|Min SIP Amount||Not Supported|
|NAV||₹20.72 (25 Jan 2021)|
|Fund Started||05 Feb 2016|
|Fund Size||₹43 Cr|
|HDFC Bank Ltd.||Financial||Equity||7.2%|
|Reliance Industries Ltd.||Energy||Equity||6.7%|
|ICICI Bank Ltd.||Financial||Equity||6.3%|
|Housing Development Finance Corpn. Ltd.||Financial||Equity||5.5%|
|Navin Fluorine International Ltd.||Chemicals||Equity||3.9%|
|Larsen & Toubro Ltd.||Construction||Equity||3.4%|
|Coromandel International Ltd.||Chemicals||Equity||3.4%|
|Bharti Airtel Ltd.||Communication||Equity||3.0%|
|Tata Consumer Products Ltd.||FMCG||Equity||2.9%|
Sundaram Value Fund Series III Regular Growth is a Equity Mutual Fund Scheme launched by Sundaram Mutual Fund. This scheme was made available to investors on 05 Feb 2016. S Bharath is the Current Fund Manager of Sundaram Value Fund Series III Regular Growth fund.The fund currently has an Asset Under Management(AUM) of ₹43 Cr and the Latest NAV as of 25 Jan 2021 is ₹20.72.
The Sundaram Value Fund Series III Regular Growth is rated Moderately High risk.
The scheme aims to provide capital appreciation by investing in a well diversified portfolio of stocks through fundamental analysis.