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HDFC Multiple Yield Fund - Plan 2005

3 Value Research
-0.06%
Change from previous, NAV as on Oct 18, 2017
Category: Hybrid: Debt-oriented Conservative
Assets: R 169 crore (As on Sep 30, 2017)
Expense: 1.77% (As on Sep 30, 2017)
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Trailing Return


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Annual Return (%)
Annual Returns Quarterly Returns Monthly Returns Weekly Returns


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Best & Worst Performance Best (Period) Worst (Period)
Month 5.62   (May 09, 2014 - Jun 10, 2014) -4.52   (Sep 26, 2008 - Oct 27, 2008)
Quarter 10.59   (Mar 10, 2014 - Jun 09, 2014) -5.33   (Sep 02, 2008 - Dec 02, 2008)
Year 24.73   (Mar 09, 2009 - Mar 09, 2010) -2.87   (Dec 04, 2007 - Dec 03, 2008)
Risk Measures (%) Mean Std Dev Sharpe Sortino Beta Alpha
Fund 8.00 3.01 1.18 1.64 0.55 2.03
VR MIP 7.20 4.31 0.64 1.14 - -
Category 9.59 3.77 1.50 2.56 0.73 3.13
Rank within Category 63 15 50 56 14 56
Number of funds in category 71 71 71 71 71 71
As on Sep 30, 2017. The Risk Measures have been calculated using calendar month returns for the last three years.
Trailing Returns (%) YTD 1-Day 1-W 1-M 3-M 6-M 1-Y 3-Y 5-Y 7-Y 10-Y
Fund 8.53 -0.06 0.50 0.64 1.78 4.18 8.19 8.66 10.11 9.61 9.81
VR MIP 9.16 -0.06 0.78 0.26 1.67 5.70 8.39 7.89 8.39 7.34 6.72
Category 8.85 -0.03 0.45 0.26 1.74 5.26 8.67 10.09 9.94 9.29 8.94
Rank within Category 46 51 23 8 35 67 46 58 16 10 7
Number of funds in category 80 80 80 80 80 80 80 70 35 32 27
As on Oct 18, 2017
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