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Summary Info
Fund Name SBI Mutual Fund
Scheme Name SBI PSU Fund - Direct (G)
AMC SBI Mutual Fund
Type Open
Category Equity - Diversified
Launch Date 01-Jan-13
Fund Manager Rohit Shimpi
Net Assets ()Cr 5,179.37
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 2.49 1.17 -1.19 14.58 -2.99 29.92 31.89 11.81
Category Avg 1.41 3.08 1.94 16.38 -2.38 17.55 23.01 15.27
Category Best 5.92 8.50 9.16 41.44 19.09 30.13 36.43 49.46
Category Worst -0.70 -1.74 -5.64 -1.74 -19.00 1.88 12.27 -23.31
Holdings
Company Name No of Shares Market Value Hold %
SBI 9,927,500 796.68 15.38
Bharat Electron 12,975,000 479.30 9.25
NTPC 14,543,244 476.36 9.20
Power Grid Corpn 16,535,554 455.14 8.79
GAIL (India) 25,750,000 445.66 8.60
B P C L 9,700,000 298.95 5.77
Bank of Baroda 11,000,000 256.11 4.94
NMDC 27,900,000 191.95 3.71
Indian Bank 2,427,235 158.52 3.06
General Insuranc 4,150,000 150.91 2.91
Oil India 3,850,000 150.27 2.90
SBI Cards 1,650,000 132.58 2.56
Life Insurance 1,310,000 111.63 2.16
Petronet LNG 4,100,000 110.50 2.13
SBI Life Insuran 590,000 106.52 2.06
Natl. Aluminium 5,000,000 93.09 1.80
B H E L 4,000,000 83.20 1.61
Bank of India 7,500,000 82.72 1.60
O N G C 3,455,000 80.75 1.56
Guj.St.Petronet 2,650,000 76.82 1.48
REC Ltd 2,125,000 74.38 1.44
Engineers India 3,200,000 63.47 1.23
I O C L 4,281,804 58.50 1.13
Gujarat Gas 1,200,000 50.33 0.97
TBILL-182D 500,000 4.94 0.10
TREPS 0 195.66 3.78
Net CA & Others 0 -5.57 -0.12