Market Watch

L&T Tax Advantage Fund Direct-Growth

FUND VS PEERS(RETURN IN % | AUM IN Rs. CR.)

  • Monthly
  • Quarterly
  • Yearly
NAV57.41
AUM3,396.29
1 M1.95
1 Yr4.75
3 Yr11.00
5 Yr9.89
NAV52.39
AUM21,159.93
1 M-0.69
1 Yr14.29
3 Yr17.42
5 Yr12.78
NAV19.67
AUM34.56
1 M0.40
1 Yr14.69
3 Yr15.90
5 Yr12.04
NAV19.86
AUM1,605.76
1 M1.41
1 Yr13.89
3 Yr15.06
5 Yr0.00
NAV19.99
AUM2,877.16
1 M2.25
1 Yr15.72
3 Yr19.18
5 Yr0.00

Quant MeasuresAverage return generated by the fund during a specified period

Size of Bubbles represents the Fund Size

Asset Allocation

97.92
94.2398.51
EQUITY
0.00
0.000.00
DEBT
2.08
1.495.77
CASH
CORPUS TREND
97.39
93.5198.77
EQUITY
1.73
1.125.14
DEBT
0.88
-1.221.56
CASH
CORPUS TREND
96.17
96.1799.25
EQUITY
0.00
0.000.17
DEBT
3.83
0.643.83
CASH
CORPUS TREND
97.35
93.4199.17
EQUITY
0.00
0.000.03
DEBT
2.65
0.816.59
CASH
CORPUS TREND
99.21
91.5399.90
EQUITY
0.11
0.001.54
DEBT
0.68
0.007.87
CASH
CORPUS TREND

The extremes of the ranges are determined here by the minimum and the maximum asset allocations in the last one year

Risk Return MatrixReturn is measured by Mean Return and Risk is measured by Standard Deviation

Size of Bubbles represents the Fund Size

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