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Previously called: Motilal Oswal S&P BSE Low Volatility Index Direct-G
NAV as of Jun 05, 2025 | Returns since inception | ET Money Rank | AUM (Fund size) |
---|---|---|---|
₹16.4632+0.43% 1 day change | 16.92% p.a. | ₹110 Crs |
Expense ratio | 0.38% as on May 31, 2025 |
Exit load | 1.0% Exit load of 1% if redeemed within 15 days.! |
AUM (Fund size) | ₹110 Crs |
Lock-in | No Lockin |
Age | 3 yrs 3 m since Mar 04, 2022 |
Benchmark | BSE Low Volatility TRI |
Min. investment | SIP ₹500 & Lump. ₹500 |
Risk | Very High |
Short term capital gains (STCG) | Returns taxed at 20% if you redeem before 1 year |
Long term capital gains (LTCG) | After 1 year, pay tax of 12.5% on returns of ₹1.25 lakh+ in a financial year |
Period | This fund | Category average |
---|---|---|
1 Month | 1.64% | 5.6% |
3 Months | 8.96% | 12.63% |
6 Months | -0.06% | -5.34% |
1 Year | 2.64% | -0.73% |
2 Years | 18.62% | 23.44% |
3 Years | 17.54% | 19.69% |
Large Cap 74.60728499999999%
Mid Cap 22.651320000000002%
Small Cap 2.791395%
Other Cap 0.0%
Consumer Staples 17.759999999999998%
Financial 13.580000000000002%
Healthcare 13.56%
Materials 9.86%
Bifurcation by Credit Quality is not available for this fund
Bifurcation by Holding is not available for this fund
Bifurcation by Holding is not available for this fund
Fund name | ETM Rank | AUM (in Crs.) | Fund age | Expense ratio |
---|---|---|---|---|
Motilal Oswal BSE Low Volatility Index Fund | N.A. | ₹110 Crs | 3 yrs 3 m | 0.38% |
Motilal Oswal BSE Enhanced Value Index Fund | N.A. | ₹815 Crs | 2 yrs 10 m | 0.4% |
Zerodha Nifty Large Midcap 250 Index Fund | N.A. | ₹890 Crs | 1 yrs 7 m | 0.28% |
Kotak Nifty 200 Momentum 30 Index Fund | N.A. | ₹351 Crs | 2 yrs | 0.29% |
Mirae Asset Diversified Equity Allocator Passive FoF | N.A. | ₹902 Crs | 4 yrs 9 m | 0.05% |
Motilal Oswal BSE Quality Index Fund | N.A. | ₹48 Crs | 2 yrs 10 m | 0.38% |
Fund name | 1M | 6M | 1Y | 3Y | 5Y | 10Y |
---|---|---|---|---|---|---|
Motilal Oswal BSE Low Volatility Index Fund | 1.64% | -0.06% | 2.64% | 17.54% | N.A. | N.A. |
Motilal Oswal BSE Enhanced Value Index Fund | 5.37% | -1.27% | 2.62% | 33.43% | 18.89% | 9.04% |
Zerodha Nifty Large Midcap 250 Index Fund | 5.89% | -0.42% | 9.15% | 11.19% | 6.57% | 3.23% |
Kotak Nifty 200 Momentum 30 Index Fund | 6.6% | -11.65% | -7.81% | 13.55% | 7.92% | 3.89% |
Mirae Asset Diversified Equity Allocator Passive FoF | 3.78% | -1.29% | 7.62% | 18.16% | 19.81% | 9.46% |
Motilal Oswal BSE Quality Index Fund | 6.22% | -0.4% | -0.52% | 18.76% | 10.86% | 5.29% |
Fund name | Std. deviation | Beta | Sharpe | Sortino |
---|---|---|---|---|
Motilal Oswal BSE Low Volatility Index Fund | 13.57 | 0.9 | 0.76 | 1.15 |
Motilal Oswal BSE Enhanced Value Index Fund | N.A. | N.A. | N.A. | N.A. |
Zerodha Nifty Large Midcap 250 Index Fund | N.A. | N.A. | N.A. | N.A. |
Kotak Nifty 200 Momentum 30 Index Fund | N.A. | N.A. | N.A. | N.A. |
Mirae Asset Diversified Equity Allocator Passive FoF | 14.05 | 1.01 | 0.8 | 1.23 |
Motilal Oswal BSE Quality Index Fund | N.A. | N.A. | N.A. | N.A. |
Alpha | 0.39 vs. 1.63 Underperformed at beating benchmark |
Sharpe | 0.76 vs. 1.87 Poor risk-adjusted returns |
Beta | 0.9 vs. 0.25 More sensitive to market's ups & downs |
Standard deviation | 13.57 vs. 3.66 More volatile performance |
Fund AUM | ₹110 Crs as on Mar 31, 2025 |
Scheme document | View Scheme Document |
The investment objective of the scheme is to provide returns that, before expenses, correspond to the total returns of the securities as represented by S&P BSE Low Volatility Total Return Index, subject to tracking error.
