Pros | - | - | ||
Cons | - | - |
INDMoney rank | - | 4/8 | ||
Category | Allocation,Multi Asset Allocation | Allocation,Multi Asset Allocation | ||
Fund Age | 2 Years 3 Months | 12 Years 11 Months | ||
Fund AUM | ₹5587 Cr | ₹12012 Cr | ||
Min Investment | SIP ₹100 Lumpsum ₹100 | SIP ₹500 Lumpsum ₹5000 | ||
Expense Ratio | 0.25% | 0.62% | ||
Exit Load | 1% | 1% | ||
Benchmark Index | null | null |
No of Holdings | 77 | 103 | ||
Top 5 Holdings | HDFC Bank Ltd (4.46%) Bharti Airtel Ltd (2.83%) Infosys Ltd (2.7%) ICICI Bank Ltd (2.2%) Axis Bank Ltd (2.17%) | Reliance Industries Ltd (2.24%) HDFC Bank Ltd (2.23%) PB Fintech Ltd (1.85%) Gokaldas Exports Ltd (1.68%) Privi Speciality Chemicals Ltd (1.61%) | ||
No of Sectors | 14 | 13 | ||
Top 3 Sectors | Government (51.03%) Corporate (25.78%) Financial Services (24.81%) | Corporate (62.77%) Financial Services (32.7%) Government (23.01%) | ||
Equity % | 66.96% | 47.68% | ||
Debt % | 15.12% | 34.5% | ||
P/E | 19.78 | 22.3 | ||
P/B | 2.97 | 2.36 | ||
Credit Quality | - | - | ||
Modified Duration | 5.9 | 3.1 | ||
YTM | 6.87 | 7.26 |
1-Month Return | 3.35% | 3.15% | ||
3-Month Return | 7.17% | 7.14% | ||
6-Month Return | 14.1% | 11.18% | ||
1-Year Return | 23.98% | 19.67% | ||
3-Year Return | - | 19.37% | ||
5-Year Return | - | 16.07% |
Sharpe | - | 1.57 | ||
Alpha | - | - | ||
Beta | - | - | ||
Standard Deviation | - | 6.78 | ||
Information Ratio | - | - |
Description | DSP Multi Asset Allocation Fund is a hybrid fund.This fund gives you the benfit of diversification. | SBI Multi Asset Allocation Fund is a hybrid fund.This fund gives you the benfit of diversification. | ||
Managers | Ravi Gehani,Aparna Karnik,Shantanu Godambe | Mansi Sajeja,Dinesh Balachandran,Vandna Soni |