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Summary Info
Fund Name Aditya Birla Sun Life Mutual Fund
Scheme Name Aditya Birla SL MNC Fund - Direct (G)
AMC Aditya Birla Sun Life Mutual Fund
Type Open
Category Equity - Diversified
Launch Date 01-Jan-13
Fund Manager Chanchal Khandelwal
Net Assets ()Cr 3,734.78
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 -0.03 -2.23 -1.25 3.44 0.01 13.68 11.36 14.36
Category Avg -0.24 0.03 4.06 5.67 4.08 18.30 20.50 15.12
Category Best 0.84 3.10 11.83 19.26 24.20 32.10 33.36 43.55
Category Worst -3.61 -5.88 -5.36 -4.69 -16.93 1.41 7.85 -18.93
Holdings
Company Name No of Shares Market Value Hold %
Maruti Suzuki 169,321 274.06 7.34
Schaeffler India 348,110 139.99 3.75
Hind. Unilever 566,261 139.61 3.74
Cummins India 295,000 128.15 3.43
United Breweries 655,315 117.79 3.15
Bayer Crop Sci. 230,758 112.72 3.02
ICRA 161,756 103.92 2.78
Honeywell Auto 27,880 101.75 2.72
United Spirits 708,103 101.36 2.71
P & G Hygiene 69,490 92.78 2.48
CRISIL 185,686 91.53 2.45
Gland Pharma 461,607 89.04 2.38
Nestle India 660,464 83.98 2.25
Pfizer 153,670 80.05 2.14
Bosch 20,623 76.81 2.06
Whirlpool India 507,508 71.01 1.90
Gillette India 78,341 70.64 1.89
Glaxosmi. Pharma 260,835 68.30 1.83
Mphasis 219,920 60.79 1.63
ZF Commercial 47,420 58.91 1.58
Vedanta 1,177,165 58.10 1.56
Hyundai Motor I 225,596 55.02 1.47
Fortis Health. 528,765 54.10 1.45
Johnson Con. Hit 306,969 52.83 1.41
Asahi India Glas 565,672 52.21 1.40
Escorts Kubota 136,822 51.81 1.39
Hexaware Tech. 747,804 51.40 1.38
A B B 91,516 47.77 1.28
Siemens 148,461 45.97 1.23
Thomas Cook (I) 2,782,150 45.03 1.21
Coforge 253,200 45.02 1.21
Sumitomo Chemi. 879,187 44.15 1.18
P & G Health Ltd 69,716 42.99 1.15
3M India 14,397 42.56 1.14
Motherson Wiring 8,854,467 41.80 1.12
CIE Automotive 945,790 40.88 1.09
Grindwell Norton 224,804 37.97 1.02
Bata India 345,186 36.96 0.99
LG Electronics 218,986 36.43 0.98
Aptus Value Hou. 1,100,949 34.97 0.94
Eureka Forbes 625,311 34.92 0.93
J B Chemicals & 204,078 34.33 0.92
Timken India 109,153 34.32 0.92
GE Vernova T&D 112,801 34.26 0.92
Sapphire Foods 1,189,192 34.02 0.91
Siemens Ener.Ind 98,461 31.37 0.84
Abbott India 10,233 29.67 0.79
Blue Dart Expres 42,357 27.84 0.75
360 ONE 256,750 27.75 0.74
Colgate-Palmoliv 120,725 27.08 0.73
SBFC Finance 2,369,053 27.03 0.72
AWL Agri Busine. 945,308 25.98 0.70
SKF India Indus. 92,148 24.96 0.67
Sanofi Consumer 49,579 24.01 0.64
Heidelberg Cem. 1,129,090 22.18 0.59
Sanofi India 46,233 22.10 0.59
Cohance Life 275,938 20.79 0.56
SKF India 92,148 19.73 0.53
RHI Magnesita 395,037 18.84 0.50
Swiggy 450,456 18.47 0.49
Carraro India 351,718 18.41 0.49
Linde India 27,825 16.73 0.45
Travel Food 125,239 16.51 0.44
Doms Industries 60,808 15.64 0.42
Manappuram Fin. 480,966 12.96 0.35
Esab India 24,081 11.83 0.32
Westlife Food 193,712 11.49 0.31
Orkla India 136,980 10.00 0.27
Nippon Life Ind. 100,000 8.75 0.23
Oracle Fin.Serv. 10,000 8.52 0.23
Home First Finan 69,941 8.36 0.22
KSB 66,239 5.24 0.14
Hitachi Energy 2,789 4.96 0.13
CreditAcc. Gram. 33,429 4.76 0.13
Sparkle GoldRock 37,500 0.08 0.00
C C I 0 9.67 0.26
Cash & Bank Balance 0 0.01 0.00
Net CA & Others 0 18.01 0.48
Margin (Future and Options) 0 10.14 0.27
Cognizant Technology Solutions Cl A Com Stk 34,000 21.98 0.59