Motilal Oswal Focused 25 Fund (MOF25)- Regular Plan Growth Option

(Erstwhile Focused 25 Fund- Regular Plan Growth Option)

Category: Equity: Focused
Launch Date: 05-05-2013
Asset Class: Equity
Benchmark: NIFTY 500 TRI
Expense Ratio: 2.04% As on (30-12-2024)
Status: Open Ended Schemes
Minimum Investment: 500.0
Minimum Topup: 500.0
Total Assets: 1,750.41 Cr As on (31-12-2024)
Turn over: 114%
NAV as on 14-01-2025

42.0048

0.52 (1.241%)

CAGR Since Inception

13.05%

NIFTY 500 TRI 12.44%

PERFORMANCE of Motilal Oswal Focused 25 Fund (MOF25)- Regular Plan Growth Option

Scheme Performance (%)

Data as on - 14-01-2025

Yearly Performance (%)

Fund Managers

Ankush Sood, Santosh Singh, Rakesh Shetty

Investment Objective

The Scheme seeks to achieve long term capital appreciation by investing in upto 25 companies with long term sustainable competitive advantage and growth potential

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

Show All Monthly Lumpsum Returns
NAV Date NAV Units Market
Value
Returns
(%)
06-05-2013 10.0 10000.0 100000 0.0 %
06-06-2013 9.7318 - 97318 -2.68 %
08-07-2013 9.4509 - 94509 -5.49 %
06-08-2013 9.025 - 90250 -9.75 %
06-09-2013 9.1507 - 91507 -8.49 %
07-10-2013 9.6375 - 96375 -3.62 %
06-11-2013 10.053 - 100530 0.53 %
06-12-2013 10.3341 - 103341 3.34 %
06-01-2014 10.3538 - 103538 3.54 %
06-02-2014 10.1406 - 101406 1.41 %
06-03-2014 10.6345 - 106345 6.35 %
07-04-2014 10.9962 - 109962 9.96 %
06-05-2014 11.0123 - 110123 10.12 %
06-06-2014 12.0552 - 120552 20.55 %
07-07-2014 12.9693 - 129693 29.69 %
06-08-2014 12.7457 - 127457 27.46 %
08-09-2014 13.8233 - 138233 38.23 %
07-10-2014 13.585 - 135850 35.85 %
07-11-2014 14.3188 - 143188 43.19 %
08-12-2014 15.0559 - 150559 50.56 %
06-01-2015 14.7978 - 147978 47.98 %
06-02-2015 15.8282 - 158282 58.28 %
09-03-2015 16.6244 - 166244 66.24 %
06-04-2015 16.4885 - 164885 64.89 %
06-05-2015 15.528 - 155280 55.28 %
08-06-2015 15.6994 - 156994 56.99 %
06-07-2015 16.5351 - 165351 65.35 %
06-08-2015 17.3389 - 173389 73.39 %
07-09-2015 15.1141 - 151141 51.14 %
06-10-2015 16.1684 - 161684 61.68 %
06-11-2015 15.6415 - 156415 56.42 %
07-12-2015 15.4415 - 154415 54.41 %
06-01-2016 15.7199 - 157199 57.2 %
08-02-2016 14.6644 - 146644 46.64 %
08-03-2016 14.4884 - 144884 44.88 %
06-04-2016 14.6799 - 146799 46.8 %
06-05-2016 15.1226 - 151226 51.23 %
06-06-2016 15.5732 - 155732 55.73 %
07-07-2016 15.9059 - 159059 59.06 %
08-08-2016 16.9856 - 169856 69.86 %
06-09-2016 17.61 - 176100 76.1 %
06-10-2016 17.7225 - 177225 77.22 %
07-11-2016 17.4287 - 174287 74.29 %
06-12-2016 16.55 - 165500 65.5 %
06-01-2017 16.6279 - 166279 66.28 %
06-02-2017 17.9845 - 179845 79.84 %
06-03-2017 17.8735 - 178735 78.73 %
06-04-2017 18.9391 - 189391 89.39 %
08-05-2017 19.4603 - 194603 94.6 %
06-06-2017 19.8145 - 198145 98.15 %
06-07-2017 20.1034 - 201034 101.03 %
07-08-2017 20.9575 - 209575 109.58 %
06-09-2017 20.9307 - 209307 109.31 %
06-10-2017 20.6074 - 206074 106.07 %
06-11-2017 20.8289 - 208289 108.29 %
06-12-2017 20.5364 - 205364 105.36 %
08-01-2018 21.8481 - 218481 118.48 %
06-02-2018 21.0517 - 210517 110.52 %
