Equity: Large Cap
|
| Nippon India Large Cap Fund- Growth Plan -Growth Option |
08-08-2007 |
50,875.68
|
1.49
|
-3.05
|
1.11
|
10.51
|
19.11
|
19.65
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹97,623.60
|
₹1,00,000.00
|
₹1,01,212.02
|
₹1,00,000.00
|
₹1,09,156.67
|
₹1,00,000.00
|
₹1,67,982.38
|
₹1,00,000.00
|
₹2,34,368.27
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹14,567.43
|
₹30,000.00
|
₹29,658.84
|
₹60,000.00
|
₹61,803.99
|
₹1,80,000.00
|
₹2,16,620.71
|
₹3,00,000.00
|
₹4,44,797.97
|
|
| ICICI Prudential Large Cap Fund (erstwhile Bluechip Fund) - Growth |
05-05-2008 |
78,501.91
|
1.41
|
-2.11
|
1.43
|
10.35
|
17.86
|
17.46
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹98,346.38
|
₹1,00,000.00
|
₹1,01,858.43
|
₹1,00,000.00
|
₹1,09,093.56
|
₹1,00,000.00
|
₹1,63,202.45
|
₹1,00,000.00
|
₹2,13,867.64
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹14,572.40
|
₹30,000.00
|
₹29,824.45
|
₹60,000.00
|
₹61,918.73
|
₹1,80,000.00
|
₹2,17,207.20
|
₹3,00,000.00
|
₹4,32,810.41
|
|
| HDFC Large Cap Fund - Growth Option - Regular Plan |
01-10-1996 |
40,604.33
|
1.57
|
-1.90
|
0.96
|
7.64
|
15.71
|
16.70
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹98,853.99
|
₹1,00,000.00
|
₹1,01,444.15
|
₹1,00,000.00
|
₹1,06,436.09
|
₹1,00,000.00
|
₹1,54,322.10
|
₹1,00,000.00
|
₹2,06,337.65
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹14,655.32
|
₹30,000.00
|
₹29,890.73
|
₹60,000.00
|
₹61,443.53
|
₹1,80,000.00
|
₹2,08,419.28
|
₹3,00,000.00
|
₹4,15,426.58
|
|
| Tata Large Cap Fund -Regular Plan - Growth Option |
07-05-1998 |
2,839.56
|
1.99
|
-2.19
|
3.06
|
8.98
|
15.42
|
15.48
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹98,216.40
|
₹1,00,000.00
|
₹1,03,475.00
|
₹1,00,000.00
|
₹1,07,909.31
|
₹1,00,000.00
|
₹1,53,090.32
|
₹1,00,000.00
|
₹1,95,435.44
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹14,615.34
|
₹30,000.00
|
₹30,046.23
|
₹60,000.00
|
₹62,063.06
|
₹1,80,000.00
|
₹2,10,366.78
|
₹3,00,000.00
|
₹4,05,443.81
|
|
| Aditya Birla Sun Life Large Cap Fund-Growth |
05-08-2002 |
31,386.27
|
1.62
|
-2.54
|
0.95
|
9.61
|
15.70
|
15.19
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹98,168.98
|
₹1,00,000.00
|
₹1,01,124.05
|
₹1,00,000.00
|
₹1,08,623.91
|
₹1,00,000.00
|
₹1,54,435.70
|
₹1,00,000.00
|
₹1,94,275.46
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹14,596.18
|
₹30,000.00
|
₹29,818.11
|
₹60,000.00
|
₹61,762.78
|
₹1,80,000.00
|
₹2,12,062.69
|
₹3,00,000.00
|
₹4,09,518.48
|
|
| Kotak Large Cap Fund - Growth |
29-12-1998 |
11,086.61
|
1.73
|
-1.93
|
1.79
|
10.00
|
15.61
|
14.88
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹98,578.80
|
₹1,00,000.00
|
₹1,02,046.25
|
₹1,00,000.00
|
₹1,08,907.30
|
₹1,00,000.00
|
₹1,53,638.34
|
₹1,00,000.00
|
₹1,92,355.80
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹14,657.29
|
₹30,000.00
|
₹29,985.51
|
₹60,000.00
|
₹62,160.95
|
₹1,80,000.00
|
₹2,12,956.63
|
₹3,00,000.00
|
₹4,08,919.31
|
|
| SBI Large Cap FUND-REGULAR PLAN GROWTH |
01-02-2006 |
55,879.13
|
1.47
|
-0.93
|
1.92
|
9.95
|
14.72
|
14.74
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹99,680.23
|
₹1,00,000.00
|
₹1,02,252.68
|
₹1,00,000.00
|
₹1,09,021.24
|
₹1,00,000.00
|
₹1,50,327.45
|
₹1,00,000.00
|
₹1,89,446.27
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹14,789.25
|
₹30,000.00
|
₹30,233.48
|
₹60,000.00
|
₹62,422.81
|
₹1,80,000.00
|
₹2,11,229.41
|
₹3,00,000.00
|
₹4,05,502.23
|
|
| DSP Large Cap Fund - Regular Plan - Growth |
05-03-2003 |
7,284.55
|
1.82
|
-1.86
|
0.57
|
8.34
|
17.90
|
14.69
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹98,965.40
|
₹1,00,000.00
|
₹1,01,067.03
|
₹1,00,000.00
|
₹1,07,258.41
|
₹1,00,000.00
|
₹1,63,192.99
|
₹1,00,000.00
|
₹1,91,242.18
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹14,681.36
|
₹30,000.00
|
₹29,879.08
|
₹60,000.00
|
₹61,313.75
|
₹1,80,000.00
|
₹2,16,970.08
|
₹3,00,000.00
|
₹4,21,773.63
|
|
| BARODA BNP PARIBAS LARGE CAP Fund- Regular Plan - Growth Option |
23-09-2004 |
2,702.11
|
1.98
|
-1.54
|
0.74
|
7.20
|
15.94
|
14.67
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹98,963.22
|
₹1,00,000.00
|
₹1,01,214.32
|
₹1,00,000.00
|
₹1,05,948.67
|
₹1,00,000.00
|
₹1,55,431.86
|
₹1,00,000.00
|
₹1,90,089.12
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹14,668.59
|
₹30,000.00
|
₹29,900.54
|
₹60,000.00
|
₹61,405.18
|
₹1,80,000.00
|
₹2,09,587.50
|
₹3,00,000.00
|
₹4,08,266.23
|
|
| BANDHAN Large Cap Fund - Regular Plan - Growth |
09-06-2006 |
2,050.87
|
2.02
|
-3.18
|
0.95
|
10.84
|
17.55
|
14.64
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹97,584.24
|
₹1,00,000.00
|
₹1,01,338.32
|
₹1,00,000.00
|
₹1,10,002.40
|
₹1,00,000.00
|
₹1,61,993.25
|
₹1,00,000.00
|
₹1,89,717.28
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹14,545.35
|
₹30,000.00
|
₹29,839.90
|
₹60,000.00
|
₹62,192.62
|
₹1,80,000.00
|
₹2,15,567.26
|
₹3,00,000.00
|
₹4,14,488.13
|
|
Equity: Mid Cap
|
