Key metrics across categories and benchmark

Data on the basis of rolling 1-year returns rolled daily

Returns rolled daily. NAV period between Aug 2018-2022. *Active portfolio consists of Parag Parikh Flexicap (65%), HDFC Short Term Debt (25%) and SBI Gold (10%). **Blended benchmark consists of 65% Nifty 50, 10% gold and 25% Nifty Composite Bond index. Source: ICRA MFI database
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