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BSE Prices delayed by 5 minutes...
<< Prices as on Jul 08, 2025 - 3:59PM >>
ABB
5847.95
[0.05]
ACC
1980
[0.77]
AMBUJA CEM
589.95
[-0.35]
ASIAN PAINTS
2484.6
[1.69]
AXIS BANK
1165.4
[-0.85]
BAJAJ AUTO
8341.85
[-1.41]
BANKOFBARODA
239.75
[-0.54]
BHARTI AIRTE
2030.3
[-0.11]
BHEL
258.2
[0.76]
BPCL
355.5
[1.44]
BRITANIAINDS
5831.95
[-0.88]
CIPLA
1488.15
[-1.50]
COAL INDIA
382.9
[-0.39]
COLGATEPALMO
2454.45
[-0.46]
DABUR INDIA
513.9
[0.22]
DLF
842.8
[1.37]
DRREDDYSLAB
1283.9
[-2.00]
GAIL
192.65
[-0.26]
GRASIM INDS
2815
[1.26]
HCLTECHNOLOG
1708.7
[-0.11]
HDFC BANK
2001.5
[0.72]
HEROMOTOCORP
4297.15
[-0.22]
HIND.UNILEV
2393
[-0.72]
HINDALCO
685.85
[-0.96]
ICICI BANK
1441.6
[0.42]
INDIANHOTELS
740.2
[0.41]
INDUSINDBANK
850.7
[-0.44]
INFOSYS
1638.65
[0.69]
ITC LTD
417.05
[0.22]
JINDALSTLPOW
950.8
[-0.28]
KOTAK BANK
2224.5
[3.61]
L&T
3605.7
[0.68]
LUPIN
1923.3
[-2.74]
MAH&MAH
3157.55
[-0.10]
MARUTI SUZUK
12419.85
[-0.81]
MTNL
49.41
[-0.58]
NESTLE
2417.9
[-0.21]
NIIT
125.35
[-0.59]
NMDC
68.32
[0.09]
NTPC
343.2
[1.64]
ONGC
243.25
[0.72]
PNB
112
[-0.44]
POWER GRID
297.85
[0.63]
RIL
1538.8
[-0.16]
SBI
812.8
[0.72]
SESA GOA
456.2
[0.41]
SHIPPINGCORP
225.8
[-1.10]
SUNPHRMINDS
1672.85
[-0.41]
TATA CHEM
927.25
[-0.20]
TATA GLOBAL
1097.4
[-0.44]
TATA MOTORS
693.25
[0.64]
TATA STEEL
161.95
[-0.28]
TATAPOWERCOM
400.85
[-0.07]
TCS
3406.35
[-0.16]
TECH MAHINDR
1635.05
[0.64]
ULTRATECHCEM
12416
[0.55]
UNITED SPIRI
1364.75
[-1.28]
WIPRO
269.3
[0.62]
ZEETELEFILMS
145.65
[0.45]
Fund Profile
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CATEGORY RANKINGS
Choose the following options and click to get rankings based on returns, assets.
Choose Category
Debt - Banking & PSU
Debt - Corporate Bond
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Hybrid - Aggressive
Hybrid - Arbitrage
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Hybrid - Conservative
Hybrid - Dynamic Asset Allocation/Balanced Advantage
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Hybrid - Multi Asset Allocation
Others - Fund of Funds
Others - Index Funds/ETFs
Solution Oriented - Children
Solution Oriented - Retirement
Sort by
TrailingReturns
QuarterlyReturns
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Period
Last 1 month
Last 3 months
Last 1 yr
Last 3 yrs
Category :
Equity - Diversified
Ranked by :
Equity - Diversified
Scheme Name
Return (%)
Last 1 month
Last 3 months
Last 1 yr
Last 3 yrs
DSP Corp Bond DP
0.36
2.56
9.31
7.69
DSP Corp Bond
0.34
2.50
9.02
7.41
ICICI PruCorpBondDP
0.27
2.42
9.49
8.39
Franklin ICDPlanA DP
0.26
3.76
11.04
8.23
ICICI Pru CorpBond
0.25
2.36
9.24
8.13
Franklin ICD PlanB
0.22
3.61
10.40
7.64
Franklin ICD Plan A
0.22
3.61
10.40
7.64
Bandhan Corp Bond DP
0.17
2.57
9.80
7.75
Bandhan Corp Bond
0.14
2.48
9.44
7.42
Axis Corp Bond DP
0.13
2.74
10.46
8.43
CanaraRob CorpBondDP
0.11
1.88
8.76
7.40
UTI CorporateBond DP
0.11
2.59
9.90
7.96
TRUSTMF CorpBondDP
0.10
2.66
9.31
0.00
UTI CorporateBond
0.09
2.52
9.58
7.63
HSBC Corp Bond DP
0.09
2.78
10.09
8.12
Axis Corp Bond
0.08
2.59
9.80
7.74
Kotak CorporateBndDP
0.08
2.57
10.09
8.17
TRUSTMF CorpBond
0.07
2.56
8.87
0.00
Sundaram CorpBond DP
0.07
2.43
9.77
7.62
SBI CorporateBond DP
0.07
2.59
10.10
8.00
HSBC CorpBond RP
0.06
2.70
9.71
7.75
Sundaram CorpBond
0.05
2.36
9.52
7.37
Kotak CorporatBndRP
0.05
2.48
9.72
7.81
CanaraRob CorpBond
0.05
1.72
8.07
6.71
Union CorpBondDP
0.04
2.69
10.09
7.72
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