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Lic Mf Conservative Hybrid Fund Growth Direct Plan
NAV (Jul 25,2024)
The LIC MF Conservative Hybrid Fund - Growth - Direct Plan is a mutual fund scheme that aims to generate long-term growth with a conservative investment strategy. The expense ratio is 1.26%, and it has a PE ratio of 32.44 and PB ratio of 10.96. The scheme's assets under management (AUM) are 53.13 INR crore, and the minimum investment required is 5000 INR. The fund does not have any lock period and was established on January 1, 2013.
Lic Mf Conservative Hybrid Fund Growth Direct Plan Latest Trend
- 1M
- 2M
- 3M
Lic Mf Conservative Hybrid Fund Growth Direct Plan Latest Trend
Risk Ratios
- P/E Ratio29.61
- P/B Ratio10.30
- Alpha-0.00
- Beta0.94
- Sharpe0.12
- Sortino0.23
Fund Overview
1.25%
0%
No Lock-in
₹ 53.13 Cr
SIP ₹5000.00
Scheme Riskometer
Investors understand that their principal will be at
Moderately High
Investment Return Calculator
as on Jul 27, 2024
Total Invested Amount | 3 Months Absolute Return (In %) | 6 Months Absolute Return (In %) | 1 Year Absolute Return (In %) | 3 Year Absolute Return (In %) | 5 Year Absolute Return (In %) |
---|---|---|---|---|---|
₹ 10,000 | ₹ 10,524.38 (5.24%) | ₹ 10,672.9 (6.73%) | ₹ 11,042.59 (10.43%) | ₹ 12,291.71 (22.92%) | ₹ 14,652.19 (46.52%) |
₹ 30,000 | ₹ 31,573.14 (5.24%) | ₹ 32,018.7 (6.73%) | ₹ 33,127.77 (10.43%) | ₹ 36,875.13 (22.92%) | ₹ 43,956.57 (46.52%) |
₹ 50,000 | ₹ 52,621.9 (5.24%) | ₹ 53,364.5 (6.73%) | ₹ 55,212.95 (10.43%) | ₹ 61,458.55 (22.92%) | ₹ 73,260.95 (46.52%) |
₹ 80,000 | ₹ 84,195.04 (5.24%) | ₹ 85,383.2 (6.73%) | ₹ 88,340.72 (10.43%) | ₹ 98,333.68 (22.92%) | ₹ 1,17,217.52 (46.52%) |
₹ 1,00,000 | ₹ 1,05,243.8 (5.24%) | ₹ 1,06,729 (6.73%) | ₹ 1,10,425.9 (10.43%) | ₹ 1,22,917.1 (22.92%) | ₹ 1,46,521.9 (46.52%) |
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Fund Portfolio Allocation
- Holdings
- Sectors
Name
Assets
- Government of India57.09%
- State Government of Karnataka9.92%
- State Government of Tamil Nadu9.57%
- ICICI Bank Ltd6.27%
- Infosys Ltd3.93%
- HDFC Bank Ltd2.67%
- Hindustan Unilever Ltd2.14%
- Reliance Industries Ltd1.93%
- Nestle India Ltd1.92%
- Mahindra & Mahindra Ltd1.69%
- LTIMindtree Ltd1.59%
- Treps1.34%
- SBI CDMDF A0.30%
- NTPC Ltd0.10%
- Net Receivables Payables-0.45%
- Miscellaneous76.58%
- Bank - Private8.94%
- IT - Software5.52%
- Refineries1.93%
- Consumer Food1.92%
Holdings Analysis
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- 6M
- 1Y
- 3Y
- 5Y
Mutual Fund Schemes | Category | Risk | Absolute Return (6M) |
| HYBRID | Moderately High | 20.73% |
| HYBRID | Moderately High | 15.30% |
| HYBRID | High | 14.40% |
| HYBRID | Moderately High | 12.57% |
| HYBRID | Moderately High | 12.45% |
| HYBRID | Moderately High | 11.95% |
| HYBRID | High | 11.79% |
| HYBRID | Moderate | 9.13% |
| HYBRID | Moderately High | 9.10% |
| HYBRID | High | 8.23% |
Mutual Fund Schemes | Category | Risk | Absolute Return (6Y) |
| HYBRID | Moderately High | 16.48% |
| HYBRID | Moderately High | 16.31% |
| HYBRID | High | 14.54% |
| HYBRID | Moderately High | 14.12% |
| HYBRID | High | 13.89% |
| HYBRID | Moderately High | 12.38% |
| HYBRID | High | 10.58% |
| HYBRID | Moderately High | 10.04% |
| HYBRID | Moderately High | 9.47% |
| HYBRID | Moderate | 0.67% |
Mutual Fund Schemes | Category | Risk | Absolute Return (6Y) |
| HYBRID | Moderately High | 14.12% |
| HYBRID | Moderately High | 8.97% |
| HYBRID | Moderately High | 8.95% |
| HYBRID | Moderately High | 8.59% |
| HYBRID | Moderately High | 8.46% |
| HYBRID | Moderately High | 7.88% |
| HYBRID | Moderately High | 7.53% |
| HYBRID | Moderately High | 6.69% |
| HYBRID | Moderately High | 6.34% |
| HYBRID | Moderate | 6.20% |
Mutual Fund Schemes | Category | Risk | Absolute Return (6Y) |
| HYBRID | Moderately High | 10.61% |
| HYBRID | High | 9.71% |
| HYBRID | Moderately High | 9.60% |
| HYBRID | Moderately High | 9.17% |
| HYBRID | Moderately High | 8.51% |
| HYBRID | Moderately High | 8.49% |
| HYBRID | Moderately High | 8.24% |
| HYBRID | Moderate | 6.31% |
| HYBRID | Moderate | 5.85% |
| HYBRID | High | 3.62% |
Fund Managers
Mr. Pratik ShroffFund Manager
Mr. Nikhil RungtaCo-Fund Manager & Research Analyst
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LIC MF Conservative Hybrid Fund - Growth - Direct Plan
FAQ's
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