Canara Robeco MF Consumer Trends Fund 728x90

Mutual Fund Category Returns Monitor

Category
Name
1-Week Ret (%) 1-Month Ret (%) 3-Months Ret (%) 6-Months Ret (%) YTD Ret (%) 1-Year Ret (%) 3-Yrs Ret (%) 5-Yrs Ret (%) 10-Yrs Ret (%) Since Launch Ret (%)
Fund of Funds-Domestic-Gold 2.89 6.95 3.98 16.5 8.54 29.46 18.46 13.83 9.97 11.58
Fund of Funds-Domestic-Gold and Silver 2.58 7.29 0.62 14.32 8.27 28.3 - - - 22.51
Fund of Funds-Domestic-Silver 3.04 5.56 -4.11 9.69 7.79 27.26 13.18 - - 14.71
Equity: Sectoral-Pharma and Healthcare 1.47 -7.35 -4.87 2.1 -7.07 22.72 19.09 25.32 12.88 18.96
Fund of Funds-Overseas 0.02 3.86 5.71 10.09 3.89 20.15 9.34 9.46 7.57 10.04
Equity: Thematic-International 0.58 3.23 4.83 8.04 3.23 18.13 7.63 9.85 9.06 10.25
Equity: Thematic-Consumption 5.77 -4.2 -2.66 -3.39 -2.2 17.05 17.22 18.61 14.03 13.45
Fund of Funds-Domestic-Equity 1.6 -4.77 -3.7 -3.14 -3.91 16.58 13.78 16.33 12.55 10.06
Equity: Sectoral-Technology 0.14 -6.18 0.72 0.47 -5.54 15.45 12.14 26.19 17.04 12.75
Equity: Thematic-Transportation 5.12 -4.57 -4.06 -11.02 -1.78 14.2 21.62 21.9 10.99 15.44
Equity: Mid Cap 2.14 -9.77 -7.14 -7.97 -8.64 13.71 17.89 22.99 15.26 18.83
Equity: Contra 1.77 -5.8 -5.65 -7.15 -4.97 13.02 18.78 22.99 14.62 15.53
Equity: Large and Mid Cap 2.22 -7.54 -5.88 -6.76 -6.44 12.28 15.02 19.41 13.45 13.83
Equity: Thematic-ESG 2.39 -4.31 -4.28 -5.88 -3.2 11.51 11.48 15.89 11.42 14.66
Fund of Funds-Domestic-Hybrid 1.0 -1.38 -1.14 -0.48 -1.11 11.5 12.21 13.02 10.32 12.39
Hybrid: Balanced 1.4 -3.38 -2.1 -1.22 -2.65 11.5 - - - 15.2
Childrens Fund 2.09 -4.93 -3.69 -4.04 -3.96 11.49 11.2 13.95 10.88 12.49
Equity: Focused 2.76 -6.03 -5.49 -6.09 -4.82 11.49 12.86 17.01 12.38 15.31
Hybrid: Multi Asset Allocation 1.54 -1.99 -2.51 -1.61 -1.24 11.16 12.72 17.28 11.67 10.87
Equity: Thematic-Others 2.02 -7.82 -6.59 -8.27 -6.78 10.91 14.91 21.25 13.0 8.8
Equity: Multi Cap 2.62 -8.09 -6.22 -6.5 -6.84 10.87 16.52 21.03 13.97 15.34
Equity: Flexi Cap 2.54 -7.11 -5.77 -6.57 -5.88 10.68 13.29 17.68 12.8 16.07
Hybrid: Aggressive 1.74 -4.67 -3.87 -4.2 -3.74 10.5 11.93 15.52 10.86 13.04
Equity: Thematic-Manufacturing 1.5 -9.34 -8.87 -12.09 -7.93 10.39 18.76 23.46 13.36 6.21
Equity: ELSS 2.37 -6.89 -6.05 -6.91 -5.74 10.21 13.54 17.91 12.65 14.87
Equity: Small Cap 2.42 -11.06 -9.6 -7.91 -9.86 9.55 17.07 26.97 16.49 18.22
Equity: Dividend Yield 1.49 -5.32 -6.51 -9.09 -4.2 9.38 17.1 21.87 13.29 14.24
Equity: Large Cap 2.48 -4.63 -4.37 -6.31 -3.3 9.33 11.72 15.65 11.11 13.96
Retirement Fund 1.35 -3.52 -2.76 -2.48 -2.8 9.13 10.34 11.57 9.15 11.25
Equity: Value 1.7 -6.56 -6.88 -8.37 -5.52 9.08 16.79 20.82 13.78 15.81
Debt: Gilt Fund with 10 year constant duration 0.08 1.13 2.34 4.39 1.05 8.66 7.03 6.29 7.81 7.67
Fund of Funds-Domestic-Debt 0.27 0.23 0.84 2.73 0.32 8.42 8.55 9.97 7.36 7.77
Hybrid: Equity Savings 0.74 -1.54 -0.23 0.6 -0.99 8.41 8.34 9.47 7.78 8.17
