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Summary Info
Fund Name Sundaram Mutual Fund
Scheme Name Sundaram Arbitrage Fund - Direct (G)
AMC Sundaram Mutual Fund
Type Open
Category Arbitrage Funds
Launch Date 28-Mar-16
Fund Manager Rohit Seksaria
Net Assets ()Cr 276.95
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 0.10 0.57 1.62 3.57 7.40 7.37 5.59 4.71
Category Avg 0.06 0.51 1.54 3.26 6.89 7.11 5.72 5.78
Category Best 0.12 0.65 2.06 3.87 7.66 7.89 6.56 7.38
Category Worst -0.67 0.08 0.79 2.17 5.45 5.61 4.46 -0.51
Holdings
Company Name No of Shares Market Value Hold %
ICICI Bank 155,400 23.02 8.31
ITC 467,200 19.25 6.95
Reliance Industr 136,500 18.98 6.85
Axis Bank 108,125 11.55 4.17
HDFC Bank 55,550 11.21 4.05
TCS 35,175 10.68 3.86
Ambuja Cements 143,850 8.53 3.08
Bajaj Finance 90,750 8.00 2.89
Larsen & Toubro 18,725 6.81 2.46
Adani Enterp. 27,600 6.71 2.42
Sun Pharma.Inds. 32,900 5.62 2.03
Hindalco Inds. 81,200 5.55 2.00
Hind.Aeronautics 10,200 4.62 1.67
Max Financial 30,400 4.56 1.65
Bharti Airtel 22,800 4.36 1.58
SBI 54,000 4.30 1.55
Indian Hotels Co 58,000 4.30 1.55
Bank of Baroda 157,950 3.76 1.36
Tata Motors 52,000 3.46 1.25
Hind. Unilever 12,600 3.18 1.15
IndusInd Bank 37,100 2.96 1.07
Tata Power Co. 69,600 2.77 1.00
Cipla 15,750 2.45 0.88
SBI Life Insuran 12,375 2.28 0.82
Indus Towers 61,200 2.22 0.80
Tata Steel 137,500 2.17 0.78
RBL Bank 79,375 2.12 0.76
Punjab Natl.Bank 192,000 2.02 0.73
Tata Consumer 17,050 1.83 0.66
Canara Bank 168,750 1.81 0.65
PNB Housing 15,600 1.54 0.56
M & M 3,800 1.22 0.44
JSW Energy 18,000 0.93 0.33
Bajaj Finserv 3,500 0.68 0.25
DLF 7,425 0.58 0.21
Supreme Inds. 1,050 0.45 0.16
NTPC 6,000 0.20 0.07
GSEC2027 1,000,000 10.29 3.72
TBILL-364D 2,000,000 19.66 7.10
TREPS 0 27.43 9.90
Net CA & Others 0 1.22 0.44
Margin Money For Derivatives 0 1.88 0.68
Sundaram Money Fund - Direct (G) 6,936,583 10.55 3.81
Sundaram Liquid Fund - Direct (G) 39,454 9.24 3.34
Roadstar Infra 1,333 0.00 0.00