SBI PSU Fund - Regular Plan -Growth

Category: Equity: Thematic-PSU
Launch Date: 07-07-2010
Asset Class: Equity
Benchmark: BSE PSU TRI
Expense Ratio: 1.87% As on (30-12-2024)
Status: Open Ended Schemes
Minimum Investment: 5000.0
Minimum Topup: 1000.0
Total Assets: 4,572.13 Cr As on (31-12-2024)
Turn over: 39%
NAV as on 14-01-2025

29.0209

0.77 (2.6657%)

CAGR Since Inception

7.61%

BSE PSU TRI 15.22%

PERFORMANCE of SBI PSU Fund - Regular Plan -Growth

Scheme Performance (%)

Data as on - 14-01-2025

Yearly Performance (%)

Fund Managers

Rohit Shimpi

Investment Objective

The scheme seeks to provide opportunities for long-term growth through an active management of investments in a diversified basket of equity stocks of domestic Public Sector Undertakings and in debt and money market instruments issued by PSUs and others.

NAV & Lumpsum details( Invested amount 1,00,000)

Show All Monthly Lumpsum Returns
NAV Date NAV Units Market
Value
Returns
(%)
07-07-2010 10.0 10000.0 100000 0.0 %
09-08-2010 10.23 - 102300 2.3 %
07-09-2010 10.73 - 107300 7.3 %
07-10-2010 11.25 - 112500 12.5 %
08-11-2010 11.17 - 111700 11.7 %
07-12-2010 10.38 - 103800 3.8 %
07-01-2011 10.04 - 100400 0.4 %
07-02-2011 9.5 - 95000 -5.0 %
07-03-2011 9.32 - 93200 -6.8 %
07-04-2011 10.06 - 100600 0.6 %
09-05-2011 9.78 - 97800 -2.2 %
07-06-2011 9.51 - 95100 -4.9 %
07-07-2011 9.81 - 98100 -1.9 %
08-08-2011 9.37 - 93700 -6.3 %
07-09-2011 9.08 - 90800 -9.2 %
07-10-2011 8.61 - 86100 -13.9 %
08-11-2011 8.91 - 89100 -10.9 %
07-12-2011 8.44 - 84400 -15.6 %
09-01-2012 7.74 - 77400 -22.6 %
07-02-2012 8.48 - 84800 -15.2 %
07-03-2012 8.46 - 84600 -15.4 %
09-04-2012 8.39 - 83900 -16.1 %
07-05-2012 7.8 - 78000 -22.0 %
07-06-2012 7.75 - 77500 -22.5 %
09-07-2012 8.17 - 81700 -18.3 %
07-08-2012 8.0 - 80000 -20.0 %
07-09-2012 7.89 - 78900 -21.1 %
08-10-2012 8.41 - 84100 -15.9 %
07-11-2012 8.34 - 83400 -16.6 %
07-12-2012 8.34 - 83400 -16.6 %
07-01-2013 8.57 - 85700 -14.3 %
07-02-2013 8.3 - 83000 -17.0 %
07-03-2013 7.9701 - 79701 -20.3 %
08-04-2013 7.5897 - 75897 -24.1 %
07-05-2013 7.9725 - 79725 -20.28 %
07-06-2013 7.7034 - 77034 -22.97 %
08-07-2013 7.1798 - 71798 -28.2 %
07-08-2013 6.3514 - 63514 -36.49 %
10-09-2013 6.6668 - 66668 -33.33 %
07-10-2013 6.7939 - 67939 -32.06 %
07-11-2013 7.1571 - 71571 -28.43 %
09-12-2013 7.3807 - 73807 -26.19 %
07-01-2014 6.9982 - 69982 -30.02 %
07-02-2014 6.8343 - 68343 -31.66 %
07-03-2014 7.1305 - 71305 -28.69 %
07-04-2014 7.7448 - 77448 -22.55 %
07-05-2014 7.9296 - 79296 -20.7 %
09-06-2014 10.4133 - 104133 4.13 %
07-07-2014 10.2138 - 102138 2.14 %
07-08-2014 9.4801 - 94801 -5.2 %
08-09-2014 9.9128 - 99128 -0.87 %
07-10-2014 9.4683 - 94683 -5.32 %
07-11-2014 10.0894 - 100894 0.89 %
08-12-2014 10.1868 - 101868 1.87 %
07-01-2015 10.0184 - 100184 0.18 %
09-02-2015 9.5632 - 95632 -4.37 %
09-03-2015 9.691 - 96910 -3.09 %
07-04-2015 9.6204 - 96204 -3.8 %
07-05-2015 9.0483 - 90483 -9.52 %
08-06-2015 9.2284 - 92284 -7.72 %
07-07-2015 9.6997 - 96997 -3.0 %
07-08-2015 10.0542 - 100542 0.54 %
07-09-2015 8.2699 - 82699 -17.3 %
07-10-2015 8.9763 - 89763 -10.24 %
09-11-2015 8.8223 - 88223 -11.78 %
07-12-2015 8.7622 - 87622 -12.38 %
07-01-2016 8.81 - 88100 -11.9 %
08-02-2016 8.0328 - 80328 -19.67 %
08-03-2016 8.0227 - 80227 -19.77 %
07-04-2016 8.0643 - 80643 -19.36 %
09-05-2016 8.3332 - 83332 -16.67 %
07-06-2016 8.5208 - 85208 -14.79 %
07-07-2016 9.1626 - 91626 -8.37 %
08-08-2016 9.6211 - 96211 -3.79 %
07-09-2016 10.1454 - 101454 1.45 %
07-10-2016 10.3423 - 103423 3.42 %
07-11-2016 10.1713 - 101713 1.71 %
