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3 Year return

0
20222022Jul '22Jul '2220232023Jul '23Jul '2320242024
Launched on January 1970 (55 years)

Investment Details

₹NA

Minimum SIP Amount

₹NA

Minimum one time investment

No data found for this scheme

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Based on past performance of this fund

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Your Investment ₹3,00,000
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  • Total Value

Risk Involved

There are no records found for Risk Involved Meter.

Scheme Information

Asset Under Management

₹ Cr.

Expense Ratio

% (inclusive of GST)

Exit Load

Ratings

ARQ Rating
0

Ratings by other agencies

0
0
0

Tax Implications

There are no records found for Tax Implications.

Fund Holdings

Holdings
Crores
Other Holdings% of Asset
GSEC20302.51 %
Adani Enterp.2.46 %
Indus Towers2.13 %
GSEC20281.93 %
TREPS1.82 %
Tata Motors1.81 %
ICICI Bank1.8 %
Power Fin.Corpn.1.71 %
N A B A R D1.65 %
REC Ltd1.62 %
GSEC20301.61 %
Bajaj Finance1.61 %
Power Fin.Corpn.1.59 %
Ambuja Cements1.27 %
Samvardh. Mothe.1.22 %
GAIL (India)1.22 %
Coal India1.19 %
Vedanta1.16 %
GMR Airports Inf1.14 %
S A I L1.13 %
Tata Power Co.1.04 %
Century Plyboard1.03 %
Bharti Hexacom0.98 %
Manappuram Fin.0.97 %
GSEC20260.96 %
Radico Khaitan0.89 %
Infosys0.87 %
Aurobindo Pharma0.87 %
Cholaman.Inv.&Fn0.86 %
Muthoot Finance0.85 %
Muthoot Finance0.85 %
Bharti Telecom0.84 %
Bharat Electron0.84 %
H P C L0.84 %
S I D B I0.83 %
Bajaj Housing0.83 %
RBL Bank0.83 %
Cholaman.Inv.&Fn0.83 %
Titan Company0.83 %
REC Ltd0.83 %
Schaeffler India0.83 %
Gujarat Fluoroch0.82 %
Bharti Airtel0.81 %
Power Fin.Corpn.0.81 %
LIC Housing Fin.0.81 %
Hindalco Inds.0.8 %
M & M0.8 %
Kotak Mahindra P0.79 %
Panatone Finvest0.79 %
TBILL-364D0.78 %
ITC0.77 %
TBILL-364D0.77 %
SRF0.77 %
Panatone Finvest0.76 %
Oil India0.75 %
Prudent Corp.0.74 %
Polycab India0.72 %
HCL Technologies0.67 %
Hind. Unilever0.66 %
GSEC20340.64 %
Bajaj Finserv0.6 %
Reliance Industr0.58 %
Kotak Mah. Bank0.57 %
Escorts Kubota0.56 %
Axis Bank0.54 %
Emami0.52 %
Uno Minda0.5 %
Federal Bank0.48 %
Zee Entertainmen0.48 %
Engineers India0.47 %
IIFL Finance0.47 %
Larsen & Toubro0.45 %
Cipla0.43 %
JNK0.42 %
Life Insurance0.38 %
Cash Margin0.37 %
K E C Intl.0.35 %
Jindal Steel0.34 %
Indian Hotels Co0.33 %
Biocon0.3 %
Bank of Baroda0.3 %
Balrampur Chini0.3 %
G N F C0.29 %
Exide Inds.0.28 %
Oberoi Realty0.25 %
Multi Comm. Exc.0.24 %
Max Financial0.23 %
P I Industries0.22 %
Havells India0.21 %
Indian Energy Ex0.2 %
Granules India0.19 %
TCS0.18 %
India Cements0.18 %
Adani Ports0.18 %
Chambal Fert.0.18 %
S I D B I0.16 %
United Spirits0.15 %
Hind.Aeronautics0.15 %
Zydus Lifesci.0.14 %
NMDC0.13 %
LIC Housing Fin.0.13 %
Pidilite Inds.0.09 %
The Ramco Cement0.09 %
Canara Bank0.08 %
Piramal Enterp.0.08 %
I R C T C0.07 %
Net CA & Others0.07 %
Sun TV Network0.06 %
Mahanagar Gas0.06 %
Divi's Lab.0.06 %
Dixon Technolog.0.06 %
Aditya Birla Cap0.05 %
ICICI Lombard0.04 %
L&T Finance Ltd0.04 %
PVR Inox0.04 %
Glenmark Pharma.0.03 %
I D F C0.02 %
Aarti Industries0.02 %
Tata Steel0.02 %
Abbott India0.02 %
Petronet LNG0.02 %
Dalmia BharatLtd0.02 %
Shriram Finance0.02 %
IIFL Finance0.01 %
Hindustan Copper0.01 %
Dabur India0.01 %
Crompton Gr. Con0.01 %
City Union Bank0.01 %
ACC0.01 %
Dr Lal Pathlabs0 %
Natl. Aluminium0 %
Apollo Hospitals0 %

NA

There are no records found for Fund Manager

Fund House Details

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Peer Comparison

Comparison with other similar funds

Schemes by DSP Mutual Fund

List of mutual fund schemes by AMC

Funds 3 Years Returns
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Key Features of The Fund

5-year return NA
Expense Ratio NA
Fund Manager NA
Fund Size NA
Risk Profile NA

AMC Contact Details

Name NA
Launch Date NA
Addresss NA
Contact NA
Email NA
Website NA

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FAQs

What is today's NAV of DSP Dynamic Asset Allocation Fund Direct Plan IDCW Monthly Reinvestment?

NAV, or Net Asset Value, is the price of a single unit of a mutual fund. It is calculated by dividing the current value of holdings held by the mutual fund scheme at the end of the day by the total number of units issued. The NAV changes every day. The NAV of DSP Dynamic Asset Allocation Fund Direct Plan IDCW Monthly Reinvestment on Jan 01 1970, is ₹

FAQs

What is today's NAV of DSP Dynamic Asset Allocation Fund Direct Plan IDCW Monthly Reinvestment?

NAV, or Net Asset Value, is the price of a single unit of a mutual fund. It is calculated by dividing the current value of holdings held by the mutual fund scheme at the end of the day by the total number of units issued. The NAV changes every day. The NAV of DSP Dynamic Asset Allocation Fund Direct Plan IDCW Monthly Reinvestment on Jan 01 1970, is ₹