Debt Funds

SCHEME NAME1M (%)3M (%)6M (%)1Y (%)3Y (%)6Y (%)
HDFC FMP-XXXV-1148D-Feb 2016(2)-Reg(G)1.082.224.438.43NANA
Kotak FMP-186-1176D(G)0.971.954.088.35NANA
Kotak FMP-175-1100D(G)0.581.823.698.168.39NA
Reliance FHF-XXIX-7-1117D(G)0.812.104.118.08NANA
HDFC FMP-XXXV-1168D-Feb 2016(1)-Reg(G)1.001.873.878.03NANA
UTI FTIF-XXII-VI(1098D)(G)0.521.924.178.02NANA
Reliance FHF-XXVI-1(G)0.742.004.028.028.58NA
HDFC FMP-XXXV-1161D-Feb 2016(1)-Reg(G)1.002.104.238.01NANA
Kotak FMP-192-1100D(G)0.941.844.158.00NANA
Reliance Inv-Qrtly-II(G)0.721.784.647.977.568.44
Reliance FHF-XXIX-3-1113D(G)0.772.024.077.96NANA
ICICI Pru FMP-77-1100D-M(G)0.551.763.737.96NANA
Reliance FHF-XXX-8-1192D(G)0.982.014.057.95NANA
HDFC FMP-XXXV-1140D-March 2016(1)-Reg(G)1.042.104.277.90NANA
Taurus Liquid Fund-Super Inst(G)0.451.362.667.774.917.05
DSPBR FMP 192-36M-Reg(G)0.952.004.037.75NANA
ICICI Pru FMP-77-1129D-W(G)0.821.863.607.73NANA
HDFC FMP-XXXVII-1111D-Sep 2016(1)-Reg(G)0.951.873.897.70NANA
Kotak FMP-183-1204D(G)0.941.903.927.69NANA
Franklin India Ultra Short Bond Fund-Super Inst(G)0.841.863.807.668.879.42
Reliance FHF-XXX-18-1131D(G)0.991.903.887.65NANA
Kotak FMP-189-1154D(G)0.971.903.917.64NANA
Taurus Liquid-(G)0.441.332.597.624.536.42
Reliance FHF-XXV-15(G)0.862.003.887.628.82NA
UTI FTIF-XXII-XV(1098D)(G)0.762.084.057.60NANA
Reliance FHF-XXIX-13-1112D(G)0.831.983.847.59NANA
ICICI Pru FMP-78-1127D-R(G)0.971.823.797.59NANA
Reliance FHF-XXX-20-1100D(G)0.951.783.747.58NANA
ICICI Pru FMP-79-1218D-A(G)0.881.723.717.58NANA
Reliance FHF-XXX-14-1161D(G)0.961.833.817.58NANA
Reliance FHF-XXXI-4-1100D(G)0.931.843.767.58NANA
HDFC FMP-XXXVI-1190D-March 2016(1)-Reg(G)1.002.074.207.58NANA
BOI AXA Credit Risk Fund-Reg(G)0.761.613.617.589.74NA
ICICI Pru FMP-77-1134D-H(G)0.601.803.597.547.90NA
Kotak FMP-127-730D(G)0.941.963.847.548.69NA
UTI FTIF-XXII-XIII(1100D)(G)0.752.094.097.53NANA
Reliance FHF-XXX-11-1169D(G)0.982.004.067.52NANA
Reliance Inv IV-2(G)0.671.943.907.52NANA
HDFC FMP-XXXVI-1128D-June 2016(1)-Reg(G)0.861.783.647.51NANA
Reliance FHF-XXIV-2(G)0.911.763.617.477.80NA
Kotak FMP-187-1146D(G)0.891.813.767.47NANA
Reliance FHF-XXVI-14(G)0.712.163.957.478.67NA
ICICI Pru FMP-77-1105D-N(G)0.641.853.607.46NANA
UTI FTIF-XXIII-I(1098D)(G)0.761.923.707.44NANA
Indiabulls Income Fund-Reg(G)0.634.885.227.437.59NA
UTI FTIF-XXII-XII(1100D)(G)0.641.883.707.42NANA
Reliance FHF-XXVI-23(G)0.712.213.977.418.40NA
ICICI Pru FMP-78-1281D-V(G)0.931.693.637.39NANA
HDFC FMP-XXXVI-1153D-April 2016(1)-Reg(G)0.911.593.507.39NANA
Reliance FHF-XXX-3-1223D(G)0.891.643.527.37NANA
Kotak FMP-178-1099D(G)0.731.903.957.35NANA
Kotak FMP-176-1100D(G)0.611.834.017.34NANA
UTI FTIF-XXII-VIII(1099D)(G)0.611.873.687.33NANA
UTI FTIF-XXIII-II(1100D)(G)0.771.893.667.29NANA
Reliance FHF-XXXI-11-1101D(G)0.941.743.617.28NANA
Kotak FMP-179-1099D(G)0.751.913.977.28NANA
HDFC FMP-XXXVI-1161D-July 2016(1)-Reg(G)0.941.733.637.28NANA
Kotak FMP-108-733D(G)0.631.803.907.277.89NA
JM Dynamic Debt Fund-Reg(G)0.641.773.577.267.988.20
UTI FTIF-XXII-VII(1098D)(G)0.591.793.637.25NANA
HDFC FMP-XXXVI-1127D-May 2016(1)-Reg(G)0.871.543.467.25NANA
BOI AXA Ultra Short Duration Fund-Reg(G)0.731.843.557.248.328.73
UTI FTIF-XXIII-IV(1100D)(G)0.771.883.667.23NANA
UTI FTIF-XXIII-VI(1100D)(G)0.841.883.657.19NANA
Reliance FHF-XXV-20(G)0.631.683.507.198.73NA
Franklin India Ultra Short Bond-Ret(G)0.801.743.577.178.308.82
ICICI Pru FMP-77-1144D-T(G)0.871.863.577.16NANA
Reliance FHF-XXIX-1-1112D(G)0.781.913.717.15NANA
Reliance FHF-XXIX-2-1111D(G)0.801.933.747.15NANA
Aditya Birla SL FTP-MU-1117D-Reg(G)0.611.793.527.14NANA
Reliance FHF-XXXI-2-1125D(G)0.881.723.567.14NANA
Reliance FHF-XXIX-18-1246D(G)0.891.803.637.12NANA
UTI FTIF-XXIII-V(1100D)(G)0.791.853.597.11NANA
ICICI Pru FMP-79-1104D-O(G)0.841.513.447.11NANA
UTI FIIF-II-Qtrly Inv V-Ret(G)0.701.823.667.107.418.19
DSPBR FMP 195-36M-Reg(G)0.961.713.577.10NANA
Kotak FMP-194-1099D(G)0.811.523.107.10NANA
HDFC FMP-XXIX-1175D-Jan 2014(1)-Reg(G)0.871.653.457.098.12NA
ICICI Pru FMP-73-369D-T(G)0.511.663.437.087.73NA
ICICI Pru FMP-73-383D-K(G)0.521.683.417.087.74NA
UTI FTIF-XXIII-XIII(1100D)(G)0.901.823.647.08NANA
ICICI Pru FMP-77-1151D-S(G)0.851.833.537.07NANA
ICICI Pru FMP-72-440D-L(G)0.511.683.457.067.73NA
UTI FIIF-AS IV-Ret(G)0.751.813.547.057.788.39
HDFC FMP-XXXIV-1126D-July 2015(1)-Reg(G)0.691.873.647.04NANA
Aditya Birla SL FTP-MQ-1159D-Reg(G)0.601.793.597.048.29NA
ICICI Pru FMP-74-369D-B(G)0.521.683.457.047.80NA
Aditya Birla SL Money Manager Fund-Ret(G)0.701.933.647.037.398.19
Kotak FMP-193-1098D(G)0.791.463.027.03NANA
Aditya Birla SL Money Manager Fund(G)0.701.933.647.037.388.28
UTI FTIF-XXIII-III(1098D)(G)0.721.883.667.03NANA
UTI FTIF-XXIII-IX(1100D)(G)0.821.833.587.03NANA
UTI FTIF-XXII-XIV(1100D)(G)0.661.843.617.03NANA
HDFC FMP-XXXIV-1141D-July 2015(1)-Reg(G)0.721.863.637.03NANA
Tata Money Market Fund-Reg(G)0.761.953.667.027.318.17
ICICI Pru FMP-74-370D-A(G)0.531.733.477.027.66NA
UTI FTIF-XXIII-X(1100D)(G)0.901.813.577.01NANA
ICICI Pru FMP-69-1821D-I(G)0.661.833.587.017.65NA
