BANK OF INDIA Conservative Hybrid Fund-Regular Plan-Growth

(Erstwhile BOI AXA Regular Return Fund-Regular Plan-Growth)

Category: Hybrid: Conservative
Launch Date: 18-03-2009
Asset Class: Mixed Asset
Benchmark: CRISIL Hybrid 85+15 Conservative Index
Expense Ratio: 2.23% As on (31-10-2024)
Status: Open Ended Schemes
Minimum Investment: 10000.0
Minimum Topup: 1000.0
Total Assets: 66.46 Cr As on (31-10-2024)
Turn over: -
NAV as on 19-11-2024

33.0645

0.04 (0.1098%)

CAGR Since Inception

7.92%

CRISIL Hybrid 85+15 Conservative Index 9.9%

PERFORMANCE of BANK OF INDIA Conservative Hybrid Fund-Regular Plan-Growth

Scheme Performance (%)

Data as on - 19-11-2024

Yearly Performance (%)

Fund Managers

Alok Singh

Investment Objective

The Scheme seeks to generate regular income through investments of a substantial portion in fixed income securities and long term capital appreciation by investing upto 20% of the net assets in equity and equity related nstruments. The scheme will seek to build a well-diversified, high credit portfolio that minimizes liquidity risk and credit risk.

NAV & Lumpsum details( Invested amount 1,00,000)

