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Unifi Dynamic Asset Allocation Fund

Unifi·
Dynamic Asset Allocation or Balanced Advantage
1Y
+7.73%
3Y
-
5Y
-
Since Inception
+8.13%
Sharpe
-
Sortino
-
Max Drawdown
-0.13%
Volatility
0.61%
Alpha
-
Beta
-
Info Ratio
-
Up / Down Capture
-
NAV (last ~1 year)
Fund details
AMCUnifi
Fund manager-
Data from2025-03-17
AUM₹1.1K Cr (January - March 2026)
Expense ratio (Direct)1.39%
Minimum lumpsum-
Minimum SIP-
Risk rating-
Investment objective
Not available.
Peer rankwithin Dynamic Asset Allocation or Balanced Advantage
1Y
#1 of 37
Top 3%
3Y CAGR
-
5Y CAGR
-
Sharpe
-
Data quality flags
  • Too few overlapping months with the benchmark to compute alpha, beta, or capture ratios.