Hybrid Funds

SCHEME NAME1M (%)3M (%)6M (%)1Y (%)3Y (%)6Y (%)
BOI AXA Mid Cap Equity & Debt Fund-Reg(G)-6.701.2214.2029.92NANA
Principal Balanced Fund(G)-4.63-0.199.9424.9913.8417.14
UTI CCP Advantage Fund(G)-4.66-0.947.0822.5010.5915.03
Escorts Opportunities Fund(G)-3.341.0710.3920.908.6012.04
Tata Retirement Sav Fund - Mod Plan(G)-5.32-0.875.8220.6112.3218.00
SBI Infrastructure Fund-Reg(G)-7.68-1.178.7420.2711.5311.89
SBI Magnum Children Benefit Plan-1.540.948.3718.7714.3314.49
Indiabulls MIP-Reg(G)0.035.6012.6618.74NANA
HDFC Children’s Gift Fund-4.95-0.116.6018.6910.9916.89
HDFC Retirement Savings Fund-Hybrid-Equity Plan-Reg(G)-4.180.706.2417.98NANA
SBI Magnum Balanced Fund-Reg(D)-4.58-0.666.9817.399.5717.66
Reliance Reg Savings Fund-Balanced Option(G)-4.51-0.245.0417.2711.1516.50
HDFC Balanced Fund(G)-4.50-0.085.0717.1811.2816.89
Escorts Balanced Fund(G)-5.29-0.913.9216.378.0112.87
Mirae Asset Prudence Fund-Reg(G)-5.00-0.544.7916.21NANA
LIC MF ULIS-4.450.835.9215.645.2410.44
Principal Asset Alloc FOF Scheme-Aggr(G)-4.59-0.475.2015.64NANA
HSBC Managed Solutions India-Growth(G)-5.51-0.115.9215.5410.05NA
Axis Children's Gift Fund-No Lock in-Reg(G)-3.131.425.3215.54NANA
L&T India Prudence Fund-Reg(G)-4.80-0.463.5915.3710.5117.10
Canara Rob Balance Scheme-Reg(G)-3.190.694.2915.269.3615.27
Baroda Pioneer Balance Fund(G)-5.03-1.213.5215.198.3512.04
HDFC Prudence Fund(G)-6.65-2.885.3715.1010.1715.44
MOSt Focused Dynamic Equity Fund-Reg(G)-1.571.922.6414.58NANA
Aditya Birla SL CPO Fund-Sr 250.411.856.1214.484.23NA
SBI Dynamic Asset Allocation Fund-Reg(G)0.495.755.2414.45NANA
UTI Balanced Fund(G)-5.11-0.345.9014.449.6313.78
Axis Hybrid Fund-14-Reg(G)0.341.495.6514.353.70NA
Edelweiss Dynamic Equity Advantage Fund-Reg(G)-2.861.314.9214.236.5411.10
Axis Hybrid Fund-15-Reg(G)0.331.475.5714.143.57NA
ICICI Pru Balanced Fund(G)-3.89-0.166.6514.1111.1817.49
Sundaram Balanced Fund(G)-3.980.785.5113.667.689.97
Tata Young Citizen Fund-3.65-1.003.3213.577.7711.91
DSPBR Balanced Fund-Reg(G)-4.79-0.864.1013.2510.6014.05
HSBC Managed Solutions India-Moderate(G)-4.61-0.224.8013.259.72NA
DHFL Pramerica Hybrid FTF-35-1100D-Reg(G)0.512.056.0113.22NANA
DSPBR Dual Advant-45-38M-Reg(G)-4.351.285.0613.18NANA
DHFL Pramerica Hybrid FTF-5(G)0.461.705.5813.144.49NA
DSPBR Dual Advant-44-39M-Reg(G)-4.411.325.1313.13NANA
ICICI Pru Child Care Plan-Gift Plan-3.082.578.9612.968.5715.68
