Tata Resources & Energy Fund-Regular Plan-Growth

Category: Equity: Thematic-Energy
Launch Date: 28-12-2015
Asset Class: Equity
Benchmark: NIFTY Commodities TRI
Expense Ratio: 2.18% As on (30-12-2024)
Status: Open Ended Schemes
Minimum Investment: 5000.0
Minimum Topup: 1000.0
Total Assets: 1,025.53 Cr As on (31-12-2024)
Turn over: 17.75%
NAV as on 14-01-2025

40.0039

1.03 (2.568%)

CAGR Since Inception

16.52%

NIFTY Commodities TRI 12.28%

PERFORMANCE of Tata Resources & Energy Fund-Regular Plan-Growth

Scheme Performance (%)

Data as on - 14-01-2025

Yearly Performance (%)

Fund Managers

Satish Chandra Mishra

Investment Objective

The scheme seeks long term capital appreciation by investing atleast 80% of it's net assets in equity/equity related instruments of the companies in the Resources & Energy sectors in India.

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

Show All Monthly Lumpsum Returns
NAV Date NAV Units Market
Value
Returns
(%)
29-12-2015 10.0278 9972.2771 100000 0.0 %
29-01-2016 9.9844 - 99567 -0.43 %
29-02-2016 9.4059 - 93798 -6.2 %
29-03-2016 10.255 - 102266 2.27 %
29-04-2016 10.5872 - 105578 5.58 %
30-05-2016 10.8776 - 108474 8.47 %
29-06-2016 11.2928 - 112615 12.62 %
29-07-2016 12.0962 - 120627 20.63 %
29-08-2016 12.3086 - 122745 22.75 %
29-09-2016 12.4383 - 124038 24.04 %
01-11-2016 12.9613 - 129254 29.25 %
29-11-2016 12.3731 - 123388 23.39 %
29-12-2016 12.0222 - 119889 19.89 %
30-01-2017 13.2932 - 132563 32.56 %
28-02-2017 13.4626 - 134253 34.25 %
28-03-2017 13.6681 - 136302 36.3 %
28-04-2017 14.4591 - 144190 44.19 %
29-05-2017 14.106 - 140669 40.67 %
28-06-2017 13.822 - 137837 37.84 %
28-07-2017 14.2909 - 142513 42.51 %
28-08-2017 14.5446 - 145043 45.04 %
28-09-2017 14.4965 - 144563 44.56 %
30-10-2017 16.1339 - 160892 60.89 %
28-11-2017 15.676 - 156325 56.33 %
28-12-2017 16.0696 - 160251 60.25 %
29-01-2018 16.1301 - 160854 60.85 %
28-02-2018 15.3946 - 153519 53.52 %
28-03-2018 14.5553 - 145149 45.15 %
30-04-2018 15.063 - 150212 50.21 %
28-05-2018 14.6245 - 145840 45.84 %
28-06-2018 13.553 - 135154 35.15 %
30-07-2018 14.467 - 144269 44.27 %
28-08-2018 14.9762 - 149347 49.35 %
28-09-2018 14.0364 - 139975 39.98 %
29-10-2018 13.1211 - 130847 30.85 %
28-11-2018 13.3419 - 133049 33.05 %
28-12-2018 13.5671 - 135295 35.3 %
28-01-2019 13.0193 - 129832 29.83 %
28-02-2019 13.1439 - 131075 31.08 %
28-03-2019 14.1638 - 141245 41.24 %
30-04-2019 14.2728 - 142332 42.33 %
28-05-2019 14.6042 - 145637 45.64 %
28-06-2019 14.2633 - 142238 42.24 %
29-07-2019 13.373 - 133359 33.36 %
28-08-2019 13.2107 - 131741 31.74 %
30-09-2019 14.1953 - 141559 41.56 %
29-10-2019 14.8041 - 147631 47.63 %
28-11-2019 14.9378 - 148964 48.96 %
30-12-2019 14.9626 - 149211 49.21 %
28-01-2020 15.5022 - 154592 54.59 %
28-02-2020 14.2342 - 141947 41.95 %
30-03-2020 10.9497 - 109193 9.19 %
28-04-2020 13.065 - 130288 30.29 %
28-05-2020 13.4659 - 134286 34.29 %
29-06-2020 14.6665 - 146258 46.26 %
28-07-2020 16.1201 - 160754 60.75 %
