Motilal Oswal Flexi Cap Fund Regular Plan-Growth Option

(Erstwhile MOSt Focused Multicap 35-Regular Plan-Growth Option)

Category: Equity: Flexi Cap
Launch Date: 08-04-2014
Asset Class: Equity
Benchmark: NIFTY 500 TRI
Expense Ratio: 1.72% As on (30-12-2024)
Status: Open Ended Schemes
Minimum Investment: 500.0
Minimum Topup: 500.0
Total Assets: 13,162.07 Cr As on (31-12-2024)
Turn over: 125%
NAV as on 14-01-2025

58.7899

0.6 (1.0223%)

CAGR Since Inception

18.02%

NIFTY 500 TRI 12.44%

PERFORMANCE of Motilal Oswal Flexi Cap Fund Regular Plan-Growth Option

Scheme Performance (%)

Data as on - 14-01-2025

Yearly Performance (%)

Fund Managers

Niket Shah, Ankush Sood, Rakesh Shetty

Investment Objective

The Scheme seeks to achieve long term capital appreciation by primarily investing in a maximum of 35 equity & equity related instruments across sectors and market-capitalization levels.

NAV & Lumpsum details( Invested amount 1,00,000)

Show All Monthly Lumpsum Returns
NAV Date NAV Units Market
Value
Returns
(%)
29-04-2014 9.9496 10050.6553 100000 0.0 %
29-05-2014 10.7249 - 107792 7.79 %
30-06-2014 11.9736 - 120343 20.34 %
30-07-2014 12.228 - 122899 22.9 %
01-09-2014 12.631 - 126950 26.95 %
29-09-2014 13.3174 - 133849 33.85 %
29-10-2014 13.701 - 137704 37.7 %
01-12-2014 15.1028 - 151793 51.79 %
29-12-2014 15.2321 - 153093 53.09 %
29-01-2015 16.5488 - 166326 66.33 %
02-03-2015 17.1048 - 171914 71.91 %
30-03-2015 17.022 - 171082 71.08 %
28-04-2015 16.1354 - 162171 62.17 %
28-05-2015 17.133 - 172198 72.2 %
29-06-2015 17.4305 - 175188 75.19 %
28-07-2015 18.1683 - 182603 82.6 %
28-08-2015 17.3038 - 173915 73.91 %
28-09-2015 17.3317 - 174195 74.19 %
28-10-2015 17.6502 - 177396 77.4 %
30-11-2015 17.416 - 175042 75.04 %
28-12-2015 17.5123 - 176010 76.01 %
28-01-2016 16.1646 - 162465 62.47 %
29-02-2016 15.3765 - 154544 54.54 %
28-03-2016 16.2946 - 163771 63.77 %
28-04-2016 17.1653 - 172523 72.52 %
30-05-2016 17.8351 - 179254 79.25 %
28-06-2016 18.0345 - 181259 81.26 %
28-07-2016 19.4824 - 195811 95.81 %
29-08-2016 19.5466 - 196456 96.46 %
28-09-2016 20.6303 - 207348 107.35 %
28-10-2016 20.7812 - 208865 108.86 %
28-11-2016 19.3047 - 194025 94.03 %
28-12-2016 18.6259 - 187203 87.2 %
30-01-2017 20.7188 - 208238 108.24 %
28-02-2017 21.7393 - 218494 118.49 %
28-03-2017 22.5969 - 227114 127.11 %
28-04-2017 23.5867 - 237062 137.06 %
29-05-2017 23.4497 - 235685 135.69 %
28-06-2017 23.7083 - 238284 138.28 %
28-07-2017 25.2448 - 253727 153.73 %
28-08-2017 25.8477 - 259786 159.79 %
28-09-2017 25.2744 - 254024 154.02 %
30-10-2017 26.2187 - 263515 163.52 %
28-11-2017 26.4084 - 265422 165.42 %
28-12-2017 27.1593 - 272969 172.97 %
29-01-2018 27.394 - 275328 175.33 %
28-02-2018 26.4597 - 265937 165.94 %
28-03-2018 26.3035 - 264367 164.37 %
30-04-2018 27.4997 - 276390 176.39 %
28-05-2018 26.7015 - 268368 168.37 %
28-06-2018 25.7896 - 259202 159.2 %
