Invest in Direct Plans of SBI Consumption Opportunities Fund Direct Plan Growth Mutual Fund

Invest in Direct Plans of SBI Consumption Opportunities Fund Direct Plan Growth Mutual Fund

NAV

Rs. 102.134
as on (2020-08-03)

Morningstar rating

N/A

About this fund

Launched on 2013-01-01, SBI Consumption Opportunities Fund Direct Plan Growth (Direct plan) is a Equity - Consumption mutual fund from SBI Funds Management Private Limited. The Direct plans are free from any commission or distribution fees, which reduces the Expense ratio. Regardless of your investment (SIP or lumpsum), Direct Plans of mutual funds don't levy any transaction charges. As of 2020-08-04, it's Net Asset Value (NAV) is Rs. 102.134 with Rs. 541.82 crore worth of Assets Under Management (AUM). The Exit Load for SBI Consumption Opportunities Fund Direct Plan Growth is 0.1 Percentage if redeemed within 0 - 30 Days and 0 Percentage if redeemed after 1 Years and 0 Percentage if redeemed after 15 Days and 0 Percentage if redeemed after 30 Days

Fund Details

                   
Launch date 2013-01-01
ISIN INF200K01RM5
Benchmark IISL Nifty India Consumption TR INR (100 %)
AUMRs. 541.82 crore as on (2020-06-30)
Exit Load 0.1 Percentage if redeemed within 0 - 30 Days
0 Percentage if redeemed after 1 Years
0 Percentage if redeemed after 15 Days
0 Percentage if redeemed after 30 Days
Riskometer N/A
Fund manager(s) Saurabh Pant

Performance of SBI Consumption Opportunities Fund Direct Plan Growth

Performance 1Y 3Y 5Y
SBI Consumption Opportunities Fund Direct Plan Growth -8.4 % 0 % 5.43 %
Benchmark 1.46 % 2.32 % 6.35 %
Category Rank N/A N/A N/A

Top 10 holdings

Name % of Portfolio Sector
Sheela Foam Ltd 10.17 % Consumer Cyclical
Bharti Airtel Ltd 8.58 % Communication Services
ITC Ltd 7.83 % Consumer Defensive
Hawkins Cookers Ltd 6.22 % Consumer Cyclical
Maruti Suzuki India Ltd 6.03 % Consumer Cyclical
Page Industries Ltd 5.7 % Consumer Cyclical
Indian Hotels Co Ltd 5.6 % Consumer Cyclical
Ganesha Ecosphere Ltd 5.31 % Consumer Cyclical
Asian Paints Ltd 4.55 % Basic Materials
Emami Ltd 4.29 % Consumer Defensive

Portfolio

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Sector Allocation

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Return v/s Category

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