| Motilal Oswal Asset Allocation Passive Fund Of Fund - Aggressive Datagrid | ||||||
|---|---|---|---|---|---|---|
| Category | FoF Domestic | |||||
| BMSMONEY | Rank | N/A | ||||
| Rating | N/A | |||||
| Growth Option 04-12-2025 | ||||||
| NAV | ₹18.98(R) | -0.24% | ₹19.46(D) | -0.24% | ||
| Returns | 1Y | 3Y | 5Y | 7Y | 10Y | |
| Lumpsum | Regular | 13.07% | 16.63% | -% | -% | -% |
| Direct | 13.6% | 17.22% | -% | -% | -% | |
| Nifty 500 TRI | 3.82% | 15.22% | 17.88% | 15.87% | 14.96% | |
| SIP (XIRR) | Regular | 20.65% | 17.98% | -% | -% | -% |
| Direct | 21.23% | 18.55% | -% | -% | -% | |
| Ratio | Sharpe Ratio | Sortino Ratio | Sterling Ratio | Jensen's Alpha | Treynor Ratio | |
| 1.53 | 0.86 | 1.13 | 8.36% | 0.21 | ||
| Risk | STD. Dev | VaR 1Y95% | Max DD | Beta | Semi Devi. | |
| 7.24% | -6.99% | -5.37% | 0.53 | 5.24% | ||
| Fund AUM | As on: 30/06/2025 | 0 Cr | ||||
No data available
NAV Date: 04-12-2025
| Scheme Name | NAV | Rupee Change | Percent Change |
|---|---|---|---|
| Motilal Oswal Asset Allocation FOF- A- Regular Growth | 18.98 |
-0.0500
|
-0.2400%
|
| Motilal Oswal Asset Allocation FOF- A- Direct Growth | 19.46 |
-0.0500
|
-0.2400%
|
Review Date: 04-12-2025
Investors beware: Mutual Fund investments are subject to market risks. Please read the scheme related documents carefully.
Data Source: www.amfiindia.com
| KPIs* | Fund | Nifty 500 TRI | Cat. Avg | Min | Max | Rank (In Cat.) | Performance |
|---|---|---|---|---|---|---|
| 1M Return % | 1.45 | 0.33 |
3.78
|
-3.93 | 19.55 | 26 | 64 | Good |
| 3M Return % | 6.05 | 4.18 |
11.19
|
-1.82 | 41.16 | 28 | 64 | Good |
| 6M Return % | 9.67 | 4.72 |
18.27
|
-5.19 | 71.10 | 25 | 64 | Good |
| 1Y Return % | 13.07 | 3.82 |
27.50
|
-15.57 | 90.87 | 25 | 64 | Good |
| 3Y Return % | 16.63 | 15.22 |
20.13
|
7.02 | 62.73 | 27 | 57 | Good |
| 1Y SIP Return % | 20.65 |
38.29
|
-11.80 | 139.33 | 25 | 62 | Good | |
| 3Y SIP Return % | 17.98 |
22.59
|
7.01 | 52.01 | 24 | 55 | Good | |
| Standard Deviation | 7.24 |
10.57
|
0.89 | 34.89 | 25 | 70 | Good | |
| Semi Deviation | 5.24 |
7.35
|
0.62 | 20.54 | 25 | 70 | Good | |
| Max Drawdown % | -5.37 |
-9.03
|
-25.57 | 0.00 | 30 | 70 | Good | |
| VaR 1 Y % | -6.99 |
-10.49
|
-31.45 | 0.00 | 26 | 70 | Good | |
| Average Drawdown % | -2.90 |
-4.15
|
-14.25 | 0.00 | 23 | 70 | Good | |
| Sharpe Ratio | 1.53 |
1.28
|
0.51 | 2.54 | 24 | 70 | Good | |
| Sterling Ratio | 1.13 |
1.09
|
0.41 | 3.04 | 23 | 70 | Good | |
| Sortino Ratio | 0.86 |
0.76
|
0.24 | 2.12 | 22 | 70 | Good | |
| Jensen Alpha % | 8.36 |
13.98
|
-3.54 | 62.61 | 28 | 70 | Good | |
| Treynor Ratio | 0.21 |
-0.05
|
-1.73 | 2.56 | 22 | 70 | Good | |
| Modigliani Square Measure % | 31.21 |
31.22
|
12.87 | 102.19 | 32 | 70 | Good | |
| Alpha % | 2.72 |
4.85
|
-7.22 | 59.70 | 28 | 70 | Good |
| KPIs* | Fund | Nifty 500 TRI | Cat. Avg | Min | Max | Rank (In Cat.) | Performance |
|---|---|---|---|---|---|---|
| 1M Return % | 1.48 | 0.33 | 3.81 | -3.90 | 19.60 | 26 | 64 | Good |
| 3M Return % | 6.16 | 4.18 | 11.31 | -1.70 | 41.28 | 28 | 64 | Good |
| 6M Return % | 9.95 | 4.72 | 18.52 | -4.96 | 71.40 | 25 | 64 | Good |
