Aditya birla sun life equity fund growth regular plan nav
Beta shows the portfolio risk in relation to the market. A beta of less than 1 means that the fund returns are less volatile compared to the broader market. A beta of more than 1 means that the fund returns are more volatile than the broader markets. A beta equal to 1 means that fund's volatility is in line with the broader market.
Suitable For : Investors who are looking to invest money for at least years and looking for high returns. At the same time, these investors should also be ready for possibility of moderate losses in their investments. If sold after 1 year from purchase date, long term capital gain tax will be applicable. If sold before 1 year from purchase date, short term capital gain tax will be applicable. Ratios calculated on daily returns for last 3 years Updated as on 31st January,
Aditya birla sun life equity fund growth regular plan nav
Beta shows the portfolio risk in relation to the market. A beta of less than 1 means that the fund returns are less volatile compared to the broader market. A beta of more than 1 means that the fund returns are more volatile than the broader markets. A beta equal to 1 means that fund's volatility is in line with the broader market. Sharpe ratio is a risk adjusted performance measure. A fund with a higher Sharpe ratio is considered better than a fund with a lower Sharpe ratio. Treynor is a risk adjusted performance measure. A fund with a higher Treynor ratio is considered better than a fund with a lower Treynor ratio. Alpha shows the ability of the fund manager to outperform the market. A higher Alpha is preferred. By using this site, you agree to the Terms of Service and Privacy Policy. Nifty 22, Mutual Funds. ET TV.
Minimum SIP investment is Rs Lower value indicates more predictable performance.
Invest Now Compare. It falls under a Flexi Cap category. After being launched on , this fund has delivered The expense ratio of this fund is 1. I want to invest. I can wait for.
Beta shows the portfolio risk in relation to the market. A beta of less than 1 means that the fund returns are less volatile compared to the broader market. A beta of more than 1 means that the fund returns are more volatile than the broader markets. A beta equal to 1 means that fund's volatility is in line with the broader market. Sharpe ratio is a risk adjusted performance measure. A fund with a higher Sharpe ratio is considered better than a fund with a lower Sharpe ratio. Treynor is a risk adjusted performance measure. A fund with a higher Treynor ratio is considered better than a fund with a lower Treynor ratio. Alpha shows the ability of the fund manager to outperform the market. A higher Alpha is preferred.
Aditya birla sun life equity fund growth regular plan nav
In particular, the information herein is not for distribution and does not constitute an offer to buy or sell or the solicitation of any offer to buy or sell any securities or financial instruments in the United States of America "US" and Canada to or for the benefit of United States persons being persons resident in the US, corporations, partnerships or other entities created or organised in or under the laws of the US or any person falling within the definition of the term "US Person" under the US Securities Act of , as amended and persons of Canada. The investment objective of the Scheme is to achieve long term capital appreciation by investing in upto 30 companies with long term sustainable competitive advantage and growth potential. This product is suitable for investors who are seeking Long term capital growth with exposure limited to a maximum of 30 stocks Investments in equity and equity related securities to form a concentrated portfolio Fund Positioning: Product Videos: English Hindi Tamil Malayalam. This allows you to make the most out of your SIP investments by increasing your contributions towards those schemes that are performing well. Additionally, you can also increase your investment amount when there is a hike in your pay.
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Alpha indicates how fund generated additional returns compared to a benchmark. Mutual Funds for Short-Term Goals. Check Now. Crisil Rank. ETF Latest Price. Mutual Funds Events. Overview Returns Risk Portfolio Information. Repost this message No dividend in ? However if right most red scale is selected, then there is very high risk of negative returns on your investment. Atul Penkar Since Feb 2 schemes. Mutual Funds Screener Get the best filtered funds based on our pre-defined screeners. Fund Recos. Let's say if a fund A benchmarks its returns with Nifty50 returns then alpha equal to 1. If sold after 1 year from purchase date, long term capital gain tax will be applicable.
Suitable For : Investors who are looking to invest money for at least years and looking for high returns.
Hospital Whereas for the dividend option some amount out of Rs 20 profit may be given back to investor in form of dividend and today's NAV will be lower than Bharti Airtel Ltd. 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. Let's say if a fund A benchmarks its returns with Nifty50 returns then alpha equal to 1. However, whatever returns that the fund delivers, it does so with exceptional consistency. You must be login add to watchlist. 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. Detailed Comparison. Atul Penkar Since Feb 2 schemes. Posted by : bhaveshnegandhi. 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.
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