Mirae Asset Dividend Fund - Regular Plan - Growth yearly return performance
Mirae Asset Dividend Fund - Regular Plan - Growth ka performance kaafi consistent raha hai. Is fund ne pichle 1 saal mein 6.04% return diya hai, jabki 3 saal ke liye ye return 6.83% hai. 5 saal ka return bhi 6.03% raha hai. Ye returns Nifty Dividend Opportunities 50 TRI benchmark ke comparison mein kaafi achhe hain.
Investors ko ye dekhna chahiye ki ye fund kaise market volatility ko handle karta hai. Gaurav Khandelwal, jo ki is fund ke fund manager hain, unka 3.5 saal ka experience is fund ki performance mein positive impact daal raha hai. Unka investment strategy hamesha long-term pe focused raha hai.
Fund ki consistency dikhata hai ki ye market ke fluctuations se bachne ki koshish karta hai, jisse ki investors ko stable returns mil sake. Lekin, ye baat dhyaan rahe ki market conditions ke hisaab se ye returns fluctuate kar sakte hain.
⚠️ Disclaimer: Educational only. Mutual funds are subject to market risks. Past performance does not guarantee future returns. Consult your SEBI-registered advisor.
Mirae Asset Dividend Fund - Regular Plan - Growth top holdings and portfolio allocation
Mirae Asset Dividend Fund - Regular Plan - Growth ki top holdings mein major companies shamil hain. Is fund ki top 5 holdings hain:
1. HDFC Bank Ltd. (5.8%)
2. ICICI Bank Ltd. (5.2%)
3. Larsen & Toubro Ltd. (4.9%)
4. Reliance Industries Ltd. (4.5%)
5. Infosys Ltd. (4.1%)
Ye holdings fund ki strategy ko support karti hain kyunki ye sabhi companies strong dividend history aur growth potential rakhti hain. Sector allocation ki baat karein to, is fund ka major focus financial services aur technology sectors par hai, jo ki aaj kal ki economy mein kaafi important hain.
Fund ka portfolio diversification bhi kaafi achha hai, jo investors ko risk management mein help karta hai. Iska aim hai ki long-term mein stable returns de sakein, jo ki dividend-paying stocks se mil sakta hai.
Mirae Asset Dividend Fund - Regular Plan - Growth risk analysis and volatility
Mirae Asset Dividend Fund - Regular Plan - Growth ka riskometer moderate category mein hai. Iska matlab hai ki is fund ka risk level medium hai aur ye un investors ke liye suitable hai jo thoda risk lena chahte hain par zyada nahi.
Market volatility ka impact is fund par bhi pad sakta hai, lekin iska historical performance dikhata hai ki ye kaafi resilient raha hai. Agar Sharpe ratio ki baat karein to, data not available hai, lekin fund manager ka experience ise stability provide karta hai.
Is fund ka objective long-term capital appreciation aur regular income dena hai, toh ismein invest karte waqt aapko risk tolerance ka dhyaan rakhna chahiye.