Mirae Asset Emerging Bluechip Fund Regular Plan Growth Option | Pros & Cons NAV(88.29)

Mirae Asset Emerging Bluechip Fund Regular Plan Growth Option

Equity: Large and Mid Cap

Fund Information

Objective

The investment objective of the scheme is to generate income and capital appreciation from a portfolio primarily investing in Indian equities and equity related securities of large cap and mid cap companies at the time of investment. From time to time, the fund manager may also seek participation in other Indian equity and equity related securities to achieve optimal Portfolio construction.

Very High Risk

Nifty Largemidcap 250

Benchmark

2010-07-09

Launched On

Type

1000

Min SIP

5000

Min Investment

21263

AUM in Crores

1.65

Expense Ratio

1.00

Exit Load

Mirae Asset Investment Managers (India) Pvt. Ltd.

Fund House

Neelesh Surana, Ankit Jain

Fund Managers

Mirae Asset Emerging Bluechip Fund Regular Plan Option Pros & Cons

Pros

  • Mirae Asset Emerging Bluechip Fund Regular Plan Growth Option has over performed index in 2014-2017, 2015-2018, 2016-2019, 2017-2020 years
  • Lower Expense Ratio
  • 3 years avg returns are higher than benchmark
  • Mirae Asset Emerging Bluechip Fund Regular Plan Growth Option is ranking 4th in last 5 years

Cons

  • Assets under Management is 15000, fund might under perform index in the coming years

Average Returns

Fund Name1Y (%)3Y (%)5Y (%)7Y (%)10Y (%)15Y (%)
Mirae Asset Emerging Bluechip Fund Regular Plan Growth Option 
20.2824.8418.3218.0923.26
Nifty Largemidcap 250
20.1921.9315.8813.3715.8412.89

Mirae Asset Emerging Bluechip Fund Regular Plan Option Rolling Returns

Fund Name3 Year (%)5 Year (%)
AverageMaxMinAverageMaxMin
Mirae Asset Emerging Bluechip Fund Regular Plan Growth Option 
22.7748.04-3.223.5435.595.09
Nifty Largemidcap 250
12.4437.59-12.3113.2824.76-1.5

Risk Parameters

Fund NameMeanStdSharpeBetaAlpha
Mirae Asset Emerging Bluechip Fund Regular Plan Growth Option 
25.0121.780.9310.974.84
Nifty Largemidcap 250
20.6522.990.692--
Risk Parameters are calculated for the last 3 years data.

Calender Year Returns

Performance

Best PerformanceWorst Performance
PeriodReturnsPeriodReturns
Week2020-04-03 - 2020-04-10
12.42
2020-03-16 - 2020-03-23
-18.47
Month2020-03-23 - 2020-04-23
23.83
2020-02-24 - 2020-03-24
-34.61
Quarter2020-03-23 - 2020-07-23
47.4
2019-12-04 - 2020-04-04
-29.67
Year2020-03-23 - 2021-03-23
108.82
2019-04-05 - 2020-04-05
-24.71

