PGIM India Hybrid Equity Fund Wealth Plan Direct Growth

Scheme code: INF223J01325 NAV value: ₹ 30.0200 NAV date: 28 July, 2019
Fund option: Direct Fund type: Growth
Asset class: Hybrid Asset category: Aggressive Hybrid Fund

Rolling returns

Summary

Duration Min Max Average XIRR (%) Category average XIRR (%)
1 year -7.15 9.97 0.49 27.7
3 year 4.36 9.45 7.28 16.06

Rolling return for 1 year

Average return: 0.49
Min Max Min-Max Max-Min Standard Deviation Mean From To
0.33 0.35 4.75 -3.88 3.05 0.39 07-2018 07-2019
3.48 5.09 7.32 1.32 2.2 4.3 06-2018 06-2019
0.85 3.47 7.01 -2.49 3.48 2.21 05-2018 05-2019
2.72 1.27 4.24 -0.2 1.65 2.01 04-2018 04-2019
-0.2 2.25 5.25 -3.05 3.06 1.06 03-2018 03-2019
-3.81 -3.67 -0.2 -7.15 2.46 -3.71 02-2018 02-2019
-4.3 -5.42 -2.6 -7.08 1.63 -4.85 01-2018 01-2019
-3.48 -3.24 -0.1 -6.5 2.26 -3.33 12-2017 12-2018
-3.63 -2.35 -0.67 -5.26 1.68 -2.98 11-2017 11-2018
-3.27 0.6 3.75 -6.21 3.78 -1.28 10-2017 10-2018
4.21 5.57 8.84 1.08 2.79 4.93 09-2017 09-2018
7.54 6.82 9.97 4.45 1.97 7.19 08-2017 08-2018

Rolling return for 3 year

Average return: 7.28
Min Max Min-Max Max-Min Standard Deviation Mean From To
5.63 5.87 7.15 4.36 0.99 5.75 07-2016 07-2019
6.94 7.71 8.25 6.4 0.71 7.32 06-2016 06-2019
6.95 7.8 9.09 5.69 1.24 7.38 05-2016 05-2019
8.36 7.75 8.89 7.22 0.63 8.06 04-2016 04-2019
7.52 8.28 9.45 6.38 1.12 7.91 03-2016 03-2019