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Summary Info
Fund Name Bajaj Finserv Mutual Fund
Scheme Name Bajaj Finserv Large Cap Fund - Regular (G)
AMC Bajaj Finserv Mutual Fund
Type Open
Category Equity - Diversified
Launch Date 29-Jul-24
Fund Manager Nimesh Chandan
Net Assets ()Cr 1,483.50
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 -2.71 -1.80 -7.61 -7.34 -1.21 - - -2.37
Category Avg -1.55 1.39 -3.25 -3.98 3.63 16.22 15.00 12.26
Category Best 2.59 11.46 10.41 8.96 27.51 31.29 25.75 40.90
Category Worst -4.46 -8.91 -14.79 -20.21 -15.29 1.02 3.07 -17.52
Holdings
Company Name No of Shares Market Value Hold %
ICICI Bank 877,940 110.92 7.48
HDFC Bank 1,259,623 97.21 6.55
Reliance Industr 604,846 86.54 5.83
Divi's Lab. 96,735 62.90 4.24
Nestle India 430,080 62.73 4.23
SBI 566,333 60.51 4.08
TVS Motor Co. 168,540 58.87 3.97
LG Electronics 369,668 58.89 3.97
Apollo Hospitals 69,228 52.87 3.56
Tata Steel 2,398,856 50.70 3.42
UltraTech Cem. 43,398 50.28 3.39
A B B 67,828 49.04 3.31
Shriram Finance 519,225 48.67 3.28
Titan Company 98,319 43.11 2.91
Axis Bank 336,715 42.71 2.88
Kotak Mah. Bank 1,109,590 42.53 2.87
IndusInd Bank 461,181 42.25 2.85
NTPC 1,042,018 41.59 2.80
Eternal 1,549,196 38.27 2.58
Larsen & Toubro 93,664 37.60 2.53
Indus Towers 902,034 36.98 2.49
Infosys 306,135 36.18 2.44
Adani Power 1,612,889 35.78 2.41
Godrej Consumer 321,353 34.29 2.31
Bharti Airtel 157,952 29.80 2.01
Asian Paints 110,795 27.08 1.83
Sun Pharma.Inds. 134,376 24.30 1.64
Torrent Pharma. 40,664 17.02 1.15
Vedanta 501,891 13.63 0.92
MALCO Energy 501,891 6.07 0.41
Talwandi Sabo 501,891 6.07 0.41
Vedanta Aluminiu 501,891 6.07 0.41
Vedanta Iron & S 501,891 6.07 0.41
C C I 0 28.88 1.95
Net CA & Others 0 26.39 1.76
Infosys 90,000 10.69 0.72
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