Franklin India Life Stage FOFs-20(G)-5.17-0.444.8412.889.1513.72
DHFL Pramerica Hybrid FTF-4(G)0.451.615.5012.874.347.91
Shriram Equity & Debt Opp Fund-Reg(G)-3.170.313.8312.836.11NA
HDFC Dynamic PE Ratio FOF-Reg(G)-4.52-1.793.9612.668.6710.21
DHFL Pramerica Hybrid FTF-39-1100D-Reg(G)-1.220.174.1712.65NANA
Aditya Birla SL Balanced '95 Fund(G)-4.66-1.842.6412.619.4915.73
DHFL Pramerica Hybrid FTF-41-1100D-Reg(G)-4.341.044.7912.59NANA
DSPBR Dual Advant-46-36M-Reg(G)-4.001.354.8112.58NANA
Reliance Dual Adv FTF-VII-D-1103D-(G)0.351.425.1312.52NANA
Aditya Birla SL CPO Fund-Sr 260.482.085.5312.35NANA
Baroda Pioneer Hybrid Fund-1(G)0.361.995.1312.31NANA
IDFC Dynamic Equity Fund-Reg(G)-2.470.374.7712.285.51NA
Axis Hybrid Fund-24-Reg(G)-4.160.794.3912.13NANA
DHFL Pramerica Hybrid FTF-40-1100D-Reg(G)-3.791.094.5812.11NANA
Axis Hybrid Fund-30-Reg(G)-4.130.994.4712.10NANA
Reliance Dual Adv FTF-IX-E-1151D-(G)-4.091.144.4111.96NANA
Reliance Dual Adv FTF-VII-E-1102D-(G)0.381.524.8511.92NANA
Axis Hybrid Fund-23-Reg(G)-4.170.774.3011.81NANA
Axis Hybrid Fund-27-Reg(G)-3.751.084.3811.78NANA
Axis Hybrid Fund-22-Reg(G)-3.910.874.3111.71NANA
Axis Hybrid Fund-18-Reg(G)-3.970.974.4311.663.97NA
UTI Dual Adv FTF-II-III(G)-1.600.994.8511.66NANA
Axis Hybrid Fund-29-Reg(G)-3.960.974.3111.65NANA
ICICI Pru Balanced Advantage Fund(G)-1.920.394.5111.639.2314.82
UTI Retirement Benefit Pension-2.680.394.5611.629.3611.26
Axis Hybrid Fund-28-Reg(G)-3.861.014.3211.62NANA
Axis Hybrid Fund-26-Reg(G)-3.831.074.4611.59NANA
Axis Triple Advantage Fund(G)-2.301.783.8511.506.218.38
Axis Hybrid Fund-32-Reg(G)-3.731.264.2111.41NANA
Axis Hybrid Fund-31-Reg(G)-3.821.184.1711.41NANA
Axis Hybrid Fund-35-Reg(G)-3.581.274.2011.32NANA
UTI ULIP(G)-2.600.513.7811.188.2010.69
Axis Hybrid Fund-19-Reg(G)-4.010.894.2411.143.60NA
Kotak Balance(D)-5.080.025.2411.128.8212.63
JM Balanced Fund(G)-3.690.923.2610.975.2912.41
DHFL Pramerica Hybrid FTF-34-1240D-Reg(G)-3.251.444.6310.865.38NA
Franklin India Life Stage FOFs-30(G)-3.51-0.053.9310.808.7312.03
Axis CPO Fund-Sr 5(G)-4.010.863.8910.772.59NA
Axis Hybrid Fund-33-Reg(G)-2.971.254.3110.77NANA
IDBI Prudence Fund(G)-3.610.144.7410.76NANA
BOI AXA Regular Return Fund-Reg(G)-1.930.764.1110.768.909.86
HSBC CPO-II-Plan I(G)-2.771.184.3110.72NANA
Principal Asset Alloc FOF Scheme-Mod(G)-2.51-0.023.4510.67NANA
