Plan: CLOSE | Option: Growth | R Srinivasan

23 Nov 20 | 12:00 AM

16.88 0.12 (0.70%)

  • Outperforms

    21.27%

    Return (1Y)

    beaten S&P BSE 500 TRI by 10.32%

  • Less Volatile

    1.55%

    Standard Deviation (1Y)

    Lower Equity - Tax Planning by -0.77%

  • Consistent

    7/12

    Months

    Has beaten Equity - Tax Planning

  • Value research rating

    Not Rated

Stock Composition

NAV

Critical Parameters

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Returns

In last 1 year SBI Long Term Advantage Fund - Series IV (G), has beaten by 10.32% (CAGR difference)

21.27%

Outperforms

This is Alpha

Performance Chart for Rs

Invested in

Risk

In last 1 year , the volatility of SBI Long Term Advantage Fund - Series IV (G) is Lower than by -0.77%

1.55%

Less Volatile

Risk Meter

Peer Comparison on Risk - Return

Consistency

For 7 out of Last 12 Months, i.e 58.33% of the times It beaten its benchmark, Equity - Tax Planning

Consistency Meter

Outperforming Stocks Vs. Underperforming Stocks

Based on the last 1year analysis, currently there are, the benchmark the benchmark

View Stock Composition