Category Returns

Scheme Name NAV () Inception Date 1M (%) 3M (%) 6M (%) 1Y (%) 3Y (%) 5Y (%) Since Inception(%)
Franklin India ST Income Plan(G)4074.8004-Feb-2002-0.472.853.727.777.838.408.28
Baroda ST Bond Fund(G)20.8002-Jul-20106.206.949.439.337.738.408.19
HDFC Short Term Debt Fund(G)21.7025-Jun-20106.158.989.7210.077.598.318.68
IDFC Bond Fund - Short Term Plan-Reg(G)40.0014-Dec-20006.109.519.8710.697.277.957.63
Axis Short Term Fund(G)21.2725-Jan-20105.588.839.8910.197.268.078.06
L&T Short Term Bond Fund-Reg(G)18.7327-Dec-20116.299.259.6710.157.167.878.38
SBI Short Term Debt Fund-Reg(G)22.4902-Aug-20075.698.8410.2410.147.108.056.85
Canara Rob Short Duration Fund-Reg(G)18.3226-Apr-20114.867.828.779.277.087.167.40
ICICI Pru Short Term Fund(G)40.5329-Oct-20014.618.049.529.817.058.268.09
Aditya Birla SL Short Term Opp Fund(G)32.5109-May-20037.968.2410.009.866.998.397.43
Kotak Bond-STP(G)36.6103-May-20025.778.349.8710.336.987.947.71
Nippon India Short Term Fund(G)36.4618-Dec-20026.129.289.4810.106.717.937.99
DSP Short Term Fund-Reg(G)33.0311-Sep-20025.808.959.749.926.697.757.23
Indiabulls Short Term Fund(G)1590.0413-Sep-2013-3.610.824.737.276.577.747.92
Invesco India Short Term Fund(G)2548.3726-Mar-20075.748.729.7610.046.577.527.73
BNP Paribas Short Term Fund(G)21.8423-Apr-20094.048.785.237.526.337.525.31
IDBI ST Bond(G)18.3324-Mar-20114.155.16-2.193.654.796.267.33
Tata ST Bond Fund(G)34.1009-Aug-20026.127.469.876.304.736.517.40
PGIM India Short Maturity Fund(G)32.6228-Jan-2003325.6130.39-5.240.774.226.337.33
JM Short Term Fund(G)25.0407-Apr-2003-15.91-2.67-7.54-0.063.665.775.71
HSBC Short Duration Fund(G)28.9727-Dec-20025.427.69-8.720.033.395.566.51
Edelweiss Short Term Fund-Reg(G)15.8825-Mar-20107.598.92-11.07-0.713.361.684.95
Principal Short Term Debt Fund(G)30.8513-May-20034.726.91-10.13-0.853.325.727.09
UTI ST Income Fund-Reg(G)20.8518-Sep-20076.939.38-14.66-3.612.665.416.27
Sundaram Short Term Debt Fund(G)29.0905-Sep-20025.22-12.74-17.03-4.462.084.776.44
BOI AXA Short Term Income Fund-Reg(G)16.8322-Dec-20085.67-26.90-32.82-13.44-0.863.264.93
LIC MF ST Debt Fund-Reg(G)10.7001-Feb-20195.727.939.78NANANA10.05
Mirae Asset Short Term Fund(G)11.2616-Mar-20186.918.229.6410.02NANA7.78

Return Calculator

MARKET STATS As on 15/10/2019 As on 15/10/2019

11441.85 (0.89) 38553.08 (0.89)

TOP GAINERS

Company Price Change Gain (%)
Impex Ferro Tech0.300.0520.00
Prime Focus51.058.5019.98

TOP LOSERS

Company Price Change Loss (%)
Visagar Polytex0.15-0.05-25.00
Neulands Global Inds0.15-0.05-25.00

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