Pgim small cap fund

  1. PGIM India Small Cap Fund
  2. PGIM JENNISON SMALL
  3. DCIO Mutual Funds
  4. PGIM QUANT SOLUTIONS SMALL
  5. PGIM India Small Cap Fund
  6. PGIM JENNISON SMALL
  7. PGIM QUANT SOLUTIONS SMALL
  8. PGIM India Small Cap Fund
  9. PGIM JENNISON SMALL
  10. PGIM QUANT SOLUTIONS SMALL


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PGIM India Small Cap Fund

PGIM India Small Cap Fund - Regular Plan : Overview, Performance, Portfolio | Mutual Fund | Value Research PGIM India Small Cap Fund - Regular Plan : Overview, Performance, Portfolio | Mutual Fund | Value Research https://www.valueresearchonline.com/funds/41575/pgim-india-small-cap-fund-regular-plan/ Get the latest information and complete track record of PGIM India Small Cap Fund - Regular Plan schemes, returns, latest NAV and ratings from independent mutual fund research house.

PGIM JENNISON SMALL

Name % Alpha 1 Year -0.25 Alpha 3 Years 3.72 Alpha 5 Years 2.88 Average Gain 1 Year 7.83 Average Gain 3 Years 5.71 Average Gain 5 Years 5.44 Average Loss 1 Year -4.15 Average Loss 3 Years -4.03 Average Loss 5 Years -5.34 Batting Average 1 Year 58.33 Batting Average 3 Years 61.11 Batting Average 5 Years 60.00 Beta 1 Year 0.88 Beta 3 Years 0.92 Beta 5 Years 1.00 Capture Ratio Down 1 Year 92.44 Capture Ratio Down 3 Years 88.67 Capture Ratio Down 5 Years 94.28 Capture Ratio Up 1 Year 94.04 Capture Ratio Up 3 Years 100.90 Capture Ratio Up 5 Years 102.79 Correlation 1 Year 97.98 Correlation 3 Years 94.92 Correlation 5 Years 96.87 High 1 Year 13.46 Information Ratio 1 Year 0.18 Information Ratio 3 Years 0.50 Information Ratio 5 Years 0.45 Low 1 Year 10.89 Maximum Loss 1 Year -9.38 Maximum Loss 3 Years -30.88 Maximum Loss 5 Years -33.03 Performance Current Year 6.54 Performance since Inception 84.99 Risk adjusted Return 3 Years 11.11 Risk adjusted Return 5 Years -0.95 Risk adjusted Return Since Inception 3.87 R-Squared (R²) 1 Year 96.00 R-Squared (R²) 3 Years 90.10 R-Squared (R²) 5 Years 93.83 Sortino Ratio 1 Year -0.37 Sortino Ratio 3 Years 1.01 Sortino Ratio 5 Years 0.40 Tracking Error 1 Year 5.37 Tracking Error 3 Years 6.82 Tracking Error 5 Years 6.14 Trailing Performance 1 Month 6.81 Trailing Performance 1 Week 2.17 Trailing Performance 1 Year 13.15 Trailing Performance 2 Years -14.96 Trailing Performance 3 Months 7.26 Trailing Performance 3 Years 54.18 Trailing Performance 4 ...

DCIO Mutual Funds

PGIM Investments offers a diversified suite of actively managed funds across a broad spectrum of asset classes and investment styles that can help meet retirement needs. Each is backed by an asset manager dedicated to aparticular investingdiscipline. It's how we help investors participate in opportunities across global markets while meeting their toughest investment challenges, like saving for retirement. Our funds address a wide range of retirement challenges, including accumulation, reliable income, or protection from market volatility and other risks. Mutual fund investing involves risk. Some mutual funds have more risk than others. The investment return and principal value will fluctuate and investor's shares when sold may be worth more or less than the original cost. Fixed income investments are subject to interest rate risk, and their value will decline as interest rates rise. Asset allocation and diversification do not assure a profit or protect against loss in declining markets. There is no guarantee a Fund's objectives will be achieved. The risks associated with each fund are explained more fully in each fund's respective prospectus. Your clients should consult with their attorney, accountant, and/or tax professional for advice concerning their particular situation. Investment products are distributed by Prudential Investment Management Services LLC, a Prudential Financial company, member SIPC. Separately Managed Accounts are offered through our affiliates. Jennis...

