Your Current Location : Fund Card : Risk Analysis |
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SBI Multi Asset Allocation Fund Reg (A) IDCW |
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[Hybrid: Multi-Asset] |
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Absolute Metrics (Single Computation - last 3 years) |
Scheme Name |
Standard
Deviation |
Sharpe
Ratio |
Downside
Deviation |
Downside
Probability |
Sortino
Ratio |
SBI Multi Asset Allocation Fund Reg (G) |
7.04% |
1.0825 |
6.0064% |
39.3151% |
0.1862 |
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High Watermark Gain Stream (%) |
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Maximum Drawdown Loss Stream (%) |
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Gain Loss Ratio = 0.00 |
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Broader Benchmark Relative Metrics (Single Computation - last 3 years) |
Scheme Name |
Alpha |
Beta |
Treynor
Ratio |
Tracking
Error |
Information
Ratio |
SBI Multi Asset Allocation Fund Reg (G) |
9.9361% |
0.0000 |
0.1091 |
8.4338% |
1.6478 |
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Up Capture v/s Down Capture |
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