Featured Funds

We believe in growing together, that’s why we focus on delivering long-term results through active management.

Mahindra Manulife Multi Cap Badhat Yojana
Open Ended - Equity
Suitable for
Mid/long term capital appreciation
  • Plan: Regular
  • Option: Growth
Risk Profile Very High
NAV 20.3677
Minimum Invest Amount ₹1000
1 YEAR 3 YEARS 5 YEARS INCEPTION
Scheme CAGR 70.02%
Benchmark CAGR 64.92%
Scheme CAGR 20.37%
Benchmark CAGR 14.92%
This Scheme was launched on 11 May 2017, hence 5 years performance details is not available.
Scheme CAGR 16.77%
Benchmark CAGR 14.36%
Mahindra Manulife Focused Equity Yojana
Open Ended - Equity
Suitable for
Boosting long term investment
  • Plan: Regular
  • Option: Growth
Risk Profile Very High
NAV 15.3168
Minimum Invest Amount ₹1000
1 YEAR 3 YEARS 5 YEARS INCEPTION
This Scheme was launched on 17 Nov 2020, hence 1 year performance details is not available.
This Scheme was launched on 17 Nov 2020, hence 3 years performance details is not available.
This Scheme was launched on 17 Nov 2020, hence 5 years performance details is not available.
This Scheme was launched on 17 Nov 2020, hence the performance details is not available.
Mahindra Manulife Liquid Fund
Open Ended - Debt
Suitable for
Low-risk, High liquidity
  • Plan: Regular
  • Option: Growth
Risk Profile Low to Moderate
NAV 1350.624
Minimum Invest Amount ₹1000
1 YEAR 3 YEARS 5 YEARS INCEPTION
Scheme CAGR 3.28%
Benchmark CAGR 3.64%
Scheme CAGR 5.24%
Benchmark CAGR 5.48%
Scheme CAGR 5.9%
Benchmark CAGR 6.06%
Scheme CAGR 6.08%
Benchmark CAGR 6.08%
Mahindra Manulife Low Duration Fund
Open Ended - Debt
Suitable for
Parking short-term surplus
  • Plan: Regular
  • Option: Growth
Risk Profile Moderate
NAV 1318.9251
Minimum Invest Amount ₹1000
1 YEAR 3 YEARS 5 YEARS INCEPTION
Scheme CAGR 3.86%
Benchmark CAGR 4.92%
Scheme CAGR 6.32%
Benchmark CAGR 7.29%
This Scheme was launched on 15 Feb 2017, hence 5 years performance details is not available.
Scheme CAGR 6.25%
Benchmark CAGR 7.17%
Note:
CAGR - Compund Annualised Growth Rate
NAV data is as on 26 Sep 2021
Return data is as on 31 Aug 2021
Past performance may or may not be sustained in future and should not be used as a basis of comparison with other investments.