NAV as on 04-07-2026
| Fund name | Mirae Asset Midcap Fund |
| Category | Mid Cap Fund |
| AMC | Mirae Asset Midcap Fund |
| Current NAV | ₹25.80 (04-07-2026) |
| Expense ratio | 1.65 |
| Exit load | I.For investors who have optedfor SWP under the plan: a)15% of the units allotted(including Switch-in/STP - in)on or before completion of 365days from the date of allotmentof units: Nil. b)Any redemption in excess ofsuch limits in the first 365 daysfrom the date of allotment shallbe subject to the following exitload: (Redemption of unitswould be done on First In FirstOut Basis (FIFO): -If redeemed within 1 year (365days) from the date of allotment:1% -If redeemed after 1 year (365days) from the date of allotment:NIL II.Other Redemptions: ForInvestors who have not opted forSWP under the plan (includingSwitch out, STP out): -If redeemed within 1 year (365days) from the date of allotment:1% -If redeemed after 1 year (365days) from the date of allotment:NIL |
| Riskometer | Very High |
| Registrar (RTA) | KFIN Technologies Limited |
| Allotment date | 2019-07-29T00:00:00+05:30 |
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Mirae Asset Midcap Fund is an open-ended mutual fund scheme in the Mid Cap Fund category, offered by Mirae Asset Midcap Fund. Its latest NAV is ₹25.80 as on 04-07-2026. Over the trailing periods it has delivered -0.50% (1Y), +9.32% (3Y) and N/A (5Y) annualised returns. Mutual fund investments are subject to market risks; read all scheme-related documents carefully.
What is the current NAV of Mirae Asset Midcap Fund?
The current NAV is ₹25.80 as on 04-07-2026.
What are the 1Y / 3Y / 5Y returns?
-0.50%, +9.32% and N/A respectively (annualised).