IDFC Balanced Fund-Reg(G)-4.55-1.282.0310.64NANA
HSBC CPO-II-Plan II(G)-2.691.214.3010.60NANA
Franklin India Balanced Fund(G)-4.56-1.523.0510.558.1314.91
Axis Equity Saver Fund-Reg(G)-1.760.862.9810.54NANA
DSPBR Dual Advant-36-36M-Reg(G)-4.01-0.323.4610.49NANA
BOI AXA CPO-4-Reg(G)-3.690.813.9710.38NANA
DHFL Pramerica Hybrid FTF-37-1280D-Reg(G)-1.26-0.333.2610.26NANA
BOI AXA CPO-3-Reg(G)-3.880.944.0810.163.27NA
BOI AXA CPO-5-Reg(G)-3.340.833.7910.15NANA
UTI CC Balanced Plan-2.110.163.7610.138.8912.68
ICICI Pru Multiple Yield-9-A(G)-0.271.504.3010.11NANA
Aditya Birla SL Financial Planning FOF Prudent Plan(G)-2.350.092.5510.027.9710.51
UTI Dual Adv FTF-III-I(G)-1.880.343.879.97NANA
DSPBR Dual Advant-35-36M-Reg(G)-4.14-0.093.289.86NANA
DHFL Pramerica Hybrid FTF-6(G)-3.600.743.829.832.43NA
DHFL Pramerica Balanced Advantage Fund(G)-3.550.134.399.764.7312.32
Tata Balanced Fund(G)-5.17-0.353.239.756.4415.88
UTI Dual Adv FTF-II-IV(G)-1.750.473.469.74NANA
DHFL Pramerica Hybrid FTF-7(G)-3.220.863.759.652.84NA
UTI Dual Adv FTF-II-II(G)-1.71-0.102.729.59NANA
UTI Wealth Builder Fund(G)-2.380.364.799.584.868.16
LIC MF Balanced Fund(G)-5.82-2.636.409.482.7710.17
UTI Dual Adv FTF-II-I(G)-1.930.373.879.42NANA
ICICI Pru MIP 25(G)-1.65-0.301.609.428.7911.21
Franklin India Dynamic PE Ratio FOFs(G)-1.950.503.369.378.0510.68
Canara Rob CPO Fund-5-Reg(G)-2.740.953.719.35NANA
Franklin India Life Stage FOFs-40(G)-2.180.263.279.228.4411.03
HDFC Multiple Yield Fund 2005(G)-0.970.794.859.168.019.96
Axis Hybrid Fund-25-Reg(G)-3.860.482.169.14NANA
UTI Dual Adv FTF-II-V(G)-2.020.263.599.13NANA
Axis Income Saver Fund(G)-1.290.592.759.036.559.21
HDFC Retirement Savings Fund-Hybrid-Debt Plan-Reg(G)-1.67-0.262.398.97NANA
Tata Retirement Sav Fund - Cons Plan(G)-2.70-1.051.528.958.5410.34
Union CPO-6-Reg(G)0.321.203.898.89NANA
DSPBR Dual Advant-39-36M-Reg(G)-0.620.662.408.85NANA
UTI MIS Adv Plan(G)-1.90-0.102.048.688.0610.59
Sundaram Hybrid Fund-Sr K-Reg(G)-1.750.993.108.665.69NA
Sundaram Hybrid Fund-Sr H-Reg(G)-1.770.832.898.555.85NA
Aditya Birla SL Monthly Income(G)0.371.122.528.537.779.36
Sundaram Hybrid Fund-Sr F-Reg(G)-1.730.852.938.525.77NA
IDFC Asset Alloc-Cons-Reg(G)-0.870.352.448.317.809.85
Franklin India Life Stage FOFs-50(G)-1.150.372.648.248.209.34
LIC MF Dual Adv FTP-1-Reg(G)-3.06-1.543.638.02NANA
ICICI Pru CPO Fund-VII-B-1285D(G)-0.761.013.307.997.28NA
