17:17 May 25, 2013  

Category Listing

Shows category wise number of schemes, AUM & performance, ranked on the basis of 1 yr return.
Note: Returns for periods 1 year and below are absolute % returns and for periods above 1 year are Annualised % returns. SI - Since Inception.
Category
No. Of Schemes
1w
1m
6m
1y
3y
5y
Equity - Media91-3.881.281.0238.8111.915.22
Equity - Banking640-4.170.785.7032.7111.1215.35
Equity - FMCG2,734-0.296.298.9430.4929.6018.85
Equity - Pharma239-3.893.299.6326.9414.5019.66
Equity - Index20-3.142.385.6723.976.452.80
Exchange Traded Funds (ETFs)121-3.561.835.0622.536.707.69
Equity - Tax Planning107-3.341.672.3819.205.233.84
Equity - Diversified42-3.301.271.1217.815.074.97
Hybrid - Equity Oriented187-2.411.582.8716.876.686.58
Gilt Funds - Medium & Long Term180.423.3610.3215.408.958.37
Fund of Funds - Equity918-1.962.042.2414.955.966.89
Hybrid - Fixed Maturity Plans4-2.022.036.2814.100.000.00
Hybrid - Debt Oriented14-0.811.944.9213.048.257.57
Equity - Auto20-1.813.784.2812.8710.5616.20
Fund of Funds - Debt74-0.292.115.9812.838.247.64
Income Funds4140.152.237.3812.698.807.79
Monthly Income Plans - Long Term120-0.501.935.5512.257.147.47
Monthly Income Plans - Short Term6-0.441.725.1911.847.527.48
Gilt Funds - Short Term130.291.837.1911.747.656.56
Hybrid - Asset Allocation64-1.121.641.8311.034.183.01
Short Term Income Funds1620.111.245.3610.618.668.00
Hybrid - Capital Protection711-0.861.414.4210.580.000.00
Equity Theme - Shariah14-2.861.93-0.6210.502.630.00
Fixed Maturity Plans1120.030.924.5710.396.955.63
Equity - Infotech1370.322.193.1510.334.953.80
Global Funds - Foreign Equity2300.024.341.009.647.105.34
Floating Rate Funds - Long Term1200.130.854.599.488.517.80
Arbitrage Funds10.200.674.448.978.357.26
Liquid Funds420.150.684.148.657.997.06
Interval Income Funds60.140.693.488.247.897.54
Equity Theme - Infrastructure449-4.85-1.71-5.797.28-5.92-2.73
Exchange Traded Funds (ETFs) - Debt6690.070.493.266.847.276.52
Index8-3.252.370.000.000.000.00
Equity Theme - Natural Resources111-3.75-0.91-6.48-0.57-3.01-2.19
FOF59-0.34-1.44-18.08-10.240.000.00
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