Canara Robeco Large and Mid Cap Fund Regular-Growth
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Equity, Large & MidCap, Principal at very high risk
1 Year Return 6.38% at 30 Jan 2026 03:13 PM
Fund Details
NAV 242.2
Sub-Type Large & MidCap
Rating 3
Min. SIP Amount ₹1000.0
Fund Age(Year) 20.89
Fund Size(in Crores) 25626.07
Fund Performance
1 Month -4.14%
3 Month -6.89%
6 Month -4.74%
1 Year 6.38%
3 Year 15.88%
5 Year 15.15%
Know This Fund
As on 30 Jan 2026
Investment strategy that balances risk & reward by dividing the investment portfolio among different types of asset classes.
Equity (97.25%) Market Cap Large Cap 37.27 Small Cap 18.07 Mid Cap 41.91 Top Sectors Services 19.05 Financial 14.74 Automobile 12.74 Capital Goods 11.33 Consumer Staples 7.94 Healthcare 7.83 Technology 5.85 Chemicals 4 Energy 3.16 Consumer Discretionary 2.73 Communication 2.52 Materials 2.11 Construction 1.29 Metals & Mining 1.22 Textiles 0.53 Insurance 0.21 Top Holding Bharti Hexacom 0.73 Divi's Laboratories 0.9 Berger Paints India 0.16 Bharti Airtel 1.67 Tata Power Company 1.54 Carborundum Universal 0.21 UNO Minda 3.5 Deepak Nitrite 0.13 Central Depository Services (India) 0.45 DOMS Industries 0.1 ITC Hotels 0.79 Suzlon Energy 0.97 CreditAccess Grameen 0.52 Vishal Mega Mart 1.27 Bajaj Finance 1.17 Zee Entertainment Enterprises 0.12 APL Apollo Tubes 1.01 PI Industries 1.28 Abbott India 1.65 Kajaria Ceramics 0.22 PB Fintech 0.97 Varun Beverages 0.76 Shree Cement 0.33 K.P.R. Mill 0.53 ABB India 0.98 Jubilant FoodWorks 0.46 Mahindra & Mahindra 2.79 ICICI Lombard Gen. Insurance 0.21 ICICI Bank 6.73 Mrs. Bectors Food Specialities 0.35 Linde India 0.35 Solar Industries India 0.88 Britannia Industries 0.62 Aditya Birla Real Estate 0.96 The Federal Bank 3.44 Bharat Electronics 3.4 Oberoi Realty 1.11 Swiggy 0.44 Cochin Shipyard 0.06 The Indian Hotels Company 5.61 Bajaj Auto 0.37 MCX 1.09 CAMS 0.21 3M India 0.96 KNR Constructions 0.18 Tata Consumer Products 1.93 Navin Fluorine International 0.35 Bajaj Finserv 0.33 Global Health 1.07 Container Corporation Of India 0.36 Crompton Greaves Con. Electricals 0.72 Titan Company 0.39 Vinati Organics 0.76 Tech Mahindra 0.43 Bharat Forge 0.9 TVS Motor Company - Pref. Shares 0.05 Trent 2.48 Dixon Technologies (India) 2.42 Indian Bank 0.37 Eternal 3 CG Power 0.5 Ajanta Pharma 0.95 Lupin 0.68 Thermax 0.16 TCI Express 0.13 GE Vernova T&D 0.91 Bata India 0.75 LG Electronics India 0.54 United Breweries 0.99 Tips Industries 0.13 JK Cement 1.4 Cholamandalam Investment and Finance Company 1.62 TVS Motor Company 3.59 Hindustan Aero 0.54 Radico Khaitan 0.74 Sona BLW Precision Forgings 0.87 ZF Commercial 0.64 HDFC Bank 0.01 Persistent Systems 1 Praj Industries 0.97 Sun Pharmaceutical Industries 0.77 Mankind Pharma 0.08 KPIT Technologies 3.39 Blue Dart Express 0.49 United Spirits 0.53 SRF 0.25 Cello World 0.33 Premier Energies 0.11 EIH 1.62 HDB Financial Services 0.1 Coforge 1.03 Max Healthcare Institute 1.73 Escorts Kubota 0.03 Torrent Power 1.51 Schaeffler India 0.42
Debt & Others (2.75%) Sector Allocation Repo 2.85 Net Payables -0.1 Debt Credit Ratings Debt Category Others 2.75
Comparison with same funds
Charges & Taxes Expense Ratio
Returns are taxed as per your Income Tax Slab.
Expense Ratio (Inclusive of GST): 1.62%
Exit Load 0%
Stamp Duty 0.005%
Fund Management
The various expenses, charges and taxes associated with your Mutual Fund
Shridatta Bhandwaldar
Education Mr. Bhandwaldar is a BE (Mechanical) and MMS (Finance).
Experience Prior to joining Canara Robeco Mutual Fund he was associated with SBI Pension Funds Pvt. Ltd. (Jul 2012-Jun 2016) as Head-Research, Heritage India Advisory Pvt. Ltd. (Oct 2009-Jun 2012) as Senior Equity Analyst, Motilal Oswal Securities (Jan 2008-Sep 2009) and MF Global Securities (Apr 2006-Dec 2008).
Amit Nadekar
Education Mr. Nadekar has done M.Com, CA and MMS(Finance).
Experience Prior to joining Canara Robeco Mutual Fund, he has worked with LIC Mutual Fund, Alchemy Capital Management Pvt. Ltd., Raymond Limited, Apar Research and First Global Securities.
Riskometer
Mutual Fund Investments are subject to market risk. Read all scheme related documents carefully.
Principal at very high risk
AMC and Fund details
Rank (total sets) 74
Date of Incorporation 2005-03-11
Total AUM 2025-12-31
The Scheme Seeks to generate returns from a portfolio of pure debt oriented funds accessed through the diverse investment styles of underlying schemes selected in accordance with the BSLAMC process.