CR Equity Hybrid Fund 30X
CR Equity Hybrid Fund 30X
CR Equity Hybrid Fund 30X
An open ended hybrid scheme investing predominantly in equity and equity related instruments
Reached
3,50,000
₹ 3,00,63,278
3,00,000
Grown to
2,50,000 ₹ 2,00,62,241
2,00,000
Grown to
1,50,000 ₹ 1,00,22,822
1,00,000
START
50,000 ₹ 10,00,000
0
Jun-94
Feb-93
Sep-95
Sep-99
Sep-03
Sep-07
Sep-11
Jan-97
May-98
Jan-01
May-02
Jan-05
May-06
Jan-09
May-10
Jan-13
May-14
Apr-18
Apr-22
Aug-15
Dec-16
Aug-19
Dec-20
Aug-23
Grown in nearly 31 Years @ CAGR of 11.8%
Note: The Return calculations are based on NAV of Regular Plan - Growth Option and are exclusive of Taxation. All Data is as on Aug 31, 2023.
Refer Further Pages for Detailed Scheme Performance.
Total Amt invested 3670000 2400000 1800000 1200000 840000 600000 360000 120000
Market Value 45614187 12062060 5438934 2344402 1320511 844772 427571 129571
Scheme Returns 13.59% 14.22% 13.55% 12.85% 12.70% 13.66% 11.50% 15.15%
CRISIL Hybrid 35+65 - Aggressive Index* NA 11.98% 12.07% 12.26% 12.45% 13.36% 11.49% 13.63%
S&P BSE SENSEX TRI** 14.03% 13.64% 13.37% 13.80% 14.74% 15.55% 13.50% 13.40%
Note: 1. Investment date is taken to be 1st of the month or next business day if 1st is a holiday and investment of Rs 10000 is taken. Returns are as
on 31st August, 2023 and are based on XIRR approach.
2. The calculations are based on NAV of Regular Plan - Growth Option.
3. NA : Not Applicable as Benchmark index data not available for the period
4. Past performance may or may not be sustained in the future.
5. Returns of alternate index are based on "Rebased Values" of TRI values of Index
6. Inception Date: February 1, 1993.
Scheme Benchmark *, Additional benchmark **
Canara Robeco Savings Fund CRISIL Low Duration Debt B-I Index 6.57 7.32 4.50 5.39 5.77 6.37
Bottom - 3
Canara Robeco Banking And PSU
CRISIL Banking and PSU Debt Index 5.56 6.36 N.A. - N.A. -
Debt Fund
Canara Robeco Corporate Bond
CRISIL Corporate Bond B-III Index 5.54 6.26 4.19 6.61 6.25 7.23
Fund
CRISIL Medium to Long Duration Debt B-III
Canara Robeco Income Fund Index 5.07 7.20 3.50 6.78 6.17 8.32
Note: a. Mr. Avnish Jain manages 11 open-ended schemes of Canara Robeco Mutual Fund .
b. Period for which scheme’s performance has been provided is computed basis last day of the month-end preceding the date of advertisement
c. Different plans shall have a different expense structure. The performance details provided herein are of Regular Plan - Growth Option.
d. *Managing the portfolio only for debt allocation
e. ^As per the provisions of SEBI circular dated April 12, 2018 (Performance disclosure post consolidation/ Merger of Schemes), the past
performance of aforesaid scheme is based on the historical NAV of Canara Robeco Income Saver Fund (erstwhile Canara Robeco Monthly Income
Plan) and hence may not be comparable.
f. -: Corresponding Benchmark values not available
Canara Robeco Equity Hybrid Fund is managed by Ms. Ennette Fernandes since Oct 01, 2021, Mr. Shridatta Bhandwaldar since Jul 05, 2016, and
Mr. Avnish Jain since Oct 07, 2013
Canara Robeco Liquid Fund is managed by Mr. Kunal Jain Jul 18, 2022 and since and Mr. Avnish Jain since Apr 01, 2022
Canara Robeco Savings Fund is managed by Mr. Kunal Jain Jul 18, 2022 and since and Mr. Avnish Jain since Apr 01, 2022
Canara Robeco Banking And PSU Debt Fund is managed by Mr. Avnish Jain since Aug 22, 2022
Canara Robeco Corporate Bond Fund is managed by Mr. Avnish Jain since Feb 07, 2014 and Ms. Suman Prasad Jul 18, 2022
Canara Robeco Income Fund is managed by Mr. Avnish Jain since Jun 25, 2014 and Mr. Kunal Jain since Jul 18, 2022
Note: The Top 3 and Bottom 3 schemes managed by fund manager provided herein are on the basis of 1 Year
CAGR returns. Period for which scheme’s performance has been provided is computed basis last day of the
month-end preceding the date of advertisement. Load is not taken into consideration for computation of returns.
Returns of IDCW Option under the scheme for the investor would be net of distribution tax as applicable. Past
performance may or may not be sustained in the future.
Note: Schemes which have completed Less than 1 Year have not been taken into considerations
Credit
Risk →
Interest Relatively Relatively
Rate Risk Low Moderate High
↓ (Class A) (Class B) (Class C)
Relatively
A-I
Low
Moderate
(Class II)
Relatively
High
Credit
Risk →
Interest Relatively Relatively
Rate Risk Low Moderate High
↓ (Class A) (Class B) (Class C)
Relatively
B-I
Low
Moderate
(Class II)
Relatively
High
Credit
Risk →
Interest Relatively Relatively
Rate Risk Low Moderate High
↓ (Class A) (Class B) (Class C)
Relatively
Low
Moderate
(Class II)
Relatively
B-III
High
Credit
Risk →
Interest Relatively Relatively
Rate Risk Low Moderate High
↓ (Class A) (Class B) (Class C)
Relatively
Low
Moderate
(Class II)
Relatively
B-III
High
Credit
Risk →
Interest Relatively Relatively
Rate Risk Low Moderate High
↓ (Class A) (Class B) (Class C)
Relatively
Low
Moderate
(Class II)
Relatively
B-III
High