TATA Index Fund Nifty (Equity, Large Cap)

Moderately High
17 yrs 2 monthsStarted on:25 Feb 2003
₹ 24.46 Cras on: 09 Apr 2020
Long Term Horizon
0.45%
Capital Appreciation

Minimum Investment

  • ₹ 5000.00 for Lumpsum

Investment Objective

The scheme aims to provide medium to long term capital gains, by investing in equity shares of only those companies comprised in the Nifty 50 Index and in the same proportion as that of the index, regardless of their investment merit.

Exit Load

Current load structure(w.e.f.18/09/2014): NIL, Exit Load: 0.25% if redeemed on or before 7 days from the date of Allotment. The Entry/Exit load for investment will be as applicable as on the date of allotment / date of registration in case of SIP and STP.

Scheme Documents

Similar Funds
Axis Bluechip Fund
Current NAV 27.11
Return (CAGR) 10.20%
Value Research
Mirae Asset India Equity Fund
Current NAV 41.3
Return (CAGR) 12.52%
Value Research
Motilal Oswal Focused 25 Fund
Current NAV 19.85
Return (CAGR) 10.43%
Value Research
ICICI Pru Bluechip Fund
Current NAV 33.93
Return (CAGR) 10.82%
Value Research
TATA Index Fund Sensex
Current NAV 77.45
Return (CAGR) 13.72%
Value Research
Kotak Bluechip Fund
Current NAV 192.36
Return (CAGR) 16.53%
Value Research
UTI Mastershare Fund
Current NAV 101.72
Return (CAGR) 16.48%
Value Research
IDFC Large Cap Fund
Current NAV 27.18
Return (CAGR) 7.49%
Value Research
SBI Nifty Index Fund
Current NAV 78
Return (CAGR) 11.92%
Value Research
Aditya Birla SL Index Fund
Current NAV 89.82
Return (CAGR) 13.31%
Value Research
HDFC Top 100 Fund
Current NAV 362.63
Return (CAGR) 17.53%
Value Research
Nippon India large cap fund
Current NAV 25.51
Return (CAGR) 7.66%
Value Research

Tenure

TenureReturns (CAGR)
3 YR0.40

SIP Returns

TenureReturns (CAGR)
10 YR4.65

Portfolio

Company Name% Assets
HDFC Bank Ltd.11
Reliance Industries Ltd.9.32
Housing Development Finance Corpn. Ltd.8.11
ICICI Bank Ltd.6.89
Infosys Ltd.5.77
Kotak Mahindra Bank Ltd.4.7
Tata Consultancy Services Ltd.4.51
ITC Ltd.3.71
Hindustan Unilever Ltd.3.33
Axis Bank Ltd.3.33

Top Sectoral Holdings

Sector Name% Assets
Financial41.75
Energy14.26
Technology13.25
FMCG8.97
Automobile5.14
Construction4.73
Communication2.91
Chemicals2.32
Healthcare2.08
Metals2.07

Indicators

LabelValue
Portfolio turnover ratio47.9
Standard Deviation18.49%
Beta0.98%

Sonam Udasi

Mr. Udasi is a B.Com and also holds PGDM(Finance).
Prior to joining Tata AMC he was associated with ASK Raymond James (Jun 2005-Jan 2006) as Lead Analyst (Reporting to Head Research), JM Financial AMC (Feb 2006-June 2007) as Senior Analyst (Reporting to CIO), Prime Securities (Aug 2007-Oct 2008) as Head Research (Reporting to President), BRICS Securities (Nov 2008-Apr 2010) as Consumer Vertical (Reporting to Head Equities) and IDBI Capital Market Services Ltd (Jun 2010-March 2014) as Head Research (Reporting to Executive VP).

Other Funds Managed by Sonam Udasi