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Summary Info
Fund Name JM Financial Mutual Fund
Scheme Name JM Flexicap Fund - Direct (G)
AMC JM Financial Mutual Fund
Type Open
Category Equity - Diversified
Launch Date 01-Jan-13
Fund Manager Satish Ramanathan
Net Assets ()Cr 5,158.73
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 -1.38 -6.51 -6.52 -8.46 3.90 19.43 16.86 16.40
Category Avg -1.36 -6.81 -5.55 -4.99 9.91 16.98 14.51 11.49
Category Best 1.59 2.48 8.85 12.10 43.71 32.91 27.56 40.03
Category Worst -3.52 -15.63 -21.58 -21.77 -11.52 1.02 3.02 -21.37
Holdings
Company Name No of Shares Market Value Hold %
ICICI Bank 1,415,062 195.12 3.78
HDFC Bank 2,107,760 187.12 3.63
SBI 1,502,196 180.52 3.50
Larsen & Toubro 360,668 154.30 2.99
Dr Reddy's Labs 1,196,532 153.91 2.98
Godfrey Phillips 700,000 148.08 2.87
Maruti Suzuki 95,000 141.14 2.74
Reliance Industr 1,000,000 139.39 2.70
Axis Bank 945,000 130.78 2.54
Bharti Airtel 692,200 130.09 2.52
Apollo Hospitals 141,828 110.93 2.15
Tech Mahindra 811,355 110.17 2.14
Ujjivan Small 18,974,004 110.16 2.14
Tata Motors 2,163,430 109.32 2.12
Punjab Natl.Bank 8,259,999 106.92 2.07
Infosys 769,796 100.08 1.94
Arvind Ltd 2,781,193 97.80 1.90
Bharat Forge 510,000 97.47 1.89
One 97 817,670 89.80 1.74
Shriram Finance 800,000 86.35 1.67
Hero Motocorp 150,000 85.65 1.66
NTPC 2,200,000 84.02 1.63
Vedanta 1,150,000 82.62 1.60
Hindalco Inds. 883,894 81.73 1.58
Divi's Lab. 124,676 79.90 1.55
Amber Enterp. 99,989 79.73 1.55
B H E L 2,960,000 78.43 1.52
Hitachi Energy 30,000 76.69 1.49
Garware Hi Tech 180,925 76.25 1.48
IDFC First Bank 9,832,996 72.25 1.40
UltraTech Cem. 55,173 69.94 1.36
Restaurant Brand 10,695,067 67.97 1.32
Multi Comm. Exc. 275,520 67.32 1.30
ITC 2,100,000 65.86 1.28
Kotak Mah. Bank 1,550,000 64.36 1.25
M & M Fin. Serv. 1,709,761 64.00 1.24
ICRA 114,758 63.47 1.23
Equitas Sma. Fin 9,682,210 62.32 1.21
Adani Ports 402,554 61.23 1.19
LG Electronics 379,754 60.34 1.17
Eternal 2,401,910 59.16 1.15
360 ONE 530,078 58.50 1.13
O N G C 2,000,000 55.94 1.08
Tata Steel 2,600,000 55.21 1.07
Star Health Insu 1,182,154 55.03 1.07
Samvardh. Mothe. 3,500,000 46.67 0.90
TCS 173,332 45.71 0.89
Coal India 1,018,732 43.87 0.85
Eicher Motors 45,000 36.05 0.70
S C I 1,302,967 34.33 0.67
Coromandel Inter 152,649 33.89 0.66
Power Fin.Corpn. 756,558 31.31 0.61
Varun Beverages 671,212 30.30 0.59
Cummins India 61,001 29.88 0.58
M & M 80,703 27.42 0.53
GE Shipping Co 199,487 26.71 0.52
Clean Science 350,723 25.78 0.50
Newgen Software 506,302 25.76 0.50
OneSource Speci. 191,040 25.73 0.50
Petronet LNG 783,502 25.34 0.49
ICICI Pru Life 384,415 25.16 0.49
Bosch Home Comfo 177,280 24.97 0.48
Northern ARC 900,611 22.70 0.44
Cohance Life 721,594 22.37 0.43
Subros 269,709 21.36 0.41
Optiemus Infra. 500,000 20.69 0.40
Cartrade Tech 113,162 20.38 0.40
India Cements 414,059 16.81 0.33
Shadowfax Techno 1,318,351 15.97 0.31
Aarti Industries 275,000 12.30 0.24
Emmvee Photovol. 559,830 10.93 0.21
Devyani Intl. 727,251 9.27 0.18
Billionbrains 298,625 4.88 0.09
Blue Jet Health 3,109 0.13 0.00
C C I 91,370 91.36 1.77
Net CA & Others 0 42.61 0.83
TVS Motor Co. 736,656 0.76 0.01