Hybrid Funds

SCHEME NAME1M (%)3M (%)6M (%)1Y (%)3Y (%)6Y (%)
UTI CCP Advantage Fund(G)2.578.6016.6439.9912.4217.08
BOI AXA Mid Cap Equity & Debt Fund-Reg(G)3.7312.6221.5739.76NANA
Tata Retirement Sav Fund - Mod Plan(G)2.397.2515.3537.1916.2519.76
Principal Balanced Fund(G)2.139.9918.1034.9014.8518.94
Reliance Reg Savings Fund-Balanced Option(G)2.705.2613.8429.7612.7418.61
HSBC Managed Solutions India-Growth(G)0.995.0911.2628.6212.08NA
Mirae Asset Prudence Fund-Reg(G)2.575.5112.3628.15NANA
HDFC Children’s Gift Fund3.407.1113.1827.6612.6718.64
Escorts Opportunities Fund(G)4.1010.1614.5827.1210.7313.47
HDFC Retirement Savings Fund-Hybrid-Equity Plan-Reg(G)2.735.9212.8426.99NANA
HDFC Prudence Fund(G)7.158.1712.9226.9311.4318.23
Baroda Pioneer Balance Fund(G)1.295.4312.1126.4210.2714.41
L&T India Prudence Fund-Reg(G)2.474.1810.0026.4113.6219.26
LIC MF ULIS1.764.9410.4826.076.7011.84
HDFC Balanced Fund(G)3.285.5811.8825.6413.1018.99
ICICI Pru Balanced Fund(G)3.646.7811.4125.4313.1819.50
Principal Asset Alloc FOF Scheme-Aggr(G)1.775.7811.9925.41NANA
UTI Balanced Fund(G)2.916.2911.5425.2010.7915.72
Aditya Birla SL Balanced '95 Fund(G)1.454.6311.4924.6212.5117.71
SBI Magnum Balanced Fund-Reg(D)3.547.5815.4323.6212.4519.60
Franklin India Life Stage FOFs-20(G)1.915.319.3223.5610.9115.94
HSBC Managed Solutions India-Moderate(G)0.794.269.6423.4211.67NA
DSPBR Balanced Fund-Reg(G)2.415.319.5723.3112.6616.23
Canara Rob Balance Scheme-Reg(G)1.553.719.1623.1211.0016.98
HDFC Dynamic PE Ratio FOF-Reg(G)4.215.699.4522.8710.28NA
DSPBR Dual Advant-29-40M-Reg(G)1.895.0310.5022.844.42NA
SBI Magnum Children Benefit Plan3.407.3513.5522.5815.3215.30
Escorts Balanced Fund(G)3.474.8113.9122.4910.0016.89
Edelweiss Dynamic Equity Advantage Fund-Reg(G)1.003.848.5122.277.6012.02
MOSt Focused Dynamic Equity Fund-Reg(G)0.670.998.1822.17NANA
Shriram Equity & Debt Opp Fund-Reg(G)0.983.708.7821.966.95NA
Tata Young Citizen Fund1.534.7810.0621.3710.5213.81
Kotak Balance(D)3.355.227.3320.7010.3214.61
DHFL Pramerica Hybrid FTF-39-1100D-Reg(G)1.664.429.2020.14NANA
JM Balanced Fund(G)0.182.556.8720.045.7813.78
SBI Dynamic Asset Allocation Fund-Reg(G)1.07-0.303.3119.98NANA
Axis Hybrid Fund-14-Reg(G)1.564.489.1519.744.30NA
Sundaram Balanced Fund(G)1.895.068.3819.618.5011.75
Axis Hybrid Fund-15-Reg(G)1.534.419.0419.374.17NA
ICICI Pru Child Care Plan-Gift Plan4.036.508.1319.208.2918.12
