sectorModerate risk
SBI MNC FUND - Regular Plan - Growth
Invests only in one industry or theme (like banking, pharma, tech). Highly concentrated — bigger swings. From SBI Mutual Fund. It's been running since 1 Apr 2006.
Latest price per unit
₹419.7685
▲ 0.27% today
As of 28 Aug 2026 · updated once each business day
What ₹1 lakh would have become
Based on past returnsInvested 1 year ago
₹1.19 L
▲ ₹19.4k gain · 19.4% / year
Invested 3 years ago
₹1.28 L
▲ ₹28.1k gain · 8.6% / year
Invested 5 years ago
₹1.53 L
▲ ₹53.4k gain · 8.9% / year
These are calculations from the fund's past prices, not a prediction. Real future returns can and often do differ.
Price over time
How the per-unit price has moved. Tap a range to zoom in.
Bumpiness & worst drops
Day-to-day bumpiness
11.6%
The value swings roughly 12% up or down in a typical year. Finance-speak calls this volatility.
Worst drop ever
-74.20%
A lump sum invested at the previous peak would have temporarily lost about this much before recovering. Finance-speak calls this max drawdown.
Technical details (for the pros)
CAGR — 1 year19.36%
CAGR — 3 years8.61%
CAGR — 5 years8.93%
CAGR — since launch12.90%
Volatility — 1 year (annualised)13.01%
Volatility — 3 years (annualised)11.63%
Max drawdown — 1 year-9.45%
Max drawdown — 3 years-15.76%
Sharpe ratio — 1 year (rf=6%)0.90
Sharpe ratio — 3 years (rf=6%)0.20
Fund info
- Fund house
- SBI Mutual Fund
- Category
- Equity Scheme - Sectoral/ Thematic
- Plan
- Regular
- Option
- Growth
- ISIN (Growth)
- INF200K01271
- ISIN (Div re-invest)
- —
- Fund code
- 103034
- First price on record
- 1 Apr 2006 · 5,014 daily prices
Numbers are computed from stored daily prices from mfapi.in/AMFI. This is descriptive analytics, not investment advice. Past performance is not indicative of future returns.