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Summary Info
Fund Name DSP Mutual Fund
Scheme Name DSP Multi Asset Allocation Fund - Regular (G)
AMC DSP Mutual Fund
Type Open
Category Hybrid - Equity Oriented
Launch Date 07-Sep-23
Fund Manager Aparna Karnik
Net Assets ()Cr 8,395.71
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 -0.39 7.00 0.07 7.69 21.75 - - 19.91
Category Avg -0.90 5.24 -0.15 -1.89 4.74 13.43 12.16 11.37
Category Best 2.03 12.62 10.05 9.56 24.57 25.13 27.44 32.98
Category Worst -2.18 1.88 -7.67 -11.62 -6.35 4.19 3.39 -1.13
Holdings
Company Name No of Shares Market Value Hold %
HDFC Bank 2,804,960 205.20 2.44
Bharti Airtel 1,069,137 190.56 2.27
Axis Bank 1,528,934 177.56 2.11
ICICI Bank 1,065,350 128.47 1.53
Infosys 939,513 117.50 1.40
Power Grid Corpn 3,305,132 97.87 1.17
Indus Towers 2,330,424 97.45 1.16
HCL Technologies 707,420 94.91 1.13
Larsen & Toubro 270,000 94.61 1.13
GAIL (India) 6,143,020 84.60 1.01
M & M 285,000 84.21 1.00
Oil India 1,690,994 80.40 0.96
Angel One 3,378,500 76.87 0.92
Jindal Steel 653,345 72.72 0.87
Sun Pharma.Inds. 399,721 70.24 0.84
Samvardh. Mothe. 6,723,482 70.65 0.84
UltraTech Cem. 65,000 69.84 0.83
Tata Motors 1,723,000 68.02 0.81
Oberoi Realty 439,100 62.31 0.74
H P C L 1,728,641 57.98 0.69
M & M Fin. Serv. 1,986,481 56.83 0.68
Craftsman Auto 80,510 56.17 0.67
Maruti Suzuki 43,410 53.42 0.64
Bajaj Finserv 320,899 52.36 0.62
L T Foods 1,374,466 49.93 0.59
CIE Automotive 1,007,819 44.85 0.53
KFin Technolog. 463,954 40.67 0.48
Hindalco Inds. 384,573 34.01 0.41
Apollo Tyres 704,680 29.05 0.35
Kalpataru Proj. 266,125 28.15 0.34
Tata Steel 1,421,544 27.27 0.32
Hero Motocorp 47,240 23.92 0.28
Godrej Consumer 230,360 22.69 0.27
Hindustan Zinc 430,000 21.59 0.26
Archean Chemical 332,289 19.52 0.23
Ipca Labs. 102,759 16.45 0.20
Tata Motors PVeh 533,000 15.79 0.19
NMDC 1,950,000 14.87 0.18
Sapphire Foods 544,943 8.20 0.10
Alembic Pharma 112,492 7.46 0.09
Gland Pharma 43,851 7.44 0.09
GMM Pfaudler 88,727 7.04 0.08
Bharti Telecom 13,250 134.73 1.61
Power Fin.Corpn. 2,750 50.05 0.60
Muthoot Finance 5,000 49.80 0.59
N A B A R D 2,500 25.26 0.30
GSEC2065 22,000,000 202.82 2.42
GSEC2035 6.48 11,500,000 114.37 1.36
Chattisgarh 2042 10,000,000 99.68 1.19
Maharashtra 2040 5,000,000 49.66 0.59
Maharashtra 2038 5,000,000 48.14 0.57
GSEC2040 6.68 5,000,000 47.46 0.57
Uttar Pradesh 2044 5,000,000 47.79 0.57
GSEC2054 3,000,000 28.04 0.33
Haryana 2041 2,500,000 24.83 0.30
GSEC2055 7.24 2,500,000 23.75 0.28
GSEC2028 1,500,000 15.69 0.19
TREPS 0 560.97 6.69
Net CA & Others 0 310.74 3.66
DSP Gold ETF 51,500,147 739.49 8.81
DSP Nifty 50 Equal Weight ETF 13,256,896 407.77 4.86
DSP Silver ETF 7,530,838 163.94 1.95
DSP Liquidity Fund - Direct (G) 380,906 150.11 1.79
DSP Nifty PSUETF 13,020,000 103.21 1.23
The Communication Services Select Sector SPDR Fund 87,641 91.97 1.10
iShares Global Industrials ETF 51,231 87.78 1.05
iShares S&P 500 Energy Sector UCITS ETF 528,644 66.10 0.79
iShares Global Healthcare ETF 50,883 45.05 0.54
iShares Global Comm Services ETF 3,966 4.31 0.05
Cash Margin 0 10.00 0.12
NVIDIA CORP 69,609 114.91 1.37
Alibaba Group Holding Limited 526,500 75.86 0.90
Amazon.com Inc 34,307 67.63 0.81
Microsoft Corp 18,733 65.64 0.78
SK Hynix Inc 12,847 64.67 0.77
Contemporary Amperex Technology Co Limited 117,500 64.74 0.77
Sony group 322,900 61.39 0.73
Schneider Electric Se Ord 22,202 55.45 0.66
L'Oreal SA 13,852 52.75 0.63
NOVO NORDISK ADR REPSG 1 ORD 126,584 44.03 0.52
Tencent Holdings Limited 75,200 44.07 0.52
NIKE Inc 60,298 30.15 0.36
Sony Financial Holdings INC NPV 159,600 1.35 0.02
Silver 694 483.26 5.76
GOLD 288 422.41 5.03
Embassy Off.REIT 3,542,301 148.88 1.77
Brookfield India 2,249,053 72.80 0.87
Knowledge Realty 6,361,442 72.27 0.86
Mindspace Busine 831,381 37.34 0.44
Powergrid Infra. 4,093,567 36.92 0.44
RaajMarg Infra 3,276,357 36.06 0.43