Reliance Dual Adv FTF-III-C(G)-1.470.443.107.972.46NA
Reliance Dual Adv FTF-IX-C-1161D-(G)-1.630.363.067.96NANA
BNP Paribas MIP Fund-Reg(G)-1.60-0.461.577.956.799.42
Reliance Dual Adv FTF-IX-A-1227D-(G)-1.690.262.967.92NANA
Reliance Dual Adv FTF-IX-D-1292D-(G)-1.600.202.787.90NANA
SBI DAF-VIII-Reg(G)0.281.693.787.89NANA
Reliance Dual Adv FTF-IX-B-1201D-(G)-1.600.343.017.89NANA
Franklin India Life Stage FOFs-50s +FR(G)-0.990.813.237.897.829.31
Aditya Birla SL MIP II-Wealth 25(G)-2.76-2.10-1.007.869.2212.46
ICICI Pru CPO Fund-IV-F-60M(G)-2.110.412.557.847.38NA
Reliance Dual Adv FTF-IX-F-1150D-(G)-1.480.262.827.80NANA
UTI CPO-VI-I(1098D)(G)-0.411.694.377.78NANA
SBI DAF-VII-Reg(G)0.241.463.437.766.78NA
UTI Dual Adv FTF-I-IV(G)-0.581.653.947.75NANA
ICICI Pru Multiple Yield-4-A(G)-2.150.923.237.736.49NA
ICICI Pru Child Care Plan-Study Plan-1.87-0.631.017.739.6914.13
ICICI Pru Multiple Yield-4-B(G)-2.150.903.197.726.49NA
Principal Smart Equity Fund(G)-1.840.362.237.715.7011.83
Aditya Birla SL Financial Planning FOF Conservative Plan(G)-0.900.672.367.706.988.40
L&T Dynamic Equity Fund-Reg(G)-1.191.063.957.703.7713.66
Reliance Dual Adv FTF-IV-A(G)-1.410.422.997.651.63NA
Reliance Dual Adv FTF-X-C-1318D-(G)-1.74-0.092.397.63NANA
Reliance Dual Adv FTF-X-A-1370D-(G)-1.75-0.142.377.63NANA
Franklin India Pension Plan(G)-3.02-1.181.377.626.9011.72
ICICI Pru CPO Fund-V-A-5Y(G)-2.320.422.177.617.20NA
SBI Magnum MIP-Floater Plan(G)-1.170.703.747.618.7510.58
UTI Smart Woman Savings Plan(G)-2.27-0.541.447.597.269.41
LIC MF Dual Adv FTP-3-Reg(G)-3.60-2.073.517.57NANA
ICICI Pru CPO Fund-VII-A-1285D(G)-1.041.212.897.566.70NA
ICICI Pru Multiple Yield-4-D(G)-2.230.722.947.546.33NA
ICICI Pru CPO Fund-III-H-60M(G)-2.150.642.557.516.85NA
Reliance Dual Adv FTF-X-B-1339D-(G)-1.70-0.042.377.50NANA
UTI CPO-V-II(1135D)(G)-0.821.253.527.50NANA
Quantum Multi Asset Fund(G)-Direct Plan-1.270.723.727.507.84NA
BOI AXA Equity Debt Rebalancer Fund-Reg(G)-1.51-0.410.367.496.43NA
ICICI Pru Multiple Yield-11-A(G)-1.00-0.172.617.49NANA
DHFL Pramerica Hybrid FTF-11-Reg(G)-0.750.671.707.491.53NA
Reliance Dual Adv FTF-X-E-1100D-(G)-1.610.072.547.48NANA
Reliance Dual Adv FTF-X-D-1311D-(G)-1.69-0.122.307.46NANA
Sundaram MIP-Aggr Plan(G)-2.02-0.522.357.458.609.90
HDFC MIP-STP(G)-2.65-1.861.127.456.958.79
Aditya Birla SL Balanced Advantage Fund(G)-2.74-0.770.877.429.7712.03
