Fund Category

Equity Funds

BL Rating

Latest Nav (Rs.)

Latest Corpus (Rs. Cr)

Expense Ratio (%) - Regular

Expense Ratio (%) - Direct

1 Yr CAGR

3 Yr CAGR

5 Yr CAGR

10 Yr CAGR

Sortino Ratio (%)

EQUITY - FOCUSED FUNDS

360 ONE Focused Equity Fund

5

41.0

6266

1.9

0.9

35.8

19.8

23.6

-

0.44

EQUITY - SECTOR - IT FUNDS

Aditya Birla Sun Life Digital India Fund

5

165.4

4717

1.9

0.8

35.4

21.9

25.6

19.4

0.50

EQUITY - TAX SAVING (ELSS) FUNDS

Bank of India ELSS Tax Saver

5

149.2

1090

2.2

1.2

53.8

24.4

26.4

19.4

0.53

EQUITY - LARGE CAP FUNDS

Baroda BNP Paribas Large Cap Fund

5

193.8

1743

2.1

0.9

37.2

17.6

18.9

16.6

0.39

EQUITY - LARGE CAP FUNDS

Canara Robeco Bluechip Equity Fund

5

53.3

11823

1.7

0.5

29.9

14.8

18.2

15.9

0.37

EQUITY - THEMATIC - CONSUMPTION FUNDS

Canara Robeco Consumer Trends Fund

5

91.9

1340

2.1

0.9

35.3

17.6

20.1

19.9

0.40

HYBRID - BALANCED ADVANTAGE FUNDS

Edelweiss Balanced Advantage Fund

5

45.4

10349

1.7

0.5

24.7

12.9

15.1

13.0

0.53

HYBRID - EQUITY SAVINGS FUNDS

Edelweiss Equity Savings Fund

5

22.0

368

1.6

0.6

16.5

9.4

10.3

-

0.54

HYBRID - BALANCED ADVANTAGE FUNDS

ICICI Prudential Balanced Advantage Fund

5

63.6

54142

1.5

0.9

21.0

12.8

13.4

12.9

0.33

EQUITY - LARGE CAP FUNDS

ICICI Prudential Bluechip Fund

5

94.5

49838

1.5

0.9

39.0

20.4

19.1

16.8

0.37

HYBRID - AGGRESSIVE HYBRID FUNDS

ICICI Prudential Equity & Debt Fund

5

331.0

31196

1.6

1.0

37.7

24.6

21.5

18.2

0.49

HYBRID - CONSERVATIVE HYBRID FUNDS

ICICI Prudential Regular Savings Fund

5

66.1

3381

1.7

0.9

14.0

9.1

9.7

10.7

0.61

EQUITY - VALUE FUNDS

ICICI Prudential Value Discovery Fund

5

393.2

39376

1.6

1.0

42.3

27.2

23.7

20.4

0.50

EQUITY - THEMATIC - INFRASTRUCTURE FUNDS

Invesco India Infrastructure Fund

5

53.5

857

2.3

0.9

66.7

32.7

28.7

22.3

0.53

EQUITY - FLEXI CAP FUNDS

JM Flexicap Fund

5

86.8

1438

2.1

0.6

59.1

27.0

24.4

20.8

0.48

EQUITY - VALUE FUNDS

JM Value Fund

5

88.4

499

2.5

1.4

63.0

28.1

24.5

21.8

0.45

HYBRID - CONSERVATIVE HYBRID FUNDS

Kotak Debt Hybrid Fund

5

52.3

2249

1.7

0.5

17.8

10.9

11.9

10.6

0.61

EQUITY - TAX SAVING (ELSS) FUNDS

Mirae Asset ELSS Tax Saver Fund

5

41.1

20950

1.6

0.6

34.8

17.7

20.3

-

0.39

EQUITY - LARGE & MID CAP FUNDS

Mirae Asset Large & Midcap Fund

5

130.2

33295

1.6

0.6

39.0

18.8

21.8

23.6

0.42

EQUITY - SMALL CAP FUNDS

Nippon India Small Cap Fund

5

144.4

45894

1.5

0.7

58.4

36.9

31.6

28.3

0.52

EQUITY - FLEXI CAP FUNDS

Parag Parikh Flexi Cap Fund

5

69.6

55034

1.3

0.6

43.2

22.9

23.8

20.5

0.51

EQUITY - MID CAP FUNDS

PGIM India Midcap Opportunities Fund

5

54.2

9962

1.7

0.4

27.9

21.1

26.8

18.3

0.49

HYBRID - AGGRESSIVE HYBRID FUNDS

Quant Absolute Fund

5

399.6

1678

2.1

0.8

38.0

26.7

25.9

20.2

0.58

EQUITY - TAX SAVING (ELSS) FUNDS

Quant ELSS Tax Saver Fund

5

356.3

7238

1.8

0.8

58.4

33.3

32.9

26.2

0.58

EQUITY - FOCUSED FUNDS

Quant Focused Fund

5

84.6

656

2.3

0.8

54.2

25.4

23.8

21.4

0.44

EQUITY - THEMATIC - INFRASTRUCTURE FUNDS

Quant Infrastructure Fund

5

38.5

1636

2.1

0.8

76.9

44.8

37.0

25.3

0.57

EQUITY - LARGE & MID CAP FUNDS

Quant Large & Mid Cap Fund

5

111.0

1689

2.1

0.8

58.2

31.1

26.8

23.5

0.54

EQUITY - MID CAP FUNDS

Quant Mid Cap Fund

5

211.1

4858

1.9

0.8

63.0

39.0

31.9

20.3

0.60

EQUITY - SMALL CAP FUNDS

Quant Small Cap Fund

5

243.9

15664

1.7

0.8

74.0

45.7

38.6

20.9

0.60

HYBRID - EQUITY SAVINGS FUNDS

Sundaram Equity Savings Fund

5

61.7

716

2.2

0.5

19.9

11.9

12.0

9.6

0.47

EQUITY - SECTOR - BANKING FUNDS

Sundaram Financial Services Opportunities Fund

5

88.0

1142

2.2

0.8

39.7

17.1

18.9

17.9

0.32

EQUITY - DIVIDEND YIELD FUNDS

Templeton India Equity Income Fund

5

127.0

1994

2.1

1.4

45.2

27.2

23.3

18.5

0.48

HYBRID - BALANCED ADVANTAGE FUNDS

Aditya Birla SL Bal Advantage

4

90.5

7013

1.8

0.7

20.8

11.5

12.4

12.4

0.31

EQUITY - MID CAP FUNDS

Axis Midcap Fund

4

89.8

24534

1.6

0.5

36.6

19.0

21.3

21.0

0.45

EQUITY - SMALL CAP FUNDS

AXIS Small Cap Fund

4

89.5

19531

1.6

0.5

43.1

28.7

28.1

24.6

0.53

EQUITY - TAX SAVING (ELSS) FUNDS

Bandhan ELSS Tax Saver Fund

4

137.5

5976

1.8

0.6

38.6

23.0

21.9

18.8

0.38

EQUITY - VALUE FUNDS

Bandhan Sterling Value Fund

4

132.0

8161

1.8

0.7

43.5

28.1

23.1

19.9

0.37

EQUITY - THEMATIC - INFRASTRUCTURE FUNDS

BOI AXA Manufacturing & Infra

4

47.3

218

2.4

1.0

57.1

30.8

27.9

20.5

0.55

HYBRID - AGGRESSIVE HYBRID FUNDS

BOI AXA Mid & Small Cap Eq&Debt

4

32.8

636

2.5

1.4

45.4

26.3

22.4

-

0.46

EQUITY - TAX SAVING (ELSS) FUNDS

Canara Robeco ELSS Tax Saver

4

149.7

7155

1.7

0.6

31.3

16.3

20.0

17.4

0.40

HYBRID - AGGRESSIVE HYBRID FUNDS

Canara Robeco Equity Hybrid Fund

4

307.7

9746

1.7

0.6

25.2

13.6

15.5

15.6

0.39

EQUITY - FLEXI CAP FUNDS

Canara Robeco Flexi Cap Fund

4

287.0

11609

1.7

0.6

30.7

16.2

18.0

16.2

0.36

EQUITY - TAX SAVING (ELSS) FUNDS

DSP ELSS Tax Saver Fund

4

114.7

13846

1.7

0.7

41.2

20.9

21.2

19.2

0.40

EQUITY - LARGE & MID CAP FUNDS

Edelweiss Large & Mid Cap Fund

4

73.0

2734

1.9

0.5

39.9

19.6

20.2

17.4

0.39

EQUITY - LARGE CAP FUNDS

Edelweiss Large Cap Fund

4

73.8

718

2.3

0.8

33.1

16.9

17.3

15.7

0.33

EQUITY - MID CAP FUNDS

Edelweiss Mid Cap Fund

4

77.5

4915

1.8

0.4

51.2

25.9

25.9

23.3

0.47

EQUITY - FOCUSED FUNDS

Franklin India Focused Equity Fund

4

92.4

10643

1.8

1.0

35.2

20.2

19.9

19.5

0.36

EQUITY - FLEXI CAP FUNDS

HDFC Flexi Cap Fund

4

1602.4

47642

1.5

0.8

42.5

25.5

21.2

18.4

0.38

HYBRID - CONSERVATIVE HYBRID FUNDS

HDFC Hybrid Debt Fund

4

73.8

3055

1.8

1.3

17.5

11.3

10.8

10.5

0.52

EQUITY - LARGE & MID CAP FUNDS

HDFC Large and Mid Cap Fund

4

290.1

16033

1.7

0.8

49.2

25.9

22.6

15.6

0.41

EQUITY - LARGE CAP FUNDS

HDFC Top 100 Fund

4

1016.4

30980

1.7

1.1

37.5

20.1

17.4

16.2

0.32

HYBRID - BALANCED ADVANTAGE FUNDS

HSBC Balanced Advantage Fund

4

38.7

1399

2.1

0.8

23.0

10.4

10.6

11.8

0.33

EQUITY - DIVIDEND YIELD FUNDS

ICICI Prudential Dividend Yield Equity Fund

4

44.5

3454

1.9

0.5

52.0

31.3

23.8

-

0.46

EQUITY - FOCUSED FUNDS

ICICI Prudential Focused Equity Fund

4

72.2

6823

1.8

0.6

42.4

22.0

20.8

16.2

0.47

EQUITY - THEMATIC - INFRASTRUCTURE FUNDS

ICICI Prudential Infrastructure Fund

4

163.1

4574

1.9

1.2

64.3

38.8

28.9

20.8

0.49

EQUITY - LARGE & MID CAP FUNDS

ICICI Prudential Large & Mid Cap Fund

4

823.2

10854

1.8

0.8

43.7

26.2

22.5

17.3

0.42

EQUITY - SECTOR - IT FUNDS

ICICI Prudential Technology Fund

4

181.1

12249

1.7

0.9

30.6

20.8

24.7

18.4

0.47

HYBRID - AGGRESSIVE HYBRID FUNDS

JM Aggressive Hybrid Fund

4

107.4

167

2.4

0.6

48.9

22.5

18.7

14.9

0.41

EQUITY - TAX SAVING (ELSS) FUNDS

JM ELSS Tax Saver Fund

4

41.0

115

2.4

1.3

44.8

20.8

21.2

19.2

0.39

EQUITY - LARGE CAP FUNDS

Kotak Bluechip Fund

4

487.3

7447

1.8

0.6

29.5

16.1

17.5

15.7

0.34

HYBRID - AGGRESSIVE HYBRID FUNDS

Kotak Equity Hybrid Fund

4

51.7

4918

1.8

0.5

25.5

15.8

17.7

-

0.38

HYBRID - EQUITY SAVINGS FUNDS

Kotak Equity Savings Fund

4

23.3

4330

1.9

0.8

18.8

11.6

11.0

-

0.40

EQUITY - SMALL CAP FUNDS

Kotak Small Cap Fund

4

222.0

14426

1.7

0.4

37.6

25.3

27.9

23.2

0.48

EQUITY - THEMATIC - CONSUMPTION FUNDS

Mirae Asset Great Consumer Fund

4

78.4

3094

1.9

0.4

37.9

21.3

19.3

18.4

0.38

EQUITY - MID CAP FUNDS

Motilal Oswal Midcap Fund

4

78.0

7972

1.8

0.6

56.9

34.5

27.7

-

0.46

EQUITY - MID CAP FUNDS

Nippon India Growth Fund

4

3299.8

24366

1.7

0.9

56.5

28.8

26.4

21.4

0.49

EQUITY - LARGE CAP FUNDS

Nippon India Large Cap Fund

4

76.8

21454

1.7

0.8

41.6

23.3

18.8

17.9

0.34

EQUITY - VALUE FUNDS

Nippon India Value Fund

4

191.5

6996

1.9

1.2

56.0

26.0

23.2

19.6

0.43

EQUITY - FLEXI CAP FUNDS

PGIM India Flexi Cap Fund

4

31.3

5928

1.8

0.4

26.8

15.9

20.9

-

0.39

EQUITY - SECTOR - BANKING FUNDS

SBI Banking & Financial Services Fund

4

32.7

4994

1.9

0.8

32.4

11.9

14.9

-

0.25

HYBRID - CONSERVATIVE HYBRID FUNDS