07-12-2016 10.6657 - 106657 6.66 %
09-01-2017 10.7608 - 107608 7.61 %
07-02-2017 11.7002 - 117002 17.0 %
07-03-2017 11.4 - 114000 14.0 %
07-04-2017 11.7235 - 117235 17.23 %
08-05-2017 12.34 - 123400 23.4 %
07-06-2017 11.9099 - 119099 19.1 %
07-07-2017 11.5006 - 115006 15.01 %
07-08-2017 12.2931 - 122931 22.93 %
07-09-2017 12.4856 - 124856 24.86 %
09-10-2017 12.301 - 123010 23.01 %
07-11-2017 13.1597 - 131597 31.6 %
07-12-2017 12.6866 - 126866 26.87 %
08-01-2018 12.9396 - 129396 29.4 %
07-02-2018 11.8928 - 118928 18.93 %
07-03-2018 11.1811 - 111811 11.81 %
09-04-2018 11.4255 - 114255 14.26 %
07-05-2018 11.2437 - 112437 12.44 %
07-06-2018 10.758 - 107580 7.58 %
09-07-2018 10.0201 - 100201 0.2 %
07-08-2018 10.7318 - 107318 7.32 %
07-09-2018 10.5435 - 105435 5.44 %
08-10-2018 9.1744 - 91744 -8.26 %
09-11-2018 9.875 - 98750 -1.25 %
07-12-2018 9.2585 - 92585 -7.41 %
07-01-2019 9.8138 - 98138 -1.86 %
07-02-2019 9.3265 - 93265 -6.73 %
07-03-2019 9.7503 - 97503 -2.5 %
08-04-2019 10.3508 - 103508 3.51 %
07-05-2019 10.1296 - 101296 1.3 %
07-06-2019 10.5922 - 105922 5.92 %
08-07-2019 10.3329 - 103329 3.33 %
07-08-2019 9.5278 - 95278 -4.72 %
09-09-2019 9.5075 - 95075 -4.92 %
07-10-2019 9.613 - 96130 -3.87 %
07-11-2019 10.7249 - 107249 7.25 %
09-12-2019 10.2472 - 102472 2.47 %
07-01-2020 10.2485 - 102485 2.48 %
07-02-2020 10.3986 - 103986 3.99 %
09-03-2020 8.7387 - 87387 -12.61 %
07-04-2020 7.7293 - 77293 -22.71 %
07-05-2020 7.6304 - 76304 -23.7 %
08-06-2020 8.4089 - 84089 -15.91 %
07-07-2020 8.5485 - 85485 -14.52 %
07-08-2020 8.4105 - 84105 -15.9 %
07-09-2020 8.3908 - 83908 -16.09 %
07-10-2020 7.9088 - 79088 -20.91 %
09-11-2020 8.3432 - 83432 -16.57 %
07-12-2020 9.3835 - 93835 -6.17 %
07-01-2021 9.6924 - 96924 -3.08 %
08-02-2021 10.2967 - 102967 2.97 %
08-03-2021 11.1942 - 111942 11.94 %
07-04-2021 10.6434 - 106434 6.43 %
07-05-2021 11.4206 - 114206 14.21 %
07-06-2021 12.5041 - 125041 25.04 %
07-07-2021 12.2856 - 122856 22.86 %
09-08-2021 12.0574 - 120574 20.57 %
07-09-2021 12.2232 - 122232 22.23 %
07-10-2021 13.2105 - 132105 32.1 %
08-11-2021 13.5948 - 135948 35.95 %
07-12-2021 12.6265 - 126265 26.27 %
07-01-2022 12.9981 - 129981 29.98 %
07-02-2022 13.4488 - 134488 34.49 %
07-03-2022 12.7524 - 127524 27.52 %
07-04-2022 13.9762 - 139762 39.76 %
09-05-2022 13.1964 - 131964 31.96 %
07-06-2022 13.0247 - 130247 30.25 %
07-07-2022 12.4416 - 124416 24.42 %
08-08-2022 13.4863 - 134863 34.86 %
07-09-2022 14.5208 - 145208 45.21 %
07-10-2022 14.4561 - 144561 44.56 %
07-11-2022 15.8774 - 158774 58.77 %
07-12-2022 16.3551 - 163551 63.55 %
09-01-2023 16.1527 - 161527 61.53 %
07-02-2023 15.1106 - 151106 51.11 %
08-03-2023 15.6564 - 156564 56.56 %
10-04-2023 15.183 - 151830 51.83 %
08-05-2023 16.2317 - 162317 62.32 %
07-06-2023 16.3499 - 163499 63.5 %
07-07-2023 17.257 - 172570 72.57 %
07-08-2023 18.1908 - 181908 81.91 %
07-09-2023 19.9701 - 199701 99.7 %
09-10-2023 19.7388 - 197388 97.39 %
07-11-2023 19.8501 - 198501 98.5 %
07-12-2023 22.6273 - 226273 126.27 %
08-01-2024 24.7191 - 247191 147.19 %
07-02-2024 29.0913 - 290913 190.91 %
07-03-2024 29.6661 - 296661 196.66 %
08-04-2024 29.8967 - 298967 198.97 %
07-05-2024 30.3535 - 303535 203.54 %
07-06-2024 31.8008 - 318008 218.01 %
08-07-2024 34.0276 - 340276 240.28 %
07-08-2024 33.9848 - 339848 239.85 %
09-09-2024 32.6837 - 326837 226.84 %
07-10-2024 32.2042 - 322042 222.04 %
07-11-2024 32.6053 - 326053 226.05 %
09-12-2024 32.8235 - 328235 228.24 %
07-01-2025 30.2706 - 302706 202.71 %
14-01-2025 29.0209 - 290209 190.21 %