| Motilal Oswal Midcap Fund-Regular Plan-Growth Option |
02-02-2014 |
36,880.18
|
1.55
|
-12.54
|
-9.68
|
-2.59
|
22.92
|
25.79
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹88,456.79
|
₹1,00,000.00
|
₹90,277.90
|
₹1,00,000.00
|
₹95,722.26
|
₹1,00,000.00
|
₹1,83,664.97
|
₹1,00,000.00
|
₹3,07,044.45
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹13,521.53
|
₹30,000.00
|
₹27,037.50
|
₹60,000.00
|
₹55,852.96
|
₹1,80,000.00
|
₹2,11,462.54
|
₹3,00,000.00
|
₹4,78,341.17
|
|
| HDFC Mid Cap Fund - Growth Plan |
25-06-2007 |
92,641.55
|
1.36
|
-0.67
|
2.79
|
13.74
|
26.08
|
25.23
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹99,801.78
|
₹1,00,000.00
|
₹1,03,364.07
|
₹1,00,000.00
|
₹1,12,677.76
|
₹1,00,000.00
|
₹1,96,850.69
|
₹1,00,000.00
|
₹2,99,932.65
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹14,811.44
|
₹30,000.00
|
₹30,394.40
|
₹60,000.00
|
₹64,004.96
|
₹1,80,000.00
|
₹2,34,124.48
|
₹3,00,000.00
|
₹5,09,114.88
|
|
| Edelweiss Mid Cap Fund - Regular Plan - Growth Option |
26-12-2007 |
13,650.47
|
1.67
|
-1.49
|
2.00
|
12.15
|
26.50
|
24.12
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹98,838.67
|
₹1,00,000.00
|
₹1,02,528.94
|
₹1,00,000.00
|
₹1,10,629.88
|
₹1,00,000.00
|
₹1,99,361.15
|
₹1,00,000.00
|
₹2,85,368.72
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹14,697.96
|
₹30,000.00
|
₹30,040.11
|
₹60,000.00
|
₹63,039.12
|
₹1,80,000.00
|
₹2,36,086.99
|
₹3,00,000.00
|
₹4,95,599.92
|
|
| NIPPON INDIA GROWTH MID CAP FUND - Growth Plan-Growth Option |
05-10-1995 |
42,124.5
|
1.54
|
-3.11
|
0.08
|
11.58
|
25.42
|
24.06
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹97,441.52
|
₹1,00,000.00
|
₹1,00,604.26
|
₹1,00,000.00
|
₹1,09,983.56
|
₹1,00,000.00
|
₹1,94,546.77
|
₹1,00,000.00
|
₹2,85,061.08
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹14,628.45
|
₹30,000.00
|
₹29,721.55
|
₹60,000.00
|
₹62,275.36
|
₹1,80,000.00
|
₹2,28,733.51
|
₹3,00,000.00
|
₹4,88,901.01
|
|
| Mahindra Manulife Mid Cap Fund - Regular Plan - Growth |
05-01-2018 |
4,294.84
|
1.84
|
-1.79
|
1.08
|
8.96
|
24.74
|
23.17
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹98,477.23
|
₹1,00,000.00
|
₹1,01,744.94
|
₹1,00,000.00
|
₹1,07,556.98
|
₹1,00,000.00
|
₹1,90,175.79
|
₹1,00,000.00
|
₹2,76,968.60
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹14,719.91
|
₹30,000.00
|
₹29,995.19
|
₹60,000.00
|
₹62,143.89
|
₹1,80,000.00
|
₹2,22,911.16
|
₹3,00,000.00
|
₹4,68,911.64
|
|
| Invesco India Midcap Fund - Growth Option |
19-04-2007 |
10,296.36
|
1.72
|
-7.75
|
-4.62
|
12.63
|
25.73
|
22.24
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹92,996.11
|
₹1,00,000.00
|
₹95,925.08
|
₹1,00,000.00
|
₹1,11,177.15
|
₹1,00,000.00
|
₹1,96,460.78
|
₹1,00,000.00
|
₹2,66,501.47
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹13,940.51
|
₹30,000.00
|
₹28,343.81
|
₹60,000.00
|
₹60,881.65
|
₹1,80,000.00
|
₹2,33,997.19
|
₹3,00,000.00
|
₹4,87,911.55
|
|
| ICICI Prudential MidCap Fund - Growth |
10-10-2004 |
7,132.04
|
1.85
|
-1.02
|
2.41
|
16.72
|
23.39
|
22.15
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹99,627.25
|
₹1,00,000.00
|
₹1,03,571.79
|
₹1,00,000.00
|
₹1,14,874.62
|
₹1,00,000.00
|
₹1,85,129.20
|
₹1,00,000.00
|
₹2,64,540.85
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹14,776.81
|
₹30,000.00
|
₹30,395.97
|
₹60,000.00
|
₹64,585.14
|
₹1,80,000.00
|
₹2,34,697.80
|
₹3,00,000.00
|
₹4,77,949.99
|
|
| Sundaram Mid Cap Fund Regular Plan - Growth |
01-07-2002 |
13,292.89
|
1.73
|
-3.56
|
1.12
|
11.53
|
24.99
|
21.93
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹96,907.00
|
₹1,00,000.00
|
₹1,01,465.13
|
₹1,00,000.00
|
₹1,09,607.62
|
₹1,00,000.00
|
₹1,92,463.79
|
₹1,00,000.00
|
₹2,69,673.02
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹14,505.96
|
₹30,000.00
|
₹29,693.92
|
₹60,000.00
|
₹62,567.63
|
₹1,80,000.00
|
₹2,29,749.53
|
₹3,00,000.00
|
₹4,80,202.76
|
|
| HSBC Midcap Fund - Regular Growth |
09-08-2004 |
12,439.62
|
1.72
|
-2.58
|
2.07
|
14.19
|
24.82
|
20.43
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹98,286.99
|
₹1,00,000.00
|
₹1,02,137.29
|
₹1,00,000.00
|
₹1,11,887.24
|
₹1,00,000.00
|
₹1,91,593.09
|
₹1,00,000.00
|
₹2,48,738.12
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹14,652.39
|
₹30,000.00
|
₹29,865.92
|
₹60,000.00
|
₹63,458.11
|
₹1,80,000.00
|
₹2,30,456.70
|
₹3,00,000.00
|
₹4,71,835.19
|
|
| Tata Mid Cap Fund Regular Plan- Growth Option |
01-07-1994 |
5,497.27
|
1.83
|
-1.81
|
0.36
|
9.97
|
22.66
|
20.20
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹98,449.91
|
₹1,00,000.00
|
₹1,01,319.55
|
₹1,00,000.00
|
₹1,08,208.91
|
₹1,00,000.00
|
₹1,81,022.98
|
₹1,00,000.00
|
₹2,44,341.73
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹14,587.05
|
₹30,000.00
|
₹29,849.52
|
₹60,000.00
|
₹62,583.97
|
₹1,80,000.00
|
₹2,18,994.00
|
₹3,00,000.00
|
₹4,48,049.70
|
|
Equity: Multi Cap
|
| Nippon India Multi Cap Fund-Growth Plan-Growth Option |
25-03-2005 |
