SBI Focused Equity Fund - Regular Plan -Growth

(Erstwhile SBI Emerging Businesses Fund - Regular Plan -Growth)

Category: Equity: Focused
Launch Date: 01-10-2004
Asset Class: Equity
Benchmark: BSE 500 TRI
Expense Ratio: 1.57% As on (30-12-2024)
Status: Open Ended Schemes
Minimum Investment: 5000.0
Minimum Topup: 1000.0
Total Assets: 34,679.54 Cr As on (31-12-2024)
Turn over: 16%
NAV as on 13-01-2025

317.7189

-6.45 (-2.0295%)

CAGR Since Inception

18.6%

BSE 500 TRI 12.44%

PERFORMANCE of SBI Focused Equity Fund - Regular Plan -Growth

Scheme Performance (%)

Data as on - 14-01-2025

Yearly Performance (%)

Fund Managers

Rama Iyer Srinivasan, Pradeep Kesavan

Investment Objective

The scheme would primarily focus its investments in emerging business themes, primarily based on the export or outsourcing opportunities and global opportunities of such themes. It will also focus on emerging domestic investment themes.

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

Show All Monthly Lumpsum Returns
NAV Date NAV Units Market
Value
Returns
(%)
11-10-2004 10.0 10000.0 100000 0.0 %
11-11-2004 11.19 - 111900 11.9 %
13-12-2004 12.08 - 120800 20.8 %
11-01-2005 11.95 - 119500 19.5 %
11-02-2005 13.3 - 133000 33.0 %
11-03-2005 14.83 - 148300 48.3 %
11-04-2005 14.51 - 145100 45.1 %
11-05-2005 16.08 - 160800 60.8 %
13-06-2005 17.16 - 171600 71.6 %
11-07-2005 18.12 - 181200 81.2 %
11-08-2005 21.05 - 210500 110.5 %
12-09-2005 22.8 - 228000 128.0 %
11-10-2005 22.28 - 222800 122.8 %
11-11-2005 21.69 - 216900 116.9 %
12-12-2005 23.11 - 231100 131.1 %
12-01-2006 24.16 - 241600 141.6 %
13-02-2006 25.38 - 253800 153.8 %
13-03-2006 27.17 - 271700 171.7 %
12-04-2006 28.41 - 284100 184.1 %
11-05-2006 30.83 - 308300 208.3 %
12-06-2006 21.45 - 214500 114.5 %
11-07-2006 22.57 - 225700 125.7 %
11-08-2006 23.84 - 238400 138.4 %
11-09-2006 24.96 - 249600 149.6 %
11-10-2006 26.63 - 266300 166.3 %
13-11-2006 29.41 - 294100 194.1 %
11-12-2006 28.89 - 288900 188.9 %
11-01-2007 30.58 - 305800 205.8 %
12-02-2007 29.73 - 297300 197.3 %
12-03-2007 27.28 - 272800 172.8 %
11-04-2007 28.45 - 284500 184.5 %
11-05-2007 28.91 - 289100 189.1 %
11-06-2007 31.06 - 310600 210.6 %
11-07-2007 34.83 - 348300 248.3 %
13-08-2007 34.0 - 340000 240.0 %
11-09-2007 34.86 - 348600 248.6 %
11-10-2007 39.72 - 397200 297.2 %
12-11-2007 42.59 - 425900 325.9 %
11-12-2007 47.88 - 478800 378.8 %
11-01-2008 50.35 - 503500 403.5 %
11-02-2008 37.85 - 378500 278.5 %
11-03-2008 35.79 - 357900 257.9 %
11-04-2008 33.24 - 332400 232.4 %
12-05-2008 34.06 - 340600 240.6 %
11-06-2008 30.43 - 304300 204.3 %
11-07-2008 26.0 - 260000 160.0 %
11-08-2008 29.1 - 291000 191.0 %
11-09-2008 26.27 - 262700 162.7 %
13-10-2008 18.14 - 181400 81.4 %
11-11-2008 16.54 - 165400 65.4 %
11-12-2008 14.78 - 147800 47.8 %
12-01-2009 15.12 - 151200 51.2 %
11-02-2009 14.15 - 141500 41.5 %
12-03-2009 11.57 - 115700 15.7 %
13-04-2009 16.51 - 165100 65.1 %
11-05-2009 18.0 - 180000 80.0 %
11-06-2009 26.09 - 260900 160.9 %
13-07-2009 23.12 - 231200 131.2 %
11-08-2009 25.23 - 252300 152.3 %
11-09-2009 27.94 - 279400 179.4 %
12-10-2009 29.62 - 296200 196.2 %
11-11-2009 30.11 - 301100 201.1 %
11-12-2009 31.46 - 314600 214.6 %
11-01-2010 33.97 - 339700 239.7 %
11-02-2010 32.89 - 328900 228.9 %
11-03-2010 34.35 - 343500 243.5 %
12-04-2010 36.8 - 368000 268.0 %
11-05-2010 35.82 - 358200 258.2 %