Axis Hybrid Fund-13-Reg(G)1.434.128.5019.144.15NA
Aditya Birla SL CPO Fund-Sr 251.784.459.5719.09NANA
Axis Children's Gift Fund-No Lock in-Reg(G)1.794.2811.7319.00NANA
LIC MF Balanced Fund(G)6.088.9110.8118.885.4412.42
Reliance Dual Adv FTF-VII-A-1123D-(G)1.764.359.3018.73NANA
Franklin India Balanced Fund(G)2.694.759.7918.7011.0916.97
IDBI Prudence Fund(G)0.804.337.7618.62NANA
ICICI Pru Balanced Advantage Fund(G)1.884.068.4418.3910.4216.43
Axis Hybrid Fund-30-Reg(G)1.163.737.9218.23NANA
Franklin India Life Stage FOFs-30(G)1.393.987.5318.1810.1613.52
DHFL Pramerica Hybrid FTF-33-1100D-Reg(G)2.054.819.6918.17NANA
DSPBR Dual Advant-45-38M-Reg(G)1.284.058.5218.09NANA
DHFL Pramerica Balanced Advantage Fund(G)2.494.366.6617.716.2713.94
DSPBR Dual Advant-44-39M-Reg(G)1.314.108.5517.68NANA
UTI Wealth Builder Fund(G)1.864.247.1517.295.529.75
IDFC Dynamic Equity Fund-Reg(G)1.954.519.5517.286.44NA
Tata Balanced Fund(G)1.473.717.3117.279.9617.84
Axis Hybrid Fund-29-Reg(G)1.133.597.6916.63NANA
Axis Hybrid Fund-12-Reg(G)0.281.735.7216.503.27NA
Reliance Dual Adv FTF-VII-B-1102D-(G)1.213.978.1316.48NANA
Axis Hybrid Fund-24-Reg(G)1.293.848.1416.34NANA
Aditya Birla SL Balanced Advantage Fund(G)0.241.795.5116.1910.8513.73
UTI Retirement Benefit Pension1.744.168.2215.9810.2212.37
Axis Hybrid Fund-26-Reg(G)1.223.637.4615.89NANA
Axis Hybrid Fund-28-Reg(G)1.113.567.6915.88NANA
DHFL Pramerica Hybrid FTF-41-1100D-Reg(G)1.364.058.3515.78NANA
DHFL Pramerica Hybrid FTF-35-1100D-Reg(G)1.614.188.4115.78NANA
Axis Hybrid Fund-23-Reg(G)1.273.788.0515.58NANA
Principal Asset Alloc FOF Scheme-Mod(G)1.093.517.8415.54NANA
Axis Hybrid Fund-27-Reg(G)1.133.557.6615.50NANA
DHFL Pramerica Hybrid FTF-40-1100D-Reg(G)1.273.737.7715.41NANA
Reliance Dual Adv FTF-VII-D-1103D-(G)1.243.877.9515.28NANA
DSPBR Dual Advant-46-36M-Reg(G)1.163.738.2415.08NANA
Axis Hybrid Fund-22-Reg(G)1.233.677.8715.08NANA
Aditya Birla SL Financial Planning FOF Prudent Plan(G)0.572.457.0915.069.4111.57
DHFL Pramerica Hybrid FTF-4(G)1.254.008.0014.923.37NA
Franklin India Dynamic PE Ratio FOFs(G)1.102.846.2514.899.0212.24
UTI ULIP(G)1.153.468.2214.829.8211.84
DHFL Pramerica Hybrid FTF-5(G)1.364.168.0614.782.84NA
Baroda Pioneer Hybrid Fund-1(G)1.233.867.9314.69NANA
UTI Dual Adv FTF-II-III(G)1.643.708.6114.63NANA
Reliance Dual Adv FTF-VII-E-1102D-(G)1.103.557.4414.62NANA
