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| NameMFs (119)↓ | ↓Sub CategorySub Category↓ | ↓PlanPlan↓ | ↓AUMAUM↓ | ↓CAGR 3YCAGR 3Y↓ | ↓Expense RatioExpense Ratio↓ | ↓Absolute Returns - 1YAbsolute Ret. - 1Y↓ | ↓CAGR 5YCAGR 5Y↓ | ↓CAGR 10YCAGR 10Y↓ | ↓% Largecap Holding% Largecap Holding↓ | ↓% Midcap Holding% Midcap Holding↓ | ↓% Smallcap Holding% Smallcap Holding↓ | ↓Sharpe RatioSharpe Ratio↓ | ↓PE RatioPE Ratio↓ | ↓VolatilityVolatility↓ | ↓Category St DevCategory St Dev↓ | ||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| 1. | ICICI Pru India Opp Fund ICICI Pru India Opp Fund | Thematic Fund Thematic Fund | Growth Growth | 35,665.82 35,665.82 | 22.76 22.76 | 0.66 0.66 | 12.04 12.04 | 22.55 22.55 | - - | 66.27 66.27 | 15.40 15.40 | 10.80 10.80 | 0.88 0.88 | 18.39 18.39 | 11.04 11.04 | 13.82 13.82 | |
| 2. | ICICI Pru Business Cycle Fund ICICI Pru Business Cycle Fund | Thematic Fund Thematic Fund | Growth Growth | 16,201.80 16,201.80 | 21.82 21.82 | 0.74 0.74 | 14.41 14.41 | 18.54 18.54 | - - | 74.37 74.37 | 9.48 9.48 | 7.43 7.43 | 1.08 1.08 | 25.05 25.05 | 11.48 11.48 | 13.82 13.82 | |
| 3. | HDFC Manufacturing Fund HDFC Manufacturing Fund | Thematic Fund Thematic Fund | Growth Growth | 10,338.03 10,338.03 | - - | 0.83 0.83 | 13.52 13.52 | - - | - - | 56.47 56.47 | 17.79 17.79 | 24.90 24.90 | 0.88 0.88 | 19.98 19.98 | 14.12 14.12 | 13.82 13.82 | |
| 4. | Franklin India Opportunities Fund Franklin India Opportunities Fund | Thematic Fund Thematic Fund | Growth Growth | 8,271.28 8,271.28 | 26.58 26.58 | 0.58 0.58 | 10.36 10.36 | 19.47 19.47 | 17.81 17.81 | 42.60 42.60 | 19.13 19.13 | 30.22 30.22 | 0.73 0.73 | 23.61 23.61 | 12.66 12.66 | 13.82 13.82 | |
| 5. | HDFC Defence Fund HDFC Defence Fund | Thematic Fund Thematic Fund | Growth Growth | 7,793.88 7,793.88 | - - | 0.82 0.82 | 41.99 41.99 | - - | - - | 48.15 48.15 | 23.02 23.02 | 26.82 26.82 | 1.63 1.63 | 53.72 53.72 | 22.78 22.78 | 13.82 13.82 | |
| 6. | ICICI Pru Innovation Fund ICICI Pru Innovation Fund | Thematic Fund Thematic Fund | Growth Growth | 7,486.66 7,486.66 | - - | 0.74 0.74 | 10.16 10.16 | - - | - - | 41.88 41.88 | 26.94 26.94 | 25.01 25.01 | 0.70 0.70 | 23.46 23.46 | 11.77 11.77 | 13.82 13.82 | |
| 7. | ICICI Pru Manufacturing Fund ICICI Pru Manufacturing Fund | Thematic Fund Thematic Fund | Growth Growth | 6,600.72 6,600.72 | 25.51 25.51 | 0.79 0.79 | 18.21 18.21 | 21.16 21.16 | - - | 48.14 48.14 | 25.94 25.94 | 21.90 21.90 | 1.21 1.21 | 32.35 32.35 | 13.90 13.90 | 13.82 13.82 | |
| 8. | SBI PSU Fund SBI PSU Fund | Thematic Fund Thematic Fund | Growth Growth | 6,545.08 6,545.08 | 32.39 32.39 | 0.83 0.83 | 26.60 26.60 | 27.39 27.39 | 16.82 16.82 | 65.93 65.93 | 24.17 24.17 | 5.74 5.74 | 1.58 1.58 | 12.74 12.74 | 14.96 14.96 | 13.82 13.82 | |
| 9. | Aditya Birla SL PSU Equity Fund Aditya Birla SL PSU Equity Fund | Thematic Fund Thematic Fund | Growth Growth | 6,085.65 6,085.65 | 29.34 29.34 | 0.60 0.60 | 24.39 24.39 | 26.67 26.67 | - - | 64.81 64.81 | 26.34 26.34 | 6.62 6.62 | 1.43 1.43 | 11.77 11.77 | 15.76 15.76 | 13.82 13.82 | |
