Motilal Oswal Services Fund

Regular
Direct

1 Year Absolute Returns

-

NAV (₹) on 27 Mar 2026

9.38

1 Day NAV Change

-1.72%

Risk Level

Very High Risk

Rating

-

Motilal Oswal Services Fund is a Equity mutual fund categorized under Sector, offered by Motilal Oswal Asset Management Company Ltd.. Launched on 20 May 2025, investors can start with a minimum SIP of ... Read more

NAV History

Fund Details

Min. SIP Amount
₹500
Inception Date
20 May 2025
Min. Lumpsum Amount
₹ 500
Fund Age
0 Yrs
AUM
₹ 103.44 Cr.
Benchmark
Nifty Services Sector Total Return
Expense Ratio
2.33%
Scheme Type
Open Ended
Exit Load
1%

Asset Allocation

AUM

₹ 103.44 Cr

Equity
95.51%
Money Market & Cash
2.22%
Other Assets & Liabilities
2.24%

Sector Holdings

Sectors Weightage
IT Consulting & Software 15.05%
Hospitals & Medical Services 12.77%
Non-Banking Financial Company (NBFC) 11.41%
Finance & Investments 9.04%
Financial Technologies (Fintech) 5.15%
IT Equipments & Peripherals 4.46%
Consumer Electronics 4.12%
Finance - Mutual Funds 3.29%
Finance - Banks - Public Sector 2.98%
Finance - Life Insurance 2.95%
Exchange Platform 2.47%
Finance - Banks - Private Sector 2.36%
Services - Others 2.24%
Net Receivables/(Payables) 2.24%
Money Market Instruments 2.22%
Education - Coaching/Study Material/Others 2.21%
Steel - Tubes/Pipes 2.16%
Entertainment & Media 2.05%
E-Commerce/E-Retail 1.99%
Retail - Apparel/Accessories 1.81%
Logistics - Warehousing/Supply Chain/Others 1.42%
Tours & Travels 1.22%
Hotels, Resorts & Restaurants 0.91%
Retail - Speciality - Non Apparel 0.91%
Castings/Foundry 0.89%
Auto - Tractors 0.85%
Electronics - Equipment/Components 0.80%

Stock Holdings

Name Weightage Value (in Cr.) Sector
Aster DM Healthcare Limited 7.15% ₹ 7.40 Hospitals & Medical Services
Aditya Birla Capital Limited 6.74% ₹ 6.97 Finance & Investments
Shriram Finance Limited 6.62% ₹ 6.85 Non-Banking Financial Company (NBFC)
One 97 Communications Limited 5.15% ₹ 5.33 Financial Technologies (Fintech)
Aditya Infotech Limited 4.46% ₹ 4.62 IT Equipments & Peripherals
Apollo Hospitals Enterprise Limited 4.23% ₹ 4.38 Hospitals & Medical Services
Birlasoft Limited 4.20% ₹ 4.35 IT Consulting & Software
ICICI Prudential Asset Management Company Limited 3.29% ₹ 3.41 Finance - Mutual Funds
LG Electronics India Ltd 3.07% ₹ 3.18 Consumer Electronics
State Bank of India 2.98% ₹ 3.08 Finance - Banks - Public Sector
Canara HSBC Life Insurance company Ltd 2.95% ₹ 3.05 Finance - Life Insurance
Zensar Technologies Limited 2.90% ₹ 3 IT Consulting & Software
Bajaj Finance Limited 2.82% ₹ 2.92 Non-Banking Financial Company (NBFC)
Multi Commodity Exchange of India Limited 2.47% ₹ 2.55 Exchange Platform
Hexaware Technologies Limited 2.38% ₹ 2.46 IT Consulting & Software
DCB Bank Limited 2.36% ₹ 2.44 Finance - Banks - Private Sector
Net Receivables / (Payables) 2.24% ₹ 2.32 Others
Collateralized Borrowing & Lending Obligation 2.22% ₹ 2.30 Others
PhysicsWallah Limited 2.21% ₹ 2.29 Education - Coaching/Study Material/Others
APL Apollo Tubes Limited 2.16% ₹ 2.23 Steel - Tubes/Pipes
Amagi Media Labs Limited 2.05% ₹ 2.12 Entertainment & Media
Meesho Ltd 1.99% ₹ 2.06 E-Commerce/E-Retail
Muthoot Finance Limited 1.97% ₹ 2.03 Non-Banking Financial Company (NBFC)
CRISIL Limited 1.87% ₹ 1.94 Services - Others
V2 Retail Limited 1.81% ₹ 1.87 Retail - Apparel/Accessories
Mastek Limited 1.52% ₹ 1.58 IT Consulting & Software
C.E. Info Systems Limited 1.51% ₹ 1.57 IT Consulting & Software
Shadowfax Technologies Limited 1.42% ₹ 1.47 Logistics - Warehousing/Supply Chain/Others
Healthcare Global Enterprises Limited 1.39% ₹ 1.44 Hospitals & Medical Services
Intellect Design Arena Limited 1.29% ₹ 1.33 IT Consulting & Software
Fractal Analytics Ltd 1.25% ₹ 1.30 IT Consulting & Software
Yatra Online Limited 1.22% ₹ 1.27 Tours & Travels
Religare Enterprises Limited 1.19% ₹ 1.23 Finance & Investments
Cholamandalam Financial Holdings Limited 1.11% ₹ 1.14 Finance & Investments
Avalon Technologies Limited 1.05% ₹ 1.09 Consumer Electronics
Restaurant Brands Asia Limited 0.91% ₹ 0.94 Hotels, Resorts & Restaurants
Aditya Vision Ltd 0.91% ₹ 0.94 Retail - Speciality - Non Apparel
AIA Engineering Limited 0.89% ₹ 0.92 Castings/Foundry
Escorts Kubota Limited 0.85% ₹ 0.88 Auto - Tractors
GNG Electronics Ltd 0.80% ₹ 0.83 Electronics - Equipment/Components
Wework India Management Limited 0.37% ₹ 0.38 Services - Others

