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Summary Info
Fund Name Edelweiss Mutual Fund
Scheme Name Edelweiss Multi Cap Fund - Regular (G)
AMC Edelweiss Mutual Fund
Type Open
Category Equity - Diversified
Launch Date 04-Oct-23
Fund Manager Trideep Bhattacharya
Net Assets ()Cr 3,431.84
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 0.09 3.18 7.00 6.34 7.91 - - 18.54
Category Avg -0.17 2.21 7.29 6.26 6.54 15.36 14.01 13.90
Category Best 2.26 8.21 23.22 32.68 32.76 41.64 25.58 42.96
Category Worst -1.72 -10.52 -5.88 -10.06 -15.45 -1.79 1.65 -11.17
Holdings
Company Name No of Shares Market Value Hold %
ICICI Bank 865,750 124.27 3.62
HDFC Bank 1,576,607 117.95 3.44
Larsen & Toubro 262,177 103.27 3.01
Radico Khaitan 218,974 95.05 2.77
Reliance Industr 658,813 86.16 2.51
Karur Vysya Bank 2,210,085 75.68 2.21
NTPC 2,173,158 75.46 2.20
Tata Steel 3,456,074 65.56 1.91
Navin Fluo.Intl. 81,290 61.52 1.79
SBI 551,287 56.64 1.65
M & M 164,215 55.81 1.63
Craftsman Auto 55,439 54.74 1.59
Bikaji Foods 833,170 53.46 1.56
Multi Comm. Exc. 198,102 53.33 1.55
City Union Bank 2,577,748 53.23 1.55
Solar Industries 28,656 52.70 1.54
Shriram Finance 480,716 50.32 1.47
Titan Company 99,175 48.35 1.41
Krishna Institu. 597,216 48.06 1.40
Axis Bank 377,012 46.35 1.35
Divi's Lab. 55,707 44.88 1.31
Federal Bank 1,214,957 43.60 1.27
Infosys 369,196 41.72 1.22
Indian Hotels Co 554,956 40.99 1.19
Coforge 224,677 38.67 1.13
Data Pattern 90,271 38.65 1.13
K P R Mill Ltd 357,843 37.57 1.09
Bharti Airtel 189,567 37.38 1.09
PNB Housing 353,336 37.21 1.08
R R Kabel 140,787 36.64 1.07
Chalet Hotels 454,440 36.87 1.07
KEI Industries 72,496 36.24 1.06
CreditAcc. Gram. 223,718 35.63 1.04
Indian Bank 423,456 35.42 1.03
Home First Finan 287,434 34.18 1.00
Ather Energy 263,648 33.23 0.97
Rainbow Child. 217,438 33.17 0.97
NMDC 3,916,042 33.30 0.97
Marico 373,603 32.53 0.95
Torrent Pharma. 62,543 32.04 0.93
Kotak Mah. Bank 806,935 31.49 0.92
CG Power & Ind 360,786 31.15 0.91
Ashok Leyland 1,835,718 30.51 0.89
CEAT 89,154 30.58 0.89
Trent 102,048 30.67 0.89
Firstsour.Solu. 1,010,778 30.54 0.89
KFin Technolog. 321,560 30.16 0.88
BSE 81,417 29.69 0.87
Bajaj Finance 258,563 29.51 0.86
Bharat Electron 741,813 28.77 0.84
Sumitomo Chemi. 565,166 28.84 0.84
Max Healthcare 254,988 28.01 0.82
Fortis Health. 293,414 27.73 0.81
Eternal 917,070 27.74 0.81
Triveni Turbine 453,746 27.30 0.80
Maruti Suzuki 19,285 27.45 0.80
TVS Motor Co. 63,704 27.48 0.80
Endurance Tech. 96,311 26.57 0.77
Dixon Technolog. 18,586 26.11 0.76
Tech Mahindra 156,681 25.87 0.75
Century Plyboard 315,735 25.24 0.74
L&T Finance Ltd 788,018 24.53 0.71
Max Financial 157,885 23.67 0.69
Phoenix Mills 118,968 22.52 0.66
H P C L 568,278 22.15 0.65
Ipca Labs. 126,975 22.19 0.65
UltraTech Cem. 18,638 22.18 0.65
HDFC AMC 83,654 21.88 0.64
LG Electronics 143,692 21.42 0.62
Eicher Motors 26,862 21.04 0.61
AU Small Finance 192,824 20.19 0.59
Vishal Mega Mart 1,874,618 20.08 0.59
Ujjivan Small 2,716,797 19.49 0.57
Godrej Propert. 92,703 19.52 0.57
Ajanta Pharma 56,722 19.66 0.57
Cholaman.Inv.&Fn 104,110 19.26 0.56
JSW Energy 331,507 18.39 0.54
Oil India 397,942 18.25 0.53
Sundaram Finance 38,212 17.83 0.52
B H E L 437,785 17.82 0.52
Sun Pharma.Inds. 85,385 17.00 0.50
Prestige Estates 103,212 16.68 0.49
Netweb Technol. 37,230 16.84 0.49
Persistent Syste 29,947 16.62 0.48
Hindalco Inds. 164,668 16.05 0.47
Hind. Unilever 72,878 15.31 0.45
HCL Technologies 112,349 15.13 0.44
Elecon Engg.Co 342,270 14.34 0.42
TBO Tek 88,622 13.57 0.40
Billionbrains 661,959 12.87 0.37
Mankind Pharma 46,775 11.55 0.34
PB Fintech. 69,399 11.11 0.32
Ingersoll-Rand 24,472 10.61 0.31
Cipla 68,623 10.11 0.29
GE Vernova T&D 20,983 9.07 0.26
Bharat Dynamics 69,995 8.77 0.26
LTM 20,354 8.88 0.26
Britannia Inds. 15,668 8.49 0.25
Lupin 34,931 8.44 0.25
SPR Auto Technol 17,922 7.88 0.23
Indus Towers 201,304 7.87 0.23
SBI Funds Mgt. 114,010 6.72 0.20
Pine Labs 316,709 4.40 0.13
Exide Inds. 94,132 4.23 0.12
C C I 0 46.09 1.34
Net CA & Others 0 1.91 -0.01
Accrued Interest 0 0.01 0.00
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