HomeInternational Fund › DSP US Specific Equity Omni FoF

DSP US Specific Equity Omni FoF

FoF Overseas · DSP Asset Managers Private Limited

In plain words

Among the 156 funds in its category, this one has grown money faster than most. ₹1 lakh invested 5 years ago would be about ₹2.4 lakh today. Investing ₹10,000 every month for the last 10 years would have put in ₹12.1 lakh and grown it to about ₹35.3 lakh. Be warned: in its worst stretch, ₹1 lakh briefly shrank to about ₹71,940. Expect meaningful ups and downs on the way.

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DSP US Specific Equity Omni FoF is RS 80/99 in its category right now. See the RS line plotted against its benchmark, live, and the day it crossed.
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DSP US Specific Equity Omni FoF is a FoF Overseas fund from DSP Asset Managers Private Limited. It has a track record of about 13.7 years. As of the latest data it carries an RS rating of 80/99 (its recent momentum versus category peers) and a King Score of 71/100 (a long-term quality composite). The current NAV is ₹101.99 (as of 2026-09-16).

At a glance. Long-term quality (King Score): 71/100 · Current momentum (RS): 80/99 · 5-year CAGR: 19.1% · Worst-ever fall: -28.06%
80RS rating
71King Score
27.11%3Y CAGR
19.1%5Y CAGR
-28.06%Max drawdown
1.04Sharpe 3Y
1.37%Expense
1322AUM ₹Cr

Growth of ₹100 - last 5 years

2021-092026-08
What ₹100 invested 5 years ago would be worth today, from actual NAV history.

DSP US Specific Equity Omni FoF returns: last 1, 3, 5 and 10 years

PeriodThis fundCategory average
1 month-3.22%-2.26%
3 months-1.71%-1.03%
6 months17.66%11.75%
1 year32.07%24.53%
3 years (CAGR)27.11%23.16%
5 years (CAGR)19.1%12.62%
10 years (CAGR)19.0%12.72%

The last 10 years return of DSP US Specific Equity Omni FoF works out to 19.0% a year (CAGR) - ₹1 lakh invested 10 years ago would be about ₹5.7 lakh today. The last 5 years return is 19.1% a year (₹1 lakh → ₹2.4 lakh), and the last 3 years return is 27.11% - ahead of its category's 23.16% average by 3.9 points. Its trailing one-year return is 32.07%. Trailing returns flatter or disappoint depending on the end date you pick - the year-by-year and rolling-return sections below are a fairer read.

Year-by-year returns

YearDSP US Specific EquityBenchmark
2018-0.3%-3.4%
2019+28.3%+7.7%
2020+23.4%+16.7%
2021+25.3%+30.2%
2022-5.1%+3.0%
2023+23.1%+25.8%
2024+18.8%+15.2%
2025+35.0%+6.7%
2026+20.6%-5.8%

DSP US Specific Equity Omni FoF beat its benchmark in 6 of the last 9 calendar years. That is a strong hit-rate - most active funds fail to clear their index this often. Consistency against the benchmark matters more than any single great year.

Calendar-year returns show how bumpy the ride really was - an average hides the good years and the ugly ones.

What a monthly SIP in DSP US Specific Equity Omni FoF would have made

A ₹10,000-a-month SIP, using this fund's actual NAV history. SIP returns (XIRR) differ from lumpsum CAGR because your money goes in gradually, averaging your entry price.

SIP durationYou investedIt becameXIRR
3 years₹370,000₹571,84330.4%
5 years₹610,000₹1,128,07524.82%
10 years₹1,210,000₹3,526,83120.27%

Over 10 years, ₹1,210,000 invested in monthly instalments would have grown to about ₹3,526,831 - an XIRR of 20.27%. Figures are pre-tax and assume you stayed invested throughout.

Risk & drawdowns

MeasureThis fundCategory average
Worst drawdown (lifetime)-28.06%-29.92%
Worst drawdown (3Y)-23.16%-18.62%
Volatility (1Y)22.17%23.2%
Sharpe (3Y)1.040.77
Sortino (3Y)2.211.47
Beta (3Y)0.380.31
Alpha (3Y)20.88%15.72%
Up capture76.3%63.19%
Down capture19.6%15.34%
Bull-market return30.7%22.11%
Bear-market return-7.0%-0.02%

Timing matters more than people admit: the best possible 1-year stretch in DSP US Specific Equity Omni FoF (starting 2020-03-23) gained 77.7%, while the worst (starting 2019-03-22) lost 13.2%. The worst peak-to-bottom fall DSP US Specific Equity Omni FoF has ever put investors through is -28.06% - the real test of whether you'd have stayed invested. In falling markets (Nifty below its 200-day average) it has returned about -7.0% annualised, versus 30.7% in rising markets. It has captured roughly 76.3% of its benchmark's up-moves and 19.6% of its down-moves.