PGIM QUANT SOLUTIONS SMALL

Name % Alpha 1 Year -3.20 Alpha 3 Years 3.56 Alpha 5 Years -0.24 Average Gain 1 Year 9.52 Average Gain 3 Years 6.30 Average Gain 5 Years 5.64 Average Loss 1 Year -6.56 Average Loss 3 Years -4.98 Average Loss 5 Years -7.75 Batting Average 1 Year 50.00 Batting Average 3 Years 61.11 Batting Average 5 Years 51.67 Beta 1 Year 1.12 Beta 3 Years 1.12 Beta 5 Years 1.22 Capture Ratio Down 1 Year 118.85 Capture Ratio Down 3 Years 103.44 Capture Ratio Down 5 Years 120.10 Capture Ratio Up 1 Year 109.93 Capture Ratio Up 3 Years 114.63 Capture Ratio Up 5 Years 116.23 Correlation 1 Year 99.47 Correlation 3 Years 98.13 Correlation 5 Years 98.28 High 1 Year 22.03 Information Ratio 1 Year -1.09 Information Ratio 3 Years 0.92 Information Ratio 5 Years -0.17 Low 1 Year 14.32 Maximum Loss 1 Year -17.91 Maximum Loss 3 Years -20.15 Maximum Loss 5 Years -52.32 Performance Current Year -0.43 Performance since Inception 1,643.28 Risk adjusted Return 3 Years 13.55 Risk adjusted Return 5 Years -10.14 Risk adjusted Return Since Inception -0.66 R-Squared (R²) 1 Year 98.94 R-Squared (R²) 3 Years 96.30 R-Squared (R²) 5 Years 96.60 Sortino Ratio 1 Year -0.81 Sortino Ratio 3 Years 1.38 Sortino Ratio 5 Years 0.18 Tracking Error 1 Year 4.52 Tracking Error 3 Years 5.58 Tracking Error 5 Years 7.89 Trailing Performance 1 Month 10.79 Trailing Performance 1 Week 2.09 Trailing Performance 1 Year 1.19 Trailing Performance 10 Years 86.21 Trailing Performance 2 Years -9.77 Trailing Performance 3 Months 4.54 Trailing ...

PGIM India Small Cap Fund

PGIM India Small Cap Fund - Regular Plan : Overview, Performance, Portfolio | Mutual Fund | Value Research PGIM India Small Cap Fund - Regular Plan : Overview, Performance, Portfolio | Mutual Fund | Value Research https://www.valueresearchonline.com/funds/41575/pgim-india-small-cap-fund-regular-plan/ Get the latest information and complete track record of PGIM India Small Cap Fund - Regular Plan schemes, returns, latest NAV and ratings from independent mutual fund research house. Suitability "When you invest for seven years or more, you can expect gains that comfortably beat the inflation rate as well as returns from fixed income options. This is a fund that invests in smaller companies. Compared to those that invest in larger companies, such funds tend to fall more when stock prices fall. So while you can expect higher returns in the long term, there will be more severe ups and downs along the way. Like for all equity funds, you must invest only through the SIP route. Warning: Do not invest in this, or any other small-cap fund, if you need to redeem your investment in less than seven years. AMCs: • 360 ONE • Aditya Birla Sun Life • Axis • Bandhan • Bank of India • Baroda BNP Paribas • Canara Robeco • DSP • Edelweiss • Franklin Templeton • Groww • HDFC • HSBC • ICICI Prudential • IDBI • Invesco • ITI • JM Financial • Kotak Mahindra • LIC • Mahindra Manulife • Mirae Asset • Motilal Oswal • Navi • Nippon India • NJ • PGIM India • PPFAS • Quant • Quantum • Samco • SBI • Shrir...

