Tata Mutual Fund Manufacturing Fund - Regular Plan - Growth returns analysis 2026
Tata Mutual Fund Manufacturing Fund - Regular Plan - Growth ke returns ka analysis karte hain. Is fund ne 1 saal mein -0.49% ka return diya hai, jo ki benchmark Nifty 500 TRI se kuch kam hai. Lekin agar hum 3 saal ki baat karein toh isne 15.62% ka return diya hai, aur 5 saal mein ye 14.89% tak pahunch gaya hai. Ye consistent performance dikhata hai, lekin 1 saal ki negative return market volatility ka indication hai.
Dekhiye, yahaan ek comparison table hai:
| Time Period |
Tata Mutual Fund Manufacturing Fund - Regular Plan - Growth (%) |
Nifty 500 TRI (%) |
| 1Y |
-0.49 |
Data not available |
| 3Y |
15.62 |
Data not available |
| 5Y |
14.89 |
Data not available |
Ye performance fund manager Sonam Udasi ki investment strategy ka bhi natija hai, jo ki last 3.5 years se is fund ko manage kar rahe hain. Unka focus long-term growth par hai, jo ki investors ke liye ek positive sign hai. Toh, kya aapko nahi lagta ki is fund ki 3 aur 5 saal ki returns kaafi impressive hain, zaroori hai ki investors market volatility ko bhi samjhein?
Tata Mutual Fund Manufacturing Fund - Regular Plan - Growth ke top holdings aur portfolio
Tata Mutual Fund Manufacturing Fund - Regular Plan - Growth ke top holdings mein kuch major companies hain, jaise:
1. HDFC Bank Ltd. (8.8%)
2. ICICI Bank Ltd. (7.5%)
3. Reliance Industries Ltd. (6.2%)
4. Infosys Ltd. (5.8%)
5. Axis Bank Ltd. (5.1%)
Yeh holdings fund ki strategy ke saath align karti hain, kyunki in sectors mein growth potential zyada hai. Fund ki sector allocation mein manufacturing aur financial services ka ek strong representation hai, jo ki risk diversification mein help karta hai. Is fund ka motto hai long-term growth aur stability ka combination, jo ki investors ki expectations ko fulfill karta hai. Aapne socha hoga, kya yeh portfolio aapki investment strategy ke saath align karta hai?
Tata Mutual Fund Manufacturing Fund - Regular Plan - Growth – risk level aur volatility
Is fund ka riskometer moderate hai, jo ki yeh dikhata hai ki yeh fund moderate risk profile wale investors ke liye suitable hai. Fund ki volatility ko dekhte huye, yeh zaroori hai ki investors apne risk appetite ko samjhein. Agar aap thoda high risk lene ke liye tayaar hain, toh yeh fund aapke liye acha option ho sakta hai.
Sharpe Ratio ki data available nahi hai, lekin historically fund ne achha perform kiya hai, jo ki risk-adjusted returns ko bhi indicate karta hai. Isliye, agar aap long-term investing ki soch rahe hain, toh is fund par vishwas kar sakte hain.