How DSP US Specific Equity Omni FoF behaves when markets fall

When the market is falling (the Nifty below its 200-day average), DSP US Specific Equity Omni FoF has historically returned about -7.0% annualised, versus roughly 30.7% when the market is rising. Its deepest fall on record is -28.06%. Right now it sits about 3.89% below its all-time high (last hit 2026-05-29). The real question isn't the average year - it's whether you could hold on through the worst one.

How DSP US Specific Equity Omni FoF ranks in its category

Percentile versus its ~156 category peers - 100th is best-in-class, 50th is average. This is the fairest apples-to-apples read.

3-year return
82th
Drawdown resilience
48th
Consistency
66th
Risk-adjusted (Sharpe)
83th

Consistency (rolling returns)

MeasureValue
Median 3Y rolling CAGR14.28%
3Y windows positive100.0%
Worst 3Y window5.05%
Median 5Y rolling CAGR15.6%
Median 10Y rolling CAGR14.45%

Instead of one lucky start date, rolling returns test every start date. Across all 3-year windows in its history, DSP US Specific Equity Omni FoF returned a median of 14.28% a year, and 100.0% of those windows were positive.

Who manages DSP US Specific Equity Omni FoF - and how good are they?

DSP US Specific Equity Omni FoF is managed by Kaivalya Nadkarni. Below is each manager's complete track record - every fund they currently run, judged on the same numbers as everything else on this page - so you can see whether this fund is in strong hands or is the outlier in a weak book.

Kaivalya Nadkarni's full record

Kaivalya Nadkarni currently runs 10 funds, across Arbitrage Fund, Dynamic Asset Allocation or Balanced Advantage, FoF Domestic, FoF Overseas and more, with about ₹18,141 Cr under management. The book's average King Score is 64.4/100. Their strongest fund by King Score is DSP Value Fund (93/100); DSP US Specific Equity Omni FoF ranks #5 of 10 in their book.

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Swipe the table sideways to see all 13 columns →
#FundRSKing3M6M1Y3Y CAGR5Y CAGR10Y CAGRSharpeRoll 3YWorst fall
1DSP Value Fund7193-1.6%5.1%5.8%15.1%12.1%n/a0.7118.7%-16.4%
2DSP Dynamic Asset Allocation Fund80810.3%2.9%3.6%10.2%8.6%9.4%0.610.2%-19.3%
3DSP Global Innovation Overseas Equity Omni FoF5574-2.4%17.3%23.6%26.9%n/an/a1.027.2%-27.6%
4DSP Arbitrage Fund75721.6%3.0%6.5%7.2%6.6%n/a0.745.7%-0.6%
5DSP US Specific Equity Omni FoF (this page)8071-1.7%17.7%32.1%27.1%19.1%19.0%1.0414.3%-28.1%
6DSP World Gold Mining Overseas Equity Omni FoF96629.7%3.2%53.2%56.0%29.9%16.4%1.266.5%-57.2%
7DSP World Mining Overseas Equity Omni FoF94520.4%9.9%62.3%29.2%20.0%19.1%0.7611.2%-62.2%
8DSP Income Plus Arbitrage Omni FoF44481.2%2.6%5.2%9.6%6.0%8.2%0.467.6%-17.0%
9DSP Global Clean Energy Overseas Equity Omni FoF2427-10.0%3.6%31.2%17.6%11.1%9.0%0.493.9%-49.7%
10DSP US Specific Debt Passive FoF14n/a-0.9%0.6%6.3%n/an/an/a0.35n/a-4.1%

A caveat worth keeping: funds often have co-managers, and results belong to the whole team and process rather than one person. A manager's book tells you about their range and consistency, not a guarantee of skill.

Cost & fund basics

DetailValue
Expense ratio (Direct)1.37%
Exit load≈1% if redeemed within 1 year (typical)
Minimum investment₹100
Fund size (AUM)₹1,322 Cr
Age13.7 years
Plan / OptionDirect · Growth
BenchmarkNIFTY500

How DSP US Specific Equity Omni FoF compares to peers

FundRSKing3Y CAGR
Axis NASDAQ 100 US Specific Equity Passive FOF718829.5%
Mirae Asset Global X Artificial Intelligence & Technology ETF Fund of Fund928737.3%
ICICI Prudential Strategic Metal and Energy Equity Fund of Fund998536.4%
Navi NASDAQ100 US Specific Equity Passive FOF728330.2%
HDFC Developed World Overseas Equity Passive FOF827725.1%
Navi Total Stock Market US Specific Equity Passive FoF777725.7%
Compare side by side. Chart DSP US Specific Equity Omni FoF against these peers on one screen - rebased returns, drawdowns, rolling windows and stock-level overlap.
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Overlap warning: funds in the same category often own many of the same stocks - holding several rarely adds the diversification people expect.

