LIC MF S&P BSE Sensex Index Fund (G)

LIC MF S&P BSE Sensex Index Fund (G)

Summary Info


Fund Name:LIC Mutual Fund
Scheme Name:LIC MF S&P BSE Sensex Index Fund (G)
AMC:LIC Mutual Fund
Type:O
Category:Equity - Index
Launch Date: 14-Nov-2002
Fund Manager:Sumit Bhatnagar
Net Assets (Rs. cr):78.25

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LIC MF S&P BSE Sensex Index Fund (G)- NAV Details
NAV Date:16-Apr-2024
NAV [Rs.]:135.94
Buy/Resale Price [Rs.]:0
Sell/Repurchase Price [Rs.]:0
Entry Load %:Nil
Exit Load %:
LIC MF S&P BSE Sensex Index Fund (G)- NAV Chart
LIC MF S&P BSE Sensex Index Fund (G)- Performance(%)
1w1m3m6m1y3y5ySince INC
Scheme Returns-2.34 0.32 -0.34 10.06 21.01 14.48 13.38 13.49
Category Avg-1.733.01 4.18 19.99 43.22 18.23 14.56 19.86
Category Best0.3910.75 15.78 46.87 92.46 29.39 17.48 82.10
Category Worst-2.34 0.32 -0.34 10.06 21.01 14.48 13.38 13.49
LIC MF S&P BSE Sensex Index Fund (G)- Latest Dividends
DividendsBonus
Ratio13.00 0.00
Date 03-11-2003 03-11-2003
LIC MF S&P BSE Sensex Index Fund (G)- Investment Details
Min. Investment(Rs.):5000
Increm.Investment(Rs.):500
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In & Out
In
Name of the CompanyNo of shares

No Record Found

Out
Name of the CompanyNo of shares

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Fund Holdings
Asset TypeInstrument NameIndustryNet Assets(%)No of SharesMkt Value(Cr.)
Equity & Equity related Investments
EquityHDFC Bank Banks 13.02 70,363.00 10.19
EquityReliance Industr Petroleum Products 12.15 31,935.00 9.51
EquityICICI Bank Banks 9.12 65,105.00 7.13
EquityInfosys IT - Software 6.35 33,144.00 4.97
EquityLarsen & Toubro Construction 5.28 10,950.00 4.13
EquityITC Diversified FMCG 4.76 86,928.00 3.73
EquityTCS IT - Software 4.72 9,507.00 3.69
EquityBharti Airtel Telecom - Services 3.69 23,484.00 2.89
EquityAxis Bank Banks 3.52 26,305.00 2.76
EquitySt Bk of India Banks 3.44 35,799.00 2.69
EquityKotak Mah. Bank Banks 3.03 13,273.00 2.37
EquityHind. Unilever Diversified FMCG 2.40 8,293.00 1.88
EquityBajaj Finance Finance 2.37 2,561.00 1.85
EquityM & M Automobiles 2.19 8,917.00 1.71
EquityTata Motors Automobiles 2.11 16,628.00 1.65
EquitySun Pharma.Inds. Pharmaceuticals & Biotechnology 2.07 10,009.00 1.62
EquityMaruti Suzuki Automobiles 2.07 1,285.00 1.62
EquityHCL Technologies IT - Software 1.94 9,817.00 1.52
EquityNTPC Power 1.89 43,917.00 1.48
EquityTitan Company Consumer Durables 1.88 3,864.00 1.47
EquityAsian Paints Consumer Durables 1.52 4,166.00 1.19
EquityTata Steel Ferrous Metals 1.51 75,728.00 1.18
EquityPower Grid Corpn Power 1.49 42,199.00 1.17
EquityUltraTech Cem. Cement & Cement Products 1.33 1,071.00 1.04
EquityIndusInd Bank Banks 1.20 6,061.00 0.94
EquityNestle India Food Products 1.11 3,301.00 0.87
EquityBajaj Finserv Finance 1.06 5,036.00 0.83
EquityJSW Steel Ferrous Metals 0.94 8,861.00 0.74
EquityTech Mahindra IT - Software 0.93 5,802.00 0.73
EquityWipro IT - Software 0.81 13,133.00 0.63
Cash & Cash Equivalent
Reverse RepoTREPS -/- 0.40 0.00 0.31
Net CA & OthersNet CA & Others -/- -0.29 0.00 -0.22
Key Information
Fund House: LIC Mutual Fund Asset Mgmt Ltd
Incorporation Date: 20-Apr-1994
Total Assets Managed (Cr.): 30,217.48
Trustee/s: Mr. Rammohan Nilkanth Bha
Chairman: N/A
CEO / MD: T.S. Ramakrishnan
CIO: N/A
President: N/A
Director/s: Siddhartha Mohanty
Compliance Officer/s: N/A
Investor Service Officer/s: Mr.Prashant Thakkar
Fund Manager/s: Sumit Bhatnagar
Other Information
Auditors: N/A
Registered Office: 4th Floor, Industrial Insurance Building, Opp.Churchgate Stati Mumbai 400 020.
Contact Nos: 022-66016000
Fax: 022-22843660
Email : cs.co@licmf.com
Website : www.licmf.com