11-06-2010 35.28 - 352800 252.8 %
12-07-2010 37.72 - 377200 277.2 %
11-08-2010 40.83 - 408300 308.3 %
13-09-2010 43.81 - 438100 338.1 %
11-10-2010 44.16 - 441600 341.6 %
11-11-2010 45.27 - 452700 352.7 %
13-12-2010 40.24 - 402400 302.4 %
11-01-2011 40.21 - 402100 302.1 %
11-02-2011 36.11 - 361100 261.1 %
11-03-2011 37.69 - 376900 276.9 %
11-04-2011 40.83 - 408300 308.3 %
11-05-2011 40.61 - 406100 306.1 %
13-06-2011 42.48 - 424800 324.8 %
11-07-2011 43.97 - 439700 339.7 %
11-08-2011 44.81 - 448100 348.1 %
12-09-2011 43.71 - 437100 337.1 %
11-10-2011 42.69 - 426900 326.9 %
11-11-2011 44.89 - 448900 348.9 %
12-12-2011 41.41 - 414100 314.1 %
11-01-2012 41.1 - 411000 311.0 %
13-02-2012 44.44 - 444400 344.4 %
12-03-2012 43.91 - 439100 339.1 %
11-04-2012 45.72 - 457200 357.2 %
11-05-2012 45.29 - 452900 352.9 %
11-06-2012 45.23 - 452300 352.3 %
11-07-2012 48.36 - 483600 383.6 %
13-08-2012 49.32 - 493200 393.2 %
11-09-2012 50.08 - 500800 400.8 %
11-10-2012 53.34 - 533400 433.4 %
12-11-2012 56.44 - 564400 464.4 %
11-12-2012 58.45 - 584500 484.5 %
11-01-2013 61.25 - 612500 512.5 %
11-02-2013 58.42 - 584200 484.2 %
11-03-2013 56.5404 - 565404 465.4 %
11-04-2013 53.6301 - 536301 436.3 %
13-05-2013 57.0675 - 570675 470.68 %
11-06-2013 54.5043 - 545043 445.04 %
11-07-2013 53.9322 - 539322 439.32 %
12-08-2013 49.8433 - 498433 398.43 %
11-09-2013 49.255 - 492550 392.55 %
11-10-2013 51.3166 - 513166 413.17 %
11-11-2013 52.3433 - 523433 423.43 %
11-12-2013 54.7422 - 547422 447.42 %
13-01-2014 56.3234 - 563234 463.23 %
11-02-2014 54.0411 - 540411 440.41 %
11-03-2014 56.3789 - 563789 463.79 %
11-04-2014 59.9108 - 599108 499.11 %
12-05-2014 61.9173 - 619173 519.17 %
11-06-2014 70.2182 - 702182 602.18 %
11-07-2014 73.4443 - 734443 634.44 %
11-08-2014 75.0921 - 750921 650.92 %
11-09-2014 83.4382 - 834382 734.38 %
13-10-2014 80.946 - 809460 709.46 %
11-11-2014 82.9507 - 829507 729.51 %
11-12-2014 87.7071 - 877071 777.07 %
12-01-2015 90.1422 - 901422 801.42 %
11-02-2015 90.5534 - 905534 805.53 %
11-03-2015 92.5064 - 925064 825.06 %
13-04-2015 94.6253 - 946253 846.25 %
11-05-2015 88.3051 - 883051 783.05 %
11-06-2015 85.7274 - 857274 757.27 %
13-07-2015 91.3306 - 913306 813.31 %
11-08-2015 94.6498 - 946498 846.5 %
11-09-2015 88.5237 - 885237 785.24 %
12-10-2015 92.2977 - 922977 822.98 %
13-11-2015 90.5325 - 905325 805.33 %
11-12-2015 89.4129 - 894129 794.13 %
11-01-2016 91.2507 - 912507 812.51 %
11-02-2016 83.9061 - 839061 739.06 %
11-03-2016 87.4223 - 874223 774.22 %
11-04-2016 91.5634 - 915634 815.63 %
11-05-2016 94.1642 - 941642 841.64 %
13-06-2016 95.693 - 956930 856.93 %
11-07-2016 99.864 - 998640 898.64 %
11-08-2016 100.7637 - 1007637 907.64 %
12-09-2016 104.4524 - 1044524 944.52 %
13-10-2016 105.3188 - 1053188 953.19 %
11-11-2016 103.3688 - 1033688 933.69 %
12-12-2016 98.7063 - 987063 887.06 %
11-01-2017 97.3637 - 973637 873.64 %
13-02-2017 101.9702 - 1019702 919.7 %
14-03-2017 103.5929 - 1035929 935.93 %
11-04-2017 109.2752 - 1092752 992.75 %
11-05-2017 110.6254 - 1106254 1006.25 %
12-06-2017 113.7279 - 1137279 1037.28 %
11-07-2017 116.4899 - 1164899 1064.9 %
11-08-2017 113.4932 - 1134932 1034.93 %
11-09-2017 119.2918 - 1192918 1092.92 %
11-10-2017 121.2147 - 1212147 1112.15 %
13-11-2017 125.6386 - 1256386 1156.39 %
11-12-2017 133.337 - 1333370 1233.37 %
11-01-2018 138.9791 - 1389791 1289.79 %
12-02-2018 134.4866 - 1344866 1244.87 %
