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Summary Info
Fund Name DSP Mutual Fund
Scheme Name DSP Regular Savings Fund (G)
AMC DSP Mutual Fund
Type Open
Category Hybrid - Debt Oriented
Launch Date 11-Jun-04
Fund Manager Abhishek Singh
Net Assets ()Cr 178.58
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 -0.47 0.48 0.05 3.02 4.38 10.29 9.16 8.67
Category Avg -0.74 0.54 -0.15 3.83 3.19 9.72 9.81 8.92
Category Best 0.20 1.93 1.64 6.38 7.89 13.10 14.47 12.19
Category Worst -3.10 -1.95 -2.71 0.06 -1.55 6.60 5.58 5.71
Holdings
Company Name No of Shares Market Value Hold %
HDFC Bank 31,510 3.05 1.71
ICICI Bank 15,327 2.18 1.22
Kotak Mah. Bank 9,998 1.97 1.10
ITC 47,375 1.95 1.09
Infosys 10,948 1.65 0.92
Axis Bank 13,784 1.52 0.85
M & M 3,835 1.35 0.76
SBI Life Insuran 6,895 1.26 0.70
Cipla 7,910 1.22 0.69
NTPC 37,229 1.23 0.69
Samvardh. Mothe. 96,123 1.04 0.58
Ipca Labs. 6,355 0.83 0.47
Syngene Intl. 12,412 0.83 0.47
SBI 9,840 0.81 0.45
Cohance Life 8,010 0.79 0.44
GAIL (India) 36,073 0.65 0.36
Indus Towers 17,474 0.63 0.35
Cyient 4,679 0.57 0.32
Jubilant Ingrev. 7,466 0.53 0.30
ICICI Lombard 2,829 0.54 0.30
Team Lease Serv. 2,751 0.53 0.30
La Opala RG 21,572 0.53 0.30
O N G C 23,284 0.54 0.30
Bajaj Finance 4,760 0.48 0.27
Alembic Pharma 4,922 0.48 0.27
Indigo Paints 4,250 0.48 0.27
Petronet LNG 16,631 0.46 0.26
HCL Technologies 3,063 0.45 0.25
Power Fin.Corpn. 10,206 0.41 0.23
Emcure Pharma 2,998 0.41 0.23
Power Grid Corpn 100 10.66 5.97
N A B A R D 50 5.24 2.94
GSEC2035 2,500,000 25.28 14.16
GSEC2033 2,000,000 21.47 12.02
GSEC2030 2,000,000 21.35 11.96
GSEC2029 1,000,000 10.61 5.94
GSEC2028 1,000,000 10.57 5.92
GSEC2028 500,000 5.34 2.99
GSEC2034 500,000 5.33 2.98
GSEC2031 500,000 5.23 2.93
GSEC2031 500,000 5.18 2.90
GSEC2026 500,000 5.10 2.85
GSEC2026 295,000 3.02 1.69
Gujarat 2026 30,000 0.31 0.17
TREPS 0 12.24 6.85
Net CA & Others 0 0.23 0.13
SBI Funds Mgt. 502 0.57 0.32
Roadstar Infra 205,333 1.49 0.83