DSP Savings Fund

The scheme seeks to generate attractive return, consistent with prudent risk, from a portfolio comprising substantially of quality debt securities. It also aims to generate capital appreciation by investing up to 10 per cent its corpus in equity of 100 largest corporates by market capitalization, listed in India.

Growthvine rating: 3/5 — ranked #8 of 24 in category.

Fund basics

CategoryHybrid: Conservative
NAV₹61.13 (as of 2026-08-21)
AUM₹180 Cr
Expense ratio1.04%
RiskometerModerately High
Fund managerShantanu Godambe
Exit load0

Performance & risk

5-year annualised return7.27%
Sharpe ratio0.61
Standard deviation3.91%
Max drawdown-12.18%
Alpha0
Beta0

Over 5 years, captured 103.8% of NIFTY 50 Hybrid Composite Debt 15:85 Index's upside and 71.3% of its downside.

Market cap allocation

Large cap72.9%
Mid cap12.2%
Small cap14.9%

Concentration

Top 5 holdings8.4%
Top 10 holdings12.7%
Total holdings32

Top holdings

Top sectors

Calendar-year track record

YearReturnQuartileCategory rank
2026 (partial)1.7%Q3#11 of 20
20257.2%Q1 (Top)#5 of 20
202411.0%Q2#8 of 20
202312.0%Q2#6 of 20
20223.5%Q3#11 of 19