FundLens
27
ManufacturingAvoid

MahIndra Manulife ManufacturIng

Mahindra Manulife · Direct–Growth · rank #13 of 13 by Smart Score

Trailing returns

vs Nifty 500 (index-fund proxy)
1 Year
6.4%
+5.8% vs index
3 Years
5 Years
Since launch
3.5%

Year-by-year performance

last entry = YTD
2025
+7.6%
2026
+5.2%

Why this score

MahIndra Manulife ManufacturIng scores 27/100 — #13 of 13 Manufacturing fund (Avoid). It stands out for volatility — beating 88% of peers on volatility. The main drag is its sharpe ratio (better than only 4% of peers).

Each bar shows the fund's percentile vs Manufacturing peers — a longer bar beats more of the category.

Sharpe ratio-0.19 · 4th percentile in category
Volatility15.34 · 88th percentile in category
Alpha-0.42 · 4th percentile in category
Fund size677.34 Cr · 4th percentile in category
Sortino ratio-0.26 · 5th percentile in category
1Y return6.36% · 12th percentile in category

Other Manufacturing funds