SBI Conservative Hybrid Fund

4

64.1

9482

1.1

0.6

14.8

10.4

10.9

10.0

0.54

EQUITY - THEMATIC - CONSUMPTION FUNDS

SBI Consumption Opportunities Fund

4

272.2

2001

2.1

1.0

34.4

24.9

19.6

17.8

0.37

HYBRID - EQUITY SAVINGS FUNDS

SBI Equity Savings Fund

4

21.3

3897

1.2

0.7

21.3

10.6

11.3

-

0.34

EQUITY - THEMATIC - INFRASTRUCTURE FUNDS

SBI Infrastructure Fund

4

44.6

2064

2.1

1.6

62.6

32.4

26.8

20.7

0.48

EQUITY - LARGE & MID CAP FUNDS

SBI Large & Midcap Fund

4

519.5

20008

1.7

0.8

35.2

21.8

20.4

18.4

0.37

EQUITY - TAX SAVING (ELSS) FUNDS

SBI Long Term Equity Fund

4

369.8

20085

1.7

1.0

57.9

26.7

22.4

17.9

0.43

EQUITY - SECTOR - BANKING FUNDS

Tata Banking and Financial Services Fund

4

34.4

1949

2.0

0.5

27.0

12.4

15.5

-

0.28

EQUITY - TAX SAVING (ELSS) FUNDS

Union ELSS Tax Saver Fund

4

56.9

807

2.3

1.5

35.7

19.6

20.3

15.1

0.39

EQUITY - FLEXI CAP FUNDS

Union Flexi Cap Fund

4

45.4

1918

2.1

0.9

38.4

19.2

20.2

14.8

0.39

EQUITY - SECTOR - BANKING FUNDS

Aditya Birla SL Bank & Fin Serv

3

50.6

3085

2.0

1.0

31.2

13.6

14.3

18.3

0.24

EQUITY - FOCUSED FUNDS

Aditya Birla Sun Life Focused Fund

3

121.1

6886

1.8

0.9

35.2

17.0

17.1

15.9

0.33

EQUITY - THEMATIC - CONSUMPTION FUNDS

Aditya Birla Sun Life India GenNext Fund

3

181.0

4612

1.9

0.9

32.2

17.9

18.7

18.9

0.36

HYBRID - CONSERVATIVE HYBRID FUNDS

Aditya Birla Sun Life Regular Savings Fund

3

58.4

1435

1.9

1.0

11.0

8.4

9.1

10.1

0.36

EQUITY - LARGE CAP FUNDS

Axis Bluechip Fund

3

53.0

32675

1.6

0.7

26.1

10.8

14.6

14.9

0.30

HYBRID - EQUITY SAVINGS FUNDS

Axis Equity Saver Fund

3

20.0

917

2.3

1.0

18.7

9.6

10.1

-

0.31

HYBRID - BALANCED ADVANTAGE FUNDS

Bandhan Balanced Advantage Fund

3

21.2

2250

1.9

0.7

19.1

9.3

10.7

-

0.25

EQUITY - LARGE & MID CAP FUNDS

Bandhan Core Equity Fund

3

109.1

3723

1.9

0.7

50.6

25.0

21.2

17.0

0.38

EQUITY - THEMATIC - INFRASTRUCTURE FUNDS

Bandhan Infrastructure Fund

3

42.3

965

2.3

1.1

71.1

33.3

26.0

19.3

0.42

EQUITY - LARGE CAP FUNDS

Bandhan Large Cap Fund

3

66.1

1330

2.1

0.9

37.6

16.6

16.7

13.7

0.32

HYBRID - CONSERVATIVE HYBRID FUNDS

Baroda BNP Paribas Conser Hybrid

3

40.3

599

2.1

0.6

13.0

6.9

7.8

8.3

0.41

EQUITY - TAX SAVING (ELSS) FUNDS

Baroda BNP Paribas ELSS Tax Saver Fund

3

79.7

829

2.3

1.1

39.9

16.0

17.8

16.3

0.36

EQUITY - MID CAP FUNDS

Baroda BNP Paribas Mid Cap Fund

3

85.8

1746

2.1

0.6

47.3

23.8

24.1

20.8

0.46

HYBRID - CONSERVATIVE HYBRID FUNDS

Canara Robeco Conservative Hybrid Fund

3

86.3

1007

1.8

0.7

11.9

7.6

9.6

9.1

0.51

EQUITY - LARGE & MID CAP FUNDS

Canara Robeco Emerging Equities

3

208.4

19902

1.7

0.6

32.9

17.4

19.0

22.4

0.36

EQUITY - THEMATIC - INFRASTRUCTURE FUNDS

Canara Robeco Infrastructure Fund

3

123.4

480

2.5

1.2

50.9

29.4

24.8

20.0

0.46

HYBRID - BALANCED ADVANTAGE FUNDS

DSP Dynamic Asset Allocation Fund

3

23.6

3186

1.9

0.7

18.3

8.4

9.7

8.9

0.28

HYBRID - AGGRESSIVE HYBRID FUNDS

DSP Equity & Bond Fund

3

291.7

8845

1.8

0.7

26.7

13.1

15.8

15.3

0.35

EQUITY - LARGE & MID CAP FUNDS

DSP Equity Opportunities Fund

3

511.1

10626

1.8

0.8

43.6

20.5

20.3

18.4

0.38

EQUITY - FLEXI CAP FUNDS

DSP Flexi Cap Fund

3

85.1

10081

1.8

0.7

33.6

16.0

19.1

17.4

0.36

EQUITY - THEMATIC - INFRASTRUCTURE FUNDS

DSP India T.I.G.E.R. Fund

3

264.2

3168

2.0

1.1

64.6

34.8

26.8

21.1

0.46

EQUITY - SMALL CAP FUNDS

DSP Small Cap Fund

3

165.6

13859

1.7

0.8

49.0

29.4

27.1

24.6

0.48

EQUITY - FLEXI CAP FUNDS

Edelweiss Flexi Cap Fund

3

31.8

1598

2.1

0.5

38.3

19.2

18.5

-

0.35

EQUITY - THEMATIC - INFRASTRUCTURE FUNDS

Franklin Build India Fund

3

121.0

2035

2.1

1.1

72.4

33.7

26.2

24.1

0.45

HYBRID - CONSERVATIVE HYBRID FUNDS

Franklin India Debt Hybrid Fund

3

80.4

230

1.4

0.7

14.4

8.0

8.2

8.8

0.31

EQUITY - TAX SAVING (ELSS) FUNDS

Franklin India ELSS Tax Saver Fund

3

1264.8

6033

1.8

1.1

44.9

21.7

18.9

17.5

0.34

HYBRID - AGGRESSIVE HYBRID FUNDS

Franklin India Equity Hybrid Fund

3

235.6

1664

2.2

1.2

31.9

15.6

15.7

15.0

0.35

EQUITY - FLEXI CAP FUNDS

Franklin India Flexi Cap Fund

3

1395.3

14165

1.8

1.0

44.2

21.8

20.0

18.2

0.37

HYBRID - EQUITY SAVINGS FUNDS

HDFC Equity Savings Fund

3

59.6

3737

2.0

1.0

18.7

11.7

11.0

10.3

0.37

EQUITY - FOCUSED FUNDS

HDFC Focused 30 Fund

3

184.4

9317

1.7

0.5

40.5

27.4

21.1

17.4

0.38

HYBRID - AGGRESSIVE HYBRID FUNDS

HDFC Hybrid Equity Fund

3

103.8

22474

1.7

1.0

22.5

15.2

15.5

14.3

0.35

EQUITY - MID CAP FUNDS

HDFC Mid-Cap Opportunities Fund

3

158.5

59027

1.5

0.8

57.8

30.2

25.8

22.5

0.47

EQUITY - SMALL CAP FUNDS

HDFC Small Cap Fund

3

122.1

28607

1.6

0.6

52.7

32.8

24.9

22.1

0.42

HYBRID - CONSERVATIVE HYBRID FUNDS

HSBC Conservative Hybrid Fund

3

52.9

112

2.2

1.4

13.8

7.4

8.6

8.4

0.39

HYBRID - EQUITY SAVINGS FUNDS

HSBC Equity Savings Fund

3

28.5

221

1.5

0.6

21.2

11.7

10.7

9.6

0.32

EQUITY - LARGE CAP FUNDS

HSBC Large Cap Fund

3

422.3

1706

2.2

1.2

35.2

15.5

16.8

14.6

0.32

EQUITY - VALUE FUNDS

HSBC Value Fund

3

92.7

11239

1.8

0.8

53.4

27.2

22.9

22.1

0.40

EQUITY - SECTOR - BANKING FUNDS

ICICI Prudential Banking & Financial Services Fund

3

106.1

7322

1.9

1.0

23.7

12.3

12.9

18.1

0.21

EQUITY - TAX SAVING (ELSS) FUNDS

ICICI Pru Long Term Equity

3

791.1

12586

1.7

1.0

35.0

17.9

17.9

16.7

0.34

HYBRID - BALANCED ADVANTAGE FUNDS

Invesco India Balanced Advantage Fund

3

47.2

695

2.2

0.9

25.9

12.4

11.4

11.7

0.26

EQUITY - TAX SAVING (ELSS) FUNDS

Invesco India ELSS Tax Saver Fund

3

107.7

2517

1.9

0.7

42.8

16.9

17.8

17.7

0.33

EQUITY - SECTOR - BANKING FUNDS

Invesco India Financial Services Fund

3

109.9

692

2.4

1.1

40.2

16.3

16.6

18.5

0.28

EQUITY - LARGE & MID CAP FUNDS

Invesco India Large & Mid Cap Fund

3

75.3

4786

1.9

0.7

48.1

19.7

18.8

17.5

0.35

EQUITY - LARGE CAP FUNDS

Invesco India Largecap Fund

3

58.7

925

2.2

0.8

38.4

18.1

16.9

15.6

0.31

EQUITY - MID CAP FUNDS

Invesco India Midcap Fund

3

129.7

4169

1.9

0.6

49.5

23.6

23.5

21.8

0.45

EQUITY - TAX SAVING (ELSS) FUNDS

Kotak ELSS Tax Saver Fund

3

100.3

4797

1.8

0.6

35.5

20.1

19.8

18.5

0.36

EQUITY - MID CAP FUNDS

Kotak Emerging Equity Fund

3

103.3

39027

1.5

0.4

37.0

22.8

24.1

23.2

0.43

EQUITY - LARGE & MID CAP FUNDS

Kotak Equity Opportunities Fund

3

283.4

18315

1.6

0.5

38.6

21.0

20.8

18.7

0.39

EQUITY - FLEXI CAP FUNDS

Kotak Flexicap Fund

3

70.4

44427

1.5

0.6

32.3

16.2

16.7

17.7

0.31

EQUITY - THEMATIC - INFRASTRUCTURE FUNDS

Kotak Infra & Economic Reform

3

55.6

1477

2.1

0.7

46.7

31.8

25.5

21.2

0.44

EQUITY - THEMATIC - INFRASTRUCTURE FUNDS

LIC MF Infrastructure Fund

3

37.6

177

2.5

1.5

61.1

29.5

24.1

17.3

0.43

EQUITY - TAX SAVING (ELSS) FUNDS

Mahindra Manulife ELSS Tax Saver Fund

3

24.9

781

2.2

0.6

31.6

19.3

18.2

-

0.35

HYBRID - AGGRESSIVE HYBRID FUNDS

Mirae Asset Aggressive Hybrid Fund

3

27.6

8350

1.7

0.4

25.5

13.7

14.9

-

0.34

EQUITY - LARGE CAP FUNDS

Mirae Asset Large Cap Fund

3

96.1

37904

1.5

0.5

23.9

13.6

15.2

16.8

0.29

HYBRID - BALANCED ADVANTAGE FUNDS

Motilal Oswal Balanced Advantage Fund

3

19.3

1282

2.2

1.0

27.5

9.7

10.4

-

0.28

EQUITY - TAX SAVING (ELSS) FUNDS

Motilal Oswal ELSS Tax Saver Fund

3

41.1

3026

1.9

0.7

53.5

23.1

21.0

-

0.37

EQUITY - SECTOR - BANKING FUNDS

Nippon India Banking & Financial Services Fund

3

512.3

5177

1.9

1.1

33.4

18.8

15.4

17.9

0.25

EQUITY - FOCUSED FUNDS

Nippon India Focused Equity Fund

3

102.9

7780

1.9

1.2

32.4

16.7

19.2

19.5

0.34

EQUITY - TAX SAVING (ELSS) FUNDS

PGIM India ELSS Tax Saver Fund

3

29.7

634

2.3

0.7

23.3

17.1

17.5

-

0.33

EQUITY - LARGE CAP FUNDS

SBI Blue Chip Fund

3

78.3

43273

1.6

0.9

24.9

14.4

16.8

16.0

0.32

HYBRID - AGGRESSIVE HYBRID FUNDS

SBI Equity Hybrid Fund

3

247.4

65010

1.4

0.8

24.1

12.7

14.5

14.8

0.34

EQUITY - FLEXI CAP FUNDS

SBI Flexicap Fund

3

96.3

20140

1.7

0.9

29.6

15.2

16.5

17.5

0.32

EQUITY - FOCUSED FUNDS

