MF Gyan

Browse funds

Showing direct plans · 12,468 funds match

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otherDirect
HDFC FMP 434D February 2014 (1)-Direct Option-Growth Option
HDFC Mutual Fund
NAV
₹13.1544
1Y
7.50%
3Y
8.36%
otherDirect
Kotak FMP Series 176 - Direct Plan - Growth
Kotak Mahindra Mutual Fund
NAV
₹12.7452
1Y
7.31%
3Y
8.36%
otherDirect
Reliance Dual Advantage Fixed Tenure Fund IX- Plan A- Direct Plan-Growth Option
Reliance Mutual Fund
NAV
₹13.5077
1Y
8.30%
3Y
8.36%
hybridDirect
UTI - Unit Linked Insurance Plan - Direct Plan - Growth
UTI Mutual Fund
NAV
₹47.0751
1Y
3.78%
3Y
8.35%
otherDirect
HDFC FMP 441D February 2014 (1) - Direct Option-Growth Option
HDFC Mutual Fund
NAV
₹13.1802
1Y
7.45%
3Y
8.35%
otherDirect
LIC MF Fixed Maturity Plan-Series 86-Direct Plan-Growth
LIC Mutual Fund
NAV
₹12.7423
1Y
7.53%
3Y
8.35%
otherDirect
UTI - Fixed Term Income Fund Series XXXI-IX (1168 Days) - Direct Plan - Growth Option
UTI Mutual Fund
NAV
₹12.9603
1Y
5.45%
3Y
8.35%
otherDirect
Reliance Fixed Horizon Fund - XXV - Series 27 - Direct Plan - Growth Option
Reliance Mutual Fund
NAV
₹14.2798
1Y
6.88%
3Y
8.35%
otherDirect
UTI - Fixed Term Income Fund Series XXXI-VII (1155 Days) - Direct Plan - Growth Option
UTI Mutual Fund
NAV
₹12.8711
1Y
5.38%
3Y
8.35%
otherDirect
ICICI Prudential Fixed Maturity Plan-Series 68-369 Days Plan K - Direct Plan - Cumulative
ICICI Prudential Mutual Fund
NAV
₹14.2186
1Y
30.80%
3Y
8.35%
otherDirect
ICICI Prudential Fixed Maturity Plan - Series 85 - 1185 Days Plan C - Direct Plan Half Yearly IDCW Option
ICