Fund Name BMSMONEY Rank Rating 1Y (R) 3Y (R) 5Y (R) 7Y (R) 10Y (R) 1Y (D) 3Y (D) 5Y (D) 7Y (D) 10Y (D) Std. Dev. Max Drawdown VaR 1Y 95% Jensen's Alpha Beta Sortino Ratio Sharpe Ratio
1
10.79% 12.08% % % % 11.12% 12.42% % % % 3.38% -1.22% -2.29% 4.67% 0.79 0.63 1.17
2
11.34% 10.38% 10.46% 6.86% 7.29% 12.03% 11.08% 11.52% 8.10% 8.39% 3.98% -3.65% -4.01% 0.57% 1.07 0.24 0.50
3
8.92% 11.48% 13.05% 9.39% 8.97% 9.53% 12.05% 13.60% 9.91% 9.52% 4.33% -2.94% -3.48% 0.80% 1.20 0.35 0.71
4
9.69% 10.29% 11.04% 9.23% 9.28% 10.51% 11.12% 11.92% 10.05% 10.13% 3.39% -2.08% -2.79% 2.04% 0.90 0.30 0.64
5
8.54% 10.38% 12.50% 9.17% 8.99% 9.07% 10.94% 13.10% 9.81% 9.77% 3.72% -2.88% -2.79% 1.97% 0.95 0.33 0.67
6
10.80% 10.55% 12.25% 8.03% 8.30% 11.49% 11.23% 12.94% 8.70% 9.00% 4.39% -3.73% -4.90% -0.43% 1.21 0.21 0.45
7
9.26% 11.10% 12.51% 9.92% 9.54% 10.59% 12.54% 13.96% 11.31% 10.93% 4.90% -4.04% -5.98% -0.38% 1.32 0.26 0.56
8
9.13% 10.09% 9.87% 7.69% 7.49% 9.92% 10.92% 10.72% 8.51% 8.33% 3.86% -2.58% -3.25% 0.69% 1.03 0.22 0.48
9
10.24% 9.18% 12.52% 7.83% 8.47% 11.24% 10.20% 13.54% 8.78% 9.51% 3.92% -4.02% -4.08% -0.55% 1.06 0.10 0.21
10
8.55% 8.79% 9.14% 4.76% 5.47% 9.40% 9.62% 9.90% 5.54% 6.29% 2.27% -1.50% -1.37% 2.68% 0.61 0.17 0.38
11
10.08% 10.45% 9.79% 7.92% 7.54% 11.00% 11.47% 11.11% 9.19% 8.60% 5.37% -5.51% -7.68% -1.90% 1.32 0.11 0.25
12
8.94% 8.80% 9.71% 8.70% 7.88% 10.21% 10.09% 11.04% 9.96% 9.14% 4.02% -3.08% -4.21% -1.12% 1.10 0.07 0.15
13
9.33% 7.83% 9.16% 6.82% 6.92% 10.73% 9.26% 10.55% 8.09% 8.27% 4.44% -4.87% -5.61% -3.52% 1.25 -0.05 -0.15
14
8.86% 8.55% 9.76% 6.37% 7.10% 9.90% 9.57% 10.74% 7.38% 8.04% 3.80% -2.71% -4.13% -1.34% 1.07 0.03 0.05
15
7.40% 9.01% % % % 9.00% 10.67% % % % 3.91% -3.67% -5.15% -0.95% 1.05 0.05 0.10
16
8.77% 7.91% 7.68% 6.49% 6.71% 9.82% 8.92% 8.69% 7.46% 7.67% 4.17% -3.66% -5.34% -2.82% 1.15 -0.06 -0.17
17
7.75% 6.96% 6.96% 6.47% 6.33% 8.87% 7.99% 7.96% 7.45% 7.29% 3.80% -3.08% -4.71% -2.47% 1.03 -0.11 -0.31

