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Vs VS: HDFC Tax Saver - Direct (G) ABSL Tax Relief 96-Direct (G) Axis Long Term Equity - Direct (G)

The document compares three gold mutual funds: HDFC Gold Fund - Direct (G), ABSL Gold Fund - Direct (G), and Axis Gold Fund - Direct. Axis Gold Fund has the highest assets under management at Rs. 1.44 crores. All three funds have the same inception date of January 2013, are open-ended funds of funds that are commodity oriented, and have a minimum investment of Rs. 5000. ABSL Gold Fund has the highest assets at Rs. 30.57 crores.

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0% found this document useful (0 votes)
79 views8 pages

Vs VS: HDFC Tax Saver - Direct (G) ABSL Tax Relief 96-Direct (G) Axis Long Term Equity - Direct (G)

The document compares three gold mutual funds: HDFC Gold Fund - Direct (G), ABSL Gold Fund - Direct (G), and Axis Gold Fund - Direct. Axis Gold Fund has the highest assets under management at Rs. 1.44 crores. All three funds have the same inception date of January 2013, are open-ended funds of funds that are commodity oriented, and have a minimum investment of Rs. 5000. ABSL Gold Fund has the highest assets at Rs. 30.57 crores.

Uploaded by

prakash
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© © All Rights Reserved
We take content rights seriously. If you suspect this is your content, claim it here.
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HDFC Tax Saver - Direct (G) vs ABSL Tax Relief 96-Direct (G) Vs Axis Long Term Equity - Direct

ct (G)

Scheme HDFC Tax ABSL Tax Relief 96- Axis Long Term
Saver - Direct Direct (G) Equity - Direct (G)
(G)

Fund Class ELSS ELSS ELSS


Fund Type Open-Ended Open-Ended Open-Ended
Ranking Rank 3 Rank 3 Rank 4

Scheme Asset 411.67 217.56 818.20


Rs in cr Jun-30-2017 Jun-30-2017 Jun-30-2017
Inception Date Jan 01, 2013 Jan 01, 2013 Jan 01, 2013
Last Dividend N.A. N.A. N.A.
Rs/Units
Benchmark S&P CNX 500 BSE 200 BSE 200
Minimum Investment Rs.500 Rs.500 Rs.500
Rs
AMC/Fund HDFC Asset Aditya Birla Sun Life AMC Axis Asset Management
Family Management Co. Ltd. Ltd. Company Ltd.
AMC Asset 253,044.34 205,715.33 63,599.17
Rs in cr Jun-30-2017 Jun-30-2017 Jun-30-2017
>More Scheme Info >More Scheme Info >More Scheme Info

NAV Details

Latest NAV 527.26900 30.13000 41.97280


Rs/Units Sep-15-2017 Sep-15-2017 Sep-15-2017

52 week high 528.291 30.160 42.006


Sep 12, 17 Sep 12, 17 Sep 12, 17
52 week low 401.506 22.270 30.826
Dec 26, 16 Nov 21, 16 Dec 26, 16

Performance Returns as on Sep 15, 17


* Returns over 1 year are Annualised

3 Months 4.9% 7.4% 7.6%


6 Months 12.6% 17.6% 18.4%
1 Year 23.3% 22.4% 21.2%
2 Years 18.2% 18.6% 15.8%
3 Years 10.4% 18.1% 15.9%
5 Years - - -
>Detailed >Detailed Performance >Detailed Performance
Performance

Portfolio

Top 5 holdings SBI, HDFC Bank, Sundaram-Clayto, Honeywell HDFC Bank, Kotak
ICICI Bank, NTPC, Autom, Gillette India, Bayer Mahindra, HDFC, Maruti
Larsen CropScien, Johnson Control Suzuki, Bajaj Finance
Weightage to 32.01% 29.31% 37.26%
top 5 holdings
Top 3 Sectors Banking/Finance, Automotive, Banking/Finance,
Engineering, Utilities Banking/Finance, Automotive, Engineering
Pharmaceuticals
Weightage to 52.21% 44.42% 65.28%
top 3 sectors
>Full Portfolio >Full Portfolio >Full Portfolio

Management & Fees

Fund Manager Vinay Kulkarni Ajay Garg Jinesh Gopani


Entry Load 0% 0% 0%
Exit Load 0% 0% 0%
Load comment N.A. N.A. N.A.