06-03-2018 20.6823 - 206823 106.82 %
06-04-2018 21.1559 - 211559 111.56 %
07-05-2018 21.5043 - 215043 115.04 %
06-06-2018 21.3728 - 213728 113.73 %
06-07-2018 21.6169 - 216169 116.17 %
06-08-2018 22.2307 - 222307 122.31 %
06-09-2018 22.0549 - 220549 120.55 %
08-10-2018 19.2631 - 192631 92.63 %
06-11-2018 19.7245 - 197245 97.25 %
06-12-2018 20.3505 - 203505 103.5 %
07-01-2019 20.4587 - 204587 104.59 %
06-02-2019 20.3695 - 203695 103.7 %
06-03-2019 20.5005 - 205005 105.0 %
08-04-2019 21.3721 - 213721 113.72 %
06-05-2019 21.4826 - 214826 114.83 %
06-06-2019 22.299 - 222990 122.99 %
08-07-2019 21.6606 - 216606 116.61 %
06-08-2019 20.8767 - 208767 108.77 %
06-09-2019 21.0465 - 210465 110.46 %
07-10-2019 22.2239 - 222239 122.24 %
06-11-2019 23.6002 - 236002 136.0 %
06-12-2019 23.6745 - 236745 136.75 %
06-01-2020 24.0124 - 240124 140.12 %
06-02-2020 24.7607 - 247607 147.61 %
06-03-2020 23.1031 - 231031 131.03 %
07-04-2020 18.8496 - 188496 88.5 %
06-05-2020 20.0039 - 200039 100.04 %
08-06-2020 21.3674 - 213674 113.67 %
06-07-2020 22.4616 - 224616 124.62 %
06-08-2020 23.1182 - 231182 131.18 %
07-09-2020 22.9846 - 229846 129.85 %
06-10-2020 23.7714 - 237714 137.71 %
06-11-2020 25.2906 - 252906 152.91 %
07-12-2020 27.2763 - 272763 172.76 %
06-01-2021 29.2043 - 292043 192.04 %
08-02-2021 30.5127 - 305127 205.13 %
08-03-2021 30.1416 - 301416 201.42 %
06-04-2021 29.4785 - 294785 194.78 %
06-05-2021 29.6053 - 296053 196.05 %
07-06-2021 31.4972 - 314972 214.97 %
06-07-2021 31.815 - 318150 218.15 %
06-08-2021 32.3035 - 323035 223.03 %
06-09-2021 34.1031 - 341031 241.03 %
06-10-2021 33.9955 - 339955 239.96 %
08-11-2021 34.5564 - 345564 245.56 %
06-12-2021 32.3144 - 323144 223.14 %
06-01-2022 33.095 - 330950 230.95 %
07-02-2022 31.7681 - 317681 217.68 %
07-03-2022 28.5115 - 285115 185.12 %
06-04-2022 32.1587 - 321587 221.59 %
06-05-2022 29.7227 - 297227 197.23 %
06-06-2022 30.5228 - 305228 205.23 %
06-07-2022 30.0386 - 300386 200.39 %
08-08-2022 32.5565 - 325565 225.57 %
06-09-2022 33.6236 - 336236 236.24 %
06-10-2022 33.2006 - 332006 232.01 %
07-11-2022 34.19 - 341900 241.9 %
06-12-2022 34.2237 - 342237 242.24 %
06-01-2023 32.9659 - 329659 229.66 %
06-02-2023 31.7336 - 317336 217.34 %
06-03-2023 31.938 - 319380 219.38 %
06-04-2023 31.8016 - 318016 218.02 %
08-05-2023 33.5124 - 335124 235.12 %
06-06-2023 34.3848 - 343848 243.85 %
06-07-2023 35.6266 - 356266 256.27 %
07-08-2023 36.7689 - 367689 267.69 %
06-09-2023 37.0924 - 370924 270.92 %
06-10-2023 36.6439 - 366439 266.44 %
06-11-2023 36.5953 - 365953 265.95 %
06-12-2023 39.5235 - 395235 295.24 %
08-01-2024 39.9507 - 399507 299.51 %
06-02-2024 40.4032 - 404032 304.03 %
06-03-2024 40.7369 - 407369 307.37 %
08-04-2024 42.8013 - 428013 328.01 %
06-05-2024 41.6057 - 416057 316.06 %
06-06-2024 42.6686 - 426686 326.69 %
08-07-2024 46.7411 - 467411 367.41 %
06-08-2024 46.2059 - 462059 362.06 %
06-09-2024 50.924 - 509240 409.24 %
07-10-2024 48.8385 - 488385 388.38 %
06-11-2024 47.3622 - 473622 373.62 %
06-12-2024 47.1908 - 471908 371.91 %
06-01-2025 44.3229 - 443229 343.23 %
14-01-2025 42.0048 - 420048 320.05 %

