGR return of 10.50% since inception.
  • The fund's asset allocation comprises around 44.04% in equities, 30.20% in debts, and 10.35% in cash & cash equivalents.
  • You can start investing in Mahindra Manulife Multi Asset Allocation Fund Regular Growth with a SIP of ₹1000 or a Lumpsum investment of ₹1000.

Performance against Category Average

In this section, we compare the returns of the scheme with the category average over various periods. Periods for which the fund has outperformed its category average are marked in green, otherwise red.

Since Inception

+10.50%

(Cat Avg.)

Portfolio Summaryas of 30th June 2024

Equity136.47 Cr44.04%
Debt93.57 Cr30.20%
Others79.81 Cr25.76%

Top Holdings

All Holdings

Equity

Debt & Others

NameType sortAmount sortHoldings sort
7.18% Govt Stock 2037Bond - Gov't/Treasury30.35 Cr9.24%
ICICI Pru Gold ETFMutual Fund - ETF28.12 Cr8.56%
Triparty RepoCash - Repurchase Agreement26.63 Cr8.11%
Nippon India Silver ETFMutual Fund - ETF23.5 Cr7.16%
7.32% Govt Stock 2030Bond - Gov't/Treasury16.22 Cr4.94%
Kotak Mahindra Investments Limited 8.3721%Bond - Corporate Bond10.07 Cr3.07%
National Bank for Agriculture and Rural Development 7.68%Bond - Gov't Agency Debt10 Cr3.05%
Cholamandalam Investment And Fin. Co. LtdBond - Corporate Bond9.95 Cr3.03%
Brookfield India Real Estate TrustBond - Asset Backed7.55 Cr2.30%
ICICI Bank LtdEquity6.55 Cr1.99%
Net Receivables / (Payables)Cash - Collateral6.33 Cr1.93%
State Bank of IndiaEquity5.6 Cr1.71%
NTPC LtdEquity5.5 Cr1.68%
7.1% Govt Stock 2034Bond - Gov't/Treasury5.03 Cr1.53%
Bharti Telecom LimitedBond - Corporate Bond5 Cr1.52%
Godrej Industries LimitedBond - Corporate Bond5 Cr1.52%
Divi's Laboratories LtdEquity4.6 Cr1.40%
ITC LtdEquity4.36 Cr1.33%
Aditya Vision LtdEquity4.33 Cr1.32%
IndusInd Bank LtdEquity3.9 Cr1.19%
Infosys LtdEquity3.85 Cr1.17%
Coromandel International LtdEquity3.83 Cr1.17%
Tech Mahindra LtdEquity3.66 Cr1.12%
HDFC Bank LtdEquity3.44 Cr1.05%
Emami LtdEquity3.07 Cr0.93%
Hindustan Petroleum Corp LtdEquity2.94 Cr0.90%
Oil India LtdEquity2.91 Cr0.89%
Hindalco Industries LtdEquity2.9 Cr0.88%
Hero MotoCorp LtdEquity2.85 Cr0.87%
Reliance Industries LtdEquity2.74 Cr0.84%
L&T Finance LtdEquity2.74 Cr0.83%
Tata Steel LtdEquity2.71 Cr0.83%
Coal India LtdEquity2.64 Cr0.80%
Tata Consumer Products LtdEquity2.56 Cr0.78%
Kotak Mahindra Bank LtdEquity2.48 Cr0.76%
JK Cement LtdEquity2.45 Cr0.75%
Maruti Suzuki India LtdEquity2.43 Cr0.74%
ISGEC Heavy Engineering LtdEquity2.43 Cr0.74%
Voltas LtdEquity2.38 Cr0.73%
Kirloskar Brothers LtdEquity2.32 Cr0.71%
Grasim Industries LtdEquity2.23 Cr0.68%
Larsen & Toubro LtdEquity2.18 Cr0.66%
Syrma SGS Technology LtdEquity2.1 Cr0.64%
GAIL (India) LtdEquity2.09 Cr0.64%
Triveni Engineering & Industries LtdEquity2.08 Cr0.63%
Indraprastha Gas LtdEquity2.01 Cr0.61%
Persistent Systems LtdEquity1.99 Cr0.61%
SBI Life Insurance Company LimitedEquity1.96 Cr0.60%
Dabur India LtdEquity1.92 Cr0.59%
Nitin Spinners LtdEquity1.9 Cr0.58%
Archean Chemical Industries LtdEquity1.84 Cr0.56%
Shree Cement LtdEquity1.84 Cr0.56%
Wipro LtdEquity1.8 Cr0.55%
Carborundum Universal LtdEquity1.79 Cr0.54%
S.P. Apparels LtdEquity1.77 Cr0.54%
L.G.Balakrishnan & Bros LtdEquity1.69 Cr0.51%
Escorts Kubota LtdEquity1.68 Cr0.51%
Petronet LNG LtdEquity1.65 Cr0.50%
Indus Towers Ltd Ordinary SharesEquity1.64 Cr0.50%
Gujarat State Petronet LtdEquity1.61 Cr0.49%
Bharti Hexacom LtdEquity1.56 Cr0.48%
CESC LtdEquity1.55 Cr0.47%
Ratnamani Metals & Tubes LtdEquity1.55 Cr0.47%
REC LtdEquity1.52 Cr0.46%
LTIMindtree LtdEquity1.51 Cr0.46%
Canara BankEquity1.43 Cr0.44%
Cyient LtdEquity1.43 Cr0.44%
Hindustan Unilever LtdEquity1.38 Cr0.42%
Jyothy Labs LtdEquity1.38 Cr0.42%
INOX India LtdEquity1.34 Cr0.41%

