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Fund Overview

Fund Size

Fund Size

₹447 Cr

Expense Ratio

Expense Ratio

0.56%

ISIN

ISIN

INF767K01RZ5

Minimum SIP

Minimum SIP

₹500

Exit Load

Exit Load

1.00%

Inception Date

Inception Date

14 Feb 2025

About this fund

This fund has been in existence for 1 months and 14 days, having been launched on 14-Feb-25.
As of 27-Mar-25, it has a Net Asset Value (NAV) of ₹10.51, Assets Under Management (AUM) of 446.83 Crores, and an expense ratio of 0.56%.
  • LIC MF Multi Asset Allocation Fund Regular Growth has given a CAGR return of 5.08% since inception.
  • The fund's asset allocation comprises around 47.13% in equities, 5.66% in debts, and 34.71% in cash & cash equivalents.
  • You can start investing in LIC MF Multi Asset Allocation Fund Regular Growth with a SIP of ₹500 or a Lumpsum investment of ₹5000.

Performance against Category Average

In this section, we compare the returns of the scheme with the category average over various periods. Periods for which the fund has outperformed its category average are marked in green, otherwise red.

Since Inception

+5.08%

(Cat Avg.)

Portfolio Summaryas of 28th February 2025

Equity210.58 Cr47.13%
Debt25.3 Cr5.66%
Others210.94 Cr47.21%

Top Holdings

All Holdings

Equity

Debt & Others

NameType sortAmount sortHoldings sort
TrepsCash - Repurchase Agreement164.43 Cr36.80%
LIC MF Gold ETFMutual Fund - ETF46.52 Cr10.41%
Power Finance Corp Ltd. 7.38%Bond - Corporate Bond15.01 Cr3.36%
Kotak Mahindra Bank LtdEquity11.68 Cr2.61%
7.18% Govt Stock 2037Bond - Gov't/Treasury10.29 Cr2.30%
Net Receivables / (Payables)Cash-9.91 Cr2.22%
Aditya BSL Silver ETFMutual Fund - ETF9.91 Cr2.22%
Blue Star LtdEquity9.05 Cr2.03%
HDFC Bank LtdEquity8.73 Cr1.95%
Reliance Industries LtdEquity8.63 Cr1.93%
Power Finance Corp LtdEquity8.25 Cr1.85%
Axis Bank LtdEquity8.17 Cr1.83%
Larsen & Toubro LtdEquity7.87 Cr1.76%
REC LtdEquity7.82 Cr1.75%
State Bank of IndiaEquity7.64 Cr1.71%
Hero MotoCorp LtdEquity7.56 Cr1.69%
Varun Beverages LtdEquity7.41 Cr1.66%
Coal India LtdEquity6.78 Cr1.52%
SBI Cards and Payment Services Ltd Ordinary SharesEquity6.78 Cr1.52%
Bajaj Finserv LtdEquity6.71 Cr1.50%
Tata Power Co LtdEquity6.63 Cr1.48%
Bharat Electronics LtdEquity6.6 Cr1.48%
Infosys LtdEquity6.31 Cr1.41%
Tata Consultancy Services LtdEquity6.3 Cr1.41%
PI Industries LtdEquity6.2 Cr1.39%
Mahanagar Gas LtdEquity6.08 Cr1.36%
Deepak Nitrite LtdEquity5.81 Cr1.30%
Cipla LtdEquity5.77 Cr1.29%
Apollo Hospitals Enterprise LtdEquity5.71 Cr1.28%
Maruti Suzuki India LtdEquity5.6 Cr1.25%
Navin Fluorine International LtdEquity5.6 Cr1.25%
KEC International LtdEquity5.53 Cr1.24%
Bajaj Finance LtdEquity4.04 Cr0.90%
Grasim Industries LtdEquity3.83 Cr0.86%
Sun Pharmaceuticals Industries LtdEquity3.76 Cr0.84%
Piramal Pharma LtdEquity3.69 Cr0.83%
UltraTech Cement LtdEquity2.2 Cr0.49%
Allied Blenders and Distillers LtdEquity2.02 Cr0.45%
CESC LtdEquity2.02 Cr0.45%
Nippon Life India Asset Management Ltd Ordinary SharesEquity1.95 Cr0.44%
MOIL LtdEquity1.88 Cr0.42%

