Fund research

Mirae Asset Aggressive Hybrid Fund - Direct Plan - Growth

Hybrid Schemes - Aggressive Hybrid Fund
Direct Plan Growth Option ISIN: INF769K01DH9 Scheme Code: 134813
Latest NAV₹39.89As of 28-Aug-2026
1-day change+0.10%Based on NAV movement
3-year return+12.40%Annualised CAGR
CategoryHybrid Schemes - Aggressive Hybrid FundFund classification

About Mirae Asset Aggressive Hybrid Fund - Direct Plan - Growth

Mirae Asset Aggressive Hybrid Fund - Direct Plan - Growth is a Hybrid Schemes - Aggressive Hybrid Fund scheme from Mirae Asset Mutual Fund. The fund currently has a latest NAV (Direct Plan, Growth Option) of ₹39.89 as of 28-Aug-2026.

NAV
₹39.89
As of 28-Aug-2026 · +0.10%
3Y Return (CAGR)
+12.40%
Annualised, from NAV history

NAV Performance

NAV history
NAV only · not market price

Fund Returns

PeriodStart NAVLatest NAVAbsolute ReturnCAGR / Annualised
1M ₹39.06
28 Jul 2026
₹39.89 +2.15% +28.42%
3M ₹38.62
27 May 2026
₹39.89 +3.30% +13.61%
6M ₹39.21
27 Feb 2026
₹39.89 +1.74% +3.52%
1Y ₹36.98
28 Aug 2025
₹39.89 +7.89% +7.89%
3Y ₹28.09
28 Aug 2023
₹39.89 +42.00% +12.40%
5Y ₹23.57
27 Aug 2021
₹39.89 +69.28% +11.10%
10Y ₹11.15
26 Aug 2016
₹39.89 +257.88% +13.59%
ALL ₹10.01
30 Jul 2015
₹39.89 +298.53% +13.29%

Returns and Rankings

Name3Y5Y10YAll
Fund returns +12.40% +11.10% +13.59% +13.29%

Return Calculator

₹100 / month
Over the pastTotal investmentWould've becomeHistoric returns

Scheme Information

Scheme Name
Mirae Asset Aggressive Hybrid Fund - Direct Plan - Growth
Scheme Code
134813
Fund House
Mirae Asset Mutual Fund
Category
Hybrid Schemes - Aggressive Hybrid Fund
ISIN (Growth)
INF769K01DH9
Risk

FAQs

The latest NAV is ₹39.89 as of 28-Aug-2026, sourced from AMFI India.

Annualised (CAGR) returns, calculated from historical NAV: 3Y +12.40%, 5Y +11.10%, 10Y +13.59%.

P/E and P/B ratios are not available for this fund from AMFI or MFAPI.
NAV data source: AMFI India NAVAll.txt (today's NAV, ISIN) and MFAPI.in (historical NAV used for returns, CAGR and the chart above)..