1 selected
1000.00 to 141447.00
0.00 to 0.40
1.00 to 43.00
| NameMFs (15)↓ | ↓Sub CategorySub Category↓ | ↓PlanPlan↓ | ↓AUMAUM↓ | ↓CAGR 3YCAGR 3Y↓ | ↓Base Exp. RatioBase Exp. Ratio↓ | ↓AlphaAlpha↓ | ↓CAGR 10YCAGR 10Y↓ | ↓CAGR 5YCAGR 5Y↓ | ↓Absolute Returns - 3MAbsolute Ret. - 3M↓ | ↓Absolute Returns - 1YAbsolute Ret. - 1Y↓ | ↓Absolute Returns - 6MAbsolute Ret. - 6M↓ | ||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| 1. | Bandhan Small Cap Fund Bandhan Small Cap Fund | Small Cap Fund Small Cap Fund | Growth Growth | 34,176.02 34,176.02 | 24.80 24.80 | 0.35 0.35 | 6.03 6.03 | - - | 19.61 19.61 | 5.54 5.54 | 9.73 9.73 | 21.14 21.14 | |
| 2. | Nippon India Multi Asset Allocation Fund Nippon India Multi Asset Allocation Fund | Multi Asset Allocation Fund Multi Asset Allocation Fund | Growth Growth | 16,926.22 16,926.22 | 18.77 18.77 | 0.30 0.30 | 1.65 1.65 | - - | 15.65 15.65 | 1.68 1.68 | 11.50 11.50 | 5.70 5.70 | |
| 3. | DSP Multi Asset Allocation Fund DSP Multi Asset Allocation Fund | Multi Asset Allocation Fund Multi Asset Allocation Fund | Growth Growth | 10,989.91 10,989.91 | - - | 0.37 0.37 | 5.23 5.23 | - - | - - | -0.28 -0.28 | 12.65 12.65 | 2.65 2.65 | |
| 4. | WOC Multi Asset Allocation Fund WOC Multi Asset Allocation Fund | Multi Asset Allocation Fund Multi Asset Allocation Fund | Growth Growth | 8,777.56 8,777.56 | 16.69 16.69 | 0.39 0.39 | 1.73 1.73 | - - | - - | 2.88 2.88 | 11.45 11.45 | 5.76 5.76 | |
| 5. | Mirae Asset Small Cap Fund Mirae Asset Small Cap Fund | Small Cap Fund Small Cap Fund | Growth Growth | 5,717.05 5,717.05 | - - | 0.33 0.33 | 2.81 2.81 | - - | - - | 7.89 7.89 | 9.68 9.68 | 19.74 19.74 | |
| 6. | Mirae Asset Multicap Fund Mirae Asset Multicap Fund | Multi Cap Fund Multi Cap Fund | Growth Growth | 5,619.19 5,619.19 | 13.47 13.47 | 0.38 0.38 | 1.26 1.26 | - - | - - | 1.80 1.80 | 1.31 1.31 | 9.55 9.55 | |
| 7. | Bandhan Multi Asset Allocation Fund Bandhan Multi Asset Allocation Fund | Multi Asset Allocation Fund Multi Asset Allocation Fund | Growth Growth | 3,744.87 3,744.87 | - - | 0.38 0.38 | 4.13 4.13 | - - | - - | 0.59 0.59 | 12.47 12.47 | 6.16 6.16 | |
| 8. | Mirae Asset Multi Asset Allocation Fund Mirae Asset Multi Asset Allocation Fund | Multi Asset Allocation Fund Multi Asset Allocation Fund | Growth Growth | 3,690.64 3,690.64 | - - | 0.34 0.34 | 4.44 4.44 | - - | - - | 1.33 1.33 | 10.55 10.55 | 4.13 4.13 | |
| 9. | Nippon India Nifty Smallcap 250 Index Fund Nippon India Nifty Smallcap 250 Index Fund | Index Fund Index Fund | Growth Growth | 3,518.33 3,518.33 | 14.10 14.10 | 0.30 0.30 | 1.13 1.13 | - - | 14.42 14.42 | 4.03 4.03 | 4.74 4.74 | 20.88 20.88 | |
| 10. | Franklin India Multi Asset Allocation Fund Franklin India Multi Asset Allocation Fund | Multi Asset Allocation Fund Multi Asset Allocation Fund | Growth Growth | 2,912.44 2,912.44 | - - | 0.29 0.29 | 4.34 4.34 | - - | - - | 0.12 0.12 | 8.79 8.79 | 3.23 3.23 | |
| 11. | Motilal Oswal BSE Enhanced Value Index Fund Motilal Oswal BSE Enhanced Value Index Fund | Index Fund Index Fund | Growth Growth | 2,251.31 2,251.31 | 19.60 19.60 | 0.35 0.35 | 5.89 5.89 | - - | - - | -6.03 -6.03 | 5.44 5.44 | -2.79 -2.79 | |
| 12. | Groww Multicap Fund Groww Multicap Fund | Multi Cap Fund Multi Cap Fund | Growth Growth | 1,476.14 1,476.14 | - - | 0.20 0.20 | 7.67 7.67 | - - | - - | 7.55 7.55 | 17.97 17.97 | 24.46 24.46 | |
| 13. | Nippon India Nifty 500 Momentum 50 Index Fund Nippon India Nifty 500 Momentum 50 Index Fund | Index Fund Index Fund | Growth Growth | 1,326.49 1,326.49 | - - | 0.21 0.21 | 1.07 1.07 | - - | - - | 1.35 1.35 | 4.18 4.18 | 11.02 11.02 | |
| 14. | Motilal Oswal Nifty Smallcap 250 Index Fund Motilal Oswal Nifty Smallcap 250 Index Fund | Index Fund Index Fund | Growth Growth | 1,299.09 1,299.09 | 14.53 14.53 | 0.28 0.28 | 1.15 1.15 | - - | 14.68 14.68 | 4.05 4.05 | 4.79 4.79 | 20.86 20.86 | |
| 15. | Aditya Birla SL Nifty India Defence Index Fund Aditya Birla SL Nifty India Defence Index Fund | Index Fund Index Fund | Growth Growth | 1,283.99 1,283.99 | - - | 0.28 0.28 | 1.94 1.94 | - - | - - | -1.70 -1.70 | 13.10 13.10 | 15.48 15.48 |