Mahindra Manulife Multi Cap Badhat Yojana-Reg(G)

15.32 0.21 (1.41%) NAV as on 13-Apr-21

PERFORMANCE

Category 3M (%) 6M (%) 1Y (%) 3Y (%) 5Y (%) Since INC.
Scheme Return6.8231.1865.6212.09NA11.48
Category Avg4.2929.6263.839.48NA14.97
Category Best8.036.735.2016.5720.3022.69
Category Worst0.83-6.21-21.243.756.58-19.55
SENSEX-1.9219.4958.1812.3913.63-
NIFTY-0.4121.5461.2711.4413.06-
NIFTY2000.3923.9162.729.9013.00-

* Equity - Returns upto 1 year are absolute and over 1 year are CAGR.

* Debt - Returns upto 1 year are annualised and over 1 year are CAGR.

Performance GRAPH

QUARTERLY RETURNS

Year Q1 Q2 Q3 Q4
2021NANANA12.41
202019.938.0920.73-25.48
20192.34-0.937.214.74
2018-0.27-2.871.78-8.60
2017NA2.5610.39NA

ANNUAL RETURNS

Year Fund Return Rank in Category Category Total SENSEX
202016.63101230NA
201913.8521241NA
2018-9.89185270NA
201714.67228260NA
2016NA235223NA

PEER CATEGORY COMPARISON

Scheme Name NAV(Rs.) As On 09-06-17 Inception Date 1Y (%) 3Y (%) 5Y (%) Since Inception (%)
Quant Active Fund(G)312.8004-Apr-01101.7820.3719.8618.7
Kotak India Growth Fund-Sr 4(G)15.1115-Feb-1884.3413.51-13.95
Mahindra Manulife Multi Cap Badhat Yojana-Reg(G)15.3211-May-1765.6212.09-11.48
Axis Capital Builder Fund-1-Reg(G)13.5108-Mar-1855.829.63-10.19
More from Peer Category Comparison »

Ratios

Statistical Ratios
Standard Deviation [%]21.9172
Semi Standard Deviation [%]0.7902
Beta [%]0.8162
Sharp Ratio [%]0.9899
R-Square [%]0.9337
Expense Ratio [%]2.5800
AVG Ratio [%]0.2095
Other Ratios
Jenson Ratio [%]0.0604
Treynor Ratio [%]0.2725
Turnover Ratio [%]1.6600
FAMA Ratio [%]0.1150
SORTINO Ratio [%]0.2512

Return Calculator

MARKET STATS As on 13/04/2021 As on 13/04/2021

14504.80 (1.36) 48544.06 (1.38)

TOP GAINERS

Company Price Change Gain (%)
Blue Chip India0.300.0520.00
Emami Paper Mills119.8019.9519.98

TOP LOSERS

Company Price Change Loss (%)
Shekhawati Poly-Yarn0.35-0.05-12.50
Dr Lal Pathlabs2947.95-388.60-11.65

Portfolio Comparison

MUTUAL FUND ACTIVITY