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Manumangalanubhai Manumangalangaldas Securities Pvt. Ltd. Member: BSE - NSE - CDSL

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Mirae Asset Midcap Fund - Direct (G)

Summary
Fund NameMirae Asset Mutual Fund
Scheme NameMirae Asset Midcap Fund - Direct (G)
AMCMirae Asset Mutual Fund
Type Open
CategoryEquity - Diversified
Launch Date08-Jul-2019
Fund ManagerAnkit Jain
Net Assets(Rs. cr)19,542.56
NAV Graph
Latest Payouts
Dividends Bonus
Performance
1 Week (%) 1 Month (%) 3 Month (%) 6 Month (%) 1 Year (%) 3 Year (%) 5 Year (%) Since INC (%)
Scheme Return 0.76 2.10 5.43 10.03 15.11 18.53 16.98 23.58
Category Avg 1.62 2.47 4.51 6.51 8.81 15.14 13.76 14.01
Category Best 4.97 9.27 16.28 31.30 32.81 42.05 24.54 43.27
Category Worst -4.27 -3.43 -6.32 -9.05 -12.76 -2.14 2.06 -10.79
Asset Allocation
Holdings
Company Name % Hold
Laurus Labs 3.67
Lupin 3.42
IndusInd Bank 3.20
Tata Comm 3.08
Bharat Forge 3.00
Hero Motocorp 2.93
HDB FINANC SER 2.86
Federal Bank 2.85
Delhivery 2.83
FSN E-Commerce 2.81
PB Fintech. 2.81
S A I L 2.79
B H E L 2.69
Dalmia BharatLtd 2.48
Prestige Estates 2.38
Swiggy 2.26
Gland Pharma 2.15
Dixon Technolog. 2.09
Multi Comm. Exc. 2.08
Persistent Syste 1.99
Narayana Hrudaya 1.95
L&T Finance Ltd 1.93
One 97 1.81
Max Financial 1.68
Aditya Birla Cap 1.62
Go Digit General 1.57
Container Corpn. 1.55
CEAT 1.52
P I Industries 1.51
Lenskart Solut. 1.50
SRF 1.47
BSE 1.40
3M India 1.38
Tata Power Co. 1.32
Gujarat Fluoroch 1.27
SKF India Indus. 1.18
Axis Bank 1.16
Billionbrains 1.13
Mankind Pharma 1.02
Phoenix Mills 1.00
Oil India 0.99
Gujarat Energy 0.99
Apollo Hospitals 0.98
Vedanta Aluminiu 0.98
Bata India 0.96
Oracle Fin.Serv. 0.94
H P C L 0.85
Century Plyboard 0.83
Voltas 0.73
Team Lease Serv. 0.67
Wakefit Innovati 0.66
Hind.Aeronautics 0.63
Schaeffler India 0.57
HDFC AMC 0.55
SKF India 0.54
Lodha Developers 0.53
Polycab India 0.50
Jyothy Labs 0.46
Crompton Gr. Con 0.42
Pine Labs 0.37
Prince Pipes 0.32
Campus Activewe. 0.29
Ola Electric 0.26
AU Small Finance 0.05
TREPS 1.10
Net CA & Others 0.27
Mirae Asset Liquid Fund - Direct (G) 0.19
Mirae Asset Money Market Fund - Direct (G) 0.06
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