KYC

eKYC - Click Here

Update KYC using CAMS - Click Here

Update KYC using Karvy - Click Here

 

Canara Robeco Blue Chip Equity Fund

Invest Now

Large Cap Fund - An open ended equity scheme predominantly investing in large cap stocks.

NAV As on 15-Apr-2024

`49.59 -0.63 (-1.25 %)

CAGR Since Inception

15.07 %

Categories : Large Cap Fund-Equity Scheme

  • Risk
    Very High Risk

    This product is suitable for investors who are seeking *

    Capital appreciation over long term

    Investing predominantly in equities and equity related instruments of large cap companies

    Riskometer

    * Investors should consult their financial advisers if in doubt above whether the product is suitable for them.

  • AUM(in Cr)
  • Age
    since 02-Jan-2013
  • Horizon
  • Goal
  • Benchmark and it's Risk-O-Meter
    S&P BSE 100 TRI

    Riskometer

    * Investors should consult their financial advisers if in doubt above whether the product is suitable for them.

Performance

Gain from
of
`
invested
  • Annualized Returns
  • Absolute Returns
This Scheme

This Scheme

  • Different plans shall have different expense structure. In case of return calculated the IDCW(dividend) option, it is assumed that IDCW(dividend) declared under the schemes have been reinvested at the prevailing NAV
  • Past performance may or may not be sustained in future and same may not necessarily provide the basis for comparison with other investment
  • Load is not considered for computation of returns
  • Period for which scheme’s performance has been provided is computed basis last day of the month-end preceding the date of advertisement. In case, the start/end date of the concerned period is a non-business day, the NAV of the previous date is considered for computation of returns
  • The data of the last working day has been considered for the calculation of performance
  • Wherever TRI data since inception for benchmarks is not available, benchmark performance is calculated using composite of CAGR and TRI values of the benchmark
  • The performance of the schemes is benchmarked to the Total Return variant of the Index
of
`
invested

  • For lumpsum investments, if the investment period is less than 1 year then same return values are displayed for absolute & XIRR. For periods above 1 year, they are annualized. 1 Year is assumed as 365 days.
  • Returns for investments in dividend plans of schemes are calculated after assuming that the net dividend payouts post statutory taxes & levies, are re-invested back in the scheme.
  • Dividends declared from benchmark's constituents isn't taken into account when comparing with investment in scheme's dividend plans.
  • Performance is always compared against the latest benchmark of the scheme irrespective of the date of change of scheme's benchmark, if any.
  • Except when SIP tenure is since inception, for all tenures, the start day for SIP investments is considered as 1st of every month. There is no end date to SIPs for the purpose of graphs.
  • For the purpose of NAV date applicability, if the investment date happens to be a non-business day, next business day's NAV is applied. Investment on inception date can happen on a non-business day.
  • For lumpsum investments, if the investment period is less than 1 year then same return values are displayed for absolute & XIRR. For periods above 1 year, they are annualized. 1 Year is assumed as 365 days.
  • Returns for investments in dividend plans of schemes are calculated after assuming that the net dividend payouts post statutory taxes & levies, are re-invested back in the scheme.
  • Dividends declared from benchmark's constituents isn't taken into account when comparing with investment in scheme's dividend plans.
  • Performance is always compared against the latest benchmark of the scheme irrespective of the date of change of scheme's benchmark, if any.
  • Except when SIP tenure is since inception, for all tenures, the start day for SIP investments is considered as 1st of every month. There is no end date to SIPs for the purpose of graphs.
  • For the purpose of NAV date applicability, if the investment date happens to be a non-business day, next business day's NAV is applied. Investment on inception date can happen on a non-business day.

