Market Watch

SBI Multi Asset Allocation Fund-Growth

Things you should consider

  • Riskometer
    SBI Multi Asset Allocation Fund-Growth
    Investors understand that their principal will be at Moderately High risk.
  • Annualized Return for last 3 year
    6.52%
    ?
  • Suggested Investment Horizon
    >3 years
    ?
  • Average Time taken to double the money since inception
    8 years 0 m
    ?
  •  

Fund NAV Range

1 Month Low/High
52 Week Low/High

Asset Allocation

ASSET
ALLOCATION (%)
Equity
52.33
Debt
32.61
Others
-1.11

Current vs Stated Allocation

EQUITY
DEBT
OTHERS

Investment Growth

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Top 5 Peer Comparison

SBI Multi Asset Allocation Fund-Growth
1 Year Return
10.58 %
3 Year Return
6.52 %
Quant Multi Asset Fund-Growth
1 Year Return
11.79 %
3 Year Return
5.56 %
Essel 3 in 1 Fund-Growth
1 Year Return
9.10 %
3 Year Return
5.89 %
Axis Triple Advantage Fund -Growth
1 Year Return
16.13 %
3 Year Return
9.54 %

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