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Summary Info
Fund Name DSP Mutual Fund
Scheme Name DSP Focused Fund - Direct (G)
AMC DSP Mutual Fund
Type Open
Category Equity - Diversified
Launch Date 01-Jan-13
Fund Manager Bhavin Gandhi
Net Assets ()Cr 2,512.87
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 -3.76 0.34 -2.85 4.80 -4.75 18.36 19.73 13.88
Category Avg -3.35 -0.22 -1.81 8.97 -6.09 18.77 23.02 14.42
Category Best 0.12 4.79 5.58 25.02 10.47 33.76 35.75 47.02
Category Worst -6.11 -3.68 -7.66 -6.55 -20.94 2.23 12.47 -24.00
Holdings
Company Name No of Shares Market Value Hold %
Bajaj Finance 2,219,140 194.81 7.75
ICICI Bank 1,148,242 160.50 6.39
HDFC Bank 1,355,374 128.98 5.13
Coforge 725,659 125.13 4.98
Ipca Labs. 742,934 102.85 4.09
Axis Bank 976,358 102.05 4.06
Cholaman.Inv.&Fn 647,299 91.96 3.66
B P C L 2,883,018 88.85 3.54
Infosys 582,514 85.61 3.41
Phoenix Mills 558,910 84.02 3.34
Bharti Airtel 437,616 82.66 3.29
Kirloskar Oil 897,446 80.63 3.21
SBI 981,571 78.77 3.13
Coromandel Inter 318,152 73.46 2.92
Polycab India 102,310 72.55 2.89
SBI Life Insuran 399,730 72.17 2.87
Century Plyboard 927,852 69.25 2.76
Syngene Intl. 987,155 61.79 2.46
Westlife Food 830,831 59.66 2.37
Samvardh. Mothe. 6,150,483 57.05 2.27
Mrs Bectors 408,226 56.33 2.24
Power Fin.Corpn. 1,470,278 55.83 2.22
Tech Mahindra 372,201 55.14 2.19
Hero Motocorp 105,072 53.46 2.13
Cohance Life 589,110 51.88 2.06
GAIL (India) 2,770,814 47.95 1.91
Manappuram Fin. 1,824,610 47.70 1.90
PG Electroplast 833,321 44.42 1.77
Hindalco Inds. 621,974 43.78 1.74
Prudent Corp. 137,025 38.41 1.53
TREPS 0 124.48 4.95
Net CA & Others 0 0.75 0.04
Cash Margin 0 20.00 0.80