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₹116.65
+0.67 (+0.58%) day
Day 115.98 — 116.75
Vol 2,460,987 · avg 24,064,909
📊 Investment Snapshot Moderate
52-Week Range 54% of range — Mid-range
₹79.67 ₹148.14
Performance Returns
1M -6.0%
3M -7.1%
6M +2.7%
YTD +5.5%
3Y +130.2%
5Y +178.3%
Fund Quality
Risk Assessment
  • Annual Volatility 32.1% · Very High
  • Worst 1-Year Drawdown -24.4% · Significant — prepare for deep dips
  • Risk-Adjusted Return Sharpe 1.30 · Good — earns well per unit of risk

Auto-generated from fund data and price history. Not investment advice — verify with the fund issuer's factsheet before investing.

About This Fund

No issuer description available for this fund.

Investment Strategy & Highlights

Curated from issuer disclosures, fund factsheets, and public market data. Figures are illustrative and not investment advice.

Key Facts

Expense Ratio
Total Assets (AUM)
NAV
Yield
52W High / Low
148.14 / 79.67
3Y Avg Return
5Y Avg Return
Category

Performance Returns

1M
-6.01%
3M
-7.13%
6M
+2.68%
YTD
+5.55%
3Y
+130.22%
5Y
+178.27%

Total price return over each window. 3Y/5Y use weekly close history; shorter windows use daily closes.

Risk & Volatility

Volatility (ann.)
32.1%
Max Drawdown (1Y)
-24.4%
Sharpe-like
1.30

Volatility = stdev of daily returns × √252. Sharpe-like = annualized mean / annualized vol (rf = 0%). Educational estimates from 1-year price history.

Technical Trend

SMA 20
118.21
SMA 50
123.53
SMA 200
117.38
RSI (14)
47.2

Signal: Mildly bullish (50/200 in uptrend)

Computed from daily close history. SMA-50 above SMA-200 is the classic “golden cross” trend regime. RSI > 70 overbought · RSI < 30 oversold.

PROS

  • Attractive risk-adjusted return (Sharpe~1.30).

CONS

No notable concerns flagged.

* The pros and cons are auto-generated from fund metrics.

Price Chart

NSE TradingView

Top Holdings

Holdings data not available for this fund.

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