Bank of India Conservative Hybrid Fund

NAV : 32.731 as of 12 June, 2024

3Y Returns

14.21%

Overview

₹ 72.17 Cr

Fund size

₹ 1000

Min SIP

₹ 10000

Lumpsum

28 January 2009

Launch date

Growth

Fund plan

Regular

Scheme type

4

Rating by Value Research

Return Calculator

Over the past

1 year
3 years
5 years

Total Investment of ₹3,00,000

Would have become ₹3,23,110 (+7.15%)

Disclaimer: Past performance is not an indicator of future returns

Top Holdings

Name
Weight(%)
Reliance Industries Ltd.
2.25%
Sun Pharmaceutical Industries Ltd.
1.64%
Larsen & Toubro Ltd.
1.37%
JIO Financial Services Ltd.
1.24%
Hindustan Aeronautics Ltd.
1.14%
Name
Weight(%)
GOI Securities
25.74%
Certificate of Deposit
14.89%
Non Convertible Debenture
9.76%
Treasury Bills
8.18%
Bonds
5.64%
Name
Weight(%)
CASH
5.41%

Equity Holding(s) Distribution

Other Scheme Info

Expense Ratio

Inclusive of GST

2.22%

Stamp Duty

0.005%

Exit Load

Exit load of 1% if units in excess of 10% of the initial units allotted are redeemed within 1 year

0

View Scheme Document
Peer Analysis
Company
1Y
3Y
5Y
16.73%
10.45%
11.66%
18.80%
12.47%
12.01%
14.52%
10.50%
10.91%
15.59%
10.28%
10.34%
17.65%
10.67%
-
View more

Fund Managers

Scheme
Annualised Returns (3Y)
Category Returns (3Y)
15.37%
12.39%
39.29%
9.21%
22.75%
15.69%
26.13%
18.19%
23.90%
23.74%
14.21%
8.50%
4.56%
5.48%

Fund House

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Bank of India Mutual Fund

Total AUM: 6604.56Cr

Private Limited and BOI AXA Investment Managers Private Limited, operates as a wholly-owned subsidiary of Bank of India (BOI). With an experience of around 15 years in fund management, Bank of India Investment Managers Private Limited has consistently prioritised meeting the investment objectives of its investors. Through Bank of India Mutual Fund (BOIMF), the company provides approximately 17 di...View Bank of India Conservative Hybrid Fund AMC

Kotak Securities Limited: AMFI-registered Mutual Fund Distributor

Still have questions?

NAV stands for net asset value, where the performance of a mutual fund is derived by its NAV per unit. NAV per unit is the market value of securities in a scheme, divided by the total number of units in the scheme on a given date.

The Net Asset Value of Bank of India Conservative Hybrid Fund is ₹32.73

AUM means ‘asset under management,’ which implies the cumulative sum of the market value of total securities held in a mutual fund scheme. MFs invest in Equities, Bonds & other such instruments. If you add the market value of all the investments made by the mutual fund along with any idle cash that it holds, the final tally is called AUM. It tells you how large or small a mutual fund is.

The AUM of Bank of India Conservative Hybrid Fund is ₹72.17 Cr.

Every mutual fund scheme has a minimum SIP amount, which one may start with.

The minimum SIP amount of Bank of India Conservative Hybrid Fund is ₹1000

As per SEBI Regulations, mutual funds are permitted to charge certain operating expenses for managing a mutual fund scheme. The total expense ratio is calculated as a percentage of the scheme’s NAV. It's deducted from the total revenue generated by a mutual fund before disbursing it to the investors.

The Expense Ratio of Bank of India Conservative Hybrid Fund is 2.22%

It’s a fee charged by the mutual fund house if an investor fully or partially exits from an invested scheme within a stated period from the date of investment. The time period for which it applies varies with the type of fund. It's calculated from the date of investment, whether in SIP or lump sum form.

The Exit load of Bank of India Conservative Hybrid Fund is Exit load of 1% if units in excess of 10% of the initial units allotted are redeemed within 1 year.

Start SIP with just Rs.100
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