Aditya Birla Sun Life International Equity Fund

Direct Plan · GROWTH · Aditya Birla Sun Life Mutual Fund · scheme code 119517 · ISIN INF209K01WS3

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Scheme

Latest NAV ₹57.2672
NAV date28 Aug 2026
CategoryEquity · Sectoral / Thematic
StructureOpen Ended
StatusOpen — priced in AMFI's latest file
As published by AMFI Open Ended Schemes(Equity Scheme - Sectoral/ Thematic)
StockProof normalizes AMFI's 104 category spellings onto 56 categories; this is the raw string behind the one shown above.
Stored NAV history 736 points, 01 Sep 2023 → 28 Aug 2026

Data, not advice. These pages show NAV history, category and computed returns as published by AMFI, so funds can be compared side by side. StockProof does not rank funds, does not score them, and does not recommend buying, selling or holding any of them. Past NAV movement is not an indication of future returns.

Fund names here are CURRENT names, not the name the fund had on the date shown. AMFI retroactively restates historical scheme names to whatever the fund is called today: its own April 2006 file lists schemes under "Nippon India Mutual Fund", a fund house that did not exist until 2019 (it was Reliance). Measured on 2026-08-29, all 1,947 scheme codes present in both AMFI's 2018 and 2026 files showed zero name changes — not because renames are rare in the Indian fund industry, but because the history is rewritten. StockProof stores and shows only the current name and does not attempt to reconstruct point-in-time names, because AMFI publishes nothing that would make that possible. The NAV figures themselves are as published for each date and are not restated.

Long-window returns are measured only over funds that still exist. Of the 1,790 scheme codes AMFI priced in April 2006, only 568 (31%) were still being priced in 2026. Funds that closed or merged are not in a long-period comparison, so any group of surviving funds looks better than the choice an investor actually faced at the time.

Benchmark & AUM

Benchmark, benchmark return and AUM figures on this page are AMFI's own published disclosure — the same SEBI-mandated benchmark every fund must declare and report against, sourced from AMFI's Fund Performance data. StockProof does not compute the benchmark return itself: it shows the number AMFI and the fund house publish, exactly as published. StockProof does not rank funds or benchmarks by this figure, and this is not a recommendation to buy, sell or hold anything.

This section is matched to the scheme above by FUND NAME, not by scheme code or ISIN — AMFI's benchmark-disclosure API carries neither, unlike its NAV files. Measured 2026-08-29 across the whole universe, this name match succeeds for about 86% of funds; most misses are small spelling or punctuation drift between AMFI's own two systems, not a wrong match — a fund with no match here simply shows no data rather than another fund's. One disclosed row also covers BOTH the Regular and Direct plan of a fund together, because that is the granularity AMFI itself publishes at — one level coarser than the per-plan scheme codes StockProof otherwise tracks.

BenchmarkS&P Global 1200 TRI
Daily AUM ₹333.48 Cr.
As of27 Aug 2026
Riskometer — schemeVery High
Riskometer — benchmarkVery High

Fund vs benchmark

Regular and Direct are the plan's own trailing return; Benchmark is the same window's return on the declared benchmark above, as published by AMFI. A window is blank when AMFI has not published it for this fund, most often because the fund has not existed that long.

WindowRegularDirectBenchmark
1 Year 21.58% 22.23%
3 Year 20.82% 21.48%
5 Year 11.65% 12.36%
10 Year 12.97% 13.66%
Since launch 9.28% 12.24% see below

"Since launch" benchmark return is shown per plan, not as one column above — the Regular and Direct plan of a fund can launch on different dates, so each is benchmarked over its own window: Regular , Direct .

Holdings X-ray

These holdings are the fund house's own SEBI-mandated monthly portfolio disclosure, read from the file the AMC publishes and shown as published. StockProof does not estimate, model or infer a single holding. The portfolio is a SNAPSHOT on the date shown — usually a month-end — and a fund can and does trade in between, so what it holds today is not necessarily what is listed here. Nothing on this page ranks funds, scores them, or recommends buying, selling or holding anything.

StockProof can only link a holding to a company page if that company is in the Nifty 500 universe it tracks. Everything the fund disclosed is listed here either way — holdings outside that universe are shown with their real names and weights and counted explicitly as "outside tracked universe", never dropped. Two coverage figures are given because they can differ enormously and either one alone is misleading: the share of holding LINES that link, and the share of disclosed WEIGHT that links. Parag Parikh Flexi Cap Fund is the standing example — under half its lines link, but around three-quarters of its weight does, because its unlinked positions are a handful of very large US holdings.

Coverage varies enormously by fund type and low coverage is a fact about the universe boundary, not a defect. Large-cap, flexi-cap and index funds typically X-ray at over 90% of disclosed weight; small-cap funds fall to roughly 44–75%, because much of what they own sits below the Nifty 500; and a pure debt fund links at zero, because bonds are not companies in StockProof's universe at all. Read the coverage figure before reading the holdings: at 45% coverage the listed companies are a minority of the fund.

