MIRAE ASSET
HYBRID EQUITY FUND - (MAHEF)

(Aggressive Hybrid Fund - An open ended hybrid scheme investing predominantly in equity and equity related instruments)
Details as on September 29, 2023
Type of Scheme
Aggressive Hybrid Fund - An open ended hybrid scheme investing predominantly in equity and equity related instruments
Investment Objective
The investment objective of the Scheme is to generate capital appreciation along with current income from a combined portfolio of predominantly investing in equity & equity related instruments and balance in debt and money market instruments. The Scheme does not guarantee or assure any returns
Fund Managers**
Mr. Harshad Borawake
(Equity Portion)(Since April 01, 2020),
Mr.Vrijesh Kasera
(Since April 01, 2020) and
Mr. Mahendra Jajoo
(Debt Portion) (since September 8, 2016)
Allotment Date
29th July, 2015
Benchmark Index
CRISIL Hybrid 35+65 -Aggressive Index
Minimum Investment
Amount
₹5,000/- and in multiples of ₹1/-thereafter. Minimum Additional Application Amount: ₹1,000/- per application and in multiples of ₹1/- thereafter.
Systematic Investment
Plan (SIP)
(Any Date SIP is available from 1st July, 2019)
Monthly and Quarterly: Minimum of ₹1000/- (multiples of ₹1/- thereafter), minimum 5 in case of Monthly or 3 in case of Quarterly option.
Load Structure
Entry load: NA
Exit load:
I. For investors who have opted for SWP under the plan:
a) 15% of the units allotted (including Switch-in/STP - in) on or before completion of 365 days from the date of allotment of units: Nil.
b) Any redemption in excess of such limits in the first 365 days from the date of allotment shall be subject to the following exit load: (Redemption of units would be done on First In First Out Basis (FIFO):
•If redeemed within 1 year (365 days) from the date of allotment: 1%
•If redeemed after 1 year (365 days) from the date of allotment: NIL
II. Other Redemptions: For Investors who have not opted for SWP under the plan (including Switch out, STP out):
•If redeemed within 1 year (365 days) from the date of allotment: 1%
•If redeemed after 1 year (365 days) from the date of allotment: NIL
Plans Available
Regular Plan and Direct Plan
Options Available
Growth Option and IDCW Option (Payout & Re-investment)
Monthly Average AUM (₹ Cr.) as on September 29, 2023
7,836.50
Net AUM (₹ Cr.) 7,790.24
Monthly Total Expense Ratio
(Including Statutory Levies)
as on September 29, 2023
Regular Plan: 1.74%
Direct Plan: 0.41%
**For experience of Fund Managers Click Here
NAV: Direct Regular
Growth ₹ 28.441 ₹ 24.970
IDCW ₹ 18.993 ₹ 15.965
New Position Bought
Stock
Electrical Equipment
Avalon Technologies Limited
Finance
Cholamandalam Financial Holdings Limited
Leisure Services
Yatra Online Limited
Positions Increase
Stock
Banks
HDFC Bank Limited
ICICI Bank Limited
State Bank of India
Cement & Cement Products
Ambuja Cements Limited
Food Products
Nestle India Limited
Retailing
Electronics Mart India Limited
Positions Decreased
Stock
Auto Components
Sona BLW Precision Forgings Limited
Construction
Larsen & Toubro Limited
Consumer Durables
Havells India Limited
Ferrous Metals
Tata Steel Limited
IT - Software
Tata Consultancy Services Limited
Personal Products
Emami Limited
Petroleum Products
Reliance Industries Limited

Average Maturity
3.78 Years
Modified Duration 
2.84 Years
Macaulay Duration
3.00 Years
Annualized Portfolio YTM*
7.73%

*In case of semi annual YTM, it will be annualized.

