Debt Funds

SCHEME NAME1M (%)3M (%)6M (%)1Y (%)3Y (%)6Y (%)
Nippon India Ultra Short Duration Fund-Segregated Portfolio 1-(G)3458.551064.17391.25195.09NANA
UTI Credit Risk Fund (Segregated - 13092019)-Reg(G)3385.051041.55382.35190.65NANA
Baroda Treasury Adv Fund(G)3.816.569.6627.53-8.56-0.49
Baroda Treasury Adv-Reg(G)3.806.559.6527.53-8.56-0.69
JM Low Duration Fund(G)3.773.712.9925.585.666.62
Nippon India FHF-XXXX-3-1265D(G)8.5627.7319.2218.43NANA
Nippon India FHF-XXXIX-5-1342D(G)8.5327.4418.4918.11NANA
Nippon India FHF-XXXVII-9-1443D(G)10.3824.2317.1717.22NANA
Nippon India FHF-XXXIX-11-1313D(G)8.8624.7216.7916.99NANA
Nippon India FHF-XXXVIII-2-1412D(G)8.8623.0116.1716.93NANA
Aditya Birla SL Medium Term Plan-Reg(G)6.5012.4114.2516.713.536.02
Nippon India FHF-XXXX-8-1236D(G)8.2622.5516.0316.60NANA
Franklin India Credit Risk Fund(G)18.8221.6620.4316.245.526.93
UTI FTIF-XXIX-XIII(1122D)(G)7.2423.8216.6915.27NANA
UTI FTIF-XXX-I(1104D)(G)7.3023.9116.7315.24NANA
Baroda Credit Risk Fund-A(G)5.8922.7516.0815.195.117.17
UTI FTIF-XXX-III(1106D)(G)7.3024.0516.9215.15NANA
UTI FTIF-XXIX-IX(1109D)(G)6.7725.8217.7815.04NANA
BOI AXA Credit Risk Fund-Reg(G)17.8121.5812.7814.42-32.13-13.66
Franklin India Low Duration Fund(M-IDCW)16.5414.0215.1114.284.385.39
HSBC Short Duration Fund(G)7.376.493.3914.273.375.08
Nippon India FHF-XXXVIII-10-1385D(G)8.4911.5010.2413.98NANA
HDFC FMP-Sr 42-1487-Aug 2018(1)-Reg(G)11.2610.8610.5113.72NANA
HDFC FMP-XXVII-1846D-Aug 2013(1)-Reg(G)11.2011.0110.6113.699.418.39
HSBC Low Duration Fund(G)4.884.723.1713.512.044.50
Principal Short Term Debt Fund(G)8.586.332.9913.364.485.92
HSBC Low Duration Fund-Reg(G)4.594.422.8713.171.734.20
HDFC FMP-Sr 42-1141D-Aug 2018(1)-Reg(G)8.429.0210.0213.15NANA
UTI FTIF-XXX-VI(1107D)(G)6.0321.9414.6813.01NANA
Nippon India FHF-XXXX-16-1210D(G)8.099.179.2512.81NANA
Nippon India FHF-XLI-4-1175D(G)7.458.839.1212.76NANA
Nippon India FHF-XXXX-19-1184D(G)7.858.968.8012.70NANA
PGIM India FDF-BC-Reg(G)7.4211.1912.4512.46NANA
HDFC Credit Risk Debt Fund-(G)11.849.388.1212.448.838.52
Aditya Birla SL Credit Risk Fund-Reg(G)6.048.739.0612.246.177.46
Nippon India FHF-XLI-12-1116D(G)7.178.927.9212.23NANA
Nippon India FHF-XXXVI-8-1315D(G)7.978.879.6112.189.14NA
Kotak FMP-239-1330D(G)8.919.139.1612.16NANA
Nippon India FHF-XLI-10-1111D(G)7.368.618.0511.98NANA
Nippon India FHF-XXXVI-2-1386D(G)7.638.149.1811.975.86NA
HDFC FMP-Sr 41-1124D-June 2018(1)-Reg(G)6.427.988.3311.96NANA
Nippon India FHF-XXXVIII-11-1152D(G)7.018.069.0111.94NANA
PGIM India FDF-BE-Reg(G)7.4910.2111.4911.63NANA
IDBI Credit Risk Fund(G)10.725.286.1511.36-1.172.91
L&T Resurgent India Bond Fund-Reg(G)6.767.046.2911.267.347.72
HDFC FMP-XXXIX-1208D-March 2018(1)-Reg(G)6.337.228.0011.248.67NA
Edelweiss FMP-55-Reg(G)8.868.126.9211.21NANA
HDFC FMP-Sr 43-1344D-Oct 2018(1)-Reg(G)7.287.847.2411.04NANA
Franklin India Income Opportunities Fund(G)12.0920.9820.7111.024.226.28
Nippon India FHF-XXXX-12-1215D(G)6.257.367.5110.96NANA
Nippon India FHF-XXXVI-5-1294D(G)6.417.408.1210.878.68NA
ICICI Pru Medium Term Bond Fund(G)10.039.456.0810.828.498.13
HDFC FMP-XXXIX-1177D-March 2018(1)-Reg(G)5.436.417.2710.738.51NA
Kotak FMP-256-1250D(G)9.588.238.5710.67NANA
DSP FMP 243-36M-Reg(G)7.167.217.5810.56NANA
ICICI Pru FMP-83-1100D-X(G)6.146.557.1910.33NANA
HDFC FMP-XXXX-1146D-April 2018(1)-Reg(G)4.875.976.7510.337.60NA
Nippon India FHF-XXXVII-3-1281D(G)6.016.677.1410.328.54NA
Franklin India Dynamic Accrual Fund(G)14.3918.7416.5910.235.577.28
Axis FTP-96-1124D-Reg(G)5.836.417.4910.12NANA
Aditya Birla SL Short Term Fund(G)6.876.464.0810.098.608.19
Principal Low Duration Fund(G)4.434.363.4610.09-0.473.61
Nippon India FHF-XXXV-16-1330D(G)6.607.057.7410.086.07NA
Aditya Birla SL Dynamic Bond Fund-Reg(G)6.698.295.7610.055.446.04
UTI FTIF-XXX-IV(1125D)(G)6.826.977.839.98NANA
Kotak FMP-234-1162D(G)6.196.427.059.89NANA
ICICI Pru Credit Risk Fund(G)9.637.246.319.898.548.33
HDFC Medium Term Debt Fund(G)9.517.765.479.868.347.99
Aditya Birla SL FTP-QP-1100D-Reg(G)21.2211.018.709.84NANA
ICICI Pru FMP-85-1185D-C(G)6.937.355.369.82NANA
Kotak Medium Term Fund(G)7.176.773.829.786.857.57
Axis FTP-97-1116D-Reg(G)5.786.307.199.73NANA
Franklin India ST Income Plan(G)18.2418.7019.569.733.605.92
DSP FMP 241-36M-Reg(G)5.976.506.979.69NANA
L&T FMP-XVIII-C-1178D(G)5.836.765.209.69NANA
UTI FTIF-XXXI-IX(1168D)(G)9.058.096.369.64NANA
UTI FTIF-XXXI-II(1222D)(G)9.589.137.899.63NANA
Aditya Birla SL FTP-RX-1200D-Reg(G)5.446.895.739.50NANA
Kotak Credit Risk Fund(G)10.427.946.009.507.287.78
SBI Credit Risk Fund-Reg(G)8.506.964.999.497.447.88
ICICI Pru FMP-83-1105D-M(G)4.455.496.279.48NANA
UTI FTIF-XXXII-II(1111D)(G)7.686.674.819.45NANA
ICICI Pru FMP-83-1110D-T(G)5.475.946.329.42NANA
UTI FTIF-XXXI-V(1174D)(G)8.958.587.249.37NANA
Axis Corp Debt Fund-Reg(G)8.066.474.149.378.10NA
Kotak Floating Rate Fund-Reg(G)12.167.634.149.35NANA
ICICI Pru FMP-84-1287D-I(G)7.647.205.219.34NANA
ICICI Pru FMP-84-1235D-R(G)6.927.045.179.34NANA
ICICI Pru FMP-85-1140D-R(G)6.846.905.349.33NANA
Kotak FMP-246-1153D(G)7.166.146.809.31NANA
TATA FMP-55-E-1099D(G)7.547.888.059.27NANA
UTI FTIF-XXXI-IV(1204D)(G)8.978.767.549.26NANA
Franklin India Ultra Short Bond Fund-Super Inst(G)14.6410.768.389.267.628.28
Axis Credit Risk Fund-Reg(G)8.838.517.159.256.527.15
Aditya Birla SL FTP-QH-1101D-Reg(G)18.479.827.569.22NANA
Axis Strategic Bond Fund-Reg(G)8.727.245.789.168.088.24
Franklin India Ultra Short Bond-Ret(G)14.6410.718.289.127.307.83
UTI FTIF-XXIX-I(1134D)(G)4.296.297.529.067.37NA
UTI FTIF-XXXI-VII(1155D)(G)8.367.846.339.04NANA
UTI FTIF-XXX-XIV(1209D)(G)10.539.468.139.03NANA
Aditya Birla SL FTP-QQ-1100D-Reg(G)20.1510.577.999.01NANA