Allocation By Market Cap (Equity)

Large Cap Stocks

33.19%

Mid Cap Stocks

7.94%

Small Cap Stocks

6.00%

Allocation By Credit Quality (Debt)

AAA

Other Allocation

Equity Sector

Debt & Others

SectorAmount sortHoldings sort
Financial Services71.78 Cr16.06%
Industrials29.06 Cr6.50%
Basic Materials25.51 Cr5.71%
Healthcare18.93 Cr4.24%
Energy15.41 Cr3.45%
Utilities14.72 Cr3.30%
Consumer Cyclical13.16 Cr2.94%
Technology12.6 Cr2.82%
Consumer Defensive9.42 Cr2.11%

Risk & Performance Ratios

Standard Deviation

This fund

--

Cat. avg.

--

Lower the better

Sharpe Ratio

This fund

--

Cat. avg.

--

Higher the better

Sortino Ratio

This fund

--

Cat. avg.

--

Higher the better

Fund Managers

SB

Sumit Bhatnagar

Since February 2025

Nikhil Rungta

Nikhil Rungta

Since February 2025

PS

Pratik Shroff

Since February 2025

Additional Scheme Detailsas of 28th February 2025

ISIN
INF767K01RZ5
Expense Ratio
0.56%
Exit Load
1.00%
Fund Size
₹447 Cr
Age
1 month
Lumpsum Minimum
₹5,000
Fund Status
Open Ended Investment Company
Benchmark
Domestic Price of Gold

Investment ObjectiveInvestment Objective

To seek to generate long-term capital growth from an actively managed portfolio primarily of Equity and Equity Related Securities. Scheme shall invest in Indian equities,foreign equities and related instruments and debt securities.

Tax Treatment

iconCapital Gains Taxation:

iconDividend Taxation:

info icon

Note: As per the Income Tax Budget 2024, mutual funds are subject to capital gains taxation, which includes surcharge and cess based on prevailing income tax rules and the investor’s income. Taxation applies only to realised gains, not notional gains. Please consult your tax advisors to determine the implications or consequences of your investments in such securities.

Similar Multi Asset Allocation Funds

Fund nameExpense RatioExit LoadFund size
1Y
Aditya Birla Sun Life Multi Asset Allocation Fund Regular Growth

Very High Risk

1.9%1.0%₹3586.59 Cr13.0%
Aditya Birla Sun Life Multi Asset Allocation Fund Direct Growth

Very High Risk

0.6%1.0%₹3586.59 Cr14.6%
Nippon India Multi Asset fund Direct Growth

Very High Risk

0.3%1.0%₹4949.80 Cr13.2%
Nippon India Multi Asset fund Regular Growth

Very High Risk

1.5%1.0%₹4949.80 Cr11.8%
SBI Multi Asset Allocation Fund Regular Growth

High Risk

1.4%1.0%₹7350.73 Cr11.0%
Quant Multi Asset Fund Regular Growth

High Risk

1.9%1.0%₹3004.32 Cr8.2%
UTI Multi Asset Fund Regular Growth

High Risk

1.8%1.0%₹4978.81 Cr9.4%
ICICI Prudential Multi-Asset Fund Regular Growth

High Risk

1.4%1.0%₹52257.08 Cr13.8%
HDFC Multi - Asset Fund Regular Growth

High Risk

1.9%1.0%₹3837.22 Cr10.4%
Motilal Oswal Multi Asset Fund Direct Growth

High Risk

0.9%1.0%₹90.45 Cr-7.0%

Risk Level

Your principal amount will be at High Risk

High Risk

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The NAV of LIC MF Multi Asset Allocation Fund Regular Growth, as of 27-Mar-2025, is ₹10.51.
The fund's allocation of assets is distributed as 47.13% in equities, 5.66% in bonds, and 34.71% in cash and cash equivalents.
The fund managers responsible for LIC MF Multi Asset Allocation Fund Regular Growth are:-
  1. Sumit Bhatnagar
  2. Nikhil Rungta
  3. Pratik Shroff

