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Navi Aggressive Hybrid Fund Regular G

Navi Aggressive Hybrid Fund Regular G

Fund Name

Navi Mutual Fund

Scheme Name

Navi Aggressive Hybrid Fund Regular G

AMC

Navi Mutual Fund

Type

:  Open

Category

Hybrid - Equity Oriented

Launch Date

09-Apr-2018

Fund Manager

Ashutosh Shirwaikar

Net Assets (Rs. cr)

115.62

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Navi Aggressive Hybrid Fund Regular G - Nav Details

Nav Date

:  23-Apr-2025

NAV [Rs.]

:  19.666

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 G- NAV Chart

Navi Aggressive Hybrid Fund Regular G- Performance(%)

Returns above 1 yr. are annualized

1W
1M
3M
6M
1Y
3Y
5Y
Since INC
Scheme Returns
2.3
2.12
1.03
-1.95
8.99
11.68
16.68
10.16
Category Avg
2.74
3.07
2.99
-0.78
9.58
13.29
19.1
12.39
Category Best
4.74
7.15
14.15
7.23
32.86
23.48
33.25
37.37
Category Worst
0.95
1.39
-7.5
-17.73
-9.03
4.22
7.75
-1.11

Navi Aggressive Hybrid Fund Regular G- Latest Dividends

No Records Found

Navi Aggressive Hybrid Fund Regular G- Investment Details

Min. Investment(Rs.)

100

Increm.Investment(Rs.)

100

In & Out

In

InName Of The CompanyNo Of Shares
Uno Minda13,000

Out

InName Of The CompanyNo Of Shares
IndusInd Bank29,000

Fund Holdings

Asset Type
Instrument Name
Industry
Net Assets(%)
No of Shares
Mkt Value(Cr.)
Equity & Equity related Investments
EquityAxis BankBANKS4.25446004.91
EquityRedingtonCOMMERCIAL SERVICES & SUPPLIES4.041921004.66
EquityReliance IndustrPETROLEUM PRODUCTS3.79344004.38
EquityUPLFERTILIZERS & AGROCHEMICALS3.66665004.23
EquityBLS Internat.LEISURE SERVICES3.631052004.19
EquitySansera Enginee.AUTO COMPONENTS3.60342004.16
EquityLumax IndustriesAUTO COMPONENTS3.42156003.95
EquityEMSOTHER UTILITIES3.23605003.74
EquityUsha MartinINDUSTRIAL PRODUCTS3.201098003.70
EquityVarun BeveragesBEVERAGES3.01645003.48
EquityHDFC BankBANKS2.67168683.08
EquityCreditAcc. Gram.FINANCE2.58313002.97
EquityCiplaPHARMACEUTICALS & BIOTECHNOLOGY2.47198002.85
EquityICICI BankBANKS2.45210002.83
EquityZydus Lifesci.PHARMACEUTICALS & BIOTECHNOLOGY2.17282852.50
EquityHind. UnileverDIVERSIFIED FMCG2.11108002.43
EquityTCSIT - SOFTWARE2.0666172.38
EquityM M ForgingsAUTO COMPONENTS2.05699002.36
EquityInfosysIT - SOFTWARE1.98146002.29
EquityFiem IndustriesAUTO COMPONENTS1.97162002.28
EquitySenco GoldCONSUMER DURABLES1.82772002.10
EquityBharti AirtelTELECOM - SERVICES1.81120742.09
EquityInterglobe AviatTRANSPORT SERVICES1.5535001.79
EquityGabriel IndiaAUTO COMPONENTS1.50300001.73
EquityITCDIVERSIFIED FMCG1.38390001.59
EquitySuprajit Engg.AUTO COMPONENTS1.33410001.54
EquityShriram FinanceFINANCE1.22215001.41
EquityAlivus LifePHARMACEUTICALS & BIOTECHNOLOGY1.18126001.36
EquityIndegeneHEALTHCARE SERVICES1.08215001.24
EquityUno MindaAUTO COMPONENTS0.98130001.13
EquityTata ConsumerAGRICULTURAL FOOD & OTHER PRODUCTS0.8092000.92
EquityJio FinancialFINANCE0.64325000.73
EquityAshok LeylandAGRICULTURAL, COMMERCIAL & CONSTRUCTION VEHICLES0.56315000.64
EquityJubilant Food.LEISURE SERVICES0.5697950.65
EquityTips MusicENTERTAINMENT0.4786000.54
EquitySafari Inds.CONSUMER DURABLES0.4124000.47
EquityPDSTEXTILES & APPARELS0.38100000.43
EquityAurobindo PharmaPHARMACEUTICALS & BIOTECHNOLOGY0.2727000.31
EquityZen TechnologiesAEROSPACE & DEFENSE0.2721000.31
EquityUPL PPFERTILIZERS & AGROCHEMICALS0.2668120.29
Debt Investments
Corporate DebtsMuthoot Finance-/-5.025844205.79
Corporate DebtsHDFC Bank-/-2.132500002.46
Corporate DebtsPower Grid Corpn-/-0.78900000.90
Money Market Investments
Certificate of DepositsPunjab Natl.Bank-/-4.295000004.95
Certificate of DepositsBank of Baroda-/-4.275000004.93
Commercial PaperTime Technoplast-/-1.732000001.99
Commercial PaperBajaj Finance-/-1.722000001.99
Cash & Cash Equivalent
Net CA & OthersNet CA & Others-/-3.2503.76

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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.):
7,120.11
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

Invest wise with Expert advice

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

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