03:40 Jun 19, 2013  

Steady Performers

List of steady performers ranked on the basis of 1 year returns.
Time Horizon : Category : Fund House :
Note: Returns for periods 1 year and below are absolute % returns and for periods above 1 year are Annualised % returns. SI - Since Inception.
Scheme Name
AUM(Rs. Cr.)
1W
1M
6M
1Y
3Y
5Y
SI
Volatility
IDFC G Sec Fund - Invst Plan - A (Div-Q)323.999.3248.1626.4219.1112.0710.368.260.0015
L&T Gilt Fund (D)34.8328.6411.4420.1917.6810.937.387.900.0014
Birla Sun Life Gilt Plus - PF Plan (G)34.3416.487.8822.5316.1611.028.299.120.0014
Tata Income Fund - (Q)1,279.29100.7422.6521.5016.1410.197.426.990.0011
IDFC G Sec Fund - PF Inst (G)63.6610.0810.4220.2416.0011.5110.788.310.0014
Reliance GSF - Inst (G)299.2619.897.7021.6315.919.872.541.060.0035
Tata Income Plus - Fund B (D)126.2688.4819.8322.1915.8410.408.246.630.0004
IDFC SSIF - Invest - B (G)2,265.546.1722.6518.3115.049.910.008.250.0012
AXIS Treasury Advantage Fund - Retail (Div-W)1,313.210.0018.3414.7814.4710.150.009.650.0004
BNP Paribas Flexi Debt Fund - Reg Plan A (Div-M)672.347.2440.5518.7613.457.800.006.600.0007
JM Income Fund - (G)23.7811.837.4317.0012.688.594.377.400.0005
Birla Sun Life Short Term Opportunities-Inst (D)726.504.8820.3813.1512.5810.560.008.210.0004
Birla Sun Life Medium Term Plan (Div-Q)907.735.2321.4613.8512.4510.440.009.040.0003
Sundaram Select Debt - STAP (Div-A)38.65-0.2419.8313.7512.3910.497.586.850.0003
Templeton India Short Term Income (Div-W)6,485.944.657.4512.6411.799.469.997.740.0002
PineBridge India Total Return Bond Fund (Div-Q)169.389.5731.0014.6411.779.097.988.010.0006
BOI AXA Treasury Advantage Fund (Div-W)98.587.117.5313.5611.418.790.007.620.0002
Religare Invesco Active Income Fund-PlanB(Div-M)1,531.59629.32140.7837.7010.288.625.355.270.0023
Templeton Floating Rate Income - Super Inst (G)540.697.177.459.6710.069.428.768.760.0001
DWS Treasury Fund - Investment Plan (Div-W)552.3327.6711.6210.419.948.540.008.490.0002
Canara Robeco Treasury Advantage - Inst (Div-D)1,048.673.6512.9910.439.918.857.968.040.0001
DWS Ultra Short Term Fund - Inst (Div-D)1,892.813.5516.4110.029.839.140.008.070.0001
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