50,352.17
|
1.49
|
-6.17
|
-4.27
|
7.78
|
21.33
|
24.26
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹94,631.73
|
₹1,00,000.00
|
₹96,104.75
|
₹1,00,000.00
|
₹1,06,269.34
|
₹1,00,000.00
|
₹1,76,391.30
|
₹1,00,000.00
|
₹2,84,719.98
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹14,263.91
|
₹30,000.00
|
₹28,698.62
|
₹60,000.00
|
₹59,947.03
|
₹1,80,000.00
|
₹2,13,824.72
|
₹3,00,000.00
|
₹4,62,116.15
|
|
| Mahindra Manulife Multi Cap Fund - Regular Plan - Growth |
05-05-2017 |
6,132.78
|
1.77
|
-2.84
|
-1.01
|
11.02
|
21.13
|
21.02
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹97,498.32
|
₹1,00,000.00
|
₹99,778.33
|
₹1,00,000.00
|
₹1,09,599.62
|
₹1,00,000.00
|
₹1,75,291.45
|
₹1,00,000.00
|
₹2,49,402.47
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹14,648.89
|
₹30,000.00
|
₹29,814.23
|
₹60,000.00
|
₹62,206.42
|
₹1,80,000.00
|
₹2,17,489.32
|
₹3,00,000.00
|
₹4,40,804.59
|
|
| ICICI Prudential Multicap Fund - Growth |
01-10-1994 |
16,263.09
|
1.73
|
-3.49
|
-2.07
|
6.18
|
19.83
|
19.11
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹97,245.73
|
₹1,00,000.00
|
₹98,575.06
|
₹1,00,000.00
|
₹1,04,994.66
|
₹1,00,000.00
|
₹1,70,569.67
|
₹1,00,000.00
|
₹2,30,157.37
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹14,596.20
|
₹30,000.00
|
₹29,525.95
|
₹60,000.00
|
₹60,824.78
|
₹1,80,000.00
|
₹2,15,108.77
|
₹3,00,000.00
|
₹4,38,042.84
|
|
| Baroda BNP Paribas MULTI CAP FUND - Regular Plan - Growth Option |
12-09-2003 |
3,142.21
|
1.96
|
-5.24
|
-2.32
|
2.74
|
17.95
|
18.72
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹95,012.76
|
₹1,00,000.00
|
₹97,956.33
|
₹1,00,000.00
|
₹1,01,418.33
|
₹1,00,000.00
|
₹1,62,381.72
|
₹1,00,000.00
|
₹2,27,673.00
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹14,289.35
|
₹30,000.00
|
₹28,999.92
|
₹60,000.00
|
₹59,902.61
|
₹1,80,000.00
|
₹2,09,339.61
|
₹3,00,000.00
|
₹4,20,323.08
|
|
| Sundaram Multi Cap Fund (Formerly Known as Principal Multi Cap Growth Fund)-Growth Option |
01-01-2013 |
2,907.68
|
1.98
|
-5.70
|
-2.07
|
7.08
|
17.46
|
17.28
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹94,771.87
|
₹1,00,000.00
|
₹98,369.59
|
₹1,00,000.00
|
₹1,05,693.22
|
₹1,00,000.00
|
₹1,60,847.70
|
₹1,00,000.00
|
₹2,21,959.18
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹14,272.28
|
₹30,000.00
|
₹29,021.01
|
₹60,000.00
|
₹60,628.98
|
₹1,80,000.00
|
₹2,10,606.16
|
₹3,00,000.00
|
₹4,13,996.21
|
|
| quant Multi Cap Fund-GROWTH OPTION - Regular Plan |
21-03-2001 |
8,148.42
|
1.78
|
-9.05
|
-7.55
|
-4.32
|
10.76
|
16.83
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹91,373.73
|
₹1,00,000.00
|
₹93,289.45
|
₹1,00,000.00
|
₹94,097.40
|
₹1,00,000.00
|
₹1,33,050.22
|
₹1,00,000.00
|
₹2,13,838.14
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹13,948.49
|
₹30,000.00
|
₹28,058.42
|
₹60,000.00
|
₹56,977.22
|
₹1,80,000.00
|
₹1,81,764.53
|
₹3,00,000.00
|
₹3,61,191.19
|
|
| Invesco India Multicap Fund - Growth Option |
17-03-2008 |
4,129.87
|
1.89
|
-8.91
|
-7.59
|
-2.47
|
15.93
|
15.86
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹91,947.70
|
₹1,00,000.00
|
₹93,007.43
|
₹1,00,000.00
|
₹95,954.03
|
₹1,00,000.00
|
₹1,54,173.62
|
₹1,00,000.00
|
₹2,02,458.32
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹13,949.20
|
₹30,000.00
|
₹27,960.92
|
₹60,000.00
|
₹57,148.76
|
₹1,80,000.00
|
₹1,99,204.96
|
₹3,00,000.00
|
₹3,95,197.83
|
|
Equity: Thematic-Others
|
| ICICI Prudential Commodities Fund - Growth Option |
05-10-2019 |
3,408.52
|
1.96
|
6.06
|
11.45
|
26.83
|
20.95
|
27.61
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹1,07,068.65
|
₹1,00,000.00
|
₹1,12,319.35
|
₹1,00,000.00
|
₹1,25,622.68
|
₹1,00,000.00
|
₹1,74,558.17
|
₹1,00,000.00
|
₹3,26,740.18
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹16,074.82
|
₹30,000.00
|
₹32,776.23
|
₹60,000.00
|
₹69,466.36
|
₹1,80,000.00
|
₹2,37,822.11
|
₹3,00,000.00
|
₹4,87,040.84
|
|
| ICICI Prudential India Opportunities Fund - Cumulative Option |
05-01-2019 |
34,778.96
|
1.57
|
0.22
|
4.40
|
13.70
|
23.21
|
26.74
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹1,00,675.49
|
₹1,00,000.00
|
₹1,05,046.52
|
₹1,00,000.00
|
₹1,12,500.00
|
₹1,00,000.00
|
₹1,85,835.41
|
₹1,00,000.00
|
₹3,15,228.43
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹14,909.21
|
₹30,000.00
|
₹30,659.52
|
₹60,000.00
|
₹63,734.11
|
₹1,80,000.00
|
₹2,32,819.34
|
₹3,00,000.00
|
₹5,02,601.61
|
|
| Franklin India Opportunities Fund - Growth |
05-02-2000 |
8,380.36
|
1.75
|
-5.49
|
-0.90
|
6.85
|
30.06
|
21.78
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹96,046.32
|
₹1,00,000.00
|
₹99,653.86
|
₹1,00,000.00
|
₹1,06,728.32
|
₹1,00,000.00
|
₹2,16,397.29
|
₹1,00,000.00
|
₹2,59,364.94
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹14,476.18
|
₹30,000.00
|
₹29,336.79
|
₹60,000.00
|
₹61,559.50
|
₹1,80,000.00
|
₹2,34,813.71
|
₹3,00,000.00
|
₹5,05,273.86
|
|
| Sundaram Services Fund Regular Plan - Growth |