Allocation By Credit Quality (Debt)

AAA

AA

Other Allocation

Equity Sector

Debt & Others

SectorAmount sortHoldings sort
Financial Services29.63 Cr9.02%
Basic Materials19.34 Cr5.89%
Consumer Defensive16.76 Cr5.10%
Industrials15.56 Cr4.74%
Consumer Cyclical14.96 Cr4.56%
Technology14.92 Cr4.54%
Energy12.89 Cr3.92%
Utilities12.76 Cr3.89%
Healthcare4.6 Cr1.40%
Communication Services3.21 Cr0.98%

Risk & Performance Ratios

Standard Deviation

This fund

--

Cat. avg.

--

Lower the better

Sharpe Ratio

This fund

--

Cat. avg.

--

Higher the better

Sortino Ratio

This fund

--

Cat. avg.

--

Higher the better

Fund Managers

RP

Rahul Pal

Since March 2024

RR

Renjith Radhakrishnan

Since March 2024

PP

Pranav Patel

Since March 2024

Additional Scheme Detailsas of 30th June 2024

ISIN
INF174V01BT8
Expense Ratio
2.04%
Exit Load
No Charges
Fund Size
₹310 Cr
Age
13 Mar 2024
Lumpsum Minimum
₹1,000
Fund Status
Open Ended Investment Company
Benchmark
CRISIL Composite Bond TR INR

Investment ObjectiveInvestment Objective

To seek to generate long-term capital growth from an actively managed portfolio primarily of Equity and Equity Related Securities. Scheme shall invest in Indian equities,foreign equities and related instruments and debt securities.

Tax Treatment

Withdrawal within 1 year

Flat 15% tax on realised gains (STCG - short term capital gains)

Withdrawal after 1 year

10% tax on realised gains above Rs. 1 lakh per financial year (LTCG - long term capital gains)

Note: Mutual funds are subject to capital gains taxation with surcharge and cess, based on prevailing income tax rules and investor income. Taxation applies to realised gains, not notional gains. Please consult your tax advisors to determine the implications or consequences of your investments in such securities.

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1Y
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Aditya Birla Sun Life Multi Asset Allocation Fund Direct Growth

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0.4%1.0%₹3404.39 Cr25.2%
Nippon India Multi Asset fund Direct Growth

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0.3%1.0%₹3601.88 Cr32.0%
Nippon India Multi Asset fund Regular Growth

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1.5%1.0%₹3601.88 Cr30.3%
SBI Multi Asset Allocation Fund Regular Growth

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Quant Multi Asset Fund Regular Growth

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UTI Multi Asset Fund Regular Growth

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ICICI Prudential Multi-Asset Fund Regular Growth

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Risk Level

Your principal amount will be at High Risk

High Risk
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The NAV of Mahindra Manulife Multi Asset Allocation Fund Regular Growth, as of 25-Jul-2024, is ₹11.05.
The fund's allocation of assets is distributed as 44.04% in equities, 30.20% in bonds, and 10.35% in cash and cash equivalents.
The fund managers responsible for Mahindra Manulife Multi Asset Allocation Fund Regular Growth are:-
  1. Rahul Pal
  2. Renjith Radhakrishnan
  3. Pranav Patel