UTI FTIF-XXIX-II(1118D)(G)4.696.267.308.965.43NA
UTI FTIF-XXXII-I(1126D)(G)8.607.345.808.93NANA
ICICI Pru FMP-83-1113D-E(G)4.265.195.788.92NANA
UTI FTIF-XXXI-XII(1148D)(G)8.647.686.068.91NANA
UTI FTIF-XXX-XIII(1224D)(G)10.509.448.258.90NANA
ICICI Pru FMP-87-1214D-A(G)10.618.424.918.89NANA
UTI FTIF-XXX-XI(1246D)(G)9.929.158.008.89NANA
UTI FTIF-XXXI-XV(1099D)(G)8.517.606.278.87NANA
UTI FTIF-XXXI-XIV(1111D)(G)8.327.375.728.83NANA
UTI FTIF-XXXI-XIII(1127D)(G)8.477.485.738.81NANA
ICICI Pru All Seasons Bond Fund(G)8.286.914.838.789.389.21
SBI Magnum Medium Duration Fund-Reg(G)7.165.693.458.789.569.14
Nippon India FHF-XXXVIII-14-1150D(G)5.475.975.498.70NANA
L&T Credit Risk Fund(G)5.286.083.818.694.136.18
SBI FMP-24-1107D-Reg(G)7.915.783.898.68NANA
Tata Medium Term Fund-Reg(G)10.478.304.728.682.204.57
Franklin India Corp Debt Fund-A(G)6.936.904.398.678.368.18
Aditya Birla SL Corp Bond Fund(G)8.037.554.528.679.378.68
ICICI Pru FMP-84-1103D-C(G)5.055.605.688.67NANA
Nippon India Credit Risk Fund(G)8.327.878.038.660.964.45
Aditya Birla SL FTP-QW-1099D-Reg(G)16.669.267.038.62NANA
UTI FTIF-XXX-IX(1266D)(G)10.199.298.278.61NANA
SBI FMP-23-1106D-Reg(G)7.845.733.858.58NANA
DSP FMP 238-36M-Reg(G)4.265.275.508.57NANA
UTI FTIF-XXIX-III(1131D)(G)4.305.576.658.55NANA
SBI FMP-22-1106D-Reg(G)7.835.763.898.54NANA
Franklin India FMP-4-F-1286D(G)5.326.034.558.52NANA
SBI FMP-25-1120D-Reg(G)8.005.803.908.51NANA
BHARAT Bond ETF - April 20302.3411.384.628.50NANA
Franklin India FMP-5-E-1224D(G)5.406.234.538.49NANA
SBI FMP-27-1203D-Reg(G)10.507.374.468.49NANA
IDFC FTP-178-1154D-Reg(G)5.116.304.168.49NANA
ICICI Pru FMP-87-1174D-B(G)9.107.634.578.48NANA
HDFC Short Term Debt Fund(G)6.926.194.078.458.908.31
TATA FMP-55-F-1100D(G)6.486.756.758.44NANA
IDBI ST Bond(G)7.525.904.048.435.125.95
SBI FMP-26-1112D-Reg(G)8.445.863.908.42NANA
IDFC Corp Bond Fund-Reg(G)9.407.713.958.428.62NA
DSP FMP 239-36M-Reg(G)4.275.235.368.41NANA
SBI FMP-21-1109D-Reg(G)7.035.694.008.39NANA
ICICI Pru Short Term Fund(G)7.165.854.348.398.678.26
Franklin India FMP-5-D-1238D(G)5.216.134.498.38NANA
IDFC FTP-166-1207D-Reg(G)5.145.954.108.38NANA
Franklin India FMP-6-C-1169D(G)5.105.944.258.37NANA
Nippon India Floating Rate Fund(G)8.597.274.218.348.627.89
Nippon India FHF-XXXIX-1-1146D(G)5.175.735.228.33NANA
SBI FMP-28-1163D-Reg(G)10.437.604.478.32NANA
Invesco India FMP-31-D(1468D)(G)5.216.384.398.32NANA
IDFC FTP-177-1160D-Reg(G)4.825.994.028.32NANA
Edelweiss Government Securities Fund-Reg(G)9.4710.215.968.3010.618.81
SBI FMP-20-1109D-Reg(G)6.985.623.958.30NANA
UTI FTIF-XXXI-X(1168D)(G)5.135.803.998.29NANA
Kotak FMP-232-1137D(G)4.965.315.738.28NANA
IDFC FTP-167-1202D-Reg(G)5.076.014.108.26NANA
HDFC Corp Bond Fund(G)7.476.804.148.269.358.65
ICICI Pru Floating Interest Fund(G)5.922.074.258.237.717.65
SBI FMP-19-1115D-Reg(G)6.855.543.928.22NANA
Sundaram FTP-IS-1120D-Reg(G)5.155.764.158.22NANA
ICICI Pru FMP-84-1188D-Z(G)4.955.874.338.21NANA
SBI DFS-C-22-1100D-Reg(G)4.274.824.988.18NANA
Franklin India FMP-5-F-1203D(G)4.915.774.298.18NANA
Franklin India FMP-5-C-1259D(G)5.606.104.578.17NANA
Invesco India FMP-33-B(1311D)(G)5.536.214.568.17NANA
IDFC FTP-176-1170D-Reg(G)5.126.064.058.16NANA
L&T Low Duration Fund-Reg(G)4.564.743.628.155.987.31
HSBC FTS-140-Reg(G)5.116.264.328.15NANA
Nippon India FHF-XXXV-9-1343D(G)3.984.935.408.145.44NA
BHARAT Bond ETF - April 20237.787.714.678.14NANA
SBI FMP-16-1116D-Reg(G)6.585.513.958.13NANA
Aditya Birla SL FTP-QR-1126D-Reg(G)4.705.335.338.13NANA
SBI FMP-7-1175D-Reg(G)5.355.413.938.12NANA
Aditya Birla SL FTP-RP-1239D-Reg(G)5.215.844.118.10NANA
Sundaram FTP-IE-1200D-Reg(G)2.975.186.228.107.82NA
SBI FMP-11-1178D-Reg(G)5.345.414.008.10NANA
Nippon India Corp Bond Fund(G)8.177.394.778.097.867.82
SBI DFS-C-27-1260D-Reg(G)4.695.814.618.08NANA
SBI FMP-17-1116D-Reg(G)6.565.493.958.07NANA
Nippon India FHF-XLI-1-1140D(G)5.735.804.138.06NANA
Mirae Asset FMP-Sr III-1122D-Reg(G)5.135.954.258.05NANA
IIFL Dynamic Bond Fund-Reg(G)12.148.965.468.057.197.08
SBI Magnum Income Fund-Reg(G)6.666.133.108.059.488.66
SBI DFS-C-44-1175D-Reg(G)5.615.634.138.03NANA
SBI DFS-C-48-1177D-Reg(G)6.045.794.298.03NANA
ICICI Pru Corp Bond Fund(G)5.975.774.118.038.758.27
Kotak FMP-223-1153D(G)4.074.885.498.028.13NA
IDBI Dynamic Bond(G)10.695.304.958.027.255.73
SBI FMP-18-1108D-Reg(G)6.575.503.918.01NANA
HDFC FMP-Sr 43-1175D-Jan 2019(1)-Reg(G)5.385.984.208.00NANA
Nippon India FHF-XXXVIII-5-1125D(G)4.755.345.148.00NANA
SBI FMP-10-1178D-Reg(G)5.275.333.838.00NANA
Franklin India FMP-5-B-1244D(G)5.415.864.367.99NANA
IDFC FTP-152-1452D-Reg(G)5.036.624.437.97NANA
Aditya Birla SL FTP-SN-1099D-Reg(G)5.135.523.867.97NANA
L&T FMP-XVII-B-1452D(G)4.336.174.227.97NANA
HDFC FMP-Sr 43-1182D-Jan 2019(1)-Reg(G)5.406.024.217.97NANA
SBI FMP-12-1179D-Reg(G)5.605.403.977.96NANA
HDFC Banking and PSU Debt Fund-Reg(G)6.275.783.837.968.868.34
SBI FMP-13-1108D-Reg(G)5.825.273.847.96NANA
Nippon India FHF-XLI-11-1144D(G)5.325.493.877.95NANA
SBI FMP-15-1123D-Reg(G)6.365.343.957.95NANA
Nippon India FHF-XXXIX-2-1330D(G)5.386.314.417.94NANA
Franklin India FMP-5-A-1273D(G)4.916.034.627.94NANA
HDFC FMP-Sr 43-1168D-Jan 2019(1)-Reg(G)5.355.974.197.93NANA
Invesco India FMP-33-D(1273D)(G)4.885.723.937.92NANA
HDFC FMP-Sr 43-1146D-Feb 2019(1)-Reg(G)5.455.944.207.91NANA
PGIM India Credit Risk Fund-Reg(G)3.599.6010.867.912.635.53
Aditya Birla SL FTP-SK-1128D-Reg(G)5.485.494.017.91NANA
Nippon India FHF-XXXVIII-7-1116D(G)4.665.184.987.91NANA
Axis FTP-100-1172D-Reg(G)5.085.574.057.90NANA
HDFC FMP-Sr 43-1190D-Jan 2019(1)-Reg(G)5.446.114.257.90NANA
SBI FMP-9-1178D-Reg(G)5.185.293.747.90NANA
Aditya Birla SL FTP-SF-1161D-Reg(G)5.235.403.927.89NANA
