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Summary Info
Fund Name Aditya Birla Sun Life Mutual Fund
Scheme Name Aditya Birla SL International Equity Fund - Direct (G)
AMC Aditya Birla Sun Life Mutual Fund
Type Open
Category Global Funds - Foreign Equity
Launch Date 01-Jan-13
Fund Manager Dhaval Joshi
Net Assets ()Cr 229.26
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 0.26 3.23 9.54 14.49 26.11 17.51 12.97 11.48
Category Avg 1.01 4.31 10.46 13.62 17.76 19.00 13.29 11.51
Category Best 3.13 16.16 35.54 41.95 54.76 32.60 25.26 16.49
Category Worst 0.25 -0.28 -1.62 3.83 -10.04 9.84 3.84 6.80
Holdings
Company Name No of Shares Market Value Hold %
C C I 0 6.31 2.75
Net CA & Others 0 16.39 7.15
NVIDIA Corp 10,800 16.83 7.34
MICROSOFT CORPORATION 2,400 11.22 4.89
Alphabet Inc A 4,200 7.06 3.08
Allegro.eu SA 80,700 7.01 3.06
Amazon Com Inc 3,100 6.36 2.77
Reddit Inc 4,400 6.19 2.70
Apple Inc. 3,400 6.18 2.70
Facebook Inc 900 6.10 2.66
BAWAG Group AG 4,400 4.89 2.13
Prudential PLC 42,000 4.69 2.05
Webster Financial Corp 9,000 4.55 1.98
Shell PLC 13,700 4.32 1.89
Broadcom Inc 1,600 4.12 1.80
Duke Energy Corp 3,800 4.05 1.77
Western Alliance Bancorp 5,900 4.01 1.75
UCB SA 2,100 4.01 1.75
Burford Capital Ltd 33,200 3.74 1.63
Boston Scientific Corp 4,000 3.68 1.60
Taiwan Semiconductor Manufacturing Co Ltd 1,700 3.60 1.57
GE Vernova Inc 600 3.47 1.51
Walmart Inc 4,000 3.43 1.50
Oracle Corp 1,500 3.34 1.45
ASTRAZENECA PLC 2,500 3.28 1.43
FTAI Aviation Ltd 2,600 3.13 1.37
NatWest Group PLC 50,900 3.11 1.36
PHILIP MORRIS INTERNATIONAL INC 2,100 3.02 1.32
Coca-Cola Co. 5,000 2.97 1.30
TRANSDIGM GROUP INC 200 2.82 1.23
Snowflake Inc 1,400 2.74 1.20
Everest Group Ltd 900 2.65 1.15
Canadian Pacific Railway Ltd 4,100 2.64 1.15
Republic Services Inc 1,300 2.63 1.15
Sherwin-Williams Co 900 2.61 1.14
Eli Lilly & Co 400 2.59 1.13
Arista Networks Inc 2,400 2.59 1.13
Micron Technology Inc 2,700 2.58 1.13
Keyence Corp 800 2.58 1.13
Alibaba Group Holding Limited 2,400 2.54 1.11
Schneider Electric SA 1,100 2.52 1.10
Cie Generale des Etablissements Michelin SCA 7,800 2.44 1.07
Texas Instruments Inc 1,500 2.38 1.04
Enel SpA 30,200 2.34 1.02
Compass Group PLC 6,700 2.07 0.90
SAP SE 800 2.01 0.88
Roche Holdings Ag Genus Bearer Shs 700 1.94 0.85
Equifax Inc 900 1.89 0.83
Workday Inc 900 1.81 0.79
St James's Place PLC 11,800 1.79 0.78
Siemens Healthineers AG 3,700 1.75 0.77
NXP Semiconductors NV 900 1.69 0.74
Starbucks ORD 2,100 1.64 0.72
Agilent Technologies Inc 1,600 1.61 0.70
Teradyne Inc 1,700 1.60 0.70
Adobe Inc 500 1.57 0.68
Comcast Corp 5,300 1.54 0.67
Microchip Technology Inc 2,600 1.54 0.67
DSM-Firmenich AG 1,800 1.52 0.67
Conduit Holdings Ltd 39,000 1.38 0.60
Lancashire Holdings Ltd 16,100 1.17 0.51
Westlake Corp 1,400 0.97 0.42
Koninklijke Philips NV 287 0.07 0.03