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SBI Mutual Fund

SBI Long Term Advantage Fund Series VI Direct-Growth

Equity: ELSS - Growth (Close ended)
Risk levelCategoryBenchmark
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Factsheet
SEBI Riskometer: Very HighCategory: Equity: ELSSBenchmark: BSE 500 Total Return Index
NAV: ₹31.83+1.15%
09 Jul 2026

Rolling Returns Analysis

Rolling annualized returns of SBI Long Term Advantage Fund Series VI Direct-Growth across 1Y, 3Y and 5Y windows — average, best, worst returns and percentage of positive return periods.
Metric1 Yr Rolling Returns3 Yr Rolling Returns5 Yr Rolling Returns7 Yr Rolling Returns
Analysis period01 Aug, 2019 - 09 Jul, 202609 Aug, 2021 - 09 Jul, 202617 Aug, 2023 - 09 Jul, 202621 Aug, 2025 - 09 Jul, 2026
Average returns19.79%21.79%21.87%17.48%
Standard deviation22.28%4.34%3.97%0.97%
Best returns92.86%
1 year ending on 23 Mar, 2021
34.38%
3 years ending on 31 Mar, 2023
30.43%
5 years ending on 22 Apr, 2025
19.77%
7 years ending on 04 Nov, 2025
Worst returns-26.01%
1 year ending on 23 Mar, 2020
13.00%
3 years ending on 20 Jun, 2022
12.60%
5 years ending on 23 Mar, 2026
15.15%
7 years ending on 02 Apr, 2026
Period with positive return81.92%100.00%100.00%100.00%
Period with return > 5%66.16%100.00%100.00%100.00%
Period with return > 10%55.17%100.00%100.00%100.00%
Period with return > 15%49.24%96.48%92.51%100.00%
Beat % Category52.38%24.00%5.96%28.51%
Beat % Benchmark65.99%98.36%98.47%100.00%

Trailing Returns

Point-to-point returns of SBI Long Term Advantage Fund Series VI Direct-Growth vs category average for YTD, 1M, 6M, 1Y, 3Y, 5Y and 10Y periods — with category rank and total funds count.
0%
5%
10%
15%
-1.2%
4.8%
-2.8%
YTD
4.8%
4.6%
3.4%
1 M
0.7%
5.9%
-1.1%
6 M
-2.4%
4.5%
-1.1%
1 Y
13.9%
16.0%
12.8%
3 Y
13.8%
16.1%
12.4%
5 Y
13.8%
10 Y
Fund
Equity: ELSS
BSE 500 Total Return Index
NameYTD1 M6 M1 Y3 Y5 Y10 YSince Inception
Fund-1.16%4.85%0.69%-2.43%13.92%13.82%-15.61%
Equity: ELSS4.81%4.59%5.87%4.46%15.96%16.09%--
BSE 500 Total Return Index-2.81%3.40%-1.14%-1.09%12.80%12.40%13.84%-
Rank in category1061012119--
Funds in category1212121212120-

Period Returns

Calendar-year, quarterly and monthly return history of SBI Long Term Advantage Fund Series VI Direct-Growth. Toggle between bar chart and table view to analyse periodic performance trends.

Historical Performance

Track NAV movement and cumulative returns of SBI Long Term Advantage Fund Series VI Direct-Growth across 1M, 6M, 1Y, 3Y, 5Y and since-inception periods. Compare SIP and lumpsum growth over time.

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Frequently Asked Questions

What are the 1-year returns of SBI Long Term Advantage Fund Series VI Direct-Growth?
The 1-year trailing return for SBI Long Term Advantage Fund Series VI Direct-Growth is shown in the Trailing Returns section. It is compared against the Equity: ELSS category average and benchmark for context.
What are the 3-year returns of SBI Long Term Advantage Fund Series VI Direct-Growth?
The 3-year CAGR for SBI Long Term Advantage Fund Series VI Direct-Growth is in the Trailing Returns section, with benchmark and category comparisons.
What are the 5-year returns of SBI Long Term Advantage Fund Series VI Direct-Growth?
The 5-year CAGR for SBI Long Term Advantage Fund Series VI Direct-Growth is in the Trailing Returns section. 5-year CAGR is a standard metric for medium-term performance consistency.
What are the returns of SBI Long Term Advantage Fund Series VI Direct-Growth since inception?
SBI Long Term Advantage Fund Series VI Direct-Growth has delivered a CAGR of 15.61% since its launch. The fund's maximum historical drawdown has been -0.36%, indicating its worst peak-to-trough decline during this period. Since-inception returns capture performance across multiple market cycles and are most useful for evaluating long-term wealth creation.
How has SBI Long Term Advantage Fund Series VI Direct-Growth performed vs its category over the long term?
Performance vs category average across 1Y, 3Y, 5Y and 10Y periods is in the Trailing Returns section. Rolling returns show how consistently the fund beats its category over time.
What is the Sharpe ratio of SBI Long Term Advantage Fund Series VI Direct-Growth?
The Sharpe ratio of SBI Long Term Advantage Fund Series VI Direct-Growth is 0.52. Sharpe ratio measures risk-adjusted return — how much excess return the fund generates per unit of risk. A Sharpe above 1.0 is generally considered good; above 2.0 is excellent. The fund's alpha of 1.37% indicates the excess return generated over the benchmark for the same risk.
What is the alpha of SBI Long Term Advantage Fund Series VI Direct-Growth?
The alpha of SBI Long Term Advantage Fund Series VI Direct-Growth is 1.37% and beta is 1.10. A positive alpha means the fund has generated more return than the benchmark for the same level of systematic risk. An alpha of 1.37% indicates the fund manager (or index replication) has added value beyond what market exposure alone would have delivered.
What is the beta of SBI Long Term Advantage Fund Series VI Direct-Growth?
The beta of SBI Long Term Advantage Fund Series VI Direct-Growth is 1.10 (Sharpe: 0.52). Beta measures how sensitive the fund's returns are to market moves. A beta above 1.0 (1.10) means SBI Long Term Advantage Fund Series VI Direct-Growth amplifies market movements — greater potential gains in bull markets but steeper declines in downturns.
What are the rolling returns of SBI Long Term Advantage Fund Series VI Direct-Growth?
Rolling returns for SBI Long Term Advantage Fund Series VI Direct-Growth across all 1Y, 3Y, 5Y investment windows are shown in the Rolling Returns section. Unlike trailing returns, rolling returns reveal how the fund has performed across all possible entry and exit dates — offering a much more complete picture of consistency.
How consistent are the period-wise returns of SBI Long Term Advantage Fund Series VI Direct-Growth?
Period-wise annual returns for SBI Long Term Advantage Fund Series VI Direct-Growth across each financial year are in the Period Returns section. This shows whether the fund has been positive in most years and how it has fared in bear markets.