EquityGlobal - OtherVery High Risk
NAV (20-Dec-24)
Returns (Since Inception)
Fund Size
₹793 Cr
Expense Ratio
0.65%
ISIN
INF769K01HP3
Minimum SIP
-
Exit Load
-
Inception Date
21 Sep 2021
In this section, we compare the returns of the scheme with the category average over various periods. Periods for which the fund has outperformed its category average are marked in green, otherwise red.
1 Year
+38.37%
— (Cat Avg.)
3 Years
+16.92%
— (Cat Avg.)
Since Inception
+18.90%
— (Cat Avg.)
Equity | ₹792.68 Cr | 99.92% |
Others | ₹0.64 Cr | 0.08% |
All Holdings
Equity
Debt & Others
Name | Type | Amount | Holdings |
---|---|---|---|
Apple Inc | Equity | ₹90.31 Cr | 12.04% |
NVIDIA Corp | Equity | ₹85.87 Cr | 11.45% |
Microsoft Corp | Equity | ₹79.4 Cr | 10.58% |
Amazon.com Inc | Equity | ₹45.77 Cr | 6.10% |
Meta Platforms Inc Class A | Equity | ₹32.61 Cr | 4.35% |
Alphabet Inc Class A | Equity | ₹26.36 Cr | 3.51% |
Alphabet Inc Class C | Equity | ₹21.81 Cr | 2.91% |
Berkshire Hathaway Inc Class B | Equity | ₹21.71 Cr | 2.89% |
Broadcom Inc | Equity | ₹20.78 Cr | 2.77% |
Tesla Inc | Equity | ₹18.23 Cr | 2.43% |
Eli Lilly and Co | Equity | ₹17.21 Cr | 2.29% |
JPMorgan Chase & Co | Equity | ₹16.6 Cr | 2.21% |
UnitedHealth Group Inc | Equity | ₹13.71 Cr | 1.83% |
Exxon Mobil Corp | Equity | ₹13.64 Cr | 1.82% |
Visa Inc Class A | Equity | ₹12.73 Cr | 1.70% |
Mastercard Inc Class A | Equity | ₹10.84 Cr | 1.45% |
The Home Depot Inc | Equity | ₹10.26 Cr | 1.37% |
Procter & Gamble Co | Equity | ₹10.22 Cr | 1.36% |
Costco Wholesale Corp | Equity | ₹10.17 Cr | 1.36% |
Johnson & Johnson | Equity | ₹10.11 Cr | 1.35% |
AbbVie Inc | Equity | ₹9.47 Cr | 1.26% |
Walmart Inc | Equity | ₹9.36 Cr | 1.25% |
Netflix Inc | Equity | ₹8.54 Cr | 1.14% |
Bank of America Corp | Equity | ₹7.42 Cr | 0.99% |
Salesforce Inc | Equity | ₹7.42 Cr | 0.99% |
Oracle Corp | Equity | ₹7.06 Cr | 0.94% |
Merck & Co Inc | Equity | ₹6.82 Cr | 0.91% |
Coca-Cola Co | Equity | ₹6.66 Cr | 0.89% |
Chevron Corp | Equity | ₹6.65 Cr | 0.89% |
Advanced Micro Devices Inc | Equity | ₹6.13 Cr | 0.82% |
PepsiCo Inc | Equity | ₹6 Cr | 0.80% |
Wells Fargo & Co | Equity | ₹5.81 Cr | 0.77% |
Cisco Systems Inc | Equity | ₹5.8 Cr | 0.77% |
Linde PLC | Equity | ₹5.76 Cr | 0.77% |
Accenture PLC Class A | Equity | ₹5.68 Cr | 0.76% |
Adobe Inc | Equity | ₹5.56 Cr | 0.74% |
McDonald's Corp | Equity | ₹5.51 Cr | 0.73% |
Thermo Fisher Scientific Inc | Equity | ₹5.49 Cr | 0.73% |
Philip Morris International Inc | Equity | ₹5.43 Cr | 0.72% |
Abbott Laboratories | Equity | ₹5.18 Cr | 0.69% |
GE Aerospace | Equity | ₹4.9 Cr | 0.65% |
Texas Instruments Inc | Equity | ₹4.88 Cr | 0.65% |
Caterpillar Inc | Equity | ₹4.79 Cr | 0.64% |
Qualcomm Inc | Equity | ₹4.77 Cr | 0.64% |
Verizon Communications Inc | Equity | ₹4.66 Cr | 0.62% |
The Walt Disney Co | Equity | ₹4.59 Cr | 0.61% |
Comcast Corp Class A | Equity | ₹4.44 Cr | 0.59% |
NextEra Energy Inc | Equity | ₹4.28 Cr | 0.57% |
Pfizer Inc | Equity | ₹4.22 Cr | 0.56% |
