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SBI Multi Asset Allocation Fund vs DSP Multi Asset Allocation Fund compare

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tortoise-icon SBI Multi Asset Allocation Fund - Regular Plan - Growth

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tortoise-icon DSP Multi Asset Allocation Fund - Regular (G)

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Chart Comparison

Overview Trailing Returns SIP Returns Rolling Returns Risk Managers Market Cap Sectors

Overview

Scheme Name SBI Multi Asset Allocation Fund - Regular Plan - Growth DSP Multi Asset Allocation Fund - Regular (G)
Fund SBI Multi Asset Allocation Fund - Regular Plan - Growth DSP Multi Asset Allocation Fund - Regular (G)
Investment Plan Growth Growth
Level of Risk Very High Very High
Asset Size (Cr) ₹11306 Cr ₹4985 Cr
Min Investment ₹5000 ₹100
Min SIP Invesment ₹500 ₹100
Min Addl Investment ₹1000 ₹100
Launch Date 21 Dec 2005 27 Sep 2023
Category Multi Asset Allocation Multi Asset Allocation
Fund Type Open Ended Open Ended
Benchmark NIFTY 50 TRI,CRISIL 10-Year Gilt,Domestic Price of Gold NIFTY 500 TRI(40.00), MSCI World(20.00), NIFTY Composite Debt Index(20.00), Domestic Price of Gold(15.00), MCX I-COMDEX Composite Index(5.00)
Turn Over 252% %
Expense Ratio 1.44 1.64
Manager Pradeep Kesavan Jay Kothari
ISIN Code INF200K01800 INF740KA1TB5
Exits Load SBI Multi Asset Allocation Fund - Regular Plan - Growth charges 1.0% of sell value; if fund sold before 365 days. There are no other charges./365 DSP Multi Asset Allocation Fund - Regular Plan - Growth charges 1.0% of sell value; if fund sold before 365 days. There are no other charges./365

Trailing Lumpsum Returns

Scheme Name SBI Multi Asset Allocation Fund - Regular Plan - Growth DSP Multi Asset Allocation Fund - Regular (G)
1 Month 2.3% 2.56%
6 Month 10.13% 12.19%
1 Year 14.75% 18.32%
3 Year 17.16% -
5 Year 14.84% -

SIP Return Analysis

Scheme Name SBI Multi Asset Allocation Fund - Regular Plan - Growth DSP Multi Asset Allocation Fund - Regular (G)
6 Month 6.17% 7.57%
1 Year 23.48% 28.34%
3 Year 17.63% -
5 Year 16.04% -

Rolling Lumpsum Returns

Scheme Name SBI Multi Asset Allocation Fund - Regular Plan - Growth DSP Multi Asset Allocation Fund - Regular (G)
1 Year 8.75% 14.15%
3 Year 8.86% -
5 Year 9.38% -

Risk Management

Scheme Name SBI Multi Asset Allocation Fund - Regular Plan - Growth DSP Multi Asset Allocation Fund - Regular (G)
Standard Deviation 6.78% -
Sharp 1.44% -
Beta 0.76% -
Alpha 5.21% -

Fund Managers

Scheme Name SBI Multi Asset Allocation Fund - Regular Plan - Growth DSP Multi Asset Allocation Fund - Regular (G)
Name Pradeep Kesavan Jay Kothari
Total AUM ₹434274 Cr ₹0 Cr
Funds Managed 43 20
SBI Multi Asset Allocation Fund - Regular Plan - Growth DSP Multi Asset Allocation Fund - Regular (G)

Market Cap

Scheme Name

SBI Multi Asset Allocation Fund - Regular Plan - Growth

DSP Multi Asset Allocation Fund - Regular (G)

Others 56.83 63.4
Large Cap 19.59 26.22
Mid Cap 9.42 5.55
Small Cap 14.69 4.83

Sector Allocation

Scheme Name

SBI Multi Asset Allocation Fund - Regular Plan - Growth

DSP Multi Asset Allocation Fund - Regular (G)

Others 52.64 47.39
Petroleum Products 3.73 -
IT - Software 3.47 -
Personal Products 2.1 -
Retailing 1.64 -
Capital Markets 0.43 -
Banks 9.85 -
Realty 4.99 -
Consumer Durables 1.04 -
Pharmaceuticals & Biotechnology 0.88 -
Leisure Services 1.56 -
Insurance 1.23 -
Ferrous Metals 0.68 -
Cement & Cement Products 1.01 -
Finance 1.72 -
Gas 1.19 -
IT - Services 0.44 -
Diversified FMCG 1.41 -
Entertainment 0.08 -
Oil 0.56 -
Construction 1.18 -
Auto Components 0.7 -
Transport Services 0.93 -
Telecom - Services 0.29 -
Financial Technology (Fintech) 1.93 -
Power 0.8 -
Fertilizers & Agrochemicals 0.63 -
Beverages 0.23 -
Textiles & Apparels 1.62 -
Chemicals & Petrochemicals 1.57 -
Financial Services - 13.4
Industrials - 2.11
Consumer Defensive - 2.06
Technology - 8.16
Consumer Cyclical - 6.9
Basic Materials - 3.82
Real Estate - 4.61
Healthcare - 1.93
Energy - 1.94
Communication Services - 5.01
Utilities - 2.69

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