PERFORMANCE AT A GLANCE | (as on June 28, 2024)

EQUITY SCHEMES

CANARA ROBECO FLEXICAP FUND*
Fund Managers: (1) Mr. Shridatta Bhandwaldar is managing the scheme since 5-July-16 (2) Mr. Pranav Gokhale is managing the scheme since 06-November-23.

Period
Returns (%)
Current Value of Standard Investment of ₹ 10000
Scheme
BSE 500 TRI#*
BSE SENSEX TRI##
Scheme
BSE 500 TRI#*
S&P BSE SENSEX TRI##
Last 1 Year
32.24
38.40
23.77
13214
13828
12369
Last 3 Years
16.66
19.97
16.09
15871
17257
15637
Last 5 Years
18.48
19.95
16.34
23367
24851
21330
Since Inception 
18.15
17.08*
17.48
320970
268012
285378

The past performance may or may not be sustained in the future. Returns are based on NAV of Regular Plan – Growth Option and are calculated on compounded annualized basis for a period of more than (or equal to) a year and Simple annualized basis for a period less than a year. Inception Date: September 16, 2003. Different plans have a different expense structure. *Since inception return for the benchmark is Composite return - “As TRI data is not available since inception of the scheme, benchmark performance is calculated using composite CAGR of S&P BSE 500 TRI Index. PRI values from 16th Sept 2003 to 1st Aug, 2006 and TRI values since 1st Aug, 2006 are considered. *Please refer notice cum addendum no.13 dated June 07, 2024 for Change in Benchmark of certain Schemes with effect from June 01, 2024

CANARA ROBECO INFRASTRUCTURE*
Fund Managers: (1) Mr. Vishal Mishra is managing the scheme since 26-June-21 (2) Mr. Shridatta Bhandwaldar is managing the scheme since 29-September-18.

Period
Returns (%)
Current Value of Standard Investment of ₹ 10000
Scheme
BSE India Infrastructure TRI#
BSE SENSEX TRI##
Scheme
BSE India Infrastructure TRI#
BSE SENSEX TRI##
Last 1 Year
73.00
113.11
23.77
17274
21267
12369
Last 3 Years
36.35
43.36
16.09
25325
29436
15637
Last 5 Years
28.28
29.26
16.34
34789
36128
21330
Since Inception 
16.17
-
15.08
162080
136127

The past performance may or may not be sustained in the future. Returns are based on NAV of Regular Plan – Growth Option and are calculated on compounded annualized basis for a period of more than (or equal to) a year and Simple annualized basis for a period less than a year. Inception Date: December 2, 2005 . Different plans have a different expense structure. *Please refer notice cum addendum no.13 dated June 07, 2024 for Change in Benchmark of certain Schemes with effect from June 01, 2024

CANARA ROBECO ELSS TAX SAVER FUND - Regular Plan Growth option*
Fund Managers: (1) Mr. Vishal Mishra is managing the scheme since 26-June-21 (2) Mr. Shridatta Bhandwaldar is managing the scheme since 01-October-19.

Period
Returns (%)
Current Value of Standard Investment of ₹ 10000
Scheme
BSE 500 Index TRI#
BSE SENSEX TRI##
Scheme
BSE 500 Index TRI#
BSE SENSEX TRI##
Last 1 Year
33.42
38.40
23.77
13331
13828
12369
Last 3 Years
17.37
19.97
16.09
16160
17257
15637
Last 5 Years
20.05
19.95
16.34
24960
24851
21330
Since Inception 
19.80
18.20
16.60
161771
131576
106528

The past performance may or may not be sustained in the future. Returns are based on NAV of Regular Plan – Growth Option and are calculated on compounded annualized basis for a period of more than (or equal to) a year and Simple annualized basis for a period less than a year. Inception date of Regular Plan Growth Option : 02-February-2009. Inception date of Scheme – March 31, 1993. Different plans have a different expense structure. *Please refer notice cum addendum no.13 dated June 07, 2024 for Change in Benchmark of certain Schemes with effect from June 01, 2024

CANARA ROBECO ELSS TAX SAVER FUND - Regular Plan IDCW Option*
Fund Managers: (1) Mr. Vishal Mishra is managing the scheme since 26-June-21 (2) Mr. Shridatta Bhandwaldar is managing the scheme since 01-October-19.