Return Calculated On: 09 May 2025 | Ratios Calculated On: 28 March 2025

As On: 09 May 2025

Fund Name 1D 1W 1M 3M 6M 1Y 3Y 5Y 7Y 10Y 15Y
Aditya Birla Sun Life Regular Savings Fund
-0.26
-0.43
1.85
2.91
2.64
10.24
9.18
12.52
7.83
8.47
9.40
Baroda BNP Paribas Conservative Hybrid Fund
-0.27
-0.60
1.98
2.04
1.97
7.40
9.01
Canara Robeco Conservative Hybrid Fund
-0.21
-0.53
1.57
2.22
1.58
8.94
8.80
9.71
8.70
7.88
8.48
Dsp Regular Savings Fund
-0.11
-0.19
1.78
3.44
3.75
11.34
10.38
10.46
6.86
7.29
7.95
Franklin India Debt Hybrid Fund
-0.32
-0.51
2.03
2.46
2.72
9.13
10.09
9.87
7.69
7.49
8.30
Hdfc Hybrid Debt Fund
-0.23
-0.62
1.83
2.98
2.48
8.92
11.48
13.05
9.39
8.97
9.30
HSBC Conservative Hybrid Fund
-0.11
-0.55
2.20
2.86
1.42
10.08
10.45
9.79
7.92
7.54
8.08
Icici Prudential Regular Savings Fund
-0.21
-0.48
1.83
2.09
2.75
9.69
10.29
11.04
9.23
9.28
9.67
Bandhan Conservative Hybrid Fund
-0.11
-0.44
2.29
2.63
2.96
8.77
7.91
7.68
6.49
6.71
7.82
Kotak Debt Hybrid Fund
-0.25
-0.82
1.57
2.12
1.76
9.26
11.10
12.51
9.92
9.54
Lic Mf Debt Hybrid Fund
-0.37
-0.47
1.53
0.55
1.42
7.75
6.96
6.96
6.47
6.33
6.36
Parag Parikh Conservative Hybrid Fund
-0.20
0.08
1.54
3.41
3.91
10.79
12.08
Nippon India Hybrid Bond Fund
-0.14
-0.11
1.62
2.53
3.74
8.55
8.79
9.14
4.76
5.47
7.02
SBI Conservative Hybrid Fund
-0.37
-0.70
1.54
2.03
1.15
8.54
10.38
12.50
9.17
8.99
9.02
Sundaram Conservative Hybrid Fund
-0.23
-0.56
1.95
3.13
2.83
8.86
8.55
9.76
6.37
7.10
7.41
UTI Conservative Hybrid Fund
-0.25
-0.64
1.96
2.38
2.34
10.80
10.55
12.25
8.03
8.30
8.80
Axis Regular Saver Fund
-0.21
-0.66
1.67
2.71
3.02
9.33
7.83
9.16
6.82
6.92

As On: 09 May 2025

Fund Name 1D 1W 1M 3M 6M 1Y 3Y 5Y 7Y 10Y 15Y
Aditya Birla Sun Life Regular Savings Fund
-0.26
-0.41
1.92
3.13
3.09
11.24
10.20
13.54
8.78
9.51
Baroda BNP Paribas Conservative Hybrid Fund
-0.27
-0.57
2.10
2.39
2.70
9.00
10.67
Canara Robeco Conservative Hybrid Fund
-0.20
-0.50
1.67
2.50
2.15
10.21
10.09
11.04
9.96
9.14
Dsp Regular Savings Fund
-0.11
-0.17
1.83
3.59
4.06
12.03
11.08
11.52
8.10
8.39
Franklin India Debt Hybrid Fund
-0.32
-0.50
2.09
2.64
3.08
9.92
10.92
10.72
8.51
8.33
Hdfc Hybrid Debt Fund
-0.22
-0.61
1.88
3.13
2.77
9.53
12.05
13.60
9.91
9.52
HSBC Conservative Hybrid Fund
-0.11
-0.53
2.27
3.07
1.83
11.00
11.47
11.11
9.19
8.60
Icici Prudential Regular Savings Fund
-0.21
-0.47
1.89
2.27
3.11
10.51
11.12
11.92
10.05
10.13
Bandhan Conservative Hybrid Fund
-0.11
-0.42
2.37
2.88
3.47
9.82
8.92
8.69
7.46
7.67
Kotak Debt Hybrid Fund
-0.25
-0.80
1.67
2.42
2.37
10.59
12.54
13.96
11.31
10.93
Lic Mf Debt Hybrid Fund
-0.36
-0.45
1.62
0.81
1.94
8.87
7.99
7.96
7.45
7.29
Parag Parikh Conservative Hybrid Fund
-0.20
0.08
1.56
3.48
4.06
11.12
12.42
Nippon India Hybrid Bond Fund
-0.14
-0.09
1.69
2.73
4.14
9.40
9.62
9.90
5.54
6.29
SBI Conservative Hybrid Fund
-0.37
-0.69
1.59
2.14
1.38
9.07
10.94
13.10
9.81
9.77
Sundaram Conservative Hybrid Fund
-0.23
-0.54
2.03
3.32
3.26
9.90
9.57
10.74
7.38
8.04
UTI Conservative Hybrid Fund
-0.24
-0.63
2.02
2.54
2.66
11.49
11.23
12.94
8.70
9.00
Axis Regular Saver Fund
-0.21
-0.64
1.77
3.01
3.65
10.73
9.26
10.55
8.09
8.27

