High Risk Portfolio
Aggressive equity-heavy portfolio for long-term wealth creation
Since Jul 31, 2025
Portfolio
7.70%
vs
NIFTY 500 TRI
0.79%
+6.92% Over BM
Jul
Nov
Feb
Jun
Sep
Medium Risk Portfolio
Balanced portfolio with a mix of equity and debt funds
Since Jul 31, 2025
Portfolio
4.11%
vs
NIFTY 500 TRI
0.79%
+3.33% Over BM
Jul
Nov
Feb
Jun
Sep
Low Risk Portfolio
Conservative portfolio focused on debt and stable equity funds
Since Jul 31, 2025
Portfolio
1.27%
vs
NIFTY 50 TRI
-3.89%
+5.15% Over BM
Jul
Nov
Feb
Jun
Sep
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