Current Value of ₹10,000 Invested once at launch would be

Note: The graph displays investment returns for individuals aged 30, with investment 10,000 and duration ranging from 11 to 15 years.

Min SIP

reviews

benchmark

Key highlights include:

Parameters we consider in Mutual Fund Selection

Outperformance Consistency

We assess a fund's consistency by evaluating its chance of outperforming the index across multiple time frames.

5 Year Rolling Returns

We analyze the 5-year rolling returns to assess funds potential to outperform index. The 5-year returns are promising and provide clearer insights.

Rolling Sharpe Ratio

We prioritize the Sharpe ratio, developed by Nobel Prize winner William Sharpe. historically funds with higher Sharpe ratio tend to outperform index in the future.

Upside and Downside Ratio

We use Upside and downside parameters to enhance the accuracy of fund selection, helping to identify high-return, low-risk funds.

Mean and Standard Deviation

We use standard deviation to Refine our selection of low-risk funds after evaluating returns and risk with other parameters.

Focused Allocation

Our strategy emphasizes funds with a selective stock portfolio, keeping the selection between 25- 100 stocks to achieve superior index returns.

Frequently asked questions

Mutual Fund investments are subject to market risks, read all scheme related documents carefully.

Warning: Investment in securities market are subject to market risks. Read all the related documents carefully before investing.
Disclaimer: Registration granted by SEBI and certification from NISM in no way guarantee performance of the intermediary or provide any assurance of returns to investors.
Note: The securities displayed are for illustration only and are not recommendatory.