21-09-2018 |
4,808.86
|
1.86
|
-5.25
|
-1.29
|
10.79
|
18.30
|
19.26
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹96,412.87
|
₹1,00,000.00
|
₹99,646.68
|
₹1,00,000.00
|
₹1,09,737.68
|
₹1,00,000.00
|
₹1,65,661.91
|
₹1,00,000.00
|
₹2,32,705.73
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹14,397.98
|
₹30,000.00
|
₹29,396.32
|
₹60,000.00
|
₹61,494.49
|
₹1,80,000.00
|
₹2,18,377.59
|
₹3,00,000.00
|
₹4,34,341.41
|
|
| Tata Ethical Fund-Regular Plan - Growth Option |
24-05-1996 |
3,817.44
|
1.9
|
-1.15
|
-0.34
|
1.37
|
11.80
|
13.39
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹99,459.94
|
₹1,00,000.00
|
₹1,00,244.29
|
₹1,00,000.00
|
₹99,987.65
|
₹1,00,000.00
|
₹1,38,884.40
|
₹1,00,000.00
|
₹1,84,089.96
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹14,779.63
|
₹30,000.00
|
₹29,810.61
|
₹60,000.00
|
₹60,767.44
|
₹1,80,000.00
|
₹1,94,995.03
|
₹3,00,000.00
|
₹3,69,892.32
|
|
Equity: ELSS
|
| HDFC ELSS Tax saver - Growth Plan |
05-03-1996 |
17,163.37
|
1.7
|
-2.88
|
1.46
|
10.88
|
21.14
|
21.18
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹97,694.07
|
₹1,00,000.00
|
₹1,01,658.41
|
₹1,00,000.00
|
₹1,10,156.95
|
₹1,00,000.00
|
₹1,76,680.08
|
₹1,00,000.00
|
₹2,51,728.53
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹14,624.22
|
₹30,000.00
|
₹29,778.42
|
₹60,000.00
|
₹61,921.43
|
₹1,80,000.00
|
₹2,24,511.68
|
₹3,00,000.00
|
₹4,67,833.11
|
|
| SBI ELSS Tax Saver FUND - REGULAR PLAN- GROWTH |
31-03-1993 |
32,608.8
|
1.57
|
-1.48
|
1.14
|
7.90
|
23.87
|
20.91
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹99,144.83
|
₹1,00,000.00
|
₹1,01,721.68
|
₹1,00,000.00
|
₹1,06,909.29
|
₹1,00,000.00
|
₹1,88,336.74
|
₹1,00,000.00
|
₹2,50,516.11
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹14,715.91
|
₹30,000.00
|
₹30,111.04
|
₹60,000.00
|
₹61,949.70
|
₹1,80,000.00
|
₹2,25,385.36
|
₹3,00,000.00
|
₹4,75,660.89
|
|
| Motilal Oswal ELSS Tax Saver Fund - Regular Plan - Growth Option |
05-01-2015 |
4,341.48
|
1.82
|
-8.20
|
-7.21
|
5.37
|
22.39
|
19.10
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹92,235.67
|
₹1,00,000.00
|
₹93,608.97
|
₹1,00,000.00
|
₹1,02,309.13
|
₹1,00,000.00
|
₹1,82,071.31
|
₹1,00,000.00
|
₹2,30,550.46
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹14,115.94
|
₹30,000.00
|
₹28,306.12
|
₹60,000.00
|
₹59,184.48
|
₹1,80,000.00
|
₹2,16,523.84
|
₹3,00,000.00
|
₹4,48,830.91
|
|
| DSP ELSS Tax Saver Fund - Regular Plan - Growth |
05-01-2007 |
17,609.03
|
1.62
|
-0.10
|
2.09
|
10.71
|
20.27
|
19.10
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹1,00,535.84
|
₹1,00,000.00
|
₹1,02,624.47
|
₹1,00,000.00
|
₹1,09,681.18
|
₹1,00,000.00
|
₹1,72,559.94
|
₹1,00,000.00
|
₹2,30,475.15
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹14,856.24
|
₹30,000.00
|
₹30,359.35
|
₹60,000.00
|
₹62,576.58
|
₹1,80,000.00
|
₹2,23,651.86
|
₹3,00,000.00
|
₹4,46,626.33
|
|
| Nippon India Tax Saver (ELSS) Fund-Growth Plan-Growth Option |
01-09-2005 |
15,260.3
|
1.7
|
-3.40
|
-0.85
|
10.14
|
17.62
|
18.39
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹97,215.58
|
₹1,00,000.00
|
₹99,528.78
|
₹1,00,000.00
|
₹1,08,913.01
|
₹1,00,000.00
|
₹1,61,519.04
|
₹1,00,000.00
|
₹2,21,907.61
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹14,591.35
|
₹30,000.00
|
₹29,606.55
|
₹60,000.00
|
₹61,560.86
|
₹1,80,000.00
|
₹2,13,233.37
|
₹3,00,000.00
|
₹4,24,255.57
|
|
| Franklin India ELSS Tax Saver Fund-Growth |
05-04-1999 |
6,693.46
|
1.82
|
-4.12
|
-1.78
|
5.80
|
18.31
|
17.88
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹96,529.08
|
₹1,00,000.00
|
₹98,663.24
|
₹1,00,000.00
|
₹1,04,641.65
|
₹1,00,000.00
|
₹1,64,328.42
|
₹1,00,000.00
|
₹2,18,733.35
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹14,494.57
|
₹30,000.00
|
₹29,417.72
|
₹60,000.00
|
₹60,404.41
|
₹1,80,000.00
|
₹2,11,877.72
|
₹3,00,000.00
|
₹4,25,690.07
|
|
| Parag Parikh ELSS Tax Saver Fund- Regular Growth |
07-07-2019 |
5,914.69
|
1.72
|
-4.32
|
-3.01
|
4.24
|
15.70
|
17.35
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹96,669.99
|
₹1,00,000.00
|
₹97,150.88
|
₹1,00,000.00
|
₹1,03,063.93
|
₹1,00,000.00
|
₹1,54,938.00
|
₹1,00,000.00
|
₹2,18,966.16
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹14,482.15
|
₹30,000.00
|
₹29,138.75
|
₹60,000.00
|
₹59,595.76
|
₹1,80,000.00
|
₹2,09,104.76
|
₹3,00,000.00
|
₹4,20,140.42
|
|
| HSBC ELSS Tax saver Fund - Regular Growth |
01-01-2013 |
4,108.91
|
1.92
|
-4.70
|
-1.93
|
7.06
|
19.81
|
16.72
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹95,789.37
|
₹1,00,000.00
|
₹98,590.39
|
₹1,00,000.00
|
₹1,05,562.61
|
₹1,00,000.00
|
₹1,70,325.04
|
₹1,00,000.00
|
₹2,09,064.55
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹14,420.59
|
₹30,000.00
|
₹29,258.54
|
₹60,000.00
|
₹60,858.82
|
₹1,80,000.00
|
₹2,16,324.28
|
₹3,00,000.00
|
₹4,27,261.77
|
|
| Mirae Asset ELSS Tax Saver Fund - Regular Plan - Growth |
01-12-2015 |
27,195.94
|
1.54
|
