Invesco India Credit Risk Fund Overview
Category Credit Risk Fund
BMSMONEY Rank 4
BMSMONEY Rating
Gro. Opt. As On: 11-10-2024
NAV ₹1794.0(R) -0.01% ₹1980.04(D) -0.0%
Returns 1Y 3Y 5Y 7Y 10Y
LumpSum (R) 9.26% 6.74% 6.33% 4.31% 5.89%
LumpSum (D) 10.46% 8.0% 7.59% 5.44% 6.93%
SIP (R) -7.91% 6.51% 6.32% 5.53% 4.98%
SIP (D) -6.85% 7.77% 7.57% 6.74% 6.1%
Ratio Sharpe Ratio Sortino Ratio Sterling Ratio Jensen's Alpha Treynor Ratio
-0.07 -0.04 0.62 -% -
Risk STD. Dev VaR 1Y95% Max DD Beta Semi Devi.
2.69% -0.63% -0.83% - 1.12%
Top Credit Risk Fund
Fund Name Rank Rating
Dsp Credit Risk Fund 1
Aditya Birla Sun Life Credit Risk Fund 2
Icici Prudential Credit Risk Fund 3

NAV Date: 11-10-2024

Scheme Name NAV Rupee Change Percent Change
Invesco India Credit Risk Fund - Direct Plan - Monthly IDCW (Payout / Reinvestment) 1179.99
-0.0300
0.0000%
Invesco India Credit Risk Fund - Regular Plan - Monthly IDCW (Payout / Reinvestment) 1317.55
-0.0700
-0.0100%
Invesco India Credit Risk Fund - Regular Plan - Discretionary IDCW (Payout / Reinvestment) 1793.44
-0.1000
-0.0100%
Invesco India Credit Risk Fund - Regular Plan - Growth 1794.0
-0.1000
-0.0100%
Invesco India Credit Risk Fund - Direct Plan - Growth 1980.04
-0.0500
0.0000%
Invesco India Credit Risk Fund - Direct Plan - Discretionary IDCW (Payout / Reinvestment) 1994.81
-0.0500
0.0000%

Review Date: 11-10-2024


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KPIs* Fund Benchmark Cat. Avg Min | Max Rank (In Cat.) Performance
1M Return % 0.69
0.62
-0.61 | 0.88 7 | 14 Good
3M Return % 2.09
2.16
1.35 | 2.72 9 | 14 Average
1Y Return % 9.26
8.73
6.18 | 16.20 3 | 14 Very Good
3Y Return % 6.74
9.12
4.68 | 39.29 5 | 13 Good
5Y Return % 6.33
6.61
0.73 | 10.82 9 | 13 Average
7Y Return % 4.31
5.12
-1.39 | 7.44 11 | 13 Average
10Y Return % 5.89
6.60
3.18 | 7.94 8 | 9 Average
1Y SIP Return % -7.91
-7.69
-9.78 | -5.96 10 | 14 Average
3Y SIP Return % 6.51
6.87
4.41 | 18.30 4 | 13 Very Good
5Y SIP Return % 6.32
7.99
4.93 | 23.79 10 | 13 Average
7Y SIP Return % 5.53
6.77
3.55 | 12.65 11 | 13 Average
10Y SIP Return % 4.98
5.71
2.46 | 7.09 8 | 9 Average
Standard Deviation 2.69
7.06
0.92 | 70.75 11 | 13 Average
Semi Deviation 1.12
1.83
0.74 | 11.99 10 | 13 Average
Max Drawdown % -0.83
-0.72
-2.85 | -0.26 11 | 13 Average
VaR 1 Y % -0.63
-0.22
-1.48 | 0.00 12 | 13 Average
Average Drawdown % -0.48
-0.52
-1.08 | -0.26 8 | 13 Good
Sharpe Ratio -0.07
-0.38
-1.62 | 0.56 4 | 13 Very Good
Sterling Ratio 0.62
0.86
0.36 | 3.80 6 | 13 Good
Sortino Ratio -0.04
0.93
-0.45 | 12.94 4 | 13 Very Good
Return data last Updated On : Oct. 11, 2024.
Other parameters, fund ranking, non return related analysis are updated after every month end. Last Updated On : Sept. 30, 2024
KPIs: Key Performance Indicators