As On: 09 May 2025

Fund Name 1 Year 3 Year 5 Year 7 Year 10 Year 15 Year
Aditya Birla Sun Life Regular Savings Fund
7.85
7.56
8.90
8.94
8.45
9.28
Baroda BNP Paribas Conservative Hybrid Fund
5.45
6.75
Canara Robeco Conservative Hybrid Fund
5.98
6.81
7.51
8.32
8.21
8.48
Dsp Regular Savings Fund
9.21
9.10
8.95
8.59
7.71
7.89
Franklin India Debt Hybrid Fund
7.02
9.90
8.96
8.51
7.90
8.30
Hdfc Hybrid Debt Fund
6.99
9.02
10.21
10.22
9.47
9.51
HSBC Conservative Hybrid Fund
5.59
8.58
8.47
8.49
7.95
8.20
Icici Prudential Regular Savings Fund
7.09
8.39
9.11
9.36
9.31
9.77
Bandhan Conservative Hybrid Fund
6.94
6.51
6.42
6.58
6.53
7.36
Kotak Debt Hybrid Fund
5.79
8.80
9.83
10.37
9.85
Lic Mf Debt Hybrid Fund
4.51
4.92
5.56
6.14
6.23
6.53
Parag Parikh Conservative Hybrid Fund
9.60
10.50
Nippon India Hybrid Bond Fund
8.18
6.88
7.84
6.41
5.69
6.46
SBI Conservative Hybrid Fund
5.02
7.80
9.37
9.85
9.23
9.33
Sundaram Conservative Hybrid Fund
7.47
6.63
7.75
7.66
7.11
7.57
UTI Conservative Hybrid Fund
7.15
8.61
9.52
9.24
8.64
8.93
Axis Regular Saver Fund
7.50
6.32
6.85
7.24
7.05

As On: 09 May 2025

Fund Name 1 Year 3 Year 5 Year 7 Year 10 Year 15 Year
Aditya Birla Sun Life Regular Savings Fund
8.82
8.57
9.91
9.92
9.44
Baroda BNP Paribas Conservative Hybrid Fund
7.00
8.41
Canara Robeco Conservative Hybrid Fund
7.21
8.09
8.82
9.62
9.47
Dsp Regular Savings Fund
9.89
9.80
9.78
9.60
8.79
Franklin India Debt Hybrid Fund
7.79
10.71
9.78
9.33
8.71
Hdfc Hybrid Debt Fund
7.60
9.62
10.78
10.76
10.01
HSBC Conservative Hybrid Fund
6.47
9.52
9.57
9.73
9.12
Icici Prudential Regular Savings Fund
7.88
9.23
9.97
10.21
10.15
Bandhan Conservative Hybrid Fund
7.99
7.53
7.43
7.58
7.52
Kotak Debt Hybrid Fund
7.07
10.21
11.27
11.80
11.25
Lic Mf Debt Hybrid Fund
5.60
5.99
6.58
7.15
7.21
Parag Parikh Conservative Hybrid Fund
9.92
10.83
Nippon India Hybrid Bond Fund
9.03
7.71
8.64
7.17
6.47
SBI Conservative Hybrid Fund
5.53
8.35
9.94
10.44
9.90
Sundaram Conservative Hybrid Fund
8.44
7.66
8.77
8.64
8.10
UTI Conservative Hybrid Fund
7.84
9.30
10.20
9.91
9.32
Axis Regular Saver Fund
8.84
7.73
8.26
8.60
8.36

