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invesco india esg equity fund direct reinvestment of income dist cum capital wtdrl
Invesco India ESG Equity Fund Direct Reinvestment of Income Dist cum Capital Wtdrl

Invesco India ESG Equity Fund Direct Reinvestment of Income Dist cum Capital Wtdrl

  • Very High Risk
  • Equity
  • Equity - ESG
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NAV as on Apr 28, 2026
i
Price per unit of the scheme.
13.9000-0.57%1 Day Change
6.84%
Minimum Investment₹1000
Expense Ratio0.80%

FUND RATING

A holistic measure of the rank of a fund relative to its peers. Top funds receive a score of 5.

RISK-O-METER

Level of risk associated with a mutual fund to help investors make informed investment decisions
 

bt_logoFUND PERFORMANCE

As On Jan 01, 2023
Compare fund’s performance against category average across different time periods


No Data Found.
Returns <= 1 year are absolute and > 1 year are annualised (CAGR)
For calculating Category Return & Scheme Ranking, only Growth & Direct schemes are considered.

bt_logoFUND COMPARISON

This Fund
Invesco India ESG Equity Fund Direct Reinvestment of Income Dist cum Capital Wtdrl
VS
Equity: Equity - ESG Average NAV
    Topper in Equity: Equity - ESG
    All Fund


    No Data Found.
    *For the other fund, rescaled NAVs are used
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    bt_logoRETURN CALCULATOR

    Check the return on your investment in the fund
    Invesco India ESG Equity Fund Direct Reinvestment of Income Dist cum Capital Wtdrl
    Investment Type
    Monthly Investment
    Time Period (yrs)
    Annual Return in %
    • Invested Amount
      0
    • Return
      0
    • Current Value
      0

    bt_logoFUND MANAGER

    Taher Badshah
    Taher Badshah
    i
    Lead Fund Manager.
    Mar 22, 2021 - Present
    • Fund Manager Rank7Out of 16
      i
      Rank measured on the basis of consistent alpha the fund manager delivered in the same category over a period of three years (factors only Direct plan, Growth option)
    • Schemes managed6
    • Total AUM39,417.22 Cr
    • Highest Return In 1 Yr12.71 %
    Other Funds
    • table
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    1M
    3M
    6M
    1Y
    3Y
    5Y
    Fund NameMorningstar RatingNAVFund ReturnCategory ReturnRiskFund Size
    ₹ 151.56
    7.45%
    5.19%
    Very High Risk
    17,663.58Cr
    --
    ₹ 28.36
    11.35%
    8.01%
    Very High Risk
    4,444.89Cr
    --
    ₹ 19.04
    10.57%
    7.98%
    Very High Risk
    4,202.43Cr
    Invesco India Contra Fund Direct Plan Growth
    Very High Risk
    • NAV₹ 151.56
    • Fund Size17,663.58Cr
    Fund Return7.45%
    Category Return5.19%
    Invesco India Focused 20 Equity Fund Direct Growth
    Very High Risk--
    • NAV₹ 28.36
    • Fund Size4,444.89Cr
    Fund Return11.35%
    Category Return8.01%
    Invesco India Flexi Cap Fund Direct Growth
    Very High Risk--
    • NAV₹ 19.04
    • Fund Size4,202.43Cr
    Fund Return10.57%
    Category Return7.98%
    Returns <= 1 year are absolute and > 1 year are annualised (CAGR)
    Amit Nigam
    Amit Nigam
    i
    Lead Fund Manager.
    Mar 22, 2021 - Present
    • Schemes managed10
    • Total AUM10,468.06 Cr
    • Highest Return In 1 Yr55.12 %
    Other Funds
    • table
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    1M
    3M
    6M
    1Y
    3Y
    5Y
    Fund NameMorningstar RatingNAVFund ReturnCategory ReturnRiskFund Size
    ₹ 78.46
    17.65%
    13.30%
    Very High Risk
    1,214.55Cr
    ₹ 145.41
    9.81%
    9.56%
    Very High Risk
    3,550.35Cr
    --
    ₹ 13.22
    16.72%
    -%
    Very High Risk
    454.89Cr
    Invesco India Infrastructure Fund Direct Pan Growth Option
    Very High Risk
    • NAV₹ 78.46
    • Fund Size1,214.55Cr
    Fund Return17.65%
    Category Return13.30%
    Invesco India Multicap Fund Direct Plan Growth Option
    Very High Risk
    • NAV₹ 145.41
    • Fund Size3,550.35Cr
    Fund Return9.81%
    Category Return9.56%
    Invesco India Invesco Global Consumer Trends FOF Direct Growth
    Very High Risk--
    • NAV₹ 13.22
    • Fund Size454.89Cr
    Fund Return16.72%
    Category Return--
    Returns <= 1 year are absolute and > 1 year are annualised (CAGR)
    Haresh Kapoor
    Haresh Kapoor
    i
    Lead Fund Manager.
    Jan 1, 2026 - Present
    • Schemes managed2
    • Total AUM1,828.85 Cr
    • Highest Return In 1 Yr9.92 %
    Other Funds
    • table
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    1M
    3M
    6M
    1Y
    3Y
    5Y
    Fund NameMorningstar RatingNAVFund ReturnCategory ReturnRiskFund Size
    ₹ 171.19
    8.35%
    6.60%
    Very High Risk
    1,480.45Cr
    --
    ₹ 17.04
    6.83%
    6.88%
    Very High Risk
    348.40Cr
    Invesco India Financial Services Fund Direct Plan Growth
    Very High Risk
    • NAV₹ 171.19
    • Fund Size1,480.45Cr
    Fund Return8.35%
    Category Return6.60%
    Invesco India ESG Equity Fund Direct Growth
    Very High Risk--
    • NAV₹ 17.04
    • Fund Size348.40Cr
    Fund Return6.83%
    Category Return6.88%
    Returns <= 1 year are absolute and > 1 year are annualised (CAGR)

