HDFC Top 100 Gr Category Suggested Horizon Equity - Largecap 3 Years and Above

HDFC Top 100 Gr Category Suggested Horizon Equity - Largecap 3 Years and Above

HDFC Top 100 Gr Category Suggested Horizon Equity - Largecap 3 Years and above Investment Objective Trailing Returns Investment Growth To provide long-term capital appreciation/income by Period Inv Bmk1 Time Period: 5/1/2015 to 4/30/2020 investing predominantly in Large-Cap companies. There 3 months -19.62 -17.57 160.0 is no assurance that the investment objective ofthe 6 months -21.30 -16.99 Scheme will be realized. 150.0 1 Year -22.31 -16.07 2 Years -6.88 -4.18 140.0 3 Years -1.87 1.95 130.0 5 Years 3.16 3.80 Manager Biography 120.0 Drawdown Prashant Jain since 6/19/2003 110.0 Time Period: 5/1/2017 to 4/30/2020 100.0 Operations Inv Bmk1 90.0 Inception Date 10/11/1996 Max Drawdown -33.22 -28.59 Max Drawdown # of Periods 9.00 3.00 80.0 Minimum Initial 5,000 2016 2018 2020 Max Drawdown Peak Date 7/1/2019 1/1/2020 Annual Report Net Expense Ratio 2.12 Max Drawdown Valley Date 3/31/2020 3/31/2020 HDFC Top 100 Gr IISL Nifty 50 PR INR Turnover Ratio % 17.38 Leading Detractors Leading Contributors Time Period: 5/1/2019 to 4/30/2020 Time Period: 5/1/2019 to 4/30/2020 NAV (Mo-End) 390.87 Rescaled Rescaled Return Contribution Return Contribution Weight Weight Risk Reward State Bank of India 7.28 -38.48 -2.56 Reliance Industries Ltd 7.98 5.82 0.60 Std Dev 21.35 ITC Ltd 5.06 -38.37 -2.22 Housing Development Finance Corp Ltd 2.77 -3.23 0.24 Alpha -4.02 Larsen & Toubro Ltd 6.07 -31.57 -1.91 Tata Chemicals Ltd 1.00 14.96 0.17 Sharpe Ratio -0.13 Axis Bank Ltd 3.62 -41.89 -1.88 Bharat Petroleum Corp Ltd 1.96 6.26 0.13 Treynor Ratio -5.11 Coal India Ltd 3.03 -35.33 -1.22 Sun Pharmaceuticals Industries Ltd 1.03 14.90 0.12 R-Squared 94.59 Returns Asset Allocation Calculation Benchmark: IISL Nifty 50 PR INR Portfolio Date: 4/30/2020 40.0 32.0 30.0 28.6 % 20.0 12.0 Stock 99.0 10.0 7.7 8.5 0.1 3.2 3.0 Bond 0.0 0.0 -10.0 -6.1 -4.1 Cash 0.7 -20.0 -19.0 Other 0.2 -30.0 -21.9 Total 100.0 -40.0 Return YTD 2019 2018 2017 2016 2015 Market Capitalization HDFC Top 100 Gr IISL Nifty 50 PR INR Portfolio Date: 4/30/2020 % Sector Allocation Portfolio Holdings Giant 49.5 Portfolio Date: 4/30/2020 Portfolio Date: 4/30/2020 Large 42.9 Basic Materials % 4.73 % Mid 7.6 Consumer Cyclical % 0.00 Reliance Industries Ltd 9.0 ICICI Bank Ltd 8.4 Small 0.0 Financial Services % 36.08 HDFC Bank Ltd 6.7 Micro 0.0 Real Estate % 0.00 Infosys Ltd 6.7 Total 100.0 Consumer Defensive % 6.14 ITC Ltd 6.1 Healthcare % 5.77 Larsen & Toubro Ltd 5.4 Past performance is not a guarantee of future returns. The value of Utilities % 9.95 State Bank of India 5.3 investments may fall as well as rise and investors may not get back Communication Services % 2.01 Housing Development Finance Corp Ltd 5.2 the full amount invested. Any decision to invest should be based on a Axis Bank Ltd 4.0 Energy % 19.26 full reading of the offer document. In case of any discrepancy NTPC Ltd 3.9 between this sheet and the offer document in force, the offer Industrials % 8.43 Other 39.3 document shall prevail. Technology % 7.63 Total 100.0 Portfolio Date: 4/30/2020.

View Full Text

Details

  • File Type
    pdf
  • Upload Time
    -
  • Content Languages
    English
  • Upload User
    Anonymous/Not logged-in
  • File Pages
    1 Page
  • File Size
    -

Download

Channel Download Status
Express Download Enable

Copyright

We respect the copyrights and intellectual property rights of all users. All uploaded documents are either original works of the uploader or authorized works of the rightful owners.

  • Not to be reproduced or distributed without explicit permission.
  • Not used for commercial purposes outside of approved use cases.
  • Not used to infringe on the rights of the original creators.
  • If you believe any content infringes your copyright, please contact us immediately.

Support

For help with questions, suggestions, or problems, please contact us