Canara Robeco Infrastructure Fund Direct Growth
Scheme code: INF760K01FO9
NAV value:
₹ 176.8500
NAV date: 19 March, 2026
TER: 0.00%
Fund option: Direct
Fund type: Growth
Asset class: Equity
Asset category: Sectoral/Thematic
Rolling returns
Summary
| Duration | Min (%) | Max (%) | Median (%) | Average return (%) | Category average return (%) |
|---|---|---|---|---|---|
| 1 year | -32.19 | 100.40 | 15.49 | 22.40 | 13.63 |
| 3 year | -10.89 | 41.21 | 20.21 | 18.47 | 18.78 |
| 5 year | -4.04 | 38.94 | 15.47 | 16.81 | 15.46 |
| 7 year | 6.21 | 24.18 | 14.63 | 15.36 | 13.55 |
| 10 year | 13.69 | 21.28 | 17.58 | 17.67 | 14.92 |
| 12 year | 17.29 | 21.72 | 19.78 | 19.52 | 16.54 |
Comparison vs benchmark returns
| Index | Metrics | ||||||||||||||||||||||||||||||||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| NIFTY 50 |
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| NIFTY 100 |
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| NIFTY 200 |
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| NIFTY 500 |
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SIP rolling returns
Summary
If you invest ₹1 lakh per month in this fund through SIP, here are the estimated returns over different timeframes.| Duration | Invested amount | Final value | Return | CAGR (%) |
|---|
Comparison vs benchmark returns
| Index | Metrics |
|---|
SIP return for 1 year
- Total Invested Amount: ₹12,00,000 - Final Portfolio Value: ₹13,04,625 - Absolute Returns: ₹1,04,625 - CAGR: %SIP return for 3 year
- Total Invested Amount: ₹36,00,000 - Final Portfolio Value: ₹47,73,539 - Absolute Returns: ₹11,73,539 - CAGR: %SIP return for 5 year
- Total Invested Amount: ₹60,00,000 - Final Portfolio Value: ₹96,32,419 - Absolute Returns: ₹36,32,419 - CAGR: %SIP return for 7 year
- Total Invested Amount: ₹84,00,000 - Final Portfolio Value: ₹1,58,00,707 - Absolute Returns: ₹74,00,707 - CAGR: %SIP return for 10 year
- Total Invested Amount: ₹1,20,00,000 - Final Portfolio Value: ₹3,40,56,548 - Absolute Returns: ₹2,20,56,548 - CAGR: %SIP return for 12 year
- Total Invested Amount: ₹1,44,00,000 - Final Portfolio Value: ₹5,07,85,970 - Absolute Returns: ₹3,63,85,970 - CAGR: %Drawdown Metrics
Max Drawdown
-44.07 %
Drawdown Duration
27 months
Recovery Time
11 months
Avg Drawdown
-8.39 %
Calmar Ratio by Duration
1
Y
0.5083
3
Y
0.4191
5
Y
0.3815
7
Y
0.3486
10
Y
0.401
12
Y
0.443
Benchmark Comparison
vs NIFTY 50
| Duration | Alpha | Beta | Upside Capture | Downside Capture | Fund CAGR | Benchmark CAGR |
|---|---|---|---|---|---|---|
| 1 year | 11.74 | 0.99 | 107.3 | 92.0 | 15.78 % | 4.00 % |
| 3 years | 14.40 | 1.07 | 111.4 | 93.3 | 26.03 % | 11.28 % |
| 5 years | 14.21 | 0.94 | 98.5 | 81.6 | 23.47 % | 9.44 % |
| 7 years | 10.68 | 0.88 | 93.0 | 81.7 | 20.90 % | 10.74 % |
| 10 years | 6.53 | 0.88 | 91.4 | 83.4 | 17.93 % | 12.06 % |
| 12 years | 5.15 | 0.88 | 91.4 | 83.4 | 14.73 % | 10.00 % |
| 15 years | 3.87 | 0.88 | 91.4 | 83.4 | 11.62 % | 7.92 % |