Compare Mutual Funds

VS

1Y
3Y
Returns
If invested ₹1000, on 22 May 2024
Include (NIFTY 50)
CAGR
9.96 %
11.52 %
Sharpe
10.58
1.11
Max Drawdown
-0.23 %
-8.50 %
General Information
Category
Debt
Hybrid
Sub-category
Corporate Bond
Multi Asset Allocation
Risk
Moderate
Very High
NAV (Daily Updated)
₹ 19.78
₹ 17.48
Volatility
0.93%
10.69%
Expense Ratio
0.33
0.07
Exit Load
• 0.25% for 30 days
• 1% for 15 days
Benchmark Analysis
Annualised return (CAGR) compared to NIFTY 50
NIFTY 50
0.68% higher
2.23% higher
Inflation Adjusted Results
Inflation adjusted results of Mutual funds
Inflation Adjusted
CAGR
7.37 %
8.89 %
Sharpe
6.62
0.87
Max Drawdown
-1.38 %
-7.49 %