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PEER COMPARISION

Fund Name NAV () CGH (%) 1Y Return(%) 3Y Return(%) 5Y Return(%) AUM ( in Crs) Exp Ratio (%) Min. Invest () Action
UTI-Regular Savings Fund(Segregated)-Reg(Flexi) 0.8202 0.04 46.38 5000.0 INVEST
Nippon India Hybrid Bond Fund-(IDCW-M) (SP 1) 0.2958 0.03 9.33 5000.0 INVEST
Nippon India Hybrid Bond Fund-(IDCW-Q) (SP 1) 0.3114 0.03 9.33 5000.0 INVEST
UTI-Regular Savings Fund(Segregated)Reg(IDCW-M)Pyt 0.9869 0.03 46.38 5000.0 INVEST
UTI-Regular Savings Fund(Segregated)-Reg(G) 0.9864 0.03 46.38 5000.0 INVEST
UTI-Regular Savings Fund(Segregated)-Reg(IDCW-M) 0.3471 0.03 46.38 5000.0 INVEST
Nippon India Hybrid Bond Fund-(G) (SP 1) 1.1393 0.03 9.33 5000.0 INVEST
SBI CPO Fund - Series A (Plan 7) - Regular (G) 12.1496 0.01 3.6788 44.93 5000.0 INVEST
SBI CPO Fund - Series A (Plan 4) - Regular (G) 12.9988 0.01 3.6761 7.4074 193.0 5000.0 INVEST
SBI CPO Fund - Series A (Plan 8) - Regular (G) 12.4071 0.01 3.4416 28.32 5000.0 INVEST
SBI CPO Fund - Series A (Plan 6) - Regular (G) 12.6373 0.0 3.9226 7.3802 56.90 5000.0 INVEST
SBI CPO Fund - Series A (Plan 3) - Regular (G) 13.0534 0.0 3.7359 7.3150 127.47 5000.0 INVEST
SBI CPO Fund - Series A (Plan 5) - Regular (G) 12.8008 0.0 3.7308 7.4939 142.44 5000.0 INVEST
Franklin India Debt Hybrid Fund-SP1 (G) 1.0878 0.0 0.0 10000.0 INVEST
Franklin India Debt Hybrid Fund-SP1 (IDCW-Q) 0.2352 0.0 0.0 10000.0 INVEST
Franklin India Debt Hybrid Fund-SP1 (IDCW-M) 0.2430 0.0 0.0 10000.0 INVEST
IDFC Regular Savings Fund (G) 26.1980 -0.02 1.356 5.1688 5.1309 163.26 2.10 5000.0 INVEST
Nippon India Hybrid Bond Fund (G) 46.2252 -0.04 5.415 2.0419 2.4981 725.42 1.86 5000.0 INVEST
Parag Parikh Conservative Hybrid Fund (G) 11.2159 -0.05 7.4413 1063.25 0.0 5000.0 INVEST
Kotak Debt Hybrid Fund (G) 44.8738 -0.05 5.2081 11.0246 8.5897 1600.76 1.81 5000.0 INVEST
Baroda BNP Paribas Conservative Hybrid Fund-Reg (G) 35.8391 -0.06 3.4998 6.3338 5.9771 515.26 2.42 1000.0 INVEST
Navi Regular Savings Fund (G) 22.8519 -0.07 3.7869 4.9946 4.9956 27.98 2.15 10.0 INVEST
Canara Robeco Conservative Hybrid Fund (G) 77.8870 -0.08 3.9805 9.2398 8.1828 1142.92 0.0 5000.0 INVEST
AXIS Regular Saver Fund (G) 24.7768 -0.10 1.6296 8.5582 6.4124 449.18 2.17 500.0 INVEST
Aditya Birla SL Regular Savings Fund (G) 53.0548 -0.11 6.4462 9.7240 6.5958 1692.24 1.87 500.0 INVEST
Bank of India Conservative Hybrid Fund - Eco (G) 28.8215 -0.11 22.9009 14.2712 6.5004 57.44 2.24 10000.0 INVEST
Bank of India Conservative Hybrid Fund (G) 28.0948 -0.11 22.8199 14.0618 6.2564 57.44 2.30 10000.0 INVEST
HDFC Hybrid Debt Fund (G) 63.2094 -0.13 7.0078 10.4321 7.4309 2745.66 1.83 100.0 INVEST
DSP Regular Savings Fund (G) 45.2474 -0.13 4.741 7.2136 4.5340 200.81 0.0 500.0 INVEST
