Please try another search
YTD | 3M | 1Y | 3Y | 5Y | 10Y | |
---|---|---|---|---|---|---|
Growth of 1000 | 1093 | 983 | 1093 | 1156 | 1553 | 2461 |
Fund Return | 9.33% | -1.68% | 9.33% | 4.96% | 9.2% | 9.42% |
Place in category | 521 | 505 | 521 | 448 | 390 | 218 |
% in Category | 85 | 64 | 85 | 90 | 92 | 73 |
Name | Rating | Total Assets | YTD% | 3Y% | 10Y% | |
---|---|---|---|---|---|---|
World Technology Fund D2g | 1.64B | 33.50 | 4.94 | 19.31 | ||
Continental European Flexible Fundg | 19.07M | 4.42 | 0.28 | 12.22 | ||
New Energy Fund A4RF GBP | 74.34M | -2.94 | -2.90 | 8.87 | ||
New Energy Fund D4RF GBP | 96.48M | -6.77 | -2.57 | 10.35 | ||
European Equity Income Fund X5GRF G | 46.14M | 7.81 | 5.59 | - |
Name | Rating | Total Assets | YTD% | 3Y% | 10Y% | |
---|---|---|---|---|---|---|
GS India Equity Portfolio Other Cug | 4.82B | 21.99 | 10.69 | 12.68 | ||
GS India Equity Portfolio R GBP Inc | 4.82B | 23.10 | 11.70 | 13.69 | ||
KI Midcap Fund A GBP Inc | 3.54B | 20.39 | 12.13 | 12.55 | ||
KI Midcap Fund B GBP Acc | 3.54B | 20.38 | 12.13 | 12.96 | ||
Franklin India Fund Z acc GBP | 603.85K | 17.85 | 12.38 | 11.02 |
Name | ISIN | Weight % | Last | Change % | |
---|---|---|---|---|---|
Mahindra & Mahindra | INE101A01026 | 5.22 | 3,076.75 | +2.91% | |
Bharti Airtel | INE397D01024 | 5.18 | 1,623.25 | -0.19% | |
Infosys | INE009A01021 | 5.11 | 1,851.35 | -1.51% | |
ICICI Bank | INE090A01021 | 4.21 | 1,255.55 | +0.22% | |
Reliance Industries | INE002A01018 | 4.02 | 1,264.60 | -0.04% |
Type | Daily | Weekly | Monthly |
---|---|---|---|
Moving Averages | Sell | Sell | Neutral |
Technical Indicators | Strong Sell | Strong Sell | BUY |
Summary | Strong Sell | Strong Sell | Neutral |
Are you sure you want to block %USER_NAME%?
By doing so, you and %USER_NAME% will not be able to see any of each other's Investing.com's posts.
%USER_NAME% was successfully added to your Block List
Since you’ve just unblocked this person, you must wait 48 hours before renewing the block.
I feel that this comment is:
Thank You!
Your report has been sent to our moderators for review