Portfolio

Stock NameSector% of Total Holdings
ICICI Bank Ltd.Financials6.54
HDFC Bank Ltd.Financials6.11
Infosys Ltd.Technology4.73
Axis Bank Ltd.Financials4.6
State Bank Of IndiaFinancials3.68
Bharti Airtel Ltd.Media and Communications2.86
Tata Consultancy Services Ltd.Technology2.84
Tata Steel Ltd.Metals2.51
JK Cement Ltd.Construction2.46
Voltas Ltd.Consumer Durables2.41
Maruti Suzuki India Ltd.Automobile and Ancillaries2.34
Mphasis Ltd.Technology2.18
Gujarat State Petronet Ltd.Energy2.17
Reliance Industries Ltd.Energy2.14
Max Financial Services Ltd.Financials1.97
Natco Pharma Ltd.Healthcare1.92
Bharat Petroleum Corporation Ltd.Energy1.82
Kansai Nerolac Paints Ltd.Chemicals1.78
SKF India Ltd.Automobile and Ancillaries1.76
Balkrishna Industries Ltd.Automobile and Ancillaries1.75
Torrent Pharmaceuticals Ltd.Healthcare1.72
Ashok Leyland Ltd.Automobile and Ancillaries1.63
Ajanta Pharma Ltd.Healthcare1.62
SBI Life Insurance Company Ltd.Financials1.59
Vinati Organics Ltd.Chemicals1.51
Power Finance Corporation Ltd.Financials1.33
Housing Development Finance Corporation Ltd.Financials1.31
Dabur India Ltd.FMCG1.29
Ipca Laboratories Ltd.Healthcare1.27
Larsen & Toubro Ltd.Infrastructure1.27
Reliance Industries Ltd - Partly Paid up Equity Shares (Rights Entitlements (REs)Energy1.26
Deepak Nitrite Ltd.Chemicals1.24
ITC Ltd.FMCG1.22
UTI Asset Management Company Ltd.Financials1.21
Dr. Reddys Laboratories Ltd.Healthcare1.19
Crompton Greaves Consumer Electricals Ltd.Consumer Durables1.19
Indian Energy Exchange Ltd.Energy1.18
Page Industries Ltd.Textile1.17
Sun Pharmaceutical Industries Ltd.Healthcare1.14
TVS Motor Company Ltd.Automobile and Ancillaries1.14
Tata Motors Ltd.Automobile and Ancillaries1.08
Atul Ltd.Chemicals1.08
SRF Ltd.Diversified1.04
Ceat Ltd.Automobile and Ancillaries1.03
Gateway Distriparks Ltd.Logistics1.03
Havells India Ltd.Capital Goods1.01
Bharat Electronics Ltd.Capital Goods0.98
Kotak Mahindra Bank Ltd.Financials0.95
Fortis Healthcare Ltd.Healthcare0.91
IndusInd Bank Ltd.Financials0.86
Emami Ltd.FMCG0.84
Hindustan Unilever Ltd.FMCG0.83
HDFC Life Insurance Co Ltd.Financials0.75
Bata India Ltd.Retail and Other Services0.62
National Aluminium Company Ltd.Metals0.41
Dr. Lal Pathlabs Ltd.Healthcare0.31
Hindustan Petroleum Corporation Ltd.Energy0.21
Titan Company Ltd.Retail and Other Services0
Cholamandalam Investment & Finance Company Ltd.Financials0
Avenue Supermarts Ltd.Retail and Other Services0
HDFC BankFinancial5.85
ICICI BankFinancial5.71
Axis BankFinancial4.53
InfosysTechnology4.28
State Bank of IndiaFinancial3.73
Bharti AirtelCommunication3.02
VoltasConsumer Durable2.9
MphasisTechnology2.8
JK CementConstruction2.52
Gujarat State PetronetEnergy2.4
Tata Consultancy ServicesTechnology2.37
Reliance Industries Ltd - Partly Paid EquityEnergy2.34
Maruti Suzuki IndiaAutomobile2.21
Tata SteelMetals2.12
Max Financial ServicesFinancial2.01
SKF IndiaEngineering1.94
Sun Pharmaceutical IndustriesHealthcare1.75
Ajanta PharmaHealthcare1.69
SBI Life Insurance CompanyInsurance1.65
Torrent PharmaceuticalsHealthcare1.63
Indian Energy ExchangeServices1.63
Vinati OrganicsChemicals1.62
Natco PharmaHealthcare1.51
Kansai Nerolac PaintsChemicals1.49
HDFC Life InsuranceInsurance1.48
ICICI BankFinancial6.17
HDFC BankFinancial5.78
InfosysTechnology4.58
Axis BankFinancial4.51
State Bank of IndiaFinancial3.81
MphasisTechnology2.87
VoltasConsumer Durable2.82
JK CementConstruction2.71
Tata Consultancy ServicesTechnology2.38
Gujarat State PetronetEnergy2.31
Max Financial ServicesFinancial2.24
Reliance Industries Ltd - Partly Paid EquityEnergy2.23
Maruti Suzuki IndiaAutomobile2.21
Tata SteelMetals2.13
SKF IndiaEngineering2.05
Bharti AirtelCommunication1.99
Indian Energy ExchangeServices1.75
Sun Pharmaceutical IndustriesHealthcare1.74
Larsen & ToubroConstruction1.7
Vinati OrganicsChemicals1.64
Ajanta PharmaHealthcare1.55
Ashok LeylandAutomobile1.54
SBI Life Insurance CompanyInsurance1.52
EmamiFMCG1.49
Torrent PharmaceuticalsHealthcare1.49

AUM Yearly

YearScheme Total AumCategory Total Aum
202116601.990.00
202014302.170.00
20199516.4856920.19

Mirae Asset Emerging Bluechip Fund Regular Plan Option Details

Mirae Asset Emerging Bluechip Fund Regular Plan Growth Option is a mutual fund scheme launched by Mirae Asset Investment Managers (India) Pvt. Ltd..This fund has been launched on 2010-07-09. Mirae Asset Emerging Bluechip Fund Regular Plan Growth Option currently has 21263 crores of assets under management (AUM) and has an expense ratio of 1.65 which is higher than what most other Large Cap funds charge.


Mirae Asset Emerging Bluechip Fund Regular Plan Growth Option has given returns of 20.28% in the last 1 year and 24.84% in the last 3 years. And since launch the fund has given 20.51% returns.


This fund invests in companies which are fundamentally strong and having growth potential.


Min sip to invest in this fund is Rs.1000 and lumpsum investment is Rs.5000.

The top holdings of the fund are ICICI Bank Ltd. , HDFC Bank Ltd. , Infosys Ltd. , Axis Bank Ltd. , State Bank Of India

Frquently Asked Questions

1. What is the NAV of Mirae Asset Emerging Bluechip Fund Regular Plan Option?

The current Net Asset Value (NAV) of the Mirae Asset Emerging Bluechip Fund Regular Plan Option is 88.29

2. Mirae Asset Emerging Bluechip Fund Regular Plan Option Rolling Returns

The 3 year rolling returns of the Mirae Asset Emerging Bluechip Fund Regular Plan Option:

  • Mean : 22.77%
  • Max : 48.04%
  • Min : -3.2%

3. How do I invest in Mirae Asset Emerging Bluechip Fund Regular Plan Option?

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Mirae Asset Emerging Bluechip Fund Regular Plan Growth Option



Investment Duration 3 years

Disclaimer

Please note that these calculators are for illustrations only and do not represent actual returns. Mutual Funds do not have a fixed rate of return and it is not possible to predict the rate of return.