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Mutual funds’ NAV surges in March: Here’s a trend analysis

06 March 20244 mins read by Angel One
This article explores the historical NAV data of the fund and analyses the reasons behind the consistent uptrend observed in March.
Mutual funds’ NAV surges in March: Here’s a trend analysis
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Mutual funds are a popular investment avenue for individuals seeking diversified exposure to various asset classes. One notable trend observed in mutual fund performance is the surge in Net Asset Value (NAV) during March, particularly evident in Parag Parikh Flexi Cap Fund-Reg(G). This article explores the historical NAV data of the fund and analyses the reasons behind the consistent uptrend observed in March, with exceptions noted in certain years.

Trend Analysis

Examining the NAV data of Parag Parikh Flexi Cap Fund-Reg(G) over the past several years reveals a consistent pattern of NAV growth during March. In 2023, the NAV increased from 48.8446 to 49.4917, reflecting a growth of 1.32%.

Similarly, substantial NAV surges were observed in previous years, such as 2022 (5.19%), 2021 (1.76%), and 2019 (17.50%). However, 2018 stood as an exception, witnessing a decline in NAV (-4.62%), attributed to the introduction of long-term capital gains tax announced in February, with its effects realized in March.

Parag Parikh Flexi Cap Fund-Reg(G)
Year 01-Mar End March Volatility
2023 48.8446 49.4917 1.32%
2022 47.0366 49.4756 5.19%
2021 37.3443 38.0016 1.76%
2019 21.2139 24.9254 17.50%
2018 23.4335 22.3516 -4.62%
2017 19.3452 19.5487 1.05%
2016 16.6239 16.8282 1.23%
2015 16.6054 16.3257 -1.68%

Impact of External Factors

The financial year-end often coincides with investors making additional investments or adjusting their portfolios for tax-saving purposes, contributing to increased demand for mutual funds. Furthermore, fund managers may strategically deploy funds towards sectors or assets poised for growth towards the end of the financial year, aiming to boost NAV performance.

Exclusion of 2020 Data

It’s noteworthy to mention that the data for the year 2020 has been excluded from the analysis due to the unprecedented market turmoil caused by the COVID-19 pandemic. The extreme volatility and uncertainty during this period rendered the NAV trends unreliable for comparison.

Conclusion

In conclusion, the consistent surge in NAV observed in Parag Parikh Flexi Cap Fund-Reg(G) during March underscores the significance of end-of-financial-year dynamics and investor behaviour. While external factors such as tax considerations and strategic fund management play a role, investors should interpret NAV movements within the broader context of market conditions and fund performance.

Despite occasional exceptions like 2018, the overall trend points towards an annual uptick in NAV during March, highlighting opportunities for investors to capitalize on potential growth in mutual fund investments.

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Disclaimer: This blog has been written exclusively for educational purposes. The securities mentioned are only examples and not recommendations. The information is based on various secondary sources on the internet and is subject to change. Please consult with a financial expert before making investment decisions.

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