12-03-2018 130.3557 - 1303557 1203.56 %
11-04-2018 135.84 - 1358400 1258.4 %
11-05-2018 136.9892 - 1369892 1269.89 %
11-06-2018 135.4926 - 1354926 1254.93 %
11-07-2018 133.9062 - 1339062 1239.06 %
13-08-2018 137.8793 - 1378793 1278.79 %
11-09-2018 136.3315 - 1363315 1263.32 %
11-10-2018 122.093 - 1220930 1120.93 %
12-11-2018 125.723 - 1257230 1157.23 %
11-12-2018 126.3567 - 1263567 1163.57 %
11-01-2019 130.3244 - 1303244 1203.24 %
11-02-2019 128.3491 - 1283491 1183.49 %
11-03-2019 134.6832 - 1346832 1246.83 %
11-04-2019 141.8933 - 1418933 1318.93 %
13-05-2019 137.996 - 1379960 1279.96 %
11-06-2019 145.3519 - 1453519 1353.52 %
11-07-2019 142.7604 - 1427604 1327.6 %
13-08-2019 134.381 - 1343810 1243.81 %
11-09-2019 137.0669 - 1370669 1270.67 %
11-10-2019 142.4058 - 1424058 1324.06 %
11-11-2019 150.1635 - 1501635 1401.63 %
11-12-2019 149.8914 - 1498914 1398.91 %
13-01-2020 155.1326 - 1551326 1451.33 %
11-02-2020 161.7747 - 1617747 1517.75 %
11-03-2020 145.7872 - 1457872 1357.87 %
13-04-2020 125.4789 - 1254789 1154.79 %
11-05-2020 124.2333 - 1242333 1142.33 %
11-06-2020 133.0734 - 1330734 1230.73 %
13-07-2020 140.7726 - 1407726 1307.73 %
11-08-2020 144.821 - 1448210 1348.21 %
11-09-2020 147.2374 - 1472374 1372.37 %
12-10-2020 145.8152 - 1458152 1358.15 %
11-11-2020 158.7128 - 1587128 1487.13 %
11-12-2020 171.8103 - 1718103 1618.1 %
11-01-2021 180.2115 - 1802115 1702.11 %
11-02-2021 188.2502 - 1882502 1782.5 %
12-03-2021 190.8621 - 1908621 1808.62 %
12-04-2021 184.8166 - 1848166 1748.17 %
11-05-2021 193.1265 - 1931265 1831.27 %
11-06-2021 209.034 - 2090340 1990.34 %
12-07-2021 214.3938 - 2143938 2043.94 %
11-08-2021 217.8596 - 2178596 2078.6 %
13-09-2021 235.373 - 2353730 2253.73 %
11-10-2021 245.9817 - 2459817 2359.82 %
11-11-2021 256.9319 - 2569319 2469.32 %
13-12-2021 253.3744 - 2533744 2433.74 %
11-01-2022 250.3701 - 2503701 2403.7 %
11-02-2022 237.7156 - 2377156 2277.16 %
11-03-2022 227.157 - 2271570 2171.57 %
11-04-2022 237.9142 - 2379142 2279.14 %
11-05-2022 214.6126 - 2146126 2046.13 %
13-06-2022 205.3476 - 2053476 1953.48 %
11-07-2022 215.2279 - 2152279 2052.28 %
11-08-2022 231.535 - 2315350 2215.35 %
12-09-2022 235.6477 - 2356477 2256.48 %
11-10-2022 228.34 - 2283400 2183.4 %
11-11-2022 233.7724 - 2337724 2237.72 %
12-12-2022 234.0507 - 2340507 2240.51 %
11-01-2023 224.6992 - 2246992 2146.99 %
13-02-2023 219.287 - 2192870 2092.87 %
13-03-2023 215.2336 - 2152336 2052.34 %
11-04-2023 222.8552 - 2228552 2128.55 %
11-05-2023 233.6054 - 2336054 2236.05 %
12-06-2023 240.6707 - 2406707 2306.71 %
11-07-2023 249.8925 - 2498925 2398.92 %
11-08-2023 256.8233 - 2568233 2468.23 %
11-09-2023 266.295 - 2662950 2562.95 %
11-10-2023 267.3159 - 2673159 2573.16 %
13-11-2023 264.5619 - 2645619 2545.62 %
11-12-2023 275.8825 - 2758825 2658.82 %
11-01-2024 282.4617 - 2824617 2724.62 %
12-02-2024 278.0294 - 2780294 2680.29 %
11-03-2024 283.9889 - 2839889 2739.89 %
12-04-2024 296.5628 - 2965628 2865.63 %
13-05-2024 300.7123 - 3007123 2907.12 %
11-06-2024 317.9212 - 3179212 3079.21 %
11-07-2024 331.4573 - 3314573 3214.57 %
12-08-2024 325.9217 - 3259217 3159.22 %
11-09-2024 333.6323 - 3336323 3236.32 %
11-10-2024 338.4721 - 3384721 3284.72 %
11-11-2024 331.2692 - 3312692 3212.69 %
11-12-2024 339.5605 - 3395605 3295.6 %
13-01-2025 317.7189 - 3177189 3077.19 %
14-01-2025 321.6392 - 3216392 3116.39 %

