Exide Life Secure Fund

  • NAV / 1-Day Return
    37.44 / 0.01%
  • Total Assets (mil)
    395.58
  • Status
    Open Ended
  • Avg Credit Quality
    Government
  • Category
    Conservative Allocation
  • Index
    Multiple
  • Investment Style
    Large Blend
  • Credit Quality / Interest Rate Sensitivity
    High/Moderate

Morningstar Risk & Rating Statistics

08/31/2020 3-Year 5-Year 10-Year
Rating, risk, and return values are relative to each fund’s Morningstar Category.  Click here to see our methodology.
Morningstar Return      
0P0000NNH5 Above Average Above Average Average
Morningstar Risk      
0P0000NNH5 Below Average Average Below Average
Morningstar Rating      
0P0000NNH5
# of Funds in Category 68 67 58

Volatility Measures

3-Year Trailing Standard
Deviation
Return Sharpe Ratio Sortino Ratio Bear Market
Percentile Rank
08/31/2020
0P0000NNH5 4.17 7.00 0.25 0.39
Category: Conservative Allocation 5.86 5.65 0.00 0.03
5-Year Trailing Standard
Deviation
Return Sharpe Ratio Sortino Ratio Bear Market
Percentile Rank
08/31/2020
0P0000NNH5 4.64 8.34 0.43 0.68
Category: Conservative Allocation 5.53 7.42 0.24 0.37
10-Year Trailing Standard
Deviation
Return Sharpe Ratio Sortino Ratio Bear Market
Percentile Rank
08/31/2020
0P0000NNH5 4.55 8.41 0.24 0.35
Category: Conservative Allocation 5.52 7.93 0.13 0.20
15-Year Trailing Standard
Deviation
Return Sharpe Ratio Sortino Ratio Bear Market
Percentile Rank
08/31/2020
0P0000NNH5 5.15 8.54 0.30 0.46
Category: Conservative Allocation 6.37 9.11 0.34 0.54

Upside & Downside Capture Ratio

1-Year 3-Year 5-Year 10-Year 15-Year
All ratios calculated vs. CRISIL Hybrid 85+15 - ConservativeTR INR. View our glossary definition here.
08/31/2020
0P0000NNH588.83
121.06
92.31
112.63
98.75
140.68
99.14
120.65
100.37
106.22
Category: Conservative Allocation91.63
177.57
89.02
147.66
93.15
143.76
98.60
132.69
104.62
114.19
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