40
ConsumptionAvoid
MahIndra Manulife Consumption
Mahindra Manulife · Direct–Growth · rank #14 of 25 by Smart Score
Trailing returns
1 Year
-2.3%
-2.8% vs index
3 Years
10.9%
-1.3% vs index
5 Years
12.3%
+0.4% vs index
Since launch
12.5%
Year-by-year performance
2021
+24.6%-6.1% vs index
2022
+9.5%+5.7% vs index
2023
+29.1%+2.5% vs index
2024
+23.4%+7.8% vs index
2025
+3.0%-4.6% vs index
2026
-4.8%-3.0% vs index
Why this score
MahIndra Manulife Consumption scores 40/100 — #14 of 25 Consumption fund (Avoid). The main drag is its 5y return (better than only 32% of peers).
Each bar shows the fund's percentile vs Consumption peers — a longer bar beats more of the category.
5Y return12.35% · 32nd percentile in category
3Y return10.91% · 38th percentile in category
Fund size494.00 Cr · 30th percentile in category
Volatility15.76 · 39th percentile in category
Sortino ratio0.46 · 39th percentile in category
Expense ratio1.04% · 56th percentile in category