LIC MF Dual Adv FTP-2-Reg(G)-3.20-1.773.407.41NANA
DSPBR MIP Fund-Reg(G)-1.57-0.481.157.367.619.54
UTI CPO-VII-I(1098D)(G)-0.780.652.947.36NANA
UTI CPO-VIII-IV(1996D)(G)-1.020.102.707.36NANA
Reliance Dual Adv FTF-VIII-A-1101D-(G)-0.781.073.467.36NANA
ICICI Pru Multiple Yield-11-B(G)-1.23-0.051.967.31NANA
ICICI Pru Multiple Yield-3-D(G)-1.080.391.887.307.01NA
UTI Dual Adv FTF-I-II(G)-0.500.923.147.306.86NA
ICICI Pru CPO Fund-IX-E-1325D(G)-1.020.701.937.29NANA
Tata Dual Advantage Fund-3-A(G)-0.790.662.717.29NANA
Aditya Birla SL MIP II - Savings 5 Plan(G)0.160.501.487.287.919.72
Kotak MIP(G)-2.26-1.411.107.258.1210.07
ICICI Pru CPO Fund-IV-G-60M(G)-2.120.192.187.247.20NA
Reliance MIP(G)-1.74-0.920.447.206.839.88
UTI Dual Adv FTF-I-V(G)-0.591.123.357.13NANA
SBI DAF-XII-Reg(G)-1.240.222.337.11NANA
Reliance Dual Adv FTF-VIII-B-1099D-(G)-0.781.153.347.09NANA
UTI CPO-V-I(1163D)(G)-0.781.493.467.096.75NA
Reliance Dual Adv FTF-X-F-1355D-(G)-1.65-0.232.087.05NANA
Canara Rob CPO Fund-6-Reg(G)-0.500.562.577.03NANA
ICICI Pru CPO Fund-IX-F-1120D(G)-0.551.032.277.02NANA
ICICI Pru CPO Fund-VI-A-1825D(G)-1.760.632.257.026.65NA
SBI DAF-XVIII-Reg(G)-1.47-0.101.917.02NANA
Union Asset Allocation Fund-Mod(G)-1.591.354.027.004.95NA
ICICI Pru CPO Fund-III-G-60M(G)-2.270.242.056.996.84NA
DSPBR Dynamic Asset Allocation Fund-Reg(G)-1.25-0.280.826.977.16NA
ICICI Pru CPO Fund-IV-C-60M(G)-2.030.542.216.966.49NA
ICICI Pru CPO Fund-IV-D-60M(G)-2.190.162.186.966.35NA
DHFL Pramerica Income Advantage Fund(G)-1.591.053.646.967.247.53
UTI MIS(G)-1.34-0.510.886.937.248.88
UTI CPO-VII-II(1281D)(G)-0.830.922.996.92NANA
SBI DAF-XI-Reg(G)-0.990.352.426.92NANA
ICICI Pru Multiple Yield-11-D(G)-1.280.172.196.91NANA
SBI DAF-IX-Reg(G)-0.760.582.716.84NANA
Sundaram CPO-5Yrs-S8(G)-1.410.231.486.82NANA
ICICI Pru CPO Fund-IV-A-60M(G)-1.940.402.106.806.81NA
SBI DAF-XIX-Reg(G)-1.43-0.161.866.80NANA
SBI Regular Savings Fund(G)0.040.461.406.778.679.60
ICICI Pru Multiple Yield-3-C(G)-1.130.281.656.766.41NA
ICICI Pru CPO Fund-VIII-C-1103D(G)-0.850.832.996.76NANA
Reliance Dual Adv FTF-VIII-C-1101D-(G)-0.850.892.976.75NANA
Sundaram CPO-5Yrs-S7(G)-1.410.201.456.74NANA
UTI Dual Adv FTF-I-III(G)-0.381.223.216.74NANA
SBI DAF-X-Reg(G)-1.090.152.036.74NANA
Sundaram Hybrid Fund-Sr N-Reg(G)-0.930.712.306.73NANA
ICICI Pru Multiple Yield-5-C(G)-1.711.062.736.736.77NA
HDFC MIP-LTP(G)-3.31-2.69-0.076.727.6010.21
