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Individually analyse each scheme and narrow your options further Every minute detail you need to know about scheme of your choice from asset holdings, best and worst performance and fund returns to competitor analysis; is available in the Fund card.
Using this report card, you can gather vital information regarding the future health of the scheme by analysing the top 10 companies and sectors it invests in. You can also track the fund management’s track record and analyse the philosophy behind scheme’s holdings. All the parameters in the fund card are extremely important and can go a long way in helping you decide which scheme to invest your money.

NAV As on Apr-23-2024

Aditya Birla SL Digital India Fund(G)-Direct Plan

Top 10 Holdings
Company
(%)
Infosys Ltd.
22.09
Tata Consultancy Services Ltd.
11.03
Bharti Airtel Ltd.
8.01
HCL Technologies Ltd.
7.27
LTIMindtree Ltd.
6.71
Cyient Ltd.
5.04
Coforge Ltd.
3.35
Sonata Software Ltd.
2.77
Zomato Ltd.
2.74
Tech Mahindra Ltd.
2.53
Top 10 Sectors
Sectors
(%)
IT - Software
68.77
Telecommunication - Service Provider
8.77
e-Commerce
4.92
BPO/ITeS
3.44
Business Support
1.69
TV Broadcasting & Software Production
0.82
Consumer Durables - Electronics
0.78
Electric Equipment
0.63
IT - Hardware
0.38
Fintech
0.31
Asset Allocation
Market Cap Allocation
  Scheme Benchmark ()
Large-Cap 62.30 NA
Mid-Cap 8.35 NA
Small-Cap 19.86 NA

Best and Worst Performance and Ratios

Best Performance in a year
Period Fund (%) Benchmark (%)
Year 23/03/20
to 23/03/21
150.40NA
Worst Performance in a year
Period Fund (%) Benchmark (%)
Year 22/03/19
to 23/03/20
-25.31NA
Ratios
Standard Deviation[%] 17.26
Sharpe Ratio [%] 0.70
Turnover Ratio [%] 0.31
Modified Duration
YTM
Riskometer
very high risk

Investors understand that their principal will be at very high risk

Fund Details
Category
Sector Funds
Inception Date (Regular Plan)
15-Jan-00
Inception Date (Direct Plan)
01-Jan-13
Expense Ratio (Direct Plan) %
0.75
Expense Ratio (Regular Plan) %
1.89
Investing Style
Large Growth
Fund Manager
Kunal Sangoi,Dhaval Joshi
Scheme Benchmark
S&P BSE TECK INDEX - TRI
AUM (Rs. in Cr.)
4,563.30
Fund Objective

The objective of long-term growth of capital through a portfolio with a target allocation of 100% equity, focusing on investing in technology and technology dependent companies, hardware, peripherals and components, software, telecom, media, internet and e-commerce and other technology enabled companies.

Growth Chart of the Scheme Versus Benchmark (SIP value Rs10,000)
Aditya Birla SL Digital India Fund(G)-Direct Plan S&P BSE TECk Index - TRI

Performance Comparison with similar Schemes and Benchmark