What these numbers mean

RS rating (1-99) ranks a fund's recent momentum against its category - higher is stronger right now. King Score (0-100) is a long-term quality composite (returns, consistency, drawdown, risk-adjusted return) versus peers. Max drawdown is the worst peak-to-bottom fall the fund has ever experienced. Rolling returns test every possible start date, so one lucky (or unlucky) entry point can't distort the picture. Every formula behind this page is public - see how we calculate every number.

DSP US Specific Equity Omni FoF review: the bottom line

On the data, its strengths are a strong long-term quality score (71/100), leading current momentum (RS 80). Whether it fits you depends on your goals, horizon and risk appetite - this page describes the fund, it does not recommend it.

Related

Frequently asked questions

Is DSP US Specific Equity Omni FoF a good mutual fund?

That depends on your goals and risk tolerance - this is descriptive research, not advice. On the numbers, DSP US Specific Equity Omni FoF scores 71/100 on our King Score and RS 80/99 within its category, has compounded 27.11% a year over three years, and its worst drawdown was -28.06%. Compare those against your needs and the peer table above.

What is the NAV of DSP US Specific Equity Omni FoF today?

The latest NAV is ₹101.99 (as of 2026-09-16). NAV (net asset value) is the per-unit price of the fund, published every business day by the AMC.

What is the last 10 years return of DSP US Specific Equity Omni FoF?

Over the last 10 years DSP US Specific Equity Omni FoF has returned about 19.0% a year (CAGR). In rupees: ₹1 lakh invested 10 years ago would be roughly ₹5.7 lakh today, before tax. See the year-by-year table above for how uneven the ride was.

What is the expense ratio of DSP US Specific Equity Omni FoF?

The Direct-plan expense ratio is 1.37% a year. The Direct plan is cheaper than the Regular plan because it carries no distributor commission - over decades that gap compounds meaningfully.

Who is the fund manager of DSP US Specific Equity Omni FoF?

DSP US Specific Equity Omni FoF is managed by Kaivalya Nadkarni.

Is DSP US Specific Equity Omni FoF safe? How risky is it?

No market-linked fund is 'safe' in the fixed-deposit sense - the honest question is how deep its falls get. Its worst historical drawdown was -28.06% - ₹1 lakh briefly becoming about ₹71,940. As a international fund, its risk profile is typical of that category. Look at the drawdown, volatility and bear-market figures above and ask whether you could stay invested through the bad stretches.

Is DSP US Specific Equity Omni FoF good for SIP?

We can't tell you what to do, but here is what actually happened: a ₹10,000 monthly SIP over the last 10 years grew ₹12.1 lakh into about ₹35.3 lakh (XIRR 20.27%). SIPs average your entry price, which helps most in funds that swing hard - check the crash-behaviour section above to see how it treats investors in bad markets.

What are the SIP returns of DSP US Specific Equity Omni FoF?

A ₹10,000/month SIP over 10 years would have grown to about ₹3,526,831 (an XIRR of 20.27%) on ₹1,210,000 invested, using the fund's actual NAV history. See the SIP table above for other durations.

How does DSP US Specific Equity Omni FoF rank among similar funds?

On 3-year returns it sits around the 82th percentile of its category, and its consistency ranks 66th percentile. 100th is best-in-class, 50th is average. See the category-ranking section above.

Is DSP US Specific Equity Omni FoF tax-efficient / what about capital gains?

As a international fund, gains follow the rules for its asset class - equity-oriented funds are taxed differently from debt. All returns on this page are pre-tax; your actual post-tax return depends on your holding period and slab. This is descriptive information, not tax advice.

Direct or Regular plan - which is shown here?

All figures on this page are for the Direct-Growth plan (no distributor commission, lower cost). Returns are pre-tax; capital-gains tax depends on your own holding period and slab.

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Data: AMFI NAV history, NSE indices, BSE StAR and monthly disclosures. All figures are pre-tax. Descriptive research and education only - nothing here is investment advice or a recommendation to buy, sell or hold any fund. Past performance does not guarantee future returns.

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