    bt_logoDETAILED PORTFOLIO

    As on Mar, 2026
    EQUITY (99.27%)
    DEBT (-%)
    CASH (0.73%)
    Allocation by Market Cap
    Large Cap(78.31%)
    Mid Cap(6.33%)
    Small Cap(14.63%)
    Industry Holdings
    • Banks Regional22.76%
    • Information Technology Services12.92%
    • Credit Services9.09%
    • Medical Care6.50%
    • Auto Manufacturers6.23%
    • Telecom Services5.22%
    Stock Holdings
    • HDFC Bank Ltd6.50%
    • ICICI Bank Ltd6.35%
    • Bharti Airtel Ltd5.19%
    • Infosys Ltd5.13%
    • Bajaj Finance Ltd5.06%
    • Apollo Hospitals Enterprise Ltd4.16%

    bt_logoPERFORMANCE MEASURES

    Fund evaluation across critical parameters for better decision making. Study period is 3 years.
    • Consistency
      i
      It represents the consistency of a fund in beating its benchmark.
      ----
    • Downside Risk
      i
      Measured by Maximum Drawdown which shows the maximum loss from a peak to a nadir over a specified time period
      ----
    • Risk Adjusted Return
      i
      Risk adjusted return represents the return generated after factoring the risk taken to achieve it.
      ----
    • Volatility
      i
      Volatility represents the standard deviation of fund returns that is, how much the fund returns have deviated from the average.
      ----
    • Upside Capture Ratio
      i
      Fund performance relative to the index when the market is up. An upside capture ratio of >100 indicates better fund performance.
      ----
    • Downside Capture Ratio
      i
      Fund performance relative to the index when the market is down. A downside capture ratio of <100 indicates better fund performance.
      ----

    bt_logoHISTORICAL RISK MEASURES

    Statistical measures to evaluate mutual fund risk. All ratios are calculated for a three-year time duration.
    • Alpha: Excess return of the fund over benchmark
      i
      Any Alpha above zero is considered good. However, for comparison, a fund with a higher Alpha is considered better. Alpha is normally used in conjunction with Beta. If the Beta is high, it implies that the fund manager took a high risk to generate Alpha.
      -2.93
      This Fund
      VS
      -1.01
      Category Avg
    • R-Squared: How well the fund tracks benchmark
      i
      R-Squared measures the correlation of fund returns and its benchmark returns. It varies between 0 and 1. The metric, Beta makes no sense if R-Squared is equal to zero. Thus, both Beta and R-Squared should be used in conjunction. A fund with a high R-Squared and low Beta is considered a less risky fund.
      88.90
      This Fund
      VS
      91.26
      Category Avg
    • Beta: Risk of the fund in relation to benchmark
      i
      Beta >1 indicates that the fund is more volatile than its benchmark while Beta < 1 indicates that the fund is less volatile than its benchmark. The Beta of the benchmark is equal to 1.
      0.97
      This Fund
      VS
      0.96
      Category Avg
    • Sharpe Ratio: Risk adjusted return of the fund
      i
      Sharpe Ratio is a measure of return per unit of risk. A higher Sharpe ratio indicates better risk adjusted return given by the fund.
      0.20
      This Fund
      VS
      0.33
      Category Avg
    • Sortino Ratio: Return per unit of bad risk
      i
      A variation of Sharpe ratio, Sortino considers only the downside risk. Unlike Sharpe ratio which considers both good risk and bad risk, Sortino factors only the bad risk. A high Sortino ratio indicates better return for each unit of downside risk.
      0.27
      This Fund
      VS
      0.46
      Category Avg
    • Standard Devation: Volatility of the fund
      i
      Standard deviation is a measure of dispersion of fund returns from its average return. A fund with a higher Standard deviation is more volatile than a fund with a low standard deviation.
      14.67
      This Fund
      VS
      14.34
      Category Avg
    Benchmark used in calculation : S&P BSE 500 India TR INR