28-08-2020 17.0464 - 169991 69.99 %
28-09-2020 16.2045 - 161596 61.6 %
28-10-2020 16.3948 - 163493 63.49 %
01-12-2020 18.6777 - 186259 86.26 %
28-12-2020 19.2204 - 191671 91.67 %
28-01-2021 19.4604 - 194065 94.06 %
01-03-2021 22.5678 - 225052 125.05 %
30-03-2021 22.5732 - 225106 125.11 %
28-04-2021 23.7593 - 236934 136.93 %
28-05-2021 25.3032 - 252331 152.33 %
28-06-2021 26.2231 - 261504 161.5 %
28-07-2021 27.5802 - 275037 175.04 %
30-08-2021 27.9648 - 278873 178.87 %
28-09-2021 28.3692 - 282906 182.91 %
28-10-2021 28.98 - 288997 189.0 %
29-11-2021 27.331 - 272552 172.55 %
28-12-2021 28.5568 - 284776 184.78 %
28-01-2022 28.2867 - 282083 182.08 %
28-02-2022 27.9708 - 278933 178.93 %
28-03-2022 29.3234 - 292421 192.42 %
28-04-2022 29.9785 - 298954 198.95 %
30-05-2022 26.858 - 267835 167.84 %
28-06-2022 24.6295 - 245612 145.61 %
28-07-2022 26.3323 - 262593 162.59 %
29-08-2022 27.6408 - 275642 175.64 %
28-09-2022 26.7182 - 266441 166.44 %
28-10-2022 27.9961 - 279185 179.19 %
28-11-2022 28.8116 - 287317 187.32 %
28-12-2022 28.6846 - 286051 186.05 %
30-01-2023 27.5725 - 274961 174.96 %
28-02-2023 26.9808 - 269060 169.06 %
28-03-2023 26.962 - 268873 168.87 %
28-04-2023 28.9224 - 288422 188.42 %
29-05-2023 29.3907 - 293092 193.09 %
28-06-2023 30.3905 - 303062 203.06 %
28-07-2023 31.336 - 312491 212.49 %
28-08-2023 31.475 - 313877 213.88 %
29-09-2023 32.6143 - 325239 225.24 %
30-10-2023 31.092 - 310058 210.06 %
28-11-2023 33.4743 - 333815 233.82 %
28-12-2023 36.9182 - 368159 268.16 %
29-01-2024 38.0755 - 379699 279.7 %
28-02-2024 38.2803 - 381742 281.74 %
28-03-2024 38.5633 - 384564 284.56 %
29-04-2024 41.5731 - 414578 314.58 %
28-05-2024 42.4492 - 423315 323.31 %
28-06-2024 44.1499 - 440275 340.28 %
29-07-2024 45.793 - 456660 356.66 %
28-08-2024 45.9157 - 457884 357.88 %
30-09-2024 46.9176 - 467875 367.88 %
28-10-2024 43.2054 - 430856 330.86 %
28-11-2024 42.9144 - 427954 327.95 %
30-12-2024 41.5459 - 414307 314.31 %
15-01-2025 40.4028 - 402908 302.91 %

RETURNS CALCULATOR for Tata Resources & Energy Fund-Regular Plan-Growth

Growth of 10000 In SIP (Fund vs Benchmark)

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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 Tata Resources & Energy Fund-Regular Plan-Growth

Key Statistics Volatility Sharpe Ratio Alpha Beta Yield to Maturity Average Maturity
Tata Resources & Energy Fund-Regular Plan-Growth 16.31 0.45 0.61 0.81 - -
Equity: Thematic-Energy - - - - - -

PEER COMPARISION of Tata Resources & Energy Fund-Regular Plan-Growth

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 (%)
Tata Resources & Energy Fund-Regular Plan-Growth 28-12-2015 6.67 17.6 9.72 21.06 0.0
DSP Natural Resources And New Energy Fund - Regular - Growth 25-04-2008 8.27 17.39 13.66 19.84 16.09

PORTFOLIO ANALYSIS of Tata Resources & Energy Fund-Regular Plan-Growth

Asset Allocation (%)

Allocation Percentage (%)

Market Cap Distribution

Small Cap

27.17%

Others

4.48%

Large Cap

53.05%

Mid Cap

15.3%

Total

100%