Period
Returns (%)
Current Value of Standard Investment of ₹ 10000
Scheme
BSE 500 Index TRI#
BSE SENSEX TRI##**
Scheme
BSE 500 Index TRI#
BSE SENSEX TRI##**
Last 1 Year
33.43
38.40
23.77
13332.00
13828.00
12369.00
Last 3 Years
17.38
19.97
16.09
16164
17257
15637
Last 5 Years
20.06
19.95
16.34
24968
24851
21330
Since Inception 
15.44
-
13.57**
889277
534930

The past performance may or may not be sustained in the future. Returns are based on NAV of Regular Plan - IDCW Option and are calculated on compounded annualized basis for a period of more than (or equal to) a year and Simple annualized basis for a period less than a year. Inception Date: March 31, 1993. Different plans have a different expense structure. ** Since inception return for the benchmark is Composite return - “As TRI data is not available since inception of the scheme, benchmark performance is calculated using composite CAGR of S&P BSE SENSEX TRI Index. PRI values from 31 March 1993 to 19 Aug, 1996 and TRI values since 19 Aug, 1996 are considered.” *Please refer notice cum addendum no.13 dated June 07, 2024 for Change in Benchmark of certain Schemes with effect from June 01, 2024

CANARA ROBECO EMERGING EQUITIES
Fund Managers:(1) Mr. Amit Nadekar is managing the scheme since 28-August-23. (2) Mr. Shridatta Bhandwaldar is managing the scheme since 01-October-19.

Period
Returns (%)
Current Value of Standard Investment of ₹ 10000
Scheme
NIFTY Large Midcap 250 TRI#
BSE SENSEX TRI##
Scheme
NIFTY Large Midcap 250 TRI#
BSE SENSEX TRI##
Last 1 Year
40.26
44.32
23.77
14013
14417
12369
Last 3 Years
19.17
22.76
16.09
16915
18490
15637
Last 5 Years
20.90
22.66
16.34
25859
27792
21330
Since Inception 
18.00
-
16.08
244520
-
177993

The past performance may or may not be sustained in the future. Returns are based on NAV of Regular Plan – Growth Option and are calculated on compounded annualized basis for a period of more than (or equal to) a year and Simple annualized basis for a period less than a year. Inception Date: March 11, 2005. Different plans have a different expense structure.

CANARA ROBECO CONSUMER TRENDS FUND*
Fund Managers: (1) Ms. Ennette Fernandes is managing the scheme since 01-October-21. (2) Mr. Shridatta Bhandwaldar is managing the scheme since 01-October-19.

Period
Returns (%)
Current Value of Standard Investment of ₹ 10000
Scheme
BSE 100 TRI#
BSE SENSEX TRI##
Scheme
BSE 100 TRI#
BSE SENSEX TRI##
Last 1 Year
33.84
31.54
23.77
13373
13144
12369
Last 3 Years
20.88
18.24
16.09
17656
16524
15637
Last 5 Years
21.39
17.90
16.34
26388
22798
21330
Since Inception 
17.17
13.29
12.81
104310
63364
59542

The past performance may or may not be sustained in the future. Returns are based on NAV of Regular Plan – Growth Option and are calculated on compounded annualized basis for a period of more than (or equal to) a year and Simple annualized basis for a period less than a year. Inception Date: September 14, 2009. Different plans have a different expense structure. *Please refer notice cum addendum no.13 dated June 07, 2024 for Change in Benchmark of certain Schemes with effect from June 01, 2024

CANARA ROBECO BLUE CHIP EQUITY FUND*
Fund Managers: (1) Mr. Shridatta Bhandwaldar is managing the scheme since 05-July-16 (2) Mr. Vishal Mishra is managing the scheme since 01-June-21.