Portfolio Holdings % Allocation
Banks  
HDFC Bank Limited 6.51%
ICICI Bank Limited 5.30%
State Bank of India 3.47%
Axis Bank Limited 3.18%
Kotak Mahindra Bank Limited 0.65%
IndusInd Bank Limited 0.59%
The Federal Bank Limited 0.47%
Bank of Baroda 0.00%
IT - Software  
Infosys Limited 3.65%
Tata Consultancy Services Limited 1.92%
HCL Technologies Limited 0.71%
MphasiS Limited 0.67%
Petroleum Products  
Reliance Industries Limited 4.00%
Pharmaceuticals & Biotechnology  
Sun Pharmaceutical Industries Limited 1.77%
Aurobindo Pharma Limited 1.21%
Torrent Pharmaceuticals Limited 0.48%
Biocon Limited 0.35%
Consumer Durables  
Havells India Limited 0.85%
Titan Company Limited 0.79%
Kajaria Ceramics Limited 0.70%
Greenply Industries Limited 0.57%
Crompton Greaves Consumer Electricals Limited 0.56%
Voltas Limited 0.02%
Automobiles  
Tata Motors Limited 1.68%
Maruti Suzuki India Limited 1.06%
TVS Motor Company Limited 0.60%
Auto Components  
Craftsman Automation Limited 1.49%
Samvardhana Motherson International Limited 0.65%
Sona BLW Precision Forgings Limited 0.44%
Apollo Tyres Limited 0.33%
Diversified FMCG  
ITC Limited 2.09%
Hindustan Unilever Limited 0.74%
Finance  
Shriram Finance Limited 0.94%
LIC Housing Finance Limited 0.55%
Cholamandalam Financial Holdings Limited 0.55%
Bajaj Finserv Limited 0.51%
SBI Cards and Payment Services Limited 0.28%
Construction  
Larsen & Toubro Limited 2.30%
Insurance  
SBI Life Insurance Company Limited 0.68%
ICICI Lombard General Insurance Company Limited 0.66%
Max Financial Services Limited 0.62%
Transport Services  
Delhivery Limited 0.80%
InterGlobe Aviation Limited 0.57%
Gateway Distriparks Limited 0.45%
Telecom - Services  
Bharti Airtel Limited 1.71%
Cement & Cement Products  
Ambuja Cements Limited 0.96%
UltraTech Cement Limited 0.61%
Power  
NTPC Limited 1.52%
Ferrous Metals  
Tata Steel Limited 1.12%
Chemicals & Petrochemicals  
Vinati Organics Limited 0.64%
Tatva Chintan Pharma Chem Limited 0.47%
Retailing  
Zomato Limited 0.69%
Electronics Mart India Limited 0.37%
Aerospace & Defense  
Bharat Electronics Limited 0.95%
Personal Products  
Dabur India Limited 0.74%
Emami Limited 0.21%
Healthcare Services  
Krishna Institute Of Medical Sciences Limited 0.95%
Gas  
Gujarat State Petronet Limited 0.94%
Industrial Products  
Prince Pipes And Fittings Limited 0.85%
Leisure Services  
Westlife Foodworld Limited 0.60%
Yatra Online Limited 0.24%
Electrical Equipment  
TD Power Systems Limited 0.54%
Avalon Technologies Limited 0.18%
Non - Ferrous Metals  
Hindalco Industries Limited 0.52%
Textiles & Apparels  
Page Industries Limited 0.45%
Food Products  
Nestle India Limited 0.30%
Britannia Industries Limited 0.06%
Capital Markets  
Indian Energy Exchange Limited 0.26%
Financial Technology (Fintech)  
One 97 Communications Limited 0.22%
Equity Holding Total 72.55%
Corporate Bond
7.9% Jamnagar Utilities & Power Private Ltd (10/08/2028) 1.00%
8.25% IIFL Finance Ltd (14/10/2023) ** 0.77%
9% Shriram Finance Ltd (24/06/2024) 0.64%
8.3% Muthoot Finance Ltd (06/01/2026) ** 0.64%
7.33% Larsen & Toubro Ltd (09/12/2024) ** 0.64%
7.25% NABARD (01/08/2025) ** 0.64%
7.25% Small Industries Dev Bank of India (31/07/2025) ** 0.64%
7.1% Muthoot Finance Ltd (20/06/2024) ** 0.64%
7.42% Power Finance Corporation Ltd (08/09/2032) ** 0.63%
8.3% Godrej Properties Ltd (19/03/2027) ** 0.51%
