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Flexi Cap Funds Crash: NAV Slumps Up to 18%

Flexi Cap Funds Analysis

Flexi Cap Fund Performance Analysis (as on 14/6/2025)

An analysis of Flexi Cap funds, focusing on their performance relative to their 52-week high Net Asset Value (NAV). This dynamic dashboard provides insights into which funds have seen the largest declines.

Dynamic Dashboard

Key Performance Indicators (KPIs)

Largest Drop
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Smallest Drop
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Average Drop
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Flexi Cap Funds Data

Flexi cap Funds as on 14/6/25 Latest NAV 52-Week High NAV Fall in %

Data Visualizations

1. Ranked Bar Chart of NAV Declines

This chart sorts the funds to clearly show which have experienced the most significant percentage drop from their 52-week high NAV. The color intensity of the bars corresponds to the magnitude of the fall.

2. Scatter Plot: Latest NAV vs. Percentage Fall

This plot explores the relationship between a fund's current NAV level and its percentage decline. It helps answer whether funds with higher or lower NAVs were more susceptible to drops in this period.

Top 5 Biggest Crashers

A quick look at the five funds that have fallen the most from their peak value.

1 thought on “Flexi Cap Funds Crash: NAV Slumps Up to 18%”

  1. Pingback: May 2025 MF Trends: Equity & AUM Surge Revealed

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