SBI FMP-2-1178D-Reg(G)5.355.283.927.88NANA
Kotak FMP-265-1194D(G)5.595.994.117.88NANA
Aditya Birla SL FTP-SI-1141D-Reg(G)5.315.663.947.87NANA
SBI DFS-C-25-1100D-Reg(G)3.654.404.627.87NANA
HDFC FMP-Sr 44-1126D-March 2019(1)-Reg(G)5.505.904.147.87NANA
IDFC FTP-163-1223D-Reg(G)5.285.814.007.86NANA
Nippon India FHF-XXXX-1-1252D(G)5.185.733.967.86NANA
Aditya Birla SL FTP-RR-1240D-Reg(G)5.285.744.137.85NANA
HDFC Floating Rate Debt Fund(G)6.495.164.807.857.997.91
Nippon India Short Term Fund(G)8.408.214.877.858.247.76
Aditya Birla SL FTP-SJ-1135D-Reg(G)5.345.744.067.84NANA
Axis FTP-101-1154D-Reg(G)4.935.844.107.84NANA
ICICI Pru FMP-85-1156D-G(G)5.536.284.197.83NANA
Kotak FMP-220-1150D(G)4.164.945.697.838.15NA
HDFC FMP-Sr 43-1154D-Feb 2019(1)-Reg(G)5.385.854.157.82NANA
SBI FMP-3-1179D-Reg(G)5.485.293.927.82NANA
SBI FMP-8-1178D-Reg(G)5.315.283.807.81NANA
Nippon India FHF-XXXX-14-1183D(G)4.775.513.957.80NANA
Aditya Birla SL FTP-RY-1199D-Reg(G)4.735.573.947.79NANA
Aditya Birla SL FTP-RW-1202D-Reg(G)4.695.523.927.78NANA
HDFC FMP-Sr 43-1196D-Dec 2018(1)-Reg(G)5.606.004.207.78NANA
SBI DFS-C-32-1223D-Reg(G)5.285.654.367.78NANA
SBI DFS-C-33-1216D-Reg(G)5.115.544.287.77NANA
Nippon India FHF-XXXX-4-1235D(G)4.955.543.927.77NANA
ICICI Pru FMP-87-1141D-G(G)8.927.794.347.77NANA
Nippon India FHF-XXXX-5-1230D(G)5.035.573.967.76NANA
Axis FTP-102-1133D-Reg(G)5.105.814.087.76NANA
HDFC FMP-Sr 44-1100D-Apr 2019(1)-Reg(G)5.335.423.937.76NANA
Nippon India FHF-XXXX-15-1177D(G)5.075.583.977.75NANA
Nippon India FHF-XLII-4-1159D(G)11.228.514.677.75NANA
SBI FMP-14-1102D-Reg(G)5.705.103.847.74NANA
UTI FTIF-XXIX-V(1113D)(G)4.124.875.687.74NANA
Aditya Birla SL FTP-RU-1225D-Reg(G)4.945.543.927.74NANA
UTI Corporate Bond Fund-Reg(G)7.496.483.437.74NANA
SBI DFS-C-30-1228D-Reg(G)5.365.654.317.73NANA
Nippon India FHF-XXXIX-15-1259D(G)4.975.693.927.73NANA
SBI DFS-C-43-1176D-Reg(G)5.315.523.937.73NANA
HSBC FTS-139-Reg(G)4.855.824.117.73NANA
Sundaram Corp Bond Fund(G)7.697.503.997.739.408.49
Invesco India Corporate Bond Fund(G)7.886.713.517.718.767.49
UTI FTIF-XXXIII-I(1135D)(G)8.387.484.157.71NANA
HDFC FMP-Sr 44-1127D-March 2019(1)-Reg(G)5.645.734.067.71NANA
Tata Banking & PSU Debt Fund-Reg(G)9.766.053.317.71NANA
L&T FMP-XVIII-D-1155D(G)5.035.513.967.70NANA
HDFC FMP-Sr 43-1203D-Dec 2018(1)-Reg(G)5.496.014.187.69NANA
Aditya Birla SL FTP-SG-1155D-Reg(G)4.905.553.977.69NANA
Nippon India FHF-XXXIX-6-1316D(G)5.686.314.437.68NANA
Baroda FMP-P-Reg(G)5.145.774.197.68NANA
HSBC FTS-137-Reg(G)5.576.144.527.68NANA
HSBC FTS-136-Reg(G)4.345.805.947.68NANA
Aditya Birla SL FTP-SL-1120D-Reg(G)5.115.674.087.68NANA
Nippon India FHF-XXXIX-4-1323D(G)5.606.344.397.67NANA
ICICI Pru FMP-84-1204D-Y(G)5.145.984.367.67NANA
Nippon India FHF-XXXX-17-1167D(G)4.955.593.967.66NANA
Aditya Birla SL FTP-RV-1224D-Reg(G)5.015.523.907.66NANA
BNP Paribas Short Term Fund(G)8.046.573.507.667.617.47
ICICI Pru FMP-85-1178D-B(G)5.355.963.997.65NANA
Aditya Birla SL Income Fund(G)6.888.883.347.659.617.92
HDFC FMP-Sr 43-1232D-Nov 2018(1)-Reg(G)5.485.814.137.65NANA
HDFC FMP-Sr 44-1133D-Feb 2019(1)-Reg(G)5.555.744.107.64NANA
SBI DFS-C-35-1235D-Reg(G)5.365.344.107.64NANA
Nippon India FHF-XXXVIII-6-1119D(G)4.474.904.697.64NANA
ICICI Pru FMP-84-1272D-Q(G)5.856.344.127.63NANA
HDFC FMP-Sr 42-1381D-Sep 2018(1)-Reg(G)5.716.014.267.63NANA
BNP Paribas Short Term Fund-Reg(G)8.056.583.517.637.717.61
Nippon India FHF-XXXX-11-1196D(G)4.945.553.977.63NANA
Nippon India FHF-XXXX-6-1224D(G)5.135.553.937.63NANA
ICICI Pru FMP-83-1735D-P(G)10.338.064.587.62NANA
UTI FTIF-XXX-XII(1254D)(G)5.656.174.447.62NANA
Nippon India FHF-XXXX-7-1217D(G)4.945.573.907.62NANA
SBI FMP-31-1160D-Reg(G)10.837.644.367.62NANA
ICICI Pru FMP-85-1168D-E(G)5.356.114.177.61NANA
Aditya Birla SL FTP-QC-1116D-Reg(G)13.617.446.197.61NANA
PGIM India Premier Bond Fund(G)9.106.964.127.607.777.04
UTI FTIF-XXXI-I(1209D)(G)5.485.974.377.59NANA
IDFC FTP-149-1424D-Reg(G)4.566.064.227.58NANA
SBI DFS-C-49-1178D-Reg(G)5.735.723.947.58NANA
HDFC FMP-Sr 43-1218D-Dec 2018(1)-Reg(G)5.495.854.167.58NANA
ICICI Pru FMP-85-1197D-A(G)5.066.004.017.57NANA
SBI DFS-C-34-1211D-Reg(G)5.395.404.157.57NANA
Kotak Corporate Bond Fund(G)6.516.513.717.568.428.16
SBI DFS-C-41-1178D-Reg(G)5.335.353.877.56NANA
ICICI Pru FMP-85-1175D-D(G)5.136.014.037.56NANA
IDFC Credit Risk Fund-Reg(G)5.935.524.647.567.17NA
ICICI Pru Banking & PSU Debt Fund(G)7.145.044.047.568.248.33
HDFC FMP-Sr 42-1372D-Sep 2018(1)-Reg(G)5.575.784.097.56NANA
Aditya Birla SL Banking & PSU Debt-Ret(G)7.146.513.517.558.968.58
Aditya Birla SL Banking & PSU Debt(G)7.146.513.517.558.968.58
L&T FMP-XVIII-B-1229D(G)5.155.403.837.53NANA
TATA FMP-56-F-1225D(G)4.985.403.797.52NANA
Union Corporate Bond Fund-Reg(G)9.167.103.017.51NANA
UTI FTIF-XXXI-III(1174D)(G)5.415.954.327.51NANA
HDFC FMP-Sr 43-1211D-Dec 2018(1)-Reg(G)5.475.924.137.50NANA
Edelweiss Banking and PSU Debt Fund-Reg(G)2.928.953.347.5010.358.57
HDFC FMP-Sr 43-1265D-Oct 2018(1)-Reg(G)5.765.864.187.50NANA
TATA FMP-56-B-1105D(G)5.135.425.237.50NANA
DSP FMP 250-39M-Reg(G)4.835.233.847.50NANA
Nippon India FHF-XXXIX-9-1296D(G)5.176.304.407.50NANA
Axis FTP-104-1112D-Reg(G)4.795.473.907.49NANA
Kotak FMP-247-1308D(G)5.796.714.747.48NANA
ICICI Pru FMP-84-1288D-O(G)5.706.224.147.47NANA
HDFC FMP-Sr 44-1120D-Mar 2019(1)-Reg(G)5.505.604.037.47NANA
ICICI Pru FMP-85-1156D-F(G)5.226.093.987.46NANA
ICICI Pru FMP-84-1247D-W(G)5.546.104.097.46NANA
HDFC FMP-Sr 44-1118D-Mar 2019(1)-Reg(G)5.465.604.037.46NANA
HDFC FMP-Sr 43-1246D-Nov 2018(1)-Reg(G)5.735.854.167.46NANA
Axis Short Term Fund-Reg(G)6.895.323.597.468.557.99
Nippon India FHF-XXXX-2-1245D(G)5.145.543.917.45NANA
ICICI Pru Bond Fund(G)6.977.132.737.459.118.25