Axis Hybrid Fund-18-Reg(G)1.263.737.8614.59NANA
BOI AXA CPO-2-Reg(G)1.083.557.3114.55NANA
Reliance Dual Adv FTF-IX-E-1151D-(G)1.103.568.0514.35NANA
DSPBR Dual Advant-36-36M-Reg(G)1.253.968.0814.29NANA
LIC MF Dual Adv FTP-3-Reg(G)3.445.528.0214.19NANA
Franklin India Life Stage FOFs-40(G)1.003.006.1114.169.7212.15
Axis CPO Fund-Sr 5(G)0.983.297.3614.052.96NA
DSPBR Dual Advant-34-36M-Reg(G)1.554.138.2714.01NANA
Reliance Dual Adv FTF-VII-C-1103D-(G)1.233.887.9113.96NANA
UTI CC Balanced Plan1.763.716.8813.9310.8213.93
LIC MF Dual Adv FTP-1-Reg(G)3.065.067.7413.93NANA
DHFL Pramerica Hybrid FTF-37-1280D-Reg(G)1.193.797.8513.81NANA
UTI Dual Adv FTF-II-II(G)1.792.797.0413.76NANA
Axis Hybrid Fund-25-Reg(G)1.211.975.6713.73NANA
Axis Hybrid Fund-19-Reg(G)1.233.627.7013.54NANA
Axis Equity Saver Fund-Reg(G)0.692.376.5813.52NANA
Axis Hybrid Fund-31-Reg(G)0.933.267.5713.35NANA
LIC MF Dual Adv FTP-2-Reg(G)3.115.107.5613.30NANA
BOI AXA CPO-5-Reg(G)1.073.176.8213.28NANA
Tata Retirement Sav Fund - Cons Plan(G)0.802.797.0313.2610.6411.29
Aditya Birla SL CPO Fund-Sr 261.583.847.7913.25NANA
DSPBR Dual Advant-35-36M-Reg(G)1.673.937.8913.19NANA
LIC MF Children's Gift Fund(G)2.543.697.2713.007.0612.05
UTI Dual Adv FTF-III-I(G)2.143.477.2512.99NANA
UTI Dual Adv FTF-II-I(G)1.403.477.2212.98NANA
HSBC CPO-II-Plan I(G)1.123.316.9412.95NANA
BOI AXA Equity Debt Rebalancer Fund-Reg(G)-0.050.865.4912.917.91NA
BOI AXA CPO-4-Reg(G)1.163.407.1412.86NANA
Axis Hybrid Fund-33-Reg(G)0.923.187.6712.74NANA
Aditya Birla SL MIP II-Wealth 25(G)-0.331.126.8612.5111.9813.64
DHFL Pramerica Hybrid FTF-34-1240D-Reg(G)1.213.446.9112.50NANA
HSBC CPO-II-Plan II(G)1.113.276.8912.41NANA
UTI Dual Adv FTF-II-IV(G)1.252.886.8312.35NANA
Principal Smart Equity Fund(G)0.821.874.9112.296.4013.65
UTI Dual Adv FTF-II-V(G)1.673.236.4012.27NANA
Axis Triple Advantage Fund(G)0.632.426.9212.087.098.91
Sundaram Hybrid Fund-Sr F-Reg(G)1.162.195.1712.056.32NA
DHFL Pramerica Hybrid FTF-32-1100D-Reg(G)0.591.474.1211.98NANA
Sundaram Hybrid Fund-Sr H-Reg(G)1.092.205.1111.976.28NA
BOI AXA Regular Return Fund-Reg(G)0.963.337.0611.929.7510.32
DHFL Pramerica Hybrid FTF-7(G)1.003.106.5111.853.28NA
BOI AXA CPO-3-Reg(G)1.173.417.0111.82NANA
Sundaram Hybrid Fund-Sr K-Reg(G)1.012.265.3511.686.19NA
L&T Dynamic Equity Fund-Reg(G)1.502.944.1711.635.9015.30
Quantum Multi Asset Fund(G)-Direct Plan1.072.814.5911.628.31NA