SBI Focused Equity Fund

3

282.3

31384

1.6

0.8

29.8

14.7

17.0

17.8

0.34

EQUITY - MID CAP FUNDS

SBI Magnum Midcap Fund

3

202.0

15957

1.7

0.8

39.9

24.4

24.4

20.2

0.44

EQUITY - SMALL CAP FUNDS

SBI Small Cap Fund

3

151.1

24862

1.6

0.7

37.4

25.4

25.9

26.9

0.51

HYBRID - AGGRESSIVE HYBRID FUNDS

Sundaram Aggressive Hybrid Fund

3

141.0

4191

1.9

0.7

26.6

14.4

13.9

14.6

0.32

EQUITY - DIVIDEND YIELD FUNDS

Sundaram Dividend Yield Fund

3

124.8

783

2.3

1.0

44.2

21.7

20.0

17.9

0.42

EQUITY - TAX SAVING (ELSS) FUNDS

Sundaram ELSS Tax Saver Fund

3

438.1

1187

2.2

1.7

33.0

18.3

17.8

17.2

0.34

EQUITY - FOCUSED FUNDS

Sundaram Focused Fund

3

141.5

992

2.3

1.3

34.1

16.3

19.0

16.2

0.37

EQUITY - LARGE & MID CAP FUNDS

Sundaram Large and Mid Cap Fund

3

72.7

6040

1.8

0.7

36.1

18.6

17.9

17.8

0.32

EQUITY - SECTOR - IT FUNDS

Tata Digital India Fund

3

44.4

9702

1.7

0.3

35.4

22.5

24.4

-

0.48

EQUITY - VALUE FUNDS

Tata Equity P/E Fund

3

304.7

7169

1.8

0.8

49.5

23.0

19.5

19.7

0.38

HYBRID - EQUITY SAVINGS FUNDS

Tata Equity Savings Fund

3

48.9

136

1.1

0.4

15.5

8.6

9.1

7.9

0.33

EQUITY - THEMATIC - CONSUMPTION FUNDS

Tata India Consumer Fund

3

36.6

1842

2.1

0.8

39.0

19.9

17.0

-

0.36

EQUITY - THEMATIC - INFRASTRUCTURE FUNDS

Tata Infrastructure Fund

3

161.6

1701

2.2

1.3

63.7

32.4

26.8

20.6

0.49

EQUITY - LARGE & MID CAP FUNDS

Tata Large & Mid Cap Fund

3

465.8

6431

1.8

0.8

34.6

18.8

20.2

17.3

0.39

EQUITY - LARGE CAP FUNDS

Tata Large Cap Fund

3

440.7

1888

2.1

1.2

33.1

17.1

16.8

14.4

0.31

EQUITY - MID CAP FUNDS

Tata Mid Cap Growth Fund

3

365.6

3224

1.9

0.8

51.3

24.1

23.5

21.7

0.45

EQUITY - MID CAP FUNDS

Taurus Mid Cap Fund

3

112.9

119

2.6

2.2

51.4

23.9

23.3

21.0

0.45

EQUITY - VALUE FUNDS

Templeton India Value Fund

3

644.4

1728

2.1

1.0

46.4

26.4

22.0

18.2

0.39

EQUITY - SMALL CAP FUNDS

Union Small Cap Fund

3

42.2

1349

2.1

0.9

47.5

26.8

27.2

-

0.49

HYBRID - AGGRESSIVE HYBRID FUNDS

UTI Aggressive Hybrid Fund

3

341.2

5292

1.9

1.3

31.3

18.3

16.4

14.0

0.36

HYBRID - CONSERVATIVE HYBRID FUNDS

UTI Conservative Hybrid Fund

3

60.7

1576

1.8

1.2

13.6

9.7

8.5

9.4

0.35

EQUITY - TAX SAVING (ELSS) FUNDS

UTI ELSS Tax Saver Fund

3

176.6

3466

1.9

0.8

28.9

14.5

16.7

15.0

0.32

EQUITY - FLEXI CAP FUNDS

UTI Flexi Cap Fund

3

271.8

25156

1.6

0.9

20.6

9.1

15.4

15.2

0.28

EQUITY - LARGE & MID CAP FUNDS

UTI Large & Mid Cap Fund

3

145.1

2500

2.0

1.2

44.9

22.9

20.1

16.0

0.36

EQUITY - LARGE CAP FUNDS

UTI Large Cap Fund

3

238.4

12082

1.7

0.8

26.3

14.1

15.8

14.9

0.31

EQUITY - MID CAP FUNDS

UTI Mid Cap Fund

3

255.4

10072

1.7

0.8

39.4

21.2

22.4

20.5

0.42

EQUITY - VALUE FUNDS

UTI Value Fund

3

136.8

8478

1.8

1.1

34.7

18.4

19.2

15.1

0.36

HYBRID - AGGRESSIVE HYBRID FUNDS

Aditya Birla Sun Life Equity Hybrid '95 Fund

2

1308.3

7407

1.9

1.1

27.4

13.1

12.9

13.7

0.26

EQUITY - FLEXI CAP FUNDS

Aditya Birla Sun Life Flexi Cap Fund

2

1496.1

19588

1.7

0.9

35.6

17.1

17.2

17.8

0.31

EQUITY - LARGE CAP FUNDS

Aditya Birla Sun Life Frontline Equity Fund

2

450.3

26046

1.7

1.0

32.1

16.9

16.5

15.6

0.31

EQUITY - THEMATIC - INFRASTRUCTURE FUNDS

Aditya Birla Sun Life Infrastructure Fund

2

83.3

920

2.4

1.5

60.2

28.3

24.0

19.0

0.39

EQUITY - TAX SAVING (ELSS) FUNDS

Axis ELSS Tax Saver Fund

2

81.4

33526

1.5

0.8

31.5

9.9

14.8

16.7

0.27

HYBRID - CONSERVATIVE HYBRID FUNDS

Axis Regular Saver Fund

2

26.9

362

2.2

0.8

9.9

6.5

7.1

8.1

0.26

EQUITY - FLEXI CAP FUNDS

Bandhan Flexi Cap Fund

2

175.8

6713

1.9

1.2

31.6

17.0

15.3

15.4

0.28

HYBRID - AGGRESSIVE HYBRID FUNDS

Bandhan Hybrid Equity Fund

2

21.4

688

2.4

1.1

26.3

15.0

14.5

-

0.30

EQUITY - LARGE & MID CAP FUNDS

BOI Large & Mid Cap Equity Fund

2

78.3

282

2.5

1.5

42.3

21.9

20.5

15.1

0.39

EQUITY - SECTOR - BANKING FUNDS

Baroda BNP Paribas Bank&Fin Serv

2

38.4

118

2.5

1.3

29.2

10.5

13.2

15.1

0.23

HYBRID - EQUITY SAVINGS FUNDS

DSP Equity Savings Fund

2

19.0

800

1.4

0.5

14.5

9.4

9.6

-

0.26

EQUITY - FOCUSED FUNDS

DSP Focus Fund

2

45.2

2220

2.1

1.0

38.8

15.8

16.5

15.6

0.30

EQUITY - MID CAP FUNDS

DSP Midcap Fund

2

119.8

16556

1.7

0.7

42.4

17.0

19.1

19.8

0.38

HYBRID - CONSERVATIVE HYBRID FUNDS

DSP Regular Savings Fund

2

51.3

175

1.2

0.5

13.8

8.1

8.4

7.9

0.35

EQUITY - TAX SAVING (ELSS) FUNDS

Edelweiss Long Term Equity

2

94.4

302

2.3

0.6

34.1

16.9

16.9

15.0

0.31

EQUITY - LARGE CAP FUNDS

Franklin India Bluechip Fund

2

877.7

7465

1.9

1.1

29.4

13.3

14.8

13.9

0.27

EQUITY - MID CAP FUNDS

Franklin India Prima Fund

2

2197.4

10081

1.8

1.0

47.4

20.8

19.8

20.2

0.36

EQUITY - SMALL CAP FUNDS

Franklin India Smaller Companies Fund

2

152.1

11834

1.8

0.9

57.3

32.3

25.1

22.9

0.43

EQUITY - VALUE FUNDS

HDFC Capital Builder Value Fund

2

620.0

6620

1.8

1.0

41.7

21.0

17.7

17.1

0.31

EQUITY - TAX SAVING (ELSS) FUNDS

HDFC ELSS Tax saver

2

1162.4

13441

1.7

1.1

45.6

25.8

19.2

16.6

0.35

HYBRID - AGGRESSIVE HYBRID FUNDS

HSBC Aggressive Hybrid Fund

2

46.7

5157

1.9

0.8

29.6

13.2

13.7

14.2

0.29

EQUITY - FLEXI CAP FUNDS

HSBC Flexi Cap Fund

2

184.4

4116

2.0

1.2

43.9

19.9

18.2

16.2

0.32

EQUITY - THEMATIC - INFRASTRUCTURE FUNDS

HSBC Infrastructure Fund

2

39.7

2202

2.1

1.0

56.8

30.9

22.3

21.2

0.38

EQUITY - MID CAP FUNDS

HSBC Midcap Fund

2

314.8

9467

1.8

0.7

53.7

23.1

20.5

21.7

0.37

EQUITY - SMALL CAP FUNDS

HSBC Small Cap Fund

2

72.2

13981

1.7

0.7

52.1

35.6

25.8

-

0.43

HYBRID - EQUITY SAVINGS FUNDS

ICICI Prudential Equity Savings Fund

2

20.1

8774

1.0

0.5

10.9

8.2

8.7

-

0.24

EQUITY - THEMATIC - CONSUMPTION FUNDS

ICICI Prudential FMCG Fund

2

450.3

1490

2.2

1.2

14.8

18.9

14.5

14.7

0.34

EQUITY - MID CAP FUNDS

ICICI Prudential Midcap Fund

2

242.1

5418

1.9

1.0

51.1

25.1

22.4

20.6

0.40

EQUITY - SECTOR - BANKING FUNDS

LIC MF Banking & Financial Services Fund

2

18.6

298

2.5

1.2

24.0

12.9

13.3

-

0.23

EQUITY - TAX SAVING (ELSS) FUNDS

LIC MF ELSS Tax Saver

2

126.7

996

2.2

1.2

30.7

15.9

15.4

14.9

0.28

EQUITY - FLEXI CAP FUNDS

LIC MF Flexi Cap Fund

2

86.5

938

2.3

1.6

34.0

15.2

14.7

12.0

0.29

EQUITY - LARGE & MID CAP FUNDS

LIC MF Large & Midcap Fund

2

31.8

2551

2.0

0.8

37.3

18.6

18.2

-

0.35

EQUITY - LARGE CAP FUNDS

LIC MF Large Cap Fund

2

48.4

1368

2.2

1.1

23.9

12.3

14.5

13.0

0.29

EQUITY - FOCUSED FUNDS

Motilal Oswal Focused Fund

2

40.2

1842

2.1

0.9

27.6

10.4

15.1

14.6

0.30

EQUITY - LARGE & MID CAP FUNDS

Navi Large & Midcap Fund

2

30.6

282

2.3

0.3

27.8

17.3

16.7

-

0.30

EQUITY - LARGE & MID CAP FUNDS

Nippon India Vision Fund

2

1190.9

4167

2.0

1.6

44.5

21.3

19.9

16.4

0.36

EQUITY - LARGE CAP FUNDS

PGIM India Large Cap Fund

2

301.8

537

2.4

0.9

24.7

12.5

14.2

13.8

0.26

EQUITY - TAX SAVING (ELSS) FUNDS

Quantum ELSS Tax Saver Fund

2

107.1

165

2.0

0.9

37.5

17.9

15.4

14.8

0.30

EQUITY - VALUE FUNDS

Quantum Long Term Equity Value Fund

2

107.6

1030

2.0

1.1

37.8

17.8

15.3

14.8

0.29

EQUITY - SECTOR - IT FUNDS

SBI Technology Opportunities Fund

2

184.7

3758

1.9

0.8

26.8

21.9

23.7

17.2

0.49

HYBRID - BALANCED ADVANTAGE FUNDS

Sundaram Balanced Advantage Fund

2

31.3

1524

2.1

0.6

20.7

10.8

9.0

10.0

0.31

EQUITY - THEMATIC - INFRASTRUCTURE FUNDS

Sundaram Infrastructure Advantage Fund

2

80.6

846

2.5

1.9

54.7

27.4

22.5

18.7

0.38

EQUITY - TAX SAVING (ELSS) FUNDS

Tata ELSS Tax Saver Fund

2

37.7

3987

1.8

0.7

31.4

17.0

17.6

-

0.33

HYBRID - AGGRESSIVE HYBRID FUNDS

Tata Hybrid Equity Fund

2

390.8

3623

1.9

1.0

23.9

14.5

14.5

14.1

0.33

EQUITY - DIVIDEND YIELD FUNDS

UTI Dividend Yield Fund

2

147.3

3527

2.0

1.4

41.1

21.6

18.7

15.9

0.38

EQUITY - THEMATIC - CONSUMPTION FUNDS

UTI India Consumer Fund

2

48.9

557

2.5

1.6

32.0

15.6

15.2

13.1

0.31

HYBRID - BALANCED ADVANTAGE FUNDS

UTI-Unit Linked Insurance Plan

2

36.3

5293

1.6

0.9

13.1

7.6

7.9

9.2

0.19