Kotak FMP-180-1099D(G)0.761.873.737.01NANA
UTI FIIF-QS III-Ret(G)0.792.003.697.017.298.23
UTI FTIF-XXIII-VIII(1100D)(G)0.861.843.547.00NANA
DSPBR FMP 196-37M-Reg(G)0.921.673.676.99NANA
Reliance Inv IV-3(G)0.671.873.676.99NANA
UTI FTIF-XIX-I(1104D)(G)0.711.713.376.997.83NA
Reliance FHF-XXXI-6-1143D(G)0.861.643.426.98NANA
ICICI Pru FMP-73-369D-S(G)0.521.733.506.987.69NA
L&T Money Market Fund-Reg(G)0.731.643.406.988.118.58
SBI Magnum Ultra Short Duration Fund-Reg(G)0.741.973.646.977.328.18
ICICI Pru FMP-73-376D-Q(G)0.521.713.476.977.70NA
ICICI Pru FMP-73-390D-I(G)0.531.683.406.977.74NA
Invesco India Money Market Fund(G)0.651.853.576.977.428.45
ICICI Pru FMP-71-480D-L(G)0.511.663.416.967.70NA
Aditya Birla SL FTP-MY-1107D-Reg(G)0.841.923.676.96NANA
UTI FTIF-XXII-XI(1098D)(G)0.581.793.566.96NANA
UTI FTIF-XXIII-XII(1100D)(G)0.901.763.516.96NANA
BOI AXA Liquid Fund-Reg(G)0.631.873.576.957.308.15
Principal Cash Management Fund(G)0.621.833.566.957.358.22
UTI FTIF-XXII-IX(1098D)(G)0.581.803.566.95NANA
HDFC FMP-XXXIII-1127D-May 2015(1)-Reg(G)0.581.803.556.958.46NA
Axis Liquid Fund(G)0.631.843.566.947.328.20
ICICI Pru FMP-73-407D-C(G)0.521.643.376.947.69NA
Reliance FHF-XXIX-8-1110D(G)0.821.893.656.94NANA
ICICI Pru FMP-77-1130D-D(G)0.591.803.586.948.26NA
Reliance FHF-XXIX-6-1112D(G)0.811.873.646.93NANA
Edelweiss Low Duration Fund-Ret(G)0.811.823.456.934.036.31
L&T Liquid Fund(G)0.631.833.556.937.318.19
Reliance FHF-XXVI-30-758D(G)0.561.513.126.938.25NA
Essel Liquid Fund-Reg(G)0.631.823.516.937.398.31
Reliance Money Market Fund(G)0.771.933.616.937.288.18
Baroda Pioneer Liquid-Reg(G)0.631.863.576.936.867.70
Baroda Pioneer Liquid Fund(G)0.631.863.576.937.368.23
UTI Money Market Fund-Inst(G)0.681.853.566.927.328.19
UTI FIIF-HS II(G)0.641.863.616.927.448.15
HSBC Cash Fund(G)0.631.833.546.927.278.16
UTI FTIF-XXII-X(1098D)(G)0.571.783.536.92NANA
Aditya Birla SL Liquid Fund-Ret(G)0.631.843.556.917.328.06
Aditya Birla SL Liquid Fund(G)0.631.843.556.917.328.24
UTI Liquid Fund-Cash Plan-Inst(G)0.631.853.556.917.308.16
Tata Liquid Fund-Reg(G)0.631.843.546.917.308.22
UTI FTIF-XXIV-V(1132D)(G)0.951.713.496.90NANA
DHFL Pramerica Insta Cash Fund(G)0.631.823.536.907.348.18
Indiabulls Liquid Fund(G)0.631.813.526.907.418.25
Reliance Liquid Fund(G)0.631.843.546.907.308.20
ICICI Pru Money Market Fund(G)0.651.853.556.907.318.19
Edelweiss Liquid Fund-Reg(G)0.631.833.536.906.938.00
UTI FTIF-XXIV-X(1118D)(G)0.921.693.476.89NANA
Invesco India Liquid Fund(G)0.631.813.536.897.318.21
Kotak Money Market Scheme(G)0.631.823.526.897.348.24
UTI FTIF-XXIV-II(1142D)(G)0.931.703.476.89NANA
JM Liquid Fund(G)0.631.833.526.897.368.24
HDFC FMP-XXXIV-1108D-September 2015(1)-Reg(G)0.771.863.606.89NANA
Aditya Birla SL FTP-MR-1153D-Reg(G)0.551.743.506.898.17NA
IDBI Liquid Fund(G)0.641.803.516.897.238.11
Mirae Asset Cash Management-Reg(G)0.631.813.506.886.997.65
Franklin India Income Opportunities Fund(G)0.921.233.106.888.289.21
Franklin India Liquid Fund-Super Inst(G)0.631.823.516.887.358.28
UTI FTIF-XXIII-VII(1098D)(G)0.801.843.556.88NANA
ICICI Pru FMP-80-1100D-A(G)0.851.603.466.88NANA
ICICI Pru FMP-80-1125D-S(G)0.741.353.226.88NANA
Aditya Birla SL Inv Inc-QS I-Ret(G)0.781.933.896.876.877.98
Edelweiss Liquid-Ret(G)0.631.833.536.876.897.88
ICICI Pru Liquid Fund(G)0.631.843.546.877.298.20
Kotak Liquid Fund-Reg(G)0.631.823.526.867.278.18
Reliance FHF-XXIX-9-1115D(G)0.851.873.636.86NANA
ICICI Pru FMP-74-367D-C(G)0.521.673.376.867.54NA
DSPBR Liquidity Fund-Reg(G)0.631.823.526.867.258.15
Reliance Inv-Qrtly-III(G)0.631.823.636.867.238.17
UTI FTIF-XIX-VI(366D)(G)0.721.753.446.867.68NA
ICICI Pru FMP-70-540D-S(G)0.511.643.386.857.64NA
IDFC Cash Fund-Reg(G)0.631.823.516.857.258.16
Mahindra Liquid Fund-Reg(G)0.621.803.506.85NANA
LIC MF Liquid(G)0.621.833.516.847.258.12
Invesco India FMP-XXVI-E(1101D)(G)0.781.853.586.84NANA
UTI FIIF-HS I(G)0.731.753.446.847.278.12
Sundaram Money Fund-Ret(G)0.621.813.506.847.258.01
UTI FTIF-XIX-VIII(368D)(G)0.721.743.426.847.65NA
UTI FIIF-II-Qtrly Inv VI-Reg(G)0.731.893.556.847.188.13
Sundaram Money Fund-Reg(G)0.621.813.506.847.258.17
Canara Rob Liquid Fund-Reg(G)0.631.843.526.827.178.11
Reliance FHF-XXXI-15-1403D(G)0.831.343.216.82NANA
UTI FTIF-XIX-IV(366D)(G)0.721.743.436.827.71NA
Aditya Birla SL FTP-NB-1099D-Reg(G)0.861.853.566.81NANA
BNP Paribas Liquid Fund(G)0.621.813.496.807.228.13
Union Liquid Fund(G)0.631.853.536.807.138.10
SBI Liquid Fund-Inst(G)0.621.823.506.807.228.12
SBI Liquid Fund(G)0.621.823.506.807.228.13
ICICI Pru FMP-80-1248D-D(G)0.891.523.376.79NANA
ICICI Pru FMP-77-1100D-L(G)0.591.793.556.78NANA
DHFL Pramerica Ultra ST(G)0.801.723.486.777.708.65
Principal Low Duration Fund(G)0.761.683.386.777.788.29
HDFC FMP-XXXIV-1134D-July 2015(1)-Reg(G)0.651.783.476.77NANA
Kotak FMP-182-1102D(G)0.801.833.636.77NANA
Aditya Birla SL FTP-MX-1128D-Reg(G)0.861.873.576.77NANA
ICICI Pru FMP-73-378D-O(G)0.521.643.326.777.61NA
UTI FIIF-AS I-Ret(G)0.721.733.416.767.558.72
Reliance FHF-XXVI-6(G)0.561.733.426.757.85NA
Reliance Inv-Annual-I(G)0.581.773.456.757.448.14
