Mutual Funds

Tata Nifty Realty Index Fund - Regular Plan - IDCW Reinvestment

Tata Mutual FundIndexVery High Risk
₹9.27+0.13 (+1.38%)

NAV as on 2026-07-17 · Equity · Index

AUM

₹52 Cr

1Y Return

-8.9%

3Y CAGR

-

5Y CAGR

-

Expense

0.90%

Risk

Very High

Tata Nifty Realty Index Fund
₹9.27+1.38%

1Y Return

-8.9%

3Y CAGR

-

5Y CAGR

-

Since Inception

-3.6%

AI Fund Analysis

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NAV History

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52-Week NAV Range

₹6.59
₹10.23

74% from 52W low

Fund Information

IndexEquitySince 30-04-2024

Fund House

Tata Mutual Fund

Category

Equity - Index

Min SIP

₹500

Min Lumpsum

₹5,000

Portfolio Composition

Asset Allocation

Equity100.0%

Market Cap Split

Large Cap19.1%
Mid Cap66.4%
Small Cap14.9%

Top Holdings

12 stocks
Weight1M Change
1

DLF Ltd

Real Estate

18.94%+4.9%
2

Phoenix Mills Ltd

Real Estate

16.57%+4.9%
3

Godrej Properties Ltd

Real Estate

13.73%+4.8%
4

Lodha Developers Ltd

Real Estate

12.71%+4.8%
5

Prestige Estates Projects Ltd

Real Estate

12.00%+4.8%
6

Oberoi Realty Ltd

Real Estate

9.88%+4.8%
7

Brigade Enterprises Ltd

Real Estate

5.52%+4.8%
8

Aditya Birla Real Estate Ltd

Real Estate

3.91%+4.8%
9

Anant Raj Ltd

Real Estate

3.74%+4.9%
10

Sobha Ltd

Real Estate

3.21%+4.8%

Sector Allocation

Weight1M Change
Real Estate
100.2%+49%

Fundamentals

P/E Ratio

35.55

Cat avg: 24.05

P/B Ratio

3.74

Cat avg: 3.79

Dividend Yield

0.47%

Cat avg: 1.58%

Price/Sale

8.22

Price/Cash Flow

27.55

Peer Comparison

FundAUM (Cr)Exp %1Y3Y5Y
Tata Nifty Realty Index Reg IDCW-R520.90-8.9%--
DSP BFSI Next Index Fund Reg IDCW-P-0.64---
UTI Nifty 50 Index Fund Reg IDCW-P28,6850.38-2.3%+8.2%+9.8%
ICICI Pru Nifty 50 Index IDCW-P16,8390.35-2.4%+8.1%+9.7%
SBI Nifty Index Reg IDCW-P13,6460.40-2.4%+8.0%+9.6%
ICICI Pru Nifty Next 50 Index IDCW-P9,4760.59+4.7%+17.3%+12.9%
Nippon India Index Nifty 50 Ann IDCW-P3,7920.35-2.4%+8.0%+9.3%
Nippon India Nifty Smallcap250IRegIDCW-P3,2940.81-0.6%+16.8%+13.9%
Bandhan Nifty 50 Index IDCW-P2,7020.51-2.6%+7.8%+9.5%
Nippon India Nifty Midcap150IdxRegIDCW-P2,5870.68+4.2%+18.4%+16.6%

What If I Had Invested?

NAV history not available for this range

Key Metrics

AUM₹52 Cr
Expense Ratio0.90%
Volatility (3Y)-
Sharpe Ratio-
Sortino Ratio-
Beta-
Min SIP₹500
Min Lumpsum₹5,000
Holdings12

Risk-o-Meter

Low

Moderate

High

Very High

Rated as Very High risk

Disclaimer: Mutual fund investments are subject to market risks. Read all scheme related documents carefully. Past performance is not indicative of future returns. NAV data sourced from AMFI. This is not SEBI-registered investment advice.