ICICI Pru Multiple Yield-10-A(G)-1.580.522.006.65NANA
SBI DAF-XIII-Reg(G)-1.120.282.326.65NANA
Canara Rob CPO Fund-4-Reg(G)-0.390.952.806.65NANA
UTI CPO-VI-III(1098D)(G)-0.670.462.686.62NANA
Sundaram Hybrid Fund-Sr P-Reg(G)-1.060.421.906.60NANA
Sundaram Hybrid Fund-Sr O-Reg(G)-1.060.501.976.59NANA
UTI CPO-VII-III(1279D)(G)-0.650.762.676.59NANA
ICICI Pru CPO Fund-VII-D-1822D(G)-1.620.491.926.556.18NA
ICICI Pru Multiple Yield-7-D(G)-0.551.263.006.535.69NA
Franklin India Multi-Asset Solution Fund(G)-1.780.522.886.535.79NA
ICICI Pru Multiple Yield-6-D(G)-2.050.301.866.536.18NA
SBI DAF-XVII-Reg(G)-1.010.121.986.50NANA
Sundaram Hybrid Fund-Sr M-Reg(G)-1.000.582.206.43NANA
ICICI Pru Multiple Yield-10-B(G)-1.170.581.956.37NANA
ICICI Pru Multiple Yield-11-C(G)-1.300.152.006.36NANA
UTI Dual Adv FTF-III-II(G)-0.660.953.136.35NANA
UTI CPO-VIII-II(1831D)(G)-1.86-0.512.096.32NANA
DSPBR Dual Advant-49-42M-Reg(G)-1.080.441.846.32NANA
ICICI Pru CPO Fund-V-C-1825D(G)-2.080.281.756.306.55NA
Franklin India MIP(G)-1.58-0.720.846.306.6610.03
ICICI Pru MIP(G)-0.97-0.350.706.267.039.49
ICICI Pru CPO Fund-VII-F-1288D(G)-1.020.672.526.256.02NA
SBI DAF-XVI-Reg(G)-0.900.201.996.23NANA
UTI CPO-VI-II(1100D)(G)-0.650.352.446.22NANA
Reliance Arbitrage Advantage Fund(G)0.861.893.286.206.628.00
DHFL Pramerica Hybrid FTF-13-Reg(G)-0.731.393.316.185.94NA
Sundaram Regular Savings Fund(G)0.310.972.316.188.087.16
ICICI Pru CPO Fund-IX-B-1103D(G)-0.830.501.916.16NANA
Aditya Birla SL Dual Adv Fund-I-Reg(G)-0.730.141.816.15NANA
ICICI Pru CPO Fund-VII-E-1284D(G)-0.990.672.106.145.84NA
L&T Arbitrage Opp Fund-Reg(G)0.551.533.096.146.49NA
SBI DAF-XV-Reg(G)-1.100.252.106.12NANA
Kotak Equity Arbitrage Scheme(G)0.571.553.086.116.507.89
BNP Paribas Enhanced Arbitrage Fund-Reg(G)0.631.252.846.09NANA
ICICI Pru CPO Fund-VII-H-1284D(G)-1.020.451.936.09NANA
L&T MIP-Reg(G)-1.49-0.460.466.095.527.90
ICICI Pru CPO Fund-XI-A-2056D(G)-1.460.211.466.09NANA
Canara Rob Yield Adv Fund-Reg(G)0.160.501.436.047.087.21
ICICI Pru Multiple Yield-8-A(G)-1.300.401.786.045.72NA
ICICI Pru Multiple Yield-6-C(G)-1.760.291.566.036.42NA
ICICI Pru CPO Fund-IX-C-1195D(G)-0.690.682.006.03NANA
Kotak CPO-1(G)-0.510.591.996.02NANA
IDFC MIP-Reg(G)-2.35-0.691.236.007.2710.20
ICICI Pru CPO Fund-VIII-E-1107D(G)-0.580.742.185.96NANA
ICICI Pru CPO Fund-VI-C-1825D(G)-1.630.662.075.966.13NA
