Market Snapshot
  • BSE 500: 35815.16 -0.33%
  • BSE 200: 11235.8 -0.38%
  • BSE 100: 25940.24 -0.30%
  • BSE MidCap: 45136.35 -0.39%
  • BSE SmallCap: 52413.25 0.17%
  • BSE BANKEX: 63154.98 0.21%
  • BSE IT: 36893.53 -1.05%
  • Nifty 50: 24750.7 -0.33%
  • Nifty 500: 22801.95 -0.26%
  • Nifty 200: 13798.4 -0.31%
  • Nifty 100: 25344.25 -0.36%
  • Nifty Midcap 100: 57420 -0.06%
  • Nifty Small 100: 17883.3 -0.03%
  • Nifty IT: 37321.75 -1.15%
  • Nifty PSU Bank: 6976 2.88%
  • BSE Sensex: 81451.01 -0.22%
News:
  • Apollo Hospitals Q4 PAT jumps ...
  • SML Isuzu gains after Q4 PAT r...
  • Alembic Pharma receives USFDA ...
  • Dynamic Cables gains after boa...
  • Nykaa Q4 PAT soars 192% YoY to...
  • Pound to INR:  115.18 0.03%
  • Yen to INR:  0.59 0.53%
  • Dollar to INR:  85.50 0.09%
  • Euro to INR:  97.01 0.44%
My Portfolio:
  • 0.00 0

Dinesh Balachandran

SBI Mutual Fund

He has over 11 years of experience in the industry primarily as Research Analyst. Prior to joining SBIFM, He was Research Analyst with Fidelity Investment, USA for ten years.

  • No. of schemes managed

    5

  • AUM (in Rs. Cr.)

    116288

  • Favorite stock

    Reliance Industries Ltd (Invested amount - Rs. 250 cr.)

AUM Breakup
JavaScript chart by amCharts 3.17.0
JavaScript chart by amCharts 3.17.0EquityDebtHybrid

All funds

  • SBI Magnum Comma Fund (G)
    SBI Magnum Comma Fund (G)

    Equity - Diversified

    • NAV

      101.74

      -0.28 -0.28%

      • 1 Y Return

        6.24%

      • Volatility

        1.43%

    • Value Research rating

      Not Rated

  • SBI Contra Fund (G)
    SBI Contra Fund (G)

    Equity - Diversified

    • NAV

      377.58

      0.24 0.06%

      • 1 Y Return

        7.72%

      • Volatility

        0.93%

    • Value Research rating

  • SBI Balanced Advantage Fund (G)
    SBI Balanced Advantage Fund (G)

    Hybrid - Equity Oriented

    • NAV

      15.27

      -0.01 -0.04%

      • 1 Y Return

        9.15%

      • Volatility

        0.45%

    • Value Research rating

      Not Rated

  • SBI Long Term Equity Fund (G)
    SBI Long Term Equity Fund (G)

    Equity - Tax Planning

    • NAV

      433.36

      1.95 0.45%

      • 1 Y Return

        10.62%

      • Volatility

        0.97%

    • Value Research rating

  • SBI Multi Asset Allocation Fund (G)
    SBI Multi Asset Allocation Fund (G)

    Monthly Income Plans - Long Term

    • NAV

      58.09

      0.05 0.08%

      • 1 Y Return

        10.63%

      • Volatility

        0.51%

    • Value Research rating

      Not Rated