EQUITY - DIVIDEND YIELD FUNDS

Aditya Birla Sun Life Dividend Yield Fund

1

411.4

1277

2.3

1.5

52.9

29.3

22.4

16.6

0.44

EQUITY - TAX SAVING (ELSS) FUNDS

Aditya Birla Sun Life ELSS Tax Saver Fund

1

51.2

14998

1.7

1.0

30.5

9.9

11.4

15.1

0.21

EQUITY - LARGE & MID CAP FUNDS

Aditya Birla Sun Life Equity Advantage Fund

1

780.8

5560

1.9

1.1

34.0

13.1

15.9

16.5

0.27

HYBRID - EQUITY SAVINGS FUNDS

Aditya Birla Sun Life Equity Savings Fund

1

19.6

527

1.1

0.6

13.5

6.8

8.8

-

0.24

EQUITY - MID CAP FUNDS

Aditya Birla Sun Life Midcap Fund

1

648.0

4991

1.9

1.1

45.2

23.8

19.7

18.7

0.36

EQUITY - VALUE FUNDS

Aditya Birla Sun Life Pure Value Fund

1

114.6

5689

1.9

1.0

59.8

25.1

19.4

19.6

0.34

EQUITY - SMALL CAP FUNDS

Aditya Birla Sun Life Small Cap Fund

1

74.5

5491

1.9

0.7

47.0

21.9

19.0

18.7

0.33

EQUITY - FOCUSED FUNDS

Axis Focused 25 Fund

1

47.2

13861

1.7

0.8

27.0

7.2

13.3

14.8

0.24

EQUITY - FOCUSED FUNDS

Bandhan Focused Equity Fund

1

71.5

1500

2.1

0.8

40.7

15.2

15.9

13.5

0.29

HYBRID - CONSERVATIVE HYBRID FUNDS

Bandhan Regular Savings Fund

1

28.8

123

2.0

1.1

11.5

5.5

6.6

7.9

0.24

HYBRID - BALANCED ADVANTAGE FUNDS

Bank of India Balanced Advantage Fund

1

23.4

115

2.5

1.5

26.8

14.3

9.7

-

0.24

EQUITY - LARGE CAP FUNDS

DSP Top 100 Equity Fund

1

388.8

3357

2.0

1.2

34.2

15.8

15.4

13.5

0.27

EQUITY - LARGE & MID CAP FUNDS

Franklin India Equity Advantage Fund

1

158.0

3146

2.0

1.4

34.5

17.1

16.1

15.5

0.28

EQUITY - SECTOR - IT FUNDS

Franklin India Technology Fund

1

455.4

1280

2.1

1.2

52.8

18.5

23.2

16.6

0.47

EQUITY - LARGE CAP FUNDS

Groww Largecap Fund

1

38.3

114

2.3

1.1

33.3

15.4

14.3

13.5

0.26

EQUITY - THEMATIC - INFRASTRUCTURE FUNDS

HDFC Infrastructure Fund

1

41.8

1476

2.2

1.3

83.9

37.4

22.7

16.9

0.37

EQUITY - TAX SAVING (ELSS) FUNDS

HSBC ELSS Tax saver Fund

1

107.9

3644

1.9

1.1

38.4

17.8

16.8

16.1

0.30

HYBRID - AGGRESSIVE HYBRID FUNDS

LIC MF Aggressive Hybrid Fund

1

168.8

505

2.5

1.4

25.2

11.6

12.2

10.2

0.27

EQUITY - FLEXI CAP FUNDS

Motilal Oswal Flexi Cap Fund

1

47.6

9131

1.8

0.9

50.7

15.2

14.5

-

0.25

EQUITY - TAX SAVING (ELSS) FUNDS

Nippon India ELSS Tax Saver Fund

1

109.2

14166

1.7

1.1

40.2

21.1

16.5

16.1

0.28

HYBRID - AGGRESSIVE HYBRID FUNDS

Nippon India Equity Hybrid Fund

1

90.4

3349

2.0

1.2

31.2

17.5

12.0

13.2

0.20

HYBRID - EQUITY SAVINGS FUNDS

Nippon India Equity Savings Fund

1

14.6

385

1.7

0.8

14.9

8.6

3.4

-

0.01

HYBRID - CONSERVATIVE HYBRID FUNDS

Nippon India Hybrid Bond Fund

1

51.5

779

1.9

1.1

11.1

8.3

3.7

6.9

0.01

EQUITY - THEMATIC - CONSUMPTION FUNDS

Sundaram Consumption Fund

1

81.4

1364

2.2

1.4

35.2

18.1

16.0

17.2

0.30

EQUITY - MID CAP FUNDS

Sundaram Mid Cap Fund

1

1105.5

10112

1.8

1.0

52.9

24.6

20.9

20.4

0.36

EQUITY - SMALL CAP FUNDS

Sundaram Small Cap Fund

1

225.0

3063

2.0

0.9

54.3

30.2

25.0

22.3

0.40

EQUITY - FLEXI CAP FUNDS

Taurus Flexi Cap Fund

1

208.6

326

2.6

2.6

46.0

18.6

14.6

12.9

0.26

EQUITY - SECTOR - BANKING FUNDS

UTI Banking and Financial Services Fund

1

154.4

1022

2.2

1.2

28.2

12.7

11.5

14.7

0.20

EQUITY - THEMATIC - INFRASTRUCTURE FUNDS

UTI Infrastructure Fund

1

124.1

2014

2.2

1.9

51.9

23.9

21.3

17.4

0.37

EQUITY - THEMATIC - MNC FUNDS

Aditya Birla Sun Life MNC Fund

-

1182.6

3591

2.0

1.2

31.4

9.8

10.2

15.8

0.20

HYBRID - EQUITY SAVINGS FUNDS

Bandhan Equity Savings Fund

-

28.3

98

1.4

0.4

11.1

7.1

7.9

6.7

0.23

HYBRID - CONSERVATIVE HYBRID FUNDS

Bank of India Conservative Hybrid Fund

-

32.0

67

2.3

1.4

14.9

14.8

9.4

8.8

0.29

EQUITY - MULTI CAP FUNDS

Baroda BNP Paribas Multi Cap Fund

-

239.8

2195

2.1

1.1

41.6

22.7

21.4

16.7

0.41

HYBRID - AGGRESSIVE HYBRID FUNDS

Edelweiss Aggressive Hybrid Fund

-

53.7

1266

2.1

0.2

33.2

18.9

17.3

15.0

0.39

EQUITY - VALUE FUNDS

Groww Value Fund

-

23.9

15

2.3

1.1

41.7

18.9

16.5

-

0.31

HYBRID - BALANCED ADVANTAGE FUNDS

HDFC Balanced Advantage Fund

-

452.3

77011

1.4

0.8

40.8

23.7

19.8

17.7

0.42

EQUITY - TAX SAVING (ELSS) FUNDS

HSBC Tax Saver Equity Fund

-

76.2

219

2.5

1.6

40.7

18.5

17.9

16.0

0.32

EQUITY - MULTI CAP FUNDS

ICICI Prudential Multicap Fund

-

676.9

10775

1.8

0.9

47.5

23.2

20.0

18.3

0.36

EQUITY - SMALL CAP FUNDS

ICICI Prudential Smallcap Fund

-

77.6

7455

1.8

0.6

46.5

29.9

29.0

19.6

0.50

EQUITY - CONTRA FUNDS

Invesco India Contra Fund

-

109.0

13345

1.7

0.5

40.9

19.6

19.7

19.9

0.37

EQUITY - MULTI CAP FUNDS

Invesco India Multicap Fund

-

109.4

3132

1.9

0.7

42.1

20.6

20.0

19.1

0.37

EQUITY - FOCUSED FUNDS

JM Focused Fund

-

17.8

87

2.5

1.3

47.7

20.5

15.7

17.1

0.28

EQUITY - LARGE CAP FUNDS

JM Large Cap Fund

-

144.1

81

2.5

1.8

43.5

20.1

17.4

15.1

0.54

EQUITY - CONTRA FUNDS

Kotak India EQ Contra Fund

-

128.4

2451

2.0

0.7

48.0

22.6

21.0

17.8

0.39

HYBRID - CONSERVATIVE HYBRID FUNDS

LIC MF Conservative Hybrid Fund

-

74.4

53

2.3

1.3

8.6

5.7

7.0

6.8

0.35

HYBRID - EQUITY SAVINGS FUNDS

LIC MF Equity Savings Fund

-

24.5

12

2.0

1.0

15.2

7.9

9.0

7.3

0.25

EQUITY - MID CAP FUNDS

LIC MF Midcap Fund

-

23.6

239

2.5

1.6

47.1

18.7

18.4

-

0.32

HYBRID - EQUITY SAVINGS FUNDS

Mahi Manu Eq Sav Dhan San Yojana

-

18.7

446

2.4

0.7

19.0

10.6

11.7

-

0.34

HYBRID - CONSERVATIVE HYBRID FUNDS

Navi Conservative Hybrid Fund

-

25.1

28

2.0

0.3

10.9

5.7

6.2

6.9

0.23

EQUITY - TAX SAVING (ELSS) FUNDS

Navi ELSS Tax Saver Fund

-

26.3

63

2.3

0.4

31.3

14.9

14.4

-

0.25

HYBRID - BALANCED ADVANTAGE FUNDS

Nippon India Balanced Advantage Fund

-

154.1

7588

1.8

0.6

23.0

12.5

12.2

13.1

0.33

EQUITY - THEMATIC - CONSUMPTION FUNDS

Nippon India Consumption Fund

-

168.8

673

2.4

1.2

36.8

24.0

22.3

16.4

0.48

EQUITY - MULTI CAP FUNDS

Nippon India Multi Cap Fund

-

241.4

25723

1.7

0.9

47.8

29.6

21.5

18.1

0.36

EQUITY - SECTOR - PHARMA FUNDS

Nippon India Pharma Fund

-

436.0

6891

1.9

1.0

61.6

21.4

24.1

17.6

0.63

HYBRID - EQUITY SAVINGS FUNDS

PGIM India Equity Savings Fund

-

44.8

92

1.3

0.5

9.2

7.5

8.0

8.5

0.24

HYBRID - AGGRESSIVE HYBRID FUNDS

PGIM India Hybrid Equity Fund

-

112.3

210

2.3

0.7

20.7

10.9

11.8

11.3

0.23

EQUITY - MULTI CAP FUNDS

Quant Active Fund

-

630.0

8143

1.8

0.8

50.8

30.6

30.3

24.6

0.54

EQUITY - FLEXI CAP FUNDS

Quant Flexi Cap Fund

-

95.5

3540

1.9

0.8

61.6

35.8

31.8

25.5

0.59

EQUITY - CONTRA FUNDS

SBI Contra Fund

-

337.3

23572

1.7

0.7

49.2

30.5

27.2

19.5

0.53

EQUITY - SECTOR - PHARMA FUNDS

SBI Healthcare Opportunities Fund

-

349.1

2431

2.1

1.0

62.2

22.0

25.0

15.8

0.61

EQUITY - THEMATIC - MNC FUNDS

SBI Magnum Global Fund

-

343.5

6515

1.9

1.2

22.8

16.0

16.3

16.6

0.38

HYBRID - AGGRESSIVE HYBRID FUNDS

Shriram Aggressive Hybrid Fund

-

29.7

45

2.6

0.9

30.5

13.7

13.3

11.2

0.31

HYBRID - CONSERVATIVE HYBRID FUNDS

Sundaram Debt Oriented Hybrid Fund

-

27.1

32

2.0

1.1

11.7

8.9

7.3

8.7

0.25

EQUITY - TAX SAVING (ELSS) FUNDS

Sundaram Diversified Equity

-

193.7

1603

2.2

1.6

29.0

16.8

15.7

15.3

0.28

EQUITY - MULTI CAP FUNDS

Sundaram Multi Cap Fund

-

324.5

2399

2.0

0.9

40.3

22.0

19.7

18.2

0.36

EQUITY - SECTOR - PHARMA FUNDS

Tata India Pharma & Healthcare Fund

-

25.5

843

2.3

0.9

59.7

20.8

24.6

-

0.69

EQUITY - SECTOR - BANKING FUNDS

Taurus Banking & Financial Services Fund

-

46.3

10

2.5

1.8

26.8

12.5

15.0

15.7

0.26

EQUITY - TAX SAVING (ELSS) FUNDS

Taurus ELSS Tax Saver Fund

-

166.0

74

2.5

1.9

39.6

20.1

17.5

16.2

0.33

EQUITY - THEMATIC - INFRASTRUCTURE FUNDS

Taurus Infrastructure Fund

-

60.2

8

2.5

2.1

57.0

25.3

21.5

19.0

0.41

EQUITY - LARGE CAP FUNDS

Taurus Large Cap Fund

-

142.0

42

2.6

2.6

46.2

17.3

15.3

13.1

0.28

EQUITY - SECTOR - PHARMA FUNDS

UTI Healthcare Fund

-

227.8

919

2.3

1.3

58.2

18.9

22.7

14.2

0.60

EQUITY - THEMATIC - MNC FUNDS

UTI MNC Fund

-

346.0

2727

2.0

1.2

29.3

15.4

12.8

16.0

0.27

Fund Category

Passive Funds

BL Rating

Latest Nav (Rs.)