Show All Monthly Lumpsum Returns
NAV Date NAV Units Market
Value
Returns
(%)
18-03-2009 10.0 10000.0 100000 0.0 %
20-04-2009 10.3029 - 103029 3.03 %
19-05-2009 10.8103 - 108103 8.1 %
18-06-2009 10.7443 - 107443 7.44 %
20-07-2009 10.8644 - 108644 8.64 %
18-08-2009 10.9699 - 109699 9.7 %
18-09-2009 11.248 - 112480 12.48 %
20-10-2009 11.2435 - 112435 12.44 %
18-11-2009 11.255 - 112550 12.55 %
18-12-2009 11.1775 - 111775 11.77 %
18-01-2010 11.2502 - 112502 12.5 %
18-02-2010 11.0358 - 110358 10.36 %
18-03-2010 11.1074 - 111074 11.07 %
19-04-2010 11.0889 - 110889 10.89 %
18-05-2010 11.0655 - 110655 10.66 %
18-06-2010 10.9963 - 109963 9.96 %
19-07-2010 11.0338 - 110338 10.34 %
18-08-2010 11.1226 - 111226 11.23 %
20-09-2010 11.2369 - 112369 12.37 %
18-10-2010 11.3006 - 113006 13.01 %
18-11-2010 11.3094 - 113094 13.09 %
20-12-2010 11.2991 - 112991 12.99 %
18-01-2011 11.2491 - 112491 12.49 %
18-02-2011 11.1546 - 111546 11.55 %
18-03-2011 11.1671 - 111671 11.67 %
18-04-2011 11.3525 - 113525 13.53 %
18-05-2011 11.3444 - 113444 13.44 %
20-06-2011 11.3604 - 113604 13.6 %
18-07-2011 11.4876 - 114876 14.88 %
18-08-2011 11.4474 - 114474 14.47 %
19-09-2011 11.4901 - 114901 14.9 %
18-10-2011 11.5197 - 115197 15.2 %
18-11-2011 11.523 - 115230 15.23 %
19-12-2011 11.5479 - 115479 15.48 %
18-01-2012 11.6642 - 116642 16.64 %
21-02-2012 11.9507 - 119507 19.51 %
19-03-2012 11.9661 - 119661 19.66 %
18-04-2012 12.1115 - 121115 21.12 %
18-05-2012 11.9872 - 119872 19.87 %
18-06-2012 12.1012 - 121012 21.01 %
18-07-2012 12.247 - 122470 22.47 %
21-08-2012 12.3961 - 123961 23.96 %
18-09-2012 12.4954 - 124954 24.95 %
18-10-2012 12.6849 - 126849 26.85 %
19-11-2012 12.741 - 127410 27.41 %
18-12-2012 12.9639 - 129639 29.64 %
18-01-2013 13.0096 - 130096 30.1 %
18-02-2013 12.9668 - 129668 29.67 %
18-03-2013 12.9659 - 129659 29.66 %
18-04-2013 13.0536 - 130536 30.54 %
20-05-2013 13.1921 - 131921 31.92 %
18-06-2013 13.1103 - 131103 31.1 %
18-07-2013 13.1552 - 131552 31.55 %
19-08-2013 12.9645 - 129645 29.64 %
18-09-2013 13.2426 - 132426 32.43 %
18-10-2013 13.4568 - 134568 34.57 %
18-11-2013 13.5061 - 135061 35.06 %
18-12-2013 13.637 - 136370 36.37 %
20-01-2014 13.7495 - 137495 37.49 %
18-02-2014 13.7637 - 137637 37.64 %
18-03-2014 14.0286 - 140286 40.29 %
21-04-2014 14.2426 - 142426 42.43 %
19-05-2014 14.5217 - 145217 45.22 %
18-06-2014 14.7055 - 147055 47.05 %
18-07-2014 14.8815 - 148815 48.81 %
19-08-2014 15.0317 - 150317 50.32 %
18-09-2014 15.3023 - 153023 53.02 %
20-10-2014 15.3979 - 153979 53.98 %
18-11-2014 15.7082 - 157082 57.08 %
18-12-2014 15.7201 - 157201 57.2 %
19-01-2015 16.0144 - 160144 60.14 %
18-02-2015 16.183 - 161830 61.83 %
18-03-2015 16.2246 - 162246 62.25 %
20-04-2015 16.2928 - 162928 62.93 %
18-05-2015 16.3134 - 163134 63.13 %
18-06-2015 16.2815 - 162815 62.81 %
20-07-2015 16.5128 - 165128 65.13 %
19-08-2015 16.6849 - 166849 66.85 %
18-09-2015 16.601 - 166010 66.01 %
19-10-2015 16.931 - 169310 69.31 %
18-11-2015 16.7677 - 167677 67.68 %
18-12-2015 16.8245 - 168245 68.25 %
18-01-2016 16.6989 - 166989 66.99 %
18-02-2016 16.6739 - 166739 66.74 %
18-03-2016 17.013 - 170130 70.13 %
18-04-2016 17.2912 - 172912 72.91 %
18-05-2016 17.4258 - 174258 74.26 %
20-06-2016 17.6113 - 176113 76.11 %
18-07-2016 17.9154 - 179154 79.15 %
18-08-2016 18.2602 - 182602 82.6 %
19-09-2016 18.4122 - 184122 84.12 %
18-10-2016 18.636 - 186360 86.36 %
18-11-2016 18.4139 - 184139 84.14 %
19-12-2016 18.4368 - 184368 84.37 %
18-01-2017 18.7088 - 187088 87.09 %