RETURNS CALCULATOR for SBI Focused Equity 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 Focused Equity Fund - Regular Plan -Growth

Key Statistics Volatility Sharpe Ratio Alpha Beta Yield to Maturity Average Maturity
SBI Focused Equity Fund - Regular Plan -Growth 12.03 0.24 -3.33 0.74 - -
Equity: Focused - - - - - -

PEER COMPARISION of SBI Focused Equity 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 Focused Equity Fund - Regular Plan -Growth 01-10-2004 12.27 18.82 7.94 15.42 13.43
Invesco India Focused Fund - Growth 08-09-2020 26.64 34.24 16.21 0.0 0.0
BANDHAN Focused Equity Fund - Regular Plan - Growth 16-03-2006 21.63 28.06 13.69 16.63 12.04
HDFC Focused 30 Fund - GROWTH PLAN 05-09-2004 18.6 25.08 20.79 21.44 13.6
ICICI Prudential Focused Equity Fund - Growth 05-05-2009 18.07 24.5 16.35 22.1 13.42
Canara Robeco Focused Equity Fund - Regular Plan - Growth Option 05-05-2021 16.7 21.43 12.81 0.0 0.0
Edelweiss Focused Fund - Regular Plan - Growth 26-07-2022 14.88 23.04 0.0 0.0 0.0
ITI Focused Equity Fund - Regular Plan - Growth 19-06-2023 14.79 0.0 0.0 0.0 0.0
Mahindra Manulife Focused Fund - Regular Plan - Growth 01-11-2020 13.84 23.31 15.56 0.0 0.0
DSP Focus Fund - Regular Plan - Growth 10-06-2010 13.7 24.56 12.26 14.05 11.69

PORTFOLIO ANALYSIS of SBI Focused Equity Fund - Regular Plan -Growth

Asset Allocation (%)

Allocation Percentage (%)

Market Cap Distribution

Small Cap

4.72%

Others

18.75%

Large Cap

44.5%

Mid Cap

32.03%

Total

100%