Mutual Funds Class Average 1yrReturn
Avg. Return:1wk|3mn|6mn|1yr|3yr|5yr|
Equity-Banking17.67
Equity-Auto10.64
Equity-Index-3.70
Equity-Pharma-6.71
Equity-Diversified-6.89
Equity-TaxPlanning-9.51
Equity-FMCG-10.22
Equity-OtherSpeciality-12.33
Equity-Technology-27.63
Equity-Banking17.67
Equity-Auto10.64
Equity-Index-3.70
Equity-Pharma-6.71
Equity-Diversified-6.89
Equity-TaxPlanning-9.51
Equity-FMCG-10.22
Equity-OtherSpeciality-12.33
Equity-Technology-27.63
Avg. Return:1wk|3mn|6mn|1yr|3yr|5yr|
Debt-Short-term10.63
Debt-Medium-term10.59
Debt-Short-termInst9.85
Debt-FloatingRateSTInst8.26
Debt-FloatingRateST8.22
Debt-FloatingRateLT8.19
Debt-UltraShort-termInst7.77
Debt-UltraShort-term7.24
Debt-FloatingRateLTInst7.16
Debt-Medium-termInst6.89
Debt-Speciality-3.43
Debt-Short-term10.63
Debt-Medium-term10.59
Debt-Short-termInst9.85
Debt-FloatingRateSTInst8.26
Debt-FloatingRateST8.22
Debt-FloatingRateLT8.19
Debt-UltraShort-termInst7.77
Debt-UltraShort-term7.24
Debt-FloatingRateLTInst7.16
Debt-Medium-termInst6.89
Debt-Speciality-3.43
Avg. Return:1wk|3mn|6mn|1yr|3yr|5yr|
Hybrid-MonthlyIncome7.67
Hybrid-Debt-oriented4.13
Hybrid-AssetAllocation3.12
Hybrid-Equity-oriented-0.85
Hybrid-MonthlyIncome7.67
Hybrid-Debt-oriented4.13
Hybrid-AssetAllocation3.12
Hybrid-Equity-oriented-0.85
Top Mutual Funds Based On Last One Year Performance
- Scheme Name
- 1 wk
- 3 mn
- 6 mn
- 1 yr
- 3 yr
- 5 yr
- UTI Software
- 0.00
- 0.00
- 0.00
- -17.50
- 0.00
- 0.00
- Kotak Tech
- 5.80
- 52.41
- 42.32
- -24.75
- 49.01
- 94.82
- Birla Sun Life New Millennium
- 6.98
- 67.01
- 44.95
- -25.41
- 0.00
- 0.00
- Banking BeES
- 0.64
- 102.01
- 69.61
- 14.91
- 0.00
- 0.00
- Reliance Index Nifty
- 0.00
- 0.00
- 0.00
- 0.00
- 0.00
- 0.00
- Reliance Index Sensex
- 0.00
- 0.00
- 0.00
- 0.00
- 0.00
- 0.00
- Reliance Diversified Power Sector
- 4.25
- 72.86
- 71.92
- 4.53
- 0.00
- 0.00
- UTI Petro
- 5.51
- 58.33
- 61.46
- -6.50
- 0.00
- 0.00
- Reliance Media & Entertainment
- 6.06
- 71.27
- 63.81
- -16.92
- 0.00
- 0.00
- DSPML Top 100 Equity
- 5.13
- 53.11
- 52.86
- 17.90
- 251.36
- 0.00
- Birla Dividend Yield Plus
- 5.53
- 57.95
- 57.74
- 14.26
- 164.80
- 0.00
- Sahara Infrastructure Variable Pricing
- 8.57
- 83.41
- 82.42
- 11.47
- 0.00
- 0.00
- Canequity-Tax Saver
- 2.35
- 79.94
- 74.87
- 9.85
- 35.30
- 61.71
- Sahara Tax Gain
- 8.16
- 73.51
- 64.96
- 7.85
- -58.34
- 0.00
- Sundaram BNP Paribas Taxsaver
- 4.86
- 67.97
- 57.62
- 5.37
- 0.00
- 48.34
- Birla Asset Allocation Moderate
- 4.49
- 34.17
- 32.98
- 11.31
- 134.42
- 0.00
- Birla Sun Life'95
- 4.47
- 57.34
- 59.98
- 9.23
- 0.00
- 0.00
- HDFC Prudence
- 3.01
- 64.39
- 58.29
- 7.72
- 212.79
- 0.00
- Optimix Asset Allocator MMFoF
- 5.05
- 53.13
- 33.10
- 23.85
- 0.00
- 0.00
- FT India Dynamic PE Ratio FoF
- 1.72
- 49.77
- 47.28
- 7.24
- 177.69
- 0.00
