Fund Comparison Pro
Analyze Returns, Risk & Technical Metrics
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Fund A (Base)
VS
Fund B (Challenger)
Analyze & Compare
📊 Annualized Returns (Lump Sum)
1 Year Return
Fund A
0%
Fund B
0%
3 Year Return
0%
0%
5 Year Return
0%
0%
SIP Returns (XIRR) Comparison
Growth of ₹100 Invested (5 Years)
Detailed Risk & Performance Analysis
Parameter
Fund A
Fund B
Verdict
Understanding the Metrics
📈
Sharpe Ratio:
Higher is better. Measures returns generated per unit of risk.
📉
Max Drawdown:
Lower (closer to 0) is better. Shows the worst fall from a peak.
⚡
Volatility (SD):
Lower is safer. Shows daily price fluctuations.
🔄
Correction from Top:
How much the fund is currently down from its 52-week high.
Calculating moving averages and technical data...