Mahindra Manulife
Mahindra Manulife Consumption Fund - Direct Plan - IDCW
NAV history & peer comparison
All NAVs split-adjusted and normalised to 100 at the start of the selected period, so funds with very different absolute NAV scales can be compared on one axis.
Compares up to 8 funds. Click any line in the legend above to hide/show it.
Returns matrix
Fund return alongside the category average and peer rank for every standard window. Returns under one year are absolute; one year and longer are compound annualised (CAGR).
| Window | Fund | Category avg | +/− vs avg | Rank | Quartile |
|---|---|---|---|---|---|
| 1D | -0.15% | +0.27% | -0.42 | 197 / 249 | Q4 |
| 1W | -2.45% | -1.33% | -1.13 | 204 / 249 | Q4 |
| 2W | -1.53% | -0.44% | -1.09 | 220 / 251 | Q4 |
| 1M | -2.60% | -0.98% | -1.62 | 201 / 251 | Q4 |
| 3M | -8.98% | +0.91% | -9.88 | 233 / 249 | Q4 |
| 6M | -16.87% | -3.35% | -13.52 | 227 / 241 | Q4 |
| YTD | -16.74% | -3.40% | -13.34 | 231 / 241 | Q4 |
| 1Y | -11.75% | +2.11% | -13.86 | 206 / 225 | Q4 |
| 2Y | -6.26% | +1.79% | -8.04 | 163 / 181 | Q4 |
| 3Y | +3.72% | +12.30% | -8.59 | 130 / 142 | Q4 |
| 4Y | +6.07% | +11.74% | -5.67 | 103 / 122 | Q4 |
| 5Y | +4.51% | +8.93% | -4.41 | 91 / 111 | Q4 |
| 7Y | +6.93% | +13.08% | -6.15 | 81 / 92 | Q4 |
| 10Y | — | — | — | — | — |
| Inception | +6.97% | +8.52% | -1.56 | 160 / 251 | Q3 |
Quartile legend: Q1 top 25% Q2 25-50% Q3 50-75% Q4 bottom 25%
Calendar-year returns
Full-year performance vs category average. Current year is partial (year-to-date).
| Year | Fund | Category avg | +/− vs avg | Rank |
|---|---|---|---|---|
| 2026 YTD | -16.74% | -2.64% | -14.09 | 229 / 237 |
| 2025 | -3.67% | +1.49% | -5.16 | 149 / 204 |
| 2024 | +16.38% | +20.10% | -3.72 | 94 / 158 |
| 2023 | +20.39% | +30.21% | -9.81 | 107 / 131 |
| 2022 | +1.98% | +1.48% | +0.50 | 62 / 119 |
| 2021 | +23.88% | +31.54% | -7.66 | 66 / 106 |
| 2020 | +11.30% | +19.90% | -8.60 | 60 / 95 |
| 2019 | +1.07% | +6.43% | -5.36 | 61 / 87 |
| 2018 | — | — | — | — |
Rolling returns
Removes start-date bias by averaging CAGR over every overlapping N-year window in the fund's history. Higher average plus tight min/max plus high "% positive" = consistent.
SIP returns — historical "what if"
If you had invested every month in this fund over the chosen period, this is what your investment would be worth today.
| Period | Total invested | Today's value | XIRR | Wealth multiplier |
|---|---|---|---|---|
| ₹ — | ₹ — |
XIRR is the annualised internal rate of return on the SIP cash flow — invariant to the monthly amount. "Today's value" and "Total invested" scale linearly with the slider. Past performance does not guarantee future returns. Excludes exit load and taxes.
Risk profile
Risk-adjusted return and volatility, computed from monthly NAV returns over the trailing 3-year and 5-year windows.
Sharpe / Sortino use a risk-free rate of 6.5% (1-year T-bill proxy). Higher Sharpe = more return per unit of total risk; higher Sortino = more return per unit of downside risk.
Peers in Sectoral/Thematic Fund
Recent NAVs
| Date | NAV |
|---|---|
| 3 Jun 2026 | ₹16.6625 |
| 2 Jun 2026 | ₹16.6881 |
| 1 Jun 2026 | ₹16.6042 |
| 29 May 2026 | ₹16.8085 |
| 27 May 2026 | ₹17.0817 |
| 26 May 2026 | ₹16.9823 |
| 25 May 2026 | ₹16.9821 |
| 22 May 2026 | ₹16.8825 |
| 21 May 2026 | ₹16.8979 |
| 20 May 2026 | ₹16.9212 |
Frequently asked questions
These answers are generated from this fund's live metrics — NAV, returns, peer rank, drawdown, SIP backtest. Numbers refresh nightly after AMFI's NAV feed lands.
- time horizon is **5+ years** — equity funds can drop 30-50% in bad years; horizons under 5 years materially raise the risk of selling at a loss
- risk tolerance accepts seeing the portfolio fall sharply without panic-selling
- goal isn't capital preservation in the short term
Educational content only — not investment advice. Tax rules summarised above reflect Budget 2024; consult a qualified adviser before transacting.
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