Period
Returns (%)
Current Value of Standard Investment of ₹ 10000
Scheme
BSE 100 TRI#
BSE SENSEX TRI##
Scheme
BSE 100 TRI#
SBSE SENSEX TRI##
Last 1 Year
30.94
31.54
23.77
13085
13144
12369
Last 3 Years
16.05
18.24
16.09
15622
16524
15637
Last 5 Years
18.36
17.90
16.34
23246
22798
21330
Since Inception 
13.70
12.91
14.62
59300
53827
66293

The past performance may or may not be sustained in the future. Returns are based on NAV of Regular Plan – Growth Option and are calculated on compounded annualized basis for a period of more than (or equal to) a year and Simple annualized basis for a period less than a year. Inception Date: August 20, 2010. Different plans have a different expense structure. *Please refer notice cum addendum no.13 dated June 07, 2024 for Change in Benchmark of certain Schemes with effect from June 01, 2024

CANARA ROBECO EQUITY HYBRID FUND
Fund Managers:(1) Ms. Ennette Fernandes is managing the scheme since 01-October-21 (2) Mr. Shridatta Bhandwaldar is managing the scheme since 05-July-16 (3) Mr. Avnish Jain is managing the scheme since 07-October-13.

Period
Returns (%)
Current Value of Standard Investment of ₹ 10000
Scheme
CRISIL Hybrid 35+65 - Aggressive Index#
BSE SENSEX TRI##
Scheme
CRISIL Hybrid 35+65 - Aggressive Index#
BSE SENSEX TRI##
Last 1 Year
26.42
25.54
23.77
12634
12546
12369
Last 3 Years
14.16
14.50
16.09
14872
15004
15637
Last 5 Years
15.78
15.34
16.34
20825
20430
21330
Since Inception 
11.84
-
12.98
337030
-
463068

The past performance may or may not be sustained in the future. Returns are based on NAV of Regular Plan – Growth Option and are calculated on compounded annualized basis for a period of more than (or equal to) a year and Simple annualized basis for a period less than a year. Inception Date: February 1, 1993. Different plans have a different expense structure.

CANARA ROBECO SMALL CAP FUND
Fund Managers: (1) Mr. Pranav Gokhale is managing the scheme since 06-November-23. (2) Mr. Shridatta Bhandwaldar is managing the scheme since 01-October-19.

Period
Returns (%)
Current Value of Standard Investment of ₹ 10000
Scheme
NIFTY Small Cap 250 TRI#
BSE SENSEX TRI##
Scheme
NIFTY Small Cap 250 TRI#
BSE SENSEX TRI##
Last 1 Year
44.47
63.59
23.77
14432
16337
12369
Last 3 Years
27.60
27.59
16.09
20764
20758
15637
Last 5 Years
31.39
28.37
16.34
39218
34909
21330
Since Inception 
28.93
28.18
17.33
39140
37929
23589

The past performance may or may not be sustained in the future. Returns are based on NAV of Regular Plan – Growth Option and are calculated on compounded annualized basis for a period of more than (or equal to) a year and Simple annualized basis for a period less than a year. Inception Date: February 15, 2019. Different plans have a different expense structure.

CANARA ROBECO FOCUSED EQUITY FUND**
*Fund Managers: (1) Mr. Shridatta Bhandwaldar is managing the scheme since 17-May-21. (2) Mr. Amit Kadam is managing the scheme since 10-April-24.

Period
Returns (%)
Current Value of Standard Investment of ₹ 10000
Scheme
BSE 500 TRI#
BSE SENSEX TRI##
Scheme
BSE 500 TRI#
BSE SENSEX TRI##
Last 1 Year
33.66
38.40
23.77
13355
13828
12369
Last 3 Year
19.29
19.97
16.09
16968
17257
15637
Since Inception 
21.15
21.62
17.71
18190
18410
16625

The past performance may or may not be sustained in the future. Returns are based on NAV of Regular Plan – Growth Option and are calculated on compounded annualized basis for a period of more than (or equal to) a year and Simple annualized basis for a period less than a year. Inception Date: May 17, 2021. Different plans have a different expense structure. The scheme has been in existence for more than 3 years but less than 5 years. **Please refer notice cum addendum no.13 dated June 07, 2024 for Change in Benchmark of certain Schemes with effect from June 01, 2024

CANARA ROBECO VALUE FUND*
Fund Managers: (1) Mr. Vishal Mishra (Fund Manager) is managing the scheme Since 03-September -21 (2) Ms. Silky Jain (Assistant Fund Manager) is managing the scheme Since 01-October -21

Period
Returns (%)
Current Value of Standard Investment of ₹ 10000
Scheme
BSE 500 Index TRI#
BSE SENSEX TRI##
Scheme
BSE 500 Index TRI#
BSE SENSEX TRI##
Last 1 Year
39.04
38.40
23.77
13892
13828
12369
Since Inception 
22.38
17.42
12.94
17670
15727
14091