Reliance Inv-Annual-I-Ret(G)0.581.773.456.757.448.08
UTI FTIF-XXIV-XI(1098D)(G)0.781.583.386.75NANA
BNP Paribas Liquid Fund-Reg(G)0.621.793.456.747.167.73
ICICI Pru FMP-79-1105D-B(G)0.961.683.466.74NANA
UTI FIIF-II-Qrtly Inv IV(G)0.621.783.456.747.158.02
UTI FTIF-XXIII-XIV(1146D)(G)0.951.703.456.74NANA
UTI FTIF-XIX-III(368D)(G)0.711.723.396.747.66NA
Franklin India Savings Fund(G)0.851.663.366.737.618.27
Aditya Birla SL FTP-ND-1109D-Reg(G)0.851.783.476.73NANA
UTI FIIF-AS II(G)0.721.743.436.727.428.41
HDFC FMP-XXXIV-1105D-October 2015(1)-Reg(G)0.761.743.436.72NANA
Reliance Yearly Interval Fund-1(G)0.961.633.306.727.44NA
Reliance FHF-XXIX-10-1107D(G)0.821.823.536.72NANA
ICICI Pru FMP-72-425D-N(G)0.501.603.296.727.61NA
UTI FIIF-QS I-Ret(G)0.611.773.436.727.108.01
Indiabulls FMP-V-1175D(1)(G)0.881.603.896.72NANA
Reliance FHF-XXIX-14-1112D(G)0.821.743.416.71NANA
HDFC Liquid Fund(G)0.621.783.446.707.218.14
Baroda Pioneer Treasury Adv Fund(G)0.751.593.336.708.168.76
Baroda Pioneer Treasury Adv-Reg(G)0.751.593.336.707.768.33
Reliance FHF-XXIV-15(G)0.581.723.386.707.52NA
Franklin India ST Income Plan(G)0.831.163.066.708.169.25
UTI FIIF-II-Qtrly Inv VII-Reg(G)0.621.763.426.707.208.06
Reliance Inv-Mthly-II(G)0.611.773.606.696.837.86
UTI FIIF-MS II-Ret(G)0.671.803.466.697.077.93
ICICI Pru FMP-78-1190D-E(G)0.961.693.436.69NANA
Reliance Inv-Mthly-I(G)0.601.783.416.696.997.89
Reliance FHF-XXV-26(G)0.571.713.386.697.57NA
ICICI Pru FMP-73-368D-D(G)0.511.633.296.687.45NA
Reliance FHF-XXVI-2(G)0.561.683.376.687.63NA
ICICI Pru FMP-69-1821D-H(G)0.691.853.596.687.70NA
HDFC FMP-XXXIV-1111D-Nov 2015(1)-Reg(G)0.881.813.516.68NANA
Reliance FHF-XXVI-9(G)0.551.683.376.677.65NA
ICICI Pru FMP-80-1138D-R(G)0.741.233.126.67NANA
UTI FIIF-MS I-Ret(G)0.601.753.406.677.057.96
Reliance FHF-XXIV-3(G)0.571.723.306.676.99NA
Aditya Birla SL FTP-NG-1169D-Reg(G)0.941.733.466.67NANA
ICICI Pru FMP-78-1185D-F(G)0.961.683.436.67NANA
HDFC FMP-XXXV-1105D-Dec 2015(1)-Reg(G)0.881.773.456.66NANA
Reliance FHF-XXIV-11(G)0.571.713.356.667.54NA
ICICI Pru FMP-78-1102D-Z(G)0.851.643.436.66NANA
HDFC FMP-XXXIII-1112D-June 2015(1)-Reg(G)0.581.703.406.66NANA
Aditya Birla SL Savings-Ret(G)0.851.623.336.658.048.68
Aditya Birla SL Savings Fund(G)0.851.623.336.658.048.76
UTI FTIF-XXIV-XII(1099D)(G)0.831.553.326.64NANA
L&T FMP-VII-(Aug 1095D)-A(G)0.651.713.336.648.13NA
Aditya Birla SL FTP-NE-1100D-Reg(G)0.911.743.456.64NANA
Reliance Inv-Qrtly-I(G)0.591.713.366.646.977.93
UTI FTIF-XXIV-XIII(1097D)(G)0.851.533.316.64NANA
ICICI Pru FMP-78-1190D-C(G)0.941.663.376.64NANA
ICICI Pru FMP-80-1170D-I(G)0.761.263.146.63NANA
ICICI Pru FMP-80-1150D-N(G)0.731.243.116.63NANA
DHFL Pramerica FDF-AA-Reg(G)0.761.172.926.63NANA
Sundaram FTP-GY-1108D-Reg(G)0.601.733.396.63NANA
UTI FTIF-XXIII-XI(1100D)(G)0.891.773.456.62NANA
Indiabulls Ultra Short Term Fund(G)0.691.643.336.627.788.51
HDFC Money Market Fund(G)0.611.753.406.627.108.08
Invesco India FMP-XXVI-C(1098D)(G)0.611.753.416.62NANA
Aditya Birla SL FTP-NP-1163D-Reg(G)0.971.713.436.61NANA
Reliance FHF-XXIV-4(G)0.551.693.326.617.51NA
Escorts Liquid Plan(G)0.591.683.296.617.458.53
ICICI Pru FMP-74-369D-F(G)0.501.583.236.617.58NA
UTI FIIF-AS III-Ret(G)0.711.713.366.607.298.15
IDFC FTP-91-Reg(G)0.521.643.266.608.06NA
SBI DFS-B-23-1100D-Reg(G)0.581.713.376.60NANA
ICICI Pru FMP-78-1115D-X(G)0.951.663.386.59NANA
Aditya Birla SL FTP-NH-1168D-Reg(G)0.941.693.396.59NANA
UTI FTIF-XXIV-XV(1099D)(G)0.801.483.266.59NANA
Tata Treasury Advantage Fund(G)0.851.713.386.597.658.43
Edelweiss Low Duration Fund-Reg(G)0.791.743.296.593.946.58
IDFC Yrly Interval -Sr II-Reg(G)0.951.603.296.597.49NA
HDFC FMP-XXXVIII-1136D-June 2017(1)-Reg(G)0.731.433.206.59NANA
ICICI Pru FMP-78-1150D-N(G)0.971.653.406.59NANA
ICICI Pru FMP-78-1170D-I(G)0.961.653.396.58NANA
SBI DFS-B-22-1100D-Reg(G)0.561.693.346.58NANA
Aditya Birla SL FTP-NK-1196D-Reg(G)1.041.663.406.58NANA
L&T Ultra Short Term Fund(G)0.741.693.346.577.588.39
ICICI Pru FMP-78-1168D-J(G)0.971.653.386.57NANA
L&T Ultra ST-Reg(G)0.741.693.346.577.588.11
Kotak Low Duration Fund(G)0.801.603.316.578.018.38
ICICI Pru FMP-78-1130D-T(G)0.951.643.376.57NANA
ICICI Pru FMP-78-1156D-U(G)0.951.623.376.57NANA
Sundaram FTP-HB-1110D-Reg(G)0.891.763.426.56NANA
ICICI Pru FMP-78-1135D-W(G)0.951.643.376.56NANA
Edelweiss FMP-35-Reg(G)0.751.563.276.567.97NA
ICICI Pru FMP-78-1212D-A(G)0.971.683.386.56NANA
Invesco India FMP-XXVII-C(1100D)(G)0.901.693.386.55NANA
Invesco India Ultra Short Term Fund(G)0.691.693.326.548.128.13
Invesco India FMP-XXVII-A(1100D)(G)0.921.773.436.53NANA
Sundaram FTP-HA-1110D-Reg(G)0.881.783.456.52NANA
SBI DFS-B-25-1100D-Reg(G)0.551.663.356.52NANA
DHFL Pramerica FMP-95-1100D-Reg(G)0.871.763.406.51NANA
Aditya Birla SL FTP-MP-1141D-Reg(G)0.531.663.326.517.85NA
Franklin India Credit Risk Fund(G)0.831.192.986.518.239.23
Kotak Savings Fund(G)0.751.733.386.517.508.34
ICICI Pru Money Market-Ret(G)0.621.773.376.516.897.53
Escorts Short Term Debt(G)0.651.623.166.507.508.99
Reliance FHF-XXX-4-1160D(G)0.971.623.336.50NANA
UTI FTIF-XXV-I(1099D)(G)0.781.443.156.50NANA
