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Compare Axis Retirement Savings Fund - Dynamic Plan vs HDFC Dynamic PE Ratio Fund of Funds

Fund Comparison

Detailed comparison on parameters like NAV | Returns | Risk | Rating | Analysis

Fund Details

Risk
Very High
High
Rating
1.0
5.0
Min SIP Amount
₹1000
₹100
Expense Ratio
2.41
1
NAV
₹20.24
₹39.92
Fund Started
29 Nov 2019
17 Jan 2012
Fund Size
₹393.70 Cr
₹48.54 Cr
Exit Load
-
Exit load of 1% if redeemed within 1 year.

Risk

Very High
High

Rating

1.0
5.0

Min SIP Amount

₹1000
₹100

Expense Ratio

2.41
1

NAV

₹20.24
₹39.92

Fund Started

29 Nov 2019
17 Jan 2012

Fund Size

₹393.70 Cr
₹48.54 Cr

Exit Load

-
Exit load of 1% if redeemed within 1 year.

Returns

1 Year
39.33%
21.29%
3 Year
12.55%
14.95%
5 Year
-
16.84%

1 Year

39.33%
21.29%

3 Year

12.55%
14.95%

5 Year

-
16.84%

Holding Analysis

Equity
88.91%
0.00%
Cash
1.00%
100.00%

Equity

88.91%
0.00%

Cash

1.00%
100.00%

Top Holdings

Top 10 Holdings
Name
Assets
ICICI Bank Ltd.
5.14%
Reliance Industries Ltd.
4.45%
Infosys Ltd.
3.64%
HDFC Bank Ltd.
3.64%
Tata Consultancy Services Ltd.
2.76%
Torrent Power Ltd.
2.64%
Bajaj Finance Ltd.
2.43%
Pidilite Industries Ltd.
2.41%
Info Edge (India) Ltd.
1.99%
Larsen & Toubro Ltd.
1.90%
-

Top 10 Holdings

Name
Assets
ICICI Bank Ltd.
5.14%
Reliance Industries Ltd.
4.45%
Infosys Ltd.
3.64%
HDFC Bank Ltd.
3.64%
Tata Consultancy Services Ltd.
2.76%
Torrent Power Ltd.
2.64%
Bajaj Finance Ltd.
2.43%
Pidilite Industries Ltd.
2.41%
Info Edge (India) Ltd.
1.99%
Larsen & Toubro Ltd.
1.90%
-

Fund Manager

Name
Vinayak Jayanath
Anil Bamboli
Start Date
17 Jan 2023
16 Apr 2021

Name

Vinayak Jayanath
Anil Bamboli

Start Date

17 Jan 2023
16 Apr 2021

About Fund

Description
The schemes seeks to generating capital appreciation by investing in equity and equity related securities as well as generating income by investing in debt and money market securities, while attempting to manage risk from the market through active asset allocation.
The Scheme seeks capital appreciation by managing the asset allocation between specified equity and debt schemes of HDFC Mutual Fund.
Launch Date
29 Nov 2019
17 Jan 2012

Description

The schemes seeks to generating capital appreciation by investing in equity and equity related securities as well as generating income by investing in debt and money market securities, while attempting to manage risk from the market through active asset allocation.
The Scheme seeks capital appreciation by managing the asset allocation between specified equity and debt schemes of HDFC Mutual Fund.

Launch Date

29 Nov 2019
17 Jan 2012