Hybrid - Aggressive Hybrid Fund


Fund Name

NAV (Rs.)
AUM (Cr.)
Returns Since inception
Returns
Is it a Sahi Mutual Fund?

Past

Avg Rolling
Quality
Performance
727.02 11,477
19
10 Feb' 95
-4.17
4.49
7.85
9.53
16.70
14.22
15.13
17.35
Very Good
Very Good
207.10 4,219
13.5
08 Oct' 95
-0.38
3.85
7.12
10.48
17.19
14.25
15.50
17.46
Very Good
Very Good
161.50 4,913
1.94
02 Jan' 95
-6.26
4.37
5.97
7.77
13.75
11.12
11.45
10.94
Very Good
Somewhat Good
155.00 2,341
10.8
01 Feb' 93
1.5
7.77
8.95
10.47
16.70
13.82
14.80
17.06
Very Good
Very Good
151.20 5,929
14.3
27 May' 99
2.61
6.86
9.5
9.13
15.03
12.77
13.75
16.33
Very Good
Somewhat Good
135.01 29,354
11.6
06 Jan' 96
4.94
8.84
9.73
10.94
16.13
12.83
13.79
15.33
Very Good
Very Good
133.29 2
15
20 Mar' 01
0.59
5.87
6.41
8.13
13.69
10.09
10.92
13.01
Very Good
Not Good
130.18 23,288
13.8
03 Nov' 99
-0.51
7.6
9.05
12.4
17.10
13.84
14.12
15.62
Very Good
Very Good
117.62 1,812
13.3
10 Dec' 99
-0.23
5.12
8.34
10.07
14.58
12.38
13.39
15.42
Very Good
Somewhat Good
102.32 356
8.43
01 Jan' 91
4.25
5.67
4.82
6.65
9.69
7.40
8.37
10.13
Very Good
Not Good
88.92 1,722
12
15 Jun' 00
-0.68
7.67
7.51
6.76
12.49
9.34
9.85
12.47
Very Good
Not Good
72.84 1,559
10.6
14 Jan' 00
-6
8.06
8.76
9.31
15.23
12.04
12.02
13.49
Very Good
Somewhat Good
65.88 149
12.8
05 Feb' 04
-2.89
3.59
4.59
5.11
12.74
9.31
11.35
11.13
Very Good
Not Good
52.46 20,696
12.2
06 Apr' 05
0.81
5.03
4.19
6.08
16.75
11.25
11.42
11.21
Very Good
Not Good
52.46 20,696
15.3
11 Sep' 00
0.81
5.03
4.19
6.08
19.14
16.12
16.27
17.24
Very Good
Not Good
52.42 548
10.9
12 Sep' 03
-6.53
3.85
5.13
6.95
11.45
8.59
8.82
8.99
Very Good
Not Good
50.82 9,250
12.1
10 Jun' 05
-9.17
4.64
6.74
8.8
17.32
15.01
14.80
14.70
Very Good
Very Good
39.29 1,812
5.75
01 Apr' 95
-14.88
-0.24
1
5.55
11.68
7.45
8.20
6.91
Very Good
Not Good
25.36 8,219
11.4
07 Feb' 11
-4.27
5.81
8.38
0
14.43
16.69
16.58
0.00
Very Good
Very Good
25.04 6
9.51
11 Aug' 09
-1.07
6.14
6.86
7.45
9.78
9.96
11.41
8.85
Very Good
Not Good
24.47 1,402
6.9
03 Nov' 14
0.99
5.62
0
0
7.33
8.96
0.00
0.00
Very Good
NA
16.43 57
8.99
06 Dec' 13
-1.32
5.48
5.81
0
8.53
8.39
8.54
0.00
Very Good
NA
14.55 2,429
9.49
29 Jul' 15
2.75
9.44
0
0
12.60
12.41
0.00
0.00
Very Good
NA
11.87 304
7.28
07 Apr' 17
5.89
0
0
0
5.35
0.00
0.00
0.00
Very Good
NA
11.32 344
4.01
20 Jul' 16
-16.89
2.83
0
0
7.05
2.15
0.00
0.00
Very Good
NA
11.03 745
3.68
30 Dec' 16
-5.24
0
0
0
1.87
0.00
0.00
0.00
Very Good
NA
10.93 294
3.12
24 Oct' 16
-9.52
0
0
0
1.96
0.00
0.00
0.00
Very Good
NA
10.57 637
6.36
22 Oct' 18
0
0
0
0
0.00
0.00
0.00
0.00
Very Good
NA
10.50 257
4.99
14 Sep' 18
0
0
0
0
7.69
0.00
0.00
0.00
Very Good
NA
10.34 44
4.52
13 Dec' 18
0
0
0
0
0.00
0.00
0.00
0.00
Very Good
NA
10.31 412
2.55
30 Jun' 18
-0.29
0
0
0
0.86
0.00
0.00
0.00
Very Good
NA
10.29 1,914
2.63
09 Aug' 18
4.68
0
0
0
4.75
0.00
0.00
0.00
Very Good
NA
10.27 243
1.95
30 Apr' 18
0.88
0
0
0
3.94
0.00
0.00
0.00
Very Good
NA
10.14 83
9.14
19 Jul' 19
0
0
0
0
0.00
0.00
0.00
0.00
Very Good
NA
9.97 175
-0.22
14 May' 18
-3.76
0
0
0
-0.43
0.00
0.00
0.00
NA
NA
*Based on the Fund’s Ranking within its Category
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