7.38% Cholamandalam Investment and Finance Company Ltd (31/07/2024) 0.51%
6.92% REC Ltd (20/03/2032) ** 0.49%
8.43% Muthoot Finance Ltd (31/07/2026) ** 0.45%
9.5% Motilal Oswal Finvest Ltd (12/09/2025) ** 0.39%
7.725% Larsen & Toubro Ltd (28/04/2028) ** 0.32%
9% Northern Arc Capital Ltd (12/07/2024) ** 0.32%
7.6% REC Ltd (27/02/2026) ** 0.32%
7.77% Embassy Office Parks REIT (05/06/2025) ** 0.32%
7.53% REC Ltd (31/03/2033) ** 0.32%
7.15% Small Industries Dev Bank of India (02/06/2025) ** 0.32%
7.9237% Bajaj Housing Finance Ltd (16/03/2026) ** 0.28%
7.9% Bajaj Finance Ltd (17/11/2025) ** 0.26%
7.8% HDFC Bank Ltd (03/05/2033) 0.24%
7.43% National Bank For Financing Infrastructure And Development (16/06/2033) 0.22%
7.5% Power Grid Corporation of India Ltd (24/08/2033) ** 0.19%
7.7201% LIC Housing Finance Ltd (12/02/2026) ** 0.19%
5.23% NABARD (31/01/2025) 0.19%
8.7% Bharti Telecom Ltd (21/11/2024) ** 0.16%
6.09% Power Finance Corporation Ltd (27/08/2026) ** 0.16%
7.57% NABARD (19/03/2026) 0.16%
5.86% Tata Capital Housing Finance Ltd (23/02/2024) 0.16%
7.7% REC Ltd (10/12/2027) ** 0.13%
7.95% ICICI Home Finance Company Ltd (24/11/2025) ** 0.13%
7.05% National Housing Bank (18/12/2024) ** 0.13%
5.84% Bajaj Housing Finance Ltd (21/02/2024) ** 0.13%
7.13% Power Finance Corporation Ltd (08/08/2025) 0.13%
5.24% Small Industries Dev Bank of India (26/03/2024) ** 0.13%
5.5315% LIC Housing Finance Ltd (20/12/2024) ** 0.13%
5.776% LIC Housing Finance Ltd (11/09/2025) ** 0.12%
5.72% LIC Housing Finance Ltd (22/02/2024) ** 0.10%
8.48% LIC Housing Finance Ltd (29/06/2026) ** 0.07%
8.45% LIC Housing Finance Ltd (22/05/2026) ** 0.07%
8.05% NTPC Ltd (05/05/2026) ** 0.06%
7.45% Indian Railway Finance Corporation Ltd (13/10/2028) ** 0.06%
8.95% IDFC First Bank Ltd (13/05/2025) ** 0.05%
8.8% IDFC First Bank Ltd (15/06/2025) ** 0.05%
5.6% Indian Oil Corporation Ltd (23/01/2026) ** 0.02%
Corporate Bond Total 14.21%
Government Bond
7.26% GOI (06/02/2033) 3.08%
7.38% GOI (20/06/2027) 1.75%
7.26% GOI (22/08/2032) 1.14%
7.06% GOI (10/04/2028) 0.69%
7.41% GOI (19/12/2036) 0.52%
7.18% GOI (14/08/2033) 0.03%
Government Bond Total 7.21%
Commercial Paper
Birla Group Holdings Private Ltd (13/03/2024) ** 0.45%
Motilal Oswal Financial Services Ltd (23/08/2024) ** 0.42%
Tata Motors Finance Solutions Ltd (10/11/2023) ** 0.32%
Muthoot Finance Ltd (15/05/2024) ** 0.20%
Small Industries Dev Bank of India (15/02/2024) ** 0.19%
HDFC Bank Ltd (16/04/2024) ** 0.18%
IGH Holdings Private Ltd (19/03/2024) ** 0.14%
Commercial Paper Total 1.88%
Certificate of Deposit
ICICI Bank Ltd (13/06/2024) ** # 0.40%
Axis Bank Ltd (11/01/2024) # 0.15%
HDFC Bank Ltd (20/02/2024) ** # 0.15%
HDFC Bank Ltd (05/02/2024) # 0.13%
Bank of Baroda (20/12/2023) ** # 0.09%
Small Industries Dev Bank of India (31/01/2024) ** # 0.06%
Certificate of Deposit Total 0.98%
State Government Bond
7.49% MEGHALAYA SDL (21/12/2027) 0.32%
6.99% Telangana SDL (10/06/2028) 0.14%
7.61% Rajasthan SDL (29/03/2027) 0.13%
7.74% Tamilnadu UDAY SDL (22/02/2024) 0.13%
7.59% Karnataka SDL (29/03/2027) 0.05%
7.25% Punjab SDL (14/06/2027) 0.04%
7.85% Rajasthan SDL (15/03/2027) 0.02%
8.39% Andhra Pradesh SDL (27/01/2026) 0.02%
State Government Bond Total 0.84%
Zero Coupon Bond
Hero Fincorp Ltd 0.68%
Zero Coupon Bond Total 0.68%
Cash & Other Receivables Total 1.64%
Total 100.00%

