- Scheme Category:
- Hybrid Scheme >
- Arbitrage Fund
NAV: ₹ 10.1404 ↑ 0.05%
[as on 5 December, 2025]
NAV chart with SMA (Simple moving average) overlay
SMA (Simple Moving Average)
Returns
| Name | YTD | 1D | 1W | 1M | 3M | 1Y | 3Y | 5Y | 7Y | 10Y |
|---|
| TRUSTMF ARBITRAGE FUND -REGULAR PLAN-GROWTH | - | 0.05% | 0.13% | 0.45% | 1.3% | - | - | - | - | - |
Portfolio
Asset allocation
| Equity | Debt | Realestate | Commodities | Cash & Equivalents |
|---|
| -0.50% |
92.07% (Arbitrage: 76.61%) |
0.00% |
0.00% |
8.44% |
Arbitrage assets
| Name | Symbol / ISIN | Sector | Weight % | Quantity | Qty change % |
|---|
Debt
| Name | Rating | Weight % |
|---|
| TRUSTMF LIQUID Fund - Direct Growth | | 15.46% |
Portfolio data is as on date 31 October, 2025
NAV (Net asset value) history
TRUSTMF ARBITRAGE FUND -REGULAR PLAN-GROWTH - 30 days NAV history
| Date | NAV |
|---|
| 5 December, 2025 | 10.1404 |
| 4 December, 2025 | 10.1356 |
| 3 December, 2025 | 10.1346 |
| 2 December, 2025 | 10.1299 |
| 1 December, 2025 | 10.1295 |
| 28 November, 2025 | 10.1277 |
| 27 November, 2025 | 10.1262 |
| 26 November, 2025 | 10.1276 |
| 25 November, 2025 | 10.1317 |
| 24 November, 2025 | 10.1242 |
| 21 November, 2025 | 10.1238 |
| 20 November, 2025 | 10.1213 |
| 19 November, 2025 | 10.1208 |
| 18 November, 2025 | 10.1179 |
| 17 November, 2025 | 10.1116 |
| 14 November, 2025 | 10.1104 |
| 13 November, 2025 | 10.1074 |
| 12 November, 2025 | 10.0961 |
| 11 November, 2025 | 10.0976 |
| 10 November, 2025 | 10.0915 |
| 7 November, 2025 | 10.096 |
| 6 November, 2025 | 10.0922 |
| 4 November, 2025 | 10.0948 |
| 3 November, 2025 | 10.0863 |
| 2 November, 2025 | 10.0803 |
| 31 October, 2025 | 10.08 |
| 30 October, 2025 | 10.0819 |
| 29 October, 2025 | 10.0785 |
| 28 October, 2025 | 10.0822 |
| 27 October, 2025 | 10.0762 |
FAQ (Frequently asked questions)
What is latest/current NAV/price of TRUSTMF ARBITRAGE FUND -REGULAR PLAN-GROWTH?
The latest NAV of TRUSTMF ARBITRAGE FUND -REGULAR PLAN-GROWTH is 10.1404 as on 5 December, 2025.