Conservative

Conservative investing is an investment strategy that prioritizes the preservation of capital over growth or market returns. Conservative investing thus seeks to protect an investment portfolio's value by investing in lower-risk securities such as blue chip stocks, fixed-income securities, the money market, and cash or cash equivalents.

Axis Bluechip

Investment Percentage

50%

1 Year Return

40.23%

3 Year Return

14.40%

Since Inception

13.34%

Axis Bluechip

Risk O Meter

Very High

Expense Ratio

1.76%

Standard Deviation

15.41

Beta

0.82

Canara Robeco Conservative Hybrid Fund

Investment Percentage

50%

1 Year Return

14.62%

3 Year Return

10.67%

Since Inception

10.09%

Canara Robeco Conservative Hybrid Fund

Risk O Meter

Moderately High

Expense Ratio

1.93%

Standard Deviation

4.25

Beta

0.78

Axis Bluechip

Investment Percentage

30%

1 Year Return

40.23%

3 Year Return

14.40%

Since Inception

13.34%

Axis Bluechip

Risk O Meter

Very High

Expense Ratio

1.76%

Standard Deviation

15.41

Beta

0.82

Mirae Asset Large Cap Fund

Investment Percentage

20%

1 Year Return

44.13%

3 Year Return

14.72%

Since Inception

16.04%

Mirae Asset Large Cap Fund

Risk O Meter

Moderately High

Expense Ratio

1.59%

Standard Deviation

17.28

Beta

0.96

Canara Robeco Conservative Hybrid Fund

Investment Percentage

50%

1 Year Return

14.62%

3 Year Return

10.67%

Since Inception

10.09%

Canara Robeco Conservative Hybrid Fund

Risk O Meter

Moderately High

Expense Ratio

1.93%

Standard Deviation

4.25

Beta

0.78

Axis Bluechip

Investment Percentage

25%

1 Year Return

40.23%

3 Year Return

14.40%

Since Inception

13.34%

Axis Bluechip

Risk O Meter

Very High

Expense Ratio

1.76%

Standard Deviation

15.41

Beta

0.82

Mirae Asset Large Cap Fund

Investment Percentage

15%

1 Year Return

44.13%

3 Year Return

14.72%

Since Inception

16.04%

Mirae Asset Large Cap Fund

Risk O Meter

Moderately High

Expense Ratio

1.59%

Standard Deviation

17.28

Beta

0.96

PGIM India Flexi Cap Fund

Investment Percentage

10%

1 Year Return

68.47%

3 Year Return

22.54%

Since Inception

15.08%

PGIM India Flexi Cap Fund

Risk O Meter

Very High

Expense Ratio

2.36%

Standard Deviation

16.82

Beta

0.91

Canara Robeco Conservative Hybrid Fund

Investment Percentage

50%

1 Year Return

14.62%

3 Year Return

10.67%

Since Inception

10.09%

Canara Robeco Conservative Hybrid Fund

Risk O Meter

Moderately High

Expense Ratio

1.93%

Standard Deviation

4.25

Beta

0.78

Axis Bluechip

Investment Percentage

50%

1 Year Return

40.23%

3 Year Return

14.40%

Since Inception

13.34%

Axis Bluechip

Risk O Meter

Very High

Expense Ratio

1.76%

Standard Deviation

15.41

Beta

0.82

Mirae Asset Large Cap Fund

Investment Percentage

20%

1 Year Return

44.13%

3 Year Return

14.72%

Since Inception

16.04%

Mirae Asset Large Cap Fund

Risk O Meter

Moderately High

Expense Ratio

1.59%

Standard Deviation

17.28

Beta

0.96

Parag Parikh Flexi Cap Fund

Investment Percentage

15%

1 Year Return

60.43%

3 Year Return

22.69%

Since Inception

65.53 %

Parag Parikh Flexi Cap Fund

Risk O Meter

Very High

Expense Ratio

2.04%

Standard Deviation

12.67

Beta

0.57

Motilal Oswal Nasdaq 100 FOF

Investment Percentage

25%

1 Year Return

41.27%

2 Year Return

42.46%

Since Inception

37.94%

Motilal Oswal Nasdaq 100 FOF

Risk O Meter

Very High

Expense Ratio

0.5%

Standard Deviation

20.36

Beta

0.07

Mutual Fund investments are subject to market risks. Please read all scheme related documents carefully before investing. Past performance is not an indicator of future returns.
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