Aggressive Mutual Funds
Find here some best Aggressive fund to invest
- Annual Returns 13.2%
- Average Risk Medium
- Total Funds 23
What is Aggressive Mutual Fund?
Aggressive hybrid mutual funds are balanced funds that combine both equity(stocks) and debt(bond) securities. Hybrid funds offer a primary advantage in their ability to adapt and capitalize on opportunities in the market. According to the SEBI, the investment of up to 80% is in stocks. The fund manager modifies allocations according to market conditions, and fluctuation between debt and stocks as needed.
For example- The fund management may decide to boost the allocation to equities if sentiment in the stock market is favorable. However, in situations where the stock market is underperforming or has a negative outlook, the fund manager may decide to raise the allocation to debt instruments.
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Top 5 Aggressive Funds for 2-3X Returns in 5 Yrs
Latest Recommendation By Team of ExpertsTop Performing Aggressive Funds in India for High Returns
|
Lumpsum 3Y P.a
13.79%
|
SIP 3Y P.a.
19.88%
|
Return Vs Category
High |
Risk Vs Category
High |
Invest | |
|
Kotak Equity Hybrid - Growth Hybrid |
Lumpsum 3Y P.a
13.23%
|
SIP 3Y P.a.
16.63%
|
Return Vs Category
High |
Risk Vs Category
High |
Invest |
|
Lumpsum 3Y P.a
11.6%
|
SIP 3Y P.a.
16.97%
|
Return Vs Category
Medium |
Risk Vs Category
High |
Invest | |
|
Lumpsum 3Y P.a
11.9%
|
SIP 3Y P.a.
17.33%
|
Return Vs Category
High |
Risk Vs Category
High |
Invest | |
|
Lumpsum 3Y P.a
15.19%
|
SIP 3Y P.a.
18.6%
|
Return Vs Category
High |
Risk Vs Category
High |
Invest | |
|
Lumpsum 3Y P.a
13.69%
|
SIP 3Y P.a.
17.68%
|
Return Vs Category
High |
Risk Vs Category
High |
Invest | |
|
Lumpsum 3Y P.a
14.93%
|
SIP 3Y P.a.
18.26%
|
Return Vs Category
High |
Risk Vs Category
High |
Invest | |
|
Lumpsum 3Y P.a
11.33%
|
SIP 3Y P.a.
15.9%
|
Return Vs Category
Low |
Risk Vs Category
High |
Invest | |
|
Lumpsum 3Y P.a
17.17%
|
SIP 3Y P.a.
19.22%
|
Return Vs Category
High |
Risk Vs Category
High |
Invest | |
|
Lumpsum 3Y P.a
6.7%
|
SIP 3Y P.a.
11.72%
|
Return Vs Category
Low |
Risk Vs Category
High |
Invest |
Short Term
Long Term
SIP
Rolling Term
1 Week
1.33%
|
1 Month
-3.67%
|
3 Months
-4.09%
|
6 Months
2.96%
|
1 Year
20.61%
|
Invest | ||
Kotak Equity Hybrid - Growth Hybrid |
1 Week
1.39%
|
1 Month
-3.26%
|
3 Months
-4.87%
|
6 Months
-0.75%
|
1 Year
17.12%
|
Invest | |
1 Week
3.18%
|
1 Month
-4.76%
|
3 Months
-4.48%
|
6 Months
-0.4%
|
1 Year
17.05%
|
Invest | ||
1 Week
1.79%
|
1 Month
-0.96%
|
3 Months
-3.65%
|
6 Months
1.8%
|
1 Year
16.48%
|
Invest | ||
1 Week
1.81%
|
1 Month
-1.38%
|
3 Months
-3.84%
|
6 Months
0.33%
|
1 Year
16.24%
|
Invest | ||
1 Week
1.44%
|
1 Month
-1.82%
|
3 Months
-4.25%
|
6 Months
-1.56%
|
1 Year
16.17%
|
Invest | ||
1 Week
1.48%
|
1 Month
-1.87%
|
3 Months
-4.18%
|
6 Months
-0.74%
|
1 Year
16.02%
|
Invest | ||
1 Week
2.09%
|
1 Month
-2.83%
|
3 Months
-4%
|
6 Months
3.55%
|
1 Year
15.71%
|
Invest | ||
1 Week
2.19%
|
1 Month
-0.06%
|
3 Months
-4.82%
|
6 Months
-1.11%
|
1 Year
14.74%
|
Invest | ||
1 Week
2.09%
|
1 Month
-1.41%
|
3 Months
-4.6%
|
6 Months
-
|
1 Year
14.23%
|
Invest |
2 Years
23.12%
|
3 Years
13.79%
|
5 Years
14.2%
|
Annual Rt
14.83%
|
Invest | ||
Kotak Equity Hybrid - Growth Hybrid |
2 Years
19.05%
|
3 Years
13.23%
|
5 Years
16.84%
|
Annual Rt
12.98%
|
Invest | |
2 Years
21.24%
|
3 Years
11.6%
|
5 Years
14.09%
|
Annual Rt
14.56%
|
Invest | ||
2 Years
21.34%
|
3 Years
11.9%
|
5 Years
15.09%
|
Annual Rt
17.08%
|
Invest | ||
2 Years
21.35%
|
3 Years
15.19%
|
5 Years
17.1%
|
Annual Rt
11.35%
|
Invest | ||
2 Years
20.61%
|
3 Years
13.69%
|
5 Years
17.85%
|
Annual Rt
18.8%
|
Invest | ||
2 Years
20.83%
|
3 Years
14.93%
|
5 Years
17.5%
|
Annual Rt
14.5%
|
Invest | ||
2 Years
18.49%
|
3 Years
11.33%
|
5 Years
15.19%
|
Annual Rt
12.07%
|
Invest | ||
2 Years
22.23%
|
3 Years
17.17%
|
5 Years
20.55%
|
Annual Rt
17.8%
|
Invest | ||
2 Years
14.95%
|
3 Years
6.7%
|
5 Years
11.45%
|
Annual Rt
12.78%
|
Invest |
1 Year
-
|
2 Years
-
|
3 Years
-
|
5 Years
