ABN AMRO Dual Advantage Fund - Plan B - Series 1- Regular Plan - Growth
Baroda BNP Paribas·Hybrid - Balanced Hybrid Fund
NAV
₹9.46
09 Jun, 12:00 AM
1Y Returns
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AUM
₹113 Cr
Fund Manager: Alok Singh
Risk metrics are not available for this fund.
Standard Deviation
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Volatility of returns. Lower is more stable.
Beta
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Sensitivity to market moves. <1 = less volatile than market.
Sharpe Ratio
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Risk-adjusted return. Higher is better.
Alpha
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Excess return over benchmark. Higher is better.
Sortino Ratio
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Return per unit of downside risk. Higher is better.
Max Drawdown
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Worst monthly return over 3 years.