Latest Corpus (Rs. Cr)

Expense Ratio (%) - Regular

Expense Ratio (%) - Direct

1 Yr CAGR

3 Yr CAGR

5 Yr CAGR

10 Yr CAGR

Tracking Error(%)

PASSIVE FUNDS - TRACKING SMALLCAP INDEX

ABSL Nifty Small 50 Indx Fund

-

18.1

190

1.1

0.5

77.2

-

-

-

0.08

PASSIVE FUNDS - GOLD ETF AND SILVER ETF

HDFC Gold ETF

-

54.0

4080

0.6

-

10.2

8.9

12.1

6.8

0.73

PASSIVE FUNDS - TRACKING BSE SENSEX INDEX

HDFC Index Fund - S&P BSE Sensex Plan

-

668.4

6374

0.4

0.2

23.8

14.6

16.1

14.3

0.06

PASSIVE FUNDS - TRACKING NIFTY 50 INDEX

HDFC Index Fund-NIFTY 50 Plan

-

207.9

12186

0.4

0.2

27.8

15.6

16.3

14.5

0.06

SMART BETA FUNDS

ICICI Pru Nifty 100 Low Vol 30 ETF

-

196.3

2515

0.4

-

40.0

19.2

18.0

-

0.04

SMART BETA FUNDS

ICICI Pru Alpha Low Vol 30 ETF

-

264.6

779

0.4

-

55.2

24.5

-

-

0.04

PASSIVE FUNDS - TRACKING NIFTY NEXT 50 INDEX

ICICI Prudential Nifty Next 50 Index Fund

-

52.0

3885

0.7

0.3

57.5

19.6

17.6

17.2

0.06

PASSIVE FUNDS - TRACKING BANKING INDEX

ICICI Prudential Nifty Private Bank ETF

-

233.7

1911

0.2

-

15.5

8.4

-

-

0.05

PASSIVE FUNDS - TRACKING MIDCAP INDEX

ICICI Pru Midcap Select ETF

-

150.4

42

0.2

-

60.7

20.3

19.5

-

0.65

PASSIVE FUNDS - GOLD ETF AND SILVER ETF

ICICI Prudential Silver ETF

-

70.9

1331

0.4

-

6.1

-

-

-

1.61

PASSIVE FUNDS - TRACKING MIDCAP INDEX

Motilal Oswal Nifty Midcap 100 ETF

-

52.5

346

0.2

-

64.3

29.5

25.1

20.8

0.05

PASSIVE FUNDS - GOLD ETF AND SILVER ETF

Nippon India ETF Gold BeES

-

52.5

8711

0.8

-

9.5

8.7

12.1

6.7

0.70

PASSIVE FUNDS - TRACKING NIFTY 50 INDEX

Nippon India ETF Nifty 50 BeES

-

245.8

20317

0.0

-

28.3

16.0

16.8

14.9

0.04

SMART BETA FUNDS

Nippon India ETF Nifty 50 Value 20

-

141.0

105

0.3

-

33.2

21.9

20.4

-

0.04

PASSIVE FUNDS - TRACKING BANKING INDEX

Nippon India ETF Nifty Bank BeES

-

477.1

6248

0.2

-

17.9

10.6

11.8

16.3

0.05

PASSIVE FUNDS - TRACKING MIDCAP INDEX

Nippon India ETF Nifty Midcap 150

-

186.0

1187

0.2

-

59.4

28.4

25.7

-

0.05

PASSIVE FUNDS - TRACKING NIFTY NEXT 50 INDEX

Nippon Ind ETF Junior BeES

-

628.6

4216

0.2

-

58.3

20.3

18.5

17.9

0.03

PASSIVE FUNDS - TRACKING BANKING INDEX

Nippon India ETF Nifty PSU Bank BeES

-

78.5

2189

0.5

-

94.1

44.2

20.6

13.1

0.07

PASSIVE FUNDS - TRACKING SMALLCAP INDEX

Nippon Ind Nif Small250 Indx Fund

-

29.5

1054

0.9

0.3

67.1

30.0

-

-

0.08

PASSIVE FUNDS - GOLD ETF AND SILVER ETF

Nippon India Silver ETF

-

68.4

1452

0.5

-

6.0

-

-

-

1.57

PASSIVE FUNDS - GOLD ETF AND SILVER ETF

SBI Gold ETF

-

54.0

3635

0.7

-

9.3

8.9

12.3

6.7

0.72

SMART BETA FUNDS

SBI Nifty 200 Quality 30 ETF

-

200.3

72

0.5

-

34.7

17.5

16.3

-

0.04

PASSIVE FUNDS - TRACKING NIFTY 50 INDEX

SBI Nifty 50 ETF

-

232.3

172064

0.0

-

28.2

16.0

16.7

-

0.04

PASSIVE FUNDS - TRACKING BSE SENSEX INDEX

SBI S&P BSE Sensex ETF

-

792.3

104936

0.0

-

24.3

15.0

16.6

14.9

0.09

PASSIVE FUNDS - TRACKING NIFTY 50 INDEX

UTI Nifty ETF

-

239.2

47649

0.1

-

28.3

16.0

16.8

-

0.04

PASSIVE FUNDS - TRACKING NIFTY 50 INDEX

UTI Nifty 50 Index Fund

-

150.5

15301

0.4

0.2

27.8

15.7

16.5

14.6

0.06

PASSIVE FUNDS - TRACKING NIFTY NEXT 50 INDEX

UTI Nifty Next 50 Index Fund

-

21.0

3146

0.8

0.4

57.3

19.6

17.8

-

0.06

SMART BETA FUNDS

UTI Nifty200 Momentum 30 Index Fund

-

20.5

4121

0.9

0.5

68.5

-

-

-

0.06

PASSIVE FUNDS - TRACKING BSE SENSEX INDEX

UTI Sensex ETF

-

787.4

36196

0.1

-

24.3

15.0

16.6

-

0.04

Fund Category

Debt Funds

BL Rating

Latest Nav (Rs.)

Latest Corpus (Rs. Cr)

Expense Ratio (%) - Regular

Expense Ratio (%) - Direct

1 Yr CAGR

2 Yr CAGR

3 Yr CAGR

5 Yr CAGR

AA & Below (%)