Danaher Corp | Equity | ₹4.14 Cr | 0.55% |
Applied Materials Inc | Equity | ₹3.96 Cr | 0.53% |
Treps | Cash - Repurchase Agreement | ₹0.46 Cr | 0.06% |
Net Receivables / (Payables) | Cash | ₹0.03 Cr | 0.00% |
Equity Sector
Debt & Others
Sector | Amount | Holdings |
---|---|---|
Technology | ₹327.61 Cr | 43.67% |
Communication Services | ₹103 Cr | 13.73% |
Consumer Cyclical | ₹79.78 Cr | 10.63% |
Healthcare | ₹76.34 Cr | 10.18% |
Financial Services | ₹75.12 Cr | 10.01% |
Consumer Defensive | ₹47.84 Cr | 6.38% |
Energy | ₹20.3 Cr | 2.71% |
Industrials | ₹9.69 Cr | 1.29% |
Basic Materials | ₹5.76 Cr | 0.77% |
Utilities | ₹4.28 Cr | 0.57% |
Standard Deviation
This fund
17.09%
Cat. avg.
--
Lower the better
Sharpe Ratio
This fund
0.62
Cat. avg.
--
Higher the better
Sortino Ratio
This fund
--
Cat. avg.
--
Higher the better
Since September 2021
ISIN INF769K01HP3 | Expense Ratio 0.65% | Exit Load - | Fund Size ₹793 Cr | Age 3 years 3 months | Lumpsum Minimum - | Fund Status Open Ended Investment Company | Benchmark S&P 500 TOP 50 TR INR |
To seek to generate long-term capital growth from an actively managed portfolio primarily of Equity and Equity Related Securities. Scheme shall invest in Indian equities,foreign equities and related instruments and debt securities.
Note: As per the Income Tax Budget 2024, mutual funds are subject to capital gains taxation, which includes surcharge and cess based on prevailing income tax rules and the investor’s income. Taxation applies only to realised gains, not notional gains. Please consult your tax advisors to determine the implications or consequences of your investments in such securities.
Fund name | Expense Ratio | Exit Load | Fund size | 1Y |
---|---|---|---|---|
Aditya Birla Sun Life Commodity Equity Global Agricultural Regular Growth Very High Risk | 1.7% | 1.0% | ₹13.04 Cr | -3.0% |
HSBC Asia Pacific (Ex Japan) Dividend Yield Fund Regular Growth Very High Risk | 2.1% | 1.0% | ₹7.84 Cr | 15.3% |
HSBC Asia Pacific (Ex Japan) Dividend Yield Fund Direct Growth Very High Risk | 1.7% | 1.0% | ₹7.84 Cr | 15.7% |
Franklin Asian Equity Fund Regular Growth Very High Risk | 2.5% | 1.0% | ₹245.50 Cr | 16.2% |
DSP Global Innovation Fund of Fund Direct Growth Very High Risk | 1.2% | 0.0% | ₹915.77 Cr | 22.3% |
DSP Global Innovation Fund of Fund Regular Growth Very High Risk | 2.0% | 0.0% | ₹915.77 Cr | 21.3% |
Aditya Birla Sun Life Global Emerging Opportunities Fund Regular Growth Very High Risk | 2.1% | 0.0% | ₹248.15 Cr | 19.1% |
Edelweiss US Value Equity Offshore Fund Regular Growth Very High Risk | 2.3% | 1.0% | ₹140.27 Cr | 14.2% |
Edelweiss US Value Equity Offshore Fund Direct Growth Very High Risk | 1.4% | 1.0% | ₹140.27 Cr | 15.3% |
ICICI Prudential Global Advantage Fund (FOF) Regular Growth Very High Risk | 2.4% | 1.0% | ₹326.52 Cr | 20.6% |
Total AUM
₹1,92,407 Cr
Address
Unit No. 606, 6th Floor, Mumbai, 400 098
Your principal amount will be at Very High Risk