PGIM JENNISON SMALL

Name % Alpha 1 Year -0.25 Alpha 3 Years 3.72 Alpha 5 Years 2.88 Average Gain 1 Year 7.83 Average Gain 3 Years 5.71 Average Gain 5 Years 5.44 Average Loss 1 Year -4.15 Average Loss 3 Years -4.03 Average Loss 5 Years -5.34 Batting Average 1 Year 58.33 Batting Average 3 Years 61.11 Batting Average 5 Years 60.00 Beta 1 Year 0.88 Beta 3 Years 0.92 Beta 5 Years 1.00 Capture Ratio Down 1 Year 92.44 Capture Ratio Down 3 Years 88.67 Capture Ratio Down 5 Years 94.28 Capture Ratio Up 1 Year 94.04 Capture Ratio Up 3 Years 100.90 Capture Ratio Up 5 Years 102.79 Correlation 1 Year 97.98 Correlation 3 Years 94.92 Correlation 5 Years 96.87 High 1 Year 13.46 Information Ratio 1 Year 0.18 Information Ratio 3 Years 0.50 Information Ratio 5 Years 0.45 Low 1 Year 10.89 Maximum Loss 1 Year -9.38 Maximum Loss 3 Years -30.88 Maximum Loss 5 Years -33.03 Performance Current Year 6.54 Performance since Inception 84.99 Risk adjusted Return 3 Years 11.11 Risk adjusted Return 5 Years -0.95 Risk adjusted Return Since Inception 3.87 R-Squared (R²) 1 Year 96.00 R-Squared (R²) 3 Years 90.10 R-Squared (R²) 5 Years 93.83 Sortino Ratio 1 Year -0.37 Sortino Ratio 3 Years 1.01 Sortino Ratio 5 Years 0.40 Tracking Error 1 Year 5.37 Tracking Error 3 Years 6.82 Tracking Error 5 Years 6.14 Trailing Performance 1 Month 6.81 Trailing Performance 1 Week 2.17 Trailing Performance 1 Year 13.15 Trailing Performance 2 Years -14.96 Trailing Performance 3 Months 7.26 Trailing Performance 3 Years 54.18 Trailing Performance 4 ...

PGIM QUANT SOLUTIONS SMALL

Name % Alpha 1 Year -3.20 Alpha 3 Years 3.56 Alpha 5 Years -0.24 Average Gain 1 Year 9.52 Average Gain 3 Years 6.30 Average Gain 5 Years 5.64 Average Loss 1 Year -6.56 Average Loss 3 Years -4.98 Average Loss 5 Years -7.75 Batting Average 1 Year 50.00 Batting Average 3 Years 61.11 Batting Average 5 Years 51.67 Beta 1 Year 1.12 Beta 3 Years 1.12 Beta 5 Years 1.22 Capture Ratio Down 1 Year 118.85 Capture Ratio Down 3 Years 103.44 Capture Ratio Down 5 Years 120.10 Capture Ratio Up 1 Year 109.93 Capture Ratio Up 3 Years 114.63 Capture Ratio Up 5 Years 116.23 Correlation 1 Year 99.47 Correlation 3 Years 98.13 Correlation 5 Years 98.28 High 1 Year 22.03 Information Ratio 1 Year -1.09 Information Ratio 3 Years 0.92 Information Ratio 5 Years -0.17 Low 1 Year 14.32 Maximum Loss 1 Year -17.91 Maximum Loss 3 Years -20.15 Maximum Loss 5 Years -52.32 Performance Current Year -0.43 Performance since Inception 1,643.28 Risk adjusted Return 3 Years 13.55 Risk adjusted Return 5 Years -10.14 Risk adjusted Return Since Inception -0.66 R-Squared (R²) 1 Year 98.94 R-Squared (R²) 3 Years 96.30 R-Squared (R²) 5 Years 96.60 Sortino Ratio 1 Year -0.81 Sortino Ratio 3 Years 1.38 Sortino Ratio 5 Years 0.18 Tracking Error 1 Year 4.52 Tracking Error 3 Years 5.58 Tracking Error 5 Years 7.89 Trailing Performance 1 Month 10.79 Trailing Performance 1 Week 2.09 Trailing Performance 1 Year 1.19 Trailing Performance 10 Years 86.21 Trailing Performance 2 Years -9.77 Trailing Performance 3 Months 4.54 Trailing ...

PGIM India Small Cap Fund

PGIM India Small Cap Fund - Regular Plan : Overview, Performance, Portfolio | Mutual Fund | Value Research PGIM India Small Cap Fund - Regular Plan : Overview, Performance, Portfolio | Mutual Fund | Value Research https://www.valueresearchonline.com/funds/41575/pgim-india-small-cap-fund-regular-plan/ Get the latest information and complete track record of PGIM India Small Cap Fund - Regular Plan schemes, returns, latest NAV and ratings from independent mutual fund research house. Suitability "When you invest for seven years or more, you can expect gains that comfortably beat the inflation rate as well as returns from fixed income options. This is a fund that invests in smaller companies. Compared to those that invest in larger companies, such funds tend to fall more when stock prices fall. So while you can expect higher returns in the long term, there will be more severe ups and downs along the way. Like for all equity funds, you must invest only through the SIP route. Warning: Do not invest in this, or any other small-cap fund, if you need to redeem your investment in less than seven years.

