Best Large Cap Fund
01/02/2022 2022-02-01 16:10Best Large Cap Fund
- Canara robeco emerging bluechip fund
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RISK RATING Above average RETURN RATING Above average MIN INVESTMENT (LUMPSUM) 5000 MIN INVESTMENT (SIP) 1000 BETA 0.80% SHARPE RATIO 1.11% STANDARD DEVIATION 18.35% OPINION Opt SIP 20%
- Mirae asset largecap fund
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RISK RATING Average RETURN RATING High MIN INVESTMENT (LUMPSUM) 500 MIN INVESTMENT (SIP) 500 BETA 0.97% SHARPE RATIO 0.72 STANDARD DEVIATION 20.75% OPINION Opt Lumpsum 20%
- Kotak bluechip fund
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RISK RATING Average RETURN RATING High MIN INVESTMENT (LUMPSUM) 500 MIN INVESTMENT (SIP) 500 BETA 0.93% SHARPE RATIO 0.79% STANDARD DEVIATION 20.34% OPINION Opt Lumpsum 20%
- Axis bluechip fund
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RISK RATING Low RETURN RATING High MIN INVESTMENT (LUMPSUM) 500 MIN INVESTMENT (SIP) 500 BETA 0.82% SHARPE RATIO 0.87% STANDARD DEVIATION 18.32% OPINION Opt Lumpsum 20%
- Sbi bluechip fund
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RISK RATING Above average RETURN RATING Above average MIN INVESTMENT (LUMPSUM) 500 MIN INVESTMENT (SIP) 500 BETA 0.96% SHARPE RATIO 0.71% STANDARD DEVIATION 20.92% OPINION Opt SIP 20%
- Risk Rating- Risk rating is an indicator of the overall uncertainty in achieving the profits expected by the investor.
- Return Rating- A return rating is a quality evaluation of a stock based on the returns it provides to the investor and is used to evaluate the risk-return profile.
- Minimum Investment - The minimal amount of capital necessary to purchase or invest in a security, asset, or opportunity is referred to as the minimum investment.
Lump sum orders - A type of order where you make an investment in one go.
SIP orders - A type of order where you invest a certain predetermined amount at a regular interval. - Beta ratio- The beta of a mutual fund indicates its susceptibility to market changes. It is a measure of the volatility of a mutual fund portfolio in relation to the market.
- Sharpe ratio- The Sharpe ratio is used to assess a mutual fund's risk-adjusted performance. Essentially, this ratio informs an investor how much more profit he will gain by keeping a volatile asset.
- Standard deviation- When applied to mutual funds, it indicates how far your portfolio's return deviates from the predicted return based on the fund's historical performance.
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