- Kotak Flexi FOF Series I
- 0.00
- 0.46
- 2.23
- 6.59
- 0.00
- 0.00
- Reliance Banking
- 1.08
- 93.08
- 66.79
- 20.80
- 264.43
- 0.00
- UTI Banking Sector
- 0.61
- 82.41
- 62.08
- 14.54
- 0.00
- 0.00
- JM Auto Sector
- 5.51
- 89.00
- 108.83
- 10.98
- 0.00
- 0.00
- UTI Auto Sector
- 9.02
- 62.26
- 71.27
- 10.30
- 0.00
- 0.00
- Franklin FMCG
- 3.98
- 27.01
- 28.31
- -2.58
- 165.10
- 235.67
- Magnum FMCG
- 4.23
- 27.37
- 27.04
- -7.38
- 61.57
- 132.70
- Prudential ICICI FMCG
- 5.31
- 24.36
- 24.32
- -20.70
- 243.82
- 324.49
- Cancigo
- 0.55
- 15.02
- 25.56
- 18.30
- 96.03
- 0.00
- Reliance Regular Savings Hybrid
- 4.73
- 67.33
- 65.25
- 14.03
- 0.00
- 0.00
- UTI Mahila Unit Scheme-Gift
- 1.55
- 15.02
- 17.39
- 12.31
- 125.93
- 0.00
- Reliance MIP
- 1.59
- 15.09
- 20.20
- 23.61
- 78.32
- 0.00
- Birla MIP
- 0.66
- 16.25
- 21.99
- 19.95
- 51.11
- 92.90
- HDFC MIP Long-term
- 1.25
- 21.07
- 26.15
- 15.01
- 81.84
- 0.00
- Reliance Pharma
- 3.08
- 51.54
- 48.41
- 10.68
- 0.00
- 0.00
- Franklin Pharma
- 1.39
- 40.51
- 42.59
- 0.41
- 85.82
- 199.49
- UTI Pharma & Healthcare
- 0.09
- 27.43
- 22.85
- -9.74
- 0.00
- 0.00
- Escorts Floating Rate
- 0.23
- 2.23
- 4.82
- 9.84
- 0.00
- 0.00
- LICMF Floating Rate ST
- 0.14
- 1.54
- 3.88
- 9.13
- 0.00
- 0.00
- UTI Floating Rate ST
- 0.10
- 1.68
- 3.87
- 9.01
- 0.00
- 0.00
- Escorts Liquid
- 0.23
- 2.39
- 4.82
- 9.95
- 0.00
- 0.00
- JM Money Manager Super
- 0.16
- 1.89
- 4.12
- 9.57
- 0.00
- 0.00
- Sahara Liquid Fixed Pricing
- 0.13
- 1.88
- 4.18
- 8.90
- 999.99
- 999.99
- Prudential ICICI Short-term
- -0.05
- 2.41
- 8.57
- 16.09
- 53.10
- 16.80
- JM Short-term
- 0.00
- 2.13
- 5.82
- 15.97
- 52.52
- 0.00
- HDFC Short-term
- -0.18
- 2.64
- 9.83
- 14.61
- 48.57
- 70.15
- HDFC Floating Rate Income LT
- 0.20
- 2.18
- 4.54
- 9.66
- 42.13
- 0.00
- Templeton Floating Rate LT
- 0.12
- 1.83
- 4.47
- 8.91
- 41.37
- 59.86
- Birla Floating Rate LT
- 0.14
- 1.92
- 3.92
- 8.72
- 42.32
- 0.00
- Birla Dynamic Bond Retail
- -0.07
- 2.24
- 7.50
- 13.42
- 0.00
- 0.00
- Franklin India International
- -0.93
- -7.35
- -2.98
- 11.50
- 20.93
- 0.00
- Tata FHF Series 3 18 Months Plan G
- 0.08
- 2.15
- 5.37
- 9.87
- 0.00
- 0.00
- Prudential ICICI Gilt Treasury
- 0.26
- 2.31
- 10.33
- 22.35
- 52.55
- 77.32
- Tata GSF Short Maturity
- 0.09
- 0.75
- 3.88
- 11.95
- 36.96
- 0.00
- Magnum Gilt Short-term
- 0.06
- -0.49
- 3.71
- 10.87
- 36.34
- 56.55
- Prudential ICICI Gilt Investment
- 0.44
- 6.35
- 9.41
- 41.36
- 78.40
- 100.31
- JM G-Sec Regular Plan
- 0.07
- 3.23
- 6.39
- 31.43
- 47.85
- 84.75
- Escorts Gilt
- -0.29
- 2.93
- 11.00
- 31.23
- 48.43
- 78.30
- CanIncome
- 0.16
- 3.56
- 10.58
- 30.87
- 68.24
- 0.00
- Prudential ICICI Income
- 0.77
- 4.46
- 10.45
- 23.49
- 49.24
- 81.41
- Kotak Twin Advantage Series II
- 0.45
- 20.95
- 21.83
- 19.42
- 0.00
- 0.00