UTI FTIF-XXIV-XVII(1098D)(G)0.801.473.196.50NANA
Aditya Birla SL FTP-NL-1148D-Reg(G)1.041.663.376.49NANA
BNP Paribas Low Duration Fund-Reg(G)0.841.623.286.497.477.97
Reliance FHF-XXX-1-1181D(G)0.961.633.346.49NANA
Aditya Birla SL FTP-NI-1163D-Reg(G)0.981.613.326.48NANA
Reliance FHF-XXIX-16-1223D(G)0.981.633.336.48NANA
Reliance FHF-XXIX-20-1188D(G)0.971.623.326.47NANA
Reliance FHF-XXX-2-1174D(G)0.971.633.356.47NANA
HDFC FMP-XXXV-1155D-Feb 2016(1)-Reg(G)0.971.643.336.46NANA
HDFC FMP-XXXVI-1120D-March 2016(1)-Reg(G)0.931.643.336.46NANA
SBI Magnum Low Duration Fund(G)0.781.683.366.467.508.27
ICICI Pru Ultra Short Term Fund Fund(G)0.711.543.336.468.218.58
Edelweiss FMP-38-Reg(G)0.801.563.256.457.86NA
DHFL Pramerica Low Duration Fund(G)0.781.573.216.458.008.66
Kotak FMP-185-1176D(G)0.961.663.506.45NANA
IIFL Liquid Fund-Reg(G)0.591.713.316.456.84NA
Reliance FHF-XXX-5-1152D(G)0.971.623.326.44NANA
JM Money Market Fund(G)0.761.623.126.447.108.12
HDFC FMP-XXXV-1132D-Feb 2016(1)-Reg(G)0.961.613.326.43NANA
HDFC FMP-XXXV-1167D-Jan 2016(1)-Reg(G)0.971.613.306.43NANA
HDFC FMP-XXXV-1183D-Jan 2016(1)-Reg(G)0.961.583.256.43NANA
IDFC FTP-75-Reg(G)0.521.643.256.427.82NA
UTI Treasury Advantage Fund-Inst(G)0.781.543.176.427.828.58
HDFC FMP-XXXV-1176D-Jan 2016(1)-Reg(G)0.991.623.306.41NANA
IDFC FTP-77-Reg(G)0.521.643.256.417.85NA
ICICI Pru FMP-79-1140D-D(G)0.841.523.276.41NANA
ICICI Pru Liquid Fund-Ret(G)0.591.743.326.406.827.48
Aditya Birla SL FRF-Long Term Plan(G)0.861.553.206.398.048.75
Aditya Birla SL FRF-Long Term Plan-Ret(G)0.861.553.206.398.048.68
HDFC FMP-XXXV-1114D-March 2016(1)-Reg(G)0.931.553.256.39NANA
Reliance FHF-XXX-10-1136D(G)0.961.603.286.39NANA
Reliance FHF-XXX-13-1124D(G)0.961.603.306.39NANA
IDFC FTP-66-Reg(G)0.491.613.226.397.80NA
Reliance FHF-XXX-17-1111D(G)0.921.553.246.38NANA
SBI DFS-B-26-1100D-Reg(G)0.791.723.326.38NANA
UTI FTIF-XXV-II(1097D)(G)0.831.443.186.38NANA
IDFC FTP-79-Reg(G)0.501.613.216.377.83NA
Axis Treasury Advantage Fund(G)0.831.553.276.377.428.23
ICICI Pru Savings Fund(G)0.831.493.156.377.898.65
Reliance FHF-XXIX-19-1202D(G)0.961.603.286.37NANA
HDFC FMP-XXXVIII-1166D-May 2017(1)-Reg(G)0.721.383.086.36NANA
Reliance FHF-XXX-6-1146D(G)0.961.593.286.36NANA
Kotak FMP-190-1142D(G)0.901.623.376.36NANA
Reliance FHF-XXX-7-1139D(G)0.961.593.266.35NANA
UTI FTIF-XXIII-XV(1176D)(G)0.941.593.276.35NANA
HDFC Floating Rate Debt Fund(G)0.811.493.106.347.768.50
LIC MF Savings Fund(G)0.731.633.186.337.297.77
Kotak FMP-181-1252D(G)0.881.603.396.33NANA
UTI FTIF-XXIV-VIII(1184D)(G)0.931.563.246.33NANA
HDFC FMP-XXXV-1148D-Feb 2016(1)-Reg(G)0.931.553.226.33NANA
Kotak FMP-191-1120D(G)0.871.593.356.33NANA
UTI Money Market Fund-Discontinued-Reg(G)0.641.723.286.316.747.59
UTI FTIF-XXIV-VI(1181D)(G)0.931.573.246.31NANA
Principal Credit Risk Fund(G)0.661.122.926.317.778.26
Reliance Low Duration Fund(G)0.871.553.246.317.518.33
Sundaram FTP-HC-1210D-Reg(G)0.931.553.256.30NANA
Kotak Corporate Bond Fund(G)0.791.643.266.307.818.37
UTI FTIF-XXIV-IX(1183D)(G)0.901.513.196.30NANA
ICICI Pru FMP-77-1473D-C(G)0.921.543.216.308.33NA
SBI DFS-B-27-1100D-Reg(G)0.801.703.276.29NANA
HSBC FTS-94-Reg(G)0.501.593.186.297.10NA
HDFC FMP-XXXVI-1104D-April 2016(1)-Reg(G)0.891.483.136.28NANA
Invesco India Liquid-Reg(G)0.581.683.256.276.677.21
UTI FTIF-XXV-III(1100D)(G)0.781.403.156.27NANA
Aditya Birla SL FTP-NR-1099D-Reg(G)1.001.573.246.27NANA
Principal Ultra Short Term Fund(G)0.661.753.376.277.318.42
Aditya Birla SL Inv Inc-Annual Plan IX(G)0.511.543.116.277.07NA
Reliance FHF-XXXII-4-1414D(G)0.741.172.966.27NANA
Reliance FHF-XXX-19-1127D(G)0.811.493.196.27NANA
UTI FTIF-XXIV-VII(1182D)(G)0.931.533.206.27NANA
HDFC FMP-XXXVI-1107D-March 2016(1)-Reg(G)0.901.453.136.27NANA
Franklin India Dynamic Accrual Fund(G)0.810.912.736.278.848.95
DHFL Pramerica FDF-AF-Reg(G)0.711.192.876.26NANA
Sundaram Low Duration Fund-Reg(G)0.731.553.146.257.208.26
Sundaram Low Duration Fund-Ret(G)0.731.553.146.256.717.40
Canara Rob Savings Fund-Reg(G)0.691.533.116.257.478.26
IDFC Low Duration Fund-Reg(G)0.801.413.096.257.718.55
HDFC FMP-XXXVII-1302D-Sep 2016(1)-Reg(G)0.791.092.786.25NANA
JM Low Duration Fund(G)0.721.483.076.257.488.29
Sundaram Short Term Credit Risk Fund(G)0.771.473.046.256.958.15
DSPBR Low Duration Fund-Reg(G)0.891.513.146.247.48NA
SBI DFS-B-28-1100D-Reg(G)0.771.673.216.24NANA
HDFC FMP-XXXVII-1309D-Sep 2016(1)-Reg(G)0.811.142.846.23NANA
Reliance FHF-XXIV-25(G)0.451.382.946.237.29NA
UTI Liquid Fund-Cash-Discontinued-Reg(G)0.581.703.236.226.637.50
UTI Ultra Short Term Fund-Reg(G)0.691.623.156.217.618.37
HDFC FMP-XXXVII-1178D-Feb 2017(1)-Reg(G)0.781.122.696.21NANA
Aditya Birla SL FTP-NT-1099D-Reg(G)0.891.433.096.20NANA
HSBC FTS-98-Reg(G)0.501.573.136.207.01NA
Sundaram FTP-HI-1160D-Reg(G)0.931.533.176.19NANA
DSPBR Money Manager Fund-Reg(G)0.781.633.206.186.887.82
DHFL Pramerica Floating Rate Fund(G)0.781.523.096.187.438.16
DHFL Pramerica FDF-AB-Reg(G)0.690.972.656.18NANA
UTI FTIF-XIX-V(1095D)(G)0.671.583.116.187.32NA
Invesco India Money Market Fund-Reg(G)0.591.663.186.176.727.41