-3.32
|
0.81
|
11.81
|
17.35
|
16.47
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹97,275.67
|
₹1,00,000.00
|
₹1,01,353.55
|
₹1,00,000.00
|
₹1,10,658.62
|
₹1,00,000.00
|
₹1,60,741.39
|
₹1,00,000.00
|
₹2,05,685.47
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹14,516.67
|
₹30,000.00
|
₹29,746.62
|
₹60,000.00
|
₹62,325.36
|
₹1,80,000.00
|
₹2,15,801.47
|
₹3,00,000.00
|
₹4,18,470.74
|
|
| Invesco India ELSS Tax Saver Fund - Growth |
29-12-2006 |
2,770.83
|
1.92
|
-7.68
|
-4.81
|
0.83
|
16.61
|
13.54
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹93,216.89
|
₹1,00,000.00
|
₹95,490.65
|
₹1,00,000.00
|
₹99,539.98
|
₹1,00,000.00
|
₹1,57,984.87
|
₹1,00,000.00
|
₹1,82,979.71
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹14,131.02
|
₹30,000.00
|
₹28,441.65
|
₹60,000.00
|
₹58,609.44
|
₹1,80,000.00
|
₹2,02,793.29
|
₹3,00,000.00
|
₹3,89,798.69
|
|
Hybrid: Aggressive
|
| ICICI Prudential Equity & Debt Fund - Growth |
05-11-1999 |
49,640.8
|
1.52
|
-1.47
|
2.81
|
12.46
|
18.89
|
21.36
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹98,993.06
|
₹1,00,000.00
|
₹1,03,197.71
|
₹1,00,000.00
|
₹1,11,526.75
|
₹1,00,000.00
|
₹1,67,538.15
|
₹1,00,000.00
|
₹2,54,068.70
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹14,733.90
|
₹30,000.00
|
₹30,062.92
|
₹60,000.00
|
₹62,540.52
|
₹1,80,000.00
|
₹2,21,991.27
|
₹3,00,000.00
|
₹4,54,571.13
|
|
| UTI Aggressive Hybrid Fund - Regular Plan - Growth |
20-03-1995 |
6,757.91
|
1.86
|
-0.09
|
1.96
|
7.97
|
16.59
|
16.52
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹1,00,313.78
|
₹1,00,000.00
|
₹1,02,282.21
|
₹1,00,000.00
|
₹1,07,035.09
|
₹1,00,000.00
|
₹1,57,603.81
|
₹1,00,000.00
|
₹2,07,625.99
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹14,845.68
|
₹30,000.00
|
₹30,286.38
|
₹60,000.00
|
₹62,145.88
|
₹1,80,000.00
|
₹2,14,636.24
|
₹3,00,000.00
|
₹4,21,804.33
|
|
| Mahindra Manulife Aggressive Hybrid Fund - Regular Plan - Growth |
19-07-2019 |
2,108.49
|
1.98
|
-1.96
|
0.37
|
8.79
|
16.86
|
16.33
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹98,461.64
|
₹1,00,000.00
|
₹1,00,571.35
|
₹1,00,000.00
|
₹1,07,964.52
|
₹1,00,000.00
|
₹1,58,796.88
|
₹1,00,000.00
|
₹2,06,837.20
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹14,685.99
|
₹30,000.00
|
₹29,773.90
|
₹60,000.00
|
₹61,513.87
|
₹1,80,000.00
|
₹2,14,596.20
|
₹3,00,000.00
|
₹4,18,822.09
|
|
| Edelweiss Aggressive Hybrid Fund- Plan B-Growth Option |
16-06-2009 |
3,480.41
|
1.86
|
-2.64
|
-0.25
|
7.52
|
16.44
|
16.23
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹97,692.55
|
₹1,00,000.00
|
₹1,00,127.84
|
₹1,00,000.00
|
₹1,06,655.32
|
₹1,00,000.00
|
₹1,57,003.26
|
₹1,00,000.00
|
₹2,05,173.54
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹14,616.71
|
₹30,000.00
|
₹29,632.84
|
₹60,000.00
|
₹61,061.61
|
₹1,80,000.00
|
₹2,12,191.03
|
₹3,00,000.00
|
₹4,19,511.31
|
|
| Edelweiss Aggressive Hybrid Fund - Regular Plan - Growth Option |
12-08-2009 |
3,480.41
|
1.86
|
-2.64
|
-0.25
|
7.52
|
16.40
|
16.17
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹97,701.33
|
₹1,00,000.00
|
₹1,00,126.48
|
₹1,00,000.00
|
₹1,06,652.07
|
₹1,00,000.00
|
₹1,56,796.24
|
₹1,00,000.00
|
₹2,04,686.49
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹14,617.67
|
₹30,000.00
|
₹29,634.42
|
₹60,000.00
|
₹61,064.46
|
₹1,80,000.00
|
₹2,12,144.95
|
₹3,00,000.00
|
₹4,18,980.13
|
|
| Nippon India Aggressive Hybrid Fund - Growth Plan |
05-06-2005 |
4,102
|
1.95
|
-2.20
|
0.88
|
8.84
|
15.10
|
15.38
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹98,291.27
|
₹1,00,000.00
|
₹1,01,187.51
|
₹1,00,000.00
|
₹1,08,054.25
|
₹1,00,000.00
|
₹1,51,984.51
|
₹1,00,000.00
|
₹1,97,419.71
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹14,689.78
|
₹30,000.00
|
₹29,847.23
|
₹60,000.00
|
₹61,685.38
|
₹1,80,000.00
|
₹2,09,919.90
|
₹3,00,000.00
|
₹4,08,302.96
|
|
| Kotak Aggressive Hybrid Fund - Regular Plan -Growth |
25-11-1999 |
8,508.93
|
1.73
|
-3.03
|
-0.11
|
7.81
|
15.17
|
15.01
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹97,636.54
|
₹1,00,000.00
|
₹1,00,208.56
|
₹1,00,000.00
|
₹1,07,036.13
|
₹1,00,000.00
|
₹1,51,879.59
|
₹1,00,000.00
|
₹1,97,414.67
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹14,719.53
|
₹30,000.00
|
₹29,729.87
|
₹60,000.00
|
₹61,801.42
|
₹1,80,000.00
|
₹2,11,470.12
|
₹3,00,000.00
|
₹4,07,885.71
|
|
| Mirae Asset Aggressive Hybrid Fund - Regular Plan - Growth |
02-07-2015 |
9,537.61
|
1.72
|
-0.51
|
2.25
|
11.30
|
14.33
|
13.26
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹99,758.10
|
₹1,00,000.00
|
₹1,02,666.96
|
₹1,00,000.00
|
₹1,10,426.43
|
₹1,00,000.00
|
₹1,48,755.52
|
₹1,00,000.00
|
₹1,80,604.37
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹14,866.16
|
₹30,000.00
|
₹30,316.80
|
₹60,000.00
|
₹62,811.68
|
₹1,80,000.00
|
₹2,12,227.06
|
₹3,00,000.00
|
₹4,00,045.73
|
|
| DSP Aggressive Hybrid Fund- Regular Plan - Growth |
26-05-1999 |
12,161.66