| 10. | SBI ESG Exclusionary Strategy Fund SBI ESG Exclusionary Strategy Fund | Thematic Fund Thematic Fund | Growth Growth | 5,526.06 5,526.06 | 13.06 13.06 | 1.34 1.34 | 6.23 6.23 | 11.17 11.17 | 13.40 13.40 | 76.90 76.90 | 15.67 15.67 | 6.25 6.25 | 0.42 0.42 | 26.70 26.70 | 11.55 11.55 | 13.82 13.82 | |
| 11. | SBI Innovative Opportunities Fund SBI Innovative Opportunities Fund | Thematic Fund Thematic Fund | Growth Growth | 5,300.79 5,300.79 | - - | 0.93 0.93 | -3.35 -3.35 | - - | - - | 21.65 21.65 | 24.04 24.04 | 47.89 47.89 | -0.36 -0.36 | 49.60 49.60 | 14.02 14.02 | 13.82 13.82 | |
| 12. | Axis India Manufacturing Fund Axis India Manufacturing Fund | Thematic Fund Thematic Fund | Growth Growth | 4,910.39 4,910.39 | - - | 0.54 0.54 | 16.42 16.42 | - - | - - | 58.24 58.24 | 18.05 18.05 | 16.22 16.22 | 1.05 1.05 | 31.60 31.60 | 13.96 13.96 | 13.82 13.82 | |
| 13. | UTI Transportation & Logistics Fund UTI Transportation & Logistics Fund | Thematic Fund Thematic Fund | Growth Growth | 4,046.80 4,046.80 | 23.75 23.75 | 0.82 0.82 | 20.13 20.13 | 18.69 18.69 | 14.23 14.23 | 73.12 73.12 | 8.66 8.66 | 12.74 12.74 | 1.30 1.30 | 25.34 25.34 | 14.75 14.75 | 13.82 13.82 | |
| 14. | Tata Ethical Fund Tata Ethical Fund | Thematic Fund Thematic Fund | Growth Growth | 3,715.35 3,715.35 | 9.97 9.97 | 0.71 0.71 | 1.56 1.56 | 11.31 11.31 | 12.61 12.61 | 52.91 52.91 | 26.36 26.36 | 14.31 14.31 | -0.02 -0.02 | 28.65 28.65 | 11.76 11.76 | 13.82 13.82 | |
| 15. | ICICI Pru Commodities Fund ICICI Pru Commodities Fund | Thematic Fund Thematic Fund | Growth Growth | 3,559.92 3,559.92 | 19.46 19.46 | 1.00 1.00 | 17.84 17.84 | 23.37 23.37 | - - | 41.22 41.22 | 27.11 27.11 | 21.23 21.23 | 0.97 0.97 | 28.68 28.68 | 17.00 17.00 | 13.82 13.82 | |
| 16. | ICICI Pru Equity Minimum Variance Fund ICICI Pru Equity Minimum Variance Fund | Thematic Fund Thematic Fund | Growth Growth | 3,513.29 3,513.29 | - - | 0.80 0.80 | 10.65 10.65 | - - | - - | 92.51 92.51 | 1.61 1.61 | - - | 0.83 0.83 | 23.71 23.71 | 10.16 10.16 | 13.82 13.82 | |
| 17. | SBI Quant Fund SBI Quant Fund | Thematic Fund Thematic Fund | Growth Growth | 3,452.24 3,452.24 | - - | 0.80 0.80 | 12.51 12.51 | - - | - - | 87.99 87.99 | 9.74 9.74 | - - | 0.84 0.84 | 16.86 16.86 | 13.07 13.07 | 13.82 13.82 | |
| 18. | Kotak Pioneer Fund Kotak Pioneer Fund | Thematic Fund Thematic Fund | Growth Growth | 3,237.57 3,237.57 | 22.36 22.36 | 0.48 0.48 | 16.98 16.98 | 16.35 16.35 | - - | 33.16 33.16 | 30.13 30.13 | 14.80 14.80 | 0.97 0.97 | 45.66 45.66 | 12.11 12.11 | 13.82 13.82 | |
| 19. | Kotak Business Cycle Fund Kotak Business Cycle Fund | Thematic Fund Thematic Fund | Growth Growth | 3,002.14 3,002.14 | 17.27 17.27 | 0.63 0.63 | 11.21 11.21 | - - | - - | 50.07 50.07 | 25.44 25.44 | 24.14 24.14 | 0.80 0.80 | 29.66 29.66 | 12.25 12.25 | 13.82 13.82 | |
| 20. | ICICI Pru Transportation and Logistics Fund ICICI Pru Transportation and Logistics Fund | Thematic Fund Thematic Fund | Growth Growth | 2,935.69 2,935.69 | 26.54 26.54 | 0.94 0.94 | 19.95 19.95 | - - | - - | 68.60 68.60 | 6.77 6.77 | 21.88 21.88 | 1.24 1.24 | 18.67 18.67 | 15.40 15.40 | 13.82 13.82 |