NIFTY SDL PLUS G-SEC JUNE 2027 40:60

Index type: Fixed Income Mean-Variance Ratio (MVR): 29.95 Weighted mean CAGR by duration: 8.1 Mean CAGR: 8.23 Standard deviation CAGR: 0.27 Range for CAGR: 0.55

Rolling returns

Summary

Duration Min Max Median Average XIRR (%)
1 year 7.01 10.72 8.34 8.51
3 year 7.68 8.23 7.96 7.96

Rolling return for 1 year

Average return: 8.51
Min Max Min-Max Max-Min Standard Deviation Mean From To
7.81 7.08 7.88 7.01 0.4 7.44 03-2025 03-2026
7.77 7.79 8.42 7.14 0.45 7.78 02-2025 02-2026
8.16 7.77 8.6 7.33 0.47 7.96 01-2025 01-2026
7.96 8.15 8.47 7.65 0.3 8.06 12-2024 12-2025
8.38 8.3 8.9 7.79 0.39 8.34 11-2024 11-2025
8.04 8.31 8.76 7.59 0.42 8.18 10-2024 10-2025
8.28 8.14 8.95 7.48 0.52 8.21 09-2024 09-2025
8.82 8.3 9.1 8.02 0.42 8.56 08-2024 08-2025
9.34 8.95 9.94 8.36 0.58 9.15 07-2024 07-2025
9.89 9.4 10.24 9.06 0.45 9.65 06-2024 06-2025
9.59 9.81 10.72 8.69 0.72 9.7 05-2024 05-2025
8.6 9.66 10 8.26 0.72 9.13 04-2024 04-2025

Rolling return for 3 year

Average return: 7.96
Min Max Min-Max Max-Min Standard Deviation Mean From To
8.2 7.71 8.23 7.68 0.26 7.96 03-2023 03-2026