|
1.7
|
-2.39
|
-1.11
|
6.61
|
16.10
|
13.23
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹98,198.66
|
₹1,00,000.00
|
₹99,158.77
|
₹1,00,000.00
|
₹1,05,797.74
|
₹1,00,000.00
|
₹1,55,712.98
|
₹1,00,000.00
|
₹1,81,514.68
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹14,636.31
|
₹30,000.00
|
₹29,601.44
|
₹60,000.00
|
₹60,542.07
|
₹1,80,000.00
|
₹2,11,070.04
|
₹3,00,000.00
|
₹4,01,722.14
|
|
| HSBC Aggressive Hybrid Fund - Regular Growth |
01-01-2013 |
5,569.07
|
1.86
|
-3.93
|
-0.11
|
8.94
|
15.84
|
12.79
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹96,613.42
|
₹1,00,000.00
|
₹99,919.08
|
₹1,00,000.00
|
₹1,07,399.85
|
₹1,00,000.00
|
₹1,53,937.10
|
₹1,00,000.00
|
₹1,76,795.46
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹14,556.64
|
₹30,000.00
|
₹29,422.04
|
₹60,000.00
|
₹61,863.72
|
₹1,80,000.00
|
₹2,09,254.99
|
₹3,00,000.00
|
₹3,96,942.41
|
|
Hybrid: Conservative
|
| HDFC Hybrid Debt Fund - Growth Plan |
01-12-2003 |
3,354.01
|
1.75
|
-
-
|
1.00
|
5.33
|
9.78
|
9.62
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹1,00,046.25
|
₹1,00,000.00
|
₹1,01,107.61
|
₹1,00,000.00
|
₹1,05,101.42
|
₹1,00,000.00
|
₹1,31,902.35
|
₹1,00,000.00
|
₹1,57,305.82
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹14,953.41
|
₹30,000.00
|
₹30,174.13
|
₹60,000.00
|
₹61,109.14
|
₹1,80,000.00
|
₹2,00,740.52
|
₹3,00,000.00
|
₹3,71,129.83
|
|
| SBI Conservative Hybrid Fund - Regular Plan - Growth |
25-03-2001 |
9,851.37
|
1.54
|
-0.61
|
1.24
|
6.81
|
9.77
|
9.43
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹99,442.58
|
₹1,00,000.00
|
₹1,01,297.99
|
₹1,00,000.00
|
₹1,06,533.30
|
₹1,00,000.00
|
₹1,31,890.19
|
₹1,00,000.00
|
₹1,56,025.57
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹14,878.75
|
₹30,000.00
|
₹30,065.03
|
₹60,000.00
|
₹61,429.69
|
₹1,80,000.00
|
₹2,02,015.33
|
₹3,00,000.00
|
₹3,71,740.55
|
|
| Kotak Debt Hybrid - Growth |
02-12-2003 |
3,107.59
|
1.66
|
-0.18
|
1.11
|
4.91
|
9.97
|
9.25
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹99,895.04
|
₹1,00,000.00
|
₹1,01,179.22
|
₹1,00,000.00
|
₹1,04,612.31
|
₹1,00,000.00
|
₹1,32,430.30
|
₹1,00,000.00
|
₹1,55,375.55
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹14,929.87
|
₹30,000.00
|
₹30,153.30
|
₹60,000.00
|
₹61,127.22
|
₹1,80,000.00
|
₹2,01,388.77
|
₹3,00,000.00
|
₹3,70,732.52
|
|
| ICICI Prudential Regular Savings Fund - Plan - Growth |
10-03-2004 |
3,358.65
|
1.72
|
0.07
|
1.94
|
7.86
|
10.16
|
9.05
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹1,00,205.62
|
₹1,00,000.00
|
₹1,02,051.39
|
₹1,00,000.00
|
₹1,07,594.37
|
₹1,00,000.00
|
₹1,33,590.52
|
₹1,00,000.00
|
₹1,53,308.07
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹14,973.97
|
₹30,000.00
|
₹30,222.75
|
₹60,000.00
|
₹61,908.40
|
₹1,80,000.00
|
₹2,05,416.80
|
₹3,00,000.00
|
₹3,75,701.82
|
|
Debt: Long Duration
|
| Nippon India Nivesh Lakshya Long Duration Fund- Growth Option |
05-07-2018 |
9,218.54
|
0.64
|
-0.04
|
-0.85
|
3.02
|
7.21
|
4.89
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹1,00,096.44
|
₹1,00,000.00
|
₹99,212.49
|
₹1,00,000.00
|
₹1,03,125.23
|
₹1,00,000.00
|
₹1,23,056.61
|
₹1,00,000.00
|
₹1,28,788.06
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹14,983.63
|
₹30,000.00
|
₹30,024.07
|
₹60,000.00
|
₹60,211.50
|
₹1,80,000.00
|
₹1,95,970.74
|
₹3,00,000.00
|
₹3,49,791.91
|
|
Debt: Credit Risk
|
| ICICI Prudential Credit Risk Fund - Growth |
05-12-2010 |
5,919.75
|
1.4
|
1.69
|
3.89
|
9.13
|
8.39
|
7.29
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹1,01,635.27
|
₹1,00,000.00
|
₹1,03,896.36
|
₹1,00,000.00
|
₹1,09,130.36
|
₹1,00,000.00
|
₹1,27,380.90
|
₹1,00,000.00
|
₹1,42,398.29
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹15,142.59
|
₹30,000.00
|
₹30,630.02
|
₹60,000.00
|
₹62,694.99
|
₹1,80,000.00
|
₹2,04,968.37
|
₹3,00,000.00
|
₹3,66,402.14
|
|
| SBI Credit Risk Fund - Regular Plan - Growth |
01-07-2004 |
2,175.08
|
1.55
|
1.09
|
2.61
|
7.40
|
8.02
|
6.68
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹1,01,049.82
|
₹1,00,000.00
|
₹1,02,550.38
|
₹1,00,000.00
|
₹1,07,390.81
|
₹1,00,000.00
|
₹1,26,003.57
|
₹1,00,000.00
|
₹1,38,600.60
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹15,083.85
|
₹30,000.00
|
₹30,407.20
|
₹60,000.00
|
₹61,974.69
|
₹1,80,000.00
|
₹2,01,635.11
|
₹3,00,000.00
|
₹3,60,264.44
|
|
| HDFC Credit Risk Debt Fund - Growth Option |
05-03-2014 |
6,974.16
|
1.61
|
0.98
|
2.68
|
7.42
|
7.46
|
6.60
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹1,00,983.86
|
₹1,00,000.00
|
₹1,02,654.51
|
₹1,00,000.00
|
₹1,07,393.10
|
₹1,00,000.00
|
₹1,24,119.35
|
₹1,00,000.00
|
₹1,37,993.77
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹15,079.67
|
₹30,000.00
|
₹30,422.12
|
₹60,000.00
|
₹62,012.47
|
₹1,80,000.00
|
₹2,01,373.88
|
₹3,00,000.00
|
₹3,57,736.49
|
|
Debt: Short Duration
|
| ICICI Prudential Short Term Fund - Growth Option |
01-10-2001 |
20,935.22
|
1.06
|
1.05
|
