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Compare funds

Side-by-side across returns, risk ratios, P/E and cost — the best value in each row gets a BEST tag.

Pick funds to compare

2/5 selected
HSBC Value FundMahindra Manulife Value Fund Dir Plan Gr

Portfolio overlap

lower = better diversification
HSBC Value × Mahindra Manulife Value11.4%

Overlap = combined weight of stocks both funds hold (sum of the smaller weight per shared stock), from each fund's latest disclosed top-25 holdings.

Funds
HSBC Value
75Value
Add (3)
Returns (CAGR)
1Y return
1.9%9.3%BEST
3Y return
15.3%BEST
5Y return
15.8%BEST
Since launch
18.5%BEST16.2%
Vs category benchmark
1Y vs index
+4.0%+11.3%BEST
3Y vs index
+5.4%BEST
5Y vs index
+6.3%BEST
Benchmark used
Nifty 500Nifty 500
Risk
Sharpe ratio
0.78BEST0.67
Sortino ratio
0.730.94BEST
Std deviation
16.2714.48BEST
Alpha
4.275.83BEST
Beta
1.010.99
Cost & size
Expense ratio
0.90%BEST1.02%
Fund size
₹15.4k CrBEST₹1.0k Cr
Portfolio P/E
19.4618.75BEST
Ratings
Value Research
Morningstar
★★★★★BEST
Details
Fund manager
Venugopal ManghatKrishna Sanghavi, Vishal Jajoo
Benchmark
Nifty 500 TRI
Riskometer
HighHigh
Start date
01 Jan 201303 Mar 2025
Top 5 holdings
Biggest positions
  • ICICI Bank Ltd4.2%
  • HDFC Bank Ltd4.15%
  • Karur Vysya Bank Ltd3.57%
  • The Federal Bank Ltd3.37%
  • State Bank of India3.17%
  • ICICI Bank Ltd3.89%
  • Reliance Industries Ltd3.48%
  • Jindal Saw Ltd2.6%
  • Axis Bank Ltd2.53%
  • Vodafone Idea Ltd2.41%
Add a rival:+ Axis Value80+ Quant Value76+ HDFC Value70+ DSP Value68