Too short for CAGR
Path return sits at +5.3%, but the series is still too short for a clean annualised figure. Rank it on path and hit rate until more months land.
Strategy performance & returns
Age: 3 months · Sparse · 3 mo
Sparse track recordCore metrics not reported yet for this strategy.
CAGR not reported: needs ≥12 filed months (this track has 3). · Max DD not reported: incomplete or ungated series for this window.
Research sheet
Growth of ₹100, underwater drawdown, rolling 12-month returns, and worst episodes from month-end SEBI filings only.
Reported metrics only · not advice
Path return sits at +5.3%, but the series is still too short for a clean annualised figure. Rank it on path and hit rate until more months land.
Worst drop was 0.0%. Milder than most equity PMS paths on file.
+100.0% of months finished up. Losses exist, but they were not the default month.
Consistency lands near 100%. Month-to-month results did not whip around as much as a typical equity book.
5.33%
100.00%
0.00%
3.19%
100.0%
Month-end SEBI filings only; never invented zeros. Figures reconcile to SEBI TWRR for filed months (see Methodology).
SEBI is the source of authority. Know Your PMS does not invent missing months or recommend strategies. How we reconcile.
Live figures from the scorecard above. Full definitions on the metrics explainer.