Lic Mf Debt Hybrid Fund Overview | ||||||
---|---|---|---|---|---|---|
Category | Conservative Hybrid Fund | |||||
BMSMONEY Rank | 15 | |||||
BMSMONEY Rating | ||||||
Gro. Opt. | As On: | 02-12-2024 | ||||
NAV | ₹79.81(R) | +0.33% | ₹87.96(D) | +0.34% | ||
Returns | 1Y | 3Y | 5Y | 7Y | 10Y | |
LumpSum (R) | 10.31% | 5.69% | 6.81% | 6.45% | 6.43% | |
LumpSum (D) | 11.43% | 6.69% | 7.81% | 7.41% | 7.37% | |
SIP (R) | 9.81% | 7.89% | 7.09% | 6.61% | 6.57% | |
SIP (D) | 10.94% | 8.93% | 8.09% | 7.58% | 7.53% | |
Ratio | Sharpe Ratio | Sortino Ratio | Sterling Ratio | Jensen's Alpha | Treynor Ratio | |
-0.3 | -0.11 | 0.43 | -% | - | ||
Risk | STD. Dev | VaR 1Y95% | Max DD | Beta | Semi Devi. | |
3.63% | -4.44% | -3.11% | - | 2.57% |
Top Conservative Hybrid Fund | |||||
---|---|---|---|---|---|
Fund Name | Rank | Rating | |||
Parag Parikh Conservative Hybrid Fund | 1 | ||||
Hdfc Hybrid Debt Fund | 2 | ||||
SBI Conservative Hybrid Fund | 3 | ||||
Icici Prudential Regular Savings Fund | 4 |
NAV Date: 02-12-2024
Scheme Name | NAV | Rupee Change | Percent Change |
---|---|---|---|
LIC MF Conservative Hybrid Fund-Regular Plan-Yearly IDCW | 12.71 |
0.0400
|
0.3300%
|
LIC MF Conservative Hybrid Fund-Regular Plan-Monthly IDCW | 13.23 |
0.0400
|
0.3300%
|
LIC MF Conservative Hybrid Fund-Direct Plan-Monthly IDCW | 13.55 |
0.0500
|
0.3400%
|
LIC MF Conservative Hybrid Fund-Regular Plan-Quarterly IDCW | 14.02 |
0.0500
|
0.3300%
|
LIC MF Conservative Hybrid Fund-Direct Plan-Yearly IDCW | 14.92 |
0.0500
|
0.3400%
|
LIC MF Conservative Hybrid Fund-Direct Plan-Quarterly IDCW | 17.63 |
0.0600
|
0.3400%
|
LIC MF Conservative Hybrid Fund-Regular Plan-Growth | 79.81 |
0.2600
|
0.3300%
|
LIC MF Conservative Hybrid Fund-Direct Plan-Growth | 87.96 |
0.3000
|
0.3400%
|
Review Date: 02-12-2024
Lic Mf Debt Hybrid Fund has exhibited poor performance in the Conservative Hybrid Fund category. The fund has rank of 15 out of 16 funds in the category. The fund has delivered return of 10.31% in 1 year, 5.69% in 3 years, 6.81% in 5 years and 6.43% in 10 years. The category average for the same periods is 12.3%, 8.31%, 8.86% and 7.84% respectively, which shows poor return performance of fund in the category. The fund has exhibited standard deviation of 3.63, VaR of -4.44, Average Drawdown of -1.54, Semi Deviation of 2.57 and Max Drawdown of -3.11. The category average for the same parameters is 3.59, -3.45, -1.13, 2.57 and -2.69 respectively. The fund has average risk in the category.Key Points:
KPIs* | Fund | Benchmark | Cat. Avg | Min | Max | Rank (In Cat.) | Performance |
---|---|---|---|---|---|---|
1M Return % | 1.23 |
0.78
|
0.21 | 1.44 | 2 | 17 | Very Good | |
3M Return % | 1.21 |
0.96
|
-0.36 | 2.03 | 5 | 17 | Very Good | |
