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Edelweiss ASEAN Equity Off-Shore Fund (G)
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Tata BSE Sensex Index Fund - Regular
Get detailed information of scheme on investment, NAV, Performance.
AUM (
Cr. )
370
Inception Date
25-02-2003
Category
Other - Index Fund
Key Parameters
Type
OPEN ENDED
Minimum Investment (
)
5000
52 Week High / Low (
)
214.4558 (26-Sep-2024) / 179.7936 (04-Jun-2024)
Incremental Investment (
)
1000
NAV (
)
201.00 (
0.64) (
0.32 %)
Benchmark
BSE Sensex TRI
Fund Manager
Kapil Menon
Value of (
) 1,00,000 since inception
20,10,050
Entry Load
NIL
Exit Load
0.25% - If redeemed/switched out within 7 days from the date of allotment. Nil - If redeemed/switched out after 7 days from the date of allotment.
Expense Ratio (%)
0.47
Maturity Date
NA
Portfolio Indicators
Portfolio P/E
31.73 times
Portfolio P/B
25.28 times
Average Maturity
-
Yield To Maturity
-
Modified Duration
-
Turnover Ratio (%)
11.12
Risk Factors
Jenson's Alpha
-0.65
Standard Deviation
3.72
Beta
1.00
Sharpe
0.36
R-Squared
1.00
Treynor Factor
0.01
NAV Movement
3M
6M
1Y
3Y
5Y
AUM Growth (
Cr.)
3M
6M
1Y
3Y
5Y
Performance
Scheme Name
YTD (%)
3 Months (%)
6 Months (%)
1 Year (%)
3 Years (%)
5 Years (%)
10 Years (%)
Since Inception
Tata BSE Sensex Index Fund - Regular
2.48
3.82
1.26
8.47
12.85
19.18
11.92
15.28
BSE Sensex TRI
-1.25
-0.92
-7.88
6.39
11.77
23.62
12.11
-
Company Top 5 Holdings
[ As on 31 Mar 2025 ]
More
Company
Asset
Value(
in Cr.)
Holdings (%)
HDFC Bank Ltd
Equity
3,12,617
15.44
ICICI Bank Ltd
Equity
2,93,759
10.70
Reliance Industries Ltd
Equity
2,79,271
9.62
Infosys Ltd
Equity
1,47,395
6.25
Bharti Airtel Ltd
Equity
1,10,612
5.17
Sector Top 5 Holdings
[ As on 31 Mar 2025 ]
More
Sector
Value(
in Cr.)
Holdings (%)
Banks
9,70,074
36.96
IT - Software
2,59,152
13.20
Refineries
2,79,271
9.61
Automobile
1,28,499
5.89
Telecomm-Service
1,10,612
5.17
Annual Performance
Year
Return (%)
AUM (
in Cr.)
Scheme Return
Category Return
Benchmark Return
Sensex Return
YTD
2.48
-0.89
-1.25
2.54
370.31
2024
8.68
9.75
9.44
8.12
361.27
2023
18.87
18.44
19.68
18.10
298.89
2022
3.53
1.25
4.14
2.80
172.00
2021
21.14
19.47
22.92
21.69
112.26
2020
15.45
17.36
17.01
15.60
42.99
2019
14.36
9.56
15.07
13.79
13.84
2018
7.49
3.00
8.00
6.67
9.01
2017
28.31
27.62
29.72
28.06
4.89
2016
2.31
3.12
3.30
1.78
6.67
Quarterly Performance
Year
Return (%)
AUM (
in Cr.)
Scheme Return
Category Return
Benchmark Return
Sensex Return
Mar-2025
-1.40
-3.77
-1.25
-1.39
370.31
Dec-2024
-7.26
-4.18
-7.11
-7.27
361.27
Sep-2024
6.20
5.20
6.37
6.07
381.83
Jun-2024
7.22
11.05
7.43
6.78
354.59
Peer Comparison
Scheme Name
AUM (
Cr.)
1 Year (%)
3 Year (%)
5 Year (%)
Since Inception
Inception Date
Sharpe
Std.Dev.
Tata Nifty Financial Services Index Fund
90.02
18.75
0
0
20.80
26-Apr-2024
0.70
3.81
Tata Nifty MidSmall Healthcare Index Fund
133.47
17.73
0
0
17.91
26-Apr-2024
0.67
6.40
ICICI Pru NASDAQ 100 Index Fund
1,585.78
14.10
18.72
0
10.59
18-Oct-2021
0.41
6.03
Kotak Nifty Financial Services Ex-Bank Index Fund
43.56
13.11
0
0
21.79
14-Aug-2023
0.90
4.27
HDFC Nifty G-Sec Jun 2036 Index Fund
833.17
13.04
0
0
10.97
15-Mar-2023
1.23
0.76
Edelweiss CRISIL IBX 50:50 Gilt Plus SDL Apr 2037 Index Fund
1,025.56
13.02
0
0
10.40
11-Oct-2022
1.29
0.73
Edelweiss MSCI I D & W H 45 Index Fund
159.77
13.02
16.03
0
15.54
26-Oct-2020
0.68
3.79
Nippon India Nifty G-Sec-Jun2036 Maturity Index Fund
758.80
13.02
0
0
10.17
19-Dec-2022
1.22
0.74
SBI CRISIL IBX Gilt Index-June 2036 Fund
2,508.10
12.83
0
0
10.18
04-Oct-2022
1.25
0.74
ICICI Pru Nifty Pharma Index Fund
80.60
12.46
0
0
23.17
14-Dec-2022
0.98
5.25
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