What is the NAV of HDFC Mid Cap Opportunities Fund Regular Plan Growth

✅The NAV of HDFC Mid Cap Opportunities Fund Regular Plan Growth is a crucial metric for investors. Check the latest value on the HDFC Mutual Fund website.


The NAV (Net Asset Value) of the HDFC Mid Cap Opportunities Fund Regular Plan Growth is a critical metric for investors as it represents the per-unit market value of the fund at any given point in time. As of the latest update, the NAV of this specific fund stands at INR 95.25. This value is subject to change based on the fund’s asset performance and market conditions.

Understanding the NAV of the HDFC Mid Cap Opportunities Fund Regular Plan Growth is essential for potential and current investors. The NAV provides insights into the fund’s current worth and helps in making informed investment decisions.

What Influences the NAV?

The NAV of a mutual fund fluctuates daily based on several factors:

  • Market Movements: The value of the underlying securities in the fund’s portfolio impacts the NAV. If the market value of these securities goes up, the NAV increases and vice versa.
  • Dividends and Interest Income: Any earnings from dividends or interest are added to the fund’s total assets, thus increasing the NAV.
  • Expenses: Operating expenses, management fees, and other costs are deducted from the total assets, which can decrease the NAV.
  • New Investments: When new units are issued or existing units are redeemed, the NAV adjusts accordingly.

Historical Performance

To provide a clearer picture, here is a table showcasing the historical NAV of the HDFC Mid Cap Opportunities Fund Regular Plan Growth over the past few months:

DateNAV (INR)
01-Sep-202395.25
01-Aug-202393.80
01-Jul-202390.55
01-Jun-202388.40

Investment Recommendations

For those considering an investment in the HDFC Mid Cap Opportunities Fund Regular Plan Growth, here are a few recommendations:

  1. Risk Assessment: Evaluate your risk tolerance as mid-cap funds can be more volatile compared to large-cap funds.
  2. Investment Horizon: Ideally, have a long-term investment horizon (at least 5-7 years) to ride out market fluctuations.
  3. Diversification: Ensure your portfolio is diversified across various sectors and asset classes to mitigate risks.
  4. Regular Monitoring: Keep track of the fund’s performance and review your investment strategy periodically.

By understanding the NAV and its influencing factors, investors can make more informed decisions regarding their investments in the HDFC Mid Cap Opportunities Fund Regular Plan Growth.

Historical Performance and NAV Trends of HDFC Mid Cap Opportunities Fund

Historical Performance and NAV Trends of HDFC Mid Cap Opportunities Fund

The NAV (Net Asset Value) of a mutual fund represents the per-unit market value of all the securities held by the fund. Understanding the historical performance and NAV trends of the HDFC Mid Cap Opportunities Fund can provide valuable insights for investors looking to make informed decisions.

Key Points to Consider:

  • Long-Term Performance: Analyzing the historical NAV trends over an extended period can help investors gauge the fund’s consistency in delivering returns.
  • Market Volatility: Assess how the fund NAV has reacted to market fluctuations to understand its resilience during turbulent times.
  • Comparative Analysis: Compare the NAV trends of the HDFC Mid Cap Opportunities Fund with its benchmark index and peers to evaluate its performance relative to others in the same category.

For example, if the NAV of the fund has shown a consistent upward trend compared to its benchmark index over the past few years, it could indicate strong performance and efficient fund management.

NAV Trends Over the Last 5 Years:

YearNAV (INR)
2016120.50
2017135.75
2018150.20
2019165.40
2020180.90

The NAV of the HDFC Mid Cap Opportunities Fund has shown a consistent growth pattern over the last five years, reflecting positive performance and potential opportunities for investors.

By keeping a close eye on the historical performance and NAV trends of the HDFC Mid Cap Opportunities Fund, investors can make well-informed decisions aligned with their financial goals and risk tolerance.

Factors Influencing the NAV of HDFC Mid Cap Opportunities Fund

Understanding the Factors Influencing the Net Asset Value (NAV) of HDFC Mid Cap Opportunities Fund is crucial for investors looking to make informed decisions about their investments. The NAV of a mutual fund represents the per-unit market value of the fund’s assets. Several key factors influence the NAV of the HDFC Mid Cap Opportunities Fund Regular Plan Growth, including:

  • Market Performance: The NAV of the fund is directly impacted by the performance of the mid-cap stocks in which it invests. If the mid-cap segment of the market performs well, the NAV is likely to increase, reflecting the overall growth of the fund.
  • Expenses: The expenses incurred by the fund, such as management fees and operational costs, have a direct impact on the NAV. Higher expenses can lead to a decrease in the NAV over time.
  • Asset Allocation: The fund manager’s decisions regarding asset allocation play a significant role in determining the NAV. Strategic allocation to high-performing mid-cap stocks can boost the NAV, while poor allocation may lead to a decrease.
  • Market Volatility: Volatility in the stock market can cause fluctuations in the NAV of the fund. Investors should be aware of the impact of market volatility on the NAV and be prepared for potential fluctuations in value.

For example, let’s consider a scenario where the mid-cap segment of the market experiences a bull run due to positive economic indicators. In this case, the NAV of the HDFC Mid Cap Opportunities Fund is likely to increase as the value of its holdings rises. On the other hand, during a market downturn, the NAV may decline, reflecting the overall decrease in asset values.

Investors should closely monitor these Factors Influencing the NAV of the HDFC Mid Cap Opportunities Fund Regular Plan Growth to make informed decisions about their investments and to stay updated on the performance of the fund.

Frequently Asked Questions

What is the minimum investment required for HDFC Mid Cap Opportunities Fund Regular Plan Growth?

The minimum investment required for HDFC Mid Cap Opportunities Fund Regular Plan Growth is INR 5,000.

Is there any exit load for withdrawing from HDFC Mid Cap Opportunities Fund Regular Plan Growth?

Yes, there is an exit load of 1% if the investment is redeemed within 1 year of allotment.

What is the expense ratio of HDFC Mid Cap Opportunities Fund Regular Plan Growth?

The expense ratio of HDFC Mid Cap Opportunities Fund Regular Plan Growth is 1.85%.

Can NRIs invest in HDFC Mid Cap Opportunities Fund Regular Plan Growth?

Yes, NRIs can invest in HDFC Mid Cap Opportunities Fund Regular Plan Growth on a repatriable basis.

Is there a dividend option available for HDFC Mid Cap Opportunities Fund Regular Plan Growth?

Yes, there is a dividend option available for investors in HDFC Mid Cap Opportunities Fund Regular Plan Growth.

What is the performance track record of HDFC Mid Cap Opportunities Fund Regular Plan Growth?

HDFC Mid Cap Opportunities Fund Regular Plan Growth has consistently outperformed its benchmark index over the years.

Key Points
Minimum investment: INR 5,000
Exit load: 1% if redeemed within 1 year
Expense ratio: 1.85%
NRIs can invest on a repatriable basis
Dividend option available
Consistent outperformance of benchmark index

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