HDFC FMP-XXXVI-1113D-June 2016(1)-Reg(G)0.851.393.046.17NANA
Franklin India Liquid Fund-Reg(G)0.571.643.166.166.647.60
Reliance Ultra Short Duration Fund(G)0.741.713.226.166.497.47
Aditya Birla SL Inv Inc-Annual Plan X(G)0.521.543.126.167.14NA
Quantum Liquid Fund(G)-Direct Plan0.551.583.136.166.607.64
ICICI Pru FMP-79-1118D-K(G)0.641.363.086.16NANA
BNP Paribas Low Duration Fund(G)0.811.543.126.167.187.99
ICICI Pru FMP-79-1120D-J(G)0.801.443.106.16NANA
Reliance FHF-XXV-35(G)0.911.553.186.157.94NA
SBI Banking and PSU Fund-Reg(G)0.781.503.176.157.438.21
Franklin India Floating Rate Fund(G)0.611.693.176.136.116.48
DSPBR Savings Fund-Reg(G)0.941.603.206.136.457.52
UTI FTIF-XXV-IV(1100D)(G)0.821.393.116.13NANA
ICICI Pru FMP-79-1130D-E(G)0.911.583.336.13NANA
HDFC FMP-XXXVI-1127D-June 2016(1)-Reg(G)0.851.363.026.12NANA
HDFC FMP-XXVII-1875D-Aug 2013(1)-Reg(G)0.751.593.096.127.80NA
Reliance FHF-XXIV-24(G)0.801.713.286.117.56NA
HSBC FTS-125-Reg(G)0.901.513.136.10NANA
HDFC FMP-XXXVIII-1188D-Mar 2017(1)-Reg(G)0.801.202.846.09NANA
ICICI Pru FMP-79-1104D-P(G)0.581.283.016.09NANA
Axis Banking & PSU Debt Fund(G)0.711.042.706.087.458.24
UTI FTIF-XVIII-II(1825D)(G)0.871.503.026.077.95NA
L&T Low Duration Fund-Reg(G)0.751.292.696.078.508.74
Baroda Pioneer ST Bond Fund(G)0.641.452.996.078.058.50
SBI Savings Fund-Reg(G)0.671.513.136.077.308.15
Reliance FHF-XXXII-2-1417D(G)0.811.222.986.06NANA
HSBC FTS-96-Reg(G)0.491.473.016.056.96NA
Reliance FHF-XXX-12-1130D(G)0.941.523.126.05NANA
IDBI Ultra ST(G)0.661.593.096.036.867.85
HDFC FMP-XXXVI-1112D-June 2016(1)-Reg(G)0.821.272.906.03NANA
Reliance FHF-XXXIII-2-1314D(G)0.801.092.816.02NANA
DHFL Pramerica FDF-AC-Reg(G)0.680.972.646.02NANA
SBI DFS-B-29-1200D-Reg(G)0.901.523.106.02NANA
L&T FMP-XIV-A-1233D(G)0.761.122.896.02NANA
HDFC FMP-XXXVII-1170D-Feb 2017(1)-Reg(G)0.751.082.646.02NANA
Reliance FHF-XXXII-1-1418D(G)0.741.112.886.01NANA
Reliance FHF-XXXI-5-1106D(G)0.721.443.106.01NANA
Invesco India Treasury Advantage Fund(G)0.761.413.036.017.338.13
HSBC Cash-Reg(G)0.561.613.096.006.337.20
Axis FTP-64-715D-Reg(G)0.831.553.095.997.36NA
Reliance Liquid Fund-Ret(G)0.561.613.095.996.387.28
Reliance FHF-XXXIII-5-1295D(G)0.791.092.725.98NANA
L&T FMP-XIV-C-1150D(G)0.761.082.855.98NANA
Aditya Birla SL Low Duration Fund(G)0.771.513.075.987.308.04
UTI FTIF-XXV-V(1100D)(G)0.731.322.985.97NANA
HDFC FMP-XXXVII-1218D-Dec 2016(1)-Reg(G)0.851.212.855.97NANA
DHFL Pramerica FDF-29-Reg(G)0.711.372.985.96NANA
UTI FTIF-XXV-VII(1097D)(G)0.751.292.985.96NANA
JM Ultra Short Duration Fund(G)0.711.452.955.957.518.36
Reliance FHF-XXXII-7-1376D(G)0.821.052.765.94NANA
Reliance Prime Debt Fund(G)0.801.252.915.947.658.33
UTI FTIF-XXV-VI(1098D)(G)0.831.353.035.94NANA
UTI FTIF-XVII-XV(1825D)(G)0.881.483.005.947.91NA
UTI Treasury Advantage-Discontinued-Reg(G)0.751.422.935.927.308.09
SBI Overnight Fund-Reg(G)0.501.502.965.926.407.55
SBI DFS-B-35-1131D-Reg(G)0.901.483.045.92NANA
Reliance FHF-XXXII-10-1151D(G)0.801.192.835.92NANA
HDFC Overnight Fund(G)0.491.482.925.916.257.15
SBI DFS-B-36-1131D-Reg(G)0.861.463.025.91NANA
Kotak FMP-196-1099D(G)0.791.393.025.90NANA
Reliance FHF-XXXI-1-1116D(G)0.671.392.995.90NANA
HDFC FMP-XXVII-1846D-Aug 2013(1)-Reg(G)0.591.492.955.887.31NA
ICICI Pru FMP-81-1116D-I(G)0.711.002.645.88NANA
SBI DFS-A-35-369D-Reg(G)0.491.472.995.887.38NA
Essel Ultra Short Term Fund-Reg(G)0.621.432.925.866.847.96
SBI DFS-A-36-36M-Reg(G)0.491.472.995.867.05NA
SBI DFS-B-34-1131D-Reg(G)0.911.493.025.85NANA
HDFC FMP-XXXVIII-1213D-Mar 2017(1)-Reg(G)0.781.122.755.85NANA
SBI DFS-B-31-1200D-Reg(G)0.881.453.025.85NANA
SBI DFS-B-33-1131D-Reg(G)0.911.473.015.85NANA
Reliance Low Duration Fund-Ret(G)0.821.433.015.847.047.91
UTI FTIF-XXV-VIII(1100D)(G)0.811.282.965.83NANA
SBI DFS-B-41-1100D-Reg(G)0.791.402.945.79NANA
HSBC Low Duration Fund(G)0.721.362.885.796.940.96
IDFC FTP-108-1144D-Reg(G)0.471.492.965.787.12NA
Motilal Oswal Ultra Short Term Fund-Reg(G)0.741.552.985.756.04NA
UTI FTIF-XXV-IX(1098D)(G)0.811.262.905.73NANA
Reliance FHF-XXXIV-1-1238D(G)0.780.912.545.72NANA
ICICI Pru FMP-72-366D-K(G)0.481.432.805.727.12NA
Tata Corp Bond Fund-Reg(G)0.761.272.865.727.077.92
SBI DFS-B-42-1100D-Reg(G)0.771.342.865.72NANA
HSBC FTS-126-Reg(G)0.841.342.895.71NANA
DHFL Pramerica FDF-31-Reg(G)0.661.292.845.69NANA
ICICI Pru Credit Risk Fund(G)0.681.362.945.697.908.63
Mahindra Low Duration Bachat Yojana-Reg(G)0.691.382.855.68NANA
ICICI Pru FMP-79-1106D-M(G)0.571.262.995.68NANA
Reliance FHF-XXXI-13-1130D(G)0.581.172.865.66NANA
ICICI Pru Floating Interest Fund(G)0.741.252.865.667.528.29
Canara Rob Ultra Short Term Fund-Reg(G)0.441.462.845.666.597.91
Aditya Birla SL Credit Risk Fund-Reg(G)0.861.302.975.658.68NA
DHFL Pramerica FMP-72-3Y-Reg(G)0.451.442.835.647.34NA
HDFC Low Duration Fund(G)0.761.252.695.637.147.70
HDFC FMP-XXXVII-1199D-Jan 2017(1)-Reg(G)0.771.142.705.61NANA
Edelweiss FMP-41-Reg(G)0.570.932.375.61NANA
Sundaram FTP-HM-1100D-Reg(G)0.711.292.805.61NANA
Mirae Asset Savings Fund-Reg Savings Plan(G)0.691.452.925.606.34NA