30-07-2018 27.0666 - 272037 172.04 %
28-08-2018 27.368 - 275066 175.07 %
28-09-2018 24.5499 - 246743 146.74 %
29-10-2018 22.8835 - 229994 129.99 %
28-11-2018 24.6227 - 247474 147.47 %
28-12-2018 25.0939 - 252210 152.21 %
28-01-2019 24.0477 - 241695 141.69 %
28-02-2019 24.1634 - 242858 142.86 %
28-03-2019 25.773 - 259036 159.04 %
30-04-2019 25.9219 - 260532 160.53 %
28-05-2019 26.602 - 267368 167.37 %
28-06-2019 26.5888 - 267235 167.24 %
29-07-2019 24.7371 - 248624 148.62 %
28-08-2019 25.0535 - 251804 151.8 %
30-09-2019 26.328 - 264614 164.61 %
29-10-2019 26.9716 - 271082 171.08 %
28-11-2019 26.8894 - 270256 170.26 %
30-12-2019 27.2535 - 273916 173.92 %
28-01-2020 27.3228 - 274612 174.61 %
28-02-2020 26.0171 - 261489 161.49 %
30-03-2020 18.8796 - 189752 89.75 %
28-04-2020 21.0543 - 211610 111.61 %
28-05-2020 21.0819 - 211887 111.89 %
29-06-2020 22.9636 - 230799 130.8 %
28-07-2020 25.4307 - 255595 155.59 %
28-08-2020 25.8756 - 260067 160.07 %
28-09-2020 25.0946 - 252217 152.22 %
28-10-2020 25.9054 - 260366 160.37 %
01-12-2020 28.4193 - 285633 185.63 %
28-12-2020 29.6611 - 298113 198.11 %
28-01-2021 29.711 - 298615 198.62 %
01-03-2021 31.4642 - 316236 216.24 %
30-03-2021 31.7843 - 319453 219.45 %
28-04-2021 31.6461 - 318064 218.06 %
28-05-2021 32.4016 - 325657 225.66 %
28-06-2021 33.5259 - 336957 236.96 %
28-07-2021 34.016 - 341883 241.88 %
30-08-2021 35.5022 - 356820 256.82 %
28-09-2021 35.9489 - 361310 261.31 %
28-10-2021 35.4288 - 356083 256.08 %
29-11-2021 33.6964 - 338671 238.67 %
28-12-2021 34.0042 - 341764 241.76 %
28-01-2022 33.3298 - 334986 234.99 %
28-02-2022 31.7376 - 318984 218.98 %
28-03-2022 31.5293 - 316890 216.89 %
28-04-2022 32.4433 - 326076 226.08 %
30-05-2022 31.1885 - 313465 213.47 %
28-06-2022 29.9237 - 300753 200.75 %
28-07-2022 31.738 - 318988 218.99 %
29-08-2022 32.8773 - 330438 230.44 %
28-09-2022 33.248 - 334164 234.16 %
28-10-2022 34.2528 - 344263 244.26 %
28-11-2022 34.6329 - 348083 248.08 %
28-12-2022 33.4162 - 335855 235.86 %
30-01-2023 31.522 - 316817 216.82 %
28-02-2023 31.8078 - 319689 219.69 %
28-03-2023 30.5359 - 306906 206.91 %
28-04-2023 32.6564 - 328218 228.22 %
29-05-2023 34.4206 - 345950 245.95 %
28-06-2023 35.5804 - 357606 257.61 %
28-07-2023 36.6649 - 368506 268.51 %
28-08-2023 37.0724 - 372602 272.6 %
29-09-2023 38.8518 - 390486 290.49 %
30-10-2023 38.8169 - 390135 290.13 %
28-11-2023 40.9296 - 411369 311.37 %
28-12-2023 43.7008 - 439222 339.22 %
29-01-2024 45.697 - 459285 359.28 %
28-02-2024 46.4167 - 466518 366.52 %
28-03-2024 48.1763 - 484203 384.2 %
29-04-2024 50.1341 - 503881 403.88 %
28-05-2024 51.4854 - 517462 417.46 %
28-06-2024 55.6503 - 559322 459.32 %
29-07-2024 57.4308 - 577217 477.22 %
28-08-2024 59.1982 - 594981 494.98 %
30-09-2024 63.2624 - 635829 535.83 %
28-10-2024 60.1877 - 604926 504.93 %
28-11-2024 61.3013 - 616118 516.12 %
30-12-2024 64.1049 - 644296 544.3 %
14-01-2025 58.7899 - 590877 490.88 %