DEBT - DYNAMIC BOND FUNDS

Aditya Birla Sun Life Dynamic Bond Fund

5

41.4

1710

1.2

0.6

7.9

7.2

6.7

5.9

5.24

DEBT - MEDIUM DURATION FUNDS

Aditya Birla Sun Life Medium Term Plan

5

34.1

1889

1.6

0.9

7.5

13.8

12.5

8.7

29.54

DEBT - MONEY MARKET FUNDS

Aditya Birla Sun Life Money Manager Fund

5

334.0

17824

0.3

0.2

7.6

6.4

5.6

6.1

-

DEBT - CREDIT RISK FUNDS

Baroda BNP Paribas Credit Risk Fund

5

19.9

165

1.6

0.8

7.5

6.0

10.1

7.1

59.90

DEBT - CREDIT RISK FUNDS

DSP Credit Risk Fund

5

39.4

205

1.2

0.4

16.2

12.8

9.3

7.3

72.36

DEBT - FLOATER FUNDS

HDFC Floating Rate Debt Fund

5

44.7

16101

0.5

0.3

7.8

6.4

5.8

6.8

5.70

DEBT - DYNAMIC BOND FUNDS

ICICI Prudential All Seasons Bond Fund

5

33.0

11699

1.3

0.5

7.9

6.5

6.0

7.8

20.03

DEBT - BANKING AND PSU FUNDS

ICICI Prudential Banking & PSU Debt Fund

5

29.4

8277

0.7

0.4

7.7

6.3

5.7

7.1

-

DEBT - CORPORATE BOND FUNDS

ICICI Prudential Corporate Bond Fund

5

26.7

23762

0.6

0.3

7.8

6.4

5.8

7.3

-

DEBT - GILT FUNDS

ICICI Prudential Gilt Fund

5

91.9

4617

1.1

0.6

8.7

6.8

6.0

8.0

-

DEBT - LOW DURATION FUNDS

ICICI Prudential Savings Fund

5

488.9

19137

0.5

0.4

7.8

6.5

5.6

6.6

1.70

DEBT - SHORT DURATION FUNDS

ICICI Prudential Short Term Fund

5

54.0

18691

1.1

0.5

7.7

6.4

5.8

7.2

9.82

DEBT - BANKING AND PSU FUNDS

Kotak Banking and PSU Debt Fund

5

58.7

6013

0.8

0.4

7.5

5.6

5.5

7.1

2.31

DEBT - CORPORATE BOND FUNDS

Nippon India Corporate Bond Fund

5

53.5

2648

0.7

0.3

7.9

6.1

5.9

6.7

-

DEBT - MONEY MARKET FUNDS

Nippon India Money Market Fund

5

3745.7

13552

0.4

0.3

7.5

6.4

5.6

6.0

-

DEBT - ULTRA SHORT DURATION FUNDS

Nippon India Ultra Short Duration Fund

5

3660.7

5319

1.2

0.4

6.9

5.9

6.6

4.9

5.97

DEBT - GILT FUNDS

SBI Magnum Gilt Fund

5

59.4

7821

1.0

0.5

9.3

6.9

6.0

8.2

-

DEBT - LOW DURATION FUNDS

UTI Low Duration Fund

5

3199.8

3148

0.4

0.4

7.3

6.1

7.1

4.6

0.79

DEBT - MEDIUM TO LONG DURATION FUNDS

UTI Medium to Long Duration Fund

5

66.0

304

1.6

1.3

7.6

9.3

9.5

4.8

1.58

DEBT - SHORT DURATION FUNDS

UTI Short Duration Fund

5

28.6

2379

1.0

0.3

7.6

5.8

7.0

5.2

4.82

DEBT - ULTRA SHORT DURATION FUNDS

UTI Ultra Short Duration Fund

5

3855.3

1815

1.0

0.4

6.9

5.8

5.9

5.1

8.71

DEBT - DYNAMIC BOND FUNDS

360 ONE Dynamic Bond Fund

4

20.0

725

0.5

0.3

8.8

5.7

6.3

6.6

-

DEBT - BANKING AND PSU FUNDS

Aditya Birla SL Bank & PSU Debt

4

329.2

9611

0.7

0.4

7.4

5.6

5.4

7.0

-

DEBT - CORPORATE BOND FUNDS

Aditya Birla Sun Life Corporate Bond Fund

4

100.9

20838

0.5

0.3

7.8

6.1

5.8

7.4

-

DEBT - CREDIT RISK FUNDS

Aditya Birla Sun Life Credit Risk Fund

4

18.6

987

1.6

0.7

7.2

7.2

6.9

6.6

50.55

DEBT - FLOATER FUNDS

Aditya Birla Sun Life Floating Rate Fund

4

312.6

12243

0.5

0.2

7.6

6.4

5.8

6.6

-

DEBT - LOW DURATION FUNDS

Aditya Birla Sun Life Low Duration Fund

4

596.1

12877

1.2

0.4

6.9

5.7

5.1

6.0

7.47

DEBT - ULTRA SHORT DURATION FUNDS

Aditya Birla Sun Life Savings Fund

4

494.4

12852

0.6

0.3

7.4

6.2

5.5

6.2

4.83

DEBT - SHORT DURATION FUNDS

Aditya Birla Sun Life Short Term Fund

4

42.7

6778

0.9

0.3

7.4

5.9

5.6

7.0

5.06

DEBT - CORPORATE BOND FUNDS

Axis Corporate Debt Fund

4

15.3

5289

0.9

0.3

7.4

5.6

5.3

6.4

-

DEBT - GILT FUNDS

Axis Gilt Fund

4

22.8

246

0.8

0.4

9.0

5.8

5.0

7.7

-

DEBT - SHORT DURATION FUNDS

Axis Short Term Fund

4

27.7

7541

0.9

0.3

7.3

5.6

5.2

6.8

1.52

DEBT - MEDIUM DURATION FUNDS

Axis Strategic Bond Fund

4

25.0

1944

1.1

0.4

8.0

6.0

6.0

6.9

22.78

DEBT - LOW DURATION FUNDS

Axis Treasury Advantage Fund

4

2790.7

5115

0.6

0.3

7.2

6.0

5.3

6.2

2.17

DEBT - GILT FUNDS

DSP Gilt Fund

4

86.4

731

1.2

0.6

9.9

6.5

5.8

8.2

-

DEBT - BANKING AND PSU FUNDS

Edelweiss Banking and PSU Debt Fund

4

22.1

301

0.7

0.4

7.6

5.1

5.8

7.8

-

DEBT - GILT FUNDS

Edelweiss Government Securities Fund

4

22.2

135

1.2

0.5

8.9

5.8

5.8

8.0

-

DEBT - BANKING AND PSU FUNDS

HDFC Banking and PSU Debt Fund

4

20.7

6117

0.8

0.4

7.4

5.5

5.3

6.9

-

DEBT - CORPORATE BOND FUNDS

HDFC Corporate Bond Fund

4

29.1

27626

0.6

0.4

7.9

5.7

5.6

7.3

-

DEBT - DYNAMIC BOND FUNDS

HDFC Dynamic Debt Fund

4

80.7

643

0.9

0.7

7.8

5.2

6.1

6.3

-

DEBT - LOW DURATION FUNDS

HDFC Low Duration Fund

4

52.2

16395

1.0

0.5

7.2

5.8

5.2

6.2

6.50

DEBT - MONEY MARKET FUNDS

HDFC Money Market Fund

4

5162.5

17521

0.4

0.2

7.5

6.3

5.5

6.1

-

DEBT - SHORT DURATION FUNDS

HDFC Short Term Debt Fund

4

28.6

14373

0.7

0.4

7.7

5.8

5.5

7.0

8.08

DEBT - MEDIUM TO LONG DURATION FUNDS

ICICI Prudential Bond Fund

4

35.9

2951

1.0

0.6

8.6

6.2

5.5

7.3

-

DEBT - CREDIT RISK FUNDS

ICICI Prudential Credit Risk Fund

4

28.4

7302

1.6

0.9

8.3

6.4

6.6

7.7

54.34

DEBT - MEDIUM DURATION FUNDS

ICICI Prudential Medium Term Bond Fund

4

40.0

6409

1.4

0.7

7.5

5.9

6.0

7.4

35.24

DEBT - ULTRA SHORT DURATION FUNDS

ICICI Prudential Ultra Short Term Fund

4

25.1

13854

0.8

0.4

7.1

6.0

5.4

6.1

8.42

DEBT - LOW DURATION FUNDS

Nippon India Low Duration Fund

4

3388.3

5747

0.9

0.4

7.0

5.7

5.3

5.8

6.67

DEBT - ULTRA SHORT DURATION FUNDS

PGIM India Ultra Short Duration Fund

4

31.1

293

0.9

0.3

6.7

5.7

4.9

6.6

-

DEBT - DYNAMIC BOND FUNDS

SBI Dynamic Bond Fund

4

32.2

2968

1.4

0.6

8.8

6.6

5.4

7.6

-

DEBT - MEDIUM TO LONG DURATION FUNDS

SBI Magnum Income Fund

4

63.6

1713

1.5

0.8

8.2

5.8

5.4

7.6

21.94

DEBT - MONEY MARKET FUNDS

Tata Money Market Fund

4

4262.5

17030

0.4

0.2

7.6

6.4

5.6

6.0

-

DEBT - MONEY MARKET FUNDS

UTI Money Market Fund

4

2782.4

13353

0.3

0.2

7.6

6.4

5.6

6.0

-

DEBT - GILT FUNDS

Aditya Birla Sun Life Government Securities Fund

3

73.5

1435

1.1

0.5

9.0

5.5

5.6

7.4

-

DEBT - MEDIUM TO LONG DURATION FUNDS

Aditya Birla Sun Life Income Fund

3

113.0

1771

1.1

0.7

7.7

5.0

5.6

7.2

-

DEBT - BANKING AND PSU FUNDS

Axis Banking & PSU Debt Fund

3

2368.8

14045

0.6

0.3

7.0

5.4

5.0

6.6

-

DEBT - CREDIT RISK FUNDS

Axis Credit Risk Fund

3

19.2

481

1.6

0.8

7.3

5.7

5.9

5.9

52.41

DEBT - DYNAMIC BOND FUNDS

Axis Dynamic Bond Fund

3

26.5

1721

0.6

0.3

7.8

5.1

5.6

7.4

-

DEBT - ULTRA SHORT DURATION FUNDS

Axis Ultra Short Term Fund

3

13.4

4582

1.1

0.3

6.7

5.6

4.8

5.3

9.68

DEBT - BANKING AND PSU FUNDS

Bandhan Banking & PSU Debt Fund

3

22.2

14537

0.6

0.3

7.2

5.4

5.1

7.1

-

DEBT - SHORT DURATION FUNDS

Bandhan Bond Fund - Short Term Plan

3

51.2

8554

0.8

0.3

7.4

5.1

4.9

6.4

-

DEBT - CORPORATE BOND FUNDS

Bandhan Corporate Bond Fund

3

17.3

13917

0.6

0.3

7.1

4.9

5.1

6.5

-

DEBT - DYNAMIC BOND FUNDS

Bandhan Dynamic Bond Fund

3

31.0

2123

1.6

0.8

9.6

5.2

5.0

7.3

-

DEBT - GILT FUNDS

Bandhan Government Securities Fund - Investment Plan

3

32.0

1500

1.1

0.5

10.1

5.6

5.4

8.1

-

DEBT - LOW DURATION FUNDS

Bandhan Low Duration Fund

3

34.9

5362

0.6

0.3

7.2

5.7

5.1

5.9

-

DEBT - ULTRA SHORT DURATION FUNDS

Bandhan Ultra Short Term Fund

3

13.8

3704

0.4

0.3

7.2

6.0

5.1

5.6

-

DEBT - DYNAMIC BOND FUNDS

Baroda BNP Paribas Dynamic Bond Fund

3

41.3

137

1.7

0.7

8.1

5.8

5.1

6.0

-

DEBT - SHORT DURATION FUNDS

Baroda BNP Paribas Short Duration Fund

3

26.3

226

1.1

0.4

7.6

5.3

5.0

6.0

4.38

DEBT - ULTRA SHORT DURATION FUNDS

Baroda BNP Paribas Ultra Short Duration Fund

3

1397.2

1435

0.5

0.3

7.3

6.3

5.5

5.7

2.29

DEBT - LOW DURATION FUNDS

Canara Robeco Savings Fund

3

38.2

886

0.6

0.3

7.2

5.8

5.0

5.7

-

DEBT - BANKING AND PSU FUNDS

DSP Banking & PSU Debt Fund

3

21.6

2373

0.6

0.3

7.8

5.5

5.2

6.8

-

DEBT - LOW DURATION FUNDS

DSP Low Duration Fund

3

17.9

3471

0.6

0.3

7.1

5.8

5.1

5.9

-

DEBT - MONEY MARKET FUNDS

DSP Savings Fund

3

47.8

4486

0.4

0.2

7.3

5.9

5.2

5.7

-

DEBT - SHORT DURATION FUNDS

DSP Short Term Fund

3

41.9

3036

1.0

0.3

7.2

5.1

4.7

6.2

-

DEBT - DYNAMIC BOND FUNDS

DSP Strategic Bond Fund

3

3039.4

912

1.2

0.5

10.4

6.1

5.7

7.3

-

DEBT - BANKING AND PSU FUNDS

Franklin India Banking & PSU Debt Fund

3

20.2

643

0.6

0.3

7.4

5.3

5.2

6.8

4.68

DEBT - CORPORATE BOND FUNDS

Franklin India Corporate Debt Fund

3

88.5

739

0.8

0.3

6.9

5.1

5.0

6.3

-

DEBT - MONEY MARKET FUNDS

Franklin India Money Market Fund

3

45.3

1713

0.3

0.1

7.5

6.1

5.3

5.9

-

DEBT - CREDIT RISK FUNDS

HDFC Credit Risk Debt Fund

3

21.6

8245

1.6

1.0

7.4

5.5

6.1

7.5

51.34

DEBT - GILT FUNDS

HDFC Gilt Fund

3

49.6

2427

0.9

0.5

8.1

5.2

4.8

6.1

-

DEBT - MEDIUM DURATION FUNDS

HDFC Medium Term Debt Fund

3

50.5

4204

1.3

0.6

7.5

5.2

5.5

6.8

20.23

DEBT - ULTRA SHORT DURATION FUNDS

HDFC Ultra Short Term Fund

3

13.7

12397

0.7

0.4

7.1

6.0

5.2

5.8

-

DEBT - CORPORATE BOND FUNDS

HSBC Corporate Bond Fund

3

65.5

6075

0.6

0.3

7.6

4.9

5.4

7.7

-

DEBT - CREDIT RISK FUNDS

HSBC Credit Risk Fund

3

26.0

571

1.7

0.9

6.7

5.1

5.5

4.6

57.12

DEBT - LOW DURATION FUNDS

HSBC Low Duration Fund

3

25.6

601

0.6

0.3

7.3

5.8

5.1

5.3

5.15

DEBT - MEDIUM DURATION FUNDS

HSBC Medium Duration Fund

3

18.3

834

1.1

0.4

7.8

5.3

5.3

6.5

15.93

DEBT - FLOATER FUNDS

ICICI Prudential Floating Interest Fund

3

380.6

10636

1.3

0.6

7.7

6.5

5.4

6.7

6.19

DEBT - MONEY MARKET FUNDS

ICICI Prudential Money Market Fund

3

342.5

14894

0.3

0.2

7.6

6.4

5.5

6.0

-

DEBT - CREDIT RISK FUNDS

Invesco India Credit Risk Fund

3

1713.0

142

1.5

0.3

12.2

7.3

6.2

5.4

57.32

DEBT - LOW DURATION FUNDS

Invesco India Low Duration Fund

3

3423.6

1170

0.6

0.3

7.2

5.8

5.1

6.0

2.14

DEBT - ULTRA SHORT DURATION FUNDS

Invesco India Ultra Short Duration Fund

3

2450.3

638

0.9

0.2

7.1

5.8

4.9

5.3

4.06

DEBT - MEDIUM TO LONG DURATION FUNDS

Kotak Bond Fund

3

69.3

1800

1.8

0.6

8.1

5.0

4.9

6.9

-

DEBT - SHORT DURATION FUNDS

Kotak Bond Short Term Fund

3

46.9

13635

1.2

0.4

7.2

5.1

4.9

6.4

-

DEBT - CORPORATE BOND FUNDS

Kotak Corporate Bond Fund

3

3371.7

10991

0.7

0.3

7.6

5.6

5.4

6.7

-

DEBT - DYNAMIC BOND FUNDS

Kotak Dynamic Bond Fund

3

33.7

2460

1.3

0.5

9.1

5.5

5.5

7.2

-

DEBT - GILT FUNDS

Kotak Gilt Fund

3

87.4

3044

1.5

0.5

8.4

5.7

5.2

7.2

-

DEBT - LOW DURATION FUNDS

Kotak Low Duration Fund

3

3027.7

9135

1.2

0.4

6.9

5.6

5.0

6.0

4.43

DEBT - MEDIUM DURATION FUNDS

Kotak Medium Term Fund

3

20.3

1829

1.6

0.6

8.1

5.2

5.6

6.1

20.58

DEBT - MONEY MARKET FUNDS

Kotak Money Market Fund

3

4054.7

16339

0.4

0.2

7.5

6.4

5.5

5.9

-

DEBT - ULTRA SHORT DURATION FUNDS

Kotak Savings Fund

3

39.0

12414

0.8

0.4

