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Pros
Generated Consistent Returns.

Generated Consistent Returns.

Consistently beats benchmark.

Consistently beats benchmark.

Lower probablity of downside risk.

Lower probablity of downside risk.

Cons
Highly volatile within category.

Highly volatile within category.

INDMoney rank
2/24
Category

Equity, Flexi Cap

Fund Age

6 Years 1 Months

Fund AUM

₹2460 Cr

Min Investment
  1. SIP ₹1000
  2. Lumpsum ₹5000
Expense Ratio

0.46%

Exit Load

1%

Benchmark Index

BSE 500 India TR INR

No of Holdings

70

Top 5 Holdings
  1. State Bank of India(4.04%)
  2. Lloyds Metals & Energy Ltd(3.6%)
  3. Sky Gold and Diamonds Ltd(3.24%)
  4. Hindustan Aeronautics Ltd Ordinary Shares(3.22%)
  5. ICICI Bank Ltd(3.06%)
No of Sectors

13

Top 3 Sectors
  1. Financial Services(22.07%)
  2. Industrial(19.19%)
  3. Basic Materials(18.78%)
Equity %

98.4%

Debt %

0.02%

P/E

22.98

P/B

3.31

Credit Quality

-

Modified Duration

-

YTM

-

1-Month Return

4.65%

3-Month Return

14.92%

6-Month Return

6.41%

1-Year Return

8.79%

3-Year Return

22.4%

5-Year Return

18.23%

Sharpe

0.82

Alpha

7.7

Beta

1.12

Standard Deviation

19.01

Information Ratio

1.14

Description

Bank of India Flexi Cap Fund is an equity fund.The fund could potentially beat inflation in the long-run.

Managers

Alok Singh

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