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Indian Equity|Flexi Cap
AUM
₹10012.50 Crs
Risk
Very Highriskometer icon
NAV
55.89
(+1.15%)
As on  16 May 2024
CAGR
54.91%
As on  30 Apr 2024
Indian Equity|Large and Mid Cap
AUM
₹4036.22 Crs
Risk
Very Highriskometer icon
NAV
29.06
(+0.53%)
As on  16 May 2024
CAGR
57.97%
As on  30 Apr 2024
Indian Equity|Total Market|Index
AUM
₹1105.06 Crs
Risk
Very Highriskometer icon
NAV
23.99
(+0.92%)
As on  16 May 2024
CAGR
38.65%
As on  30 Apr 2024
Indian Equity|Large Cap|Index
AUM
₹259.55 Crs
Risk
Very Highriskometer icon
NAV
23.53
(+1.03%)
As on  16 May 2024
CAGR
64.68%
As on  30 Apr 2024
Indian Equity|Large Cap
AUM
₹842.20 Crs
Risk
Very Highriskometer icon
NAV
10.81
(+1.05%)
As on  16 May 2024
CAGR
NA
Returns for this fund are not provided because the scheme has not completed 1 year
Indian Equity|Large Cap
AUM
₹1861.43 Crs
Risk
Very Highriskometer icon
NAV
48.21
(+1.3%)
As on  16 May 2024
CAGR
30.99%
As on  30 Apr 2024
Indian Equity|Large Cap|Index
AUM
₹468.87 Crs
Risk
Very Highriskometer icon
NAV
19.07
(+0.94%)
As on  16 May 2024
CAGR
26.31%
As on  30 Apr 2024
Indian Equity|Mid Cap|Index
AUM
₹1527.86 Crs
Risk
Very Highriskometer icon
NAV
34.22
(+0.97%)
As on  16 May 2024
CAGR
58.82%
As on  30 Apr 2024
Indian Equity|Mid Cap
AUM
₹9819.09 Crs
Risk
Very Highriskometer icon
NAV
94.41
(+0.89%)
As on  16 May 2024
CAGR
63.08%
As on  30 Apr 2024
Indian Equity|Small Cap|Index
AUM
₹998.42 Crs
Risk
Very Highriskometer icon
NAV
15.46
(+0.6%)
As on  16 May 2024
CAGR
NA
Returns for this fund are not provided because the scheme has not completed 1 year
Indian Equity|Small Cap
AUM
₹1699.24 Crs
Risk
Very Highriskometer icon
NAV
11.35
(+1.31%)
As on  16 May 2024
CAGR
NA
Returns for this fund are not provided because the scheme has not completed 1 year
Indian Equity|Small Cap|Index
AUM
₹691.21 Crs
Risk
Very Highriskometer icon
NAV
34.65
(+0.74%)
As on  16 May 2024
CAGR
68.82%
As on  30 Apr 2024
Indian Equity|Sector|Index
AUM
₹566.96 Crs
Risk
Very Highriskometer icon
NAV
17.62
(+0.6%)
As on  16 May 2024
CAGR
14.82%
As on  30 Apr 2024
AUM
₹12.09 Crs
Risk
Very Highriskometer icon
NAV
14.17
(+1.62%)
As on  16 May 2024
CAGR
43.66%
As on  30 Apr 2024
Indian Equity|Factor|Index
AUM
₹489.47 Crs
Risk
Very Highriskometer icon
NAV
16.62
(+1.6%)
As on  16 May 2024
CAGR
69.12%
As on  30 Apr 2024
Indian Equity|Factor|Index
AUM
₹49.50 Crs
Risk
Very Highriskometer icon
NAV
15.75
(+1.31%)
As on  16 May 2024
CAGR
39.25%
As on  30 Apr 2024
Indian Equity|Factor|Index
AUM
₹401.51 Crs
Risk
Very Highriskometer icon
NAV
24.17
(-0.07%)
As on  16 May 2024
CAGR
95.45%
As on  30 Apr 2024
Indian Equity|Factor|Index
AUM
₹14.43 Crs
Risk
Very Highriskometer icon
NAV
16.27
(+0.76%)
As on  16 May 2024
CAGR
47.69%
As on  30 Apr 2024
Indian Equity|Tax Saver (ELSS)
AUM
₹3402.11 Crs
Risk
Very Highriskometer icon
NAV
49.83
(+0.54%)
As on  16 May 2024
CAGR
61.86%
As on  30 Apr 2024
International Equity|Developed Markets|Index
AUM
₹34.02 Crs
Risk
Very Highriskometer icon
NAV
11.73
(+1.01%)
As on  15 May 2024
CAGR
NA
Returns for this fund are not provided because the scheme has not completed 1 year