Returns

Annualised returns
9M 1Y 2Y 3Y
Fund returns -8.64% - - -
Category returns -6.96% 1.07% 6.24% 23.23%

Fund Objective

The primary objective of the Scheme is to generate long-term capital appreciation by investing in equity or equity related instruments across market capitalization of companies derive the majority of ... Read more

AMC Details

Name
Motilal Oswal Asset Management Company Ltd.
Date of Incorporation
29 Dec 2009
CEO
Mr. Prateek Agrawal
CIO
Type
Pvt.Sector-Indian
Address
Motilal Oswal Tower, 10th Floor, Rahimtullah Sayani Road, Opposite Parel ST Depot, Prabhadevi, Mumbai, Maharashtra, India - 400025
Website
http://www.motilaloswalmf.com

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Top Funds from Motilal Oswal Asset Management Company Ltd.

Scheme Name
NAV
Returns
1Y 3Y 5Y
AUM (Cr)
Expense Ratio
Risk Meter
Motilal Oswal Nifty Bank Index Fund
Index Regular
1.12% 31.90% 54.59% ₹680 0.99%
Very High
Motilal Oswal Focused Fund
Diversified Regular
5.36% 31.58% 37.73% ₹1,454 2.14%
Very High
Motilal Oswal Nifty 5 year Benchmark G-Sec ETF
ETF Regular
5.34% 23.06% 32.48% ₹154 0.24%
Moderate
Motilal Oswal 5 Year G-Sec Fund Of Fund - Direct Plan
Gilts LT Direct
6.02% 23.04% 0.00% ₹48 0.14%
Moderately High
Motilal Oswal Balance Advantage Fund - Direct Plan
Hybrid Direct
-3.91% 22.99% 25.11% ₹769 1.07%
Very High
Motilal Oswal 5 Year G-Sec Fund Of Fund
Gilts LT Regular
5.93% 22.76% 0.00% ₹48 0.22%
Moderately High
Motilal Oswal Liquid Fund - Unclaimed Dividend - Upto 3...
Liquid Regular
6.09% 21.43% 32.01% ₹1,048 0.36%
Low to Moderate
Motilal Oswal Liquid Fund - Unclaimed Redemption - Upto 3...
Liquid Regular
5.94% 21.24% 31.81% ₹1,048 0.36%
Low to Moderate
Motilal Oswal Liquid Fund - Direct Plan
Liquid Direct
5.93% 21.16% 31.66% ₹1,048 0.17%
Low to Moderate
Motilal Oswal Ultra Short Term Fund - Direct Plan
STP Direct
6.06% 20.60% 30.31% ₹417 0.19%
Low to Moderate

FAQs

What is the current NAV of Motilal Oswal Services Fund Regular Growth?

The current Net Asset Value (NAV) of Motilal Oswal Services Fund Regular Growth is ₹9.38 as of 27 Mar 2026. NAV represents the per-unit market value of the fund and is updated daily based on the closing prices of the underlying securities.

What is the fund size (AUM) of Motilal Oswal Services Fund Regular Growth?

The Assets Under Management (AUM) of Motilal Oswal Services Fund Regular Growth is ₹103.44 Crores. AUM indicates the total market value of assets managed by the fund and reflects investor confidence and fund popularity.

What are the historical returns of Motilal Oswal Services Fund Regular Growth?

Motilal Oswal Services Fund Regular Growth has delivered returns of 0.00% (1 Year), 0.00% (3 Year), 0.00% (5 Year). Past performance does not guarantee future results, and investors should consider their risk appetite before investing.

What is the risk level of Motilal Oswal Services Fund Regular Growth?

Motilal Oswal Services Fund Regular Growth has a risk rating of 'Very High' as per the SEBI Riskometer. This indicates the fund is suitable for very aggressive investors comfortable with significant market volatility. Investors should align their investment choices with their personal risk tolerance and financial goals.

What is the minimum investment amount for Motilal Oswal Services Fund Regular Growth?

The minimum lumpsum investment required for Motilal Oswal Services Fund Regular Growth is ₹500. The fund also offers SIP (Systematic Investment Plan) option starting from as low as ₹500, making it accessible for regular investments. This allows investors to start their mutual fund journey with a manageable amount.

Disclaimer: This is 3rd Party content/feed, viewers are requested to use their discretion and conduct proper diligence before investing, GoodReturns does not take any liability on the genuineness and correctness of the information in this article

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