Mutual Funds - Top Performers
DSP Floater Fund Regular Growth
Asset Size (Cr) : 449.10
-
Nav
13.66
-
1M
0.44%
-
3M
0.89%
-
6M
2.49%
-
1Y
7.09%
-
3Y
8.08%
-
5Y
%
Kotak Floating Rate Fund Regular Growth
Asset Size (Cr) : 3368.00
-
Nav
1575.38
-
1M
0.64%
-
3M
1.36%
-
6M
3.11%
-
1Y
7.97%
-
3Y
7.92%
-
5Y
6.58%
HDFC Floating Rate Debt - Plan - Growth
Asset Size (Cr) : 16223.66
-
Nav
51.93
-
1M
0.58%
-
3M
1.24%
-
6M
2.99%
-
1Y
7.52%
-
3Y
7.91%
-
5Y
6.60%
SBI Fixed Maturity Plan Series 1 3668 Days Regular Growth
Asset Size (Cr) : 49.53
-
Nav
16.53
-
1M
-0.63%
-
3M
-0.07%
-
6M
4.17%
-
1Y
8.13%
-
3Y
8.00%
-
5Y
6.34%
Nippon India Fixed Maturity Plan - XLIII - Series 5 Regular Growth
Asset Size (Cr) : 180.33
-
Nav
12.68
-
1M
-0.59%
-
3M
0.17%
-
6M
4.01%
-
1Y
7.99%
-
3Y
7.89%
-
5Y
%
SBI Fixed Maturity Plan Series 6 3668 Days Regular Growth
Asset Size (Cr) : 35.81
-
Nav
16.05
-
1M
-0.66%
-
3M
-0.19%
-
6M
4.03%
-
1Y
7.86%
-
3Y
7.79%
-
5Y
6.10%
360 ONE Dynamic Bond Fund Regular Growth
Asset Size (Cr) : 645.92
-
Nav
23.50
-
1M
0.73%
-
3M
1.11%
-
6M
3.32%
-
1Y
8.37%
-
3Y
8.46%
-
5Y
7.05%
Nippon India Dynamic Bond Fund - Growth
Asset Size (Cr) : 4077.62
-
Nav
38.35
-
1M
0.89%
-
3M
0.73%
-
6M
2.04%
-
1Y
6.67%
-
3Y
7.65%
-
5Y
6.11%
ICICI Prudential All Seasons Bond Fund Growth
Asset Size (Cr) : 14826.27
-
Nav
37.93
-
1M
0.35%
-
3M
0.75%
-
6M
2.28%
-
1Y
6.44%
-
3Y
7.49%
-
5Y
6.42%
Aditya Birla Sun Life Savings Fund Growth
Asset Size (Cr) : 23785.34
-
Nav
569.94
-
1M
0.57%
-
3M
1.38%
-
6M
3.04%
-
1Y
7.17%
-
3Y
7.41%
-
5Y
6.30%
Aditya Birla Sun Life Savings Fund Fund Retail Growth
Asset Size (Cr) : 23785.34
-
Nav
551.52
-
1M
0.57%
-
3M
1.38%
-
6M
3.04%
-
1Y
7.17%
-
3Y
7.41%
-
5Y
6.30%
Mirae Asset Ultra Short Duration Fund Regular Growth
Asset Size (Cr) : 2067.19
-
Nav
1357.96
-
1M
0.54%
-
3M
1.36%
-
6M
2.94%
-
1Y
6.92%
-
3Y
7.26%
-
5Y
6.08%
Baroda BNP Paribas Corporate Bond Fund Growth
Asset Size (Cr) : 482.08
-
Nav
32.96
-
1M
0.52%
-
3M
0.78%
-
6M
2.70%
-
1Y
7.79%
-
3Y
7.79%
-
5Y
5.80%
Baroda BNP Paribas Corporate Bond Fund Regular Plan Growth
Asset Size (Cr) : 482.08
-
Nav
28.48
-
1M
0.52%
-
3M
0.78%
-
6M
2.70%
-
1Y
7.79%
-
3Y
7.79%
-
5Y
5.71%
ICICI Prudential Corporate Bond Fund Growth
Asset Size (Cr) : 33250.07
-
Nav
30.93
-
1M
0.49%
-
3M
0.93%
-
6M
2.83%
-
1Y
7.45%
-
3Y
7.75%
-
5Y
6.54%
HDFC Short Term Debt Fund Growth
Asset Size (Cr) : 18411.94
-
Nav
33.20
-
1M
0.58%
-
3M
0.99%
-
6M
2.80%
-
1Y
7.42%
-
3Y
7.71%
-
5Y
6.32%
ICICI Prudential Short Term Fund Growth
Asset Size (Cr) : 22707.35
-
Nav
62.43
-
1M
0.50%
-
3M
1.02%
-
6M
2.87%
-
1Y
7.54%
-
3Y
7.67%
-
5Y
6.48%
Axis Short Duration Fund Growth
Asset Size (Cr) : 11708.64
-
Nav
32.07
-
1M
0.57%
-
3M
1.00%
-
6M
2.78%
-
1Y
7.69%