The disclosed holdings usually do not add to 100% of the fund. The remainder is cash, TREPS, repo and derivative margin, which the AMC reports without a security line. Weights here are the AMC's own "% to NAV" figures, so they are shares of the WHOLE fund and can be added up directly — but the total falling short of 100% is normal and is shown rather than scaled away.

Holdings are matched to companies by ISIN — the security's own permanent identifier, never by name — so a matched company is the security the fund disclosed and not a guess. The FUND itself is matched to this page by NAME, which is weaker: measured 2026-08-30 across 625 portfolios, that name match succeeds for about 91% of funds, because the AMC's file carries no AMFI scheme code. A fund with no match simply shows no holdings section rather than another fund's. One disclosed portfolio also covers every plan and option of a fund at once, since that is the granularity the fund house publishes at.

How much of this fund StockProof can show

Of the weight the fund disclosed, tracked 0.0% 0.0% of NAV, out of the 97.4% the fund disclosed in security lines
Of the holding lines disclosed, tracked 0.0% 0 of 72 positions. This can differ sharply from the weight figure above — a few very large untracked holdings move one and not the other.
Outside StockProof's tracked universe 72 97.4% of NAV — listed in full below with real names and weights, never dropped
Not in any security line 2.6% cash, TREPS, repo and derivative margin, which the fund house reports without a security line

Portfolio as disclosed by ADITYA BIRLA SUN LIFE INTERNATIONAL EQUITY FUND on 31 Jul 2026, read from the fund house's own published file (sheet BINTEQA). The unit check passed: 97.35% of NAV over 72 lines is consistent with 'fraction'.

