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Turnover < 15%

Coffee-Can Funds Directory

Patient, buy-and-hold mutual funds with ultra-low portfolio turnover ratios that hold compounding giants for years.

Low-Churn Coffee-Can Buy & Hold Funds (7 Schemes)

Portfolio Turnover < 15%/year & Multi-Year Holding Periods
Flexi Cap EquityTurnover ~10%
Parag Parikh Flexi Cap Fund - Direct Plan - Growth

India's benchmark coffee-can fund holding high-moat monopolies (ITC, Bajaj, Alphabet, Microsoft) for years.

Turnover Ratio:8% - 12% / year
Avg Holding Period:5+ Years per Stock
Philosophy:Deep Buy & Hold Value
Latest NAV:Info Available
Details
Value EquityTurnover ~11%
Quantum Long Term Equity Value Fund - Direct Plan - Growth

Ultra-low churn value investing with zero momentum chasing and strict 25-30 stock discipline.

Turnover Ratio:9% - 14% / year
Avg Holding Period:4+ Years per Stock
Philosophy:Disciplined Value & Margin of Safety
Latest NAV:Info Available
Details
Large Cap EquityTurnover ~14%
HDFC Top 100 Fund - Direct Plan - Growth

Patient holding of market leaders through economic cycles with minimal portfolio churn.

Turnover Ratio:12% - 16% / year
Avg Holding Period:4+ Years per Stock
Philosophy:Large Cap Compounders
Latest NAV:Info Available
Details
Large Cap EquityTurnover ~15%
ICICI Prudential Bluechip Fund - Direct Plan - Growth

Low-volatility large-cap core allocation with low transaction costs and steady dividend capture.

Turnover Ratio:14% - 18% / year
Avg Holding Period:3.5+ Years per Stock
Philosophy:Quality Bluechip Compounding
Latest NAV:Info Available
Details
Large Cap EquityTurnover ~15%
Mirae Asset Large Cap Fund - Direct Plan - Growth

Consistent buy-and-hold approach targeting top 100 industry leaders with durable competitive moats.

Turnover Ratio:13% - 17% / year
Avg Holding Period:3.5+ Years per Stock
Philosophy:Growth at Reasonable Price (GARP)
Latest NAV:Info Available
Details
Large Cap EquityTurnover ~12%
DSP Top 100 Equity Fund - Direct Plan - Growth

Low-turnover portfolio with high return on capital employed and zero governance compromises.

Turnover Ratio:10% - 14% / year
Avg Holding Period:4+ Years per Stock
Philosophy:High Quality Moats
Latest NAV:Info Available
Details
Large Cap EquityTurnover ~15%
SBI Bluechip Fund - Direct Plan - Growth

Institutional long-term investment horizon capturing India's structural economic growth.

Turnover Ratio:14% - 18% / year
Avg Holding Period:3.5+ Years per Stock
Philosophy:Sovereign Research Compounder
Latest NAV:Info Available
Details