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Mutual Fund

AMC SNAPSHOT

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SCHEME SNAPSHOT

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How to read
The chart depicts relationship between risk and return of a category of Mutual Funds. Risk is measured using 1 year standard deviation and return is measured using 1 year returns. Standard deviation is a statistic used for measuring volatility of returns of a fund. A fund should be selected based on the investor’s risk appetite.

TOP PERFORMING SCHEMES

Equity Schemes

Debt Schemes

ASSETS UNDER MANAGEMENT (AUM)

CategorySize ( ` in Cr)3 Months (%)6 Months (%)1 Year (%)
ETFs26,922.0017.6843.64105.04
Fixed Maturity Plans1,38,023.504.5618.0644.20
Balanced1,01,051.0016.0519.1841.58
Short Term Income1,30,955.5118.1023.9630.59
Ultra Short Term1,47,744.6119.9428.8929.54
Note : % value is growth over different time periodsMore

FUND MOVEMENT

CompanyScheme*Market Value ( ` in Cr.)
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TOOLS & CALCULATOR

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