International Equity|US Equities|Index
AUM
₹4624.61 Crs
Risk
Very Highriskometer icon
NAV
32.07
(+1.43%)
As on  16 May 2024
CAGR
37.99%
As on  30 Apr 2024
International Equity|US Equities|Index
AUM
₹3156.98 Crs
Risk
Very Highriskometer icon
NAV
20.37
(+1.15%)
As on  15 May 2024
CAGR
23.96%
As on  30 Apr 2024
Hybrid & Balanced|Balanced Advantage
AUM
₹1247.43 Crs
Risk
Very Highriskometer icon
NAV
21.39
(+0.97%)
As on  16 May 2024
CAGR
31.96%
As on  30 Apr 2024
AUM
₹42.29 Crs
Risk
Highriskometer icon
NAV
14.02
(+0.21%)
As on  15 May 2024
CAGR
18.67%
As on  30 Apr 2024
Multi Asset|Conservative
AUM
₹101.73 Crs
Risk
Highriskometer icon
NAV
13.40
(+0.59%)
As on  16 May 2024
CAGR
16.12%
As on  30 Apr 2024
AUM
₹65.53 Crs
Risk
Very Highriskometer icon
NAV
15.47
(+0.45%)
As on  15 May 2024
CAGR
26.87%
As on  30 Apr 2024
Commodity|Gold and Silver|Index
AUM
₹59.56 Crs
Risk
Very Highriskometer icon
NAV
14.36
(+1.05%)
As on  16 May 2024
CAGR
15.09%
As on  30 Apr 2024
Debt & Liquid|Liquid
AUM
₹561.10 Crs
Risk
Low to Moderateriskometer icon
NAV
12.94
(+0.02%)
As on  16 May 2024
CAGR
7.01%
As on  30 Apr 2024
Debt & Liquid|Ultra Short Term
AUM
₹169.59 Crs
Risk
Low to Moderateriskometer icon
NAV
16.23
(+0.01%)
As on  16 May 2024
CAGR
6.74%
As on  30 Apr 2024
Debt & Liquid|Government Securities|Index
AUM
₹16.79 Crs
Risk
Moderateriskometer icon
NAV
11.26
(-0.18%)
As on  16 May 2024
CAGR
6.04%
As on  30 Apr 2024
Indian Equity|Total Market|ETFs
Current iNAV
0.00
Previous iNAV
0.00
Benchmark
Nifty 500 TRI
Risk
Very Highriskometer icon
Indian Equity|Large Cap|ETFs
Current iNAV
0.00
Previous iNAV
0.00
Benchmark
Nifty 50 TRI
Risk
Very Highriskometer icon
Indian Equity|Mid Cap|ETFs
Current iNAV
0.00
Previous iNAV
0.00
Benchmark
Nifty Midcap 100 TRI
Risk
Very Highriskometer icon
Indian Equity|Small Cap|ETFs
Current iNAV
0.00
Previous iNAV
0.00
Benchmark
Nifty Smallcap 250 TRI
Risk
Very Highriskometer icon
Indian Equity|Sector|ETFs
Current iNAV
0.00
Previous iNAV
0.00
Benchmark
Nifty Realty TRI
Risk
Very Highriskometer icon
Indian Equity|Sector|ETFs
Current iNAV
0.00
Previous iNAV
0.00
Benchmark
S&P BSE Healthcare Total Return Index
Risk
Very Highriskometer icon
Current iNAV
0.00
Previous iNAV
0.00
Benchmark
Nifty 200 Momentum 30 TRI
Risk
Very Highriskometer icon
Current iNAV
0.00
Previous iNAV
0.00
Benchmark
S&P BSE Low Volatility TRI
Risk
Very Highriskometer icon
Indian Equity|Factor|ETFs
Current iNAV
0.00
Previous iNAV
0.00
Benchmark
S&P BSE Quality Total Return Index
Risk
Very Highriskometer icon
Current iNAV
0.00
Previous iNAV
0.00
Benchmark
S&P BSE Enhanced Value Total Return Index
Risk
Very Highriskometer icon
International Equity|US Equities|ETFs
Current iNAV
0.00
Previous iNAV
0.00
Benchmark
NASDAQ - 100 Index
Risk
Very Highriskometer icon
International Equity|US Equities|ETFs
Current iNAV
0.00
Previous iNAV
0.00
Benchmark
NASDAQ Q-50 Total Return Index
Risk
Very Highriskometer icon
Debt & Liquid|Government Securities|ETFs
Current iNAV
0.00
Previous iNAV
0.00
Benchmark
Nifty 5 yr Benchmark G-Sec Index TRI
Risk
Moderateriskometer icon

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