The past performance may or may not be sustained in the future. Returns are based on NAV of Regular Plan – Growth Option and are calculated on compounded annualized basis for a period of more than (or equal to) a year and Simple annualized basis for a period less than a year. . Inception Date: September 03, 2021 Different plans have a different expense structure.The scheme has been in existence for more than 1 year but less than 3 years. Please refer notice cum addendum no.13 dated June 07, 2024 for Change in Benchmark of certain Schemes with effect from June 01, 2024

CANARA ROBECO MID CAP FUND*
Fund Managers: (1) Mr. Pranav Gokhale is managing the scheme since 06-November-23. (2) Mr. Shridatta Bhandwaldar is managing the scheme 02-December-22.

Period
Returns (%)
Current Value of Standard Investment of ₹ 10000
Scheme
BSE 150 Mid Cap TRI#
BSE SENSEX TRI##
Scheme
BSE 150 Mid Cap TRI#
BSE SENSEX TRI##
Last 1 Year
48.70
59.04
23.77
14854
15884
12369
Since Inception 
36.33
41.31
17.21
16280
17225
12837

The past performance may or may not be sustained in the future. Returns are based on NAV of Regular Plan – Growth Option and are calculated on compounded annualized basis for a period of more than (or equal to) a year and Simple annualized basis for a period less than a year. Inception Date: December 02, 2022 Different plans have a different expense structure. The scheme has been in existence for more than 1 year but less than 3 years. *Please refer notice cum addendum no.13 dated June 07, 2024 for Change in Benchmark of certain Schemes with effect from June 01, 2024

 

CANARA ROBECO MULTI CAP FUND
Fund Manager: 1) Mr. Shridatta Bhandalwar is managing the scheme since 28-July-23 2) Mr. Vishal Mishra is managing the scheme since 28-July-23.

 
Period
Returns (%)
Current Value of Standard Investment of ₹ 10000
Scheme
Nifty 500 Multicap 50:25:25 Index TRI#
BSE Sensex TRI##
Scheme
Nifty 500 Multicap 50:25:25 Index TRI#
BSE Sensex TRI##
Last 6 Months
35.06
37.19
20.53
11748
11854
11024
Since Inception
40.30
43.52
22.68
13710
14006
12088

The past performance may or may not be sustained in the future. Returns are based on NAV of Regular Plan – Growth Option. Scheme has been in existence for more than six months but less than one year therefore returns shown are based on simple annualized growth rate of the scheme for the past 6 months and since the inception from the last day of previous month-end. Date: July 28, 2023 Different plans have a different expense structure.

PERFORMANCE AT A GLANCE | (as on June 28, 2024)

INCOME / DEBT SCHEMES

CANARA ROBECO CONSERVATIVE HYBRID FUND - Regular Plan Growth option
*Fund Managers: (1) Mr. Avnish Jain is managing the scheme since 07-October-13 (2) Mr. Amit Kadam is managing the scheme since 10-April-24.

Period
Returns (%)
Current Value of Standard Investment of ₹ 10000
Scheme
CRISIL Hybrid 85+15 - Conservative Index#
CRISIL 10 Year Gilt Index##
Scheme
CRISIL Hybrid 85+15 - Conservative Index#
CRISIL 10 Year Gilt Index##
Last 1 Year
11.93
11.59
7.30
11189
11156
10728
Last 3 Years
7.59
7.69
4.15
12451
12487
11296
Last 5 Years
9.34
9.01
5.50
15634
15398
13076
Since Inception 
10.16
8.93
6.17
81282
63724
36548

The past performance may or may not be sustained in the future. Returns are based on NAV of Regular Plan – Growth Option and are calculated on compounded annualized basis for a period of more than (or equal to) a year and Simple annualized basis for a period less than a year. Inception date of Regular Plan Growth Option : 05-November-2002. Inception date of Scheme –April 24, 1988. Different plans have a different expense structure. As per the provisions of SEBI circular dated April 12, 2018 (Performance disclosure post consolidation/ Merger of Schemes), the past performance of aforesaid scheme is based on the historical NAV of Canara Robeco Income Saver Fund (erstwhile Canara Robeco Monthly Income Plan) and hence may not be comparable.