DSPBR Dual Advant-39-36M-Reg(G)0.671.896.1911.57NANA
ICICI Pru MIP 25(G)0.801.875.9111.5710.5812.20
Franklin India Life Stage FOFs-50(G)0.652.265.4411.549.0610.32
UTI Smart Woman Savings Plan(G)0.542.146.1411.538.9710.37
DHFL Pramerica Hybrid FTF-6(G)1.093.326.9411.522.93NA
Canara Rob CPO Fund-5-Reg(G)1.002.946.1111.42NANA
Axis Hybrid Fund-32-Reg(G)0.933.237.5311.34NANA
HDFC Multiple Yield Fund 2005(G)1.954.076.0711.238.4710.38
ICICI Pru Multiple Yield-9-A(G)1.253.246.6711.20NANA
HDFC Retirement Savings Fund-Hybrid-Debt Plan-Reg(G)0.922.756.4010.98NANA
ICICI Pru CPO Fund-IV-F-60M(G)0.562.305.2710.988.15NA
Axis Income Saver Fund(G)0.572.296.0110.957.219.96
Reliance Dual Adv FTF-IX-A-1227D-(G)1.482.695.7310.93NANA
ICICI Pru CPO Fund-V-A-5Y(G)0.551.924.7510.877.71NA
Reliance Dual Adv FTF-IX-C-1161D-(G)1.452.695.6410.87NANA
Reliance Dual Adv FTF-IX-D-1292D-(G)1.372.575.7310.83NANA
ICICI Pru CPO Fund-IV-G-60M(G)0.672.154.8710.818.03NA
Reliance Dual Adv FTF-IX-B-1201D-(G)1.432.665.6210.75NANA
ICICI Pru Multiple Yield-4-B(G)0.972.494.9710.647.11NA
ICICI Pru Multiple Yield-4-D(G)0.922.424.8910.636.97NA
DHFL Pramerica Hybrid FTF-29-40M-Reg(G)1.002.685.2210.637.87NA
ICICI Pru Multiple Yield-4-A(G)0.982.514.9910.637.12NA
Franklin India Life Stage FOFs-50s +FR(G)0.822.394.8310.598.3610.00
Reliance Dual Adv FTF-III-C(G)1.472.655.5610.523.00NA
Tata Dual Advantage Fund-2-B(G)0.612.595.2510.46NANA
UTI MIS Adv Plan(G)0.652.296.5210.459.5011.57
ICICI Pru CPO Fund-III-H-60M(G)0.442.084.6210.437.46NA
Reliance Dual Adv FTF-IX-F-1150D-(G)1.392.555.5910.41NANA
ICICI Pru CPO Fund-IV-D-60M(G)0.922.244.8110.357.15NA
Reliance Dual Adv FTF-X-A-1370D-(G)1.422.505.7910.33NANA
ICICI Pru CPO Fund-III-G-60M(G)0.572.024.2510.317.58NA
Sundaram MIP-Aggr Plan(G)0.633.166.6110.2810.3010.79
ICICI Pru CPO Fund-III-B-60M(G)0.561.804.2410.257.60NA
DHFL Pramerica Income Advantage Fund(G)1.512.624.2010.247.357.84
ICICI Pru Multiple Yield-3-D(G)0.341.434.8510.237.49NA
HDFC MIP-STP(G)2.003.066.0510.218.229.98
ICICI Pru CPO Fund-III-E-60M(G)0.311.944.3110.067.35NA
Franklin India Pension Plan(G)1.602.566.0710.049.5613.05
Tata Dual Advantage Fund-2-C(G)0.542.365.0610.03NANA
Reliance Dual Adv FTF-IV-A(G)1.452.565.3710.012.13NA
Franklin India Multi-Asset Solution Fund(G)0.642.354.709.97NANA
ICICI Pru CPO Fund-IV-C-60M(G)0.151.914.469.857.12NA
Union CPO-6-Reg(G)0.892.775.679.82NANA