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KPIs* Fund Benchmark Cat. Avg Min | Max Rank (In Cat.) Performance
1M Return % 0.78 0.68 -0.53 | 0.95 7 | 14
3M Return % 2.39 2.36 1.44 | 2.94 8 | 14
1Y Return % 10.46 9.58 6.52 | 17.10 2 | 14
3Y Return % 8.00 9.95 5.69 | 39.69 4 | 13
5Y Return % 7.59 7.43 1.51 | 11.14 9 | 13
7Y Return % 5.44 5.96 -1.13 | 8.20 11 | 13
10Y Return % 6.93 7.50 4.15 | 8.76 7 | 9
1Y SIP Return % -6.85 -6.96 -9.47 | -5.10 9 | 14
3Y SIP Return % 7.77 7.71 5.42 | 18.68 3 | 13
5Y SIP Return % 7.57 8.83 5.96 | 24.15 7 | 13
7Y SIP Return % 6.74 7.59 4.33 | 12.93 9 | 13
10Y SIP Return % 6.11 6.58 3.30 | 7.86 7 | 9
Standard Deviation 2.69 7.06 0.92 | 70.75 11 | 13
Semi Deviation 1.12 1.83 0.74 | 11.99 10 | 13
Max Drawdown % -0.83 -0.72 -2.85 | -0.26 11 | 13
VaR 1 Y % -0.63 -0.22 -1.48 | 0.00 12 | 13
Average Drawdown % -0.48 -0.52 -1.08 | -0.26 8 | 13
Sharpe Ratio -0.07 -0.38 -1.62 | 0.56 4 | 13
Sterling Ratio 0.62 0.86 0.36 | 3.80 6 | 13
Sortino Ratio -0.04 0.93 -0.45 | 12.94 4 | 13
Return data last Updated On : Oct. 11, 2024.
Other parameters, fund ranking, non return related analysis are updated after every month end. Last Updated On : Sept. 30, 2024
KPIs: Key Performance Indicators

Investment Period Regular Direct
Return % Current Value of ₹ 10000 Return % Current Value of ₹ 10000
1D -0.01 ₹ 9,999.00 0.00 ₹ 10,000.00
1W 0.25 ₹ 10,025.00 0.28 ₹ 10,028.00
1M 0.69 ₹ 10,069.00 0.78 ₹ 10,078.00
3M 2.09 ₹ 10,209.00 2.39 ₹ 10,239.00
6M
1Y 9.26 ₹ 10,926.00 10.46 ₹ 11,046.00
3Y 6.74 ₹ 12,160.00 8.00 ₹ 12,596.00
5Y 6.33 ₹ 13,594.00 7.59 ₹ 14,418.00
7Y 4.31 ₹ 13,435.00 5.44 ₹ 14,487.00
10Y 5.89 ₹ 17,725.00 6.93 ₹ 19,547.00
15Y

Disclaimer: Past performance may or may not be sustained in future and should not be used as a basis for comparison with other investments. Returns for periods above 1 year are annualised.

Investment Period Invested Amount Regular Direct
XIRR % Current Value of Invested Amount XIRR % Current Value of Invested Amount
1Y ₹ 12000 -7.91 ₹ 11,479.43 -6.85 ₹ 11,549.94
3Y ₹ 36000 6.51 ₹ 39,738.67 7.77 ₹ 40,490.93
5Y ₹ 60000 6.32 ₹ 70,386.24 7.57 ₹ 72,636.42
7Y ₹ 84000 5.53 ₹ 102,260.51 6.74 ₹ 106,751.65
10Y ₹ 120000 4.98 ₹ 154,886.04 6.11 ₹ 164,194.68
15Y ₹ 180000


Date Invesco India Credit Risk Fund NAV Regular Growth Invesco India Credit Risk Fund NAV Direct Growth
11-10-2024 1793.9975 1980.0355
10-10-2024 1794.0991 1980.0842
09-10-2024 1794.2717 1980.2112
08-10-2024 1791.7051 1977.3153
07-10-2024 1789.5601 1974.8848
04-10-2024 1789.4684 1974.5937
03-10-2024 1792.3438 1977.7031
01-10-2024 1793.9916 1979.3944
30-09-2024 1792.3234 1977.4905
27-09-2024 1790.8611 1975.6871
26-09-2024 1792.39 1977.3104
25-09-2024 1790.68 1975.3606
24-09-2024 1789.1198 1973.5763
23-09-2024 1788.5818 1972.9195
20-09-2024 1787.8197 1971.8892
19-09-2024 1787.7959 1971.7999
17-09-2024 1785.9255 1969.6107
16-09-2024 1786.6136 1970.3064
13-09-2024 1784.078 1967.3209
12-09-2024 1782.9235 1965.9848
11-09-2024 1781.7551 1964.6334

Fund Launch Date: 14/Aug/2014
Fund Category: Credit Risk Fund
Investment Objective: To generate accrual income and capital appreciation by investing in debt securities of varying maturities across the credit spectrum.
Fund Description: An open ended debt scheme predominantly investing in AA and below rated corporate bonds (excluding AA+ rated corporate bonds)
Fund Benchmark: CRISIL Composite AA Short Term Bond Index
Source: Fund FactSheet

Disclaimer: NO INVESTMENT ADVICE. The Content is for informational purposes only.