CANARA ROBECO CONSERVATIVE HYBRID FUND - Regular Plan Monthly IDCW Option
*Fund Managers: (1) Mr. Avnish Jain is managing the scheme since 07-October-13 (2) Mr. Amit Kadam is managing the scheme since 10-April-24.

Period
Returns (%)
Current Value of Standard Investment of ₹ 10000
Scheme
CRISIL Hybrid 85+15 - Conservative Index#
CRISIL 10 Year Gilt Index##
Scheme
CRISIL Hybrid 85+15 - Conservative Index#
CRISIL 10 Year Gilt Index##
Last 1 Year
11.92
11.59
7.30
11189
11156
10728
Last 3 Years
7.59
7.69
4.15
12452
12487
11296
Last 5 Years
9.34
9.01
5.50
15636
15398
13076
Since Inception 
9.68
-
-
283261
-
-

The past performance may or may not be sustained in the future. Returns are based on NAV of Regular Plan Monthly IDCW Option and are calculated on compounded annualized basis for a period of more than (or equal to) a year and Simple annualized basis for a period less than a year. Inception Date: April 24, 1988. Different plans have a different expense structure. As per the provisions of SEBI circular dated April 12, 2018 (Performance disclosure post consolidation/ Merger of Schemes), the past Performance of aforesaid scheme is based on the historical NAV of Canara Robeco Income Saver Fund (erstwhile Canara Robeco Monthly Income Plan) and hence may not be comparable.

CANARA ROBECO SHORT DURATION FUND
Fund Managers: (1) Ms. Suman Prasad is managing the scheme since 16-September-12. (2) Mr. Avnish Jain is managing the scheme since 18-July-22

Period
Returns (%)
Current Value of Standard Investment of ₹ 10000
Scheme
CRISIL Short Duration
Debt A-II Index#
CRISIL 10 Year Gilt Index##
Scheme
CRISIL Short Duration
Debt A-II Index#
CRISIL 10 Year Gilt Index##
Last 1 Year
6.38
7.23
7.30
10636
10721
10728
Last 3 Years
4.72
5.59
4.15
11484
11771
11296
Last 5 Years
5.69
6.53
5.50
13189
13724
13076
Since Inception 
6.69
7.75
6.56
23513
26767
23102

The past performance may or may not be sustained in the future. Returns are based on NAV of Regular Plan – Growth Option and are calculated on compounded annualized basis for a period of more than (or equal to) a year and Simple annualized basis for a period less than a year. Inception Date: April 25, 2011. Different plans have a different expense structure. As per the provisions of SEBI circular dated April 12, 2018 (Performance disclosure post consolidation/ Merger of Schemes), the past performance of aforesaid scheme is based on the historical NAV of Canara Robeco Short Duration Fund (erstwhile Canara Robeco Yield Advantage Fund) and hence may not be comparable.

CANARA ROBECO INCOME FUND
Fund Managers: (1) Mr. Avnish Jain is managing the scheme since 25-June-14 (2) Mr. Kunal Jain is managing the scheme since 18-July-22

Period
Returns (%)
Current Value of Standard Investment of ₹ 10000
Scheme
CRISIL Medium to Long Duration Debt A-III Index#
CRISIL 10 Year Gilt Index##
Scheme
CRISIL Medium to Long Duration Debt A-III Index#
CRISIL 10 Year Gilt Index##
Last 1 Year
6.47
7.10
7.30
10645
10708
10728
Last 3 Years
4.24
5.38
4.15
11326
11700
11296
Last 5 Years
5.39
7.05
5.50
13007
14067
13076
Since Inception 
7.83
7.64
6.27
51707
49690
37611

The past performance may or may not be sustained in the future. Returns are based on NAV of Regular Plan – Growth Option and are calculated on compounded annualized basis for a period of more than (or equal to) a year and Simple annualized basis for a period less than a year. Inception Date: September 19, 2002. Different plans have a different expense structure.

