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Summary Info
Fund Name 360 ONE Mutual Fund
Scheme Name 360 ONE Balanced Hybrid Fund - Regular (G)
AMC 360 ONE Mutual Fund
Type Open
Category Hybrid - Balanced
Launch Date 04-Sep-23
Fund Manager Mayur Patel
Net Assets ()Cr 856.65
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 0.05 -0.08 2.51 2.59 4.23 - - 12.40
Category Avg 0.05 0.70 3.33 4.57 7.10 12.11 11.84 11.65
Category Best 0.24 1.30 4.78 8.48 11.29 15.33 15.59 16.59
Category Worst -0.13 -0.08 2.51 2.59 4.23 9.95 9.48 8.22
Holdings
Company Name No of Shares Market Value Hold %
HDFC Bank 227,090 22.47 2.62
ICICI Bank 120,232 16.51 1.93
Bajaj Finance 153,065 15.59 1.82
Larsen & Toubro 38,261 15.32 1.79
Cholaman.Inv.&Fn 75,477 12.94 1.51
GE Vernova T&D 40,334 12.24 1.43
Motherson Wiring 2,475,995 11.87 1.39
Bharti Airtel 56,245 11.82 1.38
Multi Comm. Exc. 11,400 11.02 1.29
Indus Towers 265,361 10.94 1.28
Cummins India 24,761 10.61 1.24
Eternal Ltd 346,003 10.51 1.23
Interglobe Aviat 17,037 10.07 1.18
Premier Energies 99,307 9.91 1.16
Dixon Technolog. 6,420 9.90 1.16
CG Power & Ind 121,536 9.04 1.05
Reliance Industr 56,448 8.57 1.00
Hind.Aeronautics 17,720 8.38 0.98
SBI Cards 93,128 8.15 0.95
Vedanta 154,020 8.09 0.94
Coforge 44,950 8.09 0.94
Axis Bank 62,195 7.72 0.90
Aegis Vopak Term 278,217 7.54 0.88
Infosys 46,583 7.00 0.82
REC Ltd 180,147 6.45 0.75
Titan Company 16,741 6.41 0.75
Abbott India 2,020 5.93 0.69
Indian Hotels Co 81,843 5.90 0.69
Tech Mahindra 40,112 5.77 0.67
TML Commercial 174,002 5.53 0.65
Divi's Lab. 8,145 5.30 0.62
Gravita India 30,054 5.24 0.61
Tata Motors PVeh 130,864 5.12 0.60
APL Apollo Tubes 26,693 4.71 0.55
Crompton Gr. Con 157,924 4.36 0.51
Aegis Logistics 53,492 4.24 0.49
Global Health 35,418 4.16 0.49
AAVAS Financiers 24,110 4.13 0.48
Hitachi Energy 1,768 3.80 0.44
Sumitomo Chemi. 79,853 3.71 0.43
GK Energy 185,501 3.68 0.43
Vedant Fashions 57,885 3.63 0.42
Capital Small 121,461 3.26 0.38
SIS 83,561 2.81 0.33
Cohance Life 38,827 2.39 0.28
Kirl. Ferrous 39,639 1.88 0.22
N A B A R D 3,500,000 35.69 4.17
REC Ltd 3,500,000 35.63 4.16
Embassy Off.REIT 3,500,000 35.63 4.16
LIC Housing Fin. 3,000,000 30.57 3.57
Mindspace Busine 2,500,000 25.74 3.00
Tata Cap.Hsg. 2,500,000 25.51 2.98
Power Fin.Corpn. 2,500,000 25.44 2.97
Jamnagar Utiliti 2,500,000 24.94 2.91
Sundaram Home 2,000,000 20.28 2.37
HDFC Bank 1,500,000 15.21 1.78
Bajaj Finance 1,500,000 15.04 1.76
Cholaman.Inv.&Fn 1,400,000 14.48 1.69
Power Grid Corpn 1,100,000 11.69 1.36
Sikka Ports 1,000,000 10.00 1.17
Muthoot Finance 100,000 1.01 0.12
I R F C 100,000 1.00 0.12
GSEC2028 2,500,000 26.03 3.04
GSEC2029 2,500,000 25.82 3.01
GSEC2035 2,500,000 24.65 2.88
GSEC2030 2,000,000 20.91 2.44
GSEC2034 1,000,000 10.14 1.18
GSEC2040 6.68 1,000,000 9.80 1.14
GSEC2034 500,000 5.17 0.60
GSEC2028 500,000 5.14 0.60
GSEC2030 6.01 500,000 4.96 0.58
GSEC2041 500,000 4.81 0.56
TREPS 0 16.49 1.92
Net CA & Others 0 12.18 1.42