Baroda Pioneer Credit Risk Fund-A(G)0.641.082.445.609.02NA
Mirae Asset Savings Fund-Reg(G)0.691.452.925.596.347.18
HDFC Short Term Debt Fund(G)0.801.122.705.577.598.50
SBI DFS-B-43-1100D-Reg(G)0.751.242.755.55NANA
Reliance FHF-XXXIII-9-1265D(G)0.780.852.405.54NANA
SBI DFS-B-44-1100D-Reg(G)0.681.272.745.53NANA
Sundaram FTP-HS-1100D-Reg(G)0.701.242.745.51NANA
Edelweiss Short Term Fund-Reg(G)0.741.162.775.490.514.81
HSBC Low Duration Fund-Reg(G)0.691.292.725.496.637.51
Franklin India Corp Debt Fund-A(G)0.660.692.505.487.779.07
Axis Strategic Bond Fund(G)0.780.852.335.488.328.85
L&T Cash Fund-Reg(G)0.411.372.715.466.047.25
Invesco India Treasury Advantage Fund-Reg(G)0.711.262.725.456.867.33
ICICI Pru FMP-73-1140D-E(G)0.811.162.805.437.47NA
Invesco India Banking & PSU Debt Fund(G)0.661.713.245.416.47NA
UTI FTIF-XXVI-V(1160D)(G)0.821.132.575.41NANA
IDFC Money Manager Fund-Reg(G)0.701.292.695.417.037.72
ICICI Pru Floating Interest Fund-Option A(G)0.731.222.765.417.347.94
ICICI Pru Floating Interest Fund-Option B(G)0.731.222.765.417.347.93
Indiabulls Short Term Fund(G)0.861.452.975.407.61NA
ICICI Pru FMP-81-1101D-C(G)0.771.092.655.38NANA
UTI FTIF-XXVI-VII(1140D)(G)0.810.992.505.36NANA
ICICI Pru FMP-81-1101D-E(G)0.771.062.755.34NANA
Reliance FHF-XXXI-7-1098D(G)0.651.212.675.33NANA
Aditya Birla SL FTP-OF-1151D-Reg(G)0.740.922.435.33NANA
LIC MF Banking & PSU Debt Fund(G)0.571.372.565.326.657.11
Sahara Liquid-Fixed Pricing(G)0.441.182.535.315.807.03
Invesco India Credit Risk Fund(G)0.750.982.475.318.29NA
Aditya Birla SL FTP-OJ-1136D-Reg(G)0.790.992.465.27NANA
UTI FTIF-XXVI-XIII(1124D)(G)0.831.032.515.27NANA
IIFCL MF-Infra Debt Fund-Sr INA0.760.895.249.43NA
UTI Banking & PSU Debt Fund-Reg(G)0.741.072.425.238.28NA
Reliance Credit Risk Fund(G)0.790.862.275.237.888.74
BNP Paribas Short Term Fund-Reg(G)0.871.272.685.237.468.19
IDBI Credit Risk Fund(G)0.680.712.435.226.92NA
Reliance FHF-XXXI-9-1130D(G)0.511.062.585.20NANA
Franklin India Low Duration Fund(MD)0.751.312.725.186.397.10
IDBI ST Bond(G)0.731.052.455.176.717.61
BNP Paribas Short Term Fund(G)0.851.252.645.167.298.18
ICICI Pru FMP-80-1187D-G(G)0.650.812.365.16NANA
ICICI Pru FMP-80-1194D-F(G)0.650.842.385.15NANA
Kotak Credit Risk Fund(G)0.690.952.495.148.108.69
Aditya Birla SL Medium Term Plan(G)0.781.132.525.138.399.59
UTI Medium Term Fund-Reg(G)0.600.822.195.138.13NA
HDFC FMP-XXIX-793D-Feb 2014(1)-Reg(G)0.730.792.335.087.20NA
Aditya Birla SL FTP-OM-1146D-Reg(G)0.730.832.385.08NANA
ICICI Pru FMP-80-1253D-J(G)0.690.752.225.08NANA
HDFC FMP-XXIX-370D-Mar 2014(1)-Reg(G)0.720.782.325.077.21NA
UTI Credit Risk Fund-Reg(G)0.630.832.255.067.94NA
UTI FTIF-XXV-X(1229D)(G)0.710.892.475.06NANA
HDFC FMP-XXXVII-1150D-Feb 2017(1)-Reg(G)0.740.762.335.05NANA
Aditya Birla SL Corp Bond Fund(G)0.760.962.365.057.878.80
IDFC FTP-129-1147D-Reg(G)0.800.892.425.04NANA
DHFL Pramerica FDF-AG-Reg(G)0.610.772.295.03NANA
SBI Magnum Constant Maturity Fund(G)0.581.862.745.038.759.46
Aditya Birla SL FTP-OL-1148D-Reg(G)0.680.802.335.03NANA
HDFC FMP-XXXVII-1155D-Feb 2017(1)-Reg(G)0.730.742.275.02NANA
Union Short Term Fund(G)0.680.912.325.026.287.72
DHFL Pramerica FDF-AE-Reg(G)0.630.772.275.01NANA
L&T Banking and PSU Debt Fund-Reg(G)0.780.952.525.017.347.54
L&T Credit Risk Fund(G)0.620.812.225.008.018.42
ICICI Pru FMP-80-1245D-L(G)0.700.862.275.00NANA
ICICI Pru FMP-80-1233D-O(G)0.680.842.254.99NANA
SBI DFS-B-46-1155D-Reg(G)0.650.932.344.98NANA
UTI FTIF-XXVI-VI(1146D)(G)0.760.802.314.95NANA
ICICI Pru Corp Bond Fund-Ret(G)0.800.922.454.957.628.23
ICICI Pru FMP-79-1404D-T(G)0.690.822.194.94NANA
Aditya Birla SL FTP-OH-1120D-Reg(G)0.780.832.324.94NANA
Aditya Birla SL FTP-OG-1146D-Reg(G)0.740.822.324.93NANA
DSPBR FMP 204-37M-Reg(G)0.770.802.314.93NANA
Kotak FMP-199-1147D(G)0.720.822.304.90NANA
ICICI Pru FMP-80-1225D-T(G)0.690.862.234.90NANA
IDFC FTP-131-1139D-Reg(G)0.740.802.304.90NANA
ICICI Pru Corp Bond Fund(G)0.800.902.414.907.648.28
HDFC FMP-XXXVII-1169D-Feb 2017(1)-Reg(G)0.700.722.214.90NANA
ICICI Pru FMP-80-1227D-Q(G)0.680.812.214.90NANA
Reliance FHF-XXXIII-6-1201D(G)0.660.772.234.89NANA
HDFC FMP-XXXVIII-1165D-Apr 2017(1)-Reg(G)0.740.712.184.89NANA
DSPBR FMP 211-38M-Reg(G)0.720.802.284.89NANA
Aditya Birla SL FTP-OI-1120D-Reg(G)0.730.802.274.88NANA
Reliance FHF-XXXIII-7-1197D(G)0.640.802.244.88NANA
DSPBR FMP 210-36M-Reg(G)0.720.772.284.88NANA
DHFL Pramerica Credit Risk Fund-Reg(G)0.610.531.864.888.12NA
ICICI Pru FMP-80-1216D-U(G)0.680.802.194.87NANA
L&T Short Term Bond Fund-Reg(G)0.770.922.374.867.058.13
Aditya Birla SL FTP-OE-1153D-Reg(G)0.660.782.214.86NANA
DSPBR FMP 205-37M-Reg(G)0.770.792.294.86NANA
Kotak FMP-204-1141D(G)0.750.852.364.85NANA
Invesco India FMP-29-B(1150D)(G)0.760.732.214.85NANA
DSPBR FMP 209-37M-Reg(G)0.720.762.244.83NANA
ICICI Pru FMP-80-1231D-P(G)0.660.792.154.83NANA
Aditya Birla SL FTP-OD-1145D-Reg(G)0.640.722.204.83NANA
Franklin India FMP-1-A-1108D(G)0.780.852.304.83NANA
Reliance FHF-XXXII-5-1332D(G)0.700.802.244.82NANA
Reliance FHF-XXXII-9-1285D(G)0.670.762.194.82NANA