2.45
|
7.47
|
7.63
|
6.34
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹1,01,015.12
|
₹1,00,000.00
|
₹1,02,417.69
|
₹1,00,000.00
|
₹1,07,470.80
|
₹1,00,000.00
|
₹1,24,706.50
|
₹1,00,000.00
|
₹1,36,307.28
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹15,076.17
|
₹30,000.00
|
₹30,396.16
|
₹60,000.00
|
₹61,938.93
|
₹1,80,000.00
|
₹2,01,297.68
|
₹3,00,000.00
|
₹3,58,542.37
|
|
| HDFC Short Term Debt Fund - Growth Option |
05-06-2010 |
18,078.88
|
0.73
|
0.78
|
2.19
|
7.17
|
7.62
|
6.11
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹1,00,753.25
|
₹1,00,000.00
|
₹1,02,171.20
|
₹1,00,000.00
|
₹1,07,157.23
|
₹1,00,000.00
|
₹1,24,611.83
|
₹1,00,000.00
|
₹1,34,995.38
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹15,049.86
|
₹30,000.00
|
₹30,337.96
|
₹60,000.00
|
₹61,790.21
|
₹1,80,000.00
|
₹2,01,155.14
|
₹3,00,000.00
|
₹3,57,118.53
|
|
| Nippon India Short Duration Fund-Growth Plan |
01-12-2002 |
9,723.46
|
0.95
|
0.70
|
2.08
|
7.22
|
7.43
|
6.07
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹1,00,651.76
|
₹1,00,000.00
|
₹1,02,043.26
|
₹1,00,000.00
|
₹1,07,207.48
|
₹1,00,000.00
|
₹1,23,963.74
|
₹1,00,000.00
|
₹1,34,572.37
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹15,041.90
|
₹30,000.00
|
₹30,317.62
|
₹60,000.00
|
₹61,754.30
|
₹1,80,000.00
|
₹2,00,895.96
|
₹3,00,000.00
|
₹3,55,659.84
|
|
| Axis Short Duration Fund - Regular Plan - Growth Option |
22-01-2010 |
12,701.38
|
0.91
|
0.75
|
2.18
|
7.36
|
7.45
|
6.00
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹1,00,721.26
|
₹1,00,000.00
|
₹1,02,150.94
|
₹1,00,000.00
|
₹1,07,355.85
|
₹1,00,000.00
|
₹1,24,032.09
|
₹1,00,000.00
|
₹1,34,078.94
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹15,047.93
|
₹30,000.00
|
₹30,327.83
|
₹60,000.00
|
₹61,811.44
|
₹1,80,000.00
|
₹2,01,097.42
|
₹3,00,000.00
|
₹3,56,316.04
|
|
| Axis Short Duration Fund - Retail Plan - Growth Option |
05-03-2010 |
12,701.38
|
0.91
|
0.75
|
2.18
|
7.36
|
7.43
|
5.99
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹1,00,721.39
|
₹1,00,000.00
|
₹1,02,151.16
|
₹1,00,000.00
|
₹1,07,356.10
|
₹1,00,000.00
|
₹1,23,976.28
|
₹1,00,000.00
|
₹1,34,026.72
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹15,047.94
|
₹30,000.00
|
₹30,327.87
|
₹60,000.00
|
₹61,811.54
|
₹1,80,000.00
|
₹2,01,068.78
|
₹3,00,000.00
|
₹3,56,222.33
|
|
Debt: Ultra Short Duration
|
| Aditya Birla Sun Life Savings Fund - Growth - Regular Plan |
27-11-2001 |
23,615.17
|
0.61
|
1.25
|
2.81
|
7.08
|
7.37
|
6.22
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹1,01,227.55
|
₹1,00,000.00
|
₹1,02,790.07
|
₹1,00,000.00
|
₹1,07,067.98
|
₹1,00,000.00
|
₹1,23,793.23
|
₹1,00,000.00
|
₹1,35,280.28
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹15,107.89
|
₹30,000.00
|
₹30,450.86
|
₹60,000.00
|
₹62,013.99
|
₹1,80,000.00
|
₹2,00,772.33
|
₹3,00,000.00
|
₹3,56,839.65
|
|
| Aditya Birla Sun Life Savings Fund-Retail Growth |
27-11-2001 |
23,615.17
|
0.61
|
1.25
|
2.81
|
7.08
|
7.37
|
6.22
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹1,01,227.39
|
₹1,00,000.00
|
₹1,02,789.97
|
₹1,00,000.00
|
₹1,07,068.02
|
₹1,00,000.00
|
₹1,23,794.04
|
₹1,00,000.00
|
₹1,35,283.62
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹15,107.90
|
₹30,000.00
|
₹30,450.88
|
₹60,000.00
|
₹62,014.01
|
₹1,80,000.00
|
₹2,00,773.00
|
₹3,00,000.00
|
₹3,56,842.97
|
|
| Aditya Birla Sun Life Savings Fund - Discipline Advantage Plan |
27-11-2001 |
23,615.17
|
0.61
|
1.15
|
2.61
|
6.57
|
7.16
|
6.04
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹1,01,133.53
|
₹1,00,000.00
|
₹1,02,597.76
|
₹1,00,000.00
|
₹1,06,557.44
|
₹1,00,000.00
|
₹1,23,076.91
|
₹1,00,000.00
|
₹1,34,104.43
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹15,098.83
|
₹30,000.00
|
₹30,418.07
|
₹60,000.00
|
₹61,870.17
|
₹1,80,000.00
|
₹1,99,855.17
|
₹3,00,000.00
|
₹3,54,684.13
|
|
| Mirae Asset Ultra Short Duration Fund Regular Growth |
05-10-2020 |
2,067.19
|
0.42
|
1.25
|
2.79
|
6.86
|
7.22
|
6.02
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹1,01,237.36
|
₹1,00,000.00
|
₹1,02,769.04
|
₹1,00,000.00
|
₹1,06,829.43
|
₹1,00,000.00
|
₹1,23,276.54
|
₹1,00,000.00
|
₹1,33,950.39
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹15,110.56
|
₹30,000.00
|
₹30,449.27
|
₹60,000.00
|
₹61,963.92
|
₹1,80,000.00
|
₹2,00,247.64
|
₹3,00,000.00
|
₹3,55,444.64
|
|
| ICICI Prudential Ultra Short Term Fund - Growth |
01-05-2011 |
16,907.15
|
0.79
|
1.25
|
2.79
|
6.83
|
7.08
|
6.01
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹1,01,232.30
|
₹1,00,000.00
|
₹1,02,762.21
|
₹1,00,000.00
|
₹1,06,806.40
|
₹1,00,000.00
|
₹1,22,775.44
|
₹1,00,000.00
|
₹1,33,889.54
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹15,111.45
|
₹30,000.00
|
₹30,450.19
|
₹60,000.00
|
₹61,961.59
|
₹1,80,000.00
|
₹1,99,890.21
|
₹3,00,000.00
|
₹3,54,445.09
|
|
Debt: Gilt
|
| ICICI Prudential Gilt Fund - Growth |
19-08-1999 |
9,181.38
|
1.1
|
0.98
|
1.23
