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Summary Info
Fund Name HDFC Mutual Fund
Scheme Name HDFC Equity Savings Fund - Direct (G)
AMC HDFC Mutual Fund
Type Open
Category Hybrid - Arbitrage Oriented
Launch Date 01-Jan-13
Fund Manager Anil Bamboli
Net Assets ()Cr 5,575.55
NAV Graph
  One Month   Three Month   Six Month   One Year   Three Year   Five Year   Since INC
Latest Payouts
Dividends Bonus
Ratio NA NA
Date NA NA
Performance(%)
1 Week[%] 1 Month[%] 3 Month[%] 6 Month[%] 1 Year[%] 3 Year[%] 5 Year[%] Since INC[%]
Scheme Return 0.27 2.11 0.01 0.42 5.29 10.79 10.52 10.09
Category Avg 0.39 2.22 0.60 0.82 5.27 10.09 9.03 7.96
Category Best 1.22 4.53 2.58 2.96 17.98 17.97 13.42 11.73
Category Worst 0.01 1.07 -1.45 -3.58 -0.50 6.70 6.74 2.93
Holdings
Company Name No of Shares Market Value Hold %
HDFC Bank 5,386,900 394.08 7.07
Reliance Industr 2,438,500 327.71 5.88
ICICI Bank 1,824,100 219.97 3.95
Sun Pharma.Inds. 1,185,900 208.39 3.74
Titan Company 479,325 189.40 3.40
Larsen & Toubro 520,800 182.49 3.27
SBI 1,427,500 139.81 2.51
NTPC 3,483,000 129.10 2.32
Maruti Suzuki 90,250 111.06 1.99
Bharti Airtel 615,000 109.62 1.97
Adani Ports 770,450 101.13 1.81
Axis Bank 700,000 81.29 1.46
Bajaj Finance 1,016,250 81.46 1.46
Kotak Mah. Bank 2,306,000 81.49 1.46
O N G C 2,500,000 71.16 1.28
Infosys 500,000 62.53 1.12
Hindalco Inds. 687,400 60.80 1.09
Power Grid Corpn 2,038,000 60.35 1.08
TCS 251,225 59.26 1.06
Hyundai Motor I 300,000 53.34 0.96
HCL Technologies 350,000 46.96 0.84
M & M 137,000 40.48 0.73
Bajaj Auto 45,000 39.52 0.71
United Spirits 319,674 38.96 0.70
Divi's Lab. 61,300 36.46 0.65
SBI Life Insuran 200,000 35.55 0.64
Eicher Motors 52,718 34.72 0.62
Lupin 150,000 34.71 0.62
Ambuja Cements 827,600 33.21 0.60
ITC 1,140,000 32.80 0.59
Max Financial 200,000 29.81 0.53
Interglobe Aviat 75,000 29.58 0.53
HDFC Life Insur. 480,700 28.39 0.51
Apollo Hospitals 35,250 26.15 0.47
Tata Steel 1,300,000 24.94 0.45
Hind. Unilever 123,000 25.28 0.45
Eternal 1,048,500 24.01 0.43
UltraTech Cem. 20,950 22.51 0.40
Coal India 500,000 22.52 0.40
Kalpataru Proj. 200,000 21.15 0.38
Tech Mahindra 150,000 20.76 0.37
Cipla 154,875 18.96 0.34
Ipca Labs. 111,845 17.91 0.32
Guj Pipavav Port 1,200,000 17.09 0.31
PVR Inox 150,000 13.78 0.25
Bayer Crop Sci. 30,000 13.94 0.25
H P C L 400,000 13.42 0.24
CIE Automotive 300,000 13.35 0.24
Aptus Value Hou. 700,000 13.62 0.24
Paradeep Phosph. 1,200,000 12.87 0.23
Gland Pharma 70,000 11.87 0.21
JK Paper 375,110 11.49 0.21
Suprajit Engg. 297,401 11.90 0.21
Natl. Aluminium 300,000 11.58 0.21
Star Health Insu 250,000 11.44 0.21
Finolex Inds. 600,000 9.00 0.16
Greenply Industr 494,377 8.91 0.16
Gujarat Gas 250,000 7.68 0.14
G R Infraproject 94,148 7.49 0.13
Dr Reddy's Labs 57,500 7.22 0.13
Symphony 101,006 6.95 0.12
Goodyear India 100,000 6.64 0.12
Nestle India 34,500 4.05 0.07
Wipro 200,000 3.75 0.07
Coforge 15,000 1.67 0.03
Tata Consumer 4,950 0.50 0.01
Biocon 10,000 0.36 0.01
Kwality Wall's 123,000 0.28 0.00
N A B A R D 11,500 114.95 2.06
Muthoot Finance 10,500 105.14 1.88
LIC Housing Fin. 10,000 100.03 1.79
Power Fin.Corpn. 4,000 84.60 1.52
SBI 70 69.18 1.24
Bharti Telecom 5,500 55.06 0.99
S I D B I 5,000 50.02 0.90
SMFG India 5,000 50.12 0.90
Sundaram Finance 5,000 49.67 0.89
Cholaman.Inv.&Fn 3,500 35.48 0.64
Pipeline Infra 3,000 30.21 0.54
HDFC Ergo Gener 250 24.59 0.44
REC Ltd 1,370 13.57 0.24
I R F C 50 5.11 0.09
Bank of Baroda 5 4.95 0.09
GSEC2033 13,100,000 131.66 2.36
Gsec2029 11,000,000 111.82 2.01
GSEC2030 6,000,000 60.79 1.09
GSEC2027 5,250,000 53.45 0.96
Gsec2039 4,500,000 44.92 0.81
GSEC2034 3,000,000 30.14 0.54
GSEC2028 1,000,000 10.12 0.18
GSEC2064 1,000,000 9.49 0.17
GSEC2037 800,000 7.98 0.14
GSEC2033 500,000 5.08 0.09
GSEC2032 500,000 4.90 0.09
Gsec2028 6.22 500,000 5.04 0.09
TREPS 0 448.75 8.05
Siddhivinayak Securitisation Trust 25 24.61 0.44
N A B A R D 1,000 49.59 0.89
Net CA & Others 0 4.44 0.09
Union Bank (I) 500 23.62 0.42
Bank of Baroda 300 14.21 0.25
Embassy Off.REIT 850,000 35.72 0.64
Brookfield India 1,000,000 32.37 0.58
Powergrid Infra. 4,513,882 40.71 0.73
RaajMarg Infra 258,783 2.85 0.05