📊 Fund Performance Overview

Net Asset Value
₹211,467.74
Compounded Return (TWR)
5.73%
Sharpe Ratio
0.68
Max Drawdown
-8.65%
Payoff Ratio
1.16
Last 1 Day
+1.08%
Last 7 Days
+0.33%
Last 30 Days
+3.46%
Equity Curve
Drawdown Curve