ICICI Pru Child Care Plan-Study Plan0.271.724.829.7811.5815.33
ICICI Pru CPO Fund-IV-A-60M(G)0.371.944.299.727.48NA
ICICI Pru CPO Fund-VI-A-1825D(G)0.371.704.259.607.57NA
SBI Magnum MIP-Floater Plan(G)1.093.135.449.579.7710.93
Indiabulls MIP-Reg(G)2.596.759.029.56NANA
Aditya Birla SL Financial Planning FOF Conservative Plan(G)0.261.685.019.568.089.00
SBI DAF-XII-Reg(G)0.432.225.209.55NANA
ICICI Pru Multiple Yield-3-C(G)0.301.304.589.556.94NA
UTI CPO-VII-I(1098D)(G)1.042.205.229.48NANA
Reliance Dual Adv FTF-VIII-A-1101D-(G)0.992.454.579.47NANA
IDFC Asset Alloc-Cons-Reg(G)0.862.084.529.479.1910.53
ICICI Pru Multiple Yield-6-D(G)0.191.804.559.466.90NA
Tata Dual Advantage Fund-3-A(G)0.392.174.749.46NANA
ICICI Pru CPO Fund-V-C-1825D(G)0.061.704.249.397.29NA
ICICI Pru Multiple Yield-6-C(G)-0.061.504.189.327.14NA
UTI Dual Adv FTF-I-I(G)0.832.144.489.27NANA
Kotak MIP(G)1.072.595.419.269.8711.22
SBI DAF-X-Reg(G)0.511.924.789.25NANA
ICICI Pru Multiple Yield-5-C(G)0.411.824.199.157.15NA
SBI DAF-XI-Reg(G)0.592.144.799.13NANA
UTI Dual Adv FTF-I-II(G)0.822.134.649.12NANA
ICICI Pru CPO Fund-VII-A-1285D(G)0.331.784.039.067.41NA
Reliance Dual Adv FTF-VIII-B-1099D-(G)1.032.254.389.03NANA
SBI DAF-VII-Reg(G)0.752.024.439.02NANA
ICICI Pru Multiple Yield-11-B(G)0.452.115.119.01NANA
ICICI Pru CPO Fund-IX-E-1325D(G)0.301.314.239.00NANA
HDFC MIP-LTP(G)2.532.595.629.009.5811.75
Aditya Birla SL Dual Adv Fund-I-Reg(G)0.461.794.479.00NANA
Sundaram Hybrid Fund-Sr N-Reg(G)0.831.643.938.94NANA
SBI DAF-XIII-Reg(G)0.452.134.888.94NANA
SBI DAF-XVII-Reg(G)0.431.924.878.90NANA
ICICI Pru CPO Fund-VII-D-1822D(G)0.241.514.138.86NANA
DHFL Pramerica Hybrid FTF-11-Reg(G)0.621.193.178.842.13NA
Sundaram Hybrid Fund-Sr M-Reg(G)0.951.663.938.83NANA
ICICI Pru Multiple Yield-10-A(G)0.841.454.478.82NANA
UTI CPO-V-II(1135D)(G)1.072.324.808.81NANA
SBI DAF-IX-Reg(G)0.892.184.588.76NANA
UTI CPO-IV-III(1105D)(G)0.992.264.668.75NANA
Reliance Dual Adv FTF-VIII-C-1101D-(G)1.042.134.408.74NANA
Sundaram Hybrid Fund-Sr P-Reg(G)0.791.544.108.70NANA
SBI DAF-VIII-Reg(G)0.822.124.458.68NANA
UTI Dual Adv FTF-I-V(G)0.932.204.518.65NANA
UTI Dual Adv FTF-I-IV(G)1.042.304.388.63NANA
SBI DAF-VI-Reg(G)0.811.924.208.61NANA
Sundaram Hybrid Fund-Sr O-Reg(G)0.771.524.048.57NANA
Canara Rob CPO Fund-6-Reg(G)0.882.034.468.56NANA
Sundaram CPO-5Yrs-S7(G)0.761.324.248.54NANA
