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Summary Info
Fund Name Tata Mutual Fund
Scheme Name Tata Aggressive Hybrid Fund - Regular (IDCW)
AMC Tata Mutual Fund
Type Open
Category Hybrid - Equity Oriented
Launch Date 30-Aug-95
Fund Manager Satish Chandra Mishra
Net Assets ()Cr 3,864.65
NAV Graph
  One Month   Three Month   Six Month   One Year   Three Year   Five Year   Since INC
Latest Payouts
Dividends Bonus
Ratio 105.80000.0000 0.0
Date 12-Mar-26 0.0
Performance(%)
1 Week[%] 1 Month[%] 3 Month[%] 6 Month[%] 1 Year[%] 3 Year[%] 5 Year[%] Since INC[%]
Scheme Return -2.24 -1.62 -6.68 -6.78 -2.56 3.03 5.07 13.52
Category Avg -1.23 -0.03 -3.91 -2.98 3.15 12.12 11.37 11.11
Category Best 0.69 6.32 4.62 7.89 25.33 24.97 26.47 33.05
Category Worst -2.54 -2.29 -11.46 -12.22 -8.56 3.01 3.28 -1.83
Holdings
Company Name No of Shares Market Value Hold %
Bharti Airtel 1,050,000 198.11 5.13
ICICI Bank 1,533,400 193.73 5.01
Larsen & Toubro 400,000 160.56 4.15
SBI 1,200,000 128.21 3.32
Reliance Industr 800,000 114.46 2.96
UltraTech Cem. 86,000 99.64 2.58
Infosys 827,132 97.75 2.53
Kotak Mah. Bank 2,500,000 95.83 2.48
TCS 387,500 95.86 2.48
HDFC Bank 1,200,000 92.60 2.40
Varun Beverages 1,695,375 87.09 2.25
RBL Bank 2,500,000 84.14 2.18
M & M 260,000 80.54 2.08
Bank of Baroda 3,000,000 79.04 2.05
ITC 2,500,000 78.73 2.04
Axis Bank 600,000 76.10 1.97
Torrent Pharma. 176,100 73.70 1.91
P I Industries 223,500 68.27 1.77
Patanjali Foods 1,328,400 61.03 1.58
Hind. Unilever 270,000 60.77 1.57
Adani Energy Sol 436,475 58.59 1.52
ICICI AMC 175,000 57.58 1.49
Adani Ports 300,000 49.72 1.29
JSW Cement 4,000,000 48.99 1.27
Tata Comm 300,000 47.42 1.23
Bajaj Finserv 250,000 43.68 1.13
Health.Global 756,979 43.34 1.12
IDFC First Bank 6,200,000 43.18 1.12
Samvardh. Mothe. 3,500,000 42.42 1.10
Tega Inds. 250,752 41.71 1.08
Arvind Fashions. 910,000 40.33 1.04
Maruti Suzuki 30,000 39.94 1.03
Hero Motocorp 70,000 35.69 0.92
Dabur India 700,000 30.91 0.80
HDFC Life Insur. 500,000 29.35 0.76
PNC Infratech 1,328,660 28.42 0.74
TruAlt Bioenergy 564,510 27.80 0.72
Greenpanel Inds. 1,200,000 27.47 0.71
Vedanta 1,000,000 27.16 0.70
Epack Durable 940,000 26.26 0.68
Vedanta Aluminiu 1,000,000 12.10 0.31
Vedanta Iron & S 1,000,000 12.10 0.31
Talwandi Sabo 1,000,000 12.10 0.31
MALCO Energy 1,000,000 12.10 0.31
Cholaman.Inv.&Fn 5,000 50.42 1.30
LIC Housing Fin. 425 43.44 1.12
GMR Airports 3,500 36.38 0.94
Godrej Propert. 2,500 25.03 0.65
Can Fin Homes 2,500 25.03 0.65
Adani Power 2,500 24.77 0.64
Jio Credit 2,500 24.37 0.63
HDFC Ergo Gener 500 4.97 0.13
ICICI Home Fin 500 5.02 0.13
NHPC Ltd 250 4.95 0.13
I R F C 40 3.90 0.10
Maharashtra 2037 9,000,000 83.62 2.16
Maharashtra 2037 5,000,000 46.42 1.20
GSEC2033 3,750,000 37.90 0.98
Gujarat 2031 3,500,000 35.44 0.92
GSEC2027 3,500,000 35.53 0.92
GSEC2030 2,500,000 25.50 0.66
GSEC2030 2,500,000 25.59 0.66
GSEC2035 6.48 2,500,000 24.07 0.62
GSEC2054 2,500,000 23.54 0.61
GSEC2074 2,500,000 23.09 0.60
GSEC2031 1,921,400 19.36 0.50
Gujarat 2027 1,000,000 10.19 0.26
Maharashtra 2037 999,600 9.78 0.25
Maharashtra 2036 756,900 7.49 0.19
TAMIL NADU 2034 500,000 4.94 0.13
Gsec2039 500,300 4.87 0.13
GSEC2032 500,000 5.07 0.13
GSEC2052 500,000 4.89 0.13
Uttar Pradesh 2034 449,800 4.48 0.12
Maharashtra 2035 300,000 2.99 0.08
Maharashtra 2036 300,000 3.00 0.08
Tamil Nadu 2034 235,600 2.33 0.06
UTTAR PRADESH 2027 200,000 2.04 0.05
West Bengal 2044 164,800 1.59 0.04
MAHARASHTRA 2035 76,900 0.74 0.02
GSEC2063 88,300 0.83 0.02
GSEC2040 73,000 0.79 0.02
GSEC2045 89,600 0.95 0.02
GSEC2034 31,600 0.30 0.01
GSEC2029 29,200 0.30 0.01
MAHARASHTRA 2027 13,000 0.13 0.00
GSEC2033 2,000 0.02 0.00
Reverse Repo 0 130.74 3.38
Sansar Trust 500,000,000 41.39 1.07
Shivshakti Securitisation Trust 25 24.53 0.63
Net CA & Others 0 52.13 1.36
Tata Corporate Bond Fund - Dir (G) 42,248,314 55.33 1.43
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