World Investor Week October 06-12, 2025 being celebrated under aegis of IOSCO and SEBI. विश्व निवेशक सप्ताह 06-12 अक्तूबर, 2025 - आयस्को तथा सेबी की छत्रछाया में मनाया जा रहा है

Ticker Close

Aditya Birla Sun Life AMC Limited

Tick

Our Best SIP Funds

  • Wealth Creation
  • Equity - LargeCap

-0.12 %

Annualized Returns

popper 12
Lac + Investor and Counting

AUM:

₹ 29866.73 Cr

NAV:

₹ 531.80

Exit Load Duration:

90 D
img

For redemption/switch-out of units on or before 90 days from the date of allotment:1.00% of applicable NAV.

  • Wealth Creation
  • Equity - LargeCap

0.47 %

Annualized Returns


AUM:

₹ 22962.43 Cr

NAV:

₹ 1811.33

Exit Load Duration:

90 D
img

For redemption / switch-out of units on or before 90 days from the date of allotment: 1.00% of applicable NAV.

  • Wealth Creation
  • Equity - Mid Cap Fund

-4.84 %

Annualized Returns

popper 3
Lac + Investor and Counting

AUM:

₹ 5969.95 Cr

NAV:

₹ 785.42

Exit Load Duration:

90 D
img

For redemption / switch-out of units on or before 90 days from the date of allotment: 1.00% of applicable NAV.

  • Wealth Creation
  • Equity - Thematic

-3.54 %

Annualized Returns

popper 3
Lac + Investor and Counting

AUM:

₹ 6323.5 Cr

NAV:

₹ 219.61

Exit Load Duration:

30 D
img

For redemption / switch-out of units on or before 30 days from the date of allotment: 1% of applicable NAV.

  • Wealth Creation
  • Equity - Sectoral

-9.36 %

Annualized Returns

popper 6
Lac + Investor and Counting

AUM:

₹ 4617.06 Cr

NAV:

₹ 170.23

Exit Load Duration:

30 D
img

For redemption/switch-out of units on or before 30 days from the date of allotment: 1.00 % of applicable NAV.

  • Wealth Creation
  • Equity - Index Funds

1.56 %

Annualized Returns


AUM:

₹ 1121.21 Cr

NAV:

₹ 256.0400

Exit Load Duration:

NIL
  • Wealth Creation
  • Equity - Index Funds

-0.20 %

Annualized Returns


AUM:

₹ 387.79 Cr

NAV:

₹ 18.1800

Exit Load Duration:

NIL
  • Wealth Creation
  • Equity - Index Funds

-9.34 %

Annualized Returns


AUM:

₹ 201.5 Cr

NAV:

₹ 16.6200

Exit Load Duration:

NIL
  • Hybrid FOF (Domestic) - Passive Option
  • Multi Asset Allocation FOF

6.66 %

Annualized Returns


AUM:

₹ 18.82 Cr

NAV:

₹ 16.48

Exit Load Duration:

15 D
img

For redemption / switch-out of units on or before 15 days from the date of allotment: 0.5% of applicable NAV.

  • Wealth Creation
  • Equity - ETFs

2.02 %

Annualized Returns


AUM:

₹ 274.51 Cr

NAV:

₹ 82.41

Exit Load Duration:

NIL