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Max Life UL Life Diversified Equity Fund
The Max Life UL Life Diversified Equity Fund (SFIN: ULIF02201/01/20LIFEDIVEQF104) is an open-ended equity fund that invest in stocks of different market capitalisations.
...Read MoreYou Get (as on 31 July 2025)
Total investment
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Estimated returns
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Overview
Fund Size (AUM)
Rs. 3,124.64 Cr
as on 31 July 2025
NAV
Rs. 30.09
as on 31 July 2025
1 Year Returns
0.54%
as on 31 July 2025
Benchmark Index
NSE Nifty 200 100%
Inception Date
8 June 2020
Nav Performance
Investment Philosophy
This equity-oriented scheme allows investors to diversify their investments across various market caps. However, the scheme primarily focuses on investing in large cap and mid-cap stocks.
The scheme also features a sector agnostic investment style that allows investors to gain exposure to various sectors of the Indian economy through a single investment.
This diversified equity fund aims to provide investors with the dual benefit of long term capital appreciation while ensuring adequate liquidity in the investment portfolio.
Portfolio Overview
The minimum equity exposure that this scheme must maintain at all times is 70% and this allocation can be increased to 100% of the portfolio. The remainder of the fund portfolio can comprise G-Secs, corporate bonds and money market instruments/cash equivalents. The maximum portfolio allocation allowed towards Money Market instruments and cash equivalent is 30%. Whereas, corporate bonds and government securities exposure for the scheme is capped at 20%.
Top 10 Industry in the Fund
Industry Name | % in the Fund |
---|---|
FINANCIAL AND INSURANCE ACTIVITIES | 22.73% |
INFRASTRUCTURE | 10.39% |
COMPUTER PROGRAMMING, CONSULTANCY AND RELATED ACTIVITIES | 8.43% |
MUTUAL FUND - LIQUID | 6.37% |
INFORMATION SERVICE ACTIVITIES | 6.06% |
MANUFACTURE OF PHARMACEUTICALS, MEDICINAL CHEMICAL AND BOTANICAL PRODUCTS | 5.65% |
MANUFACTURE OF MOTOR VEHICLES, TRAILERS AND SEMI-TRAILERS | 5.43% |
MANUFACTURE OF COKE AND REFINED PETROLEUM PRODUCTS | 4.71% |
CENTRAL & STATE GOVERNMENT | 4.15% |
MANUFACTURE OF CHEMICALS AND CHEMICAL PRODUCTS | 3.79% |
OTHER | 22.27% |
Asset Allocation
Asset Type | Actual (%) | Asset-Range |
---|---|---|
Govt. Securities | 0.00% | 0 - 20% |
Corporate Bonds | 0.00% | 0 - 20% |
Money Market OR Equivalent | 3.42% | 0 - 30% |
Equities | 96.58% | 70 - 100% |
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Written bySumit Narula

Investment Writer
Published 17th April 2024

Reviewed byPrateek Pandey

Last Modified 12th September 2025
Investment Expert

Fund Performance vs. Benchmark
Time Horizon* | Fund Returns (%) | Benchmark Returns (%) |
---|---|---|
1 Year | -4.06% | -5.04% |
3 Years | 18.48% | 12.70% |
5 Years | 20.79% | 18.20% |
Since Inception | 22.94% | 19.85% |
Modified Duration
Debt Portfolio | 0.0082 |
Money Market Instruments | 0.0082 |
Money Market Instruments | 0.9168 |
Top 10 Equity in the Fund
Security Name | % of AUM |
---|---|
RELIANCE INDUSTRIES LIMITED | 6.56% |
ICICI BANK LIMITED | 5.01% |
INFOSYS LIMITED | 4.93% |
HOUSING DEVELOPMENT FINANCE CORP BANK | 4.91% |
LARSEN & TOUBRO LIMITED | 3.37% |
MAHINDRA & MAHINDRA LIMITED | 3.12% |
ETERNAL LIMITED | 3.01% |
BHARTI AIRTEL LIMITED | 2.40% |
BAJAJ FINANCE LIMITED | 2.19% |
SAGILITY INDIA LTD | 2.16% |
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