Mutual Funds › MFIC › International FoF › Navi NASDAQ100 US Specific Equity Passive FOF

Navi NASDAQ100 US Specific Equity Passive FOF

Navi Mutual Fund · International FoF · Regular plan, growth option

NAV (₹), 1 Oct 2026
26.2126
1-day change
0.82%
1Y return
33.8%
3Y CAGR
34.2%
5Y CAGR
n/a
Max drawdown, 5Y
n/a
NAV history month-end NAV, ₹ · 25 Mar 2022 to 1 Oct 2026
7.917.126.22023202420252026
Returns vs International FoF median (55 schemes) and “US” median (15)
PeriodSchemeCategory medianUS median
1 month6.4%0.0%5.1%
3 months3.5%1.0%1.9%
6 months29.0%15.1%22.2%
Year to date28.4%17.9%20.9%
1 year33.8%22.8%24.7%
3 years (CAGR)34.2%25.7%27.9%
5 years (CAGR)n/a12.2%16.4%
7 years (CAGR)n/a14.4%17.0%
10 years (CAGR)n/a11.7%17.3%
Since first NAV (CAGR)23.8%––

“US” is MFIC's grouping of International FoF schemes by the theme or index in their names, not an AMFI category.

Rolling returns every business-day start date
MeasureSchemeCategory median
1Y rolling median32.1%12.1%
3Y rolling median31.2%12.9%
3Y rolling worst9.2%-1.7%
3Y periods positive100%99%
3Y periods ahead of benchmarkn/an/a
5Y rolling mediann/a8.5%
5Y rolling worstn/a1.6%
5Y periods ahead of benchmarkn/an/a

Benchmark: none available in MFIC's free data for this category.

Risk 36 months, monthly returns, Rf 6.5%
MeasureSchemeCategory median
Standard deviation (ann.)18.6%16.8%
Sharpe ratio1.531.20
Sortino ratio3.332.37
Betan/an/a
Alpha (ann.)n/an/a
Upside capturen/an/a
Downside capturen/an/a
Drawdowns peak-to-trough falls in NAV
MeasureSchemeCategory median
Maximum drawdown, full history−25.1%−28.1%
Maximum drawdown, last 10Yn/a−35.4%
Maximum drawdown, last 5Yn/a−28.0%
Current drawdown0.0%−4.4%
Recovery time of worst fall344 days–

Longer histories include more crises, so compare the 5Y and 10Y figures across schemes of different ages.

Fund managers and scheme facts Scheme Summary Document via AMFI
Fund managerRoleManaging since
Ashutosh ShirwaikarEquity14 Feb 2025
Objective: The investment objective of the scheme is to provide long-term capital appreciation by investing in units of overseas ETF’s and/ or Index Fund based on NASDAQ 100 Index. However, there is no assurance that the investment objective of the Scheme will be realized.
Stated asset allocation: Units of units of the NASDAQ ETF: 95% to 100% Debt schemes, Debt & Money Market Instruments, including Tri Party Repo^, G-Secs and Cash: 0% to 5%
Benchmark (tier 1): NASDAQ 100 Index
Minimum application: ₹100
Allotment date: 23 Mar 2022

Documents: Scheme Information Document · Scheme Summary Document. Read the scheme documents before investing.

Cost, size and riskometer as disclosed to AMFI
MeasureSchemeCategory median
Expense ratio (TER), Regular plan0.35%1.37%
AUM, whole scheme (₹ crore)1,291372
RiskometerVery High–

TER: AMFI, TER of MF Schemes. AUM and riskometer: AMFI, Fund Performance, 30 Sep 2026.

Official benchmark and category consistency
MeasureSchemeBenchmark / category
Return, 1 year (AMFI)33.0%24.0% TRI
Return, 3 years (AMFI)33.5%28.3% TRI
Month-ends above category median (3Y CAGR)100%55% median
Month-ends in category top quartile (3Y)100%20% median

Official benchmark: NASDAQ 100 Total Return Index (total return index, as published by AMFI). Category consistency: last 10 years of month-ends, International FoF Regular plans; how it is calculated.

Calendar-year returns NAV change from 31 Dec to 31 Dec
YearSchemeBenchmarkDifference
2026 YTD28.4%n/a–
202527.3%n/a–
202428.8%n/a–
202355.4%n/a–

No free benchmark proxy for this category. The first year starts from the first 31 December in the scheme's history.

Monthly SIP of ₹10,000 first business day of each month, ending 1 Oct 2026
PeriodInvestedValueXIRR
1 year₹1,20,000₹1,43,27237.8%
3 years₹3,60,000₹5,84,39134.1%

Uses this plan's NAVs; ignores stamp duty, exit loads and taxes. One historical path only — the interactive SIP analyzer shows outcomes across every start date.

