Category Returns

Scheme Name NAV () Inception Date 1M (%) 3M (%) 6M (%) 1Y (%) 3Y (%) 5Y (%) Since Inception(%)
Franklin India Corp Debt Fund-A(G)68.9514-Jul-1997-1.353.758.6810.457.978.629.03
Kotak Corporate Bond Fund(G)2600.8124-Sep-20076.999.4610.0210.097.949.188.24
Aditya Birla SL Corp Bond Fund(G)75.4303-Mar-19976.337.6410.1810.577.698.649.34
HDFC Corp Bond Fund(G)21.9629-Jun-20103.636.8411.0811.367.688.678.83
ICICI Pru Corp Bond Fund(G)20.0712-Aug-20095.628.029.9110.017.368.257.08
Nippon India Prime Debt Fund(G)40.6314-Sep-20003.328.387.108.387.087.937.62
IDFC Corp Bond Fund-Reg(G)13.3112-Jan-20166.978.468.559.477.00NA7.90
Sundaram Corp Bond Fund(G)27.6331-Dec-20047.2010.7012.3612.766.938.827.11
Canara Rob Corp Bond Fund-Reg(G)15.6107-Feb-20144.877.059.8810.336.587.698.14
L&T Triple Ace Bond Fund-Reg(G)49.7631-Mar-19970.611.4316.2014.126.397.777.37
PGIM India Premier Bond Fund(G)30.1631-Jan-20032.625.8810.138.525.756.906.83
Invesco India Corporate Bond Fund(G)2212.5003-Aug-20076.3010.4211.1811.835.597.526.72
BNP Paribas Corp Bond Fund(G)19.3710-Nov-20080.246.90-7.031.514.076.326.23
Edelweiss Corporate Bond Fund-Reg(G)12.7919-Sep-20143.764.65-20.99-5.211.764.814.96
Tata Corp Bond Fund-Reg(G)1398.4117-Jul-20076.337.91-76.16-38.89-12.43-4.592.77
Axis Corp Debt Fund-Reg(G)11.5813-Jul-20175.509.392.906.66NANA6.69
DSP Corp Bond Fund-Reg(G)11.3510-Sep-20186.6610.2811.2212.35NANA12.25
Union Corporate Bond Fund-Reg(G)10.7025-May-20184.9111.600.464.85NANA4.99
UTI Corporate Bond Fund-Reg(G)11.2408-Aug-201813.048.6613.0312.29NANA10.31
SBI Corp Bond Fund-Reg(G)10.7901-Feb-20196.049.2011.08NANANA11.25
Tata Corp Bond Fund-Reg(G)(Segregated Portfolio 1)226.3217-Jun-2019-94.65-28.30NANANANA-19.86

Return Calculator

MARKET STATS As on 16/10/2019 As on 16/10/2019

11464.00 (0.31) 38598.99 (0.24)

TOP GAINERS

Company Price Change Gain (%)
JIK Industries0.200.0533.33
Karuturi Global0.200.0533.33

TOP LOSERS

Company Price Change Loss (%)
KSS0.05-0.05-50.00
Autoline Inds26.35-6.20-19.05

Portfolio Comparison

MUTUAL FUND ACTIVITY