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13 Sep 2025 | 18:09 IST |
SBI Long Term Advantage Fund - Series III (G) |
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NAV Details |
NAV Date : |
12-Sep-25 |
NAV [Rs]: |
42.58 |
Buy/Resale Price [Rs] : |
0.00 |
Sell/Repurchase Price [Rs] : |
0.00 |
Max Entry Load % : |
0.00 |
Max Exit Load % : |
0.00 |
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Quantum of Dividend % |
NA |
NA |
Date |
NA |
NA |
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Tax benefits : |
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Min. Investment(Rs.) : |
500 |
Increm.Investment(Rs.) : |
0 |
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Statistical Ratios |
What
is Beta ?
Beta is a measure of the volatility of the portfolio to that of the index. In
simple words it shows the movement of the portfolio in comparison. The Higher
the Beta, higher the volatility of the scheme to the index. If its greater
than1 , then the portfolio is highly volatile to the movemnts in the index. If
the beta is lesser than 1 , then scheme is less volatile to the index and beta
which is close to 1 implies that the scheme is closely following the index.
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0.9617 |
4.0267 |
0.6293 |
4.0364 |
-0.0744 |
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Reliance Industr
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7.79
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ICICI Bank
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6.42
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HDFC Bank
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6.26
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Aster DM Health.
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4.94
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Tube Investments
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4.52
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Balrampur Chini
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4.41
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Berger Paints
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4.38
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Larsen & Toubro
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4.31
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Axis Bank
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4.22
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Shree Cement
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4.16
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Jindal Steel
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3.54
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HDFC Life Insur.
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3.46
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DLF
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3.43
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Kotak Mah. Bank
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3.37
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SBI
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3.36
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JSW Cement
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3.11
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Jindal Stain.
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3.08
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Bajaj Finserv
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3.01
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Balkrishna Inds
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2.91
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Arvind Ltd
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2.81
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Colgate-Palmoliv
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2.79
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Esab India
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2.69
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Tata Steel
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2.31
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H.G. Infra Engg.
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2.18
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Hatsun Agro
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2.00
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Avanti Feeds
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1.92
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TREPS
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5.71
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Net CA & Others
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-3.09
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Asset Allocation
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