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Shows the higher return generating ability of the fund relative to its peers

Shows the relative safety of the fund in terms of return volatility

The scheme seeks to generate returns that are in line with the performance of gold.

ago in this fund, its present value would have been Rs

Difference between Fund & Category Avg Return

* Returns less then 1 year are absolute and above 1 year are annualised

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For computing ratios, monthly returns for 3 years is taken in the case of Equity and Hybrid funds and weekly returns for 1.5 years is taken in the case of Debt funds.

Average return generated by the fund during a specified period of time.

Deviation of the funds return around mean.

It is a risk adjusted performance measure. A fund with a higher Sharpe ratio is considered better than a fund with a lower Sharpe ratio.

Measures a fund managers ability to generate risk adjusted excess returns relative to a benchmark. Fund with higher IR is preferred.

It is a 5 by 5 matrix constructed using the Value Research Fund Risk Grade and the Return Grade.

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