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Search Results: Equity Funds with lowest Total Risk

Fund Name NAV Standard Deviation Asset Class
Reliance My Gold Plan 3305.27 0.1281 Gold ETFs
SBI Debt Fund Series B - 26 11.18 0.3246 Fixed Maturity Plans
SBI Debt Fund Series B - 27 11.12 0.3246 Fixed Maturity Plans
SBI Dual Advantage Fund - Series XII 11.07 0.3246 Balanced - Debt-Oriented
SBI Debt Fund Series B - 28 11.10 0.3246 Fixed Maturity Plans
SBI Debt Fund Series B - 29 11.12 0.3246 Fixed Maturity Plans
SBI Debt Fund Series B  - 7 11.74 0.3246 Fixed Maturity Plans
SBI Debt Fund Series - B - 19 11.56 0.3246 Fixed Maturity Plans
SBI Dual Advantage Fund - Series VIII 11.11 0.3246 Balanced - Debt-Oriented
SBI Debt Fund Series B - 8 11.73 0.3246 Fixed Maturity Plans
Total Results : 1-10 / 1720 (As On: 26-Feb-2017)
Standard Deviation: A statistical measure of total risk (volatility) of the fund, standard deviation indicates how far the fund returns can vary on either side of the mean returns. More is the standard deviation of a fund, more risky the investment in that fund could be. High volatility or standard deviation can also mean that the fund can potentially generate higher return.