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GFS — Gayatri Financial Synergy
SBI Mutual Fund

SBI LONG TERM ADVANTAGE FUND - SERIES II

ELSSOtherDirect · Growth
Latest NAV
₹40.83
as of 23 Mar 2025
Performance

Historical returns (direct plan)

Annualised CAGR computed from daily NAV, as of the latest published value. Past performance is not indicative of future results.

3 Jul 2018 · ₹10,00024 Mar 2025 · ₹31,382
Illustrative growth of ₹10,000 invested at the start of available NAV history (3 Jul 2018) through 24 Mar 2025, direct plan. Based on past NAV; not a projection. Past performance is not indicative of future results.
Trailing annualised returns for SBI LONG TERM ADVANTAGE FUND - SERIES II (direct plan), CAGR from daily NAV, as of 23 Mar 2025.
PeriodReturn (CAGR)
1 year+6.7%
3 years+13.9%
5 years+33.1%
Category fact

Among 21 ELSS funds we track with a 3-year record, SBI LONG TERM ADVANTAGE FUND - SERIES II's 3-year return ranks #16 — in the top 76% of that peer set. This is a factual ranking from historical NAV, not a rating or a recommendation.

Calendar-year returns (direct plan), computed from year-end NAV. Past performance is not indicative of future results.
YearReturn
2025(YTD)-10.2%
2024+23.8%
2023+27.1%
2022+3.2%
2021+48.5%
Read it right

How to use these numbers

  • Compare returns within the same category (ELSS) — comparing a elss fund to a different mandate isn't like-for-like.
  • Weight the longest period you can. One strong year can flatter a fund; three- and five-year figures show more.
  • The growth curve and calendar-year rows are the same NAV history, read two ways — a smooth trailing view and the year-by-year swings behind it.
  • These are facts, not a recommendation. Nothing here says buy, hold or sell SBI LONG TERM ADVANTAGE FUND - SERIES II.
Talk it through

Not sure if it fits you?

A NISM-certified planner in Faridabad / Delhi NCR can put a fund like this in the context of your goals and risk profile — free.

Frequently asked questions

The latest published NAV of SBI LONG TERM ADVANTAGE FUND - SERIES II (direct plan) is ₹40.83 as of 23 Mar 2025. NAV is the net asset value per unit — the price at which one unit of the fund is valued. It changes each business day with the fund's underlying holdings.

Reviewed by Rajnish Bangia · NISM-certified Mutual Fund Distributor · ARN-315144 · Updated 23 Mar 2025

Returns are direct-plan CAGR and calendar-year figures computed from daily NAV (source: mfapi), as of the fund's latest NAV date, and are for information only. Gayatri Financial Synergy is an AMFI-registered Mutual Fund Distributor (ARN-315144), not a SEBI-registered Investment Adviser, and may earn commission on regular plans. Content here is for information only and is not investment advice. Mutual fund investments are subject to market risks. Read all scheme-related documents carefully.

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