RETURNS CALCULATOR for SBI PSU Fund - Regular Plan -Growth

Growth of 10000 In SIP (Fund vs Benchmark)

Amount :
Period :
Start :
End :

Growth of 10000 In LUMPSUM (Fund vs Benchmark)

Amount :
Start :

Rolling Returns

Rolling returns are the annualized returns of the scheme taken for a specified period (rolling returns period) on every day/week/month and taken till the last day of the duration. In this chart we are showing the annualized returns over the rolling returns period on every day from the start date and comparing it with the benchmark. Rolling returns is the best measure of a fund's performance. Trailing returns have a recency bias and point to point returns are specific to the period in consideration. Rolling returns, on the other hand, measures the fund's absolute and relative performance across all timescales, without bias.

Riskometer

riskometer

Key Performance and Risk Statistics of SBI PSU Fund - Regular Plan -Growth

Key Statistics Volatility Sharpe Ratio Alpha Beta Yield to Maturity Average Maturity
SBI PSU Fund - Regular Plan -Growth 20.5 1.19 -2.95 0.93 - -
Equity: Thematic-PSU - - - - - -

PEER COMPARISION of SBI PSU Fund - Regular Plan -Growth

Amount :
Start :
End :
Period
Data as on - 14-01-2025
Scheme Name Launch
Date
1-Year
Ret (%)
2-Yrs
Ret (%)
3-Yrs
Ret (%)
5-Yrs
Ret (%)
10-Yrs
Ret (%)
SBI PSU Fund - Regular Plan -Growth 07-07-2010 16.08 34.25 29.49 22.52 11.19
ICICI Prudential PSU Equity Fund - Growth 09-09-2022 15.99 34.83 0.0 0.0 0.0
Invesco India PSU Equity Fund - Growth 18-11-2009 15.79 35.15 27.35 24.44 15.44
Aditya Birla Sun Life PSU Equity Fund-Regular Plan-Growth 05-12-2019 5.32 30.91 27.18 24.16 0.0

PORTFOLIO ANALYSIS of SBI PSU Fund - Regular Plan -Growth

Asset Allocation (%)

Allocation Percentage (%)

Market Cap Distribution

Small Cap

2.89%

Others

6.11%

Large Cap

69.88%

Mid Cap

21.12%

Total

100%