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Subscribe to ETPrime. Read before you invest. Explore Now. Browse Companies:. Risk Ratios Ratios calculated on daily returns for last 3 years Updated as on 31st October, Standard Deviation Standard Deviation value gives an idea about how volatile fund returns has been in the past 3 years.
Lower value indicates more predictable performance. So if you are comparing 2 funds lets say Fund A and Fund B in the same category. So you can say that there is a higher chance that Fund A will continue giving similar returns in future also whereas Fund B returns may vary. Beta value gives idea about how volatile fund performance has been compared to similar funds in the market. Lower beta implies the fund gives more predictable performance compared to similar funds in the market.
Sharpe ratio indicates how much risk was taken to generate the returns. Higher the value means, fund has been able to give better returns for the amount of risk taken. It is calculated by subtracting the risk-free return, defined as an Indian Government Bond, from the fund's returns, and then dividing by the standard deviation of returns. Better risk adjusted returns. Treynor's ratio indicates how much excess return was generated for each unit of risk taken.
It is calculated by subtracting the risk-free return, defined as an Indian Government Bond, from the fund's returns, and then dividing by the beta of returns. Alpha indicates how fund generated additional returns compared to a benchmark.
Let's say if a fund A benchmarks its returns with Nifty50 returns then alpha equal to 1. Detailed Comparison. All funds. Mutual Funds NAVs surge as markets closed record high. View More. Forum POST. MF Investment Help Follow. Like 0 Reply reply Cancel. Repost this message Sundaram Select Thematic Funds Energy Opportunities - Growth: i have purchased Sundaram select thermal energy opportunities Growth fund on You will now receive notification when someone reply to this message.
Repost this message The investment objective of Kotak flexicap fund scheme is to generate long term capital appreciation from a portfolio of equity. Repost Cancel. Repost this message It is liquid funds invest in bonds having maturity of up to three months. Repost this message It is an open ended dynamic equity scheme to strategically build a diversified portfolio by investing Repost Cancel. Repost this message It is an open ended short term debt scheme investing in instruments such that the macaulary Repost Cancel.
Repost this message These fund are an open ended dynamic equity funds that invests across various markets captilization,large caps Repost Cancel. Desktop Version ». Expense Ratio This is the annual fees, fund charges you to manage your money. Transport Corporation Of India Ltd. Bharti Airtel Ltd. Ultratech Cement Ltd. Brigade Enterprises Ltd. Reliance Industries Ltd.
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