ITI Conservative Hybrid Fund (IDCW-Q) 10.3687 -0.13 24.01 1.61 5000.0 INVEST
ITI Conservative Hybrid Fund (G) 10.3686 -0.13 24.01 1.61 5000.0 INVEST
ITI Conservative Hybrid Fund (IDCW-H) 10.3687 -0.13 24.01 1.61 5000.0 INVEST
ITI Conservative Hybrid Fund (IDCW-A) 10.3686 -0.13 24.01 1.61 5000.0 INVEST
ICICI Pru Regular Savings Fund (G) 58.3638 -0.14 6.178 9.1156 8.3537 3302.84 1.74 5000.0 INVEST
Franklin India Debt Hybrid Fund - (G) 71.1510 -0.16 5.1954 6.8723 6.2445 260.05 0.0 10000.0 INVEST
SBI Conservative Hybrid Fund - (G) 56.1425 -0.18 5.6607 11.1673 7.9728 6807.38 1.11 5000.0 INVEST
LIC MF Debt Hybrid Fund - (G) 69.1120 -0.19 2.9264 6.5653 6.0631 64.91 0.0 5000.0 INVEST
Sundaram Debt Oriented Hybrid Fund (G) 24.4680 -0.19 3.8972 8.4046 5.2422 31.40 2.16 5000.0 INVEST
UTI-Regular Savings Fund (G) 53.7996 -0.23 4.3923 9.2946 6.7850 1603.60 1.79 5000.0 INVEST
Nippon India CPO Fund II - Plan A - Regular (IDCW) 18.5737 -0.27 9.4392 41.01 5000.0 INVEST
Nippon India CPO Fund II - Plan A - Regular (G) 18.5737 -0.27 9.4392 41.01 5000.0 INVEST
Aditya Birla SL Regular Savings Fund (Payment) 53.0548 -1.44 6.446 9.7240 6.5958 1692.24 1.87 500.0 INVEST
Parag Parikh Conservative Hybrid Fund (IDCW-M) 10.2031 -9.03 7.3867 1063.25 0.0 5000.0 INVEST
UTI-Regular Savings Fund - Monthly Payment 53.8272 -14.89 6.0201 11.4632 9.0896 1603.60 1.79 25000.0 INVEST
Bank of India Conservative Hybrid Fund - Eco (IDCW-M) 21.8285 -24.19 22.9053 14.2195 6.4629 57.44 2.24 10000.0 INVEST
UTI-Regular Savings Fund - Flexi (IDCW) 38.5182 -30.24 4.3922 9.2892 6.7794 1603.60 1.79 5000.0 INVEST
Sundaram Debt Oriented Hybrid Fund (IDCW-Q) 16.3581 -33.31 3.8967 8.3990 5.2390 31.40 2.16 5000.0 INVEST
Navi Regular Savings Fund (IDCW-Q) 14.0545 -34.19 3.7869 4.9944 4.9898 27.98 2.15 10.0 INVEST
Sundaram Debt Oriented Hybrid Fund (IDCW-H) 16.1350 -34.22 3.8942 8.4007 5.2391 31.40 2.16 5000.0 INVEST
Sundaram Debt Oriented Hybrid Fund (IDCW-M) 13.5069 -40.05 3.8887 8.0890 5.0564 31.40 2.16 5000.0 INVEST
IDFC Regular Savings Fund (IDCW-Q) 13.3365 -44.45 1.3537 4.7196 4.8564 163.26 2.10 5000.0 INVEST
Bank of India Conservative Hybrid Fund (IDCW-Q) 14.9916 -46.69 22.8216 14.0628 6.2567 57.44 2.30 10000.0 INVEST
Bank of India Conservative Hybrid Fund (IDCW-M) 14.4643 -47.0 22.8226 14.0225 6.2269 57.44 2.30 10000.0 INVEST
AXIS Regular Saver Fund (IDCW-A) 12.9486 -47.76 1.627 8.5520 6.4028 449.18 2.17 500.0 INVEST
IDFC Regular Savings Fund (IDCW-M) 13.5172 -48.31 1.3534 5.1662 5.1093 163.26 2.10 5000.0 INVEST
Bank of India Conservative Hybrid Fund (IDCW-A) 13.6378 -48.33 22.822 14.0660 6.2469 57.44 2.30 10000.0 INVEST
Navi Regular Savings Fund (IDCW-M) 11.1560 -50.34 2.0764 4.4062 4.6370 27.98 2.15 10.0 INVEST
AXIS Regular Saver Fund (IDCW-H) 12.1767 -50.89 1.6282 8.5571 6.4043 449.18 2.17 500.0 INVEST
