SEBI Mandates Disclosure of Risk-Adjusted Return Information Ratio for Mutual Fund Schemes
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- By Chetan Kulasri
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- Last Updated on 22 January, 2025

Circular no. SEBI/HO/IMD/IMD-PoD-2/P/CIR/2025/6; Dated: 17.01.2025
SEBI has mandated the disclosure of the Risk-adjusted Return Information Ratio (IR) for Mutual Fund Schemes. The IR is an established financial ratio used to measure the Risk-Adjusted Return (RAR) of any scheme portfolio. Mutual Funds/AMCs are directed to disclose the IR of a scheme portfolio on their website, along with performance disclosure on a daily basis. Further, IR disclosure must be applicable only for equity-oriented schemes.
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