Objective           Scheme Sorted for   3 Years
Sln.SchemeCorp*7 D15 D30 D3 M6 M1 Y2 Y€3 Y5 Y10 Y
1Axis - Bluechip Fund (G)
7005
1.14 0.36 6.85 5.22 8.30 21.16 12.40 15.18 12.27 0.00
2Nippon India ETF NV20 ETF
31
2.44 1.66 2.32 0.43 -3.80 6.83 11.91 14.93 0.00 0.00
3ICICI Pru - NV20 ETF
12
2.44 1.66 2.33 0.54 -3.59 6.80 11.70 14.67 0.00 0.00
4Mirae - Asset Large Cap Fund Reg (G)
14917
0.75 0.52 2.58 -2.04 -2.35 8.49 4.80 11.01 12.35 14.31
5Motilal Oswal M50 ETF (G)
20
1.32 0.91 4.14 -1.34 -1.98 9.49 6.76 10.58 1.10 0.00
6Can Robeco - Bluechip Equity Fund (G)
238
1.14 0.86 6.16 1.99 2.84 13.48 7.82 10.39 10.36 0.00
7BNP Paribas - Large Cap Fund (G)
788
1.27 0.61 6.56 3.98 6.57 18.00 6.86 10.23 10.22 11.64
8ICICI Pru - Bluechip Fund Reg (G)
23019
1.39 0.67 3.86 -0.75 -1.40 7.16 4.22 9.74 10.04 12.34
9Edelweiss - Large Cap Fund (G)
155
0.82 0.42 4.01 0.22 -0.03 8.91 5.77 9.25 9.89 10.75
10JM - Core 11 Fund (G)
53
0.86 0.25 6.33 5.44 -2.52 13.67 1.90 9.17 12.43 6.54
( D-Days, M-Months, Y-years )
* Corpus in Rs. Crore
Note :
  • Returns upto 1 year are absolute and over 1 year are compounded and annualised.
  • Mutual Fund investments are subject to market risks. Please read the offer documents carefully before investing.
  • Past performance of a scheme is not necessarily indicative of future results.