Bank of India Conservative Hybrid Fund - Eco (IDCW-Q) 10.3674 -51.78 57.44 2.24 10000.0 INVEST
AXIS Regular Saver Fund (IDCW-Q) 11.54 -53.0 1.6351 8.5612 6.4082 449.18 2.17 500.0 INVEST
ICICI Pru Regular Savings Fund (IDCW-HY) 12.7672 -56.42 6.1751 6.6960 6.9004 3302.84 1.74 5000.0 INVEST
ICICI Pru Regular Savings Fund (IDCW-Q) 11.6485 -62.46 6.1786 9.0977 8.3218 3302.84 1.74 5000.0 INVEST
Canara Robeco Conservative Hybrid Fund (IDCW-Q) 13.6741 -66.63 3.9771 9.2442 8.1661 1142.92 0.0 5000.0 INVEST
SBI Conservative Hybrid Fund - (IDCW-A) 19.8034 -66.96 5.6615 11.1684 7.9547 6807.38 1.11 5000.0 INVEST
LIC MF Debt Hybrid Fund - (IDCW-Q) 12.14 -67.83 2.9242 6.5628 6.0589 64.91 0.0 5000.0 INVEST
Baroda BNP Paribas Conservative Hybrid Fund-Reg (IDCW-Q) 11.0298 -68.02 1.7596 5.7286 5.6150 515.26 2.42 1000.0 INVEST
Baroda BNP Paribas Conservative Hybrid Fund-Reg (IDCW-M) 10.7033 -68.83 3.5025 6.1639 5.6714 515.26 2.42 1000.0 INVEST
Aditya Birla SL Regular Savings Fund (IDCW-M) 15.6123 -69.80 5.5925 9.4246 6.3845 1692.24 1.87 500.0 INVEST
UTI-Regular Savings Fund (IDCW-M) 15.8068 -70.13 3.8622 9.1014 6.6651 1603.60 1.79 25000.0 INVEST
LIC MF Debt Hybrid Fund - (IDCW-A) 12.4004 -70.22 2.9282 6.5657 4.9601 64.91 0.0 5000.0 INVEST
SBI Conservative Hybrid Fund - (IDCW-M) 17.2455 -70.59 5.6618 11.1656 7.9586 6807.38 1.11 5000.0 INVEST
SBI Conservative Hybrid Fund - (IDCW-Q) 16.1921 -71.77 5.658 11.1631 7.9567 6807.38 1.11 5000.0 INVEST
Kotak Debt Hybrid Fund (IDCW-M) 12.4403 -72.12 5.2034 11.0076 8.5458 1600.76 1.81 50000.0 INVEST
DSP Regular Savings Fund (IDCW-Q) 11.3310 -74.47 2.6836 5.7871 3.6879 200.81 0.0 500.0 INVEST
DSP Regular Savings Fund (IDCW-M) 10.9099 -74.96 4.0294 6.4824 4.08 200.81 0.0 500.0 INVEST
Nippon India Hybrid Bond Fund (IDCW-Q) 12.1151 -75.46 5.4159 2.0416 2.4915 725.42 1.86 5000.0 INVEST
ICICI Pru Regular Savings Fund (IDCW-M) 13.7340 -75.53 2.3998 7.7980 7.5397 3302.84 1.74 5000.0 INVEST
Nippon India Hybrid Bond Fund (IDCW-M) 10.7224 -76.49 5.391 2.0253 2.4761 725.42 1.86 5000.0 INVEST
HDFC Hybrid Debt Fund (IDCW-Q) 14.4328 -77.13 6.9975 10.4144 7.4105 2745.66 1.83 100.0 INVEST
HDFC Hybrid Debt Fund (IDCW-M) 13.4274 -78.57 6.9844 10.4012 7.3787 2745.66 1.83 100.0 INVEST
LIC MF Debt Hybrid Fund - (IDCW-M) 11.7114 -78.67 2.9268 6.5665 6.0616 64.91 0.0 5000.0 INVEST
Franklin India Debt Hybrid Fund - (IDCW-M) 12.8082 -80.85 4.4831 5.9244 5.5493 260.05 0.0 10000.0 INVEST
Franklin India Debt Hybrid Fund - (IDCW-Q) 12.1644 -82.30 5.2173 6.6346 6.0942 260.05 0.0 10000.0 INVEST
Canara Robeco Conservative Hybrid Fund (IDCW-M) 13.4755 -95.88 3.9746 9.2305 8.1643 1142.92 0.0 5000.0 INVEST
Canara Robeco Conservative Hybrid Fund (IDCW-M) 13.4755 -95.88 3.9746 9.2305 8.1643 1142.92 0.0 5000.0 INVEST