9 Mutual Funds Long Term Growth Portfolio | MutualFunds_Equity_SectoralThematic | Rebalancing Quarterly | 12 Months Subscription Plan

5,125.00 for 1 year

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Portfolio Parameters

Parameter Value
Scripts Group Title MutualFunds_Equity_SectoralThematic
Portfolio Size 9 Mutual Funds {9 Mutual Funds and 0 Equities or ETFs}
ETFs Composition Percentage Equities and ETFs Composition is 0%
Portfolio Risk Future Risk may Exceed 40%
Minimum Annual Investment Capital ₹ 2,05,000
Optimal Investment Tenure 8 or more years.
Rebalancing Frequency Rebalancing Quarterly
Subscription Tenure 12 Months Subscription Plan
Backtest – Sharpe Ratio Hist. Sharpe Ratio above 0.7
Backtest – Annualised Returns Hist. Annualised Returns Under 20%
Backtest – Annualised Risk Hist. Annualised Risk Exceeding 15%
Backtest – Max. Drawdown Hist. Max. Drawdown Exceeding 15%
Backtest – Max. Recovery Time Hist. Max. Recovery Time Exceeding 5 Quarters
Simulation – Lumpsum Capital Growth Multiple ** More than 3.7 times in 20 yrs with 99.9% probability

Simulation Results :- Lumpsum Capital Growth Multiples over Future Years at varying Probability Levels

Probability Levels (%) 20 Years 15 Years 10 Years 5 Years 3 Years 1 Year
99.9% Probability ** 3.71 2.06 1.21 0.79 0.71 0.72
99% Probability 6.29 3.27 1.77 1.04 0.88 0.81
98% Probability 7.60 3.86 2.02 1.14 0.95 0.85
95% Probability 10.10 4.93 2.48 1.32 1.06 0.91
90% Probability 13.05 6.15 2.96 1.49 1.17 0.96
80% Probability 17.91 8.08 3.70 1.75 1.32 1.03
75% Probability 20.30 9.00 4.04 1.86 1.38 1.06
50% Probability 40.80 16.14 6.39 2.53 1.74 1.20

Refer to the “Backtests & Simulations” tab for further details on their operational settings.

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