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Tata Digital India Fund Review

Tata Digital India fund Review

Tata Digital India Fund is a Sectoral Fund Scheme which can invest in an open-ended equity scheme investing in Information Technology Sector.

Fund Overview:

The scheme's investment objective is to seek long-term capital appreciation by investing at least 80% of its net assets in equity/equity-related instruments of companies in India's Information Technology industry.

   Viz:

  • Software
  • ITeS
  • Hardware

Why should we invest in Tata Digital India Fund?
Tata Digital India fund Review

It is a Sectoral fund/Thematic fund. Fund has 94.34% investment in Indian stocks of which 52.78% is in large cap stocks, 19.06% in mid cap stocks and 14.27% in small cap stocks. 
India has on mission of Digital India so that IT sectors are  performing really well in recent years. According to one article published in Business standard, The Indian IT industry is expected to touch $300-350 billion in terms of revenue over the next five years. So, it is perfect time to invest in Digital funds.

Who is the fund Manager?
Tata Digital India fund Review

With over 14 years of experience, Meeta Shetty is the fund manager for Tata Digital India Fund and Tata India Pharma & Healthcare Fund since November 2018. Meeta is a CFA Chartered Holder from CFA Institute, US, and a Bachelor in Economics.

Fund Performance History:

Regular Growth Plan

  • One Time Investment (NAV as on 17th September 2021).


Period Invested for

₹ 10000 Invested on

Latest Value

Absolute Returns

Annualized Returns

1 Years

17/09/2020

19724.30

97.24%

97.24%

2 Years

17/09/2019

24631.00

146.31%

56.58%

3 Years

17/09/2018

23769.70

137.70%

33.42%

5 Years

16/09/2016

39666.50

296.67%

31.69%

Since Incorporate

26/12/2015

37449.90

274.50%

25.94%


Last six months' return is 44%. (all are the figure source is moneycontrol.com)

  • SIP Returns (NAV as on 17th September 2021).

Period Invested for

₹1000, SIP Started on

Investments

Latest Value

Absolute Returns

Annualized Returns

1 Year

17/09/2020

12000

18246.65

52.06%

108.23%

2 Year

17/09/2019

24000

49207.02

105.03%

87.12%

3 Year

17/09/2018

36000

79474.31

120.76%

58.74%

5 Year

16/09/2016

60000

165014.87

175.02%

41.77%










     Direct Growth Plan

  • One Time Investment (NAV as on 17th September 2021).


Period Invested for

₹ 10000 Invested on

Latest Value

Absolute Returns

Annualized Returns

1 Years

17/09/2020

20037.40

100.37%

59.96%

2 Years

17/09/2019

25444.40

154.44%

59.41%

3 Years

17/09/2018

24987.50

149.88%

35.66%

5 Years

16/09/2016

43181.20

331.81%

33.94%

Since Incorporate

26/12/2015

41258.80

312.59%

28.08%


  • SIP Returns (NAV as on 17th September 2021).

Period Invested for

₹1000, SIP Started on

Investments

Latest Value

Absolute Returns

Annualized Returns

1 Year

17/09/2020

12000

18419.79

53.5%

111.53%

2 Year

17/09/2019

24000

50163.48

109.01%

903%

3 Year

17/09/2018

36000

81738.81

127.05%

61.12%

5 Year

16/09/2016

60000

173430.37

189.05%

43.95%











Fund size:  ₹ 2767.97 Cr., expense ratio: 0.5%, Risk-O-Meter: Very High, Fund House: Tata Mutual Fund.


Top 10 Holdings.


Infosys Ltd.

Tata Consultancy Services Ltd.

HCL Technologies Ltd.

Tech Mahindra Ltd.

Mphasis Ltd.

Indian Railway Catering and Tourism Corporation Ltd.

Presistent System Ltd.

L&T Technology Services Ltd.

Larson & Toubro Infotech Ltd.

Cyient Ltd.


Note: All details are collected form moneycontrol.com.


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