7.0

5.9

5.1

5.6

0.90

DEBT - MEDIUM TO LONG DURATION FUNDS

LIC MF Medium to Long Duration Bond Fund

3

64.7

183

1.2

0.2

8.0

5.7

4.7

6.1

-

DEBT - BANKING AND PSU FUNDS

Nippon India Banking & PSU Debt Fund

3

18.6

5319

0.8

0.4

7.4

5.3

5.3

7.1

-

DEBT - CREDIT RISK FUNDS

Nippon India Credit Risk Fund

3

31.1

1024

1.6

0.9

8.2

6.0

8.4

4.1

55.39

DEBT - DYNAMIC BOND FUNDS

Nippon India Dynamic Bond Fund

3

33.2

4514

0.7

0.3

8.0

5.2

5.5

6.6

-

DEBT - FLOATER FUNDS

Nippon India Floating Rate Fund

3

40.4

7600

0.6

0.3

7.6

5.7

5.5

6.9

-

DEBT - GILT FUNDS

Nippon India Gilt Securities Fund

3

34.4

1547

1.4

0.6

8.5

5.4

5.0

7.2

-

DEBT - MEDIUM TO LONG DURATION FUNDS

Nippon India Income Fund

3

81.1

263

1.5

0.6

8.2

6.0

5.2

7.0

-

DEBT - SHORT DURATION FUNDS

Nippon India Short Term Fund

3

47.3

5968

0.9

0.4

7.4

5.3

5.4

6.6

3.10

DEBT - CORPORATE BOND FUNDS

PGIM India Corporate Bond Fund

3

38.8

108

1.0

0.3

6.9

5.1

5.0

6.4

-

DEBT - GILT FUNDS

PGIM India Gilt Fund

3

27.4

120

1.5

0.5

8.6

5.5

5.0

6.5

-

DEBT - BANKING AND PSU FUNDS

SBI Banking and PSU Fund

3

2801.6

4394

0.8

0.3

7.2

5.0

4.7

6.5

6.26

DEBT - CREDIT RISK FUNDS

SBI Credit Risk Fund

3

40.9

2601

1.6

0.9

8.8

6.5

6.3

6.7

55.71

DEBT - LOW DURATION FUNDS

SBI Magnum Low Duration Fund

3

3165.6

10271

1.0

0.4

7.0

5.7

4.9

5.7

5.38

DEBT - MEDIUM DURATION FUNDS

SBI Magnum Medium Duration Fund

3

45.9

6680

1.2

0.7

7.8

5.7

5.5

7.6

26.75

DEBT - ULTRA SHORT DURATION FUNDS

SBI Magnum Ultra Short Duration Fund

3

5417.0

10861

0.5

0.3

7.1

6.0

5.2

5.7

-

DEBT - SHORT DURATION FUNDS

SBI Short Term Debt Fund

3

28.8

12881

0.9

0.4

7.2

5.4

5.0

6.4

4.26

DEBT - CORPORATE BOND FUNDS

Sundaram Corporate Bond Fund

3

36.0

786

0.5

0.3

6.6

5.3

5.1

7.1

-

DEBT - MONEY MARKET FUNDS

Sundaram Money Market Fund

3

13.6

129

0.3

0.3

7.2

6.1

5.2

5.6

-

DEBT - SHORT DURATION FUNDS

Sundaram Short Duration Fund

3

39.8

199

0.8

0.3

7.3

5.5

5.3

4.4

-

DEBT - LOW DURATION FUNDS

Tata Treasury Advantage Fund

3

3556.5

2446

0.6

0.3

7.1

5.7

5.2

4.8

-

DEBT - CORPORATE BOND FUNDS

UTI Corporate Bond Fund

3

14.7

3124

0.6

0.3

7.4

5.5

5.2

7.2

-

DEBT - DYNAMIC BOND FUNDS

UTI Dynamic Bond Fund

3

27.9

453

1.5

0.7

7.6

9.4

10.0

6.5

-

DEBT - GILT FUNDS

UTI Gilt Fund

3

56.6

571

0.9

0.7

8.3

6.1

5.1

7.2

-

DEBT - MEDIUM TO LONG DURATION FUNDS

Bandhan Bond Fund - Income Plan

2

59.3

494

2.0

1.3

7.6

4.1

4.1

6.4

-

DEBT - MEDIUM DURATION FUNDS

Bandhan Bond Fund - Medium Term Plan

2

41.2

1611

1.5

0.8

7.3

4.2

4.3

6.1

-

DEBT - CREDIT RISK FUNDS

Bandhan Credit Risk Fund

2

14.9

374

1.6

0.7

6.4

4.7

4.7

5.9

58.33

DEBT - CREDIT RISK FUNDS

Bank of India Credit Risk Fund

2

11.2

141

1.5

1.2

5.7

56.3

41.1

-3.2

59.60

DEBT - ULTRA SHORT DURATION FUNDS

BOI Ultra Short Duration

2

2889.5

136

1.2

0.8

6.3

5.5

4.8

5.2

-

DEBT - GILT FUNDS

Baroda BNP Paribas Gilt Fund

2

37.9

1416

0.5

0.1

8.9

5.5

5.0

6.3

-

DEBT - LOW DURATION FUNDS

Baroda BNP Paribas Low Duration Fund

2

36.5

260

1.1

0.4

6.9

5.4

4.9

5.6

7.66

DEBT - CORPORATE BOND FUNDS

Canara Robeco Corporate Bond Fund

2

19.7

153

1.0

0.4

6.5

4.8

4.6

6.1

-

DEBT - GILT FUNDS

Canara Robeco Gilt Fund

2

68.5

102

1.3

0.5

8.1

5.5

4.7

6.5

-

DEBT - MEDIUM TO LONG DURATION FUNDS

Canara Robeco Income Fund

2

50.5

125

1.9

0.8

6.8

4.4

4.0

6.0

-

DEBT - ULTRA SHORT DURATION FUNDS

Canara Robeco Ultra Short Term Fund

2

3468.0

487

1.0

0.4

6.5

5.4

4.5

4.8

-

DEBT - MEDIUM DURATION FUNDS

DSP Bond Fund

2

73.2

349

0.8

0.4

7.7

5.3

5.1

5.3

-

DEBT - CORPORATE BOND FUNDS

DSP Corporate Bond Fund

2

14.4

2587

0.6

0.3

7.3

4.5

4.3

6.4

-

DEBT - ULTRA SHORT DURATION FUNDS

DSP Ultra Short Fund

2

3100.6

2629

1.0

0.3

6.8

5.6

4.8

5.1

-

DEBT - FLOATER FUNDS

Franklin India Floating Rate Fund

2

36.4

320

1.0

0.2

7.5

6.1

5.2

5.6

3.16

DEBT - DYNAMIC BOND FUNDS

HSBC Dynamic Bond Fund

2

26.6

174

0.8

0.2

7.8

5.6

4.7

6.3

-

DEBT - MONEY MARKET FUNDS

HSBC Money Market Fund

2

23.9

1121

0.6

0.3

7.2

5.8

4.9

5.5

-

DEBT - SHORT DURATION FUNDS

HSBC Short Duration Fund

2

23.8

3331

0.8

0.3

7.0

4.9

4.7

6.2

-

DEBT - CORPORATE BOND FUNDS

Invesco India Corporate Bond Fund

2

2845.7

2581

0.7

0.3

7.3

5.1

5.0

6.7

-

DEBT - MONEY MARKET FUNDS

Invesco India Money Market Fund

2

2760.9

3245

0.5

0.2

7.3

5.8

5.1

5.4

-

DEBT - BANKING AND PSU FUNDS

LIC MF Banking & PSU Debt Fund

2

31.3

1331

0.8

0.3

7.2

5.2

4.7

6.1

-

DEBT - LOW DURATION FUNDS

LIC MF Low Duration Fund

2

35.9

1247

1.0

0.3

6.8

5.4

4.8

4.9

-

DEBT - LOW DURATION FUNDS

Mahindra Manulife Low Duration Fund

2

1483.5

499

1.1

0.3

6.8

5.5

4.8

5.5

8.76

DEBT - DYNAMIC BOND FUNDS

Mirae Asset Dynamic Bond Fund

2

14.7

191

1.1

0.2

6.7

3.9

3.8

6.2

-

DEBT - LOW DURATION FUNDS

Mirae Asset Low Duration Fund

2

2044.9

527

0.9

0.3

6.8

5.6

4.8

5.2

4.75

DEBT - SHORT DURATION FUNDS

Mirae Asset Short Duration Fund

2

14.2

342

1.2

0.3

6.8

5.1

4.8

6.0

2.92

DEBT - DYNAMIC BOND FUNDS

PGIM India Dynamic Bond Fund

2

2372.6

120

1.6

0.4

7.9

5.4

4.8

6.4

-

DEBT - MONEY MARKET FUNDS

SBI Savings Fund

2

37.6

18187

0.8

0.3

7.1

5.9

5.1

5.6

-

DEBT - BANKING AND PSU FUNDS

Sundaram Banking & PSU Debt Fund

2

38.6

347

0.4

0.2

7.4

5.2

4.5

6.0

-

DEBT - GILT FUNDS

Tata Gilt Securities Fund

2

70.6

334

1.7

0.5

8.7

6.1

5.0

6.4

-

DEBT - SHORT DURATION FUNDS

Tata Short Term Bond Fund

2

43.3

2250

1.2

0.3

7.3

5.1

4.7

6.2

-

DEBT - BANKING AND PSU FUNDS

UTI Banking & PSU Fund

2

19.7

944

0.6

0.2

7.4

8.8

7.1

6.0

-

DEBT - MONEY MARKET FUNDS

Bandhan Money Manager Fund

1

36.5

3948

1.0

0.2

6.8

5.6

4.8

5.1

-

DEBT - CORPORATE BOND FUNDS

Baroda BNP Paribas Corporate Bond Fund

1

24.5

143

0.6

0.2

7.7

4.7

4.4

4.3

-

DEBT - DYNAMIC BOND FUNDS

Canara Robeco Dynamic Bond Fund

1

26.9

113

1.8

0.7

7.3

5.1

4.2

5.9

-

DEBT - SHORT DURATION FUNDS

Canara Robeco Short Duration Fund

1

23.0

427

1.0

0.4

6.7

4.9

4.5

5.8

-

DEBT - MONEY MARKET FUNDS

Edelweiss Money Market Fund

1

25.9

371

1.0

0.4

6.6

5.2

4.5

6.1

-

DEBT - GILT FUNDS

Franklin India Government Securities Fund

1

53.0

133

1.1

0.6

5.9

4.2

4.3

5.5

-

DEBT - MEDIUM TO LONG DURATION FUNDS

HDFC Income Fund

1

52.2

750

0.9

0.8

7.7

4.7

4.2

5.7

-

DEBT - BANKING AND PSU FUNDS

HSBC Banking and PSU Debt Fund

1

21.9

4498

0.6

0.2

7.1

4.2

4.3

6.2

-

DEBT - GILT FUNDS

HSBC Gilt Fund

1

60.1

214

1.7

0.5

7.2

5.1

4.2

5.9

-

DEBT - BANKING AND PSU FUNDS

Invesco India Banking and PSU Fund

1

2035.1

120

0.7

0.3

7.4

4.4

4.8

5.9

-

DEBT - SHORT DURATION FUNDS

Invesco India Short Duration Fund

1

3210.6

443

1.2

0.4

7.3

4.9

4.6

6.1

-

DEBT - LOW DURATION FUNDS

JM Low Duration Fund

1

33.6

255

0.8

0.4

6.8

5.6

4.9

5.0

3.92

DEBT - CREDIT RISK FUNDS

Kotak Credit Risk Fund

1

26.6

873

1.7

0.8

7.8

4.0

4.8

5.7

69.04

DEBT - ULTRA SHORT DURATION FUNDS

Motilal Oswal Ultra Short Term Fund

1

15.2

175

1.1

0.6

6.0

5.0

4.1

4.4

-

DEBT - MEDIUM DURATION FUNDS

Nippon India Strategic Debt Fund

1

13.8

120

2.0

1.4

7.8

4.9

9.2

-1.0

31.81

DEBT - LOW DURATION FUNDS

Sundaram Low Duration Fund

1

3138.9

398

0.9

0.3

6.6

5.6

4.9

1.5

-

DEBT - ULTRA SHORT DURATION FUNDS

Sundaram Ultra Short Duration Fund

1

2465.4

2015

1.4

0.2

6.3

5.2

4.4

4.6

-

DEBT - CORPORATE BOND FUNDS

Union Corporate Bond Fund

1

13.7

460

0.7

0.4

7.0

4.7

4.7

5.4

-

DEBT - DYNAMIC BOND FUNDS

Union Dynamic Bond Fund

1

21.1

113

1.5

1.2

7.9

4.8

4.3

6.2

-

DEBT - CREDIT RISK FUNDS

UTI Credit Risk Fund

1

15.4

410

1.6

0.9

6.9

5.5

10.7

-1.5

58.62

DEBT - FLOATER FUNDS

UTI Floater Fund

1

1359.7

1409

0.9

0.4

7.1

5.7

5.0

5.9

-

DEBT - DYNAMIC BOND FUNDS

Aditya Birla Sun Life Dynamic Bond Fund

-

28.6

1710

-

0.6

7.9

7.1

6.7

5.8

5.24

DEBT - ULTRA SHORT DURATION FUNDS

Aditya Birla Sun Life Savings Fund

-

284.8

12852

0.3

0.3

7.4

6.1

5.5

6.3

4.83

DEBT - GILT FUND WITH 10 YEAR CONSTANT DURATION

Bandhan Government Securities Fund - Constant Maturity Plan

-

40.4

327

0.5

0.3

9.0

5.4

4.8

7.8

-

DEBT - SHORT DURATION FUNDS

Bank of India Short Term Income Fund

-

23.8

88

1.1

0.5

6.5

16.4

11.9

3.6

-

DEBT - MEDIUM DURATION FUNDS

Baroda BNP Paribas Med Duration

-

17.1

28

1.0

0.7

8.0

5.4

5.0

3.6

13.97

DEBT - GILT FUND WITH 10 YEAR CONSTANT DURATION

DSP 10Y G-Sec Fund

-

19.4

48

0.5

0.3

8.8

5.3

3.8

6.5

-

DEBT - DYNAMIC BOND FUNDS

Franklin India Dynamic Accrual Fund

-

94.8

0

0.0

0.0

31.8

20.0

11.7

10.0

-

DEBT - MEDIUM DURATION FUNDS

Franklin India Income Opportunities Fund

-

24.9

0

-

-

15.6

4.5

4.8

6.1

-

DEBT - SHORT DURATION FUNDS

Franklin India Short Term Income Plan

-

5149.4

13

0.0

0.0

5.2

7.8

9.5

5.5

-

DEBT - DYNAMIC BOND FUNDS

Groww Dynamic Bond Fund

-

1341.6

37

1.5

0.5

5.9

4.6

4.5

5.7

-

DEBT - SHORT DURATION FUNDS

Groww Short Duration Fund

-

1885.2

38

1.6

0.4

5.8

4.2

3.8

4.3

-

DEBT - MEDIUM TO LONG DURATION FUNDS

HSBC Medium to Long Duration Fund Fund

-

38.2

49

1.9

0.7

7.0

3.9

3.9

5.6

-

DEBT - GILT FUND WITH 10 YEAR CONSTANT DURATION

ICICI Prudential Constant Maturity Gilt Fund

-

21.8

2401

0.4

0.2

8.8

5.4

5.1

7.9

-

DEBT - LONG DURATION FUNDS

ICICI Prudential Long Term Bond Fund

-

80.1

692

0.9

0.4

8.7

5.3

4.6

6.8

-

DEBT - GILT FUNDS

Invesco India Gilt Fund

-

2565.9

76

1.3

0.5

9.6

6.5

4.9

6.1

-

DEBT - DYNAMIC BOND FUNDS

JM Dynamic Bond Fund

-

37.3

42

1.0

0.6

7.4

5.7

5.1

5.5

-

DEBT - MEDIUM TO LONG DURATION FUNDS

JM Medium to Long Duration Fund

-

55.7

22

1.0

0.5

7.7

4.5

4.0

2.4

-

DEBT - GILT FUNDS

LIC MF Gilt Fund

-

54.3

46

1.5

1.7

8.3

5.1

4.4

6.5

-

DEBT - DYNAMIC BOND FUNDS

Mahindra Manulife Dynamic Bond Fund

-

12.9

69

1.6

0.4

7.4

4.5

3.7

4.6

7.18

DEBT - LONG DURATION FUNDS

Nippon India Nivesh Lakshya Fund

-

16.0

6984

0.6

0.3

9.5

6.4

5.7

8.1

-

DEBT - DYNAMIC BOND FUNDS

Quantum Dynamic Bond Fund

-

19.2

94

1.0

0.5

9.0

6.8

5.9

7.3

-

DEBT - GILT FUND WITH 10 YEAR CONSTANT DURATION

SBI Magnum Constant Maturity Fund

-

56.6

1619

0.6

0.3

8.7

5.5

5.1

7.3

-

DEBT - MEDIUM DURATION FUNDS

Sundaram Medium Term Bond Fund

-

63.2

43

2.2

1.3

6.1

3.5

3.3

4.5

-

DEBT - MEDIUM DURATION FUNDS

UTI Medium Duration Fund

-

16.5

43

1.6

1.0

7.1

4.9

5.7

4.3

22.79

Fund Category

Overseas Funds

BL Rating

Latest Nav (Rs.)

