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SBI Long Term Advantage Fund - Series IV - Direct Plan - Growth

ISIN

INF200KA1LS9

Currency

INR

NAV History

Performance

Latest NAV: 51.00(2026-02-20)

1M

—

3M

-2.1%

6M

+2.4%

YTD

-0.9%

1Y

+13.8%

3Y

+61.3%

5Y

+134.3%


Risk Metrics (1Y)

Volatility

11.1%

Sharpe Ratio

1.69

Max Drawdown

-4.3%

Available Data (1 series)

Frequently Asked Questions

What is the 1-year return of SBI Long Term Advantage Fund - Series IV - Direct Plan - Growth?

SBI Long Term Advantage Fund - Series IV - Direct Plan - Growth has a 1-year return of +13.8% as of 2026-02-20.

What is the risk profile of SBI Long Term Advantage Fund - Series IV - Direct Plan - Growth?

Over the past year, SBI Long Term Advantage Fund - Series IV - Direct Plan - Growth has an annualized volatility of 11.1%, a Sharpe ratio of 1.69, a maximum drawdown of -4.3%.

What is the ISIN of SBI Long Term Advantage Fund - Series IV - Direct Plan - Growth?

The ISIN (International Securities Identification Number) of SBI Long Term Advantage Fund - Series IV - Direct Plan - Growth is INF200KA1LS9.

Identifiers

ISIN
INF200KA1LS9

Download Data

NAV time series available via API.

API Access

# Get fund view
GET /api/v1/funds/INF200KA1LS9

# Get time series data
GET /api/v1/timeseries/ticker/{ticker}