BEST MUTUAL FUNDS
Find the best performing mutual funds across different time duration
Fund Name Category Rank Morningstar Rating NAV Fund Return Risk Fund Size (Cr)
1Out of 28
₹72.70
27.02%
Very High Risk
₹397.41 Cr
2Out of 28
₹1,405.38
23.67%
Very High Risk
₹36,345.36 Cr
3Out of 28
₹75.27
22.16%
Very High Risk
₹1,611.61 Cr
4Out of 28
--
₹12.16
20.99%
Very High Risk
₹1,463.19 Cr
5Out of 28
₹23.55
20.46%
Very High Risk
₹369.35 Cr
6Out of 28
₹1,243.69
20.37%
Very High Risk
₹11,136.95 Cr
Returns <= 1 year are absolute and > 1 year are annualised
*Only Growth, Direct and Non-ETF schemes are considered
BT MUTUAL FUND MANAGER RANKING
Ihab Dalwai
Scheme Name
ICICI Prudential Large & Mid Cap Fund Direct Plan Growth
AMC
ICICI Prudential Asset Management Company Limited
Gopal Agrawal
Scheme Name
HDFC Large and Mid Cap Fund Direct Growth
AMC
HDFC Asset Management Co Ltd
Manish Lodha
Scheme Name
Mahindra Manulife Large & Mid Cap Fund Direct Growth
AMC
Mahindra Manulife Investment Management Pvt. Ltd.
*Portfolio manager ranking is based on 3 Year Information Ratio
"Exclusive Conversation With Piper Serica's Founder Abhay Agarwal
19:47 "Market Guru: Chandan Taparia, Senior VP, Derivatives, MOFSL On Top Stocks
24:02
CATEGORY AVERAGE RETURNS
All Categories
Equity Funds
Hybrid Funds
Debt Funds
Liquid
Commodities
Alternative
Categories
1W
1M
3M
1Y
3Y
5Y
10Y
Large-Cap
0.76
1.67
9.86
13.12
20.84
11.81
14.71
Mid-Cap
0.30
4.18
15.52
20.15
29.60
15.17
21.13
Sector - Healthcare
2.22
9.73
21.98
22.12
16.19
18.97
16.39
Sector - Technology
2.94
4.68
12.74
5.71
21.51
--
--
Short Duration
0.07
0.49
1.31
6.20
4.83
5.57
6.30
Ultra Short Duration
0.10
0.51
1.57
6.03
4.50
4.77
5.91
10 yr Government Bond
0.02
0.31
0.08
6.57
2.96
6.54
6.89
Government Bond
0.03
0.42
0.85
6.50
3.88
6.70
6.95
Short-Term Government Bond
0.23
0.85
1.34
1.54
5.23
5.95
6.50
Liquid
0.10
0.49
1.51
6.06
4.14
4.25
5.28
Categories
1W
1M
3M
1Y
3Y
5Y
10Y
Large-Cap
0.76
1.67
9.86
13.12
20.84
11.81
14.71
Mid-Cap
0.30
4.18
15.52
20.15
29.60
15.17
21.13
Sector - Healthcare
2.22
9.73
21.98
22.12
16.19
18.97
16.39
Sector - Technology
2.94
4.68
12.74
5.71
21.51
--
--
Sector - FMCG
2.33
3.83
13.86
27.32
23.05
14.78
14.57
Sector - Financial Services
-1.71
0.44
8.48
22.13
27.98
9.50
14.57
ELSS (Tax Savings)
0.50
2.47
11.49
16.11
23.29
12.56
16.92
Multi-Cap
0.40
3.55
13.80
19.42
27.47
15.29
19.09
Equity - Infrastructure
0.98
5.02
14.66
27.87
34.72
15.61
18.48
Small-Cap
0.16
4.23
16.88
25.31
38.30
18.60
23.14
Categories
1W
1M
3M
1Y
3Y
5Y
10Y
Balanced Allocation
0.22
1.58
6.22
7.40
14.74
8.23
10.66
Conservative Allocation
0.10
0.94
3.16
7.90
9.31
6.66
7.83
Aggressive Allocation
0.48
2.32
8.91
13.55
19.25
11.36
14.82
Dynamic Asset Allocation
0.24
1.71
7.36
11.57
13.10
9.17
12.59
Equity Savings
0.12
1.33
5.22
9.12
11.05
7.63
8.07
Categories
1W
1M
3M
1Y
3Y
5Y
10Y
Short Duration
0.07
0.49
1.31
6.20
4.83
5.57
6.30
Ultra Short Duration
0.10
0.51
1.57
6.03
4.50
4.77
5.91
10 yr Government Bond
0.02
0.31
0.08
6.57
2.96
6.54
6.89
Government Bond
0.03
0.42
0.85
6.50
3.88
6.70
6.95
Medium to Long Duration
0.01
0.39
0.80
6.82
4.26
5.76
6.16
Long Duration
0.13
0.33
0.47
7.14
2.30
6.60
6.35
Credit Risk
0.11
0.57
1.51
6.55
9.44
4.28
6.00
Dynamic Bond
0.04
0.45
0.97
6.34
4.45
6.14
6.61
Low Duration
0.10
0.54
1.64
6.27
4.67
4.81
5.68
Money Market
0.11
0.48
1.61
6.30
4.56
5.27
5.84
Categories
1W
1M
3M
1Y
3Y
5Y
10Y
Liquid
0.10
0.49
1.51
6.06
4.14
4.25
5.28
Categories
1W
1M
3M
1Y
3Y
5Y
10Y
Sector - Precious Metals
-1.16
1.82
-4.79
15.19
1.13
13.80
6.71
Categories
1W
1M
3M
1Y
3Y
5Y
10Y
Arbitrage Fund
0.17
0.53
1.69
6.21
4.44
4.61
5.94
Returns <= 1 year are absolute and > 1 year are annualised
TOP EXCHANGE TRADED FUND
Find the Top performing ETFs across different time periods
Fund Name EOD Price Volume Fund Return Category Return
₹93.55
20,317
9.52%
9.17%
Axis NIFTY Healthcare ETF Very High Risk
- EOD Price ₹93.55
- Fund Size ₹14.91 Cr
- Volume 20,317
1 Month Return 9.52%
Category Return 9.17%
Returns <= 1 year are absolute and > 1 year are annualised