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Summary Info
Fund Name DSP Mutual Fund
Scheme Name DSP Quant Fund - Regular (G)
AMC DSP Mutual Fund
Type Open
Category Equity - Diversified
Launch Date 20-May-19
Fund Manager Aparna Karnik
Net Assets ()Cr 898.25
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 -3.23 -1.04 -2.08 5.97 -9.56 10.29 14.23 12.67
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 %
HDFC Bank 830,350 79.02 8.80
ICICI Bank 391,676 54.75 6.09
Infosys 198,909 29.23 3.25
Interglobe Aviat 49,502 27.95 3.11
Bharti Airtel 144,600 27.31 3.04
Nestle India 218,376 25.25 2.81
TCS 78,495 24.21 2.70
Eicher Motors 39,186 23.92 2.66
Hero Motocorp 45,497 23.15 2.58
HCL Technologies 158,892 23.12 2.57
TVS Motor Co. 70,000 22.94 2.55
Wipro 878,146 21.90 2.44
Britannia Inds. 36,727 21.39 2.38
Hyundai Motor I 86,936 21.39 2.38
ITC 512,232 20.99 2.34
Dixon Technolog. 12,449 20.78 2.31
Cipla 127,737 20.30 2.26
HDFC AMC 36,301 19.83 2.21
Bajaj Finance 222,262 19.51 2.17
Shriram Finance 330,739 19.19 2.14
Colgate-Palmoliv 81,615 19.03 2.12
Hindustan Zinc 439,299 18.42 2.05
Page Industries 4,156 18.43 2.05
Maruti Suzuki 12,452 18.42 2.05
M & M Fin. Serv. 716,612 18.20 2.03
Tech Mahindra 120,508 17.85 1.99
Muthoot Finance 67,840 17.89 1.99
Marico 241,502 17.53 1.95
Bharti Hexacom 98,679 17.51 1.95
Abbott India 5,474 17.23 1.92
Indus Towers 487,632 16.51 1.84
Mphasis 58,147 16.21 1.80
Coromandel Inter 67,515 15.59 1.74
Glaxosmi. Pharma 55,891 15.57 1.73
AWL Agri Busine. 609,574 15.33 1.71
AU Small Finance 201,000 14.43 1.61
Berger Paints 269,969 14.39 1.60
Hind. Unilever 53,949 14.35 1.60
ICICI Lombard 76,741 14.12 1.57
LTIMindtree 26,417 13.56 1.51
TREPS 0 20.83 2.32
Net CA & Others 0 0.46 0.05
TVS Motor Co. 280,000 0.28 0.03