Murthy Nagarajan

Murthy Nagarajan is named as a fund manager on 12 schemes holding ₹30,266 Cr in assets at Tata Mutual Fund, with the earliest recorded start in 2017.

Manager names and start dates come from fund-house disclosures and cover the schemes where we hold that data. A manager is often one of several named on a scheme, so fund performance is not attributable to any single individual.

Tata Mutual Fund (12 funds)

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1Tata Balanced Advantage Fund-Direct Plan-GrowthSilverDynamic Asset Allocation or Balanced Advantage₹8,780 Cr+6.19%+10.13%0.66%2026
2Tata Multi Asset Allocation Fund-Direct Plan-GrowthBronzeMulti Asset Allocation₹5,234 Cr+11.41%+14.91%0.63%2020
3Tata Aggressive Hybrid Fund -Direct Plan- Growth OptionAggressive Hybrid Fund₹3,930 Cr+5.20%+9.98%1.28%2017
4Tata Multicap Fund - Direct Plan - GrowthBronzeMulti Cap Fund₹3,543 Cr+13.10%+12.62%0.76%2023
5Tata Business Cycle Fund-Direct Plan-GrowthSilverSectoral/Thematic₹2,634 Cr+5.06%+14.41%0.89%2021
6Tata Retirement Savings Fund- Moderate Plan -Direct Plan-Growth OptionGoldRetirement Fund₹2,218 Cr+9.74%+14.24%0.83%2017
7Tata Retirement Savings Fund- Progressive Plan -Direct Plan-Growth OptionGoldRetirement Fund₹2,217 Cr+10.17%+15.21%0.82%2017
8Tata Nifty SDL Plus AAA PSU Bond Dec 6040 Index Fund- Direct Plan-GrowthBronzeIndex Funds₹645 Cr+5.76%+7.54%0.24%2026
9Tata Housing Opportunities Fund - Direct Plan - GrowthSectoral/Thematic₹493 Cr+2.59%+10.08%1.16%2022
10Tata Income Plus Arbitrage Active FOF - Direct Plan Growth OptionFoF Domestic₹269 Cr+5.99%0.10%2025
11Tata Retirement Savings Fund- Conservative Plan-Direct Plan-Growth OptionBronzeRetirement Fund₹169 Cr+6.35%+8.80%1.05%2017
12Tata Nifty G-Sec Dec 2029 Index Fund - Direct Plan - GrowthSilverIndex Funds₹134 Cr+5.93%+7.95%0.19%2026

Badges are our own quality tiers — Platinum (top 10%), Gold (25%), Silver (50%), Bronze (75%) — scored within each sub-category, so they compare a fund with its peers and not with funds of a different type. Click any column heading to re-sort — including the fund name, which groups a house’s funds together. Funds with no value for a column sort last. Returns over 1 year are annualised (CAGR). Past performance does not indicate future returns. “Since” is the year this manager was first named on the scheme.