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Navi US Total Stock Market Fund of Fund - Dir (G)

FoFs Overseas
  • NAV

    19.24(0.16%)
  • Fund Size (CR)

    ₹944.8
  • Expense Ratio

    0.06
  • Scheme Type

    Active Fund
  • Value Research

  • Min. investment

    ₹10
  • Minimum Additional Investment

    ₹10
  • Minimum SIP Investment

    ₹10
  • Minimum Withdrawal

    ₹500
  • Exit Load Nil

    1% of applicable Net Asset Value - If the amount sought to be redeemed or switch out is invested for a period of up to 3 months from the date of allotment Nil - If the amount, sought to be redeemed or switch out is invested for a period of more than 3 months from the date of allotment

    0%
  • Return Since Launch

    18.90%
  • 3M
  • 6M
  • 1Y
  • 3Y
  • All
Absolute Return: 7.49%
Annualized Return: 0% [object Object]
1% of applicable Net Asset Value - If the amount sought to be redeemed or switch out is invested for a period of up to 3 months from the date of allotment Nil - If the amount, sought to be redeemed or switch out is invested for a period of more than 3 months from the date of allotment

Basic Details

Scheme Manager

Aditya Mulki

Bench Mark

CRSP US Total Market Index

Type

OPEN

Lumpsum Returns

Period Invested For₹10,000 Invested onLatest ValueAbsolute ReturnsAnnualised ReturnsCategory AvgRank within Category
1 Week 28 November 202510097.460.97%-1.45%118/180
1 Month4 November 202510325.933.26%-3.03%46/180
3 Month5 September 202510783.377.83%-7.92%87/180
6 Month5 June 202512169.4521.69%-19.61%79/180
1 Year5 December 202411952.5519.53%19.53%26.55%110/180
3 Year5 December 202219055.4490.55%23.95%20.58%47/158
5 Year------/-
Since Inception24 February 202219239.9092.40%18.90%11.40%25/180

Note: Lumpsum Returns since Inception Date.

SIP Returns

Period Invested For₹10,000 Invested onInvestmentsLatest ValueAbsolute ReturnsAnnualised Returns
1 Year2 January 20251,20,000139048.0015.87% 15.87%
3 Year3 January 20233,60,000519687.5644.36% 13.02%
5 Year-----
10 Year-----

Note: SIP Returns since Inception Date.

Tax Treatment

If sold after 1 year from purchase date, long term capital gain tax will be applicable. Current tax rate is 10%, if your total long term capital gain exceeds 1 lakh. Any cess/surcharge is not included.If sold before 1 year from purchase date, short term capital gain tax will be applicable. Current tax rate is 15%. Any cess/surcharge is not included in the 15%.

Mutual Funds Calculator

  • Investment type
  • Scheme based
  • SIP
  • Lumpsum

Monthly Investment (₹)

Minimum value allowed is 500

Expected Returns Rate (%)

Minimum value allowed is 1

Time Period (in Years)

Minimum value allowed is 1
  • Invested Amount

    25,000

  • Estimated Returns

    19,059

76%

Returns

Future value of your investment

44,059

Risk Ratios

3.80%

Standard Deviation

0.17%

Beta

1.40%

Sharpe Ratio

-6.91%

Treynor's Ratio

17.20%

Jension's Alpha

Asset Allocation

Sector Allocation

There is no Sector Allocation data

Top 10 stock holding in portfolio

Stock Invested in% of Total HoldingsQuantityValue (Cr)Asset TypeSegment
There's no data available of Stock Holdings

Peer Comparison

Scheme NameValue ResearchAsset Size (Cr)1M3M6M1Y3Y
Navi US Total Stock Market Fund of Fund - Dir (G)
944.803.26%7.83%21.69%19.53%23.95%
DSP World Gold Mining Overseas Equity Omni FoF-Dir (IDCW)
1070.8020.60%27.87%57.43%129.23%46.79%
DSP World Gold Mining Overseas Equity Omni FoF-Dir (G)
1070.8020.60%27.87%57.43%129.22%46.79%
DSP World Mining Overseas Equity Omni FoF-Dir (G)
134.3215.48%22.71%45.66%55.36%15.57%
ICICI Pru Strategic Metal and Energy Equity Fund of Fund - Dir (G)
104.1514.67%17.35%33.13%54.73%21.92%
ICICI Pru Strategic Metal and Energy Equity Fund of Fund - Dir (IDCW)
104.1514.67%17.35%33.12%54.72%21.92%

List of Schemes under Navi Mutual Fund

Fund NameCategoryRisk1Y ReturnsRatingsFund Size (Cr)
Navi Large & Midcap FundEquityVery High0.61%1₹318.87
Navi ELSS Tax Saver FundEquityVery High1.82%0₹53.95
Navi Liquid FundDebtModerate6.22%1₹61.90
Navi Aggressive Hybrid FundHybridVery High4.99%3₹125.96
Navi Nifty 50 Index FundOtherVery High7.16%3₹3,714.63
Navi Nifty Next 50 Index FundOtherVery High-4.44%2₹1,022.78
Navi Nifty Bank Index FundOtherVery High12.15%1₹643.16
Navi Nifty Midcap 150 Index FundOtherVery High2.93%3₹345.98
Navi Nifty IT Index FundOtherVery High-11.74%0₹24.82
Navi Nifty India Manufacturing Index FundOtherVery High6.34%0₹69.77
Navi BSE Sensex Index FundOtherVery High5.76%0₹20.78
Navi Nifty 500 Multicap 50:25:25 Index FundOtherVery High0.81%0₹24.29
Navi Nifty Smallcap250 Momentum Quality 100 Index FundOtherVery High0%0₹23.75
Navi Nifty MidSmallcap 400 Index FundOtherVery High0%0₹0.00
Navi US Total Stock Market Fund of FundOtherVery High19.53%0₹975.48
Navi US Nasdaq 100 FOFOtherVery High27.4%0₹1,151.02
Navi Flexi Cap FundEquityVery High2.45%2₹262.98
Navi ELSS Tax Saver Nifty 50 Index FundOtherVery High7.08%0₹108.29

News

There are no new Updates!

Fund House Details & Investment Objective

Date of Incorporation

4 February 2022

Total AUM (Cr)

₹975.48

Navi US Total Stock Market Fund of Fund - Dir (G) is an FoFs Overseas-oriented fund from the renowned AMC, Navi Mutual Fund. Launched in 4 February 2022, this fund is managed by Aditya Mulki. With assets under management (AUM) worth ₹975.48 (Cr), as of 5 December 2025, Navi US Total Stock Market Fund of Fund - Dir (G) is categorized as a FoFs Overseas within its segment. The fund has generated a return of 18.90% since its launch.
The current NAV of Navi US Total Stock Market Fund of Fund - Dir (G) is ₹19.24, as on 5 December 2025. The fund's benchmark index is CRSP US Total Market Index. You can invest in Navi US Total Stock Market Fund of Fund - Dir (G) via both lumpsum and SIP modes. The minimum SIP amount in the fund is ₹10 while the minimum lumpsum investment is ₹10.

Being an open-ended fund, you can exit the fund anytime subject to applicable exit loads:
The fund has generated 23.95% and undefined% CAGR in the last 3 and 5 years respectively.

The fund aims to provide long-term capital appreciation and growth, by investing in a mix of financial instruments 100.00% in cash and cash equivalents.