6M Return % | 5.51 |
5.01
|
3.73 | 6.35 | 7 | 17 | Good | |
1Y Return % | 10.31 |
12.30
|
8.96 | 16.38 | 14 | 17 | Average | |
3Y Return % | 5.69 |
8.31
|
5.55 | 11.08 | 15 | 16 | Poor | |
5Y Return % | 6.81 |
8.86
|
4.69 | 11.51 | 13 | 15 | Poor | |
7Y Return % | 6.45 |
7.48
|
4.27 | 9.72 | 11 | 15 | Average | |
10Y Return % | 6.43 |
7.84
|
5.49 | 9.65 | 14 | 15 | Poor | |
15Y Return % | 6.53 |
8.49
|
6.53 | 9.71 | 11 | 11 | Poor | |
1Y SIP Return % | 9.81 |
10.46
|
7.96 | 14.69 | 11 | 17 | Average | |
3Y SIP Return % | 7.89 |
10.48
|
7.82 | 12.88 | 15 | 16 | Poor | |
5Y SIP Return % | 7.09 |
9.70
|
7.09 | 11.96 | 15 | 15 | Poor | |
7Y SIP Return % | 6.61 |
8.59
|
5.90 | 11.00 | 13 | 15 | Poor | |
10Y SIP Return % | 6.57 |
7.94
|
5.25 | 10.07 | 13 | 15 | Poor | |
15Y SIP Return % | 6.58 |
8.22
|
5.96 | 9.47 | 10 | 11 | Poor | |
Standard Deviation | 3.63 |
3.59
|
2.08 | 4.44 | 10 | 16 | Average | |
Semi Deviation | 2.57 |
2.57
|
1.45 | 3.27 | 8 | 16 | Good | |
Max Drawdown % | -3.11 |
-2.69
|
-4.55 | -1.02 | 12 | 16 | Average | |
VaR 1 Y % | -4.44 |
-3.45
|
-5.69 | -0.88 | 13 | 16 | Poor | |
Average Drawdown % | -1.54 |
-1.13
|
-1.54 | -0.39 | 16 | 16 | Poor | |
Sharpe Ratio | -0.30 |
0.40
|
-0.30 | 1.24 | 16 | 16 | Poor | |
Sterling Ratio | 0.43 |
0.66
|
0.38 | 0.99 | 15 | 16 | Poor | |
Sortino Ratio | -0.11 |
0.20
|
-0.11 | 0.68 | 16 | 16 | Poor |
KPIs* | Fund | Benchmark | Cat. Avg | Min | Max | Rank (In Cat.) | Performance |
---|---|---|---|---|---|---|
1M Return % | 1.31 | 0.84 | 0.25 | 1.51 | 2 | 17 | ||
3M Return % | 1.47 | 1.18 | -0.12 | 2.26 | 4 | 17 | ||
6M Return % | 6.06 | 5.47 | 4.01 | 6.69 | 6 | 17 | ||
1Y Return % | 11.43 | 13.26 | 9.69 | 17.33 | 14 | 17 | ||
3Y Return % | 6.69 | 9.22 | 6.69 | 11.41 | 16 | 16 | ||
5Y Return % | 7.81 | 9.85 | 5.41 | 12.95 | 13 | 15 | ||
7Y Return % | 7.41 | 8.46 | 5.04 | 11.12 | 12 | 15 | ||
10Y Return % | 7.37 | 8.81 | 6.32 | 11.01 | 14 | 15 | ||
1Y SIP Return % | 10.94 | 11.41 | 8.76 | 15.64 | 10 | 17 | ||
3Y SIP Return % | 8.93 | 11.39 | 8.93 | 13.99 | 16 | 16 | ||
5Y SIP Return % | 8.09 | 10.67 | 8.09 | 13.41 | 15 | 15 | ||
7Y SIP Return % | 7.58 | 9.54 | 6.64 | 12.40 | 13 | 15 | ||
10Y SIP Return % | 7.53 | 8.90 | 6.01 | 11.45 | 13 | 15 | ||
Standard Deviation | 3.63 | 3.59 | 2.08 | 4.44 | 10 | 16 | ||
Semi Deviation | 2.57 | 2.57 | 1.45 | 3.27 | 8 | 16 | ||
Max Drawdown % | -3.11 | -2.69 | -4.55 | -1.02 | 12 | 16 | ||
VaR 1 Y % | -4.44 | -3.45 | -5.69 | -0.88 | 13 | 16 | ||
Average Drawdown % | -1.54 | -1.13 | -1.54 | -0.39 | 16 | 16 | ||
Sharpe Ratio | -0.30 | 0.40 | -0.30 | 1.24 | 16 | 16 | ||
Sterling Ratio | 0.43 | 0.66 | 0.38 | 0.99 | 15 | 16 | ||
Sortino Ratio | -0.11 | 0.20 | -0.11 | 0.68 | 16 | 16 |
Investment Period | Regular | Direct | ||