Hybrid: Conservative 0.54 -0.78 0.05 1.32 -0.43 8.13 8.45 8.93 7.44 8.7
Debt: Floater 0.11 0.63 1.73 3.75 0.66 8.05 6.7 6.4 7.1 6.74
Debt: Long Duration -0.38 0.6 1.18 3.56 0.5 7.95 6.97 5.92 6.73 7.03
Debt: Credit Risk 0.21 0.69 1.76 3.92 0.78 7.88 9.19 6.72 6.51 6.54
Debt: Medium Duration 0.17 0.79 1.87 3.99 0.82 7.88 6.66 6.05 6.62 6.86
Debt: Corporate Bond 0.18 0.7 1.8 3.87 0.74 7.83 6.23 6.31 6.99 7.0
Hybrid: Dynamic Asset Allocation 1.3 -3.24 -2.47 -2.91 -2.48 7.71 10.24 11.62 9.08 10.29
Debt: Dynamic Bond -0.11 0.73 1.54 3.66 0.7 7.61 6.51 6.18 6.76 6.91
Debt: Banking and PSU 0.18 0.68 1.75 3.75 0.73 7.6 6.23 6.23 7.12 6.93
Debt: Short Duration 0.15 0.7 1.87 3.79 0.74 7.59 6.38 6.19 6.71 6.86
Debt: Gilt -0.27 0.71 1.43 3.56 0.62 7.58 6.57 6.21 7.03 7.32
Debt: Medium to Long Duration 0.02 0.81 1.76 3.72 0.8 7.56 6.44 6.04 6.13 7.28
Equity: Sectoral-Infrastructure -0.18 -11.06 -11.72 -15.56 -10.04 7.46 21.42 24.52 13.88 12.49
Debt: Money Market 0.15 0.56 1.75 3.52 0.62 7.33 6.4 5.67 6.54 6.49
Debt: Low Duration 0.14 0.56 1.69 3.51 0.62 7.3 6.2 6.01 6.56 6.96
Debt: Liquid 0.14 0.57 1.73 3.52 0.64 7.23 6.41 5.23 6.17 6.42
Hybrid: Arbitrage 0.12 0.52 1.78 3.25 0.67 7.09 6.18 5.14 5.79 5.38
Debt: Ultra Short Duration 0.14 0.54 1.69 3.42 0.6 7.08 6.15 5.42 6.28 6.11
Equity: Sectoral-Banking and Financial Services 2.67 -5.24 -5.8 -4.02 -4.14 6.82 11.54 12.34 10.94 13.0
Equity: Thematic-Quantitative 1.81 -6.56 -7.47 -10.2 -5.3 6.59 14.63 13.89 11.98 8.75
Debt: Overnight 0.12 0.54 1.61 3.24 0.73 6.56 6.03 4.88 5.62 5.37
Equity: Thematic-MNC 0.93 -6.11 -6.48 -9.99 -5.27 6.49 10.05 14.46 9.68 12.37
Equity: Sectoral-FMCG 0.98 0.85 -4.13 -7.82 0.85 5.1 13.88 13.68 11.6 16.15
Equity: Thematic-Energy -0.55 -7.23 -10.34 -14.92 -5.84 4.92 13.68 22.14 16.09 2.74
Equity: Thematic-Multi-Sector 2.69 -15.11 - - -15.76 - - - - -15.2
Equity: Thematic-PSU -0.12 -8.48 -11.75 -20.18 -6.78 -0.8 27.09 24.32 12.96 13.68

Mutual Fund Category Returns tool provides returns of each mutual fund category across 1 week, 1 month, 3 month, 6 month, YTD (year till date), 1 year, 3 year, 5 year, 10 year and since launch periods. Using the sorting button provided in respective period columns, you can find out which category gave the best return in the sorted period. If sorted, the order of categories change basis the highest returns to lowest returns generated by the respective categories in the chosen period. Very helpful tool to find how each mutual fund category returns vary differently in different time periods. This helps grow conviction as to why you should spread your investments across various mutual fund categories for portfolio diversification and asset allocation purposes based on your risk appetite and investment time horizon. The mutual fund category returns are shown in XIRR percentage terms.

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