1Y returns
-1.47%
cat 0.08%3Y CAGR
+11.70%
cat 13.60%5Y CAGR
—
cat 12.55%Std deviation 3Y
+14.40%
cat 15.61%In plain English
Sundaram Flexicap Fund Direct Growth is a Flexi Cap scheme from Sundaram. The portfolio is ~96% in equities. Within equity, ~65% sits in large-cap stocks, 14% in mid-cap, and 12% in small-cap. 3-year CAGR: about 11.7%. Volatility is typical for equity — 20–30 % drawdowns happen during market stress. Worst historical drawdown: -16% in Mar 2025, recovered in 7 months. Wrong fit if you need this money in less than 5 years.
Auto-generated from holdings, returns and risk data. No paid placement, no copy-pasted boilerplate.
NAV history
Showing Direct · Growth · INF903JA1LE2
NAV (Direct-Growth)
₹15.2892
Last 1Y
-1.44%
Drawdown stories
The crashes you should know about — and how long the fund took to recover.
Mar 2025
-15.7%Peak ₹15.78 on 26 Sept 2024 → trough ₹13.31 on 3 Mar 2025 (5 months down).
Mar 2026 — ongoing
-15.1%Peak ₹16.23 on 2 Jan 2026 → trough ₹13.78 on 31 Mar 2026 (3 months down).
Computed from the full NAV history. We show drawdowns deeper than 10%, sorted by depth.
Honesty score
A 1–5 grade on the dimensions other sites won't surface — expense bloat, AUM bloat, concentration, mandate compliance.
Honesty score
5 / 5
Solid scheme on the dimensions we check. No red flags.
Expense ratio
0.72% — typical for category.
AUM size
₹2.0K Cr.
Sector concentration
Top 3 sectors = 56.8% — diversified across sectors.
Performance
Returns for various periods, with category average and peer rank.
Portfolio composition
Asset allocation
- Equity96.38%
- Cash3.62%
By market cap
- Large cap64.50%
- Mid cap13.68%
- Small cap11.62%
- Others10.20%
Concentration
Holdings
58
Avg market cap
₹1.89 L Cr
Top 10 stocks
40.74%
Top 5 stocks
24.93%
Top 3 sectors
56.79%
Top holdings
Top 15 positions by weight, latest disclosure.
- 1—6.88%
HDFC Bank Ltd
- 1—6.86%
HDFC Bank Ltd
- 2—5.93%
ICICI Bank Ltd
- 2—5.66%
ICICI Bank Ltd
- 3—5.53%
Treps
- 3—4.43%
Reliance Industries Ltd
- 4—4.30%
Reliance Industries Ltd
- 4—4.23%
Axis Bank Ltd
- 5—4.21%
Axis Bank Ltd
- 5—4.04%
Bharti Airtel Ltd
- 6—3.90%
Bharti Airtel Ltd
- 6—3.84%
State Bank of India
- 7—3.81%
State Bank of India
- 7—3.66%
Infosys Ltd
- 8—3.45%
Larsen & Toubro Ltd
Fundamentals (vs category)
Portfolio-weighted ratios, compared with the category average.
- P/E ratio22.1025.08-2.98
- P/B ratio2.893.59-0.70
- Price / Sales2.713.18-0.47
- Price / Cash Flow15.5618.36-2.80
- Dividend yield1.34%1.18%+0.16
- Return on equity (ROE)14.03%18.19%-4.16
Risk metrics
Standard deviation, Sharpe, Sortino, Beta — all vs category average.
- 12.4214.40—17.4815.6114.58
Standard deviation
Volatility — lower means steadier returns.
- -0.410.38—-0.290.480.48
Sharpe ratio
Risk-adjusted return — higher is better.
- -0.530.55—-0.370.720.74
Sortino ratio
Like Sharpe but only counts downside volatility.
- 0.960.92—0.960.960.93
Beta
1 = moves with the market. <1 = less volatile.
Peers in Flexi Cap
Other schemes in the same SEBI category, ranked by AUM.
- ₹1.41 L Cr+3.07%+18.12%0.53%
Parag Parikh Flexi Cap Fund
PPFAS
- ₹1.41 L Cr-2.57%+14.83%0.53%
Parag Parikh Flexi Cap Fund
PPFAS
- ₹1.02 L Cr+4.34%+20.37%0.68%
HDFC Flexi Cap Fund
HDFC
- ₹1.02 L Cr+1.49%+17.89%0.68%
HDFC Flexi Cap Fund
HDFC
- ₹54.8K Cr+7.95%+16.88%0.59%
Kotak Flexicap Fund
Kotak Mahindra
- ₹54.8K Cr-0.35%+14.62%0.59%
Kotak Flexicap Fund
Kotak Mahindra
- ₹26.0K Cr+9.31%+18.86%0.72%
Aditya Birla Sun Life Flexi Cap Fund
Aditya Birla Sun Life
- ₹26.0K Cr+4.66%+16.42%0.72%
Aditya Birla Sun Life Flexi Cap Fund
Aditya Birla Sun Life
Available plans & options
Click a plan to see its NAV and chart above. Direct plans have lower expense ratios than Regular — same portfolio, more of the return stays with you.
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