
Navi Flexi Cap Fund
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1–7 yearsInvestment Horizon
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Performance and Risk Analysis
Historical returns, volatility patterns, and how this fund has performed relative to its benchmark.

Risk Profile
Standard Deviation15.8%
Sharpe Ratio-0.25
Beta0.98
Strategy Details
A closer look at the investment thesis, portfolio construction, and current holdings.

Portfolio Holdings Overview
SectoralAllocation
Geographic Allocation
Domestic100%
Top Stock Holdings
CompanySectorAllocation
Treps/Reverse Repo/Net Current Assets/Cash/Cash EquivalentUtilities7.82%
Axis Bank LtdFinancial Services3.95%
ICICI Bank LtdFinancial Services3.46%
Infosys LtdTechnology2.91%
Sansera Engineering LtdConsumers2.77%
Tata Consultancy Services LtdTechnology2.71%
Bharti Airtel LtdServices2.62%
Shriram Finance LtdFinancial Services2.56%
HDFC Bank LtdFinancial Services2.55%
The Federal Bank LtdFinancial Services2.53%
Operational & Regulatory Details
What it costs to invest, transaction mechanics, and regulatory disclosures you should know.
Costs and Fees
Total Expense Ratio (TER)2.29%
Regulatory & Tax Information
INF959L01EN0
ISIN
DailyDealing Frequency
BSE 500 India TR INRBenchmark
LTCG | >1Year 12.5%% on gain above 1.25 Lakh
STCG | <1Year 20%%
Tax Implications (India)