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Max Life UL Sustainable Equity Fund
Max Life UL Sustainable Equity Fund (SFIN: ULIF02505/10/21SUSTAINEQU104) is an open-ended equity fund that investments in companies that fulfill pre-determined ESG (Environmental, Social and Governance) c
...Read MoreYou Get (as on 31 July 2025)
Total investment
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Estimated returns
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Overview
Fund Size (AUM)
₹ 550.49 Cr
as on 31 July 2025
NAV
₹ 17.45
as on 31 July 2025
1 Year Returns
-2.23%
as on 31 July 2025
Benchmark Index
NSE Custom ESG Index 100%
Inception Date
25 May 2022
Nav Performance
Investment Philosophy
The sustainable equity fund primarily invests in equity stocks of companies that conduct business in an environmentally and socially responsible manner while maintaining high governance standards.
Being an equity-oriented scheme, this fund is prone to short-term volatility, hence it is suitable for long-term investors with high risk appetite.
Apart from equity stocks, the scheme can also invest a relatively smaller portion of its investible assets in various debt instruments such as money market papers/cash equivalents, Government Securities and Corporate bonds.
Portfolio Overview
The scheme is required to maintain a minimum equity exposure of 70% at all times. The remainder 30% of the scheme’s portfolio can be invested in various money market instruments or equivalents. The exposure of this scheme towards corporate bonds and G-secs is capped at 20% for each of these types of debt investments.
Fund Performance vs. Benchmark
Time Horizon* | Fund Returns (%) | Benchmark Returns (%) |
---|---|---|
1 Year | -4.19% | -5.00% |
3 Years | 16.83% | 11.66% |
5 Years | NA | NA |
Since Inception | 18.66% | 14.67% |
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Written bySumit Narula

Investment Writer
Published 17th April 2024

Reviewed byPrateek Pandey

Last Modified 12th September 2025
Investment Expert

Note: Returns more than 1 year are CAGR returns. Above Fund Returns are after deduction of Fund Management Charges (FMC) and as of 31 July, 2025. Past performance does not guarantee future returns.
Top 10 Equities in the Fund
Security Name | % of AUM |
---|---|
ICICI BANK LIMITED | 7.23 |
HOUSING DEVELOPMENT FINANCE CORP BANK | 5.98 |
BHARTI AIRTEL LIMITED | 5.62 |
INFOSYS LIMITED | 4.39 |
ETERNAL LIMITED | 3.95 |
ICICI PRUDENTIAL BANKING ETF | 2.61 |
RELIANCE INDUSTRIES LIMITED | 2.36 |
TATA CONSULTANCY SERVICES LIMITED | 2.29 |
BAJAJ FINANCE LIMITED | 2.26 |
ULTRATECH CEMENT LIMITED | 2.23 |
Top 10 Industry in the Fund
FINANCIAL AND INSURANCE ACTIVITIES | |
COMPUTER PROGRAMMING, CONSULTANCY AND RELATED ACTIVITIES | |
INFRASTRUCTURE | |
MANUFACTURE OF PHARMACEUTICALS, MEDICINAL CHEMICAL AND BOTANICAL PRODUCTS | |
MANUFACTURE OF OTHER TRANSPORT EQUIPMENT | |
MANUFACTURE OF MOTOR VEHICLES, TRAILERS AND SEMI-TRAILERS | |
MANUFACTURE OF CHEMICALS AND CHEMICAL PRODUCTS | |
RETAIL TRADE, EXCEPT OF MOTOR VEHICLES AND MOTORCYCLES | |
INFORMATION SERVICE ACTIVITIES | |
CONSTRUCTION OF BUILDINGS | |
OTHER | 17.01% |
Asset Allocation
Asset Type | Actual (%) | Asset-Range |
---|---|---|
Govt Securities | 0.00% | 0 - 20% |
Corporate Bonds | 0.00% | 0 - 20% |
Money Market OR Equivalent | 1.31% | 0 - 30% |
Equities | 0.00% | 70 - 100% |
Modified Duration
Debt Portfolio | 0.0082 |
Money Market Instruments | 0.0082 |
Money Market Instruments | 0.9489 |
Note: Debt portfolio includes MMI