IDFC Imperial (India) Financial Indicators Patterns

STANCHARTIMP -- India Fund  

INR 40.55  0.01  0.0247%

Use fundamental data analysis to validate all available fundamentals of IDFC Imperial Equity to find out if markets are right now mispricing the fund. We found thirteen available reported financial drivers for IDFC Imperial Equity which can be compared to its competitors. Please utilize IDFC Imperial Total Asset, Five Year Return as well as the relationship between Five Year Return and Cash Position Weight to make a decision on weather IDFC Imperial Equity A Gr is priced some-what accurately. Use IDFC Imperial to enhance returns of your portfolios. The fund experiences normal upward fluctuation. Check odds of IDFC Imperial to be traded at 42.58 in 30 days

IDFC Imperial Company Summary

The investment objective of the scheme is to seek to generate capital appreciation andor provide income distribution from a portfolio of predominantly equity and equity related instruments. IDFC Imperial is traded on Bombay Stock Exchange in India.

IDFC Imperial Net Asset vs One Year Return

IDFC Imperial Equity A Gr is rated top fund in net asset among similar funds. It is rated top fund in one year return among similar funds . The ratio of Net Asset to One Year Return for IDFC Imperial Equity A Gr is about  38,046,272 

IDFC Imperial Market Fundamentals

 Change(%) 0.0247%

Distress Rating

IDFC Imperial Financial Distress Probability

Chance of Financial Distress
IDFC Imperial Equity A Gr has less than 1 (%) percent chance of experiencing financial distress in the next 2 years of operations. More Info
IDFC Imperial Equity A Gr is rated top fund in net asset among similar funds. Total Asset Under Management (AUM) of Large-Cap category is currently estimated at about 2.96 Billion. IDFC Imperial totals roughly 1.48 Billion in net asset claiming about 50% of funds under Large-Cap category.

Compare IDFC Imperial

Compare IDFC Imperial To Peers

Also please take a look at World Market Map. Please also try Performance Analysis module to check effects of mean-variance optimization against your current asset allocation.