Best Mutual Funds To Invest In 2023
Best mutual funds to invest in 2022 India for long term:- If any person wants to invest their capital, then they can do it inside best mutual funds 2022, this is a way of capital investment in which an investor can invest his capital and good can earn profit but money is invested with good understanding because it has direct contact with the share market and everyone knows about the stock.
If you make even a slight mistake inside it, then all the capital can be lost. Let us tell you that here today we are going to give you the list of best funds, that too by category. Like from:-
- Tax Saving fund
- Large Cap Fund
- Multicap Fund
- Small Cap Fund
- Midcap Fund
Best Mutual Funds 2022
ICICI Prudential Asset Management Company Limited
ICICI Prudential Asset Management Company Limited is one of the largest Asset Management Company (AMC) in the country. It is a joint venture between ICICI Bank in India and Prudential Plc in the UK. It started in 1993.
Net Asset Value = ₹183.66
AUM (Fund size) = 7,386.51 Crore
Lock-in period = No Lock-in
Exit Load = 1% in 15 days
Expense ratio = 0.76%
Risk = Very High
Top Holdings
Infosys Ltd = 22.3%
Tata Consultancy Services Ltd = 8.97%
Tech Mahindra Ltd = 8.58%
HCL Technologies Ltd = 8.57%
Persistent Systems Ltd = 4.93%
Wipro Ltd = 4.35%
Mphasis Ltd = 3.73%
Bharti Airtel Ltd = 3.58%
Cognizant Technology Solutions Corp Class A = 3.27%
Cyient Ltd = 2.24%
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Aditya Birla Sun Life AMC Limited
Presently it is known as Aditya Birla Sun Life (ABSL) Asset Management Company Limited. It is a joint venture between Aditya Birla Group in India and Sun Life Financial Inc of Canada. It was established in 1994 as a joint venture. Best Mutual Funds 2022.
Net Asset Value = ₹158.31
AUM (Fund size) = 2,842.5 Crore
Lock-in period = No Lock-in
Exit Load = 1% in 30 days
Expense ratio = 0.88%
Risk = Very High
Net Asset Value = ₹158.31
AUM (Fund size) = 2,842.5 Crore
Lock-in period = No Lock-in
Exit Load = 1% in 30 days
Expense ratio = 0.88%
Risk = Very High
Top Holdings
Infosys Ltd = 17.89%
Tata Consultancy Services Ltd= 11.48%
Tech Mahindra Ltd = 9.25%
HCL Technologies Ltd = 8.67%
Persistent Systems Ltd = 3.72%
Wipro Ltd = 3.55%
Mphasis Ltd = 3.73%
Bharti Airtel Ltd = 3.58%
Clearing Corporation Of India Limited = 2.59%
Mphasis Ltd = 2.52%
Cyient Ltd = 3.49%
ICICI Prudential Asset Management Company Limited
ICICI Prudential Asset Management Company Limited is one of the largest Asset Management Company (AMC) in the country. It is a joint venture between ICICI Bank in India and Prudential Plc in the UK. It started in 1993.
Net Asset Value = ₹170.59
AUM (Fund size) = 7,386.51 Crore
Lock-in period = No Lock-in
Exit Load = 1% in 15 days
Expense ratio = 2.02%
Risk = Very High
Top Holdings
Infosys Ltd = 22.3%
Tata Consultancy Services Ltd = 8.97%
Tech Mahindra Ltd = 8.58%
HCL Technologies Ltd = 8.57%
Persistent Systems Ltd = 4.93%
Wipro Ltd = 4.35%
Mphasis Ltd = 3.73%
Bharti Airtel Ltd = 3.58%
Cognizant Technology Solutions Corp Class A = 3.27%
Cyient Ltd = 2.24%
Tata Asset Management Limited
Tata Mutual Fund was established in 1994 and is part of the Tata Group, one of the largest and most respected industrial conglomerates in India. It has over 35 schemes across equity, debt and hybrid fund categories. Best Mutual Funds 2022
Net Asset Value = ₹44.4413
AUM (Fund size) = 4,899.56 Crore
Lock-in period = No Lock-in
Exit Load = 0.25% in 30 days
Expense ratio = 0.41%
Risk = Very High
Top Holdings
Infosys Ltd = 21.8%
Tata Consultancy Services Ltd = 10.74%
Tech Mahindra Ltd = 9.37%
HCL Technologies Ltd = 9.49%
Persistent Systems Ltd = 4.93%
Wipro Ltd = 4.02%
Mphasis Ltd = 3.73%
Bharti Airtel Ltd = 4.39%
Larsen & Toubro Infotech Ltd = 3.37%
Mphasis Ltd = 3.2%
L&T Technology Services Ltd = 2.84%
AXA Investment MNGRS Private Limited
BOI AXA Investment Managers Private Limited is a joint venture between the Bank of India and AXA Investment Managers, a part of AXA Group, one of the world’s largest players in the financial security industry.
Net Asset Value = ₹29.34
AUM (Fund size) = 197.19 Crore
Lock-in period = No Lock-in
Exit Load = 1% in 365 days
Expense ratio = 1.21%
Risk = Very High
Top Holdings
Treps = 5.04%
Central Depository Services (India) Ltd = 3.02%
Birlasoft Ltd = 2.76%
Radico Khaitan Ltd = 2.71%
Century Plyboards (India) Ltd = 2.6%
K.P.R. Mill Ltd = 2.56%
Persistent Systems Ltd = 2.34%
Neogen Chemicals Ltd = 2.3%
Grindwell Norton Ltd = 2.28%
KNR Constructions Ltd = 2.24%
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SBI Funds Management Private Limited
SBI Funds Management Private Limited SBI Funds Management Private Limited is a joint venture between State Bank of India (SBI) and financial services company Amundi, a European asset management company in France. It was launched in 1987.
Net Asset Value = ₹174.932
AUM (Fund size) = 2,056.68 Crore
Lock-in period = No Lock-in
Exit Load = 0.5% in 15 days
Expense ratio = 0.95%
Risk = Very High
Top Holdings
Infosys Ltd = 21.22%
Treps = 10.69%
HCL Technologies Ltd = 9.09%
Alphabet Inc Class A = 8.92%
Tech Mahindra Ltd = 6.82%
Bharti Airtel Ltd = 6.14%
Tata Consultancy Services Ltd = 5.64%
Larsen & Toubro Infotech Ltd = 5.33%
Microsoft Corp = 5.11%
Net Receivable / Payable = 4.55%
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