Fund Overview

Fund Size

Fund Size

₹447 Cr

Expense Ratio

Expense Ratio

0.56%

ISIN

ISIN

INF767K01RZ5

Minimum SIP

Minimum SIP

₹500

Exit Load

Exit Load

1.00%

Inception Date

Inception Date

14 Feb 2025

Risk Level

Your principal amount will be at High Risk

High Risk

About this fund

This fund has been in existence for 1 months and 14 days, having been launched on 14-Feb-25.
As of 27-Mar-25, it has a Net Asset Value (NAV) of ₹10.51, Assets Under Management (AUM) of 446.83 Crores, and an expense ratio of 0.56%.
  • LIC MF Multi Asset Allocation Fund Regular Growth has given a CAGR return of 5.08% since inception.
  • The fund's asset allocation comprises around 47.13% in equities, 5.66% in debts, and 34.71% in cash & cash equivalents.
  • You can start investing in LIC MF Multi Asset Allocation Fund Regular Growth with a SIP of ₹500 or a Lumpsum investment of ₹5000.

Performance against Category Average

In this section, we compare the returns of the scheme with the category average over various periods. Periods for which the fund has outperformed its category average are marked in green, otherwise red.

Since Inception

+5.08%

(Cat Avg.)

Portfolio Summaryas of 28th February 2025

Equity210.58 Cr47.13%
Debt25.3 Cr5.66%
Others210.94 Cr47.21%

Top Holdings

All Holdings

Equity

Debt & Others

NameType sortAmount sortHoldings sort
TrepsCash - Repurchase Agreement164.43 Cr36.80%
LIC MF Gold ETFMutual Fund - ETF46.52 Cr10.41%
Power Finance Corp Ltd. 7.38%Bond - Corporate Bond15.01 Cr3.36%
Kotak Mahindra Bank LtdEquity11.68 Cr2.61%
7.18% Govt Stock 2037Bond - Gov't/Treasury10.29 Cr2.30%
Net Receivables / (Payables)Cash-9.91 Cr2.22%
Aditya BSL Silver ETFMutual Fund - ETF9.91 Cr2.22%
Blue Star LtdEquity9.05 Cr2.03%
HDFC Bank LtdEquity8.73 Cr1.95%
Reliance Industries LtdEquity8.63 Cr1.93%
Power Finance Corp LtdEquity8.25 Cr1.85%
Axis Bank LtdEquity8.17 Cr1.83%
Larsen & Toubro LtdEquity7.87 Cr1.76%
REC LtdEquity7.82 Cr1.75%
State Bank of IndiaEquity7.64 Cr1.71%
Hero MotoCorp LtdEquity7.56 Cr1.69%
Varun Beverages LtdEquity7.41 Cr1.66%
Coal India LtdEquity6.78 Cr1.52%
SBI Cards and Payment Services Ltd Ordinary SharesEquity6.78 Cr1.52%
Bajaj Finserv LtdEquity6.71 Cr1.50%
Tata Power Co LtdEquity6.63 Cr1.48%
Bharat Electronics LtdEquity6.6 Cr1.48%
Infosys LtdEquity6.31 Cr1.41%
Tata Consultancy Services LtdEquity6.3 Cr1.41%
PI Industries LtdEquity6.2 Cr1.39%
Mahanagar Gas LtdEquity6.08 Cr1.36%
Deepak Nitrite LtdEquity5.81 Cr1.30%
Cipla LtdEquity5.77 Cr1.29%
Apollo Hospitals Enterprise LtdEquity5.71 Cr1.28%
Maruti Suzuki India LtdEquity5.6 Cr1.25%
Navin Fluorine International LtdEquity5.6 Cr1.25%
KEC International LtdEquity5.53 Cr1.24%
Bajaj Finance LtdEquity4.04 Cr0.90%
Grasim Industries LtdEquity3.83 Cr0.86%
Sun Pharmaceuticals Industries LtdEquity3.76 Cr0.84%
Piramal Pharma LtdEquity3.69 Cr0.83%
UltraTech Cement LtdEquity2.2 Cr0.49%
Allied Blenders and Distillers LtdEquity2.02 Cr0.45%
CESC LtdEquity2.02 Cr0.45%
Nippon Life India Asset Management Ltd Ordinary SharesEquity1.95 Cr0.44%
MOIL LtdEquity1.88 Cr0.42%