    bt_logoPEER ANALYSIS

    1M
    3M
    6M
    1Y
    3Y
    5Y
    • card
    • table
    Fund NameMorningstar RatingNAV Fund Return Category ReturnRisk Fund Size
    Returns <= 1 year are absolute and > 1 year are annualised (CAGR)

    bt_logoTOP FUNDS FROM THIS AMC

    1M
    3M
    6M
    1Y
    3Y
    5Y
    • card
    • table
    Fund NameMorningstar RatingNAV Fund Return Category Return Risk Fund Size (Cr)
    Returns <= 1 year are absolute and > 1 year are annualised (CAGR)

    bt_logoABOUT THE AMC

    company icon
    Invesco Asset Management (India) Private Ltd
    Invesco Asset Management (India) Private Ltd manages assets worth ₹ 1,27,946.00 crores. It’s current offering of mutual fund schemes includes 22 equity, 21 debt and 4 hybrid schemes.
    phone icon
    Phone
    +91 22 67310000
    mail icon
    Email
    mfservices@religareinvesco.com
    aum
    AUM
    1,27,946.00 Cr (
    As on Mar 31, 2026
    )
    location
    Address
    3rd Floor, GYS Infinity, Mumbai,400 057

    bt_logoFAQs

    What is the category of Invesco India ESG Equity Fund Direct Reinvestment of Income Dist cum Capital Wtdrl ?
    The category of Invesco India ESG Equity Fund Direct Reinvestment of Income Dist cum Capital Wtdrl is Equity - Equity - ESG
    What is the current NAV of Invesco India ESG Equity Fund Direct Reinvestment of Income Dist cum Capital Wtdrl ?
    The current NAV of Invesco India ESG Equity Fund Direct Reinvestment of Income Dist cum Capital Wtdrl as on Apr 28, 2026 is ₹13.90
    How safe is Invesco India ESG Equity Fund Direct Reinvestment of Income Dist cum Capital Wtdrl ?
    The risk level of Invesco India ESG Equity Fund Direct Reinvestment of Income Dist cum Capital Wtdrl is Very High.
    What are short term returns given by Invesco India ESG Equity Fund Direct Reinvestment of Income Dist cum Capital Wtdrl ?
    The return given by Invesco India ESG Equity Fund Direct Reinvestment of Income Dist cum Capital Wtdrl in 1 month is 6.84%, 3 months is -5.63%, 6 months is -10.90%, and 1 year is -5.76%
    What are the long term returns given by Invesco India ESG Equity Fund Direct Reinvestment of Income Dist cum Capital Wtdrl ?
    The return given by Invesco India ESG Equity Fund Direct Reinvestment of Income Dist cum Capital Wtdrl in 3 years is 11.12% and 5 years is 10.47%.
    What is the expense ratio of Invesco India ESG Equity Fund Direct Reinvestment of Income Dist cum Capital Wtdrl ?
    The expense ratio of Invesco India ESG Equity Fund Direct Reinvestment of Income Dist cum Capital Wtdrl is 0.80%
    What is the AUM of Invesco India ESG Equity Fund Direct Reinvestment of Income Dist cum Capital Wtdrl ?
    The assets under Management (AUM) of Invesco India ESG Equity Fund Direct Reinvestment of Income Dist cum Capital Wtdrl is Rs 348.40 crores.
    What is the minimum investment in Invesco India ESG Equity Fund Direct Reinvestment of Income Dist cum Capital Wtdrl ?
    The minimum Lumpsum investment in Invesco India ESG Equity Fund Direct Reinvestment of Income Dist cum Capital Wtdrl is ₹1,000.00 and the minimum SIP investment in Invesco India ESG Equity Fund Direct Reinvestment of Income Dist cum Capital Wtdrl is ₹1,000.00
    What is the asset allocation of Invesco India ESG Equity Fund Direct Reinvestment of Income Dist cum Capital Wtdrl?
    Invesco India ESG Equity Fund Direct Reinvestment of Income Dist cum Capital Wtdrl has an exposure of 99.27% in Equity and 0.73% in Cash & Money Market Securities