(*formerly known as ITI Long Term Equity Fund)
(An open ended equity linked saving scheme with a statutory lock-in of 3 years and tax benefit)
Product Review Note 29th December 2023
Inception Date | 18-Oct-19 | |||
Category | ELSS Fund | |||
Benchmark Index | Nifty 500 TRI | |||
Monthly AAUM AUM |
₹ 242.66 Crores ₹ 251.09 Crores |
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Minimum Application Amount: | ₹ 500/- & in multiples of ₹ 500/- thereafter | |||
Load Structure | Entry Load: Nil Exit Load: Nil |
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Fund Manager | ||||
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Long-term outlook remains intact:
Dec-23 |
Nov-23 |
Oct-23 |
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Large Cap | 50.82% |
51.34% |
50.84% |
|
Mid Cap | 16.03% |
16.07% |
19.42% |
|
Small Cap | 29.02% |
26.22% |
21.90% |
|
Market cap classification as per AMFI. |
Sector | Dec-23 |
Nov-23 |
Oct-23 |
Financial Services | 20.62% |
21.12% |
23.93% |
Automobile And Auto Components | 10.22% |
8.59% |
7.60% |
Capital Goods | 10.20% |
11.42% |
8.11% |
Information Technology | 8.55% |
6.04% |
4.72% |
Consumer Services | 7.70% |
7.40% |
6.84% |
The portfolio of the scheme is subject to changes within the provisions of the Scheme Information document of the scheme. Please refer to the SID for investment pattern, strategy, risk factors & the asset allocation. Please refer to the factsheet for more details. |
Dec-23 |
Nov-23 |
Oct-23 |
|
Average P/E | 45.56 |
46.10 |
40.85 |
Average P/B | 7.05 |
6.86 |
5.75 |
No. of stocks: | 59 |
57 |
60 |
% of top 5 holdings | 17.53 |
19.53 |
18.80 |
% of top 10 holdings | 31.08 |
34.35 |
33.42 |
The portfolio of the scheme is subject to changes within the provisions of the Scheme Information Document (SID) of the scheme. Please refer to the SID for investment pattern, strategy, risk factors & the asset allocation. Please refer to the factsheet for more details. |
This product is suitable for investors who are seeking*: |
|
Scheme Riskometer |
Benchmark Riskometer Nifty 500 TRI |
(*ITI Long Term Equity Fund name has been changed to ITI ELSS Tax Saver Fund with effect from October 30, 2023.)
Disclaimer The investment strategy of the scheme may change from time to time and shall be in accordance with the strategy as mentioned in the Scheme Information Document of the scheme. The views contained herein are not to be taken as an advice or recommendation to buy or sell any particular stock. The above information must be read along with the scheme features & riskometer for better understanding of the product. This should not be construed as an investment advice. Investors may consult their Mutual Fund Distributor for other details. It should be noted that value of investments and the income from them may fluctuate in accordance with market conditions and taxation agreements. Past performance may or may not be sustained in future.
Mutual Fund investments are subject to market risks, read all scheme related documents carefully.