Market Snapshot
  • BSE Sensex: 81361.87 -0.10%
  • BSE 500: 35733.89 -0.69%
  • BSE 200: 11209.06 -0.53%
  • BSE 100: 25910.57 -0.33%
  • BSE MidCap: 44941.19 -1.64%
  • BSE SmallCap: 52093.75 -1.77%
  • BSE BANKEX: 62690.04 -0.31%
  • BSE IT: 37923.32 -1.14%
  • Nifty 50: 24793.25 -0.08%
  • Nifty 500: 22763.5 -0.71%
  • Nifty 200: 13777.1 -0.53%
  • Nifty 100: 25320.45 -0.31%
  • Nifty Midcap 100: 57159.95 -1.63%
  • Nifty Small 100: 18013.1 -1.99%
  • Nifty IT: 38664.95 -0.94%
  • Nifty PSU Bank: 6734.3 -2.04%
News:
  • Nestle India board to consider...
  • Adani Ports drops 9.24% in sev...
  • Jio Financial buys 7.90 crore ...
  • Espire Hospitality jumps 13% i...
  • Electronics Mart India Ltd lea...
  • Euro to INR:  99.47 -0.03%
  • Pound to INR:  116.59 -0.17%
  • Yen to INR:  0.59 -0.18%
  • Dollar to INR:  86.25 0.26%
My Portfolio:
  • 0.00 0

Abhinav Sharma

Tata Mutual Fund

Worked with ING Vysya Life Insurance as Sr. Manager (Investments) for 1 year and 6 months, Edelweiss Securities as Manager (Research and Investments) for 2 years and 7 months, ICICI Lombard General Insurance as Investments Manager for 2 years 10 months.

  • No. of schemes managed

    3

  • AUM (in Rs. Cr.)

    8295

  • Favorite stock

    HDFC Bank Ltd (Invested amount - Rs. 250 cr.)

AUM Breakup
JavaScript chart by amCharts 3.17.0
JavaScript chart by amCharts 3.17.0EquityDebtHybrid

All funds

  • Tata Infrastructure Fund (G)
    Tata Infrastructure Fund (G)

    Equity Theme - Infrastructure

    • NAV

      171.20

      -0.73 -0.43%

      • 1 Y Return

        -13.82%

      • Volatility

        1.20%

    • Value Research rating

  • Tata Ethical Fund - (G)
    Tata Ethical Fund - (G)

    Equity Theme - Shariah

    • NAV

      380.37

      -1.59 -0.42%

      • 1 Y Return

        -4.70%

      • Volatility

        0.84%

    • Value Research rating

      Not Rated

  • Tata Large Cap Fund - Regular (G)
    Tata Large Cap Fund - Regular (G)

    Equity - Diversified

    • NAV

      495.32

      -1.32 -0.27%

      • 1 Y Return

        1.42%

      • Volatility

        0.85%

    • Value Research rating