-
|
Invest | ||
Kotak Equity Hybrid - Growth Hybrid |
1 Year
-
|
2 Years
-
|
3 Years
-
|
5 Years
-
|
Invest | |
1 Year
-
|
2 Years
-
|
3 Years
-
|
5 Years
-
|
Invest | ||
1 Year
-
|
2 Years
-
|
3 Years
-
|
5 Years
-
|
Invest | ||
1 Year
-
|
2 Years
-
|
3 Years
-
|
5 Years
-
|
Invest | ||
1 Year
-
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2 Years
-
|
3 Years
-
|
5 Years
-
|
Invest | ||
1 Year
-
|
2 Years
-
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3 Years
-
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5 Years
-
|
Invest | ||
1 Year
-
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2 Years
-
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3 Years
-
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5 Years
-
|
Invest | ||
1 Year
-
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2 Years
-
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3 Years
-
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5 Years
-
|
Invest | ||
1 Year
-
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2 Years
-
|
3 Years
-
|
5 Years
-
|
Invest |
1 Year
0%
|
3 Years
0%
|
5 Years
0%
|
Invest | ||
Kotak Equity Hybrid - Growth Hybrid |
1 Year
0%
|
3 Years
0%
|
5 Years
0%
|
Invest | |
1 Year
0%
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3 Years
0%
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5 Years
0%
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Invest | ||
1 Year
0%
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3 Years
0%
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5 Years
0%
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Invest | ||
1 Year
0%
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3 Years
0%
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5 Years
0%
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Invest | ||
1 Year
0%
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3 Years
0%
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5 Years
0%
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Invest | ||
1 Year
0%
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3 Years
0%
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5 Years
0%
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Invest | ||
1 Year
0%
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3 Years
0%
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5 Years
0%
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Invest | ||
1 Year
0%
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3 Years
0%
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5 Years
0%
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Invest | ||
1 Year
0%
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3 Years
0%
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5 Years
0%
|
Invest |
Standard Deviation
-
|
Alpha
-
|
Beta
-
|
Sharpe Ratio
-
|
Invest | ||
Kotak Equity Hybrid - Growth Hybrid |
Standard Deviation
-
|
Alpha
-
|
Beta
-
|
Sharpe Ratio
-
|
Invest | |
Standard Deviation
-
|
Alpha
-
|
Beta
-
|
Sharpe Ratio
-
|
Invest | ||
Standard Deviation
-
|
Alpha
-
|
Beta
-
|
Sharpe Ratio
-
|
Invest | ||
Standard Deviation
-
|
Alpha
-
|
Beta
-
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Sharpe Ratio
-
|
Invest | ||
Standard Deviation
-
|
Alpha
-
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Beta
-
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Sharpe Ratio
-
|
Invest | ||
Standard Deviation
-
|
Alpha
-
|
Beta
-
|
Sharpe Ratio
-
|
Invest | ||
Standard Deviation
-
|
Alpha
-
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Beta
-
|
Sharpe Ratio
-
|
Invest | ||
Standard Deviation
-
|
Alpha
-
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Beta
-
|
Sharpe Ratio
-
|
Invest | ||
Standard Deviation
-
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Alpha
-
|
Beta
-
|
Sharpe Ratio
-
|
Invest |
Min SIP
₹500
|
Min Lumpsum
₹1000
|
Expense Ratio
2.39%
|
Fund Manager
Amit Nigam
|
Launch Date
30-Jun 2018
|
Invest | ||
Kotak Equity Hybrid - Growth Hybrid |
Min SIP
₹100
|
Min Lumpsum
₹100
|
Expense Ratio
1.77%
|
Fund Manager
