50
Index — Factor / Smart BetaHold
Motilal Oswal BSE Low Volatility Index
Motilal Oswal · Direct–Growth · rank #25 of 55 by Smart Score
Data updated
Trailing returns
1 Year
-2.2%
-3.0% vs index
3 Years
9.7%
-2.5% vs index
5 Years
—
Since launch
12.2%
Year-by-year performance
2023
+29.7%+3.1% vs index
2024
+10.6%-5.1% vs index
2025
+8.2%+0.5% vs index
2026
-4.9%-3.3% vs index
Why this score
Motilal Oswal BSE Low Volatility Index scores 50/100 — #25 of 55 Index — Factor / Smart Beta fund (Hold). It stands out for volatility and expense ratio — beating 98% of peers on volatility. The main drag is its 3y return (better than only 16% of peers).
Each bar shows the fund's percentile vs Index — Factor / Smart Beta peers — a longer bar beats more of the category.
3Y return9.68% · 16th percentile in category
Volatility11.35 · 98th percentile in category
1Y return-2.23% · 14th percentile in category
Expense ratio0.36% · 69th percentile in category
Alpha-1.85 · 65th percentile in category
Sharpe ratio0.28 · 58th percentile in category