Home Mf Research Invesco India Flexi Cap Fund

Invesco India Flexi Cap Fund

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  • SI
Fund info
NAV (as on 2026-09-11)
₹19.44 -0.36%
AUM (Fund Size)
5467.9 Cr
Expense Ratio
N/A
Exit load
Exit load of 1,000.00% if redeemed within 365 days.
Risk
Very High
AMC
INVESCO MUTUAL FUND
View AMC Details

SIP Returns

Period Invested for ₹1000 SIP Started on Investments Latest Value Abs. Returns
One Week 2026-09-04 ₹1,000.00 ₹985.30
-1.47 %
Two Week 2026-08-27 ₹1,000.00 ₹975.90
-2.41 %
One Month 2026-08-12 ₹1,000.00 ₹976.88
-2.31 %
Three Months 2026-06-15 ₹3,000.00 ₹3,032.79
1.09 %
Six Months 2026-03-16 ₹6,000.00 ₹6,408.38
6.81 %
One Year 2025-09-11 ₹12,000.00 ₹12,625.04
5.21 %
Three Year 2023-09-12 ₹36,000.00 ₹41,730.13
15.92 %
Since Inception 2022-01-13 ₹57,000.00 ₹80,294.89
40.87 %

Return Calculator

SIP Amount
1M
6M
1Y
3Y
5Y
Investment
₹0
Maturity Value
₹0
Abs. Returns
0
Current CAGR
0

Portfolio

Allocation of Equity and Debt Asset Classes.

Equity N/A
Debt N/A
Others N/A

Sectors Holding in Invesco India Flexi Cap Fund

Other
97.98%

Companies Holding in Invesco India Flexi Cap Fund

ICICI Bank Limited
6.14%
Larsen & Toubro Limited
3.56%
Bajaj Finance Ltd
3.55%
Cholamandalam Investment And Finance Company Limited
2.79%
Titan Company Limited
2.75%
Sai Life Sciences Limited
2.74%
Max Healthcare Institute Limited
2.65%
BSE Limited
2.16%
Trent Limited
2.16%
TVS Motor Company Limited
0.02%
Tata Motors Ltd
2%
InterGlobe Aviation Limited
1.94%
AU Small Finance Bank Limited
1.92%
Multi Commodity Exchange Of India Limited
1.9%
PB Fintech Limited
1.84%
Mahindra & Mahindra Limited
1.84%
Aditya Infotech Limited
1.84%
Coforge Limited
1.81%
Krishna Institute Of Medical Sciences Limited
1.73%
Prestige Estates Projects Limited
1.69%
Billionbrains Garage Ventures Ltd
1.64%
Bharti Airtel Limited
1.62%
Global Health Limited
1.53%
Schneider Electric Infrastructure Limited
1.53%
HCL Technologies Limited
1.51%
L&T Finance Limited
1.47%
Hindustan Aeronautics Limited
1.43%
The Phoenix Mills Limited
1.42%
Apollo Hospitals Enterprise Limited
1.38%
Ather Energy Limited
1.36%
Belrise Industries Ltd.
1.35%
Nuvama Wealth Management Ltd
1.31%
JK Cement Limited
1.27%
Tech Mahindra Limited
1.26%
Meesho Ltd
1.21%
KEI Industries Limited
1.21%
Eternal Limited
1.2%
Dixon Technologies (India) Limited ‡
1.1%
Hexaware Technologies Limited
1.09%
Vishal Mega Mart Limited
1.06%
Knowledge Marine & Engineering Works Limited
1.06%
FSN E-Commerce Ventures Limited
1.03%
Bharat Electronics Limited
1%
Persistent Systems Ltd
0.96%
SBI Funds Management Limited
0.95%
HDFC Asset Management Company Limited
0.95%
Anand Rathi Wealth Limited
0.95%
Home First Finance Company India Limited
0.91%
Polycab India Limited
0.87%
Dr Agarwals Health Care Limited
0.87%
Transformers And Rectifiers (India) Limited
0.86%
Blue Star Limited
0.83%
Lenskart Solutions Limited
0.76%
Jubilant Foodworks Limited
0.76%
UNO Minda Limited
0.72%
Tata Consultancy Services Limited
0.59%
Ethos Ltd.
0.58%
Safari Industries (India) Limited
0.57%
Cohance Lifesciences Limited
0.53%
Bansal Wire Industries Limited
0.53%
RBL Bank Limited
0.5%
Fractal Analytics Ltd
0.5%
Shyam Metalics And Energy Limited
0.49%
Oberoi Realty Limited
0.46%
Concord Biotech Limited
0.46%
Delhivery Limited
0.45%
Metro Brands Limited
0.36%
Zensar Technologies Limited
0.3%
Dredging Corporation Of India Limited
0.25%
Cube Highways Trust- InvIT Fund
0.57%
Indus Infra Trust
0.3%
Triparty Repo
3.72%
Invesco India Liquid Fund - Direct Plan - Growth
0%
Net Receivables / (Payables)
-0.64%

