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Tata Flexi Cap Fund Regular-Growth

Tata Flexi Cap Fund Regular-Growth

Large CapEquity: Flexi CapVery High Risk
PaisaSmartPaisaSmart rating★★★★★★★★★★0

The fund is rated 0 stars. Balance between returns and downside risk provided limited support. Investment selection within each asset type and investment selection within each industry were the main limitations and did not provide enough support for a higher rating. Higher annual fee of 2.11% was a minor drawback.

Why this rating

This fund has a bad track record with Asset Selection/Timing, a bad track record with Stock Selection/Timing. It is important to note, however, that this fund has a 3663.048 AUM and a 2.11 expense ratio. Considering all these factors, we have rated this fund as 0.0 star.

Our score weighs long-term performance, risk and consistency — not just past returns.

Returns

As of 7 Oct 2026

1W
-0.13%
1M
-4.30%
3M
-6.34%
6M
+0.63%
9M
-10.96%
1Y
-8.61%
2Y
-2.27%
3Y
+7.20%
4Y
+9.13%
5Y
+6.34%
7Y
+11.50%
Since launch
+10.48%

Risk ratios

As of 30 Sep 2026

Standard deviation
13.95
Sharpe ratio
0.18
Sortino ratio
0.25
Beta
0.86
Alpha
-1.33
R-squared
0.94
Treynor ratio
2.88
Information ratio
-0.47
Mean
8.11

Portfolio

As of 31 Aug 2026

Market-cap split

Large cap64.87%Mid cap15.88%Small cap19.25%
P/E
22.20
P/B
2.92
Style
Growth

Sector allocation

Financial26.10%
Energy8.31%
Healthcare7.17%
Automobile5.93%
Construction5.88%
Insurance5.80%
Communication5.08%
Materials4.77%

Holdings (67)

Holding% of fundValueShares
ICICI Bank Ltd.6.36%₹232.8 Cr16,01,129
HDFC Bank Ltd.5.83%₹213.55 Cr30,12,000
Reliance Industries Ltd.4.29%₹157.12 Cr12,30,356
Axis Bank Ltd.3.87%₹141.7 Cr10,90,000
Bharti Airtel Ltd.3.69%₹135.17 Cr7,46,000
Others3.57%₹130.7 Cr—
Larsen & Toubro Ltd.2.66%₹97.28 Cr2,40,500
Maruti Suzuki India Ltd.2.43%₹89.14 Cr65,800
NTPC Ltd.2.35%₹86.1 Cr26,29,695
SBI Life Insurance Company Ltd.1.97%₹72.23 Cr4,15,000

Fund details

In brief

Capital Appreciation over medium to long term. Investment in a diversified portfolio consisting of equity and equity related instruments across market capitalization.

Investment objective

The Scheme aims to generate capital appreciation by investing in a diversified portfolio of equity & equity related instruments across market capitalization. The scheme will predominantly invest in equity and equity related instruments of well researched and growth oriented companies.

Exit load

Exit load of 0.50%, if redeemed within 30 days.

Fund type
Open-ended
Min lumpsum
₹5,000
Min withdrawal
₹500
Lock-in
None
SIP
Available
SWP
Available
STP
Available
Purchase cut-off
15:00
Frequently Asked Questions