Aditya Birla SL CPO Fund - Series 25 (G)
Return As On Date
Jan 29, 2018
FUND Returns v/s Scheme Category average
|Scheme Name||Assets (Rs.cr)||3 Months%||6 Months%||1 Year%||3 Year%||5 Year%|
|Asset Size (Rs cr):|
|Fund Manager Name:|
Growth in AUM of a fund indicates that investors interest in the fund and conviction over its performance is increasing. Steady growth in AUM is always a good sign
The scheme seeks to provide capital appreciation linked to equity market with downside protection at the end of tenure. * Fund expects to achieve down side protection by investing in debt securities maturing on or before the duration of the scheme, subject to the credit risk. * Fund expects to achieve the market linked appreciation (upside) by investing in premium of exchange traded options. * The Fund proposes to restrict its derivative exposure only to the extent of buying of call options. Hence the maximum loss could be equivalent to the premium paid, not any more. Moreover, the premium paid will be equal or lower to the coupon receivable from fixed income securities after providing for fund expenses.
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