Scheme facts
AMC: Navi Mutual Fund
Category: International FoF
Plan / option: Regular · Growth
AMFI scheme code: 149910
ISIN: INF959L01FZ1
First NAV in MFIC data: 25 Mar 2022
History: 4.5 years
Portfolio holdings: see the scheme's monthly portfolio disclosure on the fund house website
Schemes that behaved similarly correlation of monthly returns, last 5 years
SchemeCategoryCorrelation3Y CAGR
Navi NASDAQ100 US Specific Equity Passive FOFInternational FoF1.0034.0%
ICICI Prudential NASDAQ 100 Index FundIndex Fund0.9933.2%
Axis NASDAQ 100 US Specific Equity Passive FOFInternational FoF0.9732.3%
Aditya Birla Sun Life US Equity Passive FOFInternational FoF0.9732.8%
Invesco India - Invesco EQQQ Nasdaq-100 ETF Fund of FundInternational FoF0.9733.1%
Kotak US Specific Equity Passive FOFInternational FoF0.9733.3%
Questions about Navi NASDAQ100 US Specific Equity Passive FOF
What is the latest NAV of Navi NASDAQ100 US Specific Equity Passive FOF?
The NAV of the Regular plan (growth option) was ₹26.2126 on 1 Oct 2026, as published by AMFI.
Which category is Navi NASDAQ100 US Specific Equity Passive FOF in?
It is classified as International FoF in AMFI's daily NAV file. MFIC compares it with 55 International FoF schemes (Regular plans).
What returns has Navi NASDAQ100 US Specific Equity Passive FOF delivered?
Over one year the NAV changed by 33.8%. The 3-year CAGR is 34.2% (category median 25.7%). Returns are after expenses and before tax. Past performance may or may not be sustained in future.
How consistent have its 3-year returns been?
Measuring a 3-year CAGR from every business day in its history, the median was 31.2%, the lowest was 9.2%, and 100% of 3-year periods ended with a gain.
What was the largest fall in Navi NASDAQ100 US Specific Equity Passive FOF's NAV?
The largest peak-to-trough fall in its available history was 25.1%.
How volatile is Navi NASDAQ100 US Specific Equity Passive FOF?
Its annualised standard deviation of monthly returns over the last 36 months is 18.6%, which is above the International FoF category median of 16.8%.
What would a monthly SIP in Navi NASDAQ100 US Specific Equity Passive FOF have grown to?
A SIP of ₹10,000 on the first business day of each month for the last 3 years (36 instalments, ₹3,60,000 invested) would have been worth about ₹5,84,391 on 1 Oct 2026, an annualised return (XIRR) of 34.1%. This uses the Regular plan's NAVs, ignores taxes and exit loads, and past performance may or may not be sustained in future.
What is the expense ratio (TER) of Navi NASDAQ100 US Specific Equity Passive FOF?
The total expense ratio of the Regular plan is 0.35% a year, as disclosed to AMFI (median of International FoF Regular plans: 1.37%). It is already deducted from the NAV, so every return shown is after expenses.
How large is Navi NASDAQ100 US Specific Equity Passive FOF?
Assets under management of the whole scheme were ₹1,291 crore on 30 Sep 2026, as published by AMFI.
What is the riskometer level of Navi NASDAQ100 US Specific Equity Passive FOF?
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.
What is the benchmark of Navi NASDAQ100 US Specific Equity Passive FOF and how has it compared?
Its official benchmark is the NASDAQ 100 Total Return Index. Over 3 years AMFI reports a return of 33.5% for this plan against 28.3% for the benchmark total return index. Past performance does not indicate future results.
How often has Navi NASDAQ100 US Specific Equity Passive FOF beaten its category?
At 100% of the 19 month-ends compared over the last 10 years, its 3-year return was above the median of International FoF schemes (Regular plans); it was in the top quarter at 100% of them. A typical scheme would show about 50%.
Who manages Navi NASDAQ100 US Specific Equity Passive FOF?
According to its Scheme Summary Document, Navi NASDAQ100 US Specific Equity Passive FOF is managed by Ashutosh Shirwaikar (since 14 Feb 2025).
What is the minimum investment in Navi NASDAQ100 US Specific Equity Passive FOF?
The minimum application amount is ₹100.
Reviewing your own mutual fund portfolio?
Integrato's team can walk you through how your current schemes have behaved, using the same data shown here. Integrato is an AMFI-registered Mutual Fund Distributor.
Follow Navi NASDAQ100 US Specific Equity Passive FOF by email

Every Monday: this scheme's NAV, 1-month and 1-year return beside its category median, 3-year CAGR and how far it is below its peak. Add more schemes from their pages or from your MFIC watchlist. Free; unsubscribe from any email.

We email a confirmation link first. Integrato is an AMFI-registered Mutual Fund Distributor (ARN-173155); these emails are information, not recommendations.

Data & disclosure. Source: AMFI daily NAV file and historical NAVs via mfapi.in; calculations by MFIC, as of 1 Oct 2026. Category medians use Regular 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.