Kotak FMP-243-1319D(G)5.866.394.447.44NANA
Aditya Birla SL FTP-SO-1099D-Reg(G)4.875.313.797.44NANA
HDFC FMP-Sr 42-1113D-Aug 2018(1)-Reg(G)4.024.274.257.44NANA
IDFC Banking & PSU Debt Fund-Reg(G)6.296.523.747.439.688.20
Kotak FMP-267-1182D(G)5.295.714.107.42NANA
Axis Dynamic Bond Fund-Reg(G)3.379.963.137.429.958.53
DSP FMP 251-38M-Reg(G)5.025.153.757.42NANA
ICICI Pru FMP-85-1127D-Q(G)5.415.954.027.40NANA
HDFC FMP-Sr 43-1224D-Dec 2018(1)-Reg(G)5.575.734.107.40NANA
ICICI Pru FMP-85-1129D-P(G)5.686.054.137.40NANA
UTI FTIF-XXXI-VI(1167D)(G)5.055.503.857.40NANA
HDFC FMP-Sr 43-1280D-Oct 2018(1)-Reg(G)5.725.874.167.39NANA
ICICI Pru FMP-86-1099D-A(G)5.526.073.997.39NANA
Aditya Birla SL FTP-SA-1180D-Reg(G)4.775.613.927.38NANA
Nippon India FHF-XXXVII-10-1131D(G)4.304.854.617.37NANA
Kotak Banking and PSU Debt Fund(G)6.825.273.327.369.098.35
Nippon India FHF-XXXIX-8-1308D(G)5.526.264.437.36NANA
UTI FTIF-XXX-VIII(1286D)(G)5.396.064.527.34NANA
Nippon India Banking & PSU Debt Fund(G)6.067.113.777.339.24NA
Aditya Birla SL FTP-RO-1241D-Reg(G)5.385.614.147.33NANA
ICICI Pru FMP-84-1279D-P(G)5.616.134.007.31NANA
SBI DFS-C-50-1177D-Reg(G)5.965.974.127.30NANA
SBI DFS-C-40-1177D-Reg(G)5.305.323.847.30NANA
Aditya Birla SL FTP-PV-1462D-Reg(G)5.766.024.057.30NANA
SBI DFS-C-46-1178D-Reg(G)5.235.343.827.29NANA
Kotak Dynamic Bond Fund-Reg(G)5.815.472.137.299.689.09
Kotak FMP-253-1260D(G)5.986.244.187.29NANA
HDFC FMP-XXXX-1434D-May 2018(1)-Reg(G)5.415.463.967.288.97NA
Kotak FMP-252-1261D(G)5.866.203.967.27NANA
Aditya Birla SL FTP-RN-1240D-Reg(G)5.085.373.867.26NANA
Kotak FMP-248-1300D(G)5.546.624.627.25NANA
UTI FTIF-XXX-XV(1223D)(G)5.846.154.377.25NANA
SBI DFS-C-28-1240D-Reg(G)5.264.923.747.24NANA
Kotak FMP-226-1470D(G)6.356.694.407.24NANA
UTI ST Income Fund-Reg(G)6.975.643.527.223.825.77
PGIM India FDF-AY-Reg(G)5.876.454.337.21NANA
ICICI Pru FMP-84-1224D-S(G)5.385.963.967.20NANA
ICICI Pru FMP-84-1245D-N(G)5.475.983.957.20NANA
ICICI Pru Savings Fund(G)5.943.214.227.207.777.87
Franklin India FMP-4-D-1098D(G)4.154.474.237.17NANA
HDFC FMP-Sr 43-1274D-Oct 2018(1)-Reg(G)5.885.804.147.17NANA
UTI FTIF-XXX-X(1267D)(G)5.576.324.587.16NANA
Nippon India FHF-XXXVII-6-1417D(G)5.756.304.197.16NANA
ICICI Pru FMP-84-1254D-U(G)5.676.063.977.16NANA
Kotak FMP-255-1250D(G)5.655.923.937.15NANA
Aditya Birla SL FTP-PU-1463D-Reg(G)5.976.204.107.14NANA
Kotak FMP-257-1267D(G)6.736.304.347.14NANA
Kotak FMP-259-1265D(G)6.976.484.317.13NANA
Kotak FMP-261-1265D(G)6.736.444.337.12NANA
TATA FMP-56-D-1134D(G)4.664.654.157.08NANA
Kotak FMP-250-1314D(G)5.606.634.487.08NANA
HDFC FMP-Sr 43-1260D-Oct 2018(1)-Reg(G)5.515.643.947.08NANA
Kotak FMP-254-1250D(G)5.886.144.077.07NANA
L&T Banking and PSU Debt Fund-Reg(G)7.386.133.377.058.457.92
HDFC Low Duration Fund(G)4.803.904.157.047.297.25
Baroda ST Bond Fund(G)4.986.313.917.047.507.87
BNP Paribas Corp Bond Fund-Reg(G)6.575.022.397.025.086.34
HDFC FMP-Sr 41-1133D-July 2018(1)-Reg(G)4.474.784.457.02NANA
Axis Banking & PSU Debt Fund-Reg(G)6.085.733.576.998.848.26
SBI DFS-C-26-1125D-Reg(G)4.374.544.036.98NANA
UTI FTIF-XXXI-VIII(1153D)(G)5.345.363.756.98NANA
DSP Corp Bond Fund-Reg(G)4.844.863.426.97NANA
Kotak FMP-251-1265D(G)5.195.683.846.94NANA
SBI FMP-32-1140D-Reg(G)9.177.184.056.92NANA
ICICI Pru FMP-85-1127D-O(G)5.705.663.856.92NANA
IDFC Bond Fund - Short Term Plan-Reg(G)6.856.063.306.918.477.80
Nippon India FHF-XXXIX-14-1275D(G)5.255.193.716.88NANA
SBI DFS-C-38-1224D-Reg(G)5.185.383.846.88NANA
Franklin India FMP-4-B-1098D(G)4.074.444.336.87NANA
Kotak Bond Short Term Fund(G)6.955.432.916.868.337.79
UTI ST Income Fund-Discontinued-Reg(G)6.655.323.206.853.405.37
L&T Triple Ace Bond Fund-Reg(G)4.707.012.306.8510.127.98
BNP Paribas Corp Bond Fund(G)6.094.542.056.845.066.32
Aditya Birla SL FTP-RD-1293D-Reg(G)4.655.053.816.82NANA
DSP Bond Fund-Reg(G)4.596.334.016.825.346.47
Aditya Birla SL Floating Rate Fund-Ret(G)7.256.383.906.817.887.99
Aditya Birla SL Floating Rate Fund(G)7.256.383.906.817.887.99
Kotak FMP-263-1203D(G)5.585.974.026.80NANA
SBI Corp Bond Fund-Reg(G)7.135.782.916.80NANA
Kotak Low Duration Fund(G)5.264.473.396.787.427.77
DSP Banking & PSU Debt Fund-Reg(G)6.806.423.376.768.928.23
PGIM India Banking & PSU Debt Fund(G)9.396.383.586.768.707.96
DSP Credit Risk Fund-Reg(G)6.505.184.226.752.205.15
Nippon India Low Duration Fund(G)5.325.854.476.746.997.27
ICICI Pru FMP-85-1143D-J(G)6.105.883.946.73NANA
Franklin India FMP-4-E-1098D(G)3.924.213.946.72NANA
TATA FMP-56-C-1099D(G)4.144.423.976.72NANA
IDFC FTP-161-1098D-Reg(G)4.064.533.976.71NANA
Franklin India FMP-4-C-1098D(G)4.034.193.906.71NANA
Tata Income Fund-Reg(G)2.775.911.586.698.117.27
ICICI Pru FMP-84-1286D-F(G)5.606.064.136.69NANA
Aditya Birla SL FTP-RL-1254D-Reg(G)5.085.233.736.66NANA
Invesco India FMP-32-D(1099D)(G)4.214.523.976.66NANA
Invesco India FMP-32-C(1099D)(G)4.094.524.146.65NANA
Aditya Birla SL FTP-RH-1281D-Reg(G)5.065.463.806.65NANA
Aditya Birla SL FTP-RC-1295D-Reg(G)5.035.033.736.65NANA
Nippon India Low Duration Fund-Ret(G)5.245.774.396.656.676.88
ICICI Pru FMP-84-1275D-K(G)5.356.004.016.65NANA
Tata ST Bond Fund(G)7.954.862.566.645.826.47
Canara Rob Short Duration Fund-Reg(G)5.545.313.156.617.557.36
LIC MF Savings Fund(G)4.393.944.396.605.666.49
ICICI Pru FMP-84-1288D-E(G)5.566.054.096.60NANA
Invesco India FMP-32-E(1099D)(G)4.184.523.886.59NANA
SBI Banking and PSU Fund-Reg(G)7.154.542.676.598.528.01
Sundaram Short Term Debt Fund(G)5.094.563.136.583.075.03
Aditya Birla SL FTP-RE-1100D-Reg(G)3.794.134.156.58NANA
Aditya Birla SL FTP-QF-1385D-Reg(G)5.966.224.076.54NANA
Canara Rob Corp Bond Fund-Reg(G)6.716.153.096.548.037.45
HDFC FMP-Sr 42-1105D-Aug 2018(1)-Reg(G)4.034.333.986.53NANA
