Enter the first few characters of the Mutual Fund scheme and click 'Go'
Portfolio Allocation - Sundaram Financial Services Opportunities Fund - Institutional Plan
Fund |
Sundaram FinSerOppIP (I) |
NAV (Mar 27th, 2024) |
33.45 |
Class |
Equity - Diversified |
Type |
Open Ended |
Inception Date |
Apr 17th, 2008 |
Fund Manager |
Mr.Rohit Seksaria |
Fund |
Sundaram FinSerOppIP (I) |
Initial Price |
10 |
Min.Inv.Amount |
1,00,00,000 |
Entry Load |
Nil% |
Exit Load |
1% |
Percentage Returns
Returns in % |
1 Week Ago |
1 Month Ago |
3 Months Ago |
6 Months Ago |
9 Months Ago |
1 Year Ago |
Sundaram FinSerOppIP (I) |
0.67% |
-0.22% |
-0.27% |
5.10% |
13.16% |
32.95% |
Portfolio Allocation
Instrument |
Percentage |
Equity |
95.32% |
Treps/reverse Repo |
3.71% |
Mutual Fund Units |
1.04% |
Treasury Bill |
0.42% |
Cash |
-0.48% |
Industry |
Percentage |
Finance - Banks - Private Sector |
50.75% |
Finance & Investments |
16.38% |
Finance - Banks - Public Sector |
12.02% |
Finance - Term Lending Institutions |
6.82% |
Finance - Housing |
4.80% |
Finance - Life Insurance |
3.08% |
Microfinance Institutions |
0.98% |
Finance - Non Life Insurance |
0.49% |