1 selected
-217.00 to 0.00
| NameMFs (591)↓ | ↓Sub CategorySub Category↓ | ↓PlanPlan↓ | ↓AUMAUM↓ | ↓CAGR 3YCAGR 3Y↓ | ↓Expense RatioExpense Ratio↓ | ↓CAGR 5YCAGR 5Y↓ | ↓CAGR 10YCAGR 10Y↓ | ↓Sharpe RatioSharpe Ratio↓ | ||
|---|---|---|---|---|---|---|---|---|---|---|
| 1. | Parag Parikh Flexi Cap Fund Parag Parikh Flexi Cap Fund | Flexi Cap Fund Flexi Cap Fund | Growth Growth | 1,48,429.00 1,48,429.00 | 12.88 12.88 | 0.69 0.69 | 12.05 12.05 | 16.93 16.93 | -0.72 -0.72 | |
| 2. | HDFC Balanced Advantage Fund HDFC Balanced Advantage Fund | Balanced Advantage Fund Balanced Advantage Fund | Growth Growth | 1,07,765.65 1,07,765.65 | 11.80 11.80 | 0.77 0.77 | 15.08 15.08 | 14.06 14.06 | -0.15 -0.15 | |
| 3. | SBI Liquid Fund SBI Liquid Fund | Liquid Fund Liquid Fund | Growth Growth | 92,191.69 92,191.69 | 6.93 6.93 | 0.20 0.20 | 6.31 6.31 | 6.08 6.08 | -0.89 -0.89 | |
| 4. | ICICI Pru Large Cap Fund ICICI Pru Large Cap Fund | Large Cap Fund Large Cap Fund | Growth Growth | 80,960.34 80,960.34 | 11.27 11.27 | 1.02 1.02 | 11.61 11.61 | 13.27 13.27 | -0.48 -0.48 | |
| 5. | HDFC Liquid Fund HDFC Liquid Fund | Liquid Fund Liquid Fund | Growth Growth | 71,323.35 71,323.35 | 6.96 6.96 | 0.20 0.20 | 6.32 6.32 | 6.08 6.08 | -0.81 -0.81 | |
| 6. | Aditya Birla SL Liquid Fund Aditya Birla SL Liquid Fund | Liquid Fund Liquid Fund | Growth Growth | 68,800.00 68,800.00 | 7.04 7.04 | 0.21 0.21 | 6.40 6.40 | 6.19 6.19 | -0.45 -0.45 | |
| 7. | Axis Liquid Fund Axis Liquid Fund | Liquid Fund Liquid Fund | Growth Growth | 63,342.66 63,342.66 | 7.03 7.03 | 0.13 0.13 | 6.39 6.39 | 6.17 6.17 | -0.45 -0.45 | |
| 8. | ICICI Pru Liquid Fund ICICI Pru Liquid Fund | Liquid Fund Liquid Fund | Growth Growth | 62,798.37 62,798.37 | 6.97 6.97 | 0.20 0.20 | 6.33 6.33 | 6.13 6.13 | -0.94 -0.94 | |
| 9. | ICICI Pru Value Fund ICICI Pru Value Fund | Value Fund Value Fund | Growth Growth | 61,102.29 61,102.29 | 12.29 12.29 | 1.08 1.08 | 15.12 15.12 | 14.28 14.28 | -0.54 -0.54 | |
| 10. | Kotak Flexi Cap Fund Kotak Flexi Cap Fund | Flexi Cap Fund Flexi Cap Fund | Growth Growth | 56,118.90 56,118.90 | 11.91 11.91 | 0.66 0.66 | 10.90 10.90 | 13.23 13.23 | -0.08 -0.08 | |
| 11. | Nippon India Multi Cap Fund Nippon India Multi Cap Fund | Multi Cap Fund Multi Cap Fund | Growth Growth | 55,587.00 55,587.00 | 13.11 13.11 | 0.87 0.87 | 17.32 17.32 | 15.28 15.28 | -0.22 -0.22 | |
| 12. | SBI Large Cap Fund SBI Large Cap Fund | Large Cap Fund Large Cap Fund | Growth Growth | 55,430.76 55,430.76 | 9.35 9.35 | 0.88 0.88 | 9.56 9.56 | 11.85 11.85 | -0.22 -0.22 | |
| 13. | Nippon India Large Cap Fund Nippon India Large Cap Fund | Large Cap Fund Large Cap Fund | Growth Growth | 54,224.57 54,224.57 | 11.20 11.20 | 0.88 0.88 | 13.67 13.67 | 13.92 13.92 | -0.41 -0.41 | |
| 14. | ICICI Pru Aggressive Hybrid Fund ICICI Pru Aggressive Hybrid Fund | Aggressive Hybrid Fund Aggressive Hybrid Fund | Growth Growth | 52,432.51 52,432.51 | 13.72 13.72 | 1.05 1.05 | 15.45 15.45 | 15.19 15.19 | -0.15 -0.15 | |
| 15. | Kotak Liquid Fund Kotak Liquid Fund | Liquid Fund Liquid Fund | Growth Growth | 49,073.09 49,073.09 | 6.98 6.98 | 0.15 0.15 | 6.33 6.33 | 6.09 6.09 | -0.81 -0.81 | |
| 16. | SBI Contra Fund SBI Contra Fund | Contra Fund Contra Fund | Growth Growth | 48,266.35 48,266.35 | 11.22 11.22 | 0.86 0.86 | 15.74 15.74 | 15.21 15.21 | -0.36 -0.36 | |
| 17. | Nippon India Liquid Fund Nippon India Liquid Fund | Liquid Fund Liquid Fund | Growth Growth | 43,124.99 43,124.99 | 7.01 7.01 | 0.20 0.20 | 6.37 6.37 | 6.17 6.17 | -0.60 -0.60 | |
| 18. | HDFC Small Cap Fund HDFC Small Cap Fund | Small Cap Fund Small Cap Fund | Growth Growth | 41,679.00 41,679.00 | 10.78 10.78 | 0.75 0.75 | 15.55 15.55 | 17.48 17.48 | -0.25 -0.25 | |
| 19. | HDFC Large Cap Fund HDFC Large Cap Fund | Large Cap Fund Large Cap Fund | Growth Growth | 40,197.89 40,197.89 | 9.79 9.79 | 1.02 1.02 | 11.65 11.65 | 12.24 12.24 | -0.23 -0.23 | |
| 20. | Motilal Oswal Midcap Fund Motilal Oswal Midcap Fund | Mid Cap Fund Mid Cap Fund | Growth Growth | 40,036.07 40,036.07 | 18.31 18.31 | 0.93 0.93 | 21.85 21.85 | 17.46 17.46 | -0.09 -0.09 |