TATA FMP-55-G-1100D(G)3.984.283.826.52NANA
ICICI Pru FMP-84-1293D-D(G)6.056.104.146.52NANA
Franklin India Banking & PSU Debt Fund(G)8.276.833.976.489.148.16
TATA FMP-55-I-1113D(G)3.904.243.796.47NANA
ICICI Pru FMP-74-9Y-U(G)12.808.594.556.439.839.31
SBI DFS-C-24-1100D-Reg(G)3.504.033.766.40NANA
Invesco India Short Term Fund(G)7.135.532.846.357.827.32
Franklin India FMP-4-A-1098D(G)3.313.843.756.35NANA
DSP Short Term Fund-Reg(G)6.715.663.026.338.007.46
IDFC FTP-160-1105D-Reg(G)3.864.203.726.31NANA
Aditya Birla SL Low Duration Fund(G)5.035.033.666.317.357.36
Edelweiss FMP-49-Reg(G)3.333.823.716.29NANA
Aditya Birla SL FTP-PY-1409D-Reg(G)6.236.324.076.27NANA
Invesco India Banking & PSU Debt Fund(G)3.608.462.616.278.157.29
ICICI Pru FMP-83-1101D-Z(G)4.034.183.836.26NANA
Kotak FMP-237-1186D(G)4.254.344.156.25NANA
SBI DFS-C-23-1100D-Reg(G)3.614.103.766.20NANA
IL&FS Infra Debt Fund - Series 3-B-Reg(IDCW)NA6.235.946.19NANA
SBI Short Term Debt Fund-Ret(G)7.054.402.546.188.067.75
SBI Short Term Debt Fund-Reg(G)7.054.402.546.188.067.75
SBI FMP-33-1128D-Reg(G)10.077.683.776.18NANA
L&T FMP-XVII-C-1114D(G)3.733.983.556.17NANA
HDFC Dynamic Debt Fund(G)6.602.972.166.165.516.14
Canara Rob FMP-8-Reg(G)3.924.203.806.16NANA
IDFC FTP-159-1098D-Reg(G)3.413.913.726.16NANA
Franklin India FMP-3-F-1098D(G)3.273.613.726.15NANA
Tata Dynamic Bond Fund-Reg(G)9.457.103.646.137.377.04
TATA FMP-55-D-1100D(G)3.483.803.526.13NANA
PGIM India FDF-BA-Reg(G)5.335.493.886.13NANA
TATA FMP-56-A-1104D(G)3.834.033.536.12NANA
UTI FTIF-XXX-V(1135D)(G)3.904.063.646.10NANA
JM Dynamic Debt Fund-Reg(G)8.575.442.796.096.437.24
Invesco India FMP-32-A(1105D)(G)3.343.853.586.08NANA
HDFC FMP-Sr 42-1115D-Sep 2018(1)-Reg(G)3.884.153.756.08NANA
ICICI Pru Ultra Short Term Fund Fund(G)4.284.574.116.077.137.73
L&T Short Term Bond Fund-Reg(G)8.325.403.126.058.227.68
UTI FTIF-XXIX-IV(1422D)(G)5.825.583.836.059.01NA
Invesco India FMP-32-B(1100D)(G)3.323.833.576.03NANA
Axis Treasury Advantage Fund-Reg(G)4.774.823.826.027.477.47
ICICI Pru FMP-83-1111D-Y(G)4.074.163.726.02NANA
Aditya Birla SL Savings-Ret(G)4.634.843.946.007.377.74
Mirae Asset Short Term Fund(G)6.956.173.326.007.66NA
Aditya Birla SL Savings Fund-Reg(G)4.634.843.946.007.367.74
Nippon India Nivesh Lakshya Fund(G)2.894.073.256.00NANA
HDFC FMP-Sr 42-1122D-Aug 2018(1)-Reg(G)3.894.113.766.00NANA
HDFC FMP-Sr 42-1105D-Aug 2018(2)-Reg(G)3.794.023.665.99NANA
Tata Treasury Advantage Fund(G)5.294.903.705.985.316.49
PGIM India Short Maturity Fund(G)8.585.323.045.974.005.90
BNP Paribas Low Duration Fund-Reg(G)5.405.694.285.957.477.49
TATA FMP-55-B-1098D(G)3.133.533.435.95NANA
IDFC FTP-179-3652D-Reg(G)4.189.032.535.95NANA
ICICI Pru FMP-85-10Y-I(G)5.349.432.635.95NANA
HDFC FMP-XXX-3360D-Mar 2014(1)-Reg(G)10.387.513.895.949.478.99
Invesco India Credit Risk Fund(G)5.765.582.545.942.035.22
Nippon India FHF-XXXVIII-3-1105D(G)3.523.783.745.94NANA
IDFC FTP-156-1103D-Reg(G)3.393.883.605.92NANA
Axis FTP-95-1185D-Reg(G)3.473.703.345.91NANA
DSP FMP 244-36M-Reg(G)3.423.763.395.90NANA
IDFC Bond Fund - Medium Term Plan-Reg(G)9.394.712.255.908.427.72
ICICI Pru FMP-83-1107D-Q(G)3.784.043.745.89NANA
UTI FTIF-XXX-II(1107D)(G)3.833.943.565.88NANA
ICICI Pru FMP-83-1100D-R(G)3.683.883.655.87NANA
L&T FMP-XVIII-A-1104D(G)3.543.733.355.87NANA
ICICI Pru FMP-84-1101D-A(G)3.713.843.585.87NANA
HDFC FMP-Sr 41-1122D-July 2018(1)-Reg(G)3.653.983.745.85NANA
UTI FTIF-XXIX-XI(1112D)(G)3.343.873.835.84NANA
ICICI Pru Gilt Fund(G)6.634.382.845.839.828.99
Franklin India FMP-3-E-1104D(G)3.193.413.525.83NANA
DSP FMP 236-36M-Reg(G)3.213.593.355.83NANA
SBI DFS-C-21-1100D-Reg(G)3.223.863.685.81NANA
SBI FMP-1-3668D-Reg(G)6.259.622.445.81NANA
Nippon India FHF-XXXVIII-12-1159D(G)3.994.083.625.81NANA
Kotak FMP-240-1160D(G)4.054.113.765.81NANA
Kotak FMP-242-1152D(G)4.094.193.805.81NANA
Sundaram FTP-IJ-1099D-Reg(G)3.483.783.665.81NANA
TATA FMP-54-A-1136D(G)3.023.383.385.77NANA
Invesco India Treasury Advantage Fund(G)5.214.953.645.767.417.40
LIC MF Banking & PSU Debt Fund(G)5.525.032.495.758.117.40
TATA FMP-55-A-1098D(G)3.153.473.415.75NANA
Baroda Dynamic Bond Fund(G)7.994.307.585.744.266.02
Nippon India FHF-XLI-8-3654D(G)4.138.852.455.74NANA
UTI FTIF-XXIX-VII(1135D)(G)3.343.823.655.72NANA
DSP FMP 237-36M-Reg(G)3.303.623.385.72NANA
IDFC FTP-154-1098D-Reg(G)3.143.713.515.72NANA
ICICI Pru Constant Maturity Gilt Fund(G)9.725.111.945.7211.719.83
Kotak Bond Fund-Reg(G)7.022.512.325.718.877.46
HDFC FMP-Sr 41-1113D-June 2018(1)-Reg(G)3.453.753.685.68NANA
Aditya Birla SL FTP-RI-1100D-Reg(G)3.723.903.375.68NANA
ICICI Pru FMP-83-1103D-L(G)3.463.783.735.68NANA
ICICI Pru FMP-83-1100D-S(G)3.663.843.555.67NANA
UTI Treasury Advantage Fund-Reg(G)4.634.783.715.673.005.43
Invesco India FMP-30-D(1169D)(G)3.203.413.485.657.99NA
HSBC FTS-135-Reg(G)3.263.713.495.64NANA
Sundaram FTP-IK-1098D-Reg(G)3.443.773.635.63NANA
HDFC FMP-XXXX-1119D-June 2018(1)-Reg(G)3.423.783.655.63NANA
Mirae Asset Savings Fund-Reg Savings Plan(G)4.314.273.215.626.006.19
DSP G-Sec Fund-Reg(G)6.725.252.305.6211.028.92
DSP FMP 227-39M-Reg(G)3.013.293.335.627.80NA
SBI FMP-6-3668D-Reg(G)7.0610.012.445.62NANA
BOI AXA Short Term Income Fund-Reg(G)6.055.333.725.62-3.222.20
UTI FTIF-XXIX-XIV(1131D)(G)3.463.653.515.61NANA
UTI FTIF-XXIX-VIII(1127D)(G)3.483.703.545.61NANA
UTI FTIF-XXIX-VI(1135D)(G)3.343.623.535.61NANA
DSP FMP 226-39M-Reg(G)3.113.373.335.607.88NA
DSP FMP 223-39M-Reg(G)3.133.323.335.597.87NA
Nippon India FHF-XXXVII-12-1119D(G)3.383.633.475.59NANA
Canara Rob Income Fund-Reg(G)7.996.412.155.598.447.61
Kotak FMP-216-1240D(G)3.453.763.715.588.15NA
SBI DFS-C-20-1100D-Reg(G)3.163.613.405.58NANA