|
6.35
|
7.76
|
6.15
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹1,00,931.35
|
₹1,00,000.00
|
₹1,01,253.93
|
₹1,00,000.00
|
₹1,06,379.24
|
₹1,00,000.00
|
₹1,25,116.86
|
₹1,00,000.00
|
₹1,35,594.79
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹15,101.69
|
₹30,000.00
|
₹30,349.48
|
₹60,000.00
|
₹61,456.03
|
₹1,80,000.00
|
₹1,99,967.04
|
₹3,00,000.00
|
₹3,56,953.00
|
|
| SBI GILT FUND - GROWTH - PF (Regular) Option |
28-11-2003 |
10,816.83
|
0.95
|
0.41
|
0.60
|
4.05
|
6.99
|
5.72
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹1,00,254.17
|
₹1,00,000.00
|
₹1,00,571.40
|
₹1,00,000.00
|
₹1,04,169.45
|
₹1,00,000.00
|
₹1,22,286.12
|
₹1,00,000.00
|
₹1,32,804.41
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹15,042.14
|
₹30,000.00
|
₹30,204.32
|
₹60,000.00
|
₹60,707.90
|
₹1,80,000.00
|
₹1,96,511.77
|
₹3,00,000.00
|
₹3,50,500.38
|
|
| SBI GILT FUND - REGULAR PLAN - GROWTH |
30-12-2000 |
10,816.83
|
0.95
|
0.41
|
0.57
|
4.02
|
6.98
|
5.72
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹1,00,253.62
|
₹1,00,000.00
|
₹1,00,548.49
|
₹1,00,000.00
|
₹1,04,146.08
|
₹1,00,000.00
|
₹1,22,257.75
|
₹1,00,000.00
|
₹1,32,773.64
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹15,042.09
|
₹30,000.00
|
₹30,201.94
|
₹60,000.00
|
₹60,698.63
|
₹1,80,000.00
|
₹1,96,471.77
|
₹3,00,000.00
|
₹3,50,424.68
|
|
| SBI GILT FUND - GROWTH - PF (Fixed Period - 3 Yrs) Option |
28-11-2003 |
10,816.83
|
0.95
|
0.41
|
0.57
|
4.02
|
6.98
|
5.72
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹1,00,253.75
|
₹1,00,000.00
|
₹1,00,548.56
|
₹1,00,000.00
|
₹1,04,146.20
|
₹1,00,000.00
|
₹1,22,258.44
|
₹1,00,000.00
|
₹1,32,774.77
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹15,042.12
|
₹30,000.00
|
₹30,201.97
|
₹60,000.00
|
₹60,698.68
|
₹1,80,000.00
|
₹1,96,472.14
|
₹3,00,000.00
|
₹3,50,426.28
|
|
| Bandhan Gilt Fund - Regular Plan - Growth |
01-12-2008 |
2,247.84
|
1.14
|
0.79
|
0.65
|
3.30
|
6.90
|
4.95
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹1,00,723.91
|
₹1,00,000.00
|
₹1,00,609.33
|
₹1,00,000.00
|
₹1,03,486.56
|
₹1,00,000.00
|
₹1,21,977.35
|
₹1,00,000.00
|
₹1,28,567.96
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹15,060.18
|
₹30,000.00
|
₹30,292.33
|
₹60,000.00
|
₹60,687.05
|
₹1,80,000.00
|
₹1,96,166.55
|
₹3,00,000.00
|
₹3,46,769.29
|
|
Debt: Liquid
|
| Aditya Birla Sun Life Liquid Fund- Discipline Advantage Plan |
22-06-2009 |
47,273.08
|
0.35
|
1.48
|
3.08
|
6.84
|
7.25
|
5.99
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹1,01,463.39
|
₹1,00,000.00
|
₹1,03,065.26
|
₹1,00,000.00
|
₹1,06,813.70
|
₹1,00,000.00
|
₹1,23,359.89
|
₹1,00,000.00
|
₹1,33,780.26
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹15,145.17
|
₹30,000.00
|
₹30,523.58
|
₹60,000.00
|
₹62,071.51
|
₹1,80,000.00
|
₹2,00,338.74
|
₹3,00,000.00
|
₹3,55,692.18
|
|
| Axis Liquid Fund - Regular Plan - Growth Option |
05-10-2009 |
37,118.69
|
0.21
|
1.44
|
2.89
|
6.40
|
6.96
|
5.86
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹1,01,419.49
|
₹1,00,000.00
|
₹1,02,869.02
|
₹1,00,000.00
|
₹1,06,383.28
|
₹1,00,000.00
|
₹1,22,372.22
|
₹1,00,000.00
|
₹1,32,942.05
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹15,138.70
|
₹30,000.00
|
₹30,495.90
|
₹60,000.00
|
₹61,941.53
|
₹1,80,000.00
|
₹1,99,426.91
|
₹3,00,000.00
|
₹3,53,717.81
|
|
| Aditya Birla Sun Life Liquid Fund - Growth |
05-03-2004 |
47,273.08
|
0.35
|
1.43
|
2.88
|
6.37
|
6.94
|
5.83
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹1,01,412.58
|
₹1,00,000.00
|
₹1,02,859.59
|
₹1,00,000.00
|
₹1,06,351.96
|
₹1,00,000.00
|
₹1,22,291.18
|
₹1,00,000.00
|
₹1,32,758.55
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹15,138.08
|
₹30,000.00
|
₹30,493.56
|
₹60,000.00
|
₹61,931.93
|
₹1,80,000.00
|
₹1,99,326.53
|
₹3,00,000.00
|
₹3,53,440.34
|
|
| Aditya Birla Sun Life Liquid Fund-Retail (Growth) |
16-06-1997 |
47,273.08
|
0.35
|
1.43
|
2.88
|
6.37
|
6.94
|
5.83
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹1,01,412.56
|
₹1,00,000.00
|
₹1,02,859.56
|
₹1,00,000.00
|
₹1,06,352.01
|
₹1,00,000.00
|
₹1,22,291.51
|
₹1,00,000.00
|
₹1,32,759.19
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹15,138.10
|
₹30,000.00
|
₹30,493.56
|
₹60,000.00
|
₹61,931.85
|
₹1,80,000.00
|
₹1,99,326.53
|
₹3,00,000.00
|
₹3,53,440.75
|
|
| Canara Robeco Liquid Fund - Regular Plan - Growth Option |
05-07-2008 |
5,439.17
|
0.21
|
1.40
|
2.85
|
6.36
|
6.93
|
5.83
|
|
Scheme Performance
|
3 Months |
6 Months |
1 Year |
3 Years |
5 Years |
| Scheme Name |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
Invested Amount |
Market Value |
| Lumpsum |
₹1,00,000.00
|
₹1,01,387.29
|
₹1,00,000.00
|
₹1,02,835.47
|
₹1,00,000.00
|
₹1,06,340.78
|
₹1,00,000.00
|
₹1,22,279.81
|
₹1,00,000.00
|
₹1,32,742.15
|
| SIP (Rs. 5000 Monthly) |
₹15,000.00
|
₹15,134.56
|
₹30,000.00
|
₹30,486.73
|
₹60,000.00
|
₹61,919.53
|
₹1,80,000.00
|
₹1,99,320.26
|
₹3,00,000.00
|
₹3,53,460.28
|
|