The Nifty 50 has rebounded almost 2,000 points from its 52-week low after ceasefire was agreed between United States and Iran. Several countries are making diplomatic attempts to get the Strait of Hormuz opened. Brent crude oil prices have topped $110 per barrel. US Iran talks have stalled and there is uncertainty in the market...Read More
SBI Mutual Fund has launched the SBI Quality Fund. The New Fund Offer (NFO) opened on 28th January 2026 and will close on 11th February 2026. In this article we will explore the reasons why this fund can be an important addition to your portfolio. Whether you are investing in large cap, multi-cap, midcap or small cap funds, at the...Read More
The market has made a broad based recovery in the past two months, with Nifty crossing the psychologically important 26,000 level. Though we are seeing profit booking on rallies, we are also seeing lower bottoms, indicating that the market is in consolidation phase. The market is waiting for the outcome of Indo US trade...Read More
Picture this: Your child gets admission to their dream college, and you are ready with the funds - no stress, no compromises. That is the power of planning early. For parents, securing their children's future is one of the most important life-stage goals. With rising cost of education, especially professional education and...Read More
Welcome to the exciting world of SIFs. SBI MF has launched a Specialized Investment Fund (SIF), Magnum Hybrid Long Short Fund. SIFs are a new type of investment products which combine characteristics of traditional mutual funds and alternative investments like PMS or AIFs. The 1st strategy has opened for...Read More
Multicap funds invest in all three market capitalization segments. According to SEBI’s mandates Multicap funds must invest minimum 25% of their assets in each of the three market cap segments i.e. minimum 25% in large cap (top 100 stocks by market cap), minimum 25% in midcap (101st to 250th stocks by market cap and...Read More
Equity market has turned volatile due to continuing uncertainty about tariffs. After rebounding to 25,637 the Nifty 50 retreated back to 25,100 levels. The rapid pace of geo-political changes since the Trump Administration took office in January 2025 continue to be major risk factors for the market in the short term...Read More
The equity market is in a recovery phase after bottoming out in March 2025. However, bouts of volatility continued to impact the market due to geo-political factors e.g. Pahalgam terrorist attacks and Operation Sindoor, Israel Iran War etc. The market has rebounded after ceasefire was announced between Israel and Iran...Read More
The volatility in the market in the past four months following the weaker than expected corporate earnings, coupled with INR depreciation and concerns about trade policies of the Trump Administration have led to heavy Foreign Institutional Investor (FII) sell-off. Nifty 50 has corrected by more than 12% from its 52-week high...Read More
The volatility in the market in the past four months following the weaker than expected corporate earnings, coupled with INR depreciation and concerns about trade policies of the Trump Administration have led to heavy Foreign Institutional Investor (FII) sell-off. Nifty 50 has corrected by more than 12% from its 52-week high...Read More
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