What does NAV represent in the context of mutual funds?
Net Asset Value, similar to a share price
Non-Annual Volatility
Net Annual Yield
Nominal Asset Valuation
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What is the significance of a mutual fund's launch date?
Older funds indicate longer track records and survival
Launch date determines the fund's risk level
Newer funds offer higher potential returns
Launch date is unrelated to fund performance
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What does the Groww Rating signify for a mutual fund?
Assessment based on historical performance and data
Guaranteed minimum return on investment
Fund manager's personal recommendation
Popularity of the fund among investors
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How is the risk of a mutual fund typically measured?
Using Standard Deviation, reflecting return variations
Based on the fund manager's experience
Determined by the fund's launch date
Calculated from the Expense Ratio
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What is the Expense Ratio in mutual fund investing?
Fees deducted from investments for management and operations
Annual tax levied on investment returns
Performance bonus charged by the fund manager
Entry fee paid upon initial investment
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What does AUM stand for in relation to mutual funds?
Asset Under Management, representing the total investment value
Average Unit Measure
Annualized Upside Momentum
Accrued Unit Maturity
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What is a Systematic Investment Plan (SIP) in mutual funds?
Regular, periodic investments similar to Recurring Deposits
Single, lump-sum investment for maximum returns
High-risk, short-term trading strategy
Investment plan exclusively for retirement
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What are Trailing Returns in mutual fund performance analysis?
Returns compared to a benchmark over a specific period
Projected future returns based on market trends
Guaranteed minimum returns offered by the fund
Returns adjusted for inflation
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What does the Sharpe Ratio indicate in mutual fund evaluation?
Measure of risk-adjusted returns
Volatility of the fund's returns
Correlation between fund performance and market index
Maximum potential loss on investment
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What is the significance of Turnover in a mutual fund's Holding Analysis?
Measures the churn or change in the equity portfolio
Frequency of fund manager changes
Rate of return on investment
Number of investors in the fund
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What does Yield to Maturity (YTM) represent for debt securities?
Average interest rate earned at current market price until maturity
Risk of default on the debt security
Maturity date of the debt security
Annual dividend payout of the debt security
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What does Modified Duration (MD) measure in debt securities?
Sensitivity of debt security value to interest rate changes
Time remaining until the debt security matures
Creditworthiness of the debt issuer
Liquidity of the debt security in the market
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What information does the Asset Allocation chart provide for a mutual fund?
Proportion of investments in debt, equity, and cash
Historical performance of the fund
Fund manager's investment strategy
Tax implications of investing in the fund
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What does the Equity Size Allocation chart reveal about a mutual fund?
Percentage exposure to Large Cap, Mid Cap, and Small Cap stocks
Number of stocks held in the fund's portfolio
Risk level associated with the fund
Past performance of the fund's equity holdings
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What is the purpose of the Debt Credit Rating analysis in a mutual fund?
Assesses the likelihood of receiving timely payments from debt securities
Predicts future interest rate movements
Determines the maturity date of debt securities
Calculates the yield on debt securities
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What is an Exit Load in mutual fund investing?
Fee charged for redeeming investments before a specified period
Penalty for early withdrawal from a retirement fund
Tax levied on capital gains from mutual fund investments
Commission paid to the fund manager upon exit
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