UTI CPO-VII-II(1281D)(G)1.042.034.868.53NANA
ICICI Pru Multiple Yield-11-A(G)1.032.785.958.50NANA
Sundaram CPO-5Yrs-S8(G)0.771.334.218.46NANA
DSPBR MIP Fund-Reg(G)0.681.815.778.468.9110.87
UTI CPO-VI-III(1098D)(G)0.982.154.648.36NANA
UTI CPO-VI-I(1098D)(G)1.312.614.668.36NANA
UTI CPO-V-I(1163D)(G)0.971.904.298.34NANA
SBI DAF-V-Reg(G)0.501.663.938.326.78NA
Kotak CPO-1(G)0.331.474.018.27NANA
ICICI Pru CPO Fund-VII-B-1285D(G)0.742.314.938.267.73NA
SBI DAF-XIV-Reg(G)0.461.814.298.26NANA
Reliance MIP(G)0.511.395.368.258.8511.38
ICICI Pru CPO Fund-VI-C-1825D(G)0.301.473.878.237.06NA
UTI CRTS 1981(D)1.132.794.768.216.2510.88
IDFC MIP-Reg(G)0.622.094.278.178.9111.29
SBI DAF-XV-Reg(G)0.531.944.848.15NANA
UTI CPO-VII-III(1279D)(G)1.071.844.368.13NANA
UTI CPO-VIII-II(1831D)(G)1.012.635.538.05NANA
UTI CPO-VI-II(1100D)(G)1.042.024.508.05NANA
BNP Paribas MIP Fund-Reg(G)0.502.045.548.028.6010.17
Union Asset Allocation Fund-Mod(G)0.562.914.767.995.18NA
ICICI Pru CPO Fund-VII-H-1284D(G)0.311.513.527.97NANA
SBI DAF-XVI-Reg(G)0.411.844.577.95NANA
Kotak CPO-2(G)0.411.454.027.92NANA
UTI Dual Adv FTF-I-III(G)0.711.963.877.92NANA
Canara Rob CPO Fund-4-Reg(G)0.731.833.537.89NANA
DSPBR Dual Advant-49-42M-Reg(G)0.021.404.207.87NANA
ICICI Pru CPO Fund-VIII-I-1290D(G)0.461.643.907.87NANA
ICICI Pru CPO Fund-IX-F-1120D(G)0.021.373.717.85NANA
ICICI Pru CPO Fund-IX-A-1101D(G)0.611.633.987.69NANA
DHFL Pramerica Hybrid FTF-13-Reg(G)1.242.043.287.686.24NA
HSBC Monthly Income Plan(G)0.931.433.947.688.1310.83
ICICI Pru Multiple Yield-7-B(G)0.331.703.527.676.49NA
ICICI Pru CPO Fund-VII-E-1284D(G)0.391.463.657.66NANA
SBI Regular Savings Fund(G)0.160.943.727.659.4110.37
ICICI Pru Multiple Yield-8-A(G)-0.071.333.987.646.87NA
ICICI Pru CPO Fund-IX-D-1378D(G)0.231.253.637.64NANA
ICICI Pru Multiple Yield-10-B(G)0.771.314.117.59NANA
ICICI Pru Multiple Yield-11-D(G)0.542.044.787.58NANA
ICICI Pru Multiple Yield-7-D(G)0.741.703.477.536.01NA
Canara Rob CPO Fund-7-Reg(G)0.571.393.677.52NANA
ICICI Pru CPO Fund-VII-C-1284D(G)-0.051.493.227.51NANA
ICICI Pru Multiple Yield-11-C(G)0.671.914.187.49NANA
ICICI Pru CPO Fund-IX-B-1103D(G)0.551.453.967.46NANA
Canara Rob MIP-Reg(G)0.041.023.497.377.029.77
HDFC Dual Advantage Fund-I-1100D-Aug 2015-Reg(G)0.761.753.707.31NANA
UTI Dual Adv FTF-III-II(G)0.802.174.217.28NANA
ICICI Pru CPO Fund-VIII-J-1284D(G)0.301.603.697.27NANA
