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Aditya Birla Sun Life Large Cap Fund Regular-Growth

Aditya Birla Sun Life Large Cap Fund Regular-Growth

Large CapEquity: Large Capமிக அதிக ஆபத்து
PaisaSmartPaisaSmart மதிப்பீடு★★★★★★★★★★1

The fund is rated 1 star. Investment selection within each industry and balance between returns and downside risk provided some support. Investment selection within each asset type was the main limitation and did not provide enough support for a higher rating. Higher annual fee of 1.68% and above-average fund size of Rs 29,710.82 crore were minor drawbacks.

இந்த மதிப்பீடு ஏன்

This fund has a bad track record with Asset Selection/Timing, a ok track record with Stock Selection/Timing, a ok risk-reward ratio. It is important to note, however, that this fund has a 29710.817 AUM and a 1.68 expense ratio. Considering all these factors, we have rated this fund as 1.0 star.

எங்கள் score நீண்டகால performance, risk மற்றும் consistency-ஐ மதிப்பிடுகிறது — past returns மட்டும் அல்ல.

Returns

8 Oct 2026 நிலவரப்படி

1W
-1.02%
1M
-5.71%
3M
-5.26%
6M
-3.90%
9M
-11.43%
1Y
-8.32%
2Y
-4.35%
3Y
+7.12%
4Y
+9.15%
5Y
+6.81%
7Y
+12.39%
10Y
+10.13%
15Y
+12.97%
20Y
+12.54%
தொடக்கத்திலிருந்து
+17.44%

Risk ratios

30 Sep 2026 நிலவரப்படி

Standard deviation
14.59
Sharpe ratio
0.20
Sortino ratio
0.27
Beta
0.98
Alpha
0.07
R-squared
0.99
Treynor ratio
2.97
Information ratio
0.00
சராசரி
8.53

Portfolio

30 Sep 2026 நிலவரப்படி

Market-cap பிரிவு

Large cap81.06%Mid cap13.06%Small cap5.88%
P/E
23.99
P/B
3.37
Style
Growth

துறை ஒதுக்கீடு

Financial34.35%
Automobile9.82%
Energy8.40%
Technology7.14%
Services6.14%
Consumer Staples5.39%
Healthcare4.88%
Metals & Mining4.42%

Holdings (73)

HoldingFund-இன் %மதிப்புபங்குகள்
ICICI Bank Ltd.7.74%₹2,160.75 Cr1,63,48,292
HDFC Bank Ltd.7.32%₹2,045.8 Cr2,88,67,000
Reliance Industries Ltd.4.84%₹1,352.64 Cr1,13,95,468
Kotak Mahindra Bank Ltd.4.11%₹1,146.75 Cr2,75,00,000
State Bank of India3.40%₹950.7 Cr99,08,250
Infosys Ltd.3.20%₹894.69 Cr90,00,000
Bharti Airtel Ltd.3.15%₹878.5 Cr50,00,000
Larsen & Toubro Ltd.3.13%₹874.2 Cr23,25,000
Mahindra & Mahindra Ltd.3.06%₹855.5 Cr29,00,000
Axis Bank Ltd.2.94%₹821.11 Cr66,97,488

Fund விவரங்கள்

சுருக்கமாக

Long term capital growth. Investments in equity and equity related securities, diversified across various industries in line with the benchmark index, S&P BSE 200.

முதலீட்டு நோக்கம்

The scheme seeks to long term growth of capital, through a portfolio with a target allocation of 100% equity by aiming at being as diversified across various industries and/ or sectors as its chosen benchmark index, NIFTY 100 TRI The secondary objective is income generation and distribution of IDCW.

Exit load

Exit load of 1% if redeemed within 90 days.

Fund வகை
Open-ended
குறைந்தபட்ச lumpsum
₹100
குறைந்தபட்ச திரும்பப் பெறுதல்
₹1
Lock-in
இல்லை
SIP
உள்ளது
SWP
உள்ளது
STP
உள்ளது
Purchase cut-off
15:00
அடிக்கடி கேட்கப்படும் கேள்விகள்