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sipdhara
sipdhara

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Currency₹ INR
Currency

Fund NAVs stay in rupees. Other amounts are converted at daily exchange rates.

Number format

Overview

NAV

₹163.7750

Gain 0.71% 1-day changeData as of 9 Oct 2026

1 year
Gain 11.2%
3 years
Gain 22.2%
5 years
Gain 18.5%
Riskometer: High risk
RiskometerHigh

The principal will be at High risk

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Data as of 9 Oct 2026Source: amfiHow we calculatePast performance may or may not be sustained in future. Returns shown are not an indication of future returns.

Trailing returns

Periods under 1 year show absolute return. 1 year and longer show CAGR (annualised).

Trailing returns
PeriodThis fundCategory average
1 monthLoss 2.21%Loss 3.01%
3 monthsLoss 2.78%Loss 1.90%
6 monthsGain 3.86%Gain 0.77%
1 yearGain 11.22%Gain 2.96%
3 yearsGain 22.24%Gain 13.30%
5 yearsGain 18.45%Gain 11.49%
7 yearsGain 24.42%Gain 14.81%
10 yearsGain 18.37%Gain 11.97%
Since launchGain 15.56%Gain 10.66%

SIP returns (XIRR)

XIRR of a monthly SIP over each period, valued at the latest NAV.

SIP returns (XIRR)
PeriodThis fundCategory average
1 yearGain 4.91%Loss 1.21%
3 yearsGain 13.80%Gain 8.18%
5 yearsGain 17.79%Gain 11.45%
10 yearsGain 21.28%Gain 13.14%

Calendar-year returns

This fund 2021: ▲ +57.0%+572021This fund 2022: ▲ +15.2%+152022This fund 2023: ▲ +23.9%+242023This fund 2024: ▲ +27.6%+282024This fund 2025: ▲ +17.7%+182025This fund 2026 (year to date): ▲ +4.4%+42026*
This fund* 2026 (year to date)
Show as table
Calendar-year returns
YearThis fund
2026 (year to date)▲ +4.36%
2025▲ +17.71%
2024▲ +27.56%
2023▲ +23.86%
2022▲ +15.24%
2021▲ +57.00%
2020▲ +27.07%
2019▲ +10.80%
2018▲ +4.53%
2017▲ +1.98%

Past performance may or may not be sustained in future. Returns shown are not an indication of future returns.

Rolling returns

Returns over every possible holding period since launch show the range of outcomes an investor could have had, not just one start date.

Rolling returns
Holding period1Y3Y5Y
Lowest−19.81%−5.85%−0.19%
Median10.29%18.98%19.12%
Average17.86%17.65%17.79%
Highest104.50%46.26%37.72%
Periods with a loss5.3%0.8%0.0%
Periods above 8%61.3%69.5%71.4%
Periods above 10%51.0%56.0%67.4%
Periods above 12%42.3%54.3%63.7%
Number of periods313726482156

Distribution and comparison with the benchmark

Past performance may or may not be sustained in future. Returns shown are not an indication of future returns.

Risk measures (3 years)

Calculated on daily NAVs over the last 3 years. Tap ? for a plain-language explanation.

Standard deviation
11.50%
Sharpe ratio
1.31
Sortino ratio
1.86
Beta
Not available
Alpha
Not available
Maximum drawdown
▼ −12.49%
Up-market capture
Not available
Down-market capture
Not available

Fund facts

Fund size (AUM)
₹6,710 Cr
Expense ratio (TER)
1.13%
Exit load
Not available
Minimum SIP
₹1,000
Minimum lumpsum
₹5,000
Launch date
1 Jan 2013
Fund managers
Sanjeev Sharma, Ankit A. Pande, Sandeep Tandon, Varun Pattani, Sameer Kate, Ayusha Kumbhat, Yug Tibrewal
Benchmark index
Not available
Category
Hybrid: Multi Asset Allocation
Scheme type
Open Ended
AMFI scheme code
120820
ISIN
INF966L01564

Investment objective

The investment objective of the scheme is to generate capital appreciation & provide long-term growth opportunities by investing in instruments across the three asset classes viz. Equity, Debt and Commodity. There is no assurance that the investment objective of the Scheme will be realized.

Portfolio holdings

Holdings are coming soon. We will show the portfolio once the monthly disclosures are in our data feed.

Try this fund in our tools

See how a SIP, a lumpsum or withdrawals in this fund would have done, using its real NAV history.

Data sources

Data sources
DataSourceAs of
Latest NAVamfi9 Oct 2026
NAV historycaptnemo9 Oct 2026
Expense ratioamfi11 Oct 2026
Fund sizeamfi8 Oct 2026
Fund managerskuvera11 Oct 2026
Riskometeramfi8 Oct 2026
Scheme detailsamfi9 Oct 2026
minSipkuvera11 Oct 2026
minLumpsumamfi9 Oct 2026
objectivekuvera11 Oct 2026
launchamfi9 Oct 2026

How we calculate

Mutual fund investments are subject to market risks, read all scheme related documents carefully.