Equity + Mutual Fund

Composite: Moderately High Risk

The Moderately High Risk Composite Basket invests 40% of the basket amount in largecap stocks, 20% in money market funds and 40% in diversified funds. Investing in diversified funds keeps the basket a moderately high risk option, and is suitable for aggressive investors who are comfortable with taking reasonably high risks to achieve high returns.

Min Investment
Returns (CAGR)
Returns (CAGR)
Stocks LTP Quality Score Valuation Score Technical Score 1yr 3yr 5yr Weightage(%) Quantity
Hindustan Unilever Ltd. 2358.10 55.00 11.00 50.00 6.64 11.75 21.17 10.00 12.00
Returns (CAGR)
Schemes NAV Category Name 1yr 3yr 5yr Weightage(%) Quantity
Aditya Birla Sun Life Money Manager Fund Regular Plan Growth
288.53 Money Market 4.11 6.85 6.93 20.00 190.62