No. of schemes | 44 view all schemes |
Total AUM | ₹99,318 Crs as on Mar 31, 2025 |
Address | Motilal Oswal Towers - 10th Floor, Rahimtullah Sayani Road, Opposite Parel ST Depot, Prabhadevi, Mumbai, 400025 |
Phone | 022-39804238 / 1800-200-6626 |
Fund name | ETM Rank | AUM (in Crs.) | 1Y | 5Y |
---|---|---|---|---|
Motilal Oswal Midcap Fund | N.A. | ₹27,780 Crs | 16.82% | 38.35% |
Motilal Oswal Nifty Smallcap 250 Index Fund | N.A. | ₹822 Crs | 9.26% | 34.13% |
Motilal Oswal Large and Midcap Fund | N.A. | ₹9,176 Crs | 23.59% | 32.38% |
Motilal Oswal Nifty Midcap 150 Index Fund | N.A. | ₹2,126 Crs | 9.97% | 32.04% |
Motilal Oswal ELSS Tax Saver Fund | N.A. | ₹3,897 Crs | 17.87% | 29.49% |
Motilal Oswal Nifty 500 Index Fund | N.A. | ₹2,199 Crs | 8.04% | 23.06% |
The current Net Asset Value (NAV) of the Motilal Oswal BSE Low Volatility Index Fund - Direct Growth plan is approximately ₹16.4632 as of Jun 05, 2025.
The Motilal Oswal BSE Low Volatility Index Fund is a 3 yrs 3 m old fund and has delivered average annual returns of 16.92% since inception.
1-Year | 3-Year | Since Inception |
---|---|---|
2.64% | 17.54% | 16.92% |
The Motilal Oswal BSE Low Volatility Index Fund - Direct Growth has an expense ratio of 0.38%, which reflects the fund's management and operating costs. This percentage is subtracted from the fund's annual returns, impacting net returns for investors.
The Motilal Oswal BSE Low Volatility Index Fund currently has assets under management (AUM) or fund size valued at approximately ₹110 Crs crore as of Mar 31, 2025.
The Motilal Oswal BSE Low Volatility Index Fund has invested the majority of its money in the stocks of the following companies -
Company | Percentage of Portfolio |
---|---|
MRF Ltd. | 4.25% |
Nestle India Ltd. | 3.9% |
ICICI Bank Ltd. | 3.85% |
Sun Pharmaceutical Industries Ltd. | 3.82% |
HDFC Bank Ltd. | 3.73% |
Britannia Industries Ltd. | 3.72% |
ITC Ltd. | 3.63% |
Hindustan Unilever Ltd. | 3.58% |
SBI Life Insurance Company Ltd. | 3.57% |
Dr. Reddy's Laboratories Ltd. | 3.54% |
The Motilal Oswal BSE Low Volatility Index Fund has primarily invested in the following sectors
Sector | Percentage of Portfolio |
---|---|
Consumer Staples | 17.759999999999998% |
Financial | 13.580000000000002% |
Healthcare | 13.56% |
Materials | 9.86% |
Technology | 8.86% |
Automobile | 7.24% |
Insurance | 6.9399999999999995% |
Chemicals | 6.54% |
Consumer Discretionary | 5.95% |
Energy | 3.48% |
This is a Large & Midcap Index fund comes with Very High risk.
No, this fund does not have any lock-in period.
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