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you are here: Moneycontrol Mutual Funds Sector - Others Sahara Mutual Fund Sahara R.E.A.L. Fund - Direct Plan (D)

Sahara R.E.A.L. Fund - Direct Plan (D)

Plan: Direct | Option: Dividend | Type : Open-Ended | AMFI Code: 120360
Buy
21.432 -0.07 ( -0.31 %)
NAV as on 21 Jun, 2018
Crisil MF Rank
Riskometer
HIGH
FUND Family
FUND CLASS
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Not Ranked

The scheme is Not Ranked in Sector - Others category by Crisil (for quarter ended Mar 2018 ) from last quarter. If you are already invested in this scheme, you may continue to stay invested. But, do keep a check on its performance.

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Returns (NAV as on Jun 21, 2018)
Period Returns(%) Rank#
1 Month -2.4 13
3 Months -4.1 14
6 Months -8.7 7
1 Year 3.7 6
2 Years 16.1 7
3 Years 15.0 1
5 Years 24.6 3

# Moneycontrol Rank within 16 Sector - Others Schemes

*Returns over 1 year are Annualised

* Calculation Remark - Dividends are reinvested at the rate of return

Absolute Returns (in %)
Year Qtr 1 Qtr 2 Qtr 3 Qtr 4 Annual
2018 -6.2 - - - -
2017 15.0 6.0 7.7 7.5 44.3
2016 -6.7 8.5 4.8 -7.4 2.2
2015 -2.3 -3.9 1.2 8.5 5.8
2014 7.2 33.5 12.1 6.5 72.9
2013 -17.2 -1.2 -2.5 18.1 -2.6

View where it stands within its peers

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Performance

Fund returns v/s Category average (Large Cap)

* Returns over 1 year are Annualised
  1mth(%) 3mth(%) 6mth(%) 1yr(%) 2yr(%) 3yr(%) 5yr(%)
Fund Returns -2.4 -4.1 -8.7 3.7 3.7 16.1 15
Category average -2.1 -1.3 -2.9 8.5 18.3 10.5 13
Difference of Fund returns and Category returns -0.3 -2.8 -5.8 -4.8 -14.6 5.6 2
Best of Category 1 7 4.7 29.1 36 17.8 32.6
Worst of Category -2.8 -4.2 -8.1 -4.1 5.3 8.7 12
Benchmark returns # 2.4 6.4 3.1 11.6 14.3 8.8 13.8
Difference of Fund returns and Benchmark returns -4.8 -10.5 -11.8 -7.9 -10.6 7.3 1.2
# Benchmark Index: NIFTY 50

Investment Information

Investment Objective

N.A.

Registrars
Load Details
  • Entry Load:

    N.A

  • Exit Load:

    1.00%

  • Load Comments:

    Exit Load 1% if units are redeemed / switched-out within 1 year from the date of allotment.

Contact Details
peer comparison
Fund Crisil Rank Assets(Rs Cr.) Current NAV 3mth(%) 6mth(%) 1yr(%) 3yr(%) 5yr(%)
UTI Transportation and Logistics Fund - Direct Plan (G) 181.79 126.2 1.4 -4.9 6.9 13.9 32.9
UTI Transportation and Logistics Fund (G) 1,350.21 119.4 1.1 -5.4 5.6 12.6 31.5
Tata India Consumer Fund - Direct Plan (G) 146.66 18.7 6.1 0.8 26.6 0.0 0.0
Tata India Consumer Fund - Regular Plan (G) 570.28 17.9 5.6 0.0 24.6 0.0 0.0
Aditya Birla Sun Life Manufacturing Equity Fund - Regular Plan (G) 758.96 13.6 -1.5 -10.0 4.5 11.3 0.0
*Returns over 1 year are Annualised

Portfolio

Top 10 Holdings As on May 31, 2018
Company Sector Value %Assets
Suprajit Eng Automotive 0.19 4.87
Mold-Tek Pack Manufacturing 0.20 4.67
Exide Ind Automotive 0.13 4.05
Asahi India Manufacturing 0.15 3.73
Bajaj Finance Banking/Finance 0.13 3.28
Bajaj Finserv Banking/Finance 0.12 3.24
Vardhman Text Manufacturing 0.12 3.00
TV TodayNetwork Media 0.16 2.95
Subros Automotive 0.12 2.90
PI Industries Chemicals 0.12 2.87
Asset Allocation (%) As on May 31, 2018
Equity 89.87
Others 0.00
Debt 0.00
Mutual Funds 0.00
Money Market 0.00
Cash / Call 10.13
Sector Allocation (%) As on May 31, 2018
Sector %
Automotive 17.13
Banking/Finance 15.96
Manufacturing 14.78
Media 9.42
Engineering 8.18
Chemicals 6.72
Concentration As on May 31, 2018
Holdings %
Top 5 20.6
Top 10 89.87
Sectors %
Top 3 47.87
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