LIC MF (India) Financial Indicators Patterns

LICMFSAVINGS -- India Fund  

INR 10.23  0.00  0.00%

Please makes use of LIC MF Savings Plus Mn Div fundamental data analysis to find out if markets are today mispricing the entity. We found eight available financial indicators for LIC MF which can be compared to its peers in the sector. Please exercise LIC MF Savings Plus Mn Div Net Asset and Cash Position Weight to make a decision on weather LIC MF Savings is priced favorably. Use LIC MF to protect your portfolios against small markets fluctuations. The fund experiences normal downward trend, but the immediate impact on correlations cannot be determined at the moment . Check odds of LIC MF to be traded at 10.13 in 30 days.

LIC MF Company Summary

LIC MF competes with Kotak Treasury, Tata Floater, Tata Floater, Reliance Money, and Reliance Money. The investment objective of the Scheme is to generate income by investing in a portfolio of quality short term debt securities. LIC MF is traded on Bombay Stock Exchange in India.

LIC MF Cash Position Weight vs Last Dividend Paid

LIC MF Savings Plus Mn Div is number one fund in cash position weight among similar funds. It is rated below average in last dividend paid among similar funds . The ratio of Cash Position Weight to Last Dividend Paid for LIC MF Savings Plus Mn Div is about  1,492 

LIC MF Market Fundamentals

 Change(%) 0.00%

Distress Rating

LIC MF Financial Distress Probability

Chance of Financial Distress
LIC MF Savings Plus Mn Div has less than 1 (%) percent chance of experiencing financial distress in the next 2 years of operations. More Info
LIC MF Savings Plus Mn Div is rated below average in net asset among similar funds. Total Asset Under Management (AUM) of Ultrashort Bond category is currently estimated at about 1.2 Trillion. LIC MF adds roughly 20.95 Million in net asset claiming only tiny portion of Ultrashort Bond category.

LIC MF Opportunity Range

February 20, 2019 Opportunity Range

Please see also Stocks Correlation. Please also try Portfolio Rebalancing module to analyze risk-adjusted returns against different time horizons to find asset-allocation targets.