---|---|---|---|---|
Return % | Current Value of ₹ 10000 | Return % | Current Value of ₹ 10000 | |
1D | 0.33 | ₹ 10,033.00 | 0.34 | ₹ 10,034.00 |
1W | 0.52 | ₹ 10,052.00 | 0.54 | ₹ 10,054.00 |
1M | 1.23 | ₹ 10,123.00 | 1.31 | ₹ 10,131.00 |
3M | 1.21 | ₹ 10,121.00 | 1.47 | ₹ 10,147.00 |
6M | 5.51 | ₹ 10,551.00 | 6.06 | ₹ 10,606.00 |
1Y | 10.31 | ₹ 11,031.00 | 11.43 | ₹ 11,143.00 |
3Y | 5.69 | ₹ 11,806.00 | 6.69 | ₹ 12,146.00 |
5Y | 6.81 | ₹ 13,904.00 | 7.81 | ₹ 14,567.00 |
7Y | 6.45 | ₹ 15,492.00 | 7.41 | ₹ 16,496.00 |
10Y | 6.43 | ₹ 18,651.00 | 7.37 | ₹ 20,353.00 |
15Y | 6.53 | ₹ 25,823.00 | ₹ |
Disclaimer: Past performance may or may not be sustained in future and should not be used as a basis for comparison with other investments. Returns for periods above 1 year are annualised.
Investment Period | Invested Amount | Regular | Direct | ||
---|---|---|---|---|---|
XIRR % | Current Value of Invested Amount | XIRR % | Current Value of Invested Amount | ||
1Y | ₹ 12000 | 9.81 | ₹ 12,628.00 | 10.94 | ₹ 12,699.35 |
3Y | ₹ 36000 | 7.89 | ₹ 40,563.43 | 8.93 | ₹ 41,190.91 |
5Y | ₹ 60000 | 7.09 | ₹ 71,773.44 | 8.09 | ₹ 73,593.06 |
7Y | ₹ 84000 | 6.61 | ₹ 106,267.48 | 7.58 | ₹ 110,018.83 |
10Y | ₹ 120000 | 6.57 | ₹ 168,241.32 | 7.53 | ₹ 176,929.56 |
15Y | ₹ 180000 | 6.58 | ₹ 302,354.64 | ₹ |
Date | Lic Mf Debt Hybrid Fund NAV Regular Growth | Lic Mf Debt Hybrid Fund NAV Direct Growth |
---|---|---|
02-12-2024 | 79.8143 | 87.9636 |
29-11-2024 | 79.5494 | 87.6642 |
28-11-2024 | 79.2836 | 87.3688 |
27-11-2024 | 79.5389 | 87.6477 |
26-11-2024 | 79.4525 | 87.5499 |
25-11-2024 | 79.3986 | 87.4881 |
22-11-2024 | 79.1522 | 87.2091 |
21-11-2024 | 78.8174 | 86.8377 |
19-11-2024 | 78.8482 | 86.8668 |
18-11-2024 | 78.7254 | 86.729 |
14-11-2024 | 78.7159 | 86.7087 |
13-11-2024 | 78.8111 | 86.8111 |
12-11-2024 | 79.0167 | 87.0351 |
11-11-2024 | 79.1411 | 87.1696 |
08-11-2024 | 79.0867 | 87.1022 |
07-11-2024 | 78.9681 | 86.9692 |
06-11-2024 | 79.1646 | 87.1831 |
05-11-2024 | 79.0062 | 87.0062 |
04-11-2024 | 78.8417 | 86.8226 |
Fund Launch Date: 01/Jun/2003 |
Fund Category: Conservative Hybrid Fund |
Investment Objective: The investment objective of the Scheme is to generate regular income by investing mainly in a portfolio of quality debt securities and money market instruments. It also seeks to generate capital appreciation by investing some percentage in a mix of equity instruments. However, there is no assurance that the investment objective of the Schemes will be realized. |
Fund Description: An open ended hybrid scheme investing predominantly In debt instruments |
Fund Benchmark: Crisil Hybrid 85 + 15 - Conservative Index |
Disclaimer: NO INVESTMENT ADVICE. The Content is for informational purposes only.