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    Capitalmind Multi Asset Allocation Fund-Reg (IDCW) - Payout

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    Multi Asset Allocation

    Capitalmind Multi Asset Allocation Fund-Reg (IDCW) - Payout is a Multi Asset Allocation mutual fund. Currently it has a NAV of ₹9.71 as of 09 Jul 2026. Investors can start with a minimum SIP of ₹ 1000.00.

    Capitalmind Multi Asset Allocation Fund-Reg (IDCW) - Payout

    Hybrid · Multi Asset Allocation

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    Calculate Your Returns

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    Total Value : ₹5,434

    When you invest ₹100 over 3 years

    Returns%

    12.50% annually for last 3 years

    Invested Gains

    Similar to this Mutual Fund

    Min. SIP Amount
    ₹1,000
    1Y Returns
    18.43% p.a
    Min. SIP Amount
    ₹1,000
    1Y Returns
    14.31% p.a
    Min. SIP Amount
    ₹1,000
    1Y Returns
    7.08% p.a
    Other Information
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    Fund Age Icon

    Fund Age :

    0 years

    AUM Icon

    AUM :

    36.03 Cr.

    Lock-in Period Icon

    Lock-in Period :

    0

    Exit Load Icon

    Exit Load :

    If Units redeemed or switched out within 30 days from the date of allotment - 1% of the applicable NAV If redeemed/switched out after 30 days from the date of allotment - NIL

    Expense Ratio Icon

    Expense Ratio :

    2.31% (inclusive of GST)

    Tax Icon

    Tax Implication

    Withdrawal within 1 year:
    5% tax on gains

    Withdrawal after 1 year:
    10% tax on gains above 21 lakh per financial year

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    Fund Manager
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    AV
    Anoop Vijaykumar
    Over 20 years of professional experience. Anoop has been associated with Capitalmind since 2019. He has been the PMS Fund Manager and head of Investment Research at Capitalmind PMS for the last 6 years. Prior to joining Capitalmind, Anoop has worked in senior management positions in MNCs like Microsoft and Honeywell. As a management consultant with Kearney, he has advised large corporations across sectors on corporate growth strategy, operations and margin improvement.
    DA
    Divyansh Agnani
    Overall ~3.5+ years of experience across Capitalmind Asset Management Pvt. Ltd. and Capitalmind Financial Services. Currently designated as Associate Fund Manager, handling portfolio construction, rebalancing, monitoring & performance attribution; previously Quantitative Analyst (Aug 2025-Mar 2026), Research Analyst (Dec 2023-Jul 2025), and Junior Research Analyst (Sep 2022-Nov 2023) with experience in cross-asset strategy design, model development, portfolio analytics, and equity/macro research.
    PJ
    Prateek Jain
    Prateek Jain, CFA, is an experienced investment professional with a strong background in fixed-income portfolio management and trading. In his previous organisation, Invesco Asset Management, he served as a Fund Manager and Fixed-Income Dealer, overseeing liquid fund and overnight fund as Fund Manager. His responsibilities included duration and asset allocation strategies, yield-curve positioning, daily cash-flow management, and trading. Prior to this, Prateek was a Fixed-Income Dealer at PNB Asset Management Company, where he contributed to debt fund management, executed trades in government securities, corporate bonds, and money-market instruments, and prepared daily portfolio and compliance reports. Earlier in his career, he worked in Fixed-Income Origination at Taurus Corporate Advisory Services, managing private placements of debt instruments and institutional client relationships. He also held the role of Risk Officer in Prime Brokerage Services at Edelweiss Capital, gaining valuable experience in risk management and operational processes.
    Risk & Rating
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