Canara Robeco Eqt Tax Saver-D  Add to My Watchlist



 
 Returns and Risk Aggregates
 Rating & Risk    Modern Portfolio Stat    Volatility Measures
 Fund Rating    R-Squared 0.93    Mean 23.86
 Fund Risk Grade Average    Alpha 11.06    Standard Deviation 37.70
 Fund Return Grade High    Beta 1.03    Sharpe Ratio 0.51

 Best and Worst Performance
     Best (Period) Worst (Period)
Month   36.76  (28/04/2009  -  28/05/2009) -31.19  (12/05/2006  -  13/06/2006)
Quarter   91.81  (12/03/2009  -  11/06/2009) -40.68  (21/02/2000  -  22/05/2000)
Year   171.77  (11/02/1999  -  11/02/2000) -59.93  (15/09/2000  -  17/09/2001)
 Relative Performance (Fund Vs Category Average)
 Trailing Returns
As of 06 Sep 2010  Fund Return  Category Return   S&P CNX Nifty   Sensex
Year-to-Date 23.15 14.50 7.23 6.27
1-Week 2.46 3.33 2.98 2.93
1-Month 4.74 4.40 2.53 2.29
3-Month 11.73 12.54 8.60 8.43
1-Year 38.17 30.74 19.16 18.30
2-Year 37.26 18.85 13.20 13.20
3-Year 18.74 8.38 7.27 5.93
5-Year 23.36 15.94 18.09 18.49
Return less than 1-year are absolute and over 1 year are annualised
 Annual Returns
    2009 2008 2007 2006 2005
Fund Return   89.40 -46.85 65.21 31.46 49.81
Rank In Category   8/32 1/29 8/26 12/23 9/20
Category Average   81.79 -55.56 59.25 30.18 50.08
S&P CNX Nifty    75.76  -51.79  54.77  39.83  36.34
Sensex     81.03  -52.45  47.15  46.70  42.33
 Quarterly Returns
  Q1 Q2 Q3 Q4
2010 7.04 5.67 -- --
2009 -5.73 57.97 21.30 4.86
2008 -27.23 -15.10 -3.81 -10.57
2007 -3.87 20.07 13.55 26.06
2006 20.75 -17.10 12.32 16.93
2005 1.47 2.72 41.43 1.62
2004 -9.83 -11.88 20.35 22.03
2003 -8.26 17.11 28.91 25.38
2002 5.23 -3.75 -16.47 14.47
2001 -24.46 -9.55 -27.31 29.04
2000 5.72 -11.34 -10.26 -12.46
1999 30.93 7.50 33.98 34.14
1998 11.51 -3.92 1.69 0.52
1997 7.57 14.80 6.22 -10.78
1996 7.45 6.40 -13.38 -4.97
 
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