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1099 DaysReliance Mutual Fund

Reliance Yearly Interval Fund - Series 4- Growth Plan - Growth Option

13.9529 0.0063 (0.05%)

Scheme Type

135488;INF174K01Y15;-;Kotak FMP Series 180

Category

1099 Days

Fund House

Reliance Mutual Fund

ISIN

N/A

Data Points

965 NAV records

NAV as of 20-03-2017

NAV History

+11.58%

365 data points · Period:1Y

Returns

CAGR

1M

3M

6M

1Y

3Y

5Y

Returns over 1Y are annualized (CAGR). Past performance ≠ future results.

Growth of ₹10,000

Hypothetical

1Y Ago

₹11,158

+11.6%

3Y Ago

5Y Ago

Past performance ≠ future results

Fund Analytics

Score: 42.0 / 100

Performance

Total Returns

Simple return over period

+7.25%

CAGR

Compound annual growth rate

+7.25%

Growth of ₹10K

Hypothetical investment value

₹10,725

SIP XIRR

SIP internal rate of return

+6.66%
Risk

Volatility (Ann.)

Std deviation of returns

0.43%LOW

Max Drawdown

Worst peak-to-trough

-0.05%

Sharpe Ratio

Risk-adjusted return

2.94GOOD

Sortino Ratio

Downside risk-adjusted return

4.33GOOD
Benchmark

Beta

Market sensitivity

0.00DEF

Alpha

Excess return vs benchmark

+1.19%

Tracking Error

Deviation from benchmark

12.56%

Information Ratio

Alpha per unit tracking error

0.09

Treynor Ratio

Return per unit systematic risk

4772.97
Capture

Upside Capture

Participation in market gains

4.73%

Downside Capture

Participation in market losses

-5.40%
Rolling Returns

1Y Rolling CAGR

Avg 9.3% (7.7% – 11.5%)

Risk-free rate: 6% (10Y G-Sec) · Benchmark: Nifty BeES ETF · As of 2017-03-20

vs Nifty 50

Pre-computed
PeriodFundNifty 50Alpha
1Y+7.3%+248.4%
+1.2%
3Y+8.3%+61.5%
+2.1%
5Y
Beta
1Y:0.003Y:0.005Y:

Outperforming the Nifty 50 index

Pre-computed metrics. Benchmark: Nippon India ETF Nifty BeES. Alpha = Fund CAGR − Index CAGR.

SIP Calculator

Auto-filled
₹500₹1L
Period
Return (%)

Invested

₹3,00,000

Wealth Gained

₹1,12,432

Total Value

₹4,12,432

*Based on historical CAGR. Projections are illustrative, not guaranteed