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Pros

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Cons

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INDMoney rank
6/10
-
Category

Allocation, Multi Asset Allocation

Allocation, Multi Asset Allocation

Fund Age

13 Years 2 Months

2 Years 6 Months

Fund AUM

₹16367 Cr

₹12784 Cr

Min Investment
  1. SIP ₹500
  2. Lumpsum ₹5000
  1. SIP ₹100
  2. Lumpsum ₹100
Expense Ratio

0.59%

0.5%

Exit Load

1%

1%

Benchmark Index

null

Nifty 500 TR INR

No of Holdings

106

98

Top 5 Holdings
  1. GAIL (India) Ltd(2.42%)
  2. Bandhan Bank Ltd(2.28%)
  3. Oil & Natural Gas Corp Ltd(1.97%)
  4. Punjab National Bank(1.66%)
  5. The Federal Bank Ltd(1.65%)
  1. State Bank of India(4.03%)
  2. ITC Ltd(3.62%)
  3. NTPC Ltd(3.54%)
  4. Maruti Suzuki India Ltd(3.14%)
  5. Power Finance Corp Ltd(2.93%)
No of Sectors

13

12

Top 3 Sectors
  1. Corporate(55.75%)
  2. Financial Services(28.82%)
  3. Government(16.48%)
  1. Government(36.76%)
  2. Financial Services(27.16%)
  3. Corporate(22.5%)
Equity %

45.54%

67.33%

Debt %

31.72%

7.1%

P/E

14.35

8.2

P/B

2.04

2.49

Credit Quality

-

-

Modified Duration

2.35

4.06

YTM

7.2

6.52

1-Month Return

-7%

-7.58%

3-Month Return

-4.48%

-4.81%

6-Month Return

2.96%

5.13%

1-Year Return

14.08%

22.55%

3-Year Return

17.64%

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5-Year Return

14.68%

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Sharpe

2.1

-

Alpha

-

-

Beta

-

-

Standard Deviation

6.35

-

Information Ratio

-

-

Description

SBI Multi Asset Allocation Fund is a hybrid fund.This fund gives you the benfit of diversification.

Kotak Multi Asset Allocation Fund is a hybrid fund.This fund gives you the benfit of diversification.

Managers

Dinesh Balachandran, Mansi Sajeja, Vandna Soni

Jeetu Sonar, Abhishek Bisen, Hiten Shah, Devender Singhal

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