Overview
Chart
Returns
Asset Allocation
Fund Info
Risk & Return Ratio
Fund Overview
  • Rating
    3
  • Minimum Investment
    ₹100
  • NAV (Net Asset Value)
    ₹N/A
  • AUM (Fund size)
    ₹3109 Cr
  • Created on
    5 Dec 2003
Fund Ranking
#15
/ 28 in Conservative Hybrid
Risk Level

Moderately High

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Returns
Trailing Return
Rolling Return
  • 6 Month
    -0.3%
  • 1 Year
    -0.4%
  • 3 Year (CAGR)
    6.3%
  • All Time (CAGR)
    9.7%
Category Return
  • 6 Month
    0.9%
  • 1 Year
    -0.1%
  • 3 Year (CAGR)
    6.7%
  • All Time (CAGR)
    9.5%
Asset Allocation
  • Equity
    18.8%
  • Debt
    76.4%
  • Real Estate
    0.8%
  • Other
    4.0%
Top 5 Holdings
Top 5 Sectors
  • Bajaj Finance
    0.77%
  • Bharat Petroleum Corporation
    0.24%
  • Cholamandalam Investment and Finance Company
    0.81%
  • Cipla
    0.35%
  • Escorts Kubota
    0.17%
Fund Information
  • Expense Ratio
    1.70%
  • Exit Load
    Exit load for units in excess of 15% of the investment, 1% will be charged for redemption within 1 year
  • Lock-In Period
    No Lock-In

Managed By

Shobhit Mehrotra
Sep 2007 - Present
Srinivasan Ramamurthy
Dec 2021 - Present
Dhruv Muchhal
June 2023 - Present
Anupam Joshi
March 2026 - Present
Anand Laddha
Sep 2026 - Present
Bhagyesh Kagalkar
Aug 2026 - Present
Risk & Return Ratio
  • Sharpe Ratio
    0.14
  • Standard Deviation
    4.75
  • Alpha
    0.00
  • Beta
    0.00