Research
Mutual Fund Research, Analysis & Comparison
Our blog is dedicated to providing in-depth mutual fund research, data-driven analysis, and unbiased fund comparisons to help investors make informed financial decisions.
We analyze mutual funds using various performance and risk parameters, including returns, rolling returns, Alpha, Beta, R-Squared (R²), Sharpe Ratio, Sortino Ratio, Standard Deviation, Upside Capture Ratio, Downside Capture Ratio, expense ratio, portfolio quality, and benchmark performance.
Through detailed fund reviews and category-wise comparisons, we aim to simplify complex investment concepts and present them in an easy-to-understand format for both new and experienced investors.
Our objective is to promote financial awareness and investor education by helping readers understand not only how much a fund has earned in the past, but also the level of risk taken to generate those returns.
All content published on this website is based on publicly available information and historical data and is intended solely for educational and informational purposes. We do not provide personalized investment advice or recommendations.