Abhishek Bisen
|
Launch Date
03-Nov 2014
|
Invest | |
Min SIP
₹500
|
Min Lumpsum
₹5000
|
Expense Ratio
1.86%
|
Fund Manager
Shriram Ramanathan
|
Launch Date
07-Feb 2011
|
Invest | ||
Min SIP
₹100
|
Min Lumpsum
₹100
|
Expense Ratio
1.75%
|
Fund Manager
Kedar Karnik
|
Launch Date
27-May 1999
|
Invest | ||
Min SIP
₹100
|
Min Lumpsum
₹100
|
Expense Ratio
1.97%
|
Fund Manager
Dhawal Dalal
|
Launch Date
12-Aug 2009
|
Invest | ||
Min SIP
₹500
|
Min Lumpsum
₹1000
|
Expense Ratio
2.07%
|
Fund Manager
Rahul Pal
|
Launch Date
22-Jul 2019
|
Invest | ||
Min SIP
₹500
|
Min Lumpsum
₹1000
|
Expense Ratio
1.87%
|
Fund Manager
V Srivatsa
|
Launch Date
25-Mar 2000
|
Invest | ||
Min SIP
₹100
|
Min Lumpsum
₹1000
|
Expense Ratio
2.33%
|
Fund Manager
Harshal Joshi
|
Launch Date
30-Dec 2016
|
Invest | ||
Min SIP
₹500
|
Min Lumpsum
₹5000
|
Expense Ratio
1.58%
|
Fund Manager
Sankaran Naren
|
Launch Date
03-Nov 1999
|
Invest | ||
Min SIP
₹100
|
Min Lumpsum
₹500
|
Expense Ratio
2.12%
|
Fund Manager
Devang Shah
|
Launch Date
09-Aug 2018
|
Invest |
Latest NAV
21.8547(20-01-2025)
|
Previous NAV
21.8547(20-01-2025)
|
NAV Change
0.255056%
|
52- Week High NAV
-
|
52- Week Low NAV
-
|
Invest | ||
Kotak Equity Hybrid - Growth Hybrid |
Latest NAV
59.057(20-01-2025)
|
Previous NAV
59.057(20-01-2025)
|
NAV Change
0.377326%
|
52- Week High NAV
-
|
52- Week Low NAV
-
|
Invest | |
Latest NAV
53.361(20-01-2025)
|
Previous NAV
53.361(20-01-2025)
|
NAV Change
0.428923%
|
52- Week High NAV
-
|
52- Week Low NAV
-
|
Invest | ||
Latest NAV
337.171(20-01-2025)
|
Previous NAV
337.171(20-01-2025)
|
NAV Change
0.531623%
|
52- Week High NAV
-
|
52- Week Low NAV
-
|
Invest | ||
Latest NAV
60.14(20-01-2025)
|
Previous NAV
60.14(20-01-2025)
|
NAV Change
0.551747%
|
52- Week High NAV
-
|
52- Week Low NAV
-
|
Invest | ||
Latest NAV
25.3961(20-01-2025)
|
Previous NAV
25.3961(20-01-2025)
|
NAV Change
0.353266%
|
52- Week High NAV
-
|
52- Week Low NAV
-
|
Invest | ||
Latest NAV
386.0596(20-01-2025)
|
Previous NAV
386.0596(20-01-2025)
|
NAV Change
0.51366%
|
52- Week High NAV
-
|
52- Week Low NAV
-
|
Invest | ||
Latest NAV
24.154(20-01-2025)
|
Previous NAV
24.154(20-01-2025)
|
NAV Change
0.415731%
|
52- Week High NAV
-
|
52- Week Low NAV
-
|
Invest | ||
Latest NAV
361.50(20-01-2025)
|
Previous NAV
361.50(20-01-2025)
|
NAV Change
0.285738%
|
52- Week High NAV
-
|
52- Week Low NAV
-
|
Invest | ||
Latest NAV
19.51(20-01-2025)
|
Previous NAV
19.51(20-01-2025)
|
NAV Change
0.515198%
|
52- Week High NAV
-
|
52- Week Low NAV
-
|
Invest |
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Historical Returns
Future Value
Invested Amt.
+Net Profit
=Total Wealth
- Invested Amount
- Estimated Returns
- Invested Amount ₹43,855
- Interest Earned ₹6,145
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Key Benefits of Aggressive Hybrid Fund
Potential for high returns
Aggressive hybrid funds have higher equity exposure, offering the potential for substantial capital appreciation and attractive returns over the long term.
Diversification
Since aggressive hybrid funds invest in both debt and equity products, diversification is a benefit. A good balance between growth and stability can be achieved with this allocation because the debt component helps to limit downside risk while the equity portion offers the possibility of capital appreciation.
Professional management
Experienced fund managers make investment decisions, leveraging their expertise to select the most promising assets and adjust portfolios as market conditions change.
Tax Efficiency
Depending on local tax laws, capital gains from equity investments within these funds may receive favorable tax treatment for long term investors.
Rebalancing
The best thing about aggressive hybrid funds is that they actively adjust their asset allocation in response to changes in the market. They often allocate more money to equity when the market is rising. However, when the equity market is volatile, they increase their allocation to debt instruments.
Frequently Asked Questions
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