FundLens
57
ESGHold

ABSL ESG InteGration Strategy

Aditya Birla Sun Life · Direct–Growth · rank #3 of 10 by Smart Score

Data updated

Trailing returns

vs Nifty 500 (index-fund proxy)
1 Year
-1.4%
+0.7% vs index
3 Years
10.1%
+0.2% vs index
5 Years
7.1%
-2.4% vs index
Since launch
11.9%

Year-by-year performance

last entry = YTD
2021
+39.9%
2022
-11.9%
2023
+23.8%
2024
+23.0%
2025
+5.4%
2026
-4.0%

Why this score

ABSL ESG InteGration Strategy scores 57/100 — #3 of 10 ESG fund (Hold). It stands out for 3y return and sharpe ratio — beating 69% of peers on 3y return. The main drag is its expense ratio (better than only 30% of peers).

Each bar shows the fund's percentile vs ESG peers — a longer bar beats more of the category.

3Y return10.06% · 69th percentile in category
Sharpe ratio0.51 · 72nd percentile in category
Expense ratio1.42% · 30th percentile in category
Alpha-0.33 · 72nd percentile in category
1Y return-1.35% · 83rd percentile in category
Sortino ratio0.37 · 69th percentile in category

Top holdings

top 5 = 24.4% of portfolio
1.ICICI Bank Ltd9.28%
2.HDFC Bank Ltd4.12%
3.Bharti Airtel Ltd3.89%
4.Axis Bank Ltd3.69%
5.Kotak Mahindra Bank Ltd3.43%

54 disclosed equity positions · portfolio as of Aug 2026 · weights are % of total corpus.

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