Holding Industry / rating % of NAV Tracked
Nvidia Corporation US67066G1040 IT - Software 4.98% outside tracked universe
Alphabet Inc. US02079K3059 IT - Software 4.78% outside tracked universe
Apple Inc. US0378331005 IT - Hardware 2.89% outside tracked universe
Amazon.Com Inc US0231351067 Retailing 2.70% outside tracked universe
Western Digital Corp US9581021055 IT - Services 2.54% outside tracked universe
Seagate Technology Holdings PLC IE00BKVD2N49 IT - Services 2.50% outside tracked universe
Taiwan Semiconductor Manufacturin Co Ltd US8740391003 IT - Hardware 2.36% outside tracked universe
Equitable Holdings Inc US29452E1010 Insurance 2.30% outside tracked universe
Visa Inc US92826C8394 IT - Software 2.24% outside tracked universe
Eli Lilly & Company US5324571083 Pharmaceuticals & Biotechnology 2.01% outside tracked universe
Philip Morris International Ord US7181721090 Cigarettes & Tobacco Products 2.01% outside tracked universe
Western Alliance Bancorp US9576381092 Banks 1.97% outside tracked universe
Lam Research Corp US5128073062 Industrial Manufacturing 1.97% outside tracked universe
Advanced Micro Devices Inc US0079031078 IT - Hardware 1.95% outside tracked universe
Pinnacle Financial Partners Inc US72348N1090 Banks 1.90% outside tracked universe
Microsoft Corporation US5949181045 IT - Software 1.90% outside tracked universe
Target Corporation US87612E1064 Retailing 1.77% outside tracked universe
Coca Cola Co. US1912161007 Beverages 1.76% outside tracked universe
Unitedhealth Group Inc. US91324P1021 Insurance 1.57% outside tracked universe
Ryan Specialty Holdings Inc US78351F1075 Financial Technology (Fintech) 1.56% outside tracked universe
McKesson Corp US58155Q1031 Retailing 1.50% outside tracked universe
Walmart Inc US9311421039 Retailing 1.49% outside tracked universe
Keyence Corporation JP3236200006 Industrial Manufacturing 1.48% outside tracked universe
Adyen NV NL0012969182 Financial Technology (Fintech) 1.47% outside tracked universe
Waste Management Inc US94106L1098 Other Utilities 1.46% outside tracked universe
Suncor Energy Inc CA8672241079 Oil 1.37% outside tracked universe
Broadcom Inc US11135F1012 IT - Software 1.36% outside tracked universe
Schneider Electric SA FR0000121972 Industrial Capital Goods 1.36% outside tracked universe
Shell PLC GB00BP6MXD84 Oil 1.35% outside tracked universe
Southern Company US8425871071 Power 1.32% outside tracked universe
Coherent Corp US19247G1076 Industrial Manufacturing 1.30% outside tracked universe
Sherwin-Williams Co US8243481061 Consumer Durables 1.29% outside tracked universe
Natwest Group Plc GB00BM8PJY71 Banks 1.29% outside tracked universe
UniCredit Spa IT0005239360 Leisure Services 1.26% outside tracked universe
ITT Inc US45073V1089 Construction 1.20% outside tracked universe
Thermo Fisher Scientific Inc. US8835561023 Healthcare Equipment & Supplies 1.17% outside tracked universe
Celestica Inc CA15101Q2071 IT - Software 1.16% outside tracked universe
GE Vernova Inc US36828A1016 Electrical Equipment 1.16% outside tracked universe
SoftBank Group Corp JP3436100006 Telecom - Services 1.15% outside tracked universe
Dover Corp US2600031080 Industrial Products 1.13% outside tracked universe
Linde PLC IE000S9YS762 Chemicals & Petrochemicals 1.12% outside tracked universe
Merck & Co. Inc. US58933Y1055 Pharmaceuticals & Biotechnology 1.10% outside tracked universe
Toyota Motor Corporation JP3633400001 Pharmaceuticals & Biotechnology 1.10% outside tracked universe
TRANSDIGM GROUP INC US8936411003 Industrial Products 1.10% outside tracked universe
Marriott International Inc US5719032022 Leisure Services 1.09% outside tracked universe
Otis Worldwide Corp US68902V1070 Industrial Manufacturing 1.07% outside tracked universe
Prudential PLC GB0007099541 Insurance 1.06% outside tracked universe
ASTRAZENECA PLC GB0009895292 Pharmaceuticals & Biotechnology 1.04% outside tracked universe
Spotify Technology SA LU1778762911 Entertainment 1.02% outside tracked universe
Argenx SE ADR ARGX US04016X1019 Pharmaceuticals & Biotechnology 1.00% outside tracked universe
Five Below Inc US33829M1018 Retailing 0.95% outside tracked universe
Tesla Inc US88160R1014 Automobiles 0.91% outside tracked universe
Zimmer Biomet Holdings Inc. US98956P1021 Healthcare Services 0.90% outside tracked universe
PPL Corporation US69351T1060 Power 0.84% outside tracked universe
DSV A/S DK0060079531 Transport Services 0.82% outside tracked universe
Meta Platforms US30303M1027 Entertainment 0.81% outside tracked universe
Reddit Inc US75734B1008 Media & Entertainment 0.78% outside tracked universe
Diamondback Energy Inc US25278X1090 Oil 0.71% outside tracked universe
SK hynix Inc KR7000660001 Electrical Equipment 0.70% outside tracked universe
St James's Place Plc GB0007669376 Capital Markets 0.67% outside tracked universe
Solstice Advanced Materials Inc US83443Q1031 Chemicals & Petrochemicals 0.65% outside tracked universe
Kioxia Holdings Corp JP3236330001 Electrical Equipment 0.59% outside tracked universe
XP Inc KYG982391099 Capital Markets 0.59% outside tracked universe
Freeport-McMoRan Inc US35671D8570 Diversified Metals 0.59% outside tracked universe
OHB SE DE0005936124 Aerospace & Defense 0.53% outside tracked universe
Burford Capital Ltd GG00BMGYLN96 Finance 0.51% outside tracked universe
Capital One Financial Corporation US14040H1059 Banks 0.49% outside tracked universe
Leonardo SpA IT0003856405 Leisure Services 0.41% outside tracked universe
Corebridge Financial Inc US21871X1090 Insurance 0.16% outside tracked universe
SK hynix Inc US78392B2060 Electrical Equipment 0.04% outside tracked universe
Bank Central Asia Tbk Pt US69368G1058 Banks 0.03% outside tracked universe
Bank Central Asia Tbk Pt ID1000109507 Banks 0.01% outside tracked universe

Every line the fund house disclosed is listed above, in the order it weighs. Weights are the fund house's own "% to NAV" figures, normalised to a percentage of the whole fund; they are not rescaled to add to 100%.

NAV history

NAV as published by AMFI for each date. No corporate-action adjustment is applied or needed — an IDCW payout is carried by a separate scheme code, not by restating this series.

Returns (CAGR)

Compound annual growth of NAV over each trailing window, computed from stored history with the same function the company pages use. A window is only shown as a number when the stored history genuinely reaches back that far — it is never computed over a shorter span and labelled as the longer one.

WindowCAGRBasis
1-year 21.02% NAV 47.3281 on 28 Aug 2025 to 57.2672 on 28 Aug 2026 (1-year, AMFI)
3-year 20.43% NAV 32.8536 on 01 Sep 2023 to 57.2672 on 28 Aug 2026 (3-year, AMFI)
5-year N/A Stored NAV history starts 01 Sep 2023, which does not reach back a full 5 years from 28 Aug 2026.
10-year N/A Stored NAV history starts 01 Sep 2023, which does not reach back a full 10 years from 28 Aug 2026.
Since stored history begins 20.43% NAV 32.8536 on 01 Sep 2023 to 57.2672 on 28 Aug 2026 (3.0 years stored, AMFI)

"Since stored history begins" is deliberately not called "since inception" — AMFI publishes no NAV before 1 April 2006, so for an older fund its true inception NAV is not in any public AMFI feed.