PGIM JENNISON SMALL

Name % Alpha 1 Year -0.25 Alpha 3 Years 3.72 Alpha 5 Years 2.88 Average Gain 1 Year 7.83 Average Gain 3 Years 5.71 Average Gain 5 Years 5.44 Average Loss 1 Year -4.15 Average Loss 3 Years -4.03 Average Loss 5 Years -5.34 Batting Average 1 Year 58.33 Batting Average 3 Years 61.11 Batting Average 5 Years 60.00 Beta 1 Year 0.88 Beta 3 Years 0.92 Beta 5 Years 1.00 Capture Ratio Down 1 Year 92.44 Capture Ratio Down 3 Years 88.67 Capture Ratio Down 5 Years 94.28 Capture Ratio Up 1 Year 94.04 Capture Ratio Up 3 Years 100.90 Capture Ratio Up 5 Years 102.79 Correlation 1 Year 97.98 Correlation 3 Years 94.92 Correlation 5 Years 96.87 High 1 Year 13.46 Information Ratio 1 Year 0.18 Information Ratio 3 Years 0.50 Information Ratio 5 Years 0.45 Low 1 Year 10.89 Maximum Loss 1 Year -9.38 Maximum Loss 3 Years -30.88 Maximum Loss 5 Years -33.03 Performance Current Year 6.54 Performance since Inception 84.99 Risk adjusted Return 3 Years 11.11 Risk adjusted Return 5 Years -0.95 Risk adjusted Return Since Inception 3.87 R-Squared (R²) 1 Year 96.00 R-Squared (R²) 3 Years 90.10 R-Squared (R²) 5 Years 93.83 Sortino Ratio 1 Year -0.37 Sortino Ratio 3 Years 1.01 Sortino Ratio 5 Years 0.40 Tracking Error 1 Year 5.37 Tracking Error 3 Years 6.82 Tracking Error 5 Years 6.14 Trailing Performance 1 Month 6.81 Trailing Performance 1 Week 2.17 Trailing Performance 1 Year 13.15 Trailing Performance 2 Years -14.96 Trailing Performance 3 Months 7.26 Trailing Performance 3 Years 54.18 Trailing Performance 4 ...

PGIM QUANT SOLUTIONS SMALL

Name % Alpha 1 Year -3.20 Alpha 3 Years 3.56 Alpha 5 Years -0.24 Average Gain 1 Year 9.52 Average Gain 3 Years 6.30 Average Gain 5 Years 5.64 Average Loss 1 Year -6.56 Average Loss 3 Years -4.98 Average Loss 5 Years -7.75 Batting Average 1 Year 50.00 Batting Average 3 Years 61.11 Batting Average 5 Years 51.67 Beta 1 Year 1.12 Beta 3 Years 1.12 Beta 5 Years 1.22 Capture Ratio Down 1 Year 118.85 Capture Ratio Down 3 Years 103.44 Capture Ratio Down 5 Years 120.10 Capture Ratio Up 1 Year 109.93 Capture Ratio Up 3 Years 114.63 Capture Ratio Up 5 Years 116.23 Correlation 1 Year 99.47 Correlation 3 Years 98.13 Correlation 5 Years 98.28 High 1 Year 22.03 Information Ratio 1 Year -1.09 Information Ratio 3 Years 0.92 Information Ratio 5 Years -0.17 Low 1 Year 14.32 Maximum Loss 1 Year -17.91 Maximum Loss 3 Years -20.15 Maximum Loss 5 Years -52.32 Performance Current Year -0.43 Performance since Inception 1,643.28 Risk adjusted Return 3 Years 13.55 Risk adjusted Return 5 Years -10.14 Risk adjusted Return Since Inception -0.66 R-Squared (R²) 1 Year 98.94 R-Squared (R²) 3 Years 96.30 R-Squared (R²) 5 Years 96.60 Sortino Ratio 1 Year -0.81 Sortino Ratio 3 Years 1.38 Sortino Ratio 5 Years 0.18 Tracking Error 1 Year 4.52 Tracking Error 3 Years 5.58 Tracking Error 5 Years 7.89 Trailing Performance 1 Month 10.79 Trailing Performance 1 Week 2.09 Trailing Performance 1 Year 1.19 Trailing Performance 10 Years 86.21 Trailing Performance 2 Years -9.77 Trailing Performance 3 Months 4.54 Trailing ...