-
3Y
7.56%
-
5Y
6.16%
Bandhan Gilt Fund with 10 year constant duration Fund - Reg - Growth
Asset Size (Cr) : 337.85
-
Nav
47.05
-
1M
0.58%
-
3M
1.07%
-
6M
2.85%
-
1Y
7.24%
-
3Y
8.24%
-
5Y
5.79%
ICICI Prudential Constant Maturity Gilt Growth
Asset Size (Cr) : 2508.74
-
Nav
25.36
-
1M
0.52%
-
3M
0.94%
-
6M
2.53%
-
1Y
7.06%
-
3Y
8.14%
-
5Y
6.00%
SBI Constant Maturity 10-Year Gilt Fund Regular Growth
Asset Size (Cr) : 1835.68
-
Nav
65.10
-
1M
0.40%
-
3M
0.62%
-
6M
2.26%
-
1Y
6.18%
-
3Y
7.73%
-
5Y
5.73%
Motilal Oswal 5 Year G-Sec Fund of Fund Regular Growth
Asset Size (Cr) : 49.61
-
Nav
12.84
-
1M
0.45%
-
3M
0.81%
-
6M
2.13%
-
1Y
7.91%
-
3Y
7.53%
-
5Y
%
Motilal Oswal 5 Year G-Sec Fund of Fund Regular Growth
Asset Size (Cr) : 47.43
-
Nav
12.84
-
1M
0.45%
-
3M
0.81%
-
6M
2.13%
-
1Y
7.91%
-
3Y
7.53%
-
5Y
%
ICICI Prudential Gilt Fund Growth
Asset Size (Cr) : 9240.09
-
Nav
104.67
-
1M
0.17%
-
3M
0.51%
-
6M
1.78%
-
1Y
5.74%
-
3Y
7.50%
-
5Y
6.19%
UTI Money Market Fund - Regular Plan - Growth Option
Asset Size (Cr) : 20008.46
-
Nav
3207.28
-
1M
0.56%
-
3M
1.44%
-
6M
2.98%
-
1Y
7.26%
-
3Y
7.50%
-
5Y
6.32%
ICICI Prudential Money Market Fund Regular Growth
Asset Size (Cr) : 31850.85
-
Nav
394.75
-
1M
0.58%
-
3M
1.49%
-
6M
2.99%
-
1Y
7.28%
-
3Y
7.48%
-
5Y
6.26%
Axis Money Market Fund Regular Growth
Asset Size (Cr) : 22669.60
-
Nav
1488.23
-
1M
0.57%
-
3M
1.45%
-
6M
2.98%
-
1Y
7.25%
-
3Y
7.47%
-
5Y
6.27%
Aditya Birla Sun Life Long Duration Fund Regular Growth
Asset Size (Cr) : 152.22
-
Nav
12.80
-
1M
0.18%
-
3M
-0.13%
-
6M
0.90%
-
1Y
3.82%
-
3Y
7.11%
-
5Y
%
SBI Long Duration Fund Regular Growth
Asset Size (Cr) : 1859.79
-
Nav
12.34
-
1M
-0.01%
-
3M
0.13%
-
6M
1.42%
-
1Y
2.76%
-
3Y
6.99%
-
5Y
%
ICICI Prudential Long Term Bond Fund Growth
Asset Size (Cr) : 1010.73
-
Nav
89.97
-
1M
-0.07%
-
3M
-0.22%
-
6M
0.63%
-
1Y
3.68%
-
3Y
6.95%
-
5Y
4.94%
Bandhan US Treasury Bond 0-1 year Specific Debt Passive FOF Regular Growth
Asset Size (Cr) : 135.23
-
Nav
12.51
-
1M
0.85%
-
3M
3.20%
-
6M
5.44%
-
1Y
8.47%
-
3Y
%
-
5Y
%
Aditya Birla Sun Life US Treasury 3-10 Year Bond ETFs PASSIVE FoF Regular Growth
Asset Size (Cr) : 180.94
-
Nav
12.56
-
1M
1.60%
-
3M
3.62%
-
6M
6.64%
-
1Y
12.45%
-
3Y
%
-
5Y
%
Aditya Birla Sun Life US Treasury 1-3 year Bond ETFs PASSIVE FoF Regular Growth
Asset Size (Cr) : 92.25
-
Nav
12.17
-
1M
1.15%
-
3M
3.45%
-
6M
5.95%
-
1Y
9.72%
-
3Y
%
-
5Y
%
ICICI Prudential Savings Fund Growth
Asset Size (Cr) : 31616.30
-
Nav
566.10
-
1M
0.58%
-
3M
1.37%
-
6M
3.12%
-
1Y
7.50%
-
3Y
7.75%
-
5Y
6.39%
HSBC Low Duration Fund Growth
Asset Size (Cr) : 1269.89
-
Nav
29.73
-
1M
0.54%
-
3M
1.25%
-
6M
2.77%
-
1Y
8.31%
-
3Y
7.65%
-
5Y
6.18%
UTI - Low Duration Fund - Regular Plan - Growth Option