Schema Asset
900

800

700

600

500

400

300

200

100

0
HDFC ELSS AXIS ELSS BIRLA ELSS

Interpretation:

From the following data schema asset value of axis long term equity fund is higher when compare
with hdfc tax saver fund and absl tax relief 96.
Company HDFC ELSS ABSL ELSS AXIS ELSS
LATEST NAV 527.26900 30.1300 41.97280
3 YEAR NAV 10.4% 18.1% 15.9%
20.00%

18.00%

16.00%

14.00%

12.00%
HDFC ELSS
10.00% ABSL ELSS

8.00% AXIS ELSS

6.00%

4.00%

2.00%

0.00%

Interpretation:

From the following data the net assets value for 3 year of absl tax relief 96 is 18.1% is higher than
compare with other mutual funds like hdsf tax saver and axis long term equity fund
Portfolio Diversification

Sector Weight age top 3 sectors


HDFC Banking/Finance, Engineering, Utilities 52.21%

ABSl Automotive, Banking/Finance, 44.42%


Pharmaceuticals

AXIS Banking/Finance, Automotive, 65.28%


Engineering

70.00%

60.00%

50.00%

40.00% Column3
Column1
30.00%
Column2

20.00%

10.00%

0.00%
HDFS ABSL AXIS

Interpretation:

From the above data mutual fund invested in banking/finance axes long term equity fund obtain with
65.28% for weight age to top 3 sectors with respect to hdfc tax saver and absl tax relief 96.
HDFC Gold Fund - Direct (G) Vs ABSL Gold Fund -Direct (G) Vs Axis
Gold Fund - Direc

ABSL Gold Fund -Direct (G) Axis Gold Fund -


HDFC Direct (G)
Gold
Fund -
Direct (G)

Fund Class Fund of Funds - Commodity oriented Fund of Funds - Fund of Funds - Commodity
Commodity oriented oriented
Fund Type Open-Ended Open-Ended Open-Ended
Ranking Not Ranked Not Ranked Not Ranked

Scheme Asset 30.57 4.71 1.44


Rs in cr Jun-30-2017 Jun-30-2017 Jun-30-2017
Inception Date Jan 01, 2013 Jan 01, 2013 Jan 02, 2013
Last Dividend N.A. N.A. N.A.
Rs/Units
Benchmark
Minimum Rs.5000 Rs.5000 Rs.5000
Investment
Rs
AMC/Fund HDFC Asset Management Co. Ltd. Aditya Birla Sun Life AMC Axis Asset Management
Family Ltd. Company Ltd.
AMC Asset 253,044.34 205,715.33 63,599.17
Rs in cr Jun-30-2017 Jun-30-2017 Jun-30-2017
>More Scheme Info >More Scheme Info >More Scheme Info

NAV Details

Latest NAV 10.20430 9.82850 9.99040


Rs/Units Sep-15-2017 Sep-15-2017 Sep-15-2017
52 week high 10.725 10.626 11.099
Sep 30, 16 Oct 04, 16 Nov 09, 16
52 week low 9.377 9.128 9.481
Jul 10, 17 Dec 27, 16 Jul 10, 17

Performance Returns as on Sep 15, 17


* Returns over 1 year are Annualised

3 Months 4.4% 3.1% 1.9%


6 Months 6.7% 4.0% 1.9%
1 Year -4.0% -5.4% -7.8%
2 Years 5.7% 6.0% 4.5%
3 Years 2.1% 2.2% 0.3%
5 Years - - -
>Detailed Performance >Detailed Performance >Detailed Performance

Portfolio

Top 5 holdings N.A. N.A. N.A.


Weightage to 100.12% 98.98% 99.57%
top 5 holdings
Top 3 Sectors N.A. N.A. N.A.
Weightage to - - -
top 3 sectors
>Full Portfolio >Full Portfolio >Full Portfolio

Management & Fees

Fund Manager Krishan Kumar Daga Shravan Sreenivasula Anurag Mittal


Entry Load 0% 0% 0%
Exit Load 2.00% 1.00% 1.00%
Load comment Exit Load of 2% if Units are redeemed / switched- Exit Load of 1% if Exit load 1% if
out within 6 months and 1% is payable if Units are redeemed within 365 redeemed/switched out within 1
redeemed / switched-out after 6 months but within 1 Days from the date of year from date of allotment.
year from the date of allotment. allotment.
Schema assets
Company HDFC Gold MF BIRLA Gold MF AXIS Gold MF
30.57 4.71 1.44

Schema assets

35

30

25

20

15

10

0
HDFC Gold MF BIRLA Gold MF AXIS Gold MF

Interpretation

From the above data Scheme assets value of HDFC Gold is 30.57 is higher than compairt with atoer mf
like Axis and ABSL gold fund
Net assets Value

Company HDFC Gold MF BIRLA Gold MF AXIS Gold MF


Latest nav 10.20430 9.82 9.99
3 year nav 2.1% 2.2% 0.3%

2.50%

2.00%

1.50%

1.00%

0.50%

0.00%
HDFC Gold MF BIRLA Gold MF AXIS Gold MF

Interpretation:

From the following data the net asset value for three year of absl gold fund is 2.2% is higher when
compare with other mutual fund like axis and hdfc gold fund

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