Balanced funds

Balanced funds

Aggressive Hybrid Fund

Fund / Benchmarks Inception Date AUM Date AUM (Rs.Cr) NAV
Rs. 1 Year Since Inception Remarks
CRISIL Hybrid 35+65 – Aggressive Index* 17.16 14.04
Axis Equity Hybrid Fund – Reg – Growth 09-08-2018 30/11/2020 1659.69 12.91 14.51 11.26 2 Year old fund
Canara Robeco Equity Hybrid Fund – Growth 01-02-1993 30/11/2020 3906.31 200.98 19.16 11.49 27 year old fund
DSP Equity & Bond Fund – Growth 27-05-1999 30/11/2020 6025.30 191.27 16.56 14.63 21 year old fund
Kotak Equity Hybrid Fund – Growth 05-11-2014 30/11/2020 1265.11 30.86 15.23 9.45 6 year old fund
Mirae Asset Hybrid – Equity Fund – Reg – Growth 29-07-2015 30/11/2020 4139.31 17.82 13.27 11.24 5 year old fund

Balanced advange

Fund / Benchmarks Inception Date AUM Date AUM (Rs.Cr) NAV
Rs. 1 Year 2 Years 3 Years 5 Years 10 Years Since Inception
Peer Group Median 12.43 10.14 6.88 8.59 9.21 10.21
Axis Dynamic Equity Fund – Reg – Growth 01-08-2017 30/11/2020 1428.78 12.47 9.65 8.02 6.16 6.67
DSP Dynamic Asset Allocation Fund – Reg – Growth 06-02-2014 30/11/2020 1959.43 18.20 12.50 10.73 8.31 9.05 9.07
ICICI Prudential Balanced Advantage Fund – Reg – Growth 30-12-2006 30/11/2020 27646.93 42.44 11.10 11.11 8.12 10.12 11.65 10.87
Kotak Balanced Advantage Fund – Reg – Growth 03-08-2018 30/11/2020 5179.78 12.76 13.28 12.84 10.63
Tata Balanced Advantage Fund – Reg – Growth 28-01-2019 31/12/2020 1419.83 12.56 13.49 14.63

Childern funds

Inception Date AUM Date AUM (Rs.Cr) NAV
Rs. 1 Year 2 Years 3 Years 5 Years 10 Years Since Inception
08-12-2015 30/11/2020 526.38 16.57 14.85 14.32 9.34 10.43 10.49
02-03-2001 30/11/2020 3797.97 146.05 16.71 12.10 7.39 11.80 13.07 15.99
31-08-2001 30/11/2020 671.12 157.86 8.25 8.54 4.88 9.15 10.01 15.33
14-10-1995 30/11/2020 203.61 31.57 20.78 13.03 5.23 8.52 9.23 12.37

Retirement Fund

Fund / Benchmarks Inception Date AUM Date AUM (Rs.Cr) Top 10 Stocks NAV
(%) Rs. 1 Year Since Inception
Axis Retirement Savings Fund – Aggressive Plan – Reg – Growth 20-12-2019 30/11/2020 518.36 55.00 11.64 16.24 15.88
Axis Retirement Savings Fund – Conservative Plan – Reg – Growth 20-12-2019 30/11/2020 106.17 19.00 11.39 13.71 13.46
Axis Retirement Savings Fund – Dynamic Plan – Reg – Growth 20-12-2019 30/11/2020 254.48 55.00 11.77 17.53 17.14
HDFC Retirement Savings Fund – Equity Plan – Reg – Growth 25-02-2016 30/11/2020 1145.66 39.00 20.28 17.83 15.70
ICICI Prudential Retirement Fund – Hybrid Aggressive Plan – Reg – Growth 21-02-2019 30/11/2020 81.00 59.00 11.99 12.76 10.26
Tata Retirement Savings Fund – Moderate Plan – Reg 01-11-2011 30/11/2020 1251.64 39.00 36.25 14.19 15.08
Tata Retirement Savings Fund – Progressive Plan – Reg 01-11-2011 30/11/2020 889.12 45.00 35.60 13.46 14.85
Tata Retirement Savings Fund – Reg – Conservative Plan 01-11-2011 30/11/2020 156.69 14.00 23.26 11.46 9.64

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