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aditya birla sun life equity hybrid '95 fund direct plan growth
Aditya Birla Sun Life Equity Hybrid '95 Fund Direct Plan Growth

Aditya Birla Sun Life Equity Hybrid '95 Fund Direct Plan Growth

  • Very High Risk
  • Allocation
  • Aggressive Allocation
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NAV as on Aug 24, 2026
i
Price per unit of the scheme.
1,769.0100-0.12%1 Day Change
2.98%
Minimum Investment₹100
Expense Ratio1.06%

FUND RATING

A holistic measure of the rank of a fund relative to its peers. Top funds receive a score of 5.
3
Scheme Rating

RISK-O-METER

Level of risk associated with a mutual fund to help investors make informed investment decisions
 

FUND PERFORMANCE

As On Jan 01, 2023
Compare fund’s performance against category average across different time periods


No Data Found.
Returns <= 1 year are absolute and > 1 year are annualised (CAGR)
For calculating Category Return & Scheme Ranking, only Growth & Direct schemes are considered.

FUND COMPARISON

This Fund
Aditya Birla Sun Life Equity Hybrid '95 Fund Direct Plan Growth
VS
Allocation: Aggressive Allocation Average NAV
    Topper in Allocation: Aggressive Allocation
    All Fund


    No Data Found.
    *For the other fund, rescaled NAVs are used
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    RETURN CALCULATOR

    Check the return on your investment in the fund
    Aditya Birla Sun Life Equity Hybrid '95 Fund Direct Plan Growth
    Investment Type
    Monthly Investment
    Time Period (yrs)
    Annual Return in %
    • Invested Amount
      0
    • Return
      0
    • Current Value
      0

    DETAILED PORTFOLIO

    As on Jul, 2026
    EQUITY (78.68%)
    DEBT (19.37%)
    CASH (1.95%)
    Allocation by Market Cap
    Large Cap(53.97%)
    Mid Cap(14.84%)
    Small Cap(7.52%)
    Industry Holdings
    • Banks Regional24.47%
    • Information Technology Services6.46%
    • Credit Services5.52%
    • Drug Manufacturers Specialty Generic5.20%
    • Oil Gas Refining Marketing4.79%
    • Telecom Services4.03%
    Stock Holdings
    • ICICI Bank Ltd6.47%
    • HDFC Bank Ltd4.88%
    • Reliance Industries Ltd3.77%
    • Bharti Airtel Ltd3.17%
    • State Bank of India2.69%
    • Axis Bank Ltd2.50%

    PERFORMANCE MEASURES

    Fund evaluation across critical parameters for better decision making. Study period is 3 years.
    • Consistency
      i
      It represents the consistency of a fund in beating its benchmark.
    • Downside Risk
      i
      Measured by Maximum Drawdown which shows the maximum loss from a peak to a nadir over a specified time period
    • Risk Adjusted Return
      i
      Risk adjusted return represents the return generated after factoring the risk taken to achieve it.
    • Volatility
      i
      Volatility represents the standard deviation of fund returns that is, how much the fund returns have deviated from the average.
    • Upside Capture Ratio
      i
      Fund performance relative to the index when the market is up. An upside capture ratio of >100 indicates better fund performance.
    • Downside Capture Ratio
      i
      Fund performance relative to the index when the market is down. A downside capture ratio of <100 indicates better fund performance.

    PEER ANALYSIS

    1M
    3M
    6M
    1Y
    3Y
    5Y
    • card
    • table
    Fund NameMorningstar RatingNAV Fund Return Category ReturnRisk Fund Size
    Returns <= 1 year are absolute and > 1 year are annualised (CAGR)

    TOP FUNDS FROM THIS AMC

    1M
    3M
    6M
    1Y
    3Y
    5Y
    • card
    • table
    Fund NameMorningstar RatingNAV Fund Return Category Return Risk Fund Size (Cr)
    Returns <= 1 year are absolute and > 1 year are annualised (CAGR)

    ABOUT THE AMC

    company icon
    Aditya Birla Sun Life AMC Ltd
    Aditya Birla Sun Life AMC Ltd manages assets worth ₹ 4,47,868.70 crores. It’s current offering of mutual fund schemes includes 40 equity, 86 debt and 16 hybrid schemes.
    phone icon
    Phone
    +91 22 4356 8008/ 8000
    mail icon
    Email
    abslamc.cs@adityabirlacapital.com
    aum
    AUM
    4,47,868.70 Cr (
    As on Jul 31, 2026
    )
    location
    Address
    One World Centre, Tower 1, 17th Floor Mumbai,400 013

    FAQs

    What is the category of Aditya Birla Sun Life Equity Hybrid '95 Fund Direct Plan Growth ?
    The category of Aditya Birla Sun Life Equity Hybrid '95 Fund Direct Plan Growth is Allocation - Aggressive Allocation
    What is the current NAV of Aditya Birla Sun Life Equity Hybrid '95 Fund Direct Plan Growth ?
    The current NAV of Aditya Birla Sun Life Equity Hybrid '95 Fund Direct Plan Growth as on Aug 24, 2026 is ₹1,769.01
    How safe is Aditya Birla Sun Life Equity Hybrid '95 Fund Direct Plan Growth ?
    The risk level of Aditya Birla Sun Life Equity Hybrid '95 Fund Direct Plan Growth is Very High.
    What are short term returns given by Aditya Birla Sun Life Equity Hybrid '95 Fund Direct Plan Growth ?
    The return given by Aditya Birla Sun Life Equity Hybrid '95 Fund Direct Plan Growth in 1 month is 2.98%, 3 months is 5.98%, 6 months is 2.10%, and 1 year is 3.46%
    What are the long term returns given by Aditya Birla Sun Life Equity Hybrid '95 Fund Direct Plan Growth ?
    The return given by Aditya Birla Sun Life Equity Hybrid '95 Fund Direct Plan Growth in 3 years is 11.35% and 5 years is 9.55%.
    What is the expense ratio of Aditya Birla Sun Life Equity Hybrid '95 Fund Direct Plan Growth ?
    The expense ratio of Aditya Birla Sun Life Equity Hybrid '95 Fund Direct Plan Growth is 1.06%
    What is the AUM of Aditya Birla Sun Life Equity Hybrid '95 Fund Direct Plan Growth ?
    The assets under Management (AUM) of Aditya Birla Sun Life Equity Hybrid '95 Fund Direct Plan Growth is Rs 7,210.20 crores.
    What is the minimum investment in Aditya Birla Sun Life Equity Hybrid '95 Fund Direct Plan Growth ?
    The minimum Lumpsum investment in Aditya Birla Sun Life Equity Hybrid '95 Fund Direct Plan Growth is ₹100.00 and the minimum SIP investment in Aditya Birla Sun Life Equity Hybrid '95 Fund Direct Plan Growth is ₹100.00
    What is the asset allocation of Aditya Birla Sun Life Equity Hybrid '95 Fund Direct Plan Growth?
    Aditya Birla Sun Life Equity Hybrid '95 Fund Direct Plan Growth has an exposure of 78.68% in Equity, 19.37% in Debt and 1.95% in Cash & Money Market Securities