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Mirae Asset BSE Select IPO ETF Fund of Fund

Trailing returns, risk, drawdown and the monthly calendar from stored AMFI closes.

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Head-to-head metrics for the compared funds
MetricMirae Asset BSE Select IPO ETF Fund of FundAMFI 153385
Latest NAV₹11.16 · 2026-10-01
1Y return-5.90%
3Y CAGR—
5Y CAGR—
RiskometerVery High since Jun 2025
BenchmarkBSE Select IPO TRI
1Y vs benchmark-17.9pp
3Y vs benchmark—
5Y vs benchmark—
Volatility (1Y)+18.22%
Worst fall (stored span)23.2% (2025-10-30 → 2026-03-31)
SIP XIRR (illustrative ₹10k/mo × 36M)—
AUM₹514 cr · April - June 2026
TER Direct · Regular0.12% · 0.64%
Minimum investment₹5,000
LaunchedFeb 2025
AMCMirae Asset Mutual Fund
AMFI categoryOpen Ended Schemes(Fund of Funds Scheme (Domestic) - Fund of Funds Scheme (Domestic))
Plan · OptionDirect Plan · Growth

Monthly returns

A bad quarter leaves a stripe; a good one leaves a green run. The right-hand column compounds only the months shown, so a year still open — or one the fund did not live through — never claims a return it cannot back.

Mirae Asset BSE Select IPO ETF Fund of Fundmonth-end to month-end, stored AMFI closes
Monthly NAV returns for Mirae Asset BSE Select IPO ETF Fund of Fund by calendar year, with each year compounded
YearJanFebMarAprMayJunJulAugSepOctNovDecYear
2025—————————+2.9%-2.2%-4.9%-4.3%
2026-7.4%-0.5%-9.4%+13.3%+0.5%+3.8%+3.7%+4.2%-5.7%-1.5%——-1.0%

Colour saturates at ±10% a month. The newest month runs to the latest stored close, so it is month-to-date rather than a full month.

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Selected AMFI codes: 153385

Tip: the screener shortlists by returns, AUM and category first.

Where these numbers come from

  • Returns and volatility are computed from AMFI's daily NAV closes — latest close 2026-10-01, day-old by design, never live.
  • AUM is AMFI's published quarterly average (AAUM) for April - June 2026.
  • TER is AMFI's monthly scheme-wise snapshot (regular + direct total expense ratios) — the only cost figure with an official feed.
  • Minimum investment and launch date come from AMFI's scheme-data download, refreshed daily. Minimums are the published first-purchase figure, not an investment recommendation; “REFER SID” schemes show “—”.
  • Riskometer level and benchmark come from AMFI's monthly fund-performance disclosure (month-end snapshots; riskometer history starts Nov-2021). “Since” dates mark the current risk level's streak; benchmark deltas compare scheme and benchmark returns at the same snapshot date. Unmapped benchmark strings print verbatim with no grouping.
  • AMFI publishes no exit-load, manager or holdings feed, so this page shows none — any site printing those without a dated factsheet source is guessing.
  • Nothing here is ranked or recommended. Compare mandates and costs, then read the AMC factsheet before investing. Educational content, not financial advice.

Sources: AMFI NAVAll.txt + average-AUM endpoint (attribution on every figure; redistribution status review-required per the source register).