INVESQ OPTIMISER PORTFOLIO
Multi Asset
1 Month
-0.78%
6 Months
-
1 Year
-
3 Years
-
5 Years
-
Since Inception
+15.57%
AUM
₹18 Cr
Risk & Performance (vs NIFTY 500)
Volatility
12.63%
Sharpe Ratio
-
Sortino Ratio
-
Max Drawdown
-0.78%
Beta
-
Alpha
-
Information Ratio
-
Tracking Error
-
Calmar Ratio
-
Up Capture
-
Down Capture
-
Win Rate
75.0%
Best Month
+7.27%
Worst Month
-0.78%