RETURNS CALCULATOR for Motilal Oswal Focused 25 Fund (MOF25)- Regular Plan Growth Option

Growth of 10000 In SIP (Fund vs Benchmark)

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Period :
Start :
End :

Growth of 10000 In LUMPSUM (Fund vs Benchmark)

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Start :

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 Focused 25 Fund (MOF25)- Regular Plan Growth Option

Key Statistics Volatility Sharpe Ratio Alpha Beta Yield to Maturity Average Maturity
Motilal Oswal Focused 25 Fund (MOF25)- Regular Plan Growth Option 12.4 0.35 -2.54 0.9 - -
Equity: Focused - - - - - -

PEER COMPARISION of Motilal Oswal Focused 25 Fund (MOF25)- 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 Focused 25 Fund (MOF25)- Regular Plan Growth Option 05-05-2013 3.02 12.89 7.39 11.39 10.57
Invesco India Focused Fund - Growth 08-09-2020 26.64 34.24 16.21 0.0 0.0
BANDHAN Focused Equity Fund - Regular Plan - Growth 16-03-2006 21.63 28.06 13.69 16.63 12.04
HDFC Focused 30 Fund - GROWTH PLAN 05-09-2004 18.6 25.08 20.79 21.44 13.6
ICICI Prudential Focused Equity Fund - Growth 05-05-2009 18.07 24.5 16.35 22.1 13.42
Canara Robeco Focused Equity Fund - Regular Plan - Growth Option 05-05-2021 16.7 21.43 12.81 0.0 0.0
Edelweiss Focused Fund - Regular Plan - Growth 26-07-2022 14.88 23.04 0.0 0.0 0.0
ITI Focused Equity Fund - Regular Plan - Growth 19-06-2023 14.79 0.0 0.0 0.0 0.0
Mahindra Manulife Focused Fund - Regular Plan - Growth 01-11-2020 13.84 23.31 15.56 0.0 0.0
DSP Focus Fund - Regular Plan - Growth 10-06-2010 13.7 24.56 12.26 14.05 11.69

PORTFOLIO ANALYSIS of Motilal Oswal Focused 25 Fund (MOF25)- Regular Plan Growth Option

Asset Allocation (%)

Allocation Percentage (%)

Market Cap Distribution

Small Cap

59.67%

Others

4.0%

Large Cap

10.4%

Mid Cap

25.93%

Total

100%