Indiabulls Arbitrage Fund-Reg(G)0.561.653.125.956.80NA
UTI CPO-VII-IV(1278D)(G)-0.620.622.285.95NANA
Edelweiss Arbitrage Fund-Reg(G)0.531.513.025.946.60NA
UTI SPrEAD(G)0.551.523.055.926.397.33
DHFL Pramerica Arbitrage Fund-Reg(G)0.411.292.755.906.41NA
SBI Arbitrage Opportunities Fund-Reg(G)0.711.663.115.866.237.64
HDFC Dual Advantage Fund-I-1100D-Aug 2015-Reg(G)-0.530.682.415.84NANA
Invesco India Arbitrage Fund(G)0.581.593.035.816.387.49
IDFC Arbitrage Fund-Reg(G)0.601.552.975.806.287.69
Kotak CPO-2(G)-0.720.451.875.79NANA
SBI DAF-XIV-Reg(G)-1.150.161.935.78NANA
ICICI Pru CPO Fund-IX-D-1378D(G)-1.200.291.505.77NANA
HDFC CPO Fund-III-1207D-Dec14-Reg(G)-0.650.842.615.765.49NA
ICICI Pru CPO Fund-VIII-I-1290D(G)-1.430.241.805.74NANA
Axis Enhanced Arbitrage Fund-Reg(G)0.521.632.995.736.35NA
UTI Dual Adv FTF-III-III(G)-0.520.792.465.73NANA
Aditya Birla SL Enhanced Arbitrage Fund(G)0.511.432.955.716.347.46
ICICI Pru Equity-Arbitrage Fund(G)0.521.482.925.716.428.05
ICICI Pru CPO Fund-VIII-D-1101D(G)-1.070.662.235.70NANA
UTI CPO-VIII-I(1278D)(G)-0.720.382.145.69NANA
ICICI Pru CPO Fund-VIII-F-1115D(G)-0.670.692.185.69NANA
HDFC Dual Advantage Fund-II-1160D-Jan 2016-Reg(G)-0.560.572.235.69NANA
ICICI Pru CPO Fund-IX-A-1101D(G)-0.950.171.775.65NANA
ICICI Pru CPO Fund-VIII-B-1103D(G)-0.800.812.635.60NANA
Canara Rob CPO Fund-7-Reg(G)-0.590.101.485.58NANA
Aditya Birla SL CPO Fund-Sr 30-0.440.321.895.57NANA
ICICI Pru CPO Fund-VII-C-1284D(G)-1.020.582.015.555.72NA
ICICI Pru CPO Fund-VIII-J-1284D(G)-0.990.492.055.51NANA
LIC MF MIP(G)-1.33-0.292.685.466.057.51
ICICI Pru Multiple Yield-7-B(G)-1.490.472.175.455.44NA
Canara Rob MIP-Reg(G)-1.94-1.19-0.215.455.368.85
ICICI Pru CPO Fund-X-A-1235D(G)-0.420.741.835.41NANA
UTI CRTS 1981(D)-1.99-1.251.525.405.309.06
HDFC Arbitrage-WP(G)0.401.292.655.406.317.41
UTI Dual Adv FTF-IV-I(G)-0.780.502.455.37NANA
ICICI Pru CPO Fund-X-B-1375D(G)-0.840.462.065.36NANA
ICICI Pru CPO Fund-VII-G-1285D(G)-1.070.632.105.35NANA
Baroda Pioneer MIP(G)-2.20-1.52-0.025.355.768.14
ICICI Pru CPO Fund-VIII-G-1101D(G)-0.700.722.215.35NANA
HDFC Dual Advantage Fund-III-1304D-Aug 2016-Reg(G)-0.680.241.665.34NANA
UTI CPO-VII-V(1281D)(G)-0.590.702.505.34NANA
HDFC Dual Advantage Fund-II-1111D-Apr 2016-Reg(G)-0.540.451.935.33NANA
HDFC Dual Advantage Fund-II-1099D-Mar 2016-Reg(G)-0.590.481.975.28NANA
IDFC Arbitrage Plus Fund-Reg(G)0.421.232.455.255.947.38