| 1Y Return % | 13.60 | 3.82 | 28.05 | -15.21 | 91.56 | 25 | 64 | Good |
| 3Y Return % | 17.22 | 15.22 | 20.67 | 7.15 | 63.34 | 27 | 57 | Good |
| 1Y SIP Return % | 21.23 | 38.88 | -11.37 | 140.13 | 25 | 62 | Good | |
| 3Y SIP Return % | 18.55 | 23.12 | 7.36 | 52.48 | 25 | 55 | Good | |
| Standard Deviation | 7.24 | 10.57 | 0.89 | 34.89 | 25 | 70 | Good | |
| Semi Deviation | 5.24 | 7.35 | 0.62 | 20.54 | 25 | 70 | Good | |
| Max Drawdown % | -5.37 | -9.03 | -25.57 | 0.00 | 30 | 70 | Good | |
| VaR 1 Y % | -6.99 | -10.49 | -31.45 | 0.00 | 26 | 70 | Good | |
| Average Drawdown % | -2.90 | -4.15 | -14.25 | 0.00 | 23 | 70 | Good | |
| Sharpe Ratio | 1.53 | 1.28 | 0.51 | 2.54 | 24 | 70 | Good | |
| Sterling Ratio | 1.13 | 1.09 | 0.41 | 3.04 | 23 | 70 | Good | |
| Sortino Ratio | 0.86 | 0.76 | 0.24 | 2.12 | 22 | 70 | Good | |
| Jensen Alpha % | 8.36 | 13.98 | -3.54 | 62.61 | 28 | 70 | Good | |
| Treynor Ratio | 0.21 | -0.05 | -1.73 | 2.56 | 22 | 70 | Good | |
| Modigliani Square Measure % | 31.21 | 31.22 | 12.87 | 102.19 | 32 | 70 | Good | |
| Alpha % | 2.72 | 4.85 | -7.22 | 59.70 | 28 | 70 | Good |
Disclaimer: Past performance may or may not be sustained in future and should not be used as a basis for comparison with other investments. Returns for periods above 1 year are annualised.
| Date | Motilal Oswal Asset Allocation Passive Fund Of Fund - Aggressive NAV Regular Growth | Motilal Oswal Asset Allocation Passive Fund Of Fund - Aggressive NAV Direct Growth |
|---|---|---|
| 04-12-2025 | 18.9783 | 19.4566 |
| 03-12-2025 | 18.9564 | 19.4339 |
| 02-12-2025 | 19.0236 | 19.5026 |
| 01-12-2025 | 19.0339 | 19.5129 |
| 28-11-2025 | 19.0185 | 19.4964 |
| 27-11-2025 | 18.9844 | 19.4612 |
| 26-11-2025 | 18.9829 | 19.4595 |
| 25-11-2025 | 18.8196 | 19.2918 |
| 24-11-2025 | 18.7441 | 19.2142 |
| 21-11-2025 | 18.7528 | 19.2224 |
| 20-11-2025 | 18.7643 | 19.234 |
| 19-11-2025 | 18.7999 | 19.2702 |
| 18-11-2025 | 18.7355 | 19.204 |
| 17-11-2025 | 18.8299 | 19.3005 |
| 14-11-2025 | 18.8828 | 19.3541 |
| 13-11-2025 | 18.9031 | 19.3746 |
| 12-11-2025 | 18.8853 | 19.3562 |
| 11-11-2025 | 18.8427 | 19.3123 |
| 10-11-2025 | 18.7673 | 19.2347 |
| 07-11-2025 | 18.6434 | 19.1071 |
| 06-11-2025 | 18.644 | 19.1074 |
| 04-11-2025 | 18.7077 | 19.1723 |
| Fund Launch Date: 12/Mar/2021 |
| Fund Category: FoF Domestic |
| Investment Objective: To generate long term growth/capital appreciation by offering asset allocation investment solution that predominantly invests in passive funds such as ETF/Index Funds of equity and equity related instruments (domesti c a s wel l a s international), fixed income and Gold. However, there can be no assurance or guarantee that the investment objective of the scheme would be achieved |
| Fund Description: An open ended fund of funds scheme investing in passive funds |
| Fund Benchmark: 50% Nifty 500 Total Returns Index + 20% S&P 500 Total Returns Index (INR) + 10% Domestic Price of Gold + 20% Nifty 5 Yr Benchmark G-Sec Index |
Disclaimer: NO INVESTMENT ADVICE. The Content is for informational purposes only.