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DSP Large & Mid Cap Fund Regular-IDCW Reinvestment

Equity, Large & MidCap, Principal at very high risk

1 Year Return 16.91%

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Fund Details

NAV 40.954

Sub-Type Large & MidCap

Rating 3

Min. SIP Amount 100.0

Fund Age(Year) 25.76

Fund Size 17433.65

Fund Performance

1 Month 0.38%

3 Month 1.46%

6 Month 5.88%

1 Year 16.91%

3 Year 21.14%

5 Year 16.6%

Comparison with same funds

Charges & Taxes Expense Ratio

Returns are taxed as per your Income Tax Slab.

Expense Ratio (Inclusive of GST): 1.67%

Exit Load 0%

Stamp Duty 0.005%

Fund Management

The various expenses, charges and taxes associated with your Mutual Fund

Rohit Singhania

Education Mr. Singhania is an MMS.

Experience Prior to joining DSP AMC he has worked with HDFC Securities Ltd. and IL&FS Investsmart Limited.

Jay Kothari

Education Mr. Kothari is a BMS and MBA from Mumbai University .

Experience Prior to becoming the fund manager in DSP Mutual Fund, he has worked as the Vice President in the equity investments division as well a product strategist in DSPBRIM.

Charanjit Singh

Education Mr. Singh is a B. Tech - Electronics and Communication, MBA - Finance & Systems

Experience Prior to joining DSP Mutual Fund, he has worked with Capital Goods, Power & Infra at B&K Securities India, Capital Goods and Infra at Axis Capital Ltd., BNP Paribas India Securities, Thomas Weisel Partners, HSBC, IDC Corp. and Frost & Sullivan.

Nilesh Aiya

Education Chartered Accountant

Experience Prior to joining the DSP AMC, he was associated with Edelweiss Securities Ltd, KPMG.

Riskometer

Mutual Fund Investments are subject to market risk. Read all scheme related documents carefully.

Principal at very high risk%

AMC and Fund details

Rank (total sets) 33

Date of Incorporation 2000-05-16

Total AUM 2026-01-31

The Scheme Seeks to generate returns from a portfolio of pure debt oriented funds accessed through the diverse investment styles of underlying schemes selected in accordance with the BSLAMC process.

Know This Fund

As on 19 Feb 2026

Investment strategy that balances risk & reward by dividing the investment portfolio among different types of asset classes.

Equity (98.05%) Market Cap Mid Cap 34.14 Small Cap 11.41 Large Cap 52.5 Top Sectors Financial 34.57 Technology 10.25 Healthcare 9.28 Energy 9.19 Automobile 7.89 Construction 3.49 Communication 3.31 Insurance 3.2 Materials 3.15 Metals & Mining 2.87 Services 2.86 Consumer Staples 2.66 Chemicals 2.61 Capital Goods 2.18 Consumer Discretionary 0.52 Top Holding Atul 0.51 Kwality Wall's (India) 0.01 ICICI Lombard Gen. Insurance 1.54 Container Corporation Of India 0.9 APL Apollo Tubes 1.12 Mahindra & Mahindra 2.1 Bharat Forge 0.94 Crompton Greaves Con. Electricals 0.52 Larsen & Toubro 1.47 Bharti Airtel Ltd. - (Partly Paid up Equity Shares (Rights Issue)) 0.17 Hexaware Technologies 0.73 Nifty 50 0.1 Vishal Mega Mart 0.77 Axis Bank 4.95 Syngene International 0.96 The Phoenix Mills 1.59 Jindal Steel 1.18 Bharat Petroleum Corporation 1.25 SBI Life Insurance Company 0.96 Infosys 3.38 Asian Paints 0.71 HDB Financial Services 0.61 Cipla 1.11 Niva Bupa Health Insurance Company 0.7 Gujarat State Petronet 0.43 Alkem Laboratories 1.43 Samvardhana Motherson 2.01 City Online Services 0 Emami 0.95 ACC 0.46 KEC International 0.45 Century Plyboards (India) 0.46 Dalmia Bharat 0.6 Pfizer 0.47 Bharti Airtel 1.86 Tata Consultancy 2.57 Hindalco Industries 0.57 LIC Housing Fin. 0.91 Fortis Healthcare 1.25 Power Fin. Corp. 1.28 NTPC 1.16 Schaeffler India 1.12 Hindustan Petroleum Corporation 1.26 Coforge 2.09 Laurus Labs 0.47 Sona BLW Precision Forgings 0.41 Indraprastha Gas 0.48 Manappuram Finance 0.47 Sansera Engineering 0.58 Shriram Finance 2.56 SBI Cards 0.36 Tata Motors 0.77 Lupin 1.35 GAIL (India) 0.96 GR Infraprojects 0.03 Ahluwalia Contracts (India) 0.4 Kotak Mahindra Bank 2.22 State Bank of India 4.77 Max Financial Services 1.79 Tata Capital 1.36 Mphasis 1.47 Oil India 2.02 ITC 0.89 Cohance Lifesciences 0.6 HDFC Bank 5.71 Ipca Laboratories 1.64 The Federal Bank 1.44 Gujarat Fluorochemicals 0.84 Hindustan Unilever 0.8 Ultratech Cement 0.92 Exide Industries 0.61 Indus Towers 1.28 UNO Minda 1.07 Coromandel International 1.26 AU Small Finance Bank 1.52 Eternal 1.19 Petronet LNG 1.62 ICICI Bank 4.58

Debt & Others (1.95%) Sector Allocation Cash Margin 0.29 Reverse Repo 2.05 Net Payables -0.39 Debt Credit Ratings Debt Category Others 1.95

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