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BSE Prices delayed by 5 minutes...
<< Prices as on Sep 18, 2025 - 4:00PM >>
ABB
5434.6
[0.90]
ACC
1860.15
[0.17]
AMBUJA CEM
580.9
[-0.26]
ASIAN PAINTS
2478.3
[-0.63]
AXIS BANK
1132.95
[0.62]
BAJAJ AUTO
9075
[-0.13]
BANKOFBARODA
248.9
[1.24]
BHARTI AIRTE
1942
[0.05]
BHEL
234.35
[0.04]
BPCL
325.5
[0.63]
BRITANIAINDS
6080.15
[-0.21]
CIPLA
1578.35
[1.22]
COAL INDIA
393.1
[-1.63]
COLGATEPALMO
2365
[0.75]
DABUR INDIA
536.25
[0.15]
DLF
783.05
[-0.34]
DRREDDYSLAB
1322.5
[0.88]
GAIL
181
[-0.33]
GRASIM INDS
2881
[0.58]
HCLTECHNOLOG
1493.7
[0.84]
HDFC BANK
976.55
[1.05]
HEROMOTOCORP
5367.5
[0.31]
HIND.UNILEV
2586.5
[0.73]
HINDALCO
750.15
[0.03]
ICICI BANK
1421.85
[0.21]
INDIANHOTELS
782.5
[0.29]
INDUSINDBANK
735.5
[-0.44]
INFOSYS
1540.25
[1.13]
ITC LTD
411.95
[0.65]
JINDALSTLPOW
1047
[1.31]
KOTAK BANK
2054.2
[0.19]
L&T
3686.35
[0.03]
LUPIN
2050
[0.93]
MAH&MAH
3641.05
[0.21]
MARUTI SUZUK
15802
[0.01]
MTNL
45.21
[-0.07]
NESTLE
1208.55
[0.36]
NIIT
112.55
[0.45]
NMDC
76.8
[1.51]
NTPC
336.9
[0.15]
ONGC
235.65
[-0.49]
PNB
111.75
[-0.18]
POWER GRID
289.1
[0.68]
RIL
1414.55
[0.06]
SBI
854.45
[-0.29]
SESA GOA
455.2
[-0.19]
SHIPPINGCORP
218.75
[-0.34]
SUNPHRMINDS
1648.9
[1.77]
TATA CHEM
989.2
[-1.59]
TATA GLOBAL
1128.95
[-0.64]
TATA MOTORS
711
[-1.13]
TATA STEEL
172
[0.44]
TATAPOWERCOM
393.15
[-0.37]
TCS
3176.25
[0.11]
TECH MAHINDR
1550
[0.22]
ULTRATECHCEM
12640
[-0.60]
UNITED SPIRI
1328.4
[-0.70]
WIPRO
256.85
[1.06]
ZEETELEFILMS
115.6
[-0.43]
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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Debt - Gilt with 10 year Constant Duration
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Equity - Multi Cap
Equity - Others
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Hybrid - Aggressive
Hybrid - Arbitrage
Hybrid - Balanced
Hybrid - Conservative
Hybrid - Dynamic Asset Allocation/Balanced Advantage
Hybrid - Equity Savings
Hybrid - Multi Asset Allocation
Hybrid - Others
Others - Fund of Funds
Others - Index Funds/ETFs
Solution Oriented - Children
Solution Oriented - Retirement
Sort by
TrailingReturns
QuarterlyReturns
Assets
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
BarBNP CorBond DP
0.52
1.19
8.92
8.13
Franklin ICDPlanA DP
0.50
1.44
10.07
8.22
BarBNP CorBond RP
0.49
1.10
8.76
7.82
BarBNP CorBond
0.49
1.10
8.75
7.81
DSP Corp Bond DP
0.47
1.38
8.40
7.54
DSP Corp Bond
0.45
1.32
8.12
7.27
Franklin ICD PlanB
0.45
1.29
9.44
7.63
Franklin ICD Plan A
0.45
1.29
9.44
7.63
Kotak CorporateBndDP
0.44
1.04
8.55
7.98
UTI CorporateBond DP
0.43
1.00
8.50
7.82
Axis Corp Bond DP
0.43
1.10
8.99
8.23
TRUSTMF CorpBondDP
0.41
1.02
7.76
0.00
Kotak CorporatBndRP
0.41
0.95
8.19
7.62
Sundaram CorpBond DP
0.41
1.06
8.22
7.53
Bandhan Corp Bond DP
0.41
1.02
8.30
7.63
ICICI PruCorpBondDP
0.40
1.21
8.48
8.03
UTI CorporateBond
0.40
0.92
8.18
7.49
HSBC Corp Bond DP
0.39
1.16
8.57
7.77
MiraeAsset CorBondDP
0.39
0.94
8.32
7.64
Sundaram CorpBond
0.39
1.01
7.97
7.28
ICICI Pru CorpBond
0.38
1.16
8.24
7.79
Bandhan Corp Bond
0.38
0.93
7.95
7.29
Axis Corp Bond
0.37
0.95
8.35
7.55
TRUSTMF CorpBond
0.37
0.91
7.33
0.00
MiraeAsset CorBond
0.36
0.84
7.86
7.17
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