20-02-2017 18.8745 - 188745 88.74 %
20-03-2017 19.0267 - 190267 90.27 %
18-04-2017 19.306 - 193060 93.06 %
18-05-2017 19.563 - 195630 95.63 %
19-06-2017 19.7754 - 197754 97.75 %
18-07-2017 19.9745 - 199745 99.74 %
18-08-2017 20.057 - 200570 100.57 %
18-09-2017 20.4455 - 204455 104.46 %
18-10-2017 20.5896 - 205896 105.9 %
20-11-2017 20.7186 - 207186 107.19 %
18-12-2017 20.88 - 208800 108.8 %
18-01-2018 21.2063 - 212063 112.06 %
20-02-2018 20.8889 - 208889 108.89 %
19-03-2018 21.0073 - 210073 110.07 %
18-04-2018 21.2385 - 212385 112.39 %
18-05-2018 20.9862 - 209862 109.86 %
18-06-2018 20.8973 - 208973 108.97 %
18-07-2018 20.8685 - 208685 108.69 %
20-08-2018 21.2787 - 212787 112.79 %
18-09-2018 20.9543 - 209543 109.54 %
19-10-2018 20.2005 - 202005 102.0 %
19-11-2018 20.4578 - 204578 104.58 %
18-12-2018 20.5228 - 205228 105.23 %
18-01-2019 20.5541 - 205541 105.54 %
18-02-2019 20.3025 - 203025 103.03 %
18-03-2019 20.9357 - 209357 109.36 %
18-04-2019 21.1353 - 211353 111.35 %
20-05-2019 20.7475 - 207475 107.48 %
18-06-2019 19.668 - 196680 96.68 %
18-07-2019 18.453 - 184530 84.53 %
19-08-2019 18.3297 - 183297 83.3 %
18-09-2019 18.3565 - 183565 83.56 %
18-10-2019 18.6839 - 186839 86.84 %
18-11-2019 18.9138 - 189138 89.14 %
18-12-2019 19.0567 - 190567 90.57 %
20-01-2020 19.1653 - 191653 91.65 %
18-02-2020 19.5548 - 195548 95.55 %
18-03-2020 18.3216 - 183216 83.22 %
20-04-2020 18.9403 - 189403 89.4 %
18-05-2020 18.6119 - 186119 86.12 %
18-06-2020 19.0276 - 190276 90.28 %
20-07-2020 19.5988 - 195988 95.99 %
18-08-2020 20.1336 - 201336 101.34 %
18-09-2020 20.4425 - 204425 104.42 %
19-10-2020 20.5565 - 205565 105.56 %
18-11-2020 20.8919 - 208919 108.92 %
18-12-2020 21.1837 - 211837 111.84 %
18-01-2021 21.3036 - 213036 113.04 %
18-02-2021 21.2691 - 212691 112.69 %
18-03-2021 21.1194 - 211194 111.19 %
19-04-2021 21.3941 - 213941 113.94 %
18-05-2021 21.691 - 216910 116.91 %
18-06-2021 21.971 - 219710 119.71 %
19-07-2021 22.261 - 222610 122.61 %
18-08-2021 22.6361 - 226361 126.36 %
20-09-2021 22.8866 - 228866 128.87 %
18-10-2021 23.2236 - 232236 132.24 %
18-11-2021 23.0624 - 230624 130.62 %
20-12-2021 22.6612 - 226612 126.61 %
18-01-2022 23.4318 - 234318 134.32 %
18-02-2022 22.9021 - 229021 129.02 %
21-03-2022 22.8959 - 228959 128.96 %
18-04-2022 27.2481 - 272481 172.48 %
18-05-2022 26.7192 - 267192 167.19 %
20-06-2022 26.3893 - 263893 163.89 %
18-07-2022 26.9996 - 269996 170.0 %
18-08-2022 27.6504 - 276504 176.5 %
19-09-2022 27.6517 - 276517 176.52 %
18-10-2022 27.6015 - 276015 176.02 %
18-11-2022 27.8928 - 278928 178.93 %
19-12-2022 28.0696 - 280696 180.7 %
18-01-2023 28.0782 - 280782 180.78 %
20-02-2023 27.9497 - 279497 179.5 %
20-03-2023 27.8135 - 278135 178.13 %
18-04-2023 28.2384 - 282384 182.38 %
18-05-2023 28.5806 - 285806 185.81 %
19-06-2023 28.8739 - 288739 188.74 %
18-07-2023 29.1966 - 291966 191.97 %
18-08-2023 29.2554 - 292554 192.55 %
18-09-2023 29.7635 - 297635 197.63 %
18-10-2023 29.8134 - 298134 198.13 %
20-11-2023 30.1271 - 301271 201.27 %
18-12-2023 30.9568 - 309568 209.57 %
18-01-2024 31.2306 - 312306 212.31 %
20-02-2024 31.9076 - 319076 219.08 %
18-03-2024 31.8131 - 318131 218.13 %
18-04-2024 32.0376 - 320376 220.38 %
21-05-2024 32.4885 - 324885 224.88 %
18-06-2024 32.9674 - 329674 229.67 %
18-07-2024 33.0614 - 330614 230.61 %
19-08-2024 33.2254 - 332254 232.25 %
19-09-2024 33.219 - 332190 232.19 %
18-10-2024 33.2536 - 332536 232.54 %
18-11-2024 33.0282 - 330282 230.28 %
19-11-2024 33.0645 - 330645 230.64 %

