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Summary Info
Fund Name ITI Mutual Fund
Scheme Name ITI Small Cap Fund - Direct (IDCW)
AMC ITI Mutual Fund
Type Open
Category Equity - Diversified
Launch Date 27-Jan-20
Fund Manager Dhimant Shah
Net Assets ()Cr 2,679.81
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 -3.10 -4.05 -0.24 20.34 -1.82 26.13 24.35 21.74
Category Avg -2.20 -1.75 -0.02 15.04 -3.78 18.03 21.60 14.31
Category Best -0.32 3.49 8.27 40.23 27.94 31.02 35.76 45.33
Category Worst -4.42 -6.51 -9.61 -1.15 -23.53 1.71 11.43 -26.09
Holdings
Company Name No of Shares Market Value Hold %
PG Electroplast 892,041 72.40 2.70
Multi Comm. Exc. 81,964 63.05 2.35
Acutaas Chemical 446,344 59.25 2.21
Karur Vysya Bank 2,195,593 57.88 2.16
Radico Khaitan 188,280 51.49 1.92
Aster DM Health. 817,055 49.42 1.84
Wockhardt 286,758 47.82 1.78
BSE 195,807 47.53 1.77
Dixon Technolog. 27,998 47.15 1.76
Cartrade Tech 212,081 46.37 1.73
Kirl.Pneumatic 351,807 46.41 1.73
KFin Technolog. 400,225 43.34 1.62
Sumitomo Chemi. 645,646 41.88 1.56
City Union Bank 1,923,384 41.21 1.54
Welspun Corp 437,460 40.72 1.52
Sun Pharma.Inds. 233,544 39.86 1.49
Deepak Fertilis. 249,786 39.94 1.49
Va Tech Wabag 241,132 38.24 1.43
Solar Industries 26,380 37.51 1.40
Techno Elec.Engg 256,633 37.37 1.39
Krishna Institu. 491,079 36.89 1.38
ZF Commercial 27,859 36.73 1.37
KPIT Technologi. 300,434 36.85 1.37
J K Cements 53,822 35.84 1.34
Mazagon Dock 128,350 35.57 1.33
Eternal Ltd 1,145,678 35.26 1.32
Apar Inds. 38,556 34.34 1.28
J B Chemicals & 192,606 34.08 1.27
PNB Housing 345,246 34.05 1.27
One 97 310,934 33.87 1.26
Neuland Labs. 25,255 33.54 1.25
Paradeep Phosph. 1,513,330 32.60 1.22
Nippon Life Ind. 389,015 31.60 1.18
Birla Corpn. 234,455 31.69 1.18
Blue Star 181,655 31.57 1.18
Transrail Light 429,279 31.40 1.17
Exide Inds. 807,678 31.04 1.16
Saregama India 645,599 31.20 1.16
Gulf Oil Lubric. 255,243 30.85 1.15
KSB 361,085 30.28 1.13
Kajaria Ceramics 251,818 29.64 1.11
Affle 3i 152,165 29.79 1.11
Shakti Pumps 331,388 29.54 1.10
PTC Industries 19,664 29.35 1.10
Kirloskar Oil 324,838 29.37 1.10
Sobha 177,120 28.33 1.06
Cohance Life 283,947 28.35 1.06
Neogen Chemicals 182,705 28.17 1.05
Jyoti CNC Auto. 277,142 28.27 1.05
Quality Power El 368,450 27.99 1.04
Federal Bank 1,382,024 27.98 1.04
A B Real Estate 147,138 27.73 1.03
NCC 1,253,214 27.28 1.02
PB Fintech. 149,504 27.09 1.01
Authum Invest 97,432 27.05 1.01
Bharat Dynamics 164,292 26.60 0.99
ITC 644,986 26.57 0.99
H P C L 628,550 26.30 0.98
Vishal Mega Mart 1,890,000 26.37 0.98
Zaggle Prepaid 679,636 25.77 0.96
Jindal Stain. 371,985 25.82 0.96
Home First Finan 209,111 25.34 0.95
Ingersoll-Rand 65,607 25.35 0.95
Anant Raj 442,335 24.97 0.93
Inox Wind 1,632,491 24.61 0.92
Safari Inds. 114,680 24.06 0.90
IndusInd Bank 300,772 24.03 0.90
Cams Services 63,778 23.83 0.89
Ramkrishna Forg. 409,888 23.88 0.89
Arvind Ltd 730,259 23.08 0.86
Chola Financial 116,878 22.06 0.82
Mangalore Chem. 615,660 21.79 0.81
Godfrey Phillips 22,526 20.52 0.77
Titagarh Rail 234,128 20.14 0.75
Gokaldas Exports 231,216 19.65 0.73
Premier Energies 187,785 19.38 0.72
IIFL Finance 380,708 18.20 0.68
Greenply Industr 540,371 17.42 0.65
Praj Industries 134,608 6.29 0.23
TREPS 0 20.09 0.75
Net CA & Others 0 64.43 2.45
ITI Dynamic Bond Fund - Direct (G) 3,906,741 5.13 0.19
ITI Banking & PSU Debt Fund - Direct (G) 2,790,746 3.76 0.14
Inox Wind 104,646 0.32 0.01