Risk Ratios

Std. Deviation 4.99%
Beta 1.05
Sharpe Ratio 0.21
Lock In Period N/A
Residual Maturity N/A

Standard Deviation:

Standard deviation numbers measure the variability or volatility of a fund's returns over a specific time period (often 3 years).
  • Low standard deviation = Stable, predictable returns → Suitable for conservative investors seeking stability.
  • High standard deviation = High volatility, more risk → Be cautious, suitable for risk-tolerant investors who can handle fluctuations.

Beta:

Beta measures a fund's volatility about the market or a benchmark. A lower beta means the fund's performance is less sensitive to market movements, making it more predictable compared to the market.
  • Low beta = Less sensitive to market changes → Great for investors with less market exposure.
  • High beta = More sensitive to market changes → Better for aggressive investors who seek higher returns but can handle market risks.

Sharpe Ratio:

The Sharpe Ratio measures how much return a fund has made compared to the risk it carries. A higher Sharpe ratio indicates better returns relative to the risk taken, meaning the fund delivers more efficiently.
  • A higher Sharpe ratio indicates better risk-adjusted returns → Look for funds with higher ratios for better return efficiency.
  • Use it to compare different funds' efficiency in generating returns relative to the risk taken.

Lock-In Period:

India's "lock-in period" in mutual funds encourages long-term investment, particularly in tax-saving schemes preventing redemption or selling of units.

Lock-in times for various investment types

  • Most ELSS mutual fund holders hold for 3 years.
  • Tax savings FDs lock in for 5 years.
  • The lock-in period for 8% Government of India bond investment is 6 years.
  • ULIPs must be locked in for 5 years.
  • The average hedge fund holding period is 30-90 days.
  • The average PPF investor holds onto their money for 15 years.

Residual Maturity:

Residual maturity is the remaining time until a security reaches its maturity date. It is an important factor for investors to consider when evaluating the risk associated with an investment.

There are two different types of residual maturity.

  • Short-term residual maturity: This occurs when a security has less than a year left on its maturity.
  • Long-term residual maturity: This occurs when a security has more than a year left on its remaining maturity.

Risk-O-Meter

Investors understand that their principal will be at
Very High

Scheme Objective

To generate capital appreciation by dynamically investing in a mix of equity and equity related instruments across market capitalization i.e. large, mid and small cap stocks. There is no assurance that the investment objective of the Scheme will be achieved

Scheme Details

Min. SIP Amount
N/A
Min. Lumpsum Amount
N/A
AUM (in Cr.)
N/A
Expense Ratio Regular
N/A
Expense Ratio Direct
N/A
Lock-in Period
N/A
Fund Age
N/A
Benchmark
BSE 500
Fund managers
Taher Badshah Fatema Pacha
31 Years Experience

Exit Load

Exit load of 1,000.00% if redeemed within 365 days .

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