Growth without a gut punch
+37.0% annualised with a -0.8% max drawdown. Equity PMS rarely delivers both at once on the same track.
Strategy performance & returns
Age: 67 months · 67 mo used
CAGR not reported: incomplete or ungated series for this window. · 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.
Rolling CAGR (3Y)
37.55%
Rolling CAGR (5Y)
42.11%
Survivorship note
Universe includes currently available strategies. Discontinued or merged strategies are disclosed in our changelog.
Reported metrics only · not advice
+37.0% annualised with a -0.8% max drawdown. Equity PMS rarely delivers both at once on the same track.
Best year hit +161.3%. Worst calendar year was -0.2%. A +161% gap means the year you enter can dominate how the track feels.
Calmar of 44.57 means annualised return more than clears the deepest peak-to-trough on this track.
Hit rate is only +26.9%. Gains arrive in bunches, so long red stretches are part of how this track works.
77% of rolling periods ended positive. Waiting out a few months usually still left you ahead on this sample.
479.66%
36.99%
26.87%
-0.83%
72.54%
0.51
48.94
26.9%
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.