Asset Management Company

Taurus Mutual Fund

Explore mutual fund schemes managed by Taurus Mutual Fund.

9 Funds
2 Categories
7 Subcategories
Updated: October 1, 2026

AMC Performance Highlights

Performance highlights based on currently available historical return data.

Taurus Mutual Fund Schemes

7 eligible public funds found.

Fund Category NAV 1Y 3Y Sorted from highest to lowest return 5Y 10Y
Taurus Large Cap Fund Regular • Growth • Code 101209 Equity Large Cap Fund 165.0400 October 1, 2026 5.85% 12.46% 9.91% 9.65%
Taurus Flexi Cap Fund Regular • Growth • Code 100476 Equity Flexi Cap Fund 239.2900 October 1, 2026 7.62% 11.03% 10.04% 9.48%
Taurus ELSS Tax Saver Fund Regular • Growth • Code 100480 Equity ELSS 179.4100 October 1, 2026 -2.22% 9.48% 9.60% 11.68%
Taurus Mid Cap Fund Regular • Growth • Code 100477 Equity Mid Cap Fund 126.6700 October 1, 2026 5.06% 8.82% 11.29% 13.60%
Taurus Ethical Fund Regular • Growth • Code 111787 Equity Sectoral/ Thematic 119.4400 October 1, 2026 -3.76% 6.73% 6.78% 10.86%
Taurus Banking & Financial Services Fund Regular • Growth • Code 117312 Equity Sectoral/ Thematic 50.1300 October 1, 2026 -6.58% 5.81% 7.53% 10.80%
Taurus Infrastructure Fund Regular • Growth • Code 105417 Equity Sectoral/ Thematic 58.2700 October 1, 2026 -13.75% 5.24% 8.80% 11.54%

Frequently Asked Questions

Common questions about Taurus Mutual Fund schemes, NAV and returns.

What is Taurus Mutual Fund?

Taurus Mutual Fund is an Asset Management Company offering mutual fund schemes across equity, debt, hybrid and other investment categories.

How many mutual fund schemes does Taurus Mutual Fund offer?

Taurus Mutual Fund currently has 9 publicly available mutual fund schemes listed on this website.

Which Taurus Mutual Fund scheme has the highest 3-year return?

Based on the latest available historical performance, Taurus Large Cap Fund has the highest trailing 3-year return among publicly visible Taurus Mutual Fund schemes. Its reported trailing 3-year return is 12.46%.

How often is NAV updated?

NAV information is updated whenever new official NAV data becomes available through the plugin data synchronization process. The latest NAV date currently available on this page is October 1, 2026.

How are mutual fund returns calculated?

Historical returns are calculated using the actual NAV history stored by the plugin. Performance figures are provided for research and illustration purposes and should not be treated as investment advice or a guarantee of future returns.

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