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PEER COMPARISION

Fund Name NAV () CGH (%) 1Y Return(%) 3Y Return(%) 5Y Return(%) AUM ( in Crs) Exp Ratio (%) Min. Invest () Action
ICICI Pru Medium Term Bond Fund - Regular (G) 47.2109 0.21 7.2017 7.7746 6.7317 5682.92 1.39 5000.0 INVEST
ICICI Pru Medium Term Bond Fund - Regular (IDCW-Q) 10.8824 0.21 7.1965 7.8404 6.8148 5682.92 1.39 5000.0 INVEST
Sundaram Medium Duration Fund - (G) 70.40 0.14 3.1571 5.1444 4.0032 35.08 2.06 5000.0 INVEST
Sundaram Medium Duration Fund - (IDCW-Q) 13.1915 0.14 3.1579 5.1449 4.0037 35.08 2.06 5000.0 INVEST
SBI Medium Duration Fund - Regular (G) 53.2242 0.12 5.5167 7.2165 6.2103 6818.52 1.22 5000.0 INVEST
SBI Medium Duration Fund - Regular (IDCW) 20.6312 0.12 5.5164 7.2173 6.2107 6818.52 1.22 5000.0 INVEST
AXIS Strategic Bond Fund (IDCW-H) 10.2997 0.12 6.2212 7.6805 6.6759 2121.62 1.33 100.0 INVEST
AXIS Strategic Bond Fund (IDCW-Q) 10.0639 0.12 6.2217 7.6819 6.6769 2121.62 1.33 100.0 INVEST
AXIS Strategic Bond Fund (G) 29.2667 0.12 6.22 7.6803 6.6747 2121.62 1.33 100.0 INVEST
Bandhan Medium Duration Fund - Regular (IDCW-M) 10.2837 0.12 4.0733 6.2484 5.0610 1363.75 1.36 1000.0 INVEST
Bandhan Medium Duration Fund - Regular (IDCW-Bimonthly) 10.3129 0.12 4.5391 6.0385 4.9351 1363.75 1.36 1000.0 INVEST
Bandhan Medium Duration Fund - Regular (IDCW-F) 10.3170 0.12 5.6648 6.4717 5.1872 1363.75 1.36 1000.0 INVEST
Bandhan Medium Duration Fund - Regular (IDCW-Q) 11.1572 0.12 4.6977 6.4548 5.1839 1363.75 1.36 1000.0 INVEST
Bandhan Medium Duration Fund - Regular (IDCW-Periodic) 14.8789 0.12 4.7023 6.4669 5.19 1363.75 1.36 1000.0 INVEST
Bandhan Medium Duration Fund - Regular (G) 47.2325 0.12 4.7019 6.4666 5.19 1363.75 1.36 1000.0 INVEST
Aditya Birla SL Medium Term Plan (IDCW-Q) 13.5166 0.12 8.79 9.7515 11.8947 3069.79 1.56 1000.0 INVEST
Aditya Birla SL Medium Term Plan (IDCW) 16.1442 0.12 8.9067 9.7538 11.8959 3069.79 1.56 1000.0 INVEST
Aditya Birla SL Medium Term Plan (IDCW-H) 13.7301 0.12 8.7885 9.7528 11.8946 3069.79 1.56 1000.0 INVEST
Aditya Birla SL Medium Term Plan (G) 42.5240 0.12 8.789 9.7530 11.8952 3069.79 1.56 1000.0 INVEST
Invesco India Medium Duration Fund-Reg(IDCW-Discr) 1271.0041 0.11 4.036 6.3592 173.90 1.21 1000.0 INVEST
Invesco India Medium Duration Fund-Reg(IDCW-Q) 1030.3398 0.11 4.0305 6.3924 173.90 1.21 1000.0 INVEST
Invesco India Medium Duration Fund-Reg(G) 1270.9998 0.11 4.0358 6.3591 173.90 1.21 1000.0 INVEST
Kotak Medium Term Fund (G) 23.8737 0.11 7.0781 7.8634 6.4999 2007.48 1.63 100.0 INVEST
Kotak Medium Term Fund (IDCW-Standard) 14.6534 0.11 7.0786 7.8636 6.5001 2007.48 1.63 100.0 INVEST
HDFC Medium Term Debt Fund (G) 58.6437 0.10 5.7341 7.1997 6.1395 3872.53 1.33 100.0 INVEST
HDFC Medium Term Debt Fund (IDCW-F) 10.1228 0.10 5.7252 7.1947 6.1351 3872.53 1.33 100.0 INVEST
HDFC Medium Term Debt Fund (IDCW) 19.7898 0.10 5.7339 7.2015 6.1410 3872.53 1.33 100.0 INVEST
HSBC Medium Duration Fund (IDCW) 10.5475 0.10 5.1313 7.1854 5.8712 746.15 1.08 5000.0 INVEST
HSBC Medium Duration Fund (IDCW-A) 10.3512 0.10 5.4262 7.2018 4.3798 746.15 1.08 5000.0 INVEST
HSBC Medium Duration Fund (G) 21.2139 0.10 5.4295 7.2457 6.0080 746.15 1.08 5000.0 INVEST
UTI-Medium Duration Fund (G) 18.7912 0.04 4.2427 6.3872 5.9684 38.68 1.45 500.0 INVEST
UTI-Medium Duration Fund (IDCW-M) 13.5518 0.04 4.243 6.3878 5.9696 38.68 1.45 20000.0 INVEST
UTI-Medium Duration Fund (IDCW-A) 13.7825 0.04 4.2446 6.3882 5.9710 38.68 1.45 20000.0 INVEST
UTI-Medium Duration Fund (Flexi) 13.8823 0.04 4.2424 6.3934 5.9749 38.68 1.45 20000.0 INVEST
UTI-Medium Duration Fund (IDCW-Q) 14.1332 0.03 38.68 1.45 20000.0 INVEST
DSP Bond Fund - Regular (IDCW-M) 11.1577 0.02 4.8901 6.7855 5.6396 310.55 0.75 100.0 INVEST
DSP Bond Fund - Regular (G) 84.4557 0.02 4.9045 6.9799 5.7562 310.55 0.75 100.0 INVEST
DSP Bond Fund - Regular (IDCW) 11.3860 0.02 4.9044 6.6299 5.5488 310.55 0.75 100.0 INVEST
Bandhan Medium Duration Fund - Regular (IDCW-D) 10.2872 0.0 5.1165 6.4767 5.3819 1363.75 1.36 1000.0 INVEST
UTI-Medium Duration Fund (IDCW-H) 13.4487 -0.05 38.68 1.45 20000.0 INVEST
UTI-Medium Duration Fund (IDCW-H) 13.4487 -0.05 38.68 1.45 20000.0 INVEST