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?
Who is the fund Manager?
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% |
- 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. |