Aditya Birla SL CPO Fund-Sr 290.381.563.517.23NANA
ICICI Pru CPO Fund-VIII-E-1107D(G)0.241.493.507.22NANA
ICICI Pru CPO Fund-VIII-C-1103D(G)0.562.174.337.21NANA
Tata Regular Saving Equity Fund-Reg(G)0.160.682.457.216.268.52
ICICI Pru CPO Fund-IX-C-1195D(G)0.601.283.627.20NANA
ICICI Pru CPO Fund-VIII-F-1115D(G)0.321.493.417.18NANA
ICICI Pru Multiple Yield-7-E(G)-0.101.032.807.166.48NA
HDFC Dual Advantage Fund-II-1160D-Jan 2016-Reg(G)0.551.663.747.15NANA
ICICI Pru CPO Fund-VII-F-1288D(G)0.591.863.927.14NANA
UTI MIS(G)0.381.424.817.118.519.78
HDFC CPO Fund-III-1207D-Dec14-Reg(G)0.811.803.467.10NANA
ICICI Pru CPO Fund-VIII-H-1105D(G)0.381.553.397.07NANA
Aditya Birla SL CPO Fund-Sr 300.461.643.837.06NANA
ICICI Pru CPO Fund-VIII-D-1101D(G)0.681.563.287.04NANA
UTI CPO-VII-IV(1278D)(G)0.581.684.047.03NANA
ICICI Pru CPO Fund-VII-G-1285D(G)0.701.483.297.03NANA
SBI Magnum MIP(G)-0.010.794.106.9410.4411.11
UTI CPO-VIII-I(1278D)(G)0.671.734.236.87NANA
Essel 3 in 1 Fund(G)0.221.303.046.856.997.49
ICICI Pru Multiple Yield-8-C(G)0.681.913.836.80NANA
HDFC Dual Advantage Fund-II-1099D-Mar 2016-Reg(G)0.511.523.596.77NANA
HDFC Dual Advantage Fund-II-1111D-Apr 2016-Reg(G)0.481.503.616.73NANA
ICICI Pru Multiple Yield-8-E(G)0.221.372.616.72NANA
Essel Income Plus Fund-Reg(G)0.170.873.066.727.639.05
LIC MF CPO Fund-5-Reg(G)0.901.713.106.715.67NA
UTI CPO-VIII-IV(1996D)(G)1.442.555.486.71NANA
ICICI Pru Multiple Yield-8-F(G)0.401.182.866.70NANA
ICICI Pru MIP(G)0.061.023.976.688.3310.37
UTI Dual Adv FTF-III-III(G)0.791.693.916.68NANA
HDFC Dual Advantage Fund-III-1304D-Aug 2016-Reg(G)0.471.443.766.67NANA
ICICI Pru Multiple Yield-7-C(G)0.391.263.166.646.11NA
Aditya Birla SL CPO Fund-Sr 220.270.892.776.615.94NA
ICICI Pru Multiple Yield-8-D(G)0.121.042.906.60NANA
ICICI Pru CPO Fund-VIII-G-1101D(G)0.451.473.166.56NANA
ICICI Pru CPO Fund-X-A-1235D(G)-0.291.213.096.50NANA
Canara Rob Yield Adv Fund-Reg(G)0.140.893.456.377.217.67
ICICI Pru CPO Fund-VIII-B-1103D(G)0.251.823.476.37NANA
Sundaram Regular Savings Fund(G)0.301.333.626.298.797.61
Axis Hybrid Fund-7-Reg(G)0.010.531.836.27-0.54NA
UTI CPO-VII-V(1281D)(G)0.691.843.996.23NANA
UTI CPO-VIII-III(1281D)(G)0.631.723.626.20NANA
HDFC Dual Advantage Fund-III-1267D-Oct 2016-Reg(G)0.381.333.606.19NANA
SBI DAF-III-Reg(G)0.270.842.126.185.68NA
DHFL Pramerica Arbitrage Fund-Reg(G)0.511.463.236.086.77NA
