Structured Product Series VIII

Dormant · no recent filings
EQUITYNifty 50

Strategy performance & returns

Age: 34 months · 34 mo used

CAGR
0.2%
Max DD
0.0%
Calmar
Not reported
Track
34 mo

Calmar not reported: incomplete or ungated series for this window.

As of…
Tearsheet

Research sheet

Monthly tearsheet

Growth of ₹100, underwater drawdown, rolling 12-month returns, and worst episodes from month-end SEBI filings only.

Open full-page tearsheet

Read of the numbers

Reported metrics only · not advice

Strength

Shallow peak-to-trough

Worst drop was 0.0%. Typical drawdowns ran nearer 0.0%. Milder than most equity PMS paths on file.

Watch

Wins cluster in fewer months

Hit rate is only 0.0%. Gains arrive in bunches, so long red stretches are part of how this track works.

Total Return

0.00%

Annualised Return

0.00%

Hit Rate

0.00%

Maximum Drawdown

0.00%

Annualised Volatility

0.00%

Sharpe Ratio

0.60

Consistency Score

0.0%

PPerformance(25)RRisk(9)CConsistency(5)
Best Year Return
P
0.55%
Worst Year Return
P
0.00%
Median Annual Return
P
0.28%
Average Monthly Return
P
0.00%
Geometric Mean Return
P
0.00%
Average Drawdown
P
0.00%
Median Drawdown
P
0.00%
Max Drawdown Duration
P
0 mo
Ulcer Index
P
0.00%
Positive Rolling Periods %
P
52.17%
Return Stability Score
P
1076.12
Return Persistence
P
-0.03
Worst Rolling 12M Return
P
0.00%
Best Rolling 12M Return
P
0.55%
Maximum Monthly Loss
P
0.00%
Worst 3-Month Period
P
0.00%
Worst 6-Month Period
P
0.00%
Return Smoothness Index
P
738.55
Worst Case Investor Entry
P
0.00%
Capital Preservation Score
P
100.00%
Aggressiveness Score
P
0.00%
Downside Volatility
R
0.00%
Time in Drawdown %
R
0.00%
VaR 95%
R
0.00%
VaR 99%
R
0.00%
CVaR 95%
R
0.00%
CVaR 99%
R
0.00%
Volatility of Drawdowns
R
0.00%
Equity Curve Convexity
R
0.00
Return Skewness
C
0.00
Return Kurtosis
C
0.00
Coefficient of Variation
C
5.74

Disclosure & provenance

Month-end SEBI filings only; never invented zeros. Figures reconcile to SEBI TWRR for filed months (see Methodology).

As of…

SEBI is the source of authority. Know Your PMS does not invent missing months or recommend strategies. How we reconcile.

Latest available period: Not available

Freshness rules and exclusions are documented on Methodology.

Structured Product Series VIII performance FAQ

Live figures from the scorecard above. Full definitions on the metrics explainer.

How has Structured Product Series VIII performed?
Structured Product Series VIII (BAY CAPITAL INVESTMENT ADVISORS PRIVATE LIMITED) shows CAGR 0.2% and max drawdown 0.0% on Know Your PMS from SEBI month-end TWRR filings. Incomplete windows stay Not reported. Learn more
What is Structured Product Series VIII CAGR / max drawdown?
CAGR is 0.2%; max drawdown is 0.0%. We only publish CAGR when there are enough months (≥12 on this track of 34 months). Learn more
Where do Structured Product Series VIII returns come from?
Returns are derived from SEBI-disclosed monthly 1M TWRR filings. Know Your PMS never invents zeros for unfiled months. Learn more
Why might a window say Not reported?
Trailing 1Y/3Y/5Y and since-inception need enough consecutive monthlies. Sparse tracks stay honest. Learn more
Is this a recommendation to invest?
No. Know Your PMS is research-only: no commissions, no execution, no advice. Use compare to shortlist 2–3 for your own diligence. Learn more