Aditya Birla Sun Life International Equity Fund Plan B Direct Growth

Scheme code: INF209K01WU9 NAV value: ₹ 30.2806 NAV date: 28 July, 2023
Fund option: Direct Fund type: Growth
Asset class: Equity Asset category: Sectoral/Thematic

Rolling returns

Summary

Duration Min Max Average XIRR (%) Category average XIRR (%)
1 year -13.94 21.94 1.18 41.58
3 year 9.91 28.29 16.18 21.61
5 year 6.59 10.38 8.19 22.08

Rolling return for 1 year

Average return: 1.18
Min Max Min-Max Max-Min Standard Deviation Mean From To
18.52 12.91 21.89 9.79 4.72 15.78 07-2022 07-2023
16.84 10.04 21.94 5.44 6.31 13.56 06-2022 06-2023
9.05 4.58 12.72 1.18 4.38 6.88 05-2022 05-2023
-0.72 -4.46 0.87 -5.96 2.75 -2.57 04-2022 04-2023
1.06 -2.41 5.71 -6.71 4.56 -0.59 03-2022 03-2023
2.37 -3.06 5.86 -6.26 4.7 -0.27 02-2022 02-2023
-1.78 -4.95 0.46 -7.08 2.89 -3.34 01-2022 01-2023
1.46 1.31 6.42 -3.41 3.48 1.44 12-2021 12-2022
-1.29 -3.43 3.09 -7.54 3.83 -2.29 11-2021 11-2022
-8.23 -8.05 -1.95 -13.94 4.24 -8.04 10-2021 10-2022
-7.61 -3.21 -0.07 -10.52 4.01 -5.35 09-2021 09-2022
-0.69 -1.4 3.17 -5.08 2.93 -1 08-2021 08-2022

Rolling return for 3 year

Average return: 16.18
Min Max Min-Max Max-Min Standard Deviation Mean From To
19.68 19.11 20.8 18 1.01 19.4 07-2020 07-2023
20.37 19.13 22.1 17.45 1.7 19.76 06-2020 06-2023
22.8 21.46 24.16 20.13 1.5 22.14 05-2020 05-2023
25.55 19.76 26.21 19.13 3.23 22.66 04-2020 04-2023
26.38 12.98 28.29 11.29 7.65 19.74 03-2020 03-2023
12.99 11.15 14.26 9.91 1.67 12.08 02-2020 02-2023
11.57 11.28 12.41 10.45 0.7 11.43 01-2020 01-2023
12.41 13.12 14.21 11.34 1.05 12.77 12-2019 12-2022
12.72 13.06 14.36 11.44 1.04 12.9 11-2019 11-2022
12.7 13.1 15.21 10.63 1.63 12.91 10-2019 10-2022
12.68 13.74 15.67 10.8 1.76 13.22 09-2019 09-2022
14.79 15.45 16.25 13.99 0.83 15.12 08-2019 08-2022

Rolling return for 5 year

Average return: 8.19
Min Max Min-Max Max-Min Standard Deviation Mean From To
9.76 9.41 10.38 8.8 0.57 9.59 07-2018 07-2023
8.85 9.17 9.79 8.24 0.56 9.01 06-2018 06-2023
7.91 8.2 8.62 7.49 0.41 8.06 05-2018 05-2023
7.82 7.58 8.16 7.24 0.34 7.7 04-2018 04-2023
7.56 7.73 8.53 6.76 0.63 7.64 03-2018 03-2023
7.88 7.55 8.61 6.83 0.64 7.72 02-2018 02-2023
7.6 7.41 8.09 6.93 0.42 7.51 01-2018 01-2023
8.18 8.43 9.22 7.4 0.65 8.31 12-2017 12-2022
8.19 8.62 9.14 7.68 0.54 8.41 11-2017 11-2022
6.98 8.01 8.4 6.59 0.74 7.5 10-2017 10-2022
7.35 8.39 9.05 6.7 0.91 7.87 09-2017 09-2022
8.96 8.94 9.79 8.11 0.59 8.95 08-2017 08-2022