CANARA ROBECO LIQUID FUND
Fund Managers: (1) Mr. Kunal Jain is managing the scheme since 18-July-22 (2) Mr. Avnish Jain is managing the scheme since 01-April-22

Period
Returns (%)
Current Value of Standard Investment of ₹ 10000
Scheme
CRISIL Liquid Debt A-I Index#
CRISIL 1 Year T-Bill Index##
Scheme
CRISIL Liquid Debt A-I Index#
CRISIL 1 Year T-Bill Index##
Last 1 Year
7.29
7.30
7.13
10726
10727
10711
Last 3 Years
5.75
5.85
5.50
11825
11858
11741
Last 5 Years
5.05
5.29
5.55
12799
12945
13105
Since Inception 
6.97
6.80
6.30
29309
28601
26520
Last 7 Days
6.79
6.92
7.96
10013
10013
10015
Last 15 Days
6.85
6.88
7.82
10028
10028
10032
Last 30 Days
6.92
6.95
7.89
10057
10057
10065

The past performance may or may not be sustained in the future. Returns are based on NAV of Regular Plan – Growth Option and are calculated on compounded annualized basis for a period of more than (or equal to) a year and Simple annualized basis for a period less than a year. Inception Date: January 15, 2002 .The face value was changed to ₹ 1000 w.e.f August 20, 2011. Different plans have a different expense structure.

CANARA ROBECO ULTRA SHORT TERM FUND
Fund Managers: (1) Ms. Suman Prasad is managing the scheme since 12-April-11 (2) Mr. Avnish Jain is managing the scheme since 01-April-22

Period
Returns (%)
Current Value of Standard Investment of ₹ 10000
Scheme
CRISIL Ultra Short Duration Debt A-I Index#
CRISIL 1 Year T-Bill Index##
Scheme
CRISIL Ultra Short Duration Debt A-I Index#
CRISIL 1 Year T-Bill Index##
Last 1 Year
6.50
7.54
7.13
10648
10752
10711
Last 3 Years
5.00
6.07
5.50
11574
11931
11741
Last 5 Years
4.80
5.95
5.55
12647
13352
13105
Since Inception
6.80
7.43
6.30
35488
31399
26526

The past performance may or may not be sustained in the future. Returns are based on NAV of Regular Plan – Growth Option and are calculated on compounded annualized basis for a period of more than (or equal to) a year and Simple annualized basis for a period less than a year. Inception Date: September 16, 2003 . The face value was changed to ₹ 1000 w.e.f August 20, 2011. Different plans have a different expense structure.

CANARA ROBECO DYNAMIC BOND FUND
Fund Managers: (1) Mr. Kunal Jain is managing the scheme since 18-July-22 (2) Mr. Avnish Jain is managing the scheme since 01-April-22

Period
Returns (%)
Current Value of Standard Investment of ₹ 10000
Scheme
CRISIL Dynamic Bond A-III Index#
CRISIL 10 Year Gilt Index##
Scheme
CRISIL Dynamic Bond A-III Index#
CRISIL 10 Year Gilt Index##
Last 1 Year
6.79
7.37
7.30
10677
10735
10728
Last 3 Years
4.63
5.49
4.15
11454
11737
11296
Last 5 Years
5.23
7.05
5.50
12907
14062
13076
Since Inception 
6.93
7.79
5.95
27492
31035
23910

The past performance may or may not be sustained in the future. Returns are based on NAV of Regular Plan – Growth Option and are calculated on compounded annualized basis for a period of more than (or equal to) a year and Simple annualized basis for a period less than a year. Inception Date: May 29, 2009. Different plans have a different expense structure.

CANARA ROBECO CORPORATE BOND FUND
Fund Managers: (1) Mr. Avnish Jain is managing the scheme since 07-February-14. (2) Ms. Suman Prasad is managing the scheme since 18-July-22

Period
Returns (%)
Current Value of Standard Investment of ₹ 10000
Scheme
CRISIL Corporate Debt A-II Index#
CRISIL 10 Year Gilt Index##
Scheme
CRISIL Corporate Debt A-II Index#
CRISIL 10 Year Gilt Index##
Last 1 Year
6.44
7.23
7.30
10643
10721
10728
Last 3 Years
4.77
5.56
4.15
11498
11761
11296
Last 5 Years
5.83
6.83
5.50
13278
13921
13076
Since Inception 
6.98
8.26
7.09
20163
22829
20381

The past performance may or may not be sustained in the future. Returns are based on NAV of Regular Plan – Growth Option and are calculated on compounded annualized basis for a period of more than (or equal to) a year and Simple annualized basis for a period less than a year.Inception Date: February 07, 2014. Different plans have a different expense structure.