Axis Gilt Fund-Reg(G)7.773.192.385.5510.558.27
UTI Banking & PSU Debt Fund-Reg(G)5.364.632.625.554.496.44
Sundaram Banking & PSU Debt Fund(G)3.713.733.245.547.937.37
DSP FMP 235-36M-Reg(G)2.963.313.245.54NANA
Sundaram Banking & PSU Debt Fund-Ret(G)3.713.733.245.547.937.01
PGIM India FDF-AZ-Reg(G)2.843.173.115.52NANA
Kotak FMP-217-1239D(G)3.443.683.655.518.14NA
UTI FTIF-XXIX-XV(1124D)(G)3.463.643.525.50NANA
BNP Paribas Low Duration Fund(G)4.965.243.835.496.867.04
Aditya Birla SL FTP-QV-1100D-Reg(G)3.583.833.475.49NANA
DSP FMP 232-36M-Reg(G)2.913.213.195.49NANA
DSP FMP 233-36M-Reg(G)2.943.293.275.49NANA
ICICI Pru FMP-82-1185D-M(G)3.263.433.495.487.98NA
Nippon India FHF-XXXVIII-1-1106D(G)3.243.513.375.48NANA
ICICI Pru FMP-83-1100D-O(G)3.333.603.515.46NANA
Franklin India Floating Rate Fund(G)4.793.303.805.466.326.20
Kotak FMP-245-1140D(G)4.064.003.725.46NANA
ICICI Pru FMP-82-1175D-Q(G)3.153.353.425.467.87NA
HDFC Income Fund(G)5.393.872.145.457.496.74
Aditya Birla SL FTP-QU-1100D-Reg(G)3.423.653.375.45NANA
DSP FMP 224-39M-Reg(G)3.143.373.345.447.70NA
Aditya Birla SL FTP-RQ-1103D-Reg(G)3.794.033.395.43NANA
UTI FTIF-XXIV-XIV(1831D)(G)3.423.693.615.418.10NA
DSP FMP 220-40M-Reg(G)3.133.343.295.417.79NA
HSBC FTS-134-Reg(G)2.973.403.305.41NANA
IDFC Low Duration Fund-Reg(G)4.874.893.625.417.177.49
Nippon India FHF-XXXVII-15-1114D(G)3.243.453.365.39NANA
HDFC FMP-XXXX-1181D-April 2018(1)-Reg(G)3.173.423.385.397.88NA
SBI Magnum Gilt Fund-Reg(G)3.985.902.705.3810.319.10
Kotak FMP-235-1140D(G)3.683.813.525.36NANA
HDFC FMP-Sr 41-1099D-June 2018(1)-Reg(G)3.343.623.565.36NANA
UTI Floater Fund-Reg(G)4.534.463.055.36NANA
Aditya Birla SL FTP-QX-1103D-Reg(G)3.423.703.335.36NANA
Kotak FMP-228-1141D(G)3.413.603.565.35NANA
ICICI Pru FMP-83-1412D-B(G)6.806.303.945.34NANA
ICICI Pru FMP-82-1215D-H(G)3.233.393.485.337.91NA
Indiabulls Dynamic Bond Fund-Reg(G)7.685.632.665.32NANA
ICICI Pru FMP-82-1199D-L(G)3.313.473.545.327.87NA
DSP FMP 221-40M-Reg(G)3.043.243.215.327.56NA
ICICI Pru FMP-82-1185D-N(G)3.173.313.395.327.86NA
HDFC FMP-XXXX-1134D-May 2018(1)-Reg(G)3.443.643.625.32NANA
DSP Low Duration Fund-Reg(G)4.844.753.555.327.247.40
ICICI Pru FMP-83-1108D-H(G)3.303.663.545.32NANA
SBI DFS-C-19-1100D-Reg(G)3.023.333.275.32NANA
ICICI Pru FMP-82-1170D-R(G)3.253.383.435.317.86NA
LIC MF ST Debt Fund-Reg(G)6.334.692.225.31NANA
Nippon India Ultra Short Duration Fund(G)4.375.264.715.314.115.30
ICICI Pru FMP-83-1392D-J(G)6.786.263.975.28NANA
ICICI Pru FMP-83-1406D-D(G)6.666.233.905.27NANA
Tata Money Market Fund-Reg(G)4.474.603.965.264.375.82
SBI DFS-C-18-1100D-Reg(G)2.983.253.245.26NANA
IDFC G-Sec-Invest-Reg(G)11.524.321.245.2511.469.12
HDFC FMP-XXXIX-1183D-April 2018(1)-Reg(G)3.093.353.305.257.83NA
Sundaram Medium Term Bond Fund(G)6.494.391.605.246.186.62
Kotak FMP-215-1240D(G)3.233.473.555.237.91NA
Quantum Dynamic Bond Fund(G)-Direct Plan7.535.013.635.238.87NA
Kotak FMP-230-1140D(G)3.383.473.445.23NANA
HDFC Ultra Short Term Fund-Reg(G)4.154.313.645.23NANA
Aditya Birla SL Money Manager Fund-Ret(G)4.214.373.815.227.127.26
Aditya Birla SL Money Manager Fund(G)4.214.373.815.227.117.26
SBI FMP-34-3682D-Reg(G)7.9811.632.955.21NANA
Aditya Birla SL FTP-QT-1100D-Reg(G)3.273.553.335.20NANA
UTI Treasury Advantage-Discontinued-Reg(G)4.184.333.265.192.514.92
SBI DFS-C-16-1100D-Reg(G)2.993.203.245.18NANA
HDFC FMP-Sr 43-1261D-Oct 2018(1)-Reg(G)6.576.043.805.17NANA
ICICI Pru FMP-82-1203D-K(G)3.253.423.465.167.83NA
Nippon India FHF-XXXVII-4-1438D(G)6.686.143.795.159.05NA
ICICI Pru FMP-83-1105D-F(G)3.103.373.335.15NANA
Aditya Birla SL FTP-QS-1100D-Reg(G)3.293.563.315.15NANA
ICICI Pru FMP-82-1141D-Y(G)3.143.323.375.137.87NA
HDFC FMP-XXXVIII-1430D-July 2017(1)-Reg(G)3.163.433.375.137.84NA
Invesco India Treasury Advantage Fund-Reg(G)4.614.343.035.136.776.85
Kotak FMP-233-1140D(G)3.133.493.395.12NANA
PGIM India FDF-BB-Reg(G)3.183.383.305.12NANA
HDFC Money Market Fund(G)4.224.293.725.116.967.05
Kotak Gilt Fund-Reg(G)9.103.312.825.099.828.31
Aditya Birla SL FTP-QY-1100D-Reg(G)3.513.763.365.09NANA
ICICI Pru FMP-82-1223D-G(G)3.223.313.415.087.80NA
ICICI Pru FMP-84-1247D-M(G)5.966.003.815.08NANA
Nippon India FHF-XXXVII-1-1122D(G)3.213.303.285.077.72NA
Mahindra Manulife Low Duration Fund-Reg(G)4.504.223.215.046.60NA
ICICI Pru FMP-82-1219D-D(G)3.123.273.375.037.75NA
SBI Magnum Low Duration Fund(G)3.933.553.155.027.037.29
IDFC Dynamic Bond Fund-Reg(G)11.113.991.025.0210.058.40
Nippon India Dynamic Bond(G)3.158.602.105.008.277.52
Aditya Birla SL FTP-PZ-1120D-Reg(G)3.363.683.474.99NANA
Nippon India FHF-XXXVII-5-1105D(G)3.213.273.224.997.67NA
Aditya Birla SL FTP-QB-1113D-Reg(G)3.343.683.494.98NANA
LIC MF G-Sec Fund-Reg(G)9.736.162.294.979.947.93
Kotak FMP-224-1150D(G)2.983.223.284.977.74NA
Union Dynamic Bond(G)7.205.171.324.968.436.79
Aditya Birla SL FTP-QO-1100D-Reg(G)3.233.453.304.94NANA
ICICI Pru Money Market Fund(G)4.024.093.634.946.827.08
Kotak FMP-219-1173D(G)2.883.153.254.947.67NA
PGIM India Dynamic Bond Fund(G)7.985.372.324.928.668.06
UTI FTIF-XXXI-XI(1169D)(G)6.956.353.774.90NANA
UTI Money Market Fund-Reg(G)3.974.103.704.886.847.09
Axis Money Market Fund-Reg(G)3.964.103.744.88NANA
ICICI Pru FMP-83-1105D-A(G)3.003.183.234.87NANA
Aditya Birla SL FTP-QN-1100D-Reg(G)3.213.403.274.87NANA
IDBI Ultra ST(G)3.373.213.684.875.936.43
Aditya Birla SL G-Sec Fund(G)9.105.992.334.8610.299.13
Canara Rob Savings Fund-Reg(G)3.963.903.194.866.737.15
Aditya Birla SL FTP-RA-1100D-Reg(G)3.313.643.294.85NANA
ICICI Pru FMP-82-1223D-E(G)3.143.253.344.847.71NA
Mahindra Manulife Dynamic Bond Yojana-Reg(G)5.583.903.014.82NANA
DSP Strategic Bond Fund-Reg(G)6.956.051.584.799.667.97
BNP Paribas Medium Term Fund(G)7.635.202.154.782.904.89
