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Summary Info
Fund Name Aditya Birla Sun Life Mutual Fund
Scheme Name Aditya Birla SL PSU Equity Fund (G)
AMC Aditya Birla Sun Life Mutual Fund
Type Open
Category Equity - Diversified
Launch Date 09-Dec-19
Fund Manager Dhaval Gala
Net Assets ()Cr 6,085.65
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 -2.30 -10.35 -5.50 1.24 7.99 26.54 24.09 21.31
Category Avg -2.20 -7.62 -11.65 -8.40 0.36 15.57 13.75 9.94
Category Best 0.76 -0.54 -1.59 3.53 17.90 31.53 26.68 35.31
Category Worst -4.27 -12.39 -20.80 -20.55 -16.67 0.23 2.43 -22.69
Holdings
Company Name No of Shares Market Value Hold %
SBI 10,224,700 1,228.70 20.19
NTPC 13,193,146 503.85 8.28
Power Grid Corpn 12,330,936 368.26 6.05
Bharat Electron 7,143,269 317.66 5.22
O N G C 10,608,078 296.71 4.88
GAIL (India) 16,886,448 286.28 4.70
Bank of Baroda 8,152,807 262.48 4.31
B H E L 9,796,301 259.55 4.27
B P C L 6,577,349 253.49 4.17
Bank of India 14,197,283 249.94 4.11
Bank of Maha 33,193,607 248.16 4.08
NMDC 23,164,816 189.35 3.11
Coal India 4,082,418 175.81 2.89
PNB Housing 1,957,141 161.42 2.65
I O C L 7,660,905 143.62 2.36
Hind.Aeronautics 333,626 130.55 2.15
Oil India 1,932,393 93.51 1.54
Life Insurance 1,047,736 88.99 1.46
Mahanagar Gas 707,043 86.25 1.42
SBI Life Insuran 354,367 72.19 1.19
H P C L 1,509,904 66.25 1.09
S A I L 3,990,300 66.12 1.09
Natl. Aluminium 1,760,695 62.43 1.03
Power Fin.Corpn. 1,444,466 59.77 0.98
Indraprastha Gas 3,118,215 53.28 0.88
Punjab Natl.Bank 3,256,000 42.15 0.69
Canara Robeco 1,662,508 41.85 0.69
BEML Ltd 209,882 35.28 0.58
Container Corpn. 584,160 28.95 0.48
I R C T C 469,586 26.75 0.44
REC Ltd 731,728 25.60 0.42
Gujarat Gas 613,647 25.00 0.41
C C I 0 69.40 1.14
Cash & Bank Balance 0 0.00 0.00
Net CA & Others 0 11.06 0.18
Margin (Future and Options) 0 55.00 0.90