UTI Overnight Fund-Reg(G)0.491.222.514.826.837.65
HDFC FMP-XXXVIII-1172D-Apr 2017(1)-Reg(G)0.740.692.184.82NANA
Franklin India FMP-1-B-1104D(G)0.790.822.284.81NANA
IDFC Banking & PSU Debt Fund-Reg(G)0.800.832.274.806.62NA
UTI FTIF-XXVI-I(1182D)(G)0.650.772.374.80NANA
HSBC FTS-128-Reg(G)0.730.732.194.80NANA
SBI Credit Risk Fund-Reg(G)0.700.722.104.788.049.09
Reliance FHF-XXXII-8-1295D(G)0.690.772.124.78NANA
HSBC FTS-129-Reg(G)0.720.692.104.77NANA
UTI FTIF-XXV-XII(1198D)(G)0.680.822.344.76NANA
Kotak FMP-202-1144D(G)0.700.802.224.76NANA
Reliance FHF-XXXIII-1-1222D(G)0.690.802.144.76NANA
UTI FTIF-XXVI-II(1176D)(G)0.730.882.314.75NANA
Reliance FHF-XXXIII-8-1183D(G)0.730.792.154.75NANA
UTI FTIF-XXV-XI(1211D)(G)0.660.812.334.75NANA
BOI AXA Short Term Income Fund-Reg(G)0.731.122.404.747.807.99
Reliance FHF-XXXIII-3-1215D(G)0.710.792.134.70NANA
Reliance FHF-XXXIII-4-1208D(G)0.690.792.124.70NANA
Kotak FMP-203-1100D(G)0.720.792.214.69NANA
Kotak FMP-200- 1158D(G)0.700.782.184.69NANA
IDFC Corp Bond Fund-Reg(G)0.770.722.184.68NANA
Axis Short Term Fund(G)0.730.932.264.687.318.11
DHFL Pramerica Short Maturity Fund(G)0.610.662.004.677.648.52
ICICI Pru FMP-81-1154D-J(G)0.670.662.054.66NANA
ICICI Pru FMP-81-1211D-A(G)0.700.872.174.66NANA
Aditya Birla SL FTP-OK-1135D-Reg(G)0.750.732.174.66NANA
Axis Credit Risk Fund-Reg(G)0.700.732.004.657.58NA
Sundaram Short Term Debt Fund(G)0.710.902.244.646.908.33
SBI DFS-B-49-1170D-Reg(G)0.680.702.134.63NANA
UTI ST Income Fund-Inst(G)0.731.032.214.607.658.76
ICICI Pru FMP-81-1150D-K(G)0.670.702.064.58NANA
DHFL Pramerica FMP-70-Reg(G)0.461.262.374.586.18NA
UTI FTIF-XXVI-XII(1096D)(G)0.710.852.164.58NANA
ICICI Pru FMP-81-1205D-B(G)0.690.842.144.58NANA
HDFC Corp Bond Fund(G)0.700.641.944.557.778.72
Kotak Medium Term Fund(G)0.630.601.904.538.09NA
Kotak Banking and PSU Debt Fund(G)0.780.832.124.527.488.23
DSPBR Credit Risk Fund-Reg(G)0.690.792.034.518.018.71
UTI FTIF-XXVI-IX(1113D)(G)0.730.862.124.51NANA
IDFC Bond Fund - Short Term Plan-Reg(G)0.770.742.094.516.987.95
JM Short Term Fund(G)0.591.342.354.507.237.84
JM Short Term-Reg(G)0.591.342.354.507.127.65
UTI FTIF-XXVI-XI(1105D)(G)0.720.852.104.50NANA
DHFL Pramerica Ultra ST-Reg(G)0.631.192.394.495.556.95
UTI FTIF-XXVI-X(1107D)(G)0.730.842.114.49NANA
UTI FTIF-XXVII-I(1113D)(G)0.740.792.074.47NANA
UTI FTIF-XXVI-III(1169D)(G)0.720.862.154.46NANA
UTI FTIF-XXVI-XIV(1105D)(G)0.750.892.124.44NANA
DSPBR Bond Fund-Reg(G)0.730.631.884.447.568.04
Aditya Birla SL Short Term Opp Fund(G)0.660.811.924.437.639.07
UTI FTIF-XXVI-XV(1097D)(G)0.750.912.134.43NANA
Canara Rob Short Duration Fund-Reg(G)0.680.812.014.377.117.04
Aditya Birla SL Banking & PSU Debt(G)0.730.932.144.378.099.21
Aditya Birla SL Banking & PSU Debt-Ret(G)0.730.932.144.378.099.11
Principal Short Term Debt Fund(G)0.680.812.124.357.258.07
IDFC G-Sec-Constant Maturity Plan-Reg(G)0.130.471.944.357.829.29
SBI Short Term Debt Fund-Ret(G)0.670.692.064.347.298.21
SBI Short Term Debt Fund-Reg(G)0.670.692.064.347.298.22
Reliance Floating Rate Fund(G)0.700.531.854.326.988.01
ICICI Pru FMP-81-1178D-H(G)0.670.782.014.31NANA
UTI FTIF-XXVI-VIII(1154D)(G)0.750.772.124.31NANA
ICICI Pru FMP-81-1185D-G(G)0.670.772.004.30NANA
ICICI Pru FMP-81-1190D-F(G)0.680.772.024.29NANA
ICICI Pru FMP-81-1195D-D(G)0.680.741.994.27NANA
Essel Short Term Fund-Reg(G)0.631.102.374.276.327.70
Kotak Bond-STP(G)0.730.932.224.267.147.99
Edelweiss Banking and PSU Debt Fund-Reg(G)0.750.511.914.216.66NA
Reliance FHF-XXXIII-10-1173D(G)0.730.691.914.19NANA
UTI ST Income Fund-Discontinued-Reg(G)0.700.932.014.197.258.47
Franklin India Banking & PSU Debt Fund(G)0.790.391.624.187.12NA
ICICI Pru Medium Term Bond Fund(G)0.650.661.864.187.598.48
BNP Paribas Corp Bond Fund(G)0.640.121.334.187.378.15
BNP Paribas Corp Bond Fund-Reg(G)0.630.081.324.187.378.01
SBI Magnum Medium Duration Fund-Reg(G)0.690.761.974.178.469.58
Reliance FHF-XXXIV-4-1132D(G)0.620.541.864.16NANA
Reliance Banking & PSU Debt Fund(G)0.740.651.914.167.50NA
HSBC Short Duration Fund(G)0.680.771.934.136.707.66
UTI FTIF-XXIV-XIV(1831D)(G)0.790.361.594.12NANA
DHFL Pramerica Insta Cash Fund-Reg(G)0.421.182.224.114.796.05
HDFC Banking and PSU Debt Fund-Reg(G)0.660.191.264.107.65NA
DHFL Pramerica Banking & PSU Debt Fund(G)0.710.721.984.107.05NA
HDFC Medium Term Debt Fund(G)0.650.751.814.107.538.30
ICICI Pru Medium Term Bond Fund-B(G)0.650.651.834.097.588.47
IDFC Credit Risk Fund-Reg(G)0.730.591.694.09NANA
Tata ST Bond Fund(G)0.660.831.994.086.978.26
DSPBR Banking & PSU Debt Fund-Reg(G)0.710.551.814.047.42NA
ICICI Pru Short Term Fund(G)0.670.651.924.027.748.50
Reliance Classic Bond Fund(G)0.640.511.604.007.99NA
DSPBR Short Term Fund-Reg(G)0.680.401.633.996.787.99
HDFC Credit Risk Debt Fund-(G)0.640.501.583.977.96NA
IIFL Dynamic Bond Fund-Reg(G)0.700.571.703.946.97NA
Reliance FHF-XXXIV-3-1139D(G)0.590.501.753.94NANA
Edelweiss Corporate Bond Fund-Reg(G)0.580.291.303.936.89NA
Reliance Short Term Fund(G)0.660.531.713.917.118.23
Reliance FHF-XXXI-8-1419D(G)0.560.561.653.85NANA
Reliance FHF-XXXIV-2-1145D(G)0.630.531.643.82NANA
