Category Returns

Scheme Name NAV () Inception Date 1M (%) 3M (%) 6M (%) 1Y (%) 3Y (%) 5Y (%) Since Inception(%)
DSP Dual Advant-45-38M-Reg(G)13.5919-May-2016-6.5111.4016.847.239.58NA10.39
DSP Dual Advant-44-39M-Reg(G)13.4418-Apr-2016-8.5411.8316.356.899.35NA9.71
Axis Hybrid Fund-30-Reg(G)14.1811-Feb-2016-3.1812.5616.567.369.30NA10.92
Axis Hybrid Fund-29-Reg(G)13.6301-Feb-2016-3.1912.1616.107.238.90NA9.53
Axis Hybrid Fund-28-Reg(G)13.0418-Nov-2015-1.1110.9914.306.518.60NA7.65
ICICI Pru Multiple Yield-10-B(G)13.0213-Jan-20166.0711.3212.0810.338.49NA7.94
ICICI Pru Multiple Yield-10-A(G)13.1508-Dec-20158.1412.3412.899.788.11NA8.02
Reliance Dual Adv FTF-IX-D-1292D-(G)12.6309-Jun-2016-1.248.959.847.818.03NA7.98
Axis Hybrid Fund-27-Reg(G)12.5029-Oct-20153.138.279.264.537.96NA6.30
Reliance Dual Adv FTF-III-C(G)15.9206-Jun-2013-1.967.778.377.047.845.407.98
Sundaram Hybrid Fund-Sr K-Reg(G)13.8611-Jul-20145.486.177.355.297.53NA7.12
ICICI Pru Multiple Yield-7-C(G)14.0505-Sep-20148.1211.7911.8410.027.02NA7.33
Reliance Dual Adv FTF-IV-A(G)16.0306-Aug-2013-2.347.087.836.686.964.808.35
DHFL Pramerica Hybrid FTF-11-Reg(G)15.7705-Feb-20136.2010.329.506.966.945.047.39
UTI ULIP(G)24.9101-Jan-1972-31.64-9.49-1.88-1.406.787.7910.91
ICICI Pru Multiple Yield-8-A(G)13.4710-Nov-20147.179.749.968.286.69NA6.65
ICICI Pru Multiple Yield-7-B(G)14.2724-Jul-20145.869.679.767.566.57NA7.49
ICICI Pru Multiple Yield-7-E(G)13.8209-Oct-20147.1011.9711.448.126.35NA7.11
ICICI Pru Multiple Yield-8-D(G)13.3917-Dec-20147.8513.0912.268.856.22NA6.67
DHFL Pramerica Hybrid FTF-12-Reg(G)16.0222-Mar-20136.0510.569.476.946.134.537.82
Axis Hybrid Fund-7-Reg(G)14.0605-Sep-2013-5.9810.378.756.293.943.006.05
Axis Hybrid Fund-6-Reg(G)14.0616-Aug-2013-6.1710.508.786.303.742.845.99
Axis Hybrid Fund-5-Reg(G)13.6325-Jul-2013-6.6610.238.696.213.212.495.37
Axis Hybrid Fund-31-Reg(G)11.5119-Jul-2016-63.27-9.771.120.09NANA4.92
DSP Dual Advant-46-36M-Reg(G)12.3211-Jul-2016-20.962.1411.365.00NANA7.31
Axis Hybrid Fund-32-Reg(G)11.4909-Aug-2016-59.36-8.281.790.57NANA4.95
DSP Dual Advant-49-42M-Reg(G)11.7111-Nov-20164.119.629.556.41NANA6.22
Axis Hybrid Fund-35-Reg(G)11.9201-Dec-2016-63.33-10.643.651.65NANA7.09
Axis Hybrid Fund-33-Reg(G)11.3209-Sep-2016-71.70-12.563.500.74NANA4.54
HDFC Dual Advantage Fund-III-1267D-Oct 2016-Reg(G)11.5526-Oct-20164.016.848.456.71NANA5.57
HDFC Dual Advantage Fund-III-1224D-Nov 2016-Reg(G)11.4707-Dec-20164.137.008.446.70NANA5.55
HDFC Dual Advantage Fund-III-1304D-Aug 2016-Reg(G)11.7312-Sep-20164.136.938.356.67NANA5.91

Return Calculator

MARKET STATS As on 25/06/2019 As on 25/06/2019

11796.45 (0.83) 39434.94 (0.80)

TOP GAINERS

Company Price Change Gain (%)
Pradip Overseas4.453.65456.25
KSS0.150.0550.00

TOP LOSERS

Company Price Change Loss (%)
MPS Infotecnics0.05-0.05-50.00
Rushil Decor384.85-96.20-20.00

Portfolio Comparison

MUTUAL FUND ACTIVITY