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Summary Info
Fund Name 360 ONE Mutual Fund
Scheme Name 360 ONE Focused Fund (G)
AMC 360 ONE Mutual Fund
Type Open
Category Equity - Diversified
Launch Date 08-Oct-14
Fund Manager Mayur Patel
Net Assets ()Cr 6,837.07
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 -2.43 -9.70 -11.69 -8.89 -2.88 12.06 11.74 13.42
Category Avg -2.19 -8.92 -11.14 -8.46 1.01 15.49 13.73 9.93
Category Best 1.06 -2.01 -1.63 3.93 18.99 31.70 26.78 35.20
Category Worst -55.80 -58.99 -60.43 -59.48 -55.55 -13.24 2.37 -22.70
Holdings
Company Name No of Shares Market Value Hold %
ICICI Bank 4,216,389 581.40 8.50
Indus Towers 8,903,636 405.07 5.92
Bharti Airtel 2,119,432 398.30 5.83
Cholaman.Inv.&Fn 2,158,656 373.62 5.46
Larsen & Toubro 804,925 344.37 5.04
Bajaj Finance 3,379,413 336.56 4.92
Axis Bank 2,338,361 323.61 4.73
Tata Motors 6,001,106 303.24 4.44
HDFC Bank 2,989,679 265.41 3.88
GE Vernova T&D 684,476 263.54 3.85
Motherson Wiring 57,218,228 247.18 3.62
CG Power & Ind 3,353,631 243.21 3.56
Indian Hotels Co 3,459,577 230.77 3.38
Infosys 1,659,652 215.77 3.16
Kotak Mah. Bank 4,945,217 205.33 3.00
Shriram Finance 1,894,802 204.52 2.99
Eternal 8,073,703 198.86 2.91
Premier Energies 2,540,241 185.69 2.72
Vedanta 2,426,140 174.29 2.55
Titan Company 397,148 171.87 2.51
Divi's Lab. 243,295 155.92 2.28
Aegis Vopak Term 5,774,503 131.70 1.93
Hero Motocorp 228,351 130.39 1.91
Crompton Gr. Con 4,248,002 109.53 1.60
SIS 2,984,055 91.10 1.33
Physicswallah 7,989,778 69.17 1.01
Sumitomo Chemi. 1,576,509 63.24 0.92
Coforge 513,382 60.88 0.89
Tech Mahindra 421,568 57.24 0.84
Bharti Airtel PP 44,918 6.64 0.10
TREPS 0 286.65 4.19
Net CA & Others 0 2.02 0.03