Allocation By Market Cap (Equity)

Large Cap Stocks

33.19%

Mid Cap Stocks

7.94%

Small Cap Stocks

6.00%

Allocation By Credit Quality (Debt)

AAA

Other Allocation

Equity Sector

Debt & Others

SectorAmount sortHoldings sort
Financial Services71.78 Cr16.06%
Industrials29.06 Cr6.50%
Basic Materials25.51 Cr5.71%
Healthcare18.93 Cr4.24%
Energy15.41 Cr3.45%
Utilities14.72 Cr3.30%
Consumer Cyclical13.16 Cr2.94%
Technology12.6 Cr2.82%
Consumer Defensive9.42 Cr2.11%

Risk & Performance Ratios

Standard Deviation

This fund

--

Cat. avg.

--

Lower the better

Sharpe Ratio

This fund

--

Cat. avg.

--

Higher the better

Sortino Ratio

This fund

--

Cat. avg.

--

Higher the better

Fund Managers

SB

Sumit Bhatnagar

Since February 2025

Nikhil Rungta

Nikhil Rungta

Since February 2025

PS

Pratik Shroff

Since February 2025

Additional Scheme Detailsas of 28th February 2025

ISIN
INF767K01RZ5
Expense Ratio
0.56%
Exit Load
1.00%
Fund Size
₹447 Cr
Age
1 month
Lumpsum Minimum
₹5,000
Fund Status
Open Ended Investment Company
Benchmark
Domestic Price of Gold

Investment ObjectiveInvestment Objective

To seek to generate long-term capital growth from an actively managed portfolio primarily of Equity and Equity Related Securities. Scheme shall invest in Indian equities,foreign equities and related instruments and debt securities.

Tax Treatment

iconCapital Gains Taxation:

iconDividend Taxation:

info icon

Note: As per the Income Tax Budget 2024, mutual funds are subject to capital gains taxation, which includes surcharge and cess based on prevailing income tax rules and the investor’s income. Taxation applies only to realised gains, not notional gains. Please consult your tax advisors to determine the implications or consequences of your investments in such securities.

Similar Multi Asset Allocation Funds

Fund nameExpense RatioExit LoadFund size
1Y
Aditya Birla Sun Life Multi Asset Allocation Fund Regular Growth

Very High Risk

1.9%1.0%₹3586.59 Cr13.0%
Aditya Birla Sun Life Multi Asset Allocation Fund Direct Growth

Very High Risk

0.6%1.0%₹3586.59 Cr14.6%
Nippon India Multi Asset fund Direct Growth

Very High Risk

0.3%1.0%₹4949.80 Cr13.2%
Nippon India Multi Asset fund Regular Growth

Very High Risk

1.5%1.0%₹4949.80 Cr11.8%
SBI Multi Asset Allocation Fund Regular Growth

High Risk

1.4%1.0%₹7350.73 Cr11.0%
Quant Multi Asset Fund Regular Growth

High Risk

1.9%1.0%₹3004.32 Cr8.2%
UTI Multi Asset Fund Regular Growth

High Risk

1.8%1.0%₹4978.81 Cr9.4%
ICICI Prudential Multi-Asset Fund Regular Growth

High Risk

1.4%1.0%₹52257.08 Cr13.8%
HDFC Multi - Asset Fund Regular Growth

High Risk

1.9%1.0%₹3837.22 Cr10.4%
Motilal Oswal Multi Asset Fund Direct Growth

High Risk

0.9%1.0%₹90.45 Cr-7.0%

Still got questions?
We're here to help.

The NAV of LIC MF Multi Asset Allocation Fund Regular Growth, as of 27-Mar-2025, is ₹10.51.
The fund's allocation of assets is distributed as 47.13% in equities, 5.66% in bonds, and 34.71% in cash and cash equivalents.
The fund managers responsible for LIC MF Multi Asset Allocation Fund Regular Growth are:-
  1. Sumit Bhatnagar
  2. Nikhil Rungta
  3. Pratik Shroff
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