IDFC G-Sec-Constant Maturity Plan-Reg(G)6.314.020.914.7612.2510.10
Kotak FMP-214-1240D(G)3.013.203.264.767.58NA
Aditya Birla SL FTP-QE-1101D-Reg(G)3.173.503.294.74NANA
Aditya Birla SL FTP-QG-1100D-Reg(G)2.923.273.164.74NANA
Nippon India Money Market Fund(G)3.984.143.784.746.917.10
Aditya Birla SL FTP-QL-1099D-Reg(G)3.013.363.264.72NANA
Sundaram Low Duration Fund-Reg(G)3.973.693.064.713.055.13
Sundaram Low Duration Fund-Ret(G)3.973.693.064.713.054.88
DSP Savings Fund-Reg(G)4.824.423.624.706.656.54
PGIM India Gilt Fund(G)9.085.692.414.708.637.86
Franklin India Savings Fund(G)4.123.963.494.686.967.28
HSBC Flexi Debt Fund(G)7.144.981.514.628.096.78
Aditya Birla SL FTP-QJ-1098D-Reg(G)2.983.353.144.61NANA
Invesco India Money Market Fund(G)4.394.353.624.606.336.90
DSP 10Y G-Sec Fund-Reg(G)6.695.393.434.5910.438.60
Aditya Birla SL FTP-QI-1100D-Reg(G)2.933.273.164.58NANA
SBI Savings Fund-Reg(G)3.703.753.384.566.456.92
SBI Magnum Ultra Short Duration Fund-Reg(G)3.733.803.324.566.777.04
Aditya Birla SL FTP-QK-1099D-Reg(G)2.953.293.154.55NANA
Nippon India ETF Long Term Gilt8.364.311.964.5410.23NA
Kotak Savings Fund(G)3.533.703.184.536.577.07
PGIM India Ultra ST Fund-Reg(G)3.653.853.454.528.156.88
SBI Magnum Constant Maturity Fund(G)6.893.941.104.5110.459.54
Kotak FMP-225-1128D(G)2.963.143.154.507.44NA
JM Income Fund(G)7.181.22-0.254.492.163.36
Kotak Money Market Fund(G)3.734.003.584.476.687.03
Quant Liquid Plan(G)4.284.314.214.466.106.80
UTI Ultra Short Term Fund-Reg(G)3.433.463.514.454.796.25
HDFC Gilt Fund(G)6.873.841.174.458.117.64
L&T Gilt Fund-Reg(G)5.752.55-0.174.448.177.67
IDFC Bond Fund - Income Plan-Reg(G)10.893.880.734.449.407.94
Axis Ultra Short Term Fund-Reg(G)3.303.663.264.42NANA
Aditya Birla SL FTP-QM-1100D-Reg(G)3.023.363.194.42NANA
Mahindra Manulife Ultra Short Term Fund-Reg(G)3.513.723.164.40NANA
SBI Dynamic Bond Fund-Reg(G)2.114.091.194.399.378.50
UTI Bond Fund-Reg(G)4.892.901.444.39-0.583.38
Indiabulls Short Term Fund(G)5.464.102.044.375.736.71
HSBC Flexi Debt-Reg(G)6.894.731.274.377.826.51
UTI Money Market Fund-Discontinued-Reg(G)3.473.593.194.366.316.54
PGIM India Ultra ST Fund(G)3.473.673.274.338.608.18
LIC MF G-Sec LT ETF-(G)8.323.971.504.319.888.12
HSBC Ultra Short Duration Fund-Reg(G)3.723.923.334.31NANA
L&T Flexi Bond Fund-Reg(G)5.502.450.274.278.177.85
IDFC Ultra Short Term Fund-Reg(G)3.683.723.194.19NANA
Nippon India Gilt Securities Fund(G)7.714.571.284.1610.329.22
UTI Dynamic Bond Fund-Reg(G)4.232.421.204.141.905.04
L&T Ultra Short Term Fund(G)3.653.723.254.136.417.02
L&T Ultra ST-Reg(G)3.653.723.244.136.417.02
Nippon India Income Fund(G)5.495.240.784.099.427.88
Canara Rob Gilt 1988-Reg(G)4.823.411.174.068.428.24
Baroda Ultra Short Duration Fund(G)4.184.353.554.06NANA
Nippon India Inv-Annual-I-Ret(G)3.663.823.684.066.236.85
Nippon India Inv-Annual-I(G)3.663.823.684.066.236.85
Aditya Birla SL FTP-PW-1100D-Reg(G)3.063.123.164.05NANA
LIC MF Bond Fund(G)7.375.001.394.057.996.84
ICICI Pru Long Term Bond Fund(G)7.195.460.104.029.908.68
IIFCL MF-Infra Debt Fund-Sr INA-15.14-8.723.99-1.913.61
BOI AXA Ultra Short Duration Fund-Reg(G)3.543.563.003.976.167.27
Invesco India Ultra Short Term Fund(G)3.503.513.033.966.207.13
Sundaram Money Market Fund-Reg(G)3.383.473.343.92NANA
Baroda Gilt Fund(G)7.014.390.823.898.397.19
Invesco India Money Market Fund-Reg(G)3.693.642.913.875.566.16
Tata Ultra Short Term Fund-Reg(G)3.563.513.003.84NANA
SBI-ETF 10 Year Gilt7.025.593.303.829.20NA
IDFC Money Manager Fund-Reg(G)3.363.512.903.785.696.42
LIC MF Ultra Short Term Fund-Reg(G)3.293.263.093.73NANA
YES Ultra Short Term Fund-Reg(G)2.532.703.913.71NANA
HSBC Debt Fund(G)7.414.630.633.708.216.59
Canara Rob Dynamic Bond Fund-Reg(G)2.971.770.713.707.407.27
L&T Money Market Fund-Reg(G)2.672.832.713.706.447.31
Mirae Asset Dynamic Bond Fund-Reg(G)8.135.342.193.698.80NA
UTI Gilt Fund-Reg(G)5.463.521.393.609.228.61
DSP Ultra Short Fund-Reg(G)3.193.342.863.545.256.07
IDBI Liquid Fund(G)3.233.313.243.525.716.48
PGIM India Money Market Fund-Reg(G)2.842.982.683.49NANA
Canara Rob Ultra Short Term Fund-Reg(G)2.942.942.553.455.316.03
Edelweiss Money Market Fund-Reg(G)3.343.422.823.388.667.10
Mahindra Manulife Liquid Fund-Reg(G)3.183.263.153.375.64NA
Aditya Birla SL Liquid Fund-Ret(G)3.073.183.063.345.616.48
Aditya Birla SL Liquid Fund(G)3.073.183.063.345.616.48
Mirae Asset Cash Management-Reg(G)3.183.243.203.325.556.28
PGIM India Insta Cash Fund(G)3.183.223.093.325.616.49
Nippon India Strategic Debt Fund(G)6.925.785.113.31-8.20-0.30
BNP Paribas Flexi Debt Fund(G)8.724.520.843.307.147.07
ICICI Pru Liquid Fund(G)3.033.133.053.305.576.44
Union Liquid Fund(G)3.123.263.133.294.275.71
Sundaram Money Fund-Ret(G)3.143.243.143.295.566.42
Sundaram Money Fund-Reg(G)3.143.243.143.295.566.42
LIC MF Liquid Fund(G)3.113.183.103.295.536.41
Axis Liquid Fund-Reg(G)3.063.183.083.285.606.47
UTI Liquid Cash Plan-Reg(G)3.093.193.093.285.566.44
Nippon India Liquid Fund(G)3.003.143.033.275.616.47
BNP Paribas Liquid Fund(G)3.173.243.193.265.576.41
SBI Liquid Fund-Inst(G)3.043.193.073.265.496.37
SBI Liquid Fund(G)3.043.193.073.265.496.37
Kotak Liquid Fund-Reg(G)3.053.163.033.255.476.39
L&T Liquid Fund(G)3.053.143.073.255.536.43
Tata Liquid Fund-Reg(G)3.063.143.023.245.586.45
BOI AXA Liquid Fund-Reg(G)3.073.203.073.245.466.39
Franklin India Liquid Fund-Super Inst(G)3.103.153.073.245.726.55
HSBC Cash Fund(G)3.063.143.053.235.526.41
Invesco India Liquid Fund(G)3.043.123.063.235.476.41
BNP Paribas Liquid Fund-Reg(G)3.143.203.153.235.536.36
JM Liquid Fund(G)3.193.243.123.235.496.44
DSP Liquidity Fund-Reg(G)3.123.193.093.225.516.39
Sundaram Ultra Short Term Fund-Reg(G)2.982.662.323.21NANA