ICICI Pru CPO Fund-X-B-1375D(G)0.671.553.686.03NANA
ICICI Pru CPO Fund-VIII-A-1300D(G)0.021.152.535.97NANA
Edelweiss Arbitrage Fund-Reg(G)0.551.452.955.946.92NA
HDFC CPO Fund-III-1173D-Jan15-Reg(G)0.551.462.935.92NANA
L&T Arbitrage Opp Fund-Reg(G)0.551.512.465.886.75NA
Kotak Equity Arbitrage Scheme(G)0.551.483.035.836.758.00
Indiabulls Arbitrage Fund-Reg(G)0.551.452.765.82NANA
L&T MIP-Reg(G)0.150.913.985.807.478.65
DHFL Pramerica Hybrid FTF-12-Reg(G)0.811.503.065.790.87NA
UTI SPrEAD(G)0.541.482.955.776.657.40
Aditya Birla SL Enhanced Arbitrage Fund(G)0.531.492.915.746.697.45
Baroda Pioneer MIP(G)0.941.694.735.737.809.11
Axis Enhanced Arbitrage Fund-Reg(G)0.491.352.945.716.54NA
Reliance Arbitrage Advantage Fund(G)0.501.362.875.706.868.00
Franklin India MIP(G)0.981.574.665.668.6110.94
IDFC Arbitrage Fund-Reg(G)0.541.412.785.636.507.80
LIC MF MIP(G)1.792.864.495.626.718.19
Axis Hybrid Fund-6-Reg(G)0.030.551.845.60-0.80NA
Invesco India Arbitrage Fund(G)0.471.432.755.606.627.55
ICICI Pru Equity-Arbitrage Fund(G)0.491.412.825.586.708.08
Invesco India MIP Plus(G)0.121.123.355.567.247.31
LIC MF CPO Fund-2-Reg(G)1.282.063.205.555.23NA
SBI Arbitrage Opportunities Fund-Reg(G)0.551.412.875.526.447.69
HDFC Arbitrage-WP(G)0.471.342.755.486.627.57
Kotak CPO-4(G)0.301.203.385.33NANA
HDFC Arbitrage Fund(G)0.461.302.675.326.467.39
Aditya Birla SL Monthly Income(G)0.371.383.995.318.879.85
HSBC Managed Solutions India-Conservative(G)-0.030.543.325.277.79NA
JM Arbitrage Adv Fund(G)0.421.212.505.236.467.79
Kotak CPO-3(G)0.291.213.345.18NANA
Aditya Birla SL MIP(G)-0.340.043.585.108.149.33
Principal Arbitrage Fund(G)0.431.322.584.85NANA
Axis Hybrid Fund-5-Reg(G)0.000.521.854.63-1.31NA
IDFC Arbitrage Plus Fund-Reg(G)0.431.262.694.076.387.54
Aditya Birla SL MIP II - Savings 5 Plan(G)0.120.983.774.069.1510.28
Reliance Retirement Fund-Income Generation(G)-0.47-0.324.803.62NANA
DHFL Pramerica Hybrid FTF-17-Reg(G)0.230.771.583.563.23NA
IDBI MIP(G)-0.35-0.131.982.805.387.37
Canara Rob InDiGo Fund-Reg(G)0.170.571.541.443.713.57

Return Calculator

MARKET STATS As on 24/11/2017 As on 24/11/2017

10389.70 (0.40) 33679.24 (0.27)

TOP GAINERS

Company Price Change Gain (%)
KSS0.200.0533.33
Compuage Infocom31.505.2520.00

TOP LOSERS

Company Price Change Loss (%)
Peria Karamalai Tea275.85-26.60-8.79
Neuland Laboratories1037.70-95.90-8.46

Portfolio Comparison

MUTUAL FUND ACTIVITY