DSP Dynamic Asset Allocation Fund
An open ended dynamic asset allocation fund
DSP Dynamic Asset Allocation Fund
An open ended dynamic asset allocation fund
Fund Manager

Atul Bhole (Equity portion)
Total work experience of 12 years.
Managing this Scheme since February 2018.

Saurabh Bhatia (Debt portion)
Total work experience of 16 years.
Managing this Scheme since February 2018.

Inception date

Feb 06, 2014

Benchmark

CRISIL Hybrid 35+65-Aggressive Index

NAV AS ON JUNE 30, 2020
Regular Plan  
Growth: ₹ 16.0250
Direct Plan  
Growth: ₹ 17.2080
Total aum

₹ 1,337 Cr

Monthly average aum

₹ 1,304 Cr

Portfolio Turnover Ratio(Last 12 months):

4.17

3 Year Risk Statistics:
Standard Deviation : 10.43%
Beta : 0.68
R-Squared : 81.99%
Sharpe Ratio : 0.13
Month End Expense Ratio
Regular Plan : 2.18%
Direct Plan : 0.54%
Average Maturity@@

2.23 years

Modified Duration@@

1.97 years

Portfolio YTM@@

5.56%

Exit Load

Holding Period :
< 12 months: 1%~;
>= 12 months: Nil
~If the units redeemed or switched out are upto 10% of the units (the limit) purchased or switched: Nil.

Name of Instrument% to Net Assets
EQUITY & EQUITY RELATED
Listed / awaiting listing on the stock exchanges
Banks 12.43
✔ HDFC Bank Limited 5.20
✔ ICICI Bank Limited 4.48
Kotak Mahindra Bank Limited 1.67
Axis Bank Limited 1.08
Finance 9.79
✔ Bajaj Finance Limited 3.40
Bajaj Finserv Limited 1.59
HDFC Life Insurance Company Limited 1.56
ICICI Lombard General Insurance Company Limited 1.51
ICICI Prudential Life Insurance Company Limited 0.97
HDFC Asset Management Company Limited 0.76
Telecom - Services 6.68
✔ Bharti Airtel Limited 6.68
Cement 4.70
✔ UltraTech Cement Limited 3.60
Shree Cement Limited 1.10
Consumer Non Durables 4.39
Asian Paints Limited 2.35
Britannia Industries Limited 2.04
Pharmaceuticals 4.09
Dr. Reddy's Laboratories Limited 1.68
Divi's Laboratories Limited 1.47
Alkem Laboratories Limited 0.94
Consumer Durables 4.00
Havells India Limited 1.09
Relaxo Footwears Limited 0.97
Voltas Limited 0.77
Crompton Greaves Consumer Electricals Limited 0.60
Titan Company Limited 0.57
Fertilisers 2.89
✔ Coromandel International Limited 2.89
Software 2.56
Tata Consultancy Services Limited 1.52
Infosys Limited 1.04
Retailing 2.09
V-Mart Retail Limited 1.14
Avenue Supermarts Limited 0.95
Gas 1.97
Indraprastha Gas Limited 1.97
Auto 1.48
Bajaj Auto Limited 0.99
Maruti Suzuki India Limited 0.49
Chemicals 1.16
Atul Limited 1.16
Industrial Capital Goods 0.94
Siemens Limited 0.94
Total 59.17
Arbitrage (Cash Long)
Stock Futures -6.96
Total 6.98
Name of Instrument rating to Net Assets
DEBT INSTRUMENTS
BOND & NCD's
Listed / awaiting listing on the stock exchanges
✔ Indian Railway Finance Corporation Limited CRISIL AAA 4.00
✔ ICICI Bank Limited CARE AA+ 3.88
✔ Housing Development Finance Corporation Limited CRISIL AAA 3.87
✔ Indian Oil Corporation Limited CRISIL AAA 3.86
Hindustan Petroleum Corporation Limited CRISIL AAA 2.03
Reliance Industries Limited CRISIL AAA 2.01
NTPC Limited CRISIL AAA 2.00
REC Limited CRISIL AAA 2.00
National Bank for Agriculture and Rural Development ICRA AAA 1.96
Reliance Industries Limited CARE AAA 1.95
National Highways Authority of India CRISIL AAA 1.61
Power Grid Corporation of India Limited CRISIL AAA 0.89
HDFC Bank Limited IND AA+ 0.77
Total 30.83
MONEY MARKET INSTRUMENTS
TREPS / Reverse Repo Investments / Corporate Debt Repo 1.92
Total 1.92
Fixed Deposit
ICICI Bank Limited 15 Feb 2021 (Duration - 395 Days) Unrated 0.38
ICICI Bank Limited 18 Feb 2021 (Duration - 395 Days) Unrated 0.38
ICICI Bank Limited 19 Feb 2021 (Duration - 395 Days) Unrated 0.38
ICICI Bank Limited 22 Feb 2021 (Duration - 397 Days) Unrated 0.38
ICICI Bank Limited 27 Jan 2021 (Duration - 394 Days) Unrated 0.15
ICICI Bank Limited 28 Jan 2021 (Duration - 394 Days) Unrated 0.15
ICICI Bank Limited 29 Jan 2021 (Duration - 394 Days) Unrated 0.15
ICICI Bank Limited 01 Feb 2021 (Duration - 396 Days) Unrated 0.15
ICICI Bank Limited 02 Feb 2021 (Duration - 396 Days) Unrated 0.15
Total 2.27
Cash & Cash Equivalent
Cash Margin 1.03
Net Receivables/Payables -2.20
Total -1.17
GRAND TOTAL 100.00

✔ Top Ten Holdings
@@Computed on the invested amount for debt portfolio


Growth of Rs. 1 L invested at inception: 1.6 L

SIP Returns(In %)
  5 yr 3 yr 1 yr SI*
*SI - Since inception6.125.27 6.666.46

Rolling Return
  5 yr 3 yr 1 yr
Minimum 3.07 0.16 -10.58
Maximum 8.26 10.33 19.17
Average 7.07 7.58 7.19
% times negative returns - - 6.40
% of times returns are in
excess of 7%
72.94 78.67 50.30
Past performance may or may not be sustained in future and should not be used as a basis for comparison with other investments. Returns are for Regular Plan - Growth Option Click here for performance in SEBI prescribed format.
Investment Objective

The investment objective of the Scheme is to seek capital appreciation by managing the asset allocation between equity and fixed income securities. The Scheme will dynamically manage the asset allocation between equity and fixed income based on the relative valuation of equity and debt markets. The Scheme intends to generate long-term capital appreciation by investing in equity and equity related instruments and seeks to generate income through investments in fixed income securities and by using arbitrage and other derivative strategies.
However, there can be no assurance that the investment objective of the scheme will be realized.

Product Labelling

This scheme is suitable for investors who are seeking*
• Long-term capital growth
• Investment in equity and equity related securities including the use of equity derivatives strategies and arbitrage opportunities with balance exposure in debt and money market instruments.

* Investors should consult their financial advisors if in doubt whether the product is suitable for them.