Motilal Oswal Asset Allocation Passive FoF - Conservative

Current Fund Size :

N.A.

₹16.61

NAV

12.03% p.a.

Overall Return

-0.33%

1-Day Change

0.03%

Expense Ratio

₹ 60 Cr

AUM (Fund Size)

4+ yrs

Fund Age

Investment Policy

Benchmark

NA

Risk Level

High Risk

Min. Investment

SIP: ₹500 & Lumpsum: ₹1000

Exit Load

1.0%

Lock-in Period

Nil

Capital Gains Tax Rules (Equity)

STCG (Before 1 Year)

LTCG (After 1 Year)

Age of Fund

4 yrs 7 m since Feb 19, 2021

Current Value (Example)

N.A.

Returns Ratio

N/A

Holdings Lists

# Company Name Sector Instrument % of Assets
1 Motilal Oswal Nifty 5 year Benchmark G-Sec ETF - Growth NA Mutual Fund 47.67%
2 ICICI Prudential Gold Exchange Traded Fund NA Mutual Fund 12.76%

Peer Comparison: Returns & Risk Ratios

# Fund Name Annualized Returns Risk Ratios Other Details
1 Year 3 Year 5 Year Std. Deviation Beta Sharpe Ratio Sortino Ratio AUM Fund Age Expense Ratio
1 Motilal Oswal Asset Allocation Passive FoF - Conservative 9.32% 14.96% N.A. 4.85 0.44 1.28 2.30 60 Cr 4 yrs 7 m 0.03%
2 ICICI Prudential Asset Allocator Fund (FOF) 6.08% 15.48% 16.75% 5.20 0.54 1.50 2.23 27,258 Cr 12 yrs 8 m 0.23%
3 Kotak Multi Asset Omni FoF 5.66% 21.07% 20.62% 8.28 0.87 1.37 1.95 1,877 Cr 12 yrs 8 m 0.33%
4 ICICI Prudential Multi Asset Fund 7.31% 21.28% 25.63% 7.05 0.70 1.69 3.01 64,770 Cr 12 yrs 8 m 0.66%
5 SBI Multi Asset Allocation Fund 7.24% 17.62% 15.91% 6.72 0.67 1.35 2.53 9,819 Cr 12 yrs 8 m 0.58%
6 Tata Multi Asset Allocation Fund 5.13% 17.17% 18.8% 7.87 0.84 1.08 1.73 4,048 Cr 5 yrs 7 m 0.4%

Trailing Returns vs. Category Average

# Period Fund Return Category Average
1 1 Month 2.19% 2.44%
2 3 Months 2.65% 1.71%
3 6 Months 9.74% 9.35%
4 1 Year 9.32% 6.41%
5 2 Years 15.99% 17.46%
6 3 Years 14.96% 17.57%
7 4 Years 10.94% 13.63%

Related Funds

# Fund Name AUM Return 1y Return 5y url
1 Motilal Oswal Asset Allocation Passive FoF - Aggressive 95 Cr 7.7% N.A. View Detail
2 Motilal Oswal Balanced Advantage Fund 1,022 Cr -14.69% 9.02% View Detail
3 Motilal Oswal Arbitrage Fund 1,224 Cr N.A. N.A. View Detail

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