Scheme Profile

SBI Large Cap Fund (G)

Get detailed information of scheme on investment, NAV, Performance.
AUM ( Cr. )
54,688
Inception Date
14-02-2006
Category
Equity - Large Cap

Key Parameters

  • Type
  • OPEN ENDED
  • Minimum Investment ()
  • 5000
  • 52 Week High / Low ()
  • 96.1264 (27-Nov-2025) / 80.9688 (28-Feb-2025)
  • Incremental Investment ()
  • 1000
  • NAV ()
  • 96.07 ( -0.01) ( -0.01 %)
  • Benchmark
  • BSE 100 TRI
  • Fund Manager
  • Saurabh Pant
  • Value of () 1,00,000 since inception
  • 9,60,668
  • Entry Load
  • NIL.
  • Exit Load
  • For exit within 30 days from the date of allotment - 0.25% For exit after 30 days and within 90 days from the date of allotment - 0.10% For exit after 90 days from the date of allotment - Nil
  • Expense Ratio (%)
  • 1.48
  • Maturity Date
  • NA

Portfolio Indicators

  • Portfolio P/E
  • 35.45 times
  • Portfolio P/B
  • 7.02 times
  • Average Maturity
  • -
  • Yield To Maturity
  • -
  • Modified Duration
  • -
  • Turnover Ratio (%)
  • 0.58

Risk Factors

  • Jenson's Alpha
  • 2.59
  • Standard Deviation
  • 3.26
  • Beta
  • 0.97
  • Sharpe
  • 0.72
  • R-Squared
  • 1.00
  • Treynor Factor
  • 0.01

NAV Movement

AUM Growth ( Cr.)

Performance

  • Scheme Name
  • YTD (%)
  • 3 Months (%)
  • 6 Months (%)
  • 1 Year (%)
  • 3 Years (%)
  • 5 Years (%)
  • 10 Years (%)
  • Since Inception
  • BSE 100 TRI
  • -2.14
  • -1.84
  • -9.74
  • 6.82
  • 13.56
  • 25.68
  • 12.54
  • -

Company Top 5 Holdings

  [ As on 31 Oct 2025 ] More
  • Company
  • Asset
  • Value( in Cr.)
  • Holdings (%)
  • Reliance Industries Ltd
  • Equity
  • 2,90,00,000
  • 7.88
  • HDFC Bank Ltd
  • Equity
  • 4,07,00,000
  • 7.35
  • ICICI Bank Ltd
  • Equity
  • 2,90,00,000
  • 7.13
  • Larsen & Toubro Ltd
  • Equity
  • 74,00,000
  • 5.45
  • Infosys Ltd
  • Equity
  • 1,46,00,000
  • 3.96

Sector Top 5 Holdings

  [ As on 31 Oct 2025 ] More
  • Sector
  • Value( in Cr.)
  • Holdings (%)
  • Banks
  • 11,17,56,000
  • 25.64
  • Refineries
  • 2,90,00,000
  • 8.29
  • FMCG
  • 2,33,33,851
  • 7.04
  • Pharmaceuticals
  • 97,04,640
  • 6.24
  • IT - Software
  • 2,11,00,000
  • 5.94

Annual Performance

Year Return (%) AUM ( in Cr.)
Scheme Return Category Return Benchmark Return Sensex Return
YTD 9.06 6.73 -2.14 9.17 54,687.99
2024 12.62 14.80 13.21 8.12 49,682.86
2023 22.13 23.58 22.64 18.10 43,487.36
2022 3.05 0.61 4.50 2.80 34,622.39
2021 25.55 24.40 26.09 21.69 31,773.75
2020 16.28 13.26 16.70 15.60 25,925.01
2019 11.41 10.38 10.52 13.79 23,641.35
2018 -3.58 -0.84 3.27 6.67 20,610.52
2017 29.74 28.85 33.08 28.06 17,869.49
2016 4.48 2.83 4.69 1.78 10,104.31

Quarterly Performance

Year Return (%) AUM ( in Cr.)
Scheme Return Category Return Benchmark Return Sensex Return
Sep-2025 -2.96 -2.99 - 0 52,829.93
Jun-2025 10.48 10.27 - 0 53,959.08
Mar-2025 -1.77 -3.77 -2.14 -1.39 49,394.17
Dec-2024 -7.48 -7.12 -8.15 -7.27 49,682.86

Peer Comparison

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Asset Allocation

Sector Allocation

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