Performance Indicators


Calculated On: 28 March 2025

Fund Name VaR 1 Y 95% Max Drawdown % Average Drawdown % Standard Deviation % Semi Deviation %
Aditya Birla Sun Life Regular Savings Fund -4.08 -4.02 -1.32 3.92 2.75
Baroda Bnp Paribas Conservative Hybrid Fund -5.15 -3.67 -1.54 3.91 2.93
Canara Robeco Conservative Hybrid Fund -4.21 -3.08 -1.71 4.02 2.88
Dsp Regular Savings Fund -4.01 -3.65 -1.28 3.98 2.79
Franklin India Debt Hybrid Fund -3.25 -2.58 -1.31 3.86 2.80
Hdfc Hybrid Debt Fund -3.48 -2.94 -1.55 4.33 3.12
Hsbc Conservative Hybrid Fund -7.68 -5.51 -2.54 5.37 4.12
Icici Prudential Regular Savings Fund -2.79 -2.08 -0.98 3.39 2.48
Bandhan Conservative Hybrid Fund -5.34 -3.66 -2.11 4.17 2.94
Kotak Debt Hybrid Fund -5.98 -4.04 -1.94 4.90 3.60
Lic Mf Debt Hybrid Fund -4.71 -3.08 -1.62 3.80 2.74
Parag Parikh Conservative Hybrid Fund -2.29 -1.22 -0.62 3.38 2.42
Nippon India Hybrid Bond Fund -1.37 -1.50 -0.48 2.27 1.62
Sbi Conservative Hybrid Fund -2.79 -2.88 -1.48 3.72 2.68
Sundaram Conservative Hybrid Fund -4.13 -2.71 -1.34 3.80 2.69
Uti Conservative Hybrid Fund -4.90 -3.73 -1.75 4.39 3.14
Axis Regular Saver Fund -5.61 -4.87 -1.89 4.44 3.08

Calculated On: 28 March 2025

Fund Name Sharpe Ratio Sortino Ratio Sterling ratio Hurst Index Jensen’s Alpha Beta R2 Treynor Ratio Modigliani2 Measure Active Return
Aditya Birla Sun Life Regular Savings Fund
0.21
0.10
0.54
0.42
-0.55
1.06
0.83
0.60
-0.1400
Baroda Bnp Paribas Conservative Hybrid Fund
0.10
0.05
0.52
0.38
-0.95
1.05
0.81
0.57
-0.6200
Canara Robeco Conservative Hybrid Fund
0.15
0.07
0.56
0.39
-1.12
1.10
0.85
0.59
-0.4100
Dsp Regular Savings Fund
0.50
0.24
0.64
0.37
0.57
1.07
0.82
0.68
1.0700
Franklin India Debt Hybrid Fund
0.48
0.22
0.69
0.37
0.69
1.03
0.82
0.68
0.9400
Hdfc Hybrid Debt Fund
0.71
0.35
0.77
0.36
0.80
1.20
0.87
0.74
2.0200
Hsbc Conservative Hybrid Fund
0.25
0.11
0.52
0.40
-1.90
1.32
0.69
0.62
0.4200
Icici Prudential Regular Savings Fund
0.64
0.30
0.74
0.35
2.04
0.90
0.79
0.72
1.2900
Bandhan Conservative Hybrid Fund
-0.17
-0.06
0.43
0.38
-2.82
1.15
0.86
0.50
-1.7600
Kotak Debt Hybrid Fund
0.56
0.26
0.68
0.39
-0.38
1.32
0.82
0.70
1.9000
Lic Mf Debt Hybrid Fund
-0.31
-0.11
0.41
0.39
-2.47
1.03
0.83
0.46
-2.2800
Parag Parikh Conservative Hybrid Fund
1.17
0.63
0.97
0.41
4.67
0.79
0.62
0.87
3.1700
Nippon India Hybrid Bond Fund
0.38
0.17
0.66
0.41
2.68
0.61
0.82
0.65
-0.1100
Sbi Conservative Hybrid Fund
0.67
0.33
0.72
0.38
1.97
0.95
0.74
0.73
1.6400
Sundaram Conservative Hybrid Fund
0.05
0.03
0.54
0.34
-1.34
1.07
0.91
0.56
-0.8100
Uti Conservative Hybrid Fund
0.45
0.21
0.64
0.37
-0.43
1.21
0.86
0.67
1.0600
Axis Regular Saver Fund
-0.15
-0.05
0.40
0.38
-3.52
1.25
0.90
0.50
-1.7300