Mirae Asset Focused Fund-Reg(G) 
                                                    Equity | Very High | Equity - Focused Fund  | 
                                                
                                                    26.41  
                                                    
                                                    +0.19 NAV(₹) as on 3/11/2025  | 
                                                
                                                    
                                                    0.74% 1D  | 
                                                
                                                    
                                                    4.09% 1Y  | 
                                                
                                                    
                                                    12.12% 3Y  | 
                                                
                                                    
                                                    16.36% 5Y  | 
                                                
                                                
                                            
| Scheme Details | |
|---|---|
| Expense Ratio: 1.77  | 
                                    Launch Date:
                                         14 May 2019  | 
                                
| Exit Load: 1% on or before 1Y(365D), Nil after 1Y(365D)  | 
                                    AUM:
                                         ₹ 7,769.11 Crs  | 
                                
| Lock-in: Nil  | 
                                    Investing Style:
                                         Large Growth  | 
                                
| Portfolio Price To Book Value: 6.65  | 
                                    Min. Investment: SIP : ₹ 99.0 Lumpsum : ₹ 5,000.0  | 
                                
| Scheme Benchmark: NA  | 
                                |
| Fund Manager: Gaurav Misra  | 
                                |
To generate long term capital appreciation/income by investing in equity & equity related instrumentsof up to 30 companies.There is no assurance that the investment objective of the Scheme will berealized.
| LATEST ASSET & PORTFOLIO ALLOCATION | Others | Equity | |||
|---|---|---|---|---|---|
| as on 30/9/2025 | 0.20 % | 99.80 % | 
| Financial Year | 2020-21 | 2021-22 | 2022-23 | 2023-24 | 2024-25 | 
|---|---|---|---|---|---|
| NAV (31/3/2025) | 15.75 | 19.08 | 17.82 | 21.75 | 23.32 | 
| Net Assets (Rs Crores) | 5,47,151.33 | 8,48,262.03 | 8,45,933.84 | 8,42,501.1 | 7,41,053.49 | 
| Scheme Returns(%)(Absolute) | 91.71 | 20.14 | -7.55 | 21.81 | 5.99 | 
| B'mark Returns(%)(Absolute) | NA | NA | NA | NA | NA | 
| Category Rank | 3/29 | 12/28 | 25/27 | 27/28 | 13/28 | 
                        
                    | Fund Details | Inception Date | Aum(₹ Crs) | 1Y | 3Y | 5Y | Since Inception | 
|---|---|---|---|---|---|---|
| 
                                             | 
                                        19/6/2023 | ₹ 536.47 | 6.73% | - | - | 21.02% | 
| 
                                             | 
                                        24/1/2024 | ₹ 2,046.26 | 1.42% | - | - | 11.57% | 
| 
                                             | 
                                        13/5/2013 | ₹ 1,466.67 | -5.29% | 9.04% | 12.36% | 12.64% | 
| 
                                             | 
                                        5/7/2012 | ₹ 12,256.85 | 5.66% | 11.21% | 12.99% | 13.83% | 
| 
                                             | 
                                        17/11/2017 | ₹ 167.99 | 3.94% | 12.12% | 16.52% | 10.42% | 
| 
                                             | 
                                        14/5/2019 | ₹ 7,769.11 | 4.09% | 12.12% | 16.36% | 16.17% | 
| 
                                             | 
                                        5/8/2019 | ₹ 419.2 | 5.57% | 12.75% | 17.24% | 16.63% | 
| 
                                             | 
                                        17/11/2005 | ₹ 1,072.73 | 1.21% | 13.21% | 18.62% | 14.97% | 
| 
                                             | 
                                        6/10/2017 | ₹ 673.62 | 2.72% | 13.70% | 17.25% | 10.47% | 
| 
                                             | 
                                        26/12/2006 | ₹ 8,463.77 | 5.36% | 14.47% | 22.11% | 14.26% |