Invesco India Short Term Fund(G)0.640.661.783.736.657.39
ICICI Pru Banking & PSU Debt Fund(G)0.780.682.013.718.288.71
Sundaram Banking & PSU Debt Fund(G)0.670.181.343.706.567.81
Sundaram Banking & PSU Debt Fund-Ret(G)0.670.181.343.705.896.88
Kotak Dynamic Bond Fund-Reg(G)0.750.681.593.468.378.70
Edelweiss Government Securities Fund-Reg(G)0.140.471.323.407.06NA
BNP Paribas Medium Term Fund(G)0.490.201.183.336.74NA
Canara Rob Corp Bond Fund-Reg(G)0.570.431.373.306.66NA
Sundaram Medium Term Bond Fund(G)0.610.551.323.276.967.66
IDFC Bond Fund - Medium Term Plan-Reg(G)0.660.711.593.226.917.73
DHFL Pramerica Strategic Debt Fund-Reg(G)0.430.741.863.119.06NA
L&T Resurgent India Bond Fund-Reg(G)0.460.031.113.097.76NA
DHFL Pramerica Premier Bond Fund(G)0.610.261.272.996.157.09
L&T Triple Ace Bond Fund-Reg(G)0.610.021.152.965.836.86
DHFL Pramerica Medium Term Fund-Reg(G)0.490.191.132.877.76NA
HDFC FMP-XXX-3360D-Mar 2014(1)-Reg(G)0.550.200.532.578.60NA
Baroda Pioneer Dynamic Bond Fund(G)0.520.601.012.577.63NA
ICICI Pru All Seasons Bond Fund-Ret(G)0.681.022.102.299.1010.47
ICICI Pru All Seasons Bond Fund(G)0.671.002.032.179.0410.54
Tata Medium Term Fund-Reg(G)0.320.341.062.166.777.95
Sundaram Corp Bond Fund(G)0.53-0.250.221.967.297.48
ICICI Pru Bond Fund(G)0.550.090.451.957.098.43
SBI Magnum Income Fund-Reg(G)0.500.160.661.857.748.08
Escorts Income Bond(G)0.550.92-0.531.786.227.97
L&T Flexi Bond Fund-Reg(G)0.400.320.931.787.448.53
ICICI Pru FMP-74-9Y-U(G)0.410.010.361.628.91NA
DHFL Pramerica Gilt Fund(G)0.510.020.331.376.867.83
JM Income(G)0.530.630.661.344.716.35
UTI Dynamic Bond Fund-Reg(G)0.401.221.271.308.109.31
ICICI Pru Constant Maturity Gilt Fund(G)0.632.141.461.267.94NA
Principal Dynamic Bond Fund(G)0.450.010.391.066.767.67
Axis Dynamic Bond Fund(G)0.430.471.000.967.038.09
DHFL Pramerica Dynamic Bond Fund(G)0.420.941.010.967.307.88
Mirae Asset Dynamic Bond Fund-Reg(G)0.560.700.360.92NANA
Quantum Dynamic Bond Fund(G)-Direct Plan0.600.280.180.668.45NA
Canara Rob Income Fund-Reg(G)0.310.400.670.616.607.77
BNP Paribas Flexi Debt Fund(G)0.410.440.540.616.948.39
Principal Corp Bond Fund(G)0.690.950.720.596.077.22
UTI Bond Fund-Reg(G)0.240.870.630.417.248.30
Essel Flexible Income Fund(G)0.280.850.500.356.01NA
Edelweiss Dynamic Bond Fund-Reg(G)0.440.460.270.185.386.69
Baroda Pioneer Income Fund(G)0.440.05-0.310.085.837.11
Tata Dynamic Bond Fund-Reg(G)0.360.320.200.076.608.61
Union Dynamic Bond(G)0.43-0.07-0.32-0.015.156.41
Reliance Gilt Securities Fund(G)0.481.360.90-0.028.269.04
LIC MF Bond(G)0.43-0.18-0.26-0.055.596.84
SBI Dynamic Bond(G)0.260.900.36-0.097.647.94
ICICI Pru Gilt Fund(G)0.601.941.78-0.128.428.30
HDFC Dynamic Debt Fund(G)0.440.01-0.19-0.266.758.18
UTI Gilt Fund-Reg(G)0.481.480.97-0.278.119.09
Tata Income Fund-Reg(G)0.34-0.33-0.57-0.296.277.91
Canara Rob Dynamic Bond Fund-Reg(G)0.380.990.28-0.357.008.39
ICICI Pru Long Term Bond Fund(G)0.610.120.24-0.377.627.97
DSPBR Strategic Bond Fund-Reg(G)0.280.030.17-0.396.267.96
Reliance Dynamic Bond(G)0.250.41-0.25-0.526.768.04
L&T Gilt Fund-Reg(G)0.320.340.55-0.547.109.62
IDFC Dynamic Bond Fund-Reg(G)0.370.400.31-0.636.828.24
Reliance Income(G)0.340.84-0.12-0.686.517.32
HDFC Gilt Fund(G)0.420.380.11-0.757.238.22
DSPBR G-Sec Fund-Reg(G)0.711.200.79-0.827.037.52
Aditya Birla SL Income Fund(G)0.350.16-0.32-0.886.237.46
Aditya Birla SL Dynamic Bond Fund-Reg(G)0.600.750.12-0.886.578.43
Escorts Gilt(G)0.54-0.37-0.52-0.916.166.58
LIC MF G-Sec-Reg(G)0.551.490.88-0.966.076.68
Baroda Pioneer Gilt Fund(G)0.480.23-0.48-0.985.957.48
IDFC Bond Fund - Long Term Plan-Reg(G)0.360.330.08-1.016.538.00
Aditya Birla SL G-Sec Fund(G)0.740.740.34-1.098.289.13
HSBC Flexi Debt Fund(G)0.490.17-0.39-1.155.477.06
Canara Rob Gilt Fund-Reg(G)0.391.18-0.01-1.167.908.64
Invesco India Corporate Bond Fund(G)0.68-0.19-0.18-1.176.156.98
SBI Magnum Gilt Fund-Reg(G)0.300.69-0.23-1.207.879.83
Kotak Bond Fund-Reg(G)0.510.740.54-1.276.127.04
Escorts Income Plan(G)0.360.41-0.78-1.355.277.55
IDBI Dynamic Bond(G)0.550.64-0.47-1.364.275.42
HSBC Flexi Debt-Reg(G)0.470.11-0.52-1.395.206.79
IDFC G-Sec-Invest-Reg(G)0.430.820.28-1.476.998.67
Indiabulls Gilt(G)0.420.60-0.18-1.497.18NA
HSBC Debt Fund(G)0.410.14-0.55-1.664.996.55
HDFC Income Fund(G)0.530.11-0.66-1.756.017.18
Axis Gilt Fund(G)0.16-0.22-1.03-1.915.926.37
Kotak Gilt-Invest-Reg(G)0.281.120.85-1.916.937.42
DSPBR 10Y G-Sec Fund-Reg(G)0.53-0.08-1.10-2.456.79NA
JM G-Sec Fund-Reg(G)0.580.65-0.84-2.946.937.39
Invesco India Gilt Fund(G)0.751.11-0.63-3.176.597.07
Tata Gilt Securities Fund-Reg(G)0.37-0.76-1.97-3.815.727.83
IDBI Gilt Fund(G)0.490.61-1.40-3.924.11NA
Franklin India G-Sec Fund(G)0.47-0.23-2.37-5.145.326.79

Return Calculator

MARKET STATS As on 22/06/2018 As on 22/06/2018

10821.85 (0.75) 35689.60 (0.73)

TOP GAINERS

Company Price Change Gain (%)
Raj Rayon Industries0.250.0525.00
Celestial Biolabs13.852.3019.91

TOP LOSERS

Company Price Change Loss (%)
Uttam Value Steels0.15-0.05-25.00
MVL0.25-0.05-16.67

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