Baroda Liquid Fund(G)3.163.293.153.215.566.47
Baroda Liquid-Reg(G)3.163.293.153.215.566.20
IDFC Cash Fund-Reg(G)3.083.163.053.205.396.33
IDBI Gilt Fund(G)10.484.882.293.197.755.88
Nippon India Inv-Qrtly-II(G)3.043.052.943.185.566.57
Edelweiss Liquid-Ret(G)3.103.173.103.185.546.23
Edelweiss Liquid Fund-Reg(G)3.103.173.103.185.546.25
Principal Ultra Short Term Fund(G)3.123.072.623.173.395.35
HDFC Liquid Fund(G)3.013.082.973.165.456.34
Principal Cash Management Fund(G)3.053.113.023.142.154.74
Indiabulls Liquid Fund(G)2.762.853.183.135.426.43
Canara Rob Liquid Fund-Reg(G)3.103.153.063.135.286.24
UTI FIIF-AS I-Ret(G)3.032.962.933.113.335.45
UTI FIIF-AS II(G)3.042.972.943.114.976.23
Quantum Liquid Fund(G)-Direct Plan3.093.093.023.105.045.84
BOI AXA Overnight Fund-Reg(G)3.143.083.033.09NANA
Edelweiss Overnight Fund-Reg(G)3.083.013.023.08NANA
UTI FIIF-AS III-Ret(G)2.812.752.713.074.986.17
Nippon India Inv-Mthly-II(G)3.183.113.053.065.166.01
Canara Rob Overnight Fund-Reg(G)3.113.063.023.05NANA
Mirae Asset Overnight Fund-Reg(G)3.133.063.033.05NANA
Axis Overnight Fund-Reg(G)3.143.073.033.04NANA
UTI FIIF-AS IV-Ret(G)3.022.952.923.044.936.39
Baroda Overnight Fund-Reg(G)3.123.083.043.04NANA
Navi Liquid Fund-Reg(G)3.153.193.023.035.256.33
PGIM India Overnight Fund-Reg(G)3.193.083.033.03NANA
JM Overnight Fund-Reg(G)3.253.133.043.03NANA
DSP Overnight Fund-Reg(G)3.042.992.973.02NANA
UTI Overnight Fund-Reg(G)3.113.032.993.014.695.77
Mahindra Manulife Overnight Fund-Reg(G)3.153.052.993.01NANA
Parag Parikh Liquid Fund-Reg(G)2.993.022.913.004.85NA
Tata Gilt Securities Fund-Reg(G)9.882.18-0.242.998.527.12
Nippon India Inv-Mthly-I(G)3.133.063.002.995.136.07
Invesco India Overnight Fund-Reg(G)3.083.032.982.99NANA
BNP Paribas Overnight Fund-Reg(G)3.053.002.982.98NANA
SBI Overnight Fund-Reg(G)3.113.022.972.984.655.55
Motilal Oswal Ultra Short Term Fund-Reg(G)2.392.472.512.980.213.07
Nippon India Overnight Fund-Reg(G)3.062.992.962.98NANA
Tata Overnight Fund-Reg(G)3.063.002.972.97NANA
HSBC Overnight Fund-Reg(G)3.063.022.962.97NANA
YES Liquid Fund-Reg(G)2.972.952.892.97NANA
L&T Overnight Fund-Reg(G)3.103.022.972.964.205.16
Aditya Birla SL Overnight Fund-Reg(G)3.093.022.972.95NANA
ICICI Pru Overnight Fund(G)3.083.002.952.95NANA
Kotak Overnight Fund-Reg(G)3.032.972.942.94NANA
Franklin India Overnight Fund(G)3.042.982.952.94NANA
Union Overnight Fund-Reg(G)3.062.972.942.94NANA
HDFC Overnight Fund(G)3.042.982.942.934.595.44
IDFC Overnight Fund-Reg(G)3.042.992.932.93NANA
LIC MF Overnight Fund-Reg(G)3.062.982.922.92NANA
Sundaram Overnight Fund-Reg(G)3.002.942.912.92NANA
Indiabulls Overnight Fund-Reg(G)2.992.932.902.90NANA
Aditya Birla SL Inv Inc-QS I-Reg(G)2.812.762.732.905.035.92
ITI Overnight Fund-Reg(G)3.002.912.882.90NANA
YES Overnight Fund-Reg(G)2.992.912.882.87NANA
ITI Liquid Fund-Reg(G)2.952.882.852.87NANA
IIFL Liquid Fund-Reg(G)2.802.812.732.864.905.88
Nippon India Inv-Qrtly-III(G)2.792.902.872.855.026.13
Baroda Money Market Fund-Reg(G)2.612.632.582.85NANA
Motilal Oswal Liquid Fund-Reg(G)2.782.842.752.83NANA
UTI FIIF-QS III-Ret(G)3.002.932.892.835.046.14
UTI FIIF-II-Qtrly Inv VI-Reg(G)2.942.872.842.785.046.10
UTI FIIF-QS I-Ret(G)2.912.832.792.744.695.91
UTI Liquid Cash Plan-Discontinued-Reg(G)2.552.662.552.734.985.82
UTI FIIF-II-Qtrly Inv V-Ret(G)2.902.822.782.734.656.04
Invesco India Liquid-Reg(G)2.502.592.522.684.925.81
Nippon India Liquid Fund-Ret(G)2.382.522.402.604.855.63
Franklin India Liquid Fund-Reg(G)2.422.482.392.555.015.84
Navi Ultra Short Term Fund-Reg(G)2.002.071.742.555.045.98
DSP Liquid ETF2.442.642.582.543.42NA
UTI FIIF-II-Qrtly Inv IV(G)2.682.612.572.524.355.76
ICICI Pru Liquid ETF2.582.512.472.49NANA
Invesco India Gilt Fund(G)0.093.11-0.262.488.227.24
Franklin India G-Sec Fund(G)9.594.541.482.457.826.50
HSBC Cash-Reg(G)2.272.342.242.414.665.51
Nippon India ETF Liquid BeES2.592.502.382.413.253.77
UTI Medium Term Fund-Reg(G)4.564.172.172.363.405.85
PGIM India Low Duration Fund(G)4.654.403.842.31-0.553.68
UTI FIIF-HS II(G)2.442.372.312.234.255.85
Nippon India Inv-Qrtly-I(G)2.382.402.222.154.905.95
UTI FIIF-II-Qtrly Inv VII-Reg(G)2.232.162.122.054.125.67
UTI FIIF-MS I-Ret(G)2.202.132.092.034.125.60
UTI FIIF-MS II-Ret(G)2.202.132.092.024.165.61
UTI FIIF-HS I(G)2.192.122.082.024.115.70
Edelweiss Corporate Bond Fund-Reg(G)3.183.023.54-0.720.253.69
IIFCL MF-Infra Debt Fund-Sr IINA3.82-10.65-0.83-6.34NA
IL&FS Infra Debt Fund - Series 3-A-Reg(G)NA-0.63-2.73-2.014.75NA
UTI Credit Risk Fund-Reg(G)6.136.164.74-2.75-10.18-1.44
Tata Treasury Advantage Fund(G)(Segregated Portfolio 1)NANANA-7.02NANA
IL&FS Infra Debt Fund - Series 1-C-Reg(G)NA-8.58-15.43-14.23-1.514.67
IL&FS Infra Debt Fund - Series 1-B-Reg(G)NA-10.39-17.34-14.73-1.894.31
Tata Corp Bond Fund-Reg(G)(Segregated Portfolio 1)NANANA-15.15NANA
UTI Bond Fund (Segregated - 17022020)-Reg(G)11.1611.40-41.00-16.96NANA
UTI Dynamic Bond Fund (Segregated - 17022020)-Reg(G)11.4211.45-41.02-16.98NANA
UTI Medium Term Fund (Segregated - 17022020)-Reg(G)11.0911.42-41.07-16.98NANA
Nippon India Credit Risk Fund-Segregated Portfolio 1-(G)10.7111.51-41.64-20.66NANA
Nippon India Strategic Debt Fund-Segregated Portfolio 1-(G)10.9410.76-41.84-21.01NANA
UTI Credit Risk Fund (Segregated - 17022020)-Reg(G)11.2111.39-40.95-59.62NANA

Return Calculator

MARKET STATS As on 14/05/2021 As on 14/05/2021

14677.80 (-0.13) 48732.55 (0.09)

TOP GAINERS

Company Price Change Gain (%)
Aaron Industries81.3513.5519.99
Kothari Petrochem38.756.4519.97

TOP LOSERS

Company Price Change Loss (%)
Cybertech Sys. &Soft141.75-19.45-12.07
Godawari Power & Isp950.90-128.25-11.88

Portfolio Comparison

MUTUAL FUND ACTIVITY