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Up to six funds side by side, and how much of each is the same portfolio as the others. Overlap is Σ min(weight) over the stocks both hold, from the latest disclosures. All 6,937 schemes are searchable — by scheme name, by fund house, or by the category you know them as.

3 of 6 chosen

  • SBI FLEXICAP FUNDFlexi Cap×
  • Kotak Mid Cap FundMid Cap · no portfolio disclosed×
  • DSP Midcap FundMid Cap×

Overlap

share of the portfolio the two funds hold in common

each fundagainst each otherSBI FLEXICAPKotak Mid CapDSP Midcap
SBI FLEXICAPFlexi Cap
itself
SBI FLEXICAP and Kotak Mid Cap: no portfolio disclosed for Kotak Mid Cap
SBI FLEXICAP and DSP Midcap share 14% of their portfolios
Kotak Mid CapMid Cap
Kotak Mid Cap and SBI FLEXICAP: no portfolio disclosed for Kotak Mid Cap
itself
Kotak Mid Cap and DSP Midcap: no portfolio disclosed for Kotak Mid Cap
DSP MidcapMid Cap
DSP Midcap and SBI FLEXICAP share 14% of their portfolios
DSP Midcap and Kotak Mid Cap: no portfolio disclosed for Kotak Mid Cap
itself

Closest pair: SBI FLEXICAP FUND and DSP Midcap Fund share 14% of their portfolios. Most of what each of them holds, the other does not; whether two funds this far apart belong in one portfolio is a separate question.

Kotak Mid Cap has no portfolio on file, so its row is blank rather than zero — that is an absence in our data, not a finding about the fund.

Read a cell as: of everything the two funds hold, this much is the same holding at the same weight. It is symmetric — the pair above the diagonal and the pair below it are one number shown twice. A pair at 0% holds nothing in common, which is a real answer, and often the useful one.

Side by side

record, cost, returns, drawdown, size

MeasureSBI FLEXICAPKotak Mid CapDSP Midcap
CategoryFlexi CapMid CapMid Cap
Fund houseSBI Funds Management LimitedKotak Mahindra Asset Management Company Limited.DSP Asset Managers Private Limited
Share of three-year stretches it beat its category P458% of 10983% of 10943% of 109
Regular plan costs more than Direct by, a year P51.03% points1.44% points1.02% points
Portfolio turned over a year P1129%not measured56%
Run by P7Anup Upadhyay · ≥ 3 monot knownVinit Sambre · ≥ 1.2 yrs
1-year return−2.1%4.8%3.6%
3 years p.a.8.6%18.1%14.6%
5 years p.a.8.2%16.8%11.8%
Deepest fall (max drawdown)−16.0%−20.9%−21.2%
Assets (AUM)₹22,888 Cr₹64,136 Cr₹20,871 Cr
Disclosed history5.8 yrs—13 yrs
Holdings · top ten weight71 · 36%none disclosed66 · 30%

Funds in different categories are not comparable on returns — a category error is the first thing the postulates refuse to make. Compare each to its own category on its fund page.