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Summary Info
Fund Name JM Financial Mutual Fund
Scheme Name JM Aggressive Hybrid Fund - (IDCW-H)
AMC JM Financial Mutual Fund
Type Open
Category Hybrid - Equity Oriented
Launch Date 15-Sep-14
Fund Manager Asit Bhandarkar
Net Assets ()Cr 804.37
NAV Graph
  One Month   Three Month   Six Month   One Year   Three Year   Five Year   Since INC
Latest Payouts
Dividends Bonus
Ratio 0.88540.0000 0.0
Date 27-Nov-18 0.0
Performance(%)
1 Week[%] 1 Month[%] 3 Month[%] 6 Month[%] 1 Year[%] 3 Year[%] 5 Year[%] Since INC[%]
Scheme Return 0.85 2.65 3.09 9.26 -4.70 20.65 21.62 12.10
Category Avg 1.35 2.37 3.03 11.70 2.78 14.40 16.53 12.79
Category Best 2.95 6.11 10.35 20.86 16.05 24.03 27.31 36.52
Category Worst 0.21 0.73 -0.20 5.49 -9.10 6.30 8.03 2.20
Holdings
Company Name No of Shares Market Value Hold %
Bharti Airtel 180,000 34.00 4.23
Larsen & Toubro 88,520 31.88 3.96
HDFC Bank 300,000 28.55 3.55
Tech Mahindra 185,000 27.41 3.41
Waaree Energies 77,000 26.20 3.26
Ujjivan Small 5,950,865 25.40 3.16
Bajaj Finance 275,040 24.14 3.00
ICICI Bank 170,114 23.78 2.96
Multi Comm. Exc. 31,000 22.91 2.85
Interglobe Aviat 40,000 22.58 2.81
Coforge 120,000 20.69 2.57
Metropolis Healt 94,000 20.57 2.56
Eternal Ltd 635,000 19.94 2.48
One 97 160,000 19.31 2.40
Polycab India 26,000 18.44 2.29
UltraTech Cem. 14,000 17.70 2.20
Godrej Consumer 130,000 16.15 2.01
Jubilant Food. 250,000 15.69 1.95
Bikaji Foods 192,112 15.18 1.89
Maruti Suzuki 10,000 14.79 1.84
Hind.Aeronautics 34,000 14.73 1.83
Camlin Fine 686,000 13.97 1.74
Devyani Intl. 799,705 13.93 1.73
Voltas 100,000 13.74 1.71
Vedanta 300,000 12.62 1.57
REC Ltd 360,500 12.62 1.57
PG Electroplast 220,136 11.74 1.46
Time Technoplast 242,176 11.06 1.38
Five-Star Bus.Fi 197,825 10.78 1.34
Cohance Life 122,248 10.77 1.34
Oracle Fin.Serv. 12,000 9.95 1.24
Jyoti CNC Auto. 101,196 9.22 1.15
Subros 82,028 7.16 0.89
Optiemus Infra. 128,500 7.15 0.89
TD Power Systems 141,421 7.10 0.88
Exicom Tele-Sys. 366,248 5.21 0.65
Hi-Tech Pipes 600,000 5.16 0.64
Schloss Bangal. 93,311 3.73 0.46
S I D B I 1,700,000 17.26 2.15
LIC Housing Fin. 1,450,000 14.72 1.83
REC Ltd 1,300,000 13.22 1.64
Bajaj Housing 950,000 9.59 1.19
N A B A R D 900,000 9.10 1.13
HDFC Bank 500,000 5.15 0.64
360 One Prime 500,000 5.06 0.63
Jamnagar Utiliti 500,000 4.98 0.62
Power Fin.Corpn. 450,000 4.57 0.57
I R F C 450,000 4.53 0.56
ICICI Home Fin 250,000 2.52 0.31
Cholaman.Inv.&Fn 200,000 2.02 0.25
NTPC 200,000 1.97 0.25
Muthoot Finance 100,000 1.01 0.13
Bajaj Finance 100,000 1.00 0.12
GSEC2035 2,575,000 25.27 3.14
GSEC2040 6.68 1,800,000 17.49 2.17
GSEC2033 500,000 5.15 0.64
GSEC2054 500,000 4.86 0.60
GSEC2031 400,000 4.10 0.51
C C I 4,009 4.01 0.50
Net CA & Others 0 6.36 0.79
Axis Bank 800,000 7.76 0.97
Union Bank (I) 500,000 4.76 0.59
HDFC Bank 200,000 1.98 0.25