Aditya Birla SL CPO Fund-Sr 29-0.620.301.755.25NANA
HDFC Arbitrage Fund(G)0.391.252.575.246.167.24
HDFC CPO Fund-III-1173D-Jan15-Reg(G)-0.310.952.405.185.48NA
UTI Dual Adv FTF-IV-II(G)-0.550.412.065.17NANA
ICICI Pru CPO Fund-VIII-H-1105D(G)-0.830.371.945.13NANA
ICICI Pru CPO Fund-XI-B-1222D(G)-0.90-0.081.705.10NANA
SBI Magnum MIP(G)-1.85-1.46-0.745.078.0010.12
JM Arbitrage Adv Fund(G)0.461.332.565.076.197.62
Principal Arbitrage Fund(G)0.471.422.725.07NANA
Essel 3 in 1 Fund(G)-0.980.491.645.076.016.97
Kotak CPO-4(G)-0.360.541.735.05NANA
ICICI Pru Multiple Yield-7-C(G)-1.340.481.815.005.26NA
HDFC Dual Advantage Fund-III-1224D-Nov 2016-Reg(G)-0.730.141.424.97NANA
ICICI Pru Multiple Yield-7-E(G)-1.440.181.274.965.19NA
HDFC Dual Advantage Fund-III-1267D-Oct 2016-Reg(G)-0.720.181.494.96NANA
Aditya Birla SL CPO Fund-Sr 220.250.691.564.965.44NA
Kotak CPO-3(G)-0.360.591.794.95NANA
Essel Income Plus Fund-Reg(G)-1.30-0.440.294.946.418.34
HSBC Monthly Income Plan(G)-2.76-1.80-0.414.945.859.39
UTI Dual Adv FTF-IV-III(G)-0.650.232.274.92NANA
DHFL Pramerica Hybrid FTF-12-Reg(G)-0.650.932.294.920.53NA
ICICI Pru CPO Fund-VIII-A-1300D(G)-0.720.701.864.78NANA
UTI CPO-VIII-III(1281D)(G)-0.660.262.034.76NANA
Reliance Retirement Fund-Income Generation(G)-3.10-2.50-2.794.575.76NA
HSBC Managed Solutions India-Conservative(G)-1.06-0.730.004.546.16NA
Tata Regular Saving Equity Fund-Reg(G)-1.070.120.804.524.597.73
SBI DAF-III-Reg(G)0.380.911.764.415.02NA
ICICI Pru Multiple Yield-8-D(G)-1.73-0.031.034.285.30NA
LIC MF CPO Fund-2-Reg(G)-0.790.002.114.044.45NA
Invesco India MIP Plus(G)-1.60-0.860.453.725.706.55
Aditya Birla SL MIP(G)-1.23-2.67-2.603.656.078.18
DHFL Pramerica Hybrid FTF-17-Reg(G)0.250.701.483.132.92NA
LIC MF Children's Gift Fund(G)-4.88-3.470.443.104.279.35
Axis Hybrid Fund-7-Reg(G)-0.010.150.693.09-1.13NA
Axis Hybrid Fund-6-Reg(G)0.020.190.752.96-1.36NA
Axis Hybrid Fund-5-Reg(G)-0.080.060.592.86-1.91NA
Canara Rob InDiGo Fund-Reg(G)0.310.701.142.173.423.44
IDBI MIP(G)-1.55-1.55-1.661.113.536.56

Return Calculator

MARKET STATS As on 23/02/2018 As on 23/02/2018

10491.05 (1.04) 34142.15 (0.95)

TOP GAINERS

Company Price Change Gain (%)
MPS Infotecnics0.250.0525.00
Archies40.506.7520.00

TOP LOSERS

Company Price Change Loss (%)
MVL0.40-0.05-11.11
Jubilant LifeScience883.80-108.00-10.89

Portfolio Comparison

MUTUAL FUND ACTIVITY