Latest Corpus (Rs. Cr)

Expense Ratio (%) - Regular

Expense Ratio (%) - Direct

1 Yr CAGR

3 Yr CAGR

5 Yr CAGR

10 Yr CAGR

Sortino Ratio (%)

OVERSEAS FUNDS - GLOBAL

Aditya Birla SL Global Eme Oppo

-

22.9

259

1.1

0.6

20.0

7.3

13.0

5.0

0.27

OVERSEAS FUNDS - GLOBAL

Aditya Birla SL Interna Equity A

-

32.5

197

2.5

2.0

6.6

5.7

9.0

7.6

0.18

SOLUTION ORIENTED - CHILDREN'S FUNDS

Axis Children's Gift Fund

-

22.2

791

2.4

0.9

16.6

9.2

12.4

-

0.27

OVERSEAS FUNDS - US FOCUSED

DSP US Flexible Equity Fund

-

51.7

835

2.3

1.5

22.1

13.4

15.9

13.0

0.36

OVERSEAS FUNDS - EMERGING MARKETS

Edelweiss EM Opport Eq Offshore

-

14.4

117

2.2

1.3

3.0

-8.0

2.5

-

0.00

OVERSEAS FUNDS - EMERGING MARKETS

Edelweiss Gr China Eq Off-Shore Fund

-

32.5

1178

2.4

1.4

-17.4

-17.8

4.0

6.5

0.07

OVERSEAS FUNDS - US FOCUSED

Edelweiss US Value Eq Offshore

-

28.0

95

2.3

1.4

9.8

12.3

12.2

10.1

0.22

OVERSEAS FUNDS - US FOCUSED

Franklin In Fdr - Franklin US Opp

-

62.8

3327

1.5

0.5

43.3

7.8

15.8

13.2

0.29

SOLUTION ORIENTED - RETIREMENT FUNDS

Franklin India Pension Plan

-

193.9

492

2.3

1.5

18.9

9.3

9.6

10.6

0.33

SOLUTION ORIENTED - CHILDREN'S FUNDS

HDFC Children's Gift Fund

-

257.1

8433

1.8

0.9

29.1

18.6

17.6

16.0

0.41

SOLUTION ORIENTED - RETIREMENT FUNDS

HDFC Retirement Savings Fund - Equity Plan

-

43.7

4574

1.8

0.7

39.2

25.4

22.4

-

0.45

SOLUTION ORIENTED - RETIREMENT FUNDS

HDFC Retire Savings-Hybrid-Debt

-

19.5

153

2.1

0.9

13.6

8.4

8.8

-

0.54

SOLUTION ORIENTED - RETIREMENT FUNDS

HDFC Retirement Savings-Hybrid-Eq

-

34.2

1314

2.1

1.0

30.1

17.0

16.8

-

0.39

OVERSEAS FUNDS - EMERGING MARKETS

HSBC Global Emerging Markets Fund

-

16.8

29

2.4

1.7

0.3

-7.8

3.2

4.5

0.03

SOLUTION ORIENTED - CHILDREN'S FUNDS

ICICI Prudential Child Care Fund (Gift Plan)

-

277.4

1171

2.2

1.4

42.7

18.8

16.0

15.6

0.35

OVERSEAS FUNDS - GLOBAL

ICICI Pru Global Stable Eq (FOF)

-

24.4

120

1.5

0.8

9.0

10.8

9.7

8.9

0.21

OVERSEAS FUNDS - US FOCUSED

ICICI Prudential US Bluechip Equity Fund

-

57.1

2949

2.0

1.1

20.6

13.1

15.7

13.8

0.35

OVERSEAS FUNDS - EMERGING MARKETS

Kotak Global Emerging Market Fund

-

21.4

94

1.7

1.3

8.4

-4.0

7.0

4.5

0.15

SOLUTION ORIENTED - CHILDREN'S FUNDS

LIC MF Children's Gift Fund

-

29.7

15

2.5

1.9

28.7

12.5

13.2

10.5

0.28

SOLUTION ORIENTED - RETIREMENT FUNDS

LIC MF Unit Linked Insurance Scheme

-

32.2

476

2.5

1.6

22.1

13.0

13.2

11.5

0.27

OVERSEAS FUNDS - US FOCUSED

Motilal Oswal Nasdaq 100 ETF

-

145.2

7090

0.6

-

48.6

15.8

24.4

20.3

0.51

OVERSEAS FUNDS - EMERGING MARKETS

Nippon India ETF Hang Seng BeES

-

245.1

320

0.9

-

-14.8

-12.7

-5.3

2.2

-0.21

SOLUTION ORIENTED - RETIREMENT FUNDS

Nippon Ind Retire-Income Gene

-

18.3

165

2.1

1.2

14.2

7.1

8.2

-

0.44

SOLUTION ORIENTED - RETIREMENT FUNDS

Nippon Ind Retire-Wealth Cre

-

25.0

2917

2.0

1.0

43.7

20.5

15.2

-

0.25

OVERSEAS FUNDS - GLOBAL

PGIM India Global Equity Opportunities Fund

-

39.2

1361

2.4

1.4

41.9

2.8

16.8

9.5

0.31

SOLUTION ORIENTED - CHILDREN'S FUNDS

SBI Mag Children's Benefit - Sav

-

94.3

107

1.2

0.9

20.9

13.3

11.6

13.4

0.53

OVERSEAS FUNDS - GLOBAL

Sundaram Global Brand Fund

-

30.0

115

2.3

1.3

25.9

10.9

12.0

7.4

0.27

SOLUTION ORIENTED - RETIREMENT FUNDS

Tata Retirement Savings Con

-

28.3

167

2.2

1.0

13.8

6.7

8.1

9.2

0.36

SOLUTION ORIENTED - RETIREMENT FUNDS

Tata Retirement Savings Fund Moderate Plan

-

54.0

1904

2.0

0.6

29.2

13.3

13.8

16.2

0.30

SOLUTION ORIENTED - RETIREMENT FUNDS

Tata Retirement Savings Progre

-

54.8

1717

2.1

0.6

34.3

14.3

15.2

16.6

0.30

SOLUTION ORIENTED - CHILDREN'S FUNDS

Tata Young Citizens Fund

-

55.3

332

2.6

2.2

33.8

18.3

18.3

13.7

0.37

SOLUTION ORIENTED - CHILDREN'S FUNDS

UTI CCF- Investment Plan

-

72.8

950

2.3

1.2

28.3

14.0

15.9

15.3

0.30

SOLUTION ORIENTED - CHILDREN'S FUNDS

UTI CCF- Savings Plan

-

35.5

4365

1.7

1.5

15.8

10.1

9.8

10.6

0.28

SOLUTION ORIENTED - RETIREMENT FUNDS

UTI Retirement Fund

-

43.2

4263

1.7

1.0

20.3

13.0

11.2

10.7

0.36

Fund Category

Cash Funds

BL Rating

Latest Nav (Rs.)

Latest Corpus (Rs. Cr)

Expense Ratio (%) - Regular

Expense Ratio (%) - Direct

1 Month Absolute

3 Month Absolute

6 Month Absolute

1 Yr CAGR

AA & Below (%)

LIQUID FUNDS

360 ONE Liquid Fund

-

1833.4

725

0.3

0.2

7.1

7.1

7.0

7.0

-

ARBITRAGE FUNDS

Aditya Birla Sun Life Arbitrage Fund

-

24.2

9798

1.0

0.4

6.8

8.1

7.6

7.5

-

LIQUID FUNDS

Aditya Birla Sun Life Liquid Fund

-

382.7

38638

0.3

0.2

7.1

7.2

7.1

7.2

-

ARBITRAGE FUNDS

Axis Arbitrage Fund

-

17.0

3824

1.0

0.3

7.1

8.1

7.5

7.3

-

LIQUID FUNDS

Axis Liquid Fund

-

2643.4

25538

0.2

0.2

7.3

7.2

7.1

7.2

-

ARBITRAGE FUNDS

Bandhan Arbitrage Fund

-

29.6

5374

1.1

0.4

6.7

8.2

7.6

7.5

-

LIQUID FUNDS

Bandhan Liquid Fund

-

2872.0

11187

0.3

0.1

7.2

7.2

7.1

7.1

-

LIQUID FUNDS

Bank of India Liquid Fund

-

2733.4

1289

0.1

0.1

7.4

7.3

7.2

7.2

-

ARBITRAGE FUNDS

Baroda BNP Paribas Arbitrage Fund

-

14.7

721

1.1

0.4

6.4

7.9

7.5

7.5

1.90

LIQUID FUNDS

Baroda BNP Paribas Liquid Fund

-

2733.8

8859

0.3

0.2

7.2

7.2

7.0

7.1

-

LIQUID FUNDS

Canara Robeco Liquid Fund

-

2858.5

3513

0.2

0.1

7.3

7.3

7.1

7.2

-

ARBITRAGE FUNDS

DSP Arbitrage Fund

-

13.6

3789

1.0

0.4

6.8

7.9

7.5

7.4

-

LIQUID FUNDS

DSP Liquidity Fund

-

3390.7

11704

0.2

0.2

7.3

7.2

7.1

7.1

-

ARBITRAGE FUNDS

Edelweiss Arbitrage Fund

-

17.7

8135

1.1

0.4

8.2

8.6

7.8

7.6

-

LIQUID FUNDS

Edelweiss Liquid Fund

-

3037.3

5068

0.3

0.1

7.2

7.1

7.0

7.0

-

LIQUID FUNDS

Groww Liquid Fund

-

2296.3

176

0.2

0.1

7.2

7.2

7.1

6.9

-

ARBITRAGE FUNDS

HDFC Arbitrage Fund

-

27.9

10219

1.0

0.5

7.1

8.3

7.6

7.5

-

LIQUID FUNDS

HDFC Liquid Fund

-

4661.7

50906

0.3

0.2

7.3

7.2

7.0

7.1

-

OVERNIGHT FUNDS

HDFC Overnight Fund

-

3499.3

10721

0.2

0.1

6.5

6.6

6.6

6.6

-

ARBITRAGE FUNDS

HSBC Arbitrage Fund

-

17.4

2063

0.9

0.3

7.2

8.2

7.7

7.5

-

LIQUID FUNDS

HSBC Liquid Fund

-

2368.5

20475

0.2

0.1

7.2

7.2

7.1

7.2

-

ARBITRAGE FUNDS

ICICI Prudential Equity-Arbitrage Fund

-

31.2

16307

0.9

0.3

6.6

8.1

7.6

7.5

-

LIQUID FUNDS

ICICI Prudential Liquid Fund

-

351.7

45939

0.3

0.2

7.2

7.2

7.1

7.1

0.20

ARBITRAGE FUNDS

Invesco India Arbitrage Fund

-

29.1

12849

1.1

0.4

7.0

8.3

7.7

7.6

0.10

LIQUID FUNDS

Invesco India Liquid Fund

-

3264.5

8820

0.2

0.2

7.3

7.3

7.1

7.2

-

ARBITRAGE FUNDS

JM Arbitrage Fund

-

29.9

103

1.1

0.3

6.4

7.8

7.4

7.1

-

LIQUID FUNDS

JM Liquid Fund

-

64.9

1624

0.3

0.2

7.1

7.2

7.1

7.1

-

ARBITRAGE FUNDS

Kotak Equity Arbitrage Fund

-

34.1

35998

1.0

0.4

7.5

8.6

7.9

7.8

-

LIQUID FUNDS

Kotak Liquid Fund

-

4803.1

29657

0.3

0.2

7.2

7.2

7.0

7.1

-

LIQUID FUNDS

LIC MF Liquid Fund

-

4295.6

11416

0.2

0.2

7.3

7.3

7.1

7.1

-

LIQUID FUNDS

Mahindra Manulife Liquid Fund

-

1546.0

1125

0.3

0.2

7.3

7.3

7.1

7.2

-

LIQUID FUNDS

Mirae Asset Liquid Fund

-

2491.2

11106

0.2

0.1

7.2

7.2

7.1

7.2

-

LIQUID FUNDS

Navi Liquid Fund

-

26.0

106

0.2

0.2

6.4

6.6

6.7

6.9

-

ARBITRAGE FUNDS

Nippon India Arbitrage Fund

-

24.2

13073

1.1

0.4

7.0

8.3

7.6

7.4

-

LIQUID FUNDS

Nippon India Liquid Fund

-

5798.7

25877

0.3

0.2

7.3

7.2

7.0

7.1

-

ARBITRAGE FUNDS

PGIM India Arbitrage Fund

-

16.8

125

1.1

0.3

5.6

7.5

7.1

6.9

-

LIQUID FUNDS

PGIM India Liquid Fund

-

309.3

381

0.3

0.1

7.1

7.1

7.0

7.1

-

LIQUID FUNDS

Quant Liquid Plan

-

37.7

1754

0.5

0.3

6.9

6.9

6.8

6.8

-

LIQUID FUNDS

Quantum Liquid Fund

-

32.0

594

0.3

0.2

6.9

6.9

6.8

6.9

-

ARBITRAGE FUNDS

SBI Arbitrage Opportunities Fund

-

30.8

26630

1.0

0.4

6.9

8.1

7.6

7.7

-

LIQUID FUNDS

SBI Liquid Fund

-

3717.1

64615

0.3

0.2

7.2

7.2

7.0

7.1

-

OVERNIGHT FUNDS

SBI Overnight Fund

-

3823.8

16587

0.2

0.1

6.4

6.6

6.6

6.6

-

ARBITRAGE FUNDS

Sundaram Arbitrage Fund

-

13.2

99

0.9

0.3

6.5

7.4

7.0

7.0

-

LIQUID FUNDS

Sundaram Liquid Fund

-

2096.7

4549

0.3

0.2

7.2

7.2

7.0

7.1

-

LIQUID FUNDS

Tata Liquid Fund

-

3742.0

24373

0.3

0.2

7.2

7.2

7.1

7.1

-

LIQUID FUNDS

Union Liquid Fund

-

2285.9

2502

0.2

0.1

7.3

7.3

7.1

7.2

-

ARBITRAGE FUNDS

UTI Arbitrage Fund

-

31.9

4472

0.9

0.4

6.9

8.2

7.7

7.5

-

LIQUID FUNDS

UTI Liquid Fund

-

3897.0

22272

0.3

0.2

7.2

7.2

7.1

7.2

-

OVERNIGHT FUNDS

UTI Overnight Fund

-

3222.8

7044

0.1

0.1

6.5

6.7

6.7

6.7

-

The funds with highest scores are assigned five star rating while the funds with lowest scores are assigned one star rating.

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