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Summary Info
Fund Name Mirae Asset Mutual Fund
Scheme Name Mirae Asset Small Cap Fund - Direct (G)
AMC Mirae Asset Mutual Fund
Type Open
Category Equity - Diversified
Launch Date 10-Jan-25
Fund Manager Varun Goel
Net Assets ()Cr 2,729.09
NAV Graph
  One Month   Three Month   Six Month   One Year   Three Year   Five Year   Since INC
Latest Payouts
Dividends Bonus
Ratio NA NA
Date NA NA
Performance(%)
1 Week[%] 1 Month[%] 3 Month[%] 6 Month[%] 1 Year[%] 3 Year[%] 5 Year[%] Since INC[%]
Scheme Return -0.73 -0.66 4.29 9.56 - - - 18.55
Category Avg -0.24 0.03 4.06 5.67 4.08 18.30 20.50 15.12
Category Best 0.84 3.10 11.83 19.26 24.20 32.10 33.36 43.55
Category Worst -3.61 -5.88 -5.36 -4.69 -16.93 1.41 7.85 -18.93
Holdings
Company Name No of Shares Market Value Hold %
Karur Vysya Bank 3,497,312 85.04 3.12
Chola Financial 424,802 81.25 2.98
Godawari Power 2,336,551 66.30 2.43
Welspun Corp 685,843 66.24 2.43
Motherson Wiring 11,419,988 53.91 1.98
Narayana Hrudaya 305,851 53.75 1.97
Navin Fluo.Intl. 94,279 53.62 1.96
Can Fin Homes 607,816 52.75 1.93
Multi Comm. Exc. 56,882 52.58 1.93
Dr Lal Pathlabs 164,919 51.71 1.89
K P R Mill Ltd 472,756 50.56 1.85
Triveni Turbine 937,330 50.18 1.84
Cams Services 126,201 49.74 1.82
Kirloskar Oil 497,104 49.71 1.82
Safari Inds. 231,554 49.43 1.81
DCB Bank 3,115,981 49.22 1.80
Sagility 9,044,239 47.52 1.74
OneSource Speci. 254,195 47.13 1.73
Krishna Institu. 646,355 46.61 1.71
Timken India 145,141 45.63 1.67
Zensar Tech. 538,119 42.92 1.57
Cartrade Tech 141,366 42.69 1.56
eClerx Services 87,457 41.35 1.52
Cera Sanitary. 65,891 41.03 1.50
Atul 70,218 40.46 1.48
J K Cements 64,305 39.96 1.46
Neuland Labs. 23,778 39.17 1.44
Wendt India 45,191 39.06 1.43
Bharat Electron 893,547 38.07 1.40
Bharti Airtel 184,284 37.86 1.39
Brigade Enterpr. 359,411 37.30 1.37
Canara HSBC 3,159,416 36.76 1.35
Mankind Pharma 145,551 34.70 1.27
Saatvik Green 651,087 34.15 1.25
GE Vernova T&D 112,088 34.05 1.25
Sobha 207,250 33.55 1.23
M & M 92,666 32.31 1.18
GNG Electronics 958,167 32.09 1.18
Gabriel India 250,601 31.92 1.17
CARE Ratings 194,288 31.18 1.14
CG Power & Ind 421,487 31.05 1.14
C D S L 195,000 30.95 1.13
TVS Motor Co. 87,551 30.72 1.13
Sai Life 333,300 30.60 1.12
Bata India 285,057 30.52 1.12
Cohance Life 392,547 29.57 1.08
Britannia Inds. 48,000 28.02 1.03
SBI 288,333 27.02 0.99
Transport Corp. 223,160 26.79 0.98
Bluestone Jewel 361,688 25.61 0.94
Axis Bank 200,000 24.66 0.90
Jyothy Labs 748,124 23.53 0.86
Havells India 155,000 23.16 0.85
Westlife Food 388,847 23.07 0.85
Power Fin.Corpn. 567,940 22.90 0.84
Shriram Finance 300,417 22.50 0.82
Canara Robeco 698,742 22.14 0.81
J B Chemicals & 130,744 22.00 0.81
Century Plyboard 277,454 20.93 0.77
Fine Organic 44,692 19.83 0.73
Vesuvius India 391,840 19.33 0.71
Equitas Sma. Fin 3,324,014 18.94 0.69
Reliance Industr 118,577 17.63 0.65
KFin Technolog. 155,352 17.06 0.63
Bajaj Finance 158,610 16.54 0.61
Eternal Ltd 510,659 16.23 0.59
Praj Industries 472,123 15.94 0.58
CMS Info Systems 356,059 13.22 0.48
ITC Hotels 550,401 11.94 0.44
Anthem Bioscienc 159,582 11.33 0.42
Leela Palaces Ho 258,680 11.22 0.41
Crompton Gr. Con 370,000 10.46 0.38
Orient Electric 476,399 9.95 0.36
L&T Finance Ltd 325,700 8.81 0.32
Neogen Chemicals 47,268 6.82 0.25
LG Electronics 7,486 1.25 0.05
Aditya Infotech 8,209 1.08 0.04
TREPS 0 162.62 5.96
Net CA & Others 0 -22.64 -0.83
TVS Motor Co. 350,204 0.35 0.01
Mirae 100 ETF 4,800,000 22.04 0.81