Trezofin
Nippon India Multi Asset Allocation FundEdelweiss MSCI India Domestic & World Healthcare 45 index Fund Regular PlanBANDHAN SMALL CAP FUND

Quick Summary

Highest Score

Nippon India Multi Asset Allocation Fund(8.2)

Best 3Y Return

BANDHAN SMALL CAP FUND(29.2%)

Lowest Risk (Std Dev)

Nippon India Multi Asset Allocation Fund(10.7%)

1Y

17.1%

3Y

20.3%

5Y

15.9%

10Y

CAGR

Sharpe

1.10

AUM

TER

Calendar Year Returns

2026
3%
2025
20%
2024
19%
2023
24%
2022
3%
2021
19%
2020

1Y

17.4%

3Y

21.5%

5Y

12.9%

10Y

CAGR

Sharpe

1.17

AUM

TER

Calendar Year Returns

2026
6%
2025
5%
2024
29%
2023
24%
2022
-5%
2021
18%
2020

1Y

7.7%

3Y

29.2%

5Y

21.7%

10Y

CAGR

Sharpe

0.16

AUM

TER

Calendar Year Returns

2026
3%
2025
-1%
2024
43%
2023
54%
2022
-6%
2021
52%
2020