Historical Returns

Comparative performance of Canara Robeco Bluechip Equity Fund - Dir - IDCW

  • Dividend History
  • As per SEBI

DIVIDEND DISTRIBUTED

Recent dividend declarations
  • For lumpsum investments, if the investment period is less than 1 year then same return values are displayed for absolute & XIRR. For periods above 1 year, they are annualized. 1 Year is assumed as 365 days.
  • Returns for investments in dividend plans of schemes are calculated after assuming that the net dividend payouts post statutory taxes & levies, are re-invested back in the scheme.
  • Dividends declared from benchmark's constituents isn't taken into account when comparing with investment in scheme's dividend plans.
  • Performance is always compared against the latest benchmark of the scheme irrespective of the date of change of scheme's benchmark, if any.
  • Except when SIP tenure is since inception, for all tenures, the start day for SIP investments is considered as 1st of every month. There is no end date to SIPs for the purpose of graphs.
  • For the purpose of NAV date applicability, if the investment date happens to be a non-business day, next business day's NAV is applied. Investment on inception date can happen on a non-business day.
Canara Robeco Bluechip Equity Fund - Dir - IDCW Scheme Benchmark (S&P BSE 100 TRI) Additional Benchmark (S&P BSE Sensex TRI)
CAGR since Inception  15.14 % 14.24 % 13.91 %
1 Year  34.73 % 34.40 % 26.66 %
3 Year  16.99 % 17.74 % 15.57 %
5 Year  18.15 % 16.05 % 15.10 %
Current Value of 10,000 invested at inception ` 48821.00 ` 44683.00 ` 43231.00

*Note: Under normal circumstances, the asset allocation of the Scheme will be as per the above table. Investors are requested to refer SID for more information on Asset Allocation.

Portfolio

Market Capitalization

Sector Allocation

Top 10 Holdings % of Total

Name Industry Classification % of Net Assets
HDFC Bank Ltd Banks 7.76%
ICICI Bank Ltd Banks 7.31%
Reliance Industries Ltd Petroleum Products 6.73%
Larsen & Toubro Ltd Construction 5.09%
Infosys Ltd IT - Software 4.26%
Bharti Airtel Ltd Telecom - Services 4.06%
Tata Consultancy Services Ltd IT - Software 3.09%
NTPC Ltd Power 2.88%
Bajaj Finance Ltd Finance 2.83%
State Bank of India Banks 2.78%
Axis Bank Ltd Banks 2.71%
ITC Ltd Diversified Fmcg 2.64%
Ultratech Cement Ltd Cement & Cement Products 2.55%
Sun Pharmaceutical Industries Ltd Pharmaceuticals & Biotechnology 2.54%
Tata Motors Ltd Automobiles 1.99%
HCL Technologies Ltd IT - Software 1.90%
Mahindra & Mahindra Ltd Automobiles 1.82%
Kotak Mahindra Bank Ltd Banks 1.77%
Bajaj Auto Ltd Automobiles 1.67%
Maruti Suzuki India Ltd Automobiles 1.67%
Bharat Electronics Ltd Aerospace & Defense 1.67%
SBI Life Insurance Co Ltd Insurance 1.38%
Zomato Ltd Retailing 1.37%
Titan Co Ltd Consumer Durables 1.32%
Max Healthcare Institute Ltd Healthcare Services 1.30%
Interglobe Aviation Ltd Transport Services 1.26%
Hindustan Unilever Ltd Diversified Fmcg 1.24%
Cholamandalam Investment and Finance Co Ltd Finance 1.23%
Mankind Pharma Ltd Pharmaceuticals & Biotechnology 1.22%
United Spirits Ltd Beverages 1.21%
Siemens Ltd Electrical Equipment 1.20%
ABB India Ltd Electrical Equipment 1.05%
Samvardhana Motherson International Ltd Auto Components 0.98%
Abbott India Ltd Pharmaceuticals & Biotechnology 0.87%
IndusInd Bank Ltd Banks 0.85%
Sona Blw Precision Forgings Ltd Auto Components 0.81%
Apollo Hospitals Enterprise Ltd Healthcare Services 0.79%
CG Power and Industrial Solutions Ltd Electrical Equipment 0.77%
Page Industries Ltd Textiles & Apparels 0.74%
REC Ltd Finance 0.73%
PI Industries Ltd Fertilizers & Agrochemicals 0.72%
Avenue Supermarts Ltd Retailing 0.71%
Cipla Ltd Pharmaceuticals & Biotechnology 0.68%
Dr. Reddy's Laboratories Ltd Pharmaceuticals & Biotechnology 0.61%
Indian Hotels Co Ltd Leisure Services 0.61%
Nestle India Ltd Food Products 0.60%
Tata Consumer Products Ltd Agricultural Food & Other Products 0.51%
Torrent Pharmaceuticals Ltd Pharmaceuticals & Biotechnology 0.47%
Tech Mahindra Ltd IT - Software 0.46%
Info Edge Retailing 0.44%
Hindustan Aeronautics Ltd Aerospace & Defense 0.42%
Coforge Ltd IT - Software 0.22%

Credit Rating Profile

Instrument Break-up

Top 10 instruments by holding % of Total

Name % of Net Assets
NA NA

{{item.Title | htmlToPlaintext}}


{{item.Description | htmlToPlaintext}}


View Similar Funds

Compare Schemes ( Select only 3 Schemes )