Asset Size (Cr) : 2964.60
-
Nav
3688.67
-
1M
0.58%
-
3M
1.33%
-
6M
3.02%
-
1Y
7.35%
-
3Y
7.41%
-
5Y
7.25%
DSP Credit Risk Fund Regular Growth
Asset Size (Cr) : 205.76
-
Nav
50.26
-
1M
-1.18%
-
3M
-0.60%
-
6M
0.82%
-
1Y
18.80%
-
3Y
14.05%
-
5Y
10.81%
Aditya Birla Sun Life Credit Risk Fund Regular Plan Growth
Asset Size (Cr) : 1091.72
-
Nav
24.29
-
1M
0.69%
-
3M
4.86%
-
6M
7.52%
-
1Y
13.17%
-
3Y
12.01%
-
5Y
9.90%
HSBC Credit Risk Fund Regular Plan Growth
Asset Size (Cr) : 523.45
-
Nav
33.40
-
1M
0.56%
-
3M
1.15%
-
6M
2.77%
-
1Y
20.05%
-
3Y
11.09%
-
5Y
8.57%
ICICI Prudential Banking and PSU Debt Fund Growth
Asset Size (Cr) : 9583.50
-
Nav
33.88
-
1M
0.49%
-
3M
0.90%
-
6M
2.81%
-
1Y
7.12%
-
3Y
7.52%
-
5Y
6.36%
Kotak Banking and PSU Debt Growth
Asset Size (Cr) : 5608.26
-
Nav
67.74
-
1M
0.58%
-
3M
0.86%
-
6M
2.95%
-
1Y
7.32%
-
3Y
7.51%
-
5Y
6.21%
Franklin India Banking & PSU Debt Fund Growth
Asset Size (Cr) : 485.44
-
Nav
23.34
-
1M
0.70%
-
3M
1.30%
-
6M
3.25%
-
1Y
7.78%
-
3Y
7.46%
-
5Y
6.08%
ICICI Prudential Bond Fund Growth
Asset Size (Cr) : 2916.99
-
Nav
40.98
-
1M
0.20%
-
3M
0.45%
-
6M
1.84%
-
1Y
5.70%
-
3Y
7.44%
-
5Y
5.98%
LIC MF Medium to Long Duration Fund Growth
Asset Size (Cr) : 200.91
-
Nav
73.62
-
1M
0.37%
-
3M
0.48%
-
6M
1.44%
-
1Y
5.58%
-
3Y
7.11%
-
5Y
5.41%
JM Medium to Long Dur Fund - Growth
Asset Size (Cr) : 30.60
-
Nav
63.39
-
1M
0.50%
-
3M
0.59%
-
6M
1.91%
-
1Y
5.99%
-
3Y
7.01%
-
5Y
4.92%
ICICI Prudential Fixed Maturity Plan 85 10 Years I Regular Cumulative
Asset Size (Cr) : 468.69
-
Nav
16.82
-
1M
-0.75%
-
3M
-0.21%
-
6M
3.98%
-
1Y
7.87%
-
3Y
7.96%
-
5Y
6.27%
SBI Fixed Maturity Plan Series 34 3682 Days Regular Growth
Asset Size (Cr) : 28.48
-
Nav
13.89
-
1M
-0.81%
-
3M
-0.60%
-
6M
3.92%
-
1Y
7.76%
-
3Y
7.88%
-
5Y
6.00%
Bandhan Fixed Term Plan Series 179 Regular Growth
Asset Size (Cr) : 334.47
-
Nav
16.81
-
1M
-0.80%
-
3M
-0.17%
-
6M
3.99%
-
1Y
7.87%
-
3Y
7.86%
-
5Y
6.26%
Aditya Birla Sun Life Medium Term Plan Regular Plan Growth
Asset Size (Cr) : 2904.91
-
Nav
42.23
-
1M
0.54%
-
3M
2.85%
-
6M
5.06%
-
1Y
10.16%
-
3Y
10.08%
-
5Y
12.29%
Nippon India Medium Duration Fund Growth Option
Asset Size (Cr) : 135.57
-
Nav
16.34
-
1M
0.66%
-
3M
1.05%
-
6M
2.85%
-
1Y
9.40%
-
3Y
8.40%
-
5Y
8.96%
Kotak Medium Term Regular Growth
Asset Size (Cr) : 2014.86
-
Nav
23.83
-
1M
0.82%
-
3M
1.38%
-
6M
4.10%
-
1Y
8.85%
-
3Y
8.28%
-
5Y
6.68%
Aditya BSL Fixed Term Plan Series TQ Regular Growth
Asset Size (Cr) : 223.76
-
Nav
12.50
-
1M
0.22%
-
3M
1.09%
-
6M
4.23%
-
1Y
8.07%
-
3Y
7.64%
-
5Y
%
Nippon India Interval Fund-Quarterly Interval Fund-Series-II- Growth
Asset Size (Cr) : 14.28
-
Nav
36.37
-
1M
0.51%
-
3M
1.43%
-
6M
3.03%
-
1Y
6.49%
-
3Y
6.94%
-
5Y
5.57%










