Motilal Oswal BSE Clean Environment Index Fund
Motilal Oswal Mutual Fund · Index Fund · Direct plan, growth option
NAV (₹), 2 Oct 2026
8.6865
1-day change
-1.23%
1Y return
n/a
3Y CAGR
n/a
5Y CAGR
n/a
Max drawdown, 5Y
n/a
NAV history month-end NAV, ₹ · 2 Jul 2026 to 1 Oct 2026
Returns vs Index Fund median (265 schemes)
| Period | Scheme | Category median |
|---|---|---|
| 1 month | -5.9% | -6.5% |
| 3 months | n/a | -5.1% |
| 6 months | n/a | 5.5% |
| Year to date | n/a | -6.8% |
| 1 year | n/a | -3.0% |
| 3 years (CAGR) | n/a | 8.7% |
| 5 years (CAGR) | n/a | 7.6% |
| 7 years (CAGR) | n/a | 11.1% |
| 10 years (CAGR) | n/a | 10.9% |
| Since first NAV (CAGR) | -13.7% | – |
Rolling returns every business-day start date
| Measure | Scheme | Category median |
|---|---|---|
| 1Y rolling median | n/a | 7.2% |
| 3Y rolling median | n/a | 16.3% |
| 3Y rolling worst | n/a | 8.4% |
| 3Y periods positive | n/a | 100% |
| 3Y periods ahead of benchmark | n/a | n/a |
| 5Y rolling median | n/a | 13.7% |
| 5Y rolling worst | n/a | 6.4% |
| 5Y periods ahead of benchmark | n/a | n/a |
Benchmark: none available in MFIC's free data for this category.
Risk 36 months, monthly returns, Rf 6.5%
| Measure | Scheme | Category median |
|---|---|---|
| Standard deviation (ann.) | n/a | 17.3% |
| Sharpe ratio | n/a | 0.21 |
| Sortino ratio | n/a | 0.30 |
| Beta | n/a | n/a |
| Alpha (ann.) | n/a | n/a |
| Upside capture | n/a | n/a |
| Downside capture | n/a | n/a |
Drawdowns peak-to-trough falls in NAV
| Measure | Scheme | Category median |
|---|---|---|
| Maximum drawdown, full history | −13.7% | −18.8% |
| Maximum drawdown, last 10Y | n/a | −38.1% |
| Maximum drawdown, last 5Y | n/a | −17.6% |
| Current drawdown | −13.7% | −11.0% |
| Recovery time of worst fall | n/a | – |
Longer histories include more crises, so compare the 5Y and 10Y figures across schemes of different ages.
Cost, size and riskometer as disclosed to AMFI
| Measure | Scheme | Category median |
|---|---|---|
| Expense ratio (TER), Direct plan | 1.07% | 0.56% |
| AUM, whole scheme (₹ crore) | 49 | 175 |
| Riskometer | Very High | – |
TER: AMFI, TER of MF Schemes. AUM and riskometer: AMFI, Fund Performance, 30 Sep 2026.
Official benchmark and category consistency
| Measure | Scheme | Benchmark / category |
|---|
Official benchmark: BSE Clean Environment TRI (total return index, as published by AMFI). Category consistency: last 10 years of month-ends, Index Fund Direct plans; how it is calculated.
Scheme facts
Category: Index Fund
Plan / option: Direct · Growth
AMFI scheme code: 154364
ISIN: INF247L01HC6
First NAV in MFIC data: 2 Jul 2026
History: 0.2 years
Expense ratio, AUM, portfolio: see the scheme's factsheet
Questions about Motilal Oswal BSE Clean Environment Index Fund
- What is the latest NAV of Motilal Oswal BSE Clean Environment Index Fund?
- The NAV of the Direct plan (growth option) was ₹8.6865 on 2 Oct 2026, as published by AMFI.
- Which category is Motilal Oswal BSE Clean Environment Index Fund in?
- It is classified as Index Fund in AMFI's daily NAV file; a Index Fund scheme passively tracks a stated index. MFIC compares it with 265 Index Fund schemes (Direct plans).
- What was the largest fall in Motilal Oswal BSE Clean Environment Index Fund's NAV?
- The largest peak-to-trough fall in its available history was 13.7%.
- What is the expense ratio (TER) of Motilal Oswal BSE Clean Environment Index Fund?
- The total expense ratio of the Direct plan is 1.07% a year, as disclosed to AMFI (median of Index Fund Direct plans: 0.56%). It is already deducted from the NAV, so every return shown is after expenses.
- How large is Motilal Oswal BSE Clean Environment Index Fund?
- Assets under management of the whole scheme were ₹49 crore on 30 Sep 2026, as published by AMFI.
- What is the riskometer level of Motilal Oswal BSE Clean Environment Index Fund?
- AMFI lists the scheme's riskometer as “Very High”, and its benchmark's as “Very High”. The riskometer is a label of potential risk set under SEBI rules, not a forecast.
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Data & disclosure. Source: AMFI daily NAV file and historical NAVs via mfapi.in; calculations by MFIC, as of 2 Oct 2026. Category medians use Direct plans in the same AMFI category. Mutual fund investments are subject to market risks; read all scheme-related documents carefully. Past performance may or may not be sustained in future. This page is for research and education only and is not investment advice or a recommendation to buy, sell or hold any scheme. Integrato Financial Services Pvt. Ltd. is an AMFI-registered Mutual Fund Distributor (ARN-173155). Methodology.