** Thinly Traded / Non Traded Security # Unlisted Security


Growth of Rs. 10,000 invested at inception: 24,970

Returns (in%)
1 Yr 3 Yrs 5 Yrs SI
MAHEF 14.65% 17.84% 12.73% 11.85%
Scheme Benchmark* 13.21% 16.77% 12.71% 11.50%
Additional Benchmark** 16.15% 21.49% 14.05% 12.61%
NAV as on 29th September, 2023 ₹ 24.970
Index Value (29th September, 2023) Index Value of Scheme benchmark is 16,154.46 and S&P BSE Sensex (TRI) is 1,00,641.85
Allotment Date 29th July, 2015
Scheme Benchmark *CRISIL Hybrid 35+65 -Aggressive Index
Additional Benchmark **S&P BSE Sensex (TRI)

Fund managers: Mr. Harshad Borawake (Equity Portion) (April 01, 2020), Vrijesh Kasera (Equity Portion) (Since April 01, 2020) & Mr. Mahendra Jajoo (Debt Portion) (since September 08, 2016)
Note: Returns below or for 1 year are absolute returns, returns above 1 year are CAGR- Compounded Annualized Growth returns.
Latest available NAV has been taken for return calculation wherever applicable

Past Performance may or may not be sustained in future.
Note : For computation of since inception returns (%) the allotment NAV has been taken as ₹ 10.00. The performance of other funds managed by the same fund managers are given in the respective page of the schemes
Different Plans under the scheme has different expense structure. The reference and details provided here in are of Regular Plan - Growth Option

Period Total Amount Invested Mkt Value as on
29-September-2023
SI
9,80,000 16,68,519
7 Yrs
8,40,000 13,19,534
5 Yrs
6,00,000 8,47,182
3 Yrs
3,60,000 4,31,161
1 Yr
1,20,000 1,30,729

Returns (%)
Period
SI
7yrs
5yrs
3yrs
1yr
Fund Return& (%)
12.70 12.69 13.79 12.11 17.15
Benchmark Return& (%)
12.54 12.63 13.64 11.66 15.28
Add. Benchmark Return& (%)
14.65 14.88 15.80 13.42 14.63

& The SIP returns are calculated by XIRR approach assuming investment of ₹ 10,000/- on the 1st working day of every month.

Volatility 10.23%
Beta: 1.02
R Squared 0.92
Sharpe Ratio#: 1.06
Information Ratio 0.37
Portfolio Turnover Ratio 0.58 times

@The Volatility, Beta, R Squared, Sharpe Ratio & Information Ratio are calculated on returns from last three years Monthly data points. # Risk free rate: FBIL OVERNIGHT MIBOR as on 29th September, 2023.^Basis last rolling 12 months.

This product is suitable for investors who are seeking*
• Capital appreciation along with current income over long term
• Aggressive hybrid fund investing predominantly In equites & equity related instruments with balance exposure to debt & money market instruments

*Investors should consult their financial advisers if they are not clear about the suitability of the product.

Regular Plan
Record Date Quantum
(₹ per unit)
Face Value
(₹ per unit)
NAV
(₹ per unit)
14-Feb-23
1.25
10.00
15.490
Direct Plan
Record Date Quantum
(₹ per unit)
Face Value
(₹ per unit)
NAV
(₹ per unit)
14-Feb-23
1.50
10.00
18.300

Past Performance may or may not be sustained in future. Pursuant to payment of IDCW the NAV of the IDCW option of the scheme will fall to the extent of payout and statutory levy (if any). IDCW history is for MAHEF- Regular & Direct Plan - IDCW Option