RETURNS CALCULATOR for BANK OF INDIA Conservative Hybrid Fund-Regular Plan-Growth

Growth of 10000 In SIP (Fund vs Benchmark)

Amount :
Period :
Start :
End :

Growth of 10000 In LUMPSUM (Fund vs Benchmark)

Amount :
Start :

Rolling Returns

Rolling returns are the annualized returns of the scheme taken for a specified period (rolling returns period) on every day/week/month and taken till the last day of the duration. In this chart we are showing the annualized returns over the rolling returns period on every day from the start date and comparing it with the benchmark. Rolling returns is the best measure of a fund's performance. Trailing returns have a recency bias and point to point returns are specific to the period in consideration. Rolling returns, on the other hand, measures the fund's absolute and relative performance across all timescales, without bias.

Riskometer

Key Performance and Risk Statistics of BANK OF INDIA Conservative Hybrid Fund-Regular Plan-Growth

Key Statistics Volatility Sharpe Ratio Alpha Beta Yield to Maturity Average Maturity
BANK OF INDIA Conservative Hybrid Fund-Regular Plan-Growth 11.72 0.55 5.96 0.76 7.08 3.18
Hybrid: Conservative - - - - - -

PEER COMPARISION of BANK OF INDIA Conservative Hybrid Fund-Regular Plan-Growth

Amount :
Start :
End :
Period
Data as on - 19-11-2024
Scheme Name Launch
Date
1-Year
Ret (%)
2-Yrs
Ret (%)
3-Yrs
Ret (%)
5-Yrs
Ret (%)
10-Yrs
Ret (%)
BANK OF INDIA Conservative Hybrid Fund-Regular Plan-Growth 18-03-2009 9.63 8.85 12.74 11.83 7.74
HSBC Conservative Hybrid Fund - Regular Growth 24-02-2004 15.51 12.15 8.08 8.84 7.7
Kotak Debt Hybrid - Growth 02-12-2003 14.59 12.23 9.08 11.28 9.6
Parag Parikh Conservative Hybrid Fund - Regular Plan - Growth 05-05-2021 14.59 13.43 10.88 0.0 0.0
UTI Conservative Hybrid Fund - Regular Plan - Growth Option 16-12-2003 13.91 11.3 8.12 9.9 8.41
HDFC Hybrid Debt Fund - Growth Plan 01-12-2003 13.4 12.13 9.64 10.75 8.87
DSP Regular Savings Fund- Regular Plan - Growth 11-06-2004 13.16 11.36 8.49 8.56 7.09
ICICI Prudential Regular Savings Fund - Plan - Growth 10-03-2004 13.09 10.98 8.85 9.71 9.47
Franklin India Debt Hybrid Fund - Growth 28-09-2000 12.8 10.45 8.0 8.09 7.67
SBI Conservative Hybrid Fund - Regular Plan - Growth 25-03-2001 12.75 11.68 8.9 10.95 9.35

PORTFOLIO ANALYSIS of BANK OF INDIA Conservative Hybrid Fund-Regular Plan-Growth

Asset Allocation (%)

Allocation Percentage (%)

Market Cap Distribution

Small Cap

2.61%

Others

82.26%

Large Cap

13.41%

Mid Cap

1.72%

Total

100%