SBI Contra Fund vs Angel One Mutual Fund Mid Cap Fund
Side-by-side comparison of returns, risk, expenses, holdings and performance. AI-powered insights included.
3Y Return
16.36%
3Y Return
12.96%
dekho, aapke paas do mutual funds hain - SBI Contra Fund aur Angel One Mutual Fund Mid Cap Fund. Fund A ek Multi Cap fund hai, jabki Fund B ek Mid Cap fund hai. aaj hum aapko batayenge ki dono funds ke beech kya aisi chot hai aur kis fund se aapko lene ki zaroorat hai.
| Parameter | ASBI Contra Fund - Direct Plan - Growth | BAngel One Mutual Fund Mid Cap Fund - Regular Plan - Growth |
|---|---|---|
| Fund House | SBI Mutual Fund | Angel One Mutual Fund |
| Category | Multi Cap | Mid Cap |
| NAV (₹) | 408.51 | 116.77 |
| AUM (₹ Cr) | 4.74 Lac Cr | 1.55 Lac Cr |
| Expense Ratio (%) | 0.72% | 1.75% |
| Riskometer | Very High | Very High |
| Volatility | 13.7 | 14.85 |
| Sharpe Ratio | 0.72 | 0.44 |
| 1 Year Return (%) | -1.21% | -1.93% |
| 3 Year Return (%) | 16.36% | 12.96% |
| 5 Year Return (%) | 18.26% | 12.33% |
| Since Launch (%) | 15.48% | 10.42% |
| Min SIP (₹) | 500 | 500 |
| Min Lumpsum (₹) | 1000 | 1000 |
| Launch Date | 2 January 2013 | 3 April 2006 |
| Exit Load | Nil | Nil |
| Fund Manager | Dinesh Balachandran; Pradeep Kesavan (8.1 years yrs) | Chirag Setalvad; Dhruv Muchhal (13.4 years yrs) |
| Benchmark | Nifty 500 Multicap 50:25:25 TRI | Nifty Midcap 150 TRI |
| Top 3 Holdings | HDFC Bank Ltd. (6.59%), Reliance Industries Ltd. (5.35%), Biocon Ltd. (3.04%) | Voltas Ltd. (3.8%), Mphasis Ltd. (3.5%), Coforge Ltd. (3.2%) |
| Asset Allocation | Equity: 81.12% | T-Bills: 2.35% | Forgn. Eq: 2.19% | Debenture: 1.92% | CD: 1.05% | REITs: 0.94% | Call Option: -0.03% | Futures: -0.16% | Equity: 94.00% | T-Bills: 6.00% |
| Portfolio Turnover | 130% | 25% |
🤖 AI Verdict – Which is Better?
sach ye hai, Fund A ek acchi chunauti hai. Fund A ka 3Y return 16.36% hai, jabki Fund B ka 3Y return 12.96% hai. lekin expense ratio ke hisab se Fund B kam cost mein hai. Riskometer ke hisab se dono funds kee risk high hai, lekin Fund A ka Sharpe ratio 0.72 hai, jisse iski risk-adjusted return better hai.
Why consider SBI Contra Fund?
- Expense ratio: 0.72%
- 3Y return: 16.36%
- AUM: 4.74 Lac Cr
- Sharpe Ratio: 0.72
Why consider Angel One Mutual Fund Mid Cap Fund?
- Expense ratio: 1.75%
- 3Y return: 12.96%
- AUM: 1.55 Lac Cr
- Sharpe Ratio: 0.44
📈 SIP Suitability
dekho, Fund A ka 5Y return 18.26% hai, jabki Fund B ka 5Y return 12.33% hai. lekin Fund A ka expense ratio 0.72% hai, jabki Fund B ka expense ratio 1.75% hai. isliye, Fund A SIP ke liye accha hai.
⚠️ Risk & Cost Analysis
volatility aur Sharpe ratio ke hisab se Fund A ka risk-adjusted return better hai. lekin Fund B ka expense ratio Fund A se 1.03% jyada hai. isliye, Fund A kam cost mein hai.
📊 Portfolio Diversification
Asset allocation ke hisab se Fund A ka portfolio thoda diversified hai. lekin Top 3 holdings ke hisab se Fund A ka portfolio kam diversified hai. Fund B ka portfolio bhi kam diversified hai, lekin iska Top 3 holdings ke hisab se risk kam hai.
SIP Calculator – Compare Growth Potential
SBI Contra Fund
₹1516047.14
@16.4% annual return (3Y)
Angel One Mutual Fund Mid Cap Fund
₹1230435.05
@13.0% annual return (3Y)
*Projected returns are illustrative based on historical 3‑year returns. Past performance does not guarantee future returns.
❓ Frequently Asked Questions (Comparison)
Q1: Which fund gives better returns in the long run?
Fund A ka 5Y return 18.26% hai, jabki Fund B ka 5Y return 12.33% hai. isliye, Fund A long run mein accha hai.
Q2: Is the higher risk fund worth it?
Fund A ka Sharpe ratio 0.72 hai, jabki Fund B ka Sharpe ratio 0.44 hai. isliye, Fund A ki risk-adjusted return better hai.
Q3: Which fund is more cost‑effective?
Fund A ka expense ratio 0.72% hai, jabki Fund B ka expense ratio 1.75% hai. isliye, Fund A cost-effective hai.
Mahendra Maurya
6+ Years in Banking, Wealth Management & Financial ServicesFounder & Author of ShareTargetPrice.in. 6+ years in Banking, Wealth Management & Financial Services.
📊 Author & Founder at Share Target Price