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Tata Ethical Fund Direct Growth – NAV, Returns & Review

Comprehensive Fund Analysis: Tata Ethical Fund

Tata Ethical Fund: A Shariah-Compliant Investment Analysis

This fund aims for medium to long-term capital gains by investing in a portfolio of Shariah-compliant equity instruments from well-researched companies.

Fund Overview

Portfolio, Expenses & Loads

Asset Allocation (Shariah Compliant)

  • Equity Instruments: 80% - 100%
  • Other Instruments (incl. Cash): 0% - 20%

Expense Ratio & Loads

  • Direct Plan Expense: 0.60% (FY 2024–25)
  • Regular Plan Expense: 1.85% (FY 2024–25)
  • Entry Load: Nil
  • Exit Load: 0.50% if redeemed within 90 days

Performance Analysis

Fund Performance (as on 31 Mar 2025)

This table shows the compounded annual growth rate (CAGR) for different periods.

PeriodDirect GrowthRegular GrowthBenchmark
1 Year3.56%2.28%3.15%
3 Years (CAGR)9.95%8.59%9.55%
5 Years (CAGR)23.41%21.93%23.76%
Since Inception15.14%15.85%15.54%

Calculated Returns (Direct Plan - Growth)

These returns are calculated using specific NAVs from the historical data, ending on 18-Jun-2025.

  • Latest NAV: ₹433.8542 (as of 18-Jun-2025)
  • 1-Year CAGR: –2.77% (vs. ₹446.1966 on 19-Jun-2024)
  • 3-Year CAGR: +17.38% (vs. ₹268.2570 on 17-Jun-2022)
  • 5-Year CAGR: +21.70% (vs. ₹162.5085 on 22-Jun-2020)

Historical NAV Chart (Direct Plan - Growth)

This chart visualizes the complete NAV history of the Tata Ethical Fund's Direct-Growth plan from June 2020 to June 2025, based on the provided data.

Key Insights for Investors

Consistent Long-Term Performance

The fund has closely matched its benchmark (Nifty 500 Shariah TRI) since inception, demonstrating its ability to generate wealth while adhering to Shariah principles. The strong long-term SIP returns further validate its performance.

High-Quality Large-Cap Focus

The portfolio is heavily concentrated in large-cap market leaders like TCS, Infosys, and HUL. This approach typically reduces volatility compared to mid or small-cap funds, making it suitable for moderately risk-averse investors.

Competitive Expense Ratio

The Direct Plan expense ratio of 0.60% is competitive for an actively managed thematic fund. This lower cost structure allows investors to retain a larger portion of the generated returns over the long term.

Risk & Volatility Management

With a Sharpe Ratio of 1.19 (close to the benchmark's 1.35), the fund shows efficient risk-adjusted returns. Its low equity turnover (10.32%) suggests a stable, buy-and-hold strategy, which is beneficial for minimizing transaction costs and managing capital gains tax.

Investment Portfolio Dashboard

Comprehensive overview of fund allocation, risk assessment, and performance metrics for Tata Ethical Fund

Sector Allocation

Sector Distribution
SectorPercentage
Information Technology28.32%
Capital Goods16.31%
Fast Moving Consumer Goods10.95%
Consumer Durables8.55%
Healthcare8.01%
Automobile And Auto Components7.71%
Chemicals6.45%
Construction Materials4.92%
Textiles1.91%
Oil Gas And Consumable Fuels1.15%
Consumer Services1.14%
Diversified0.98%
Metals And Mining0.78%
Sector Visualization

Market Capitalization Wise Exposure

Capitalization Distribution
CategoryPercentage
Large Cap57.23%
Mid Cap33.42%
Small Cap9.35%

Market Capitalisation is as per list provided by AMFI.

Capitalization Breakdown

Fund Risk Assessment

Fund Riskometer

Investors understand that their principal will be at Very High Risk.

Benchmark Riskometer

Benchmark Riskometer is at Very High Risk.

Top 10 Equity Holdings
Company% of NAV
TCS7.18%
Infosys6.60%
HUL5.07%
HCL Tech4.13%
Siemens3.00%
Cummins2.76%
Ambuja Cements2.74%
Carborundum2.67%
Tech M2.57%
PI Industries2.28%

SIP Returns (₹10,000/month)

HorizonFund ValueCAGRBenchmark TRI ValueBenchmark CAGR
1 Year₹1,28,75313.87%₹1,24,1756.55%
3 Years₹4,51,62215.32%₹4,30,17911.94%
5 Years₹9,08,44116.62%₹8,84,55215.54%
7 Years₹14,05,66814.46%₹14,01,59614.38%
10 Years₹24,26,90013.50%₹25,53,51314.45%
Since Inception₹5,41,33,04617.38%₹2,09,54,68314.23%

Peer Comparison

Fund1-Yr Return3-Yr Return5-Yr ReturnExpense RatioSharpe Ratio
Tata Ethical Fund Direct – Growth3.56%9.95%23.41%0.60%1.19
Aditya Birla Sun Life ESG Integration Strategy12.86%18.37%1.44%0.48
Quantum ESG Best-in-Class Strategy9.72%17.42%23.48%0.75%0.53
SBI ESG Exclusionary Strategy7.29%17.92%23.72%1.34%0.59

2 thoughts on “Tata Ethical Fund Direct Growth – NAV, Returns & Review”

  1. Pingback: Flexi Cap Funds Crash: NAV Slumps Up to 18%

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