Good evening :)
Mutual Funds
All Screens
New Screen
Screen Results
All Screens
Edit Filters
7 filters applied
MF Universe
Reset
Category
Reset
Commodity  (2)
Debt  (20)
Equity  (23/23)
Hybrid  (8/8)
Other  (7/7)
Plan
1 selected
Reset

1 selected

AUM (Cr)
CAGR 3Y (%)
Remove
Expense Ratio (%)
Remove
CAGR 5Y (%)
Remove
CAGR 10Y (%)
12.00 to 40.00
Reset

12.00 to 40.00

Absolute Ret. - 3M (%)
-11.00 to 56.00
Reset

-11.00 to 56.00

Alpha (%)
Remove
Absolute Ret. - 1Y (%)
Remove
SEBI Risk Cat
Remove
Tracking Error (%)
0.00 to 2.50
Reset

0.00 to 2.50

PE Ratio
7.00 to 36.39
Reset

7.00 to 36.39

Cat. PE Ratio
0.00 to 45.00
Reset

0.00 to 45.00

7 filters applied
MF Universe
Category

38 sub-categories selected

Plan
1 selected
Reset
Plan

1 selected

AUM (Cr)
AUM (Cr)
CAGR 3Y (%)
Remove
CAGR 3Y (%)
Expense Ratio (%)
Remove
Expense Ratio (%)
CAGR 5Y (%)
Remove
CAGR 5Y (%)
CAGR 10Y (%)
12.00 to 40.00
Reset
CAGR 10Y (%)

12.00 to 40.00

Absolute Ret. - 3M (%)
-11.00 to 56.00
Reset
Absolute Ret. - 3M (%)

-11.00 to 56.00

Alpha (%)
Remove
Alpha (%)
Absolute Ret. - 1Y (%)
Remove
Absolute Ret. - 1Y (%)
SEBI Risk Cat
Remove
SEBI Risk Cat
Tracking Error (%)
0.00 to 2.50
Reset
Tracking Error (%)

0.00 to 2.50

PE Ratio
7.00 to 36.39
Reset
PE Ratio

7.00 to 36.39

Cat. PE Ratio
0.00 to 45.00
Reset
Cat. PE Ratio

0.00 to 45.00

MF Universe
Reset

Growth Option Mutual Funds

Explore a selection of mutual funds focusing on growth options. Find funds tailored to enhance your investment portfolio.

Created by

@58474005847400

Showing 1 - 8 of 8 results

last updated at 8:00 AM IST 
NameMFs (8)Sub CategorySub CategoryPlanPlanAUMAUMCAGR 3YCAGR 3YExpense RatioExpense RatioCAGR 5YCAGR 5YCAGR 10YCAGR 10YAbsolute Returns - 3MAbsolute Ret. - 3MAlphaAlphaAbsolute Returns - 1YAbsolute Ret. - 1YSEBI Risk CategorySEBI Risk CatTracking ErrorTracking ErrorPE RatioPE RatioCategory PE RatioCat. PE Ratio
1.ICICI Pru Equity & Debt Fund
ICICI Pru Equity & Debt Fund
Aggressive Hybrid Fund
Aggressive Hybrid Fund
Growth
Growth
50,205.35
50,205.35
17.45
17.45
0.92
0.92
17.79
17.79
16.46
16.46
-8.25
-8.25
1.33
1.33
3.79
3.79
Very High
Very High
1.99
1.99
24.63
24.63
26.22
26.22
2.DSP Aggressive Hybrid Fund
DSP Aggressive Hybrid Fund
Aggressive Hybrid Fund
Aggressive Hybrid Fund
Growth
Growth
11,928.12
11,928.12
14.07
14.07
0.68
0.68
10.99
10.99
13.07
13.07
-10.56
-10.56
-1.43
-1.43
-2.88
-2.88
Very High
Very High
2.11
2.11
21.12
21.12
26.22
26.22
3.Canara Rob Equity Hybrid Fund
Canara Rob Equity Hybrid Fund
Aggressive Hybrid Fund
Aggressive Hybrid Fund
Growth
Growth
11,267.55
11,267.55
12.77
12.77
0.61
0.61
11.02
11.02
13.36
13.36
-8.99
-8.99
1.28
1.28
2.09
2.09
Very High
Very High
2.05
2.05
23.69
23.69
26.22
26.22
4.Mirae Asset Aggressive Hybrid Fund
Mirae Asset Aggressive Hybrid Fund
Aggressive Hybrid Fund
Aggressive Hybrid Fund
Growth
Growth
9,530.01
9,530.01
13.63
13.63
0.40
0.40
11.71
11.71
13.90
13.90
-8.54
-8.54
1.73
1.73
4.29
4.29
Very High
Very High
2.37
2.37
22.68
22.68
26.22
26.22
5.Sundaram Aggressive Hybrid Fund
Sundaram Aggressive Hybrid Fund
Aggressive Hybrid Fund
Aggressive Hybrid Fund
Growth
Growth
8,141.79
8,141.79
11.69
11.69
0.75
0.75
10.78
10.78
13.03
13.03
-10.14
-10.14
-0.55
-0.55
-0.88
-0.88
High
High
1.78
1.78
24.82
24.82
26.22
26.22
6.UTI Aggressive Hybrid Fund
UTI Aggressive Hybrid Fund
Aggressive Hybrid Fund
Aggressive Hybrid Fund
Growth
Growth
6,663.35
6,663.35
14.80
14.80
1.19
1.19
13.64
13.64
12.80
12.80
-9.33
-9.33
0.15
0.15
0.90
0.90
Very High
Very High
2.00
2.00
19.78
19.78
26.22
26.22
7.Edelweiss Aggressive Hybrid Fund
Edelweiss Aggressive Hybrid Fund
Aggressive Hybrid Fund
Aggressive Hybrid Fund
Growth
Growth
3,545.93
3,545.93
15.92
15.92
0.36
0.36
15.04
15.04
13.74
13.74
-8.52
-8.52
0.74
0.74
1.97
1.97
Very High
Very High
2.36
2.36
23.06
23.06
26.22
26.22
8.Franklin India Aggressive Hybrid Fund
Franklin India Aggressive Hybrid Fund
Aggressive Hybrid Fund
Aggressive Hybrid Fund
Growth
Growth
2,349.87
2,349.87
12.90
12.90
0.89
0.89
11.39
11.39
12.01
12.01
-9.43
-9.43
-0.70
-0.70
-1.08
-1.08
Very High
Very High
1.82
1.82
26.96
26.96
26.22
26.22