CANARA ROBECO SAVINGS FUND
Fund Managers: (1) Mr. Kunal Jain is managing the scheme since 18-July-22 (2) Mr. Avnish Jain is managing the scheme since 01-April-22

Period
Returns (%)
Current Value of Standard Investment of ₹ 10000
Scheme
CRISIL Low Duration
Debt A-I Index#
CRISIL 1 Year T-Bill Index##
Scheme
CRISIL Low Duration
Debt A-I Index#
CRISIL 1 Year T-Bill Index##
Last 1 Year
7.06
7.43
7.13
10704
10741
10711
Last 3 Years
5.45
5.91
5.50
11723
11877
11741
Last 5 Years
5.62
6.17
5.55
13145
13494
13105
Since Inception 
7.31
7.23
6.08
39114
38520
31294

The past performance may or may not be sustained in the future. Returns are based on NAV of Regular Plan – Growth Option and are calculated on compounded annualized basis for a period of more than (or equal to) a year and Simple annualized basis for a period less than a year. Inception Date: March 4, 2005. Different plans have a different expense structure.

CANARA ROBECO GILT FUND
Fund Managers:(1) Mr. Kunal Jain is managing the scheme since 18-July-22 (2) Mr. Avnish Jain is managing the scheme since 01-April-22

Period
Returns (%)
Current Value of Standard Investment of ₹ 10000
Scheme
CRISIL Dynamic Gilt Index#
CRISIL 10 Year Gilt Index##
Scheme
CRISIL Dynamic Gilt Index#
CRISIL 10 Year Gilt Index##
Last 1 Year
7.66
8.21
7.30
10764
10819
10728
Last 3 Years
5.13
5.82
4.15
11619
11847
11296
Last 5 Years
5.77
6.75
5.50
13242
13868
13076
Since Inception 
8.27
8.48
-
70201
73636
-

The past performance may or may not be sustained in the future. Returns are based on NAV of Regular Plan – Growth Option and are calculated on compounded annualized basis for a period of more than (or equal to) a year and Simple annualized basis for a period less than a year. Inception Date: December 29, 1999. Different plans have a different expense structure.

CANARA ROBECO OVERNIGHT FUND
Fund Manager: (1) Ms. Suman Prasad is managing the scheme since 24-July-19

Period
Returns (%)
Current Value of Standard Investment of ₹ 10000
Scheme
CRISIL Liquid
Overnight Index#
CRISIL 1 Year T-Bill Index##
Scheme
CRISIL Liquid
Overnight Index#
CRISIL 1 Year T-Bill Index##
Last 1 Year
6.70
6.84
7.13
10668
10682
10711
Last 3 Years
5.39
5.52
5.50
11705
11748
11741
Since Inception 
4.74
4.83
5.51
12566
12619
13027
Last 7 Days
6.50
6.63
7.96
10012
10013
10015
Last 15 Days
6.51
6.64
7.82
10027
10027
10032
Last 30 Days
6.42
6.56
7.89
10053
10054
10065

The past performance may or may not be sustained in the future. Returns are based on NAV of Regular Plan – Growth Option and are calculated on compounded annualized basis for a period of more than (or equal to) a year and simple annualized basis for a period less than a year. Inception Date: July 24, 2019. Different plans have a different expense structure. The scheme has been in existence for more than 3 year but less than 5 years.

 

CANARA ROBECO BANKING AND PSU DEBT FUND
Fund Manager: Mr. Avnish Jain is managing the scheme since 22-August-22.

 
Period
Returns (%)
Current Value of Standard Investment of ₹ 10000
Scheme
CRISIL Banking&PSU
Debt A-II Index#
CRISIL 10 Year Gilt Index##
Scheme
CRISIL Banking&PSU
Debt A-II Index#
CRISIL 10 Year Gilt Index##
Last 1 Year
6.63
7.08
7.30
10661
10706
10728
Since Inception
6.19
6.85
7.70
11176
11306
11472

The past performance may or may not be sustained in the future. Returns are based on NAV of Regular Plan – Growth Option. Scheme has been in existence for more than six months but less than one year.Date: August 22, 2022 Different plans have a different expense structure. The scheme has been in existence for more than 1 year but less than 3 years.

Scheme Benchmark# | Additional Benchmark## | - :Corresponding Benchmark values not available | Load is not taken into consideration for computation of returns. Returns of IDCW Option under the scheme for the investor would be net of tax deducted at source.