RETURNS CALCULATOR for Motilal Oswal Flexi Cap Fund Regular Plan-Growth Option

Growth of 10000 In SIP (Fund vs Benchmark)

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End :

Growth of 10000 In LUMPSUM (Fund vs Benchmark)

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Rolling Returns

Rolling returns are the annualized returns of the scheme taken for a specified period (rolling returns period) on every day/week/month and taken till the last day of the duration. In this chart we are showing the annualized returns over the rolling returns period on every day from the start date and comparing it with the benchmark. Rolling returns is the best measure of a fund's performance. Trailing returns have a recency bias and point to point returns are specific to the period in consideration. Rolling returns, on the other hand, measures the fund's absolute and relative performance across all timescales, without bias.

Riskometer

riskometer

Key Performance and Risk Statistics of Motilal Oswal Flexi Cap Fund Regular Plan-Growth Option

Key Statistics Volatility Sharpe Ratio Alpha Beta Yield to Maturity Average Maturity
Motilal Oswal Flexi Cap Fund Regular Plan-Growth Option 12.18 1.07 7.81 0.85 - -
Equity: Flexi Cap - - - - - -

PEER COMPARISION of Motilal Oswal Flexi Cap Fund Regular Plan-Growth Option

Amount :
Start :
End :
Period
Data as on - 14-01-2025
Scheme Name Launch
Date
1-Year
Ret (%)
2-Yrs
Ret (%)
3-Yrs
Ret (%)
5-Yrs
Ret (%)
10-Yrs
Ret (%)
Motilal Oswal Flexi Cap Fund Regular Plan-Growth Option 08-04-2014 27.83 33.88 17.94 16.58 14.22
Invesco India Flexi Cap Fund - Growth 05-02-2022 22.74 29.98 0.0 0.0 0.0
JM Flexicap Fund (Regular) - Growth option 23-09-2008 22.39 32.97 21.42 22.65 16.58
HSBC Flexi Cap Fund - Regular Growth 24-02-2004 18.97 26.31 13.17 18.17 12.53
Bajaj Finserv Flexi Cap Fund -Regular Plan-Growth 01-08-2023 18.77 0.0 0.0 0.0 0.0
BANK OF INDIA Flexi Cap Fund Regular Plan -Growth 05-06-2020 18.61 29.44 16.81 0.0 0.0
Parag Parikh Flexi Cap Fund - Regular Plan - Growth 05-05-2013 18.42 27.44 14.65 23.71 17.16
HDFC Flexi Cap Fund - Growth Plan 01-01-1995 17.97 25.14 20.31 21.46 14.46
360 ONE FLEXICAP FUND-REGULAR PLAN- GROWTH 04-06-2023 17.68 0.0 0.0 0.0 0.0
WhiteOak Capital Flexi Cap Fund Regular Plan-Growth 05-08-2022 16.45 24.71 0.0 0.0 0.0

PORTFOLIO ANALYSIS of Motilal Oswal Flexi Cap Fund Regular Plan-Growth Option

Asset Allocation (%)

Allocation Percentage (%)

Market Cap Distribution

Small Cap

3.73%

Others

11.89%

Large Cap

49.53%

Mid Cap

34.85%

Total

100%