Navi Aggressive Hybrid Fund

3 Year Absolute Returns

38.17% ↑

NAV (₹) on 18 Jun 2026

21.51

1 Day NAV Change

0.61%

Risk Level

Very High Risk

Rating

Navi Aggressive Hybrid Fund is a Equity mutual fund categorized under Hybrid, offered by Navi AMC Limited. Launched on 09 Apr 2018, investors can start with a minimum SIP of ₹100 or a lumpsum ... Read more

NAV History

Fund Details

Min. SIP Amount
₹100
Inception Date
09 Apr 2018
Min. Lumpsum Amount
₹ 100
Fund Age
8 Yrs
AUM
₹ 110.80 Cr.
Benchmark
CRISIL Hybrid 35+65 - Aggressive Index
Expense Ratio
2.47%
Scheme Type
Open Ended
Exit Load
Nil%

Returns Calculator

Investment amount per month
₹1,000
Over the past
Would have become
On total investment of
*Calculation based on past performance of this fund.

Asset Allocation

AUM

₹ 110.80 Cr

Equity
365.16%
Debt
44.24%
Money Market & Cash
64.28%
Other Assets & Liabilities
26.32%

Sector Holdings

Sectors Weightage
Finance - Banks - Private Sector 12.71%
Treps/Reverse Repo 10.53%
Commercial Paper 7.62%
Debt 5.86%
Auto Ancl - Others 4.62%
Agro Chemicals/Pesticides 3.33%
Steel - Alloys/Special 3.27%
Trading & Distributors 3.21%
Finance - Mutual Funds 3.13%
Certificate of Deposits 3.12%
Hospitals & Medical Services 2.95%
Gems, Jewellery & Precious Metals 2.81%
IT Consulting & Software 2.75%
Refineries 2.63%
Auto Ancl - Equipment Lamp 2.58%
Auto Ancl - Electrical 2.32%
Microfinance Institutions 2.31%
Finance - Banks - Public Sector 2.29%
Services - Others 1.89%
Finance & Investments 1.83%
Finance - Term Lending Institutions 1.75%
Tours & Travels 1.69%
Auto Ancl - Equipment Others 1.48%
Electric Equipment - Transformers 1.45%
Construction, Contracting & Engineering 1.36%
Non-Alcoholic Beverages 1.28%
Telecom Services 1.24%
Electronics - Equipment/Components 1.23%
Pharmaceuticals 1.05%
Beverages & Distilleries 1.03%
Auto - Construction Vehicles 0.96%
Engines 0.70%
Auto - LCVs/HCVs 0.53%
Electric Equipment - Gensets/Turbines 0.50%
Engineering - General 0.47%
Retail - Apparel/Accessories 0.47%
Airlines 0.47%
Lubricants 0.44%
Plastics - Plastic & Plastic Products 0.14%

Stock Holdings

Name Weightage Value (in Cr.) Sector
TREPS/Reverse Repo/Net Current Assets/Cash/Cash Equivalent 10.53% ₹ 11.66 Others
8.15% GODREJ PROPERTIES LIMITED (03/07/2026) 4.96% ₹ 5.50 Others
AXIS BANK LIMITED 4.52% ₹ 5.01 Finance - Banks - Private Sector
HSBC INVEST DIRECT FINANCIAL SERVICES (08/06/2026) 4.51% ₹ 4.99 Others
USHA MARTIN LTD 3.27% ₹ 3.63 Steel - Alloys/Special
REDINGTON LIMITED 3.21% ₹ 3.56 Trading & Distributors
HDFC BANK LIMITED 3.15% ₹ 3.50 Finance - Banks - Private Sector
HDFC BANK LIMITED (05/08/2026) 3.12% ₹ 3.46 Others
TIME TECHNOPLAST LIMITED (13/08/2026) 3.11% ₹ 3.45 Others
KOTAK MAHINDRA BANK LIMITED 3.02% ₹ 3.35 Finance - Banks - Private Sector
RELIANCE INDUSTRIES LIMITED 2.63% ₹ 2.91 Refineries
CREDITACCESS GRAMEEN LIMITED 2.31% ₹ 2.57 Microfinance Institutions
RAINBOW CHILDRENS MEDICARE LIMITED 2.18% ₹ 2.42 Hospitals & Medical Services
ICICI BANK LIMITED 2.02% ₹ 2.24 Finance - Banks - Private Sector
UPL LIMITED 1.93% ₹ 2.14 Agro Chemicals/Pesticides
INDEGENE LIMITED 1.89% ₹ 2.10 Services - Others
SENCO GOLD LIMITED 1.78% ₹ 1.97 Gems, Jewellery & Precious Metals
BLS INTERNATIONAL SERVICES LIMITED 1.69% ₹ 1.87 Tours & Travels
ASK AUTOMOTIVE LIMITED 1.58% ₹ 1.76 Auto Ancl - Others
PRICOL LIMITED 1.52% ₹ 1.69 Auto Ancl - Others
S.J.S. ENTERPRISES LIMITED EQ 1.52% ₹ 1.68 Auto Ancl - Others
ADITYA BIRLA SUN LIFE MUTUAL FUND 1.49% ₹ 1.65 Finance - Mutual Funds
SUPRAJIT ENGINEERING LTD 1.48% ₹ 1.64 Auto Ancl - Equipment Others
YASH HIGHVOLTAGE LTD 1.45% ₹ 1.61 Electric Equipment - Transformers
CANARA ROBECO MUTUAL FUND 1.44% ₹ 1.60 Finance - Mutual Funds
FIEM INDUSTRIES LTD 1.42% ₹ 1.57 Auto Ancl - Equipment Lamp
BANK OF BARODA 1.41% ₹ 1.56 Finance - Banks - Public Sector
UNO MINDA LIMITED 1.39% ₹ 1.54 Auto Ancl - Electrical
LARSEN & TOUBRO LIMITED 1.36% ₹ 1.51 Construction, Contracting & Engineering
VARUN BEVERAGES LIMITED 1.28% ₹ 1.42 Non-Alcoholic Beverages
BHARTI AIRTEL LIMITED 1.24% ₹ 1.38 Telecom Services
GNG ELECTRONICS LIMITED 1.23% ₹ 1.36 Electronics - Equipment/Components
LUMAX INDUSTRIES LIMITED 1.16% ₹ 1.29 Auto Ancl - Equipment Lamp
ALIVUS LIFE SCIENCES 1.05% ₹ 1.16 Pharmaceuticals
SKY GOLD AND DIAMONDS LIMITED 1.03% ₹ 1.15 Gems, Jewellery & Precious Metals
UNITED SPIRITS LIMITED 1.03% ₹ 1.14 Beverages & Distilleries
DHANUKA AGRITECH LIMITED 1.02% ₹ 1.13 Agro Chemicals/Pesticides
REC LIMITED 0.98% ₹ 1.08 Finance - Term Lending Institutions
ACTION CONSTRUCTION EQUIPMENT LTD 0.96% ₹ 1.06 Auto - Construction Vehicles
C.E. INFO SYSTEMS LIMITED 0.96% ₹ 1.07 IT Consulting & Software
SAMVARDHANA MOTHERSON INTERNATIONAL LTD 0.93% ₹ 1.03 Auto Ancl - Electrical
7.22% NATIONAL HOUSING BANK (23/07/2026) 0.90% ₹ 1 Others
NARAYANA HRUDAYALAYA LIMITED 0.77% ₹ 0.85 Hospitals & Medical Services
POWER FINANCE CORPORATION LIMITED 0.77% ₹ 0.86 Finance - Term Lending Institutions
TATA CONSULTANCY SERVICES LIMITED 0.76% ₹ 0.84 IT Consulting & Software
ADITYA BIRLA CAPITAL LIMITED 0.74% ₹ 0.82 Finance & Investments
KIRLOSKAR OIL ENGINES LTD 0.70% ₹ 0.77 Engines
INFOSYS LIMITED 0.58% ₹ 0.65 IT Consulting & Software
BANK OF MAHARASHTRA 0.57% ₹ 0.63 Finance - Banks - Public Sector
360 ONE WAM LIMITED 0.55% ₹ 0.61 Finance & Investments
COMPUTER AGE MANAGEMENT SERVICES LIMITED 0.54% ₹ 0.59 Finance & Investments
POWERICA LIMITED 0.50% ₹ 0.55 Electric Equipment - Gensets/Turbines
INTERARCH BUILDING SOLUTIONS LIMITED 0.47% ₹ 0.52 Engineering - General
INTERGLOBE AVIATION LIMITED 0.47% ₹ 0.52 Airlines
KEWAL KIRAN CLOTHING LTD 0.47% ₹ 0.52 Retail - Apparel/Accessories
KPIT TECHNOLOGIES LIMITED 0.45% ₹ 0.50 IT Consulting & Software
GULF OIL LUBRICANTS INDIA LIMITED 0.44% ₹ 0.49 Lubricants
ASHOK LEYLAND LIMITED 0.39% ₹ 0.43 Auto - LCVs/HCVs
PI INDUSTRIES LIMITED 0.38% ₹ 0.42 Agro Chemicals/Pesticides
UNION BANK OF INDIA 0.31% ₹ 0.34 Finance - Banks - Public Sector
NIPPON LIFE INDIA ASSET MANAGEMENT LTD 0.20% ₹ 0.22 Finance - Mutual Funds
SUPREME INDUSTRIES LIMITED 0.14% ₹ 0.16 Plastics - Plastic & Plastic Products
TATA MOTORS LIMITED 0.14% ₹ 0.15 Auto - LCVs/HCVs

Returns

Annualised returns
9M 1Y 2Y 3Y
Fund returns 2.34% 6.86% 5.56% 11.38%
Category returns 2.51% 4.76% 9.88% 25.28%

Fund Objective

The investment objective of the scheme is to provide periodic returns and capital appreciation over a long period of time, investing predominantly in equity and equity related instruments.

AMC Details

Name
Navi AMC Limited
Date of Incorporation
04 Dec 2009
CEO
Mr. Aditya Venkatesh Mulki
CIO
Type
Pvt.Sector-Indian
Address
‘AMR Tech Park', Ground Floor, Municipal/KhataNo.826/792/46/23/1/24/1, Hongasandra Village, Hosur Road, Bengaluru, Karnataka, India - 560068
Website
https://www.navimutualfund.com/

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FAQs

What is the current NAV of Navi Aggressive Hybrid Fund Regular Monthly IDCW Reinvestment?

The current Net Asset Value (NAV) of Navi Aggressive Hybrid Fund Regular Monthly IDCW Reinvestment is ₹21.51 as of 18 Jun 2026. NAV represents the per-unit market value of the fund and is updated daily based on the closing prices of the underlying securities.

What is the fund size (AUM) of Navi Aggressive Hybrid Fund Regular Monthly IDCW Reinvestment?

The Assets Under Management (AUM) of Navi Aggressive Hybrid Fund Regular Monthly IDCW Reinvestment is ₹110.80 Crores. AUM indicates the total market value of assets managed by the fund and reflects investor confidence and fund popularity.

What are the historical returns of Navi Aggressive Hybrid Fund Regular Monthly IDCW Reinvestment?

Navi Aggressive Hybrid Fund Regular Monthly IDCW Reinvestment has delivered returns of 6.86% (1 Year), 11.38% (3 Year), 10.76% (5 Year). Past performance does not guarantee future results, and investors should consider their risk appetite before investing.

What is the risk level of Navi Aggressive Hybrid Fund Regular Monthly IDCW Reinvestment?

Navi Aggressive Hybrid Fund Regular Monthly IDCW Reinvestment has a risk rating of 'Very High' as per the SEBI Riskometer. This indicates the fund is suitable for very aggressive investors comfortable with significant market volatility. Investors should align their investment choices with their personal risk tolerance and financial goals.

What is the minimum investment amount for Navi Aggressive Hybrid Fund Regular Monthly IDCW Reinvestment?

The minimum lumpsum investment required for Navi Aggressive Hybrid Fund Regular Monthly IDCW Reinvestment is ₹100. The fund also offers SIP (Systematic Investment Plan) option starting from as low as ₹100, making it accessible for regular investments. This allows investors to start their mutual fund journey with a manageable amount.

Disclaimer: This is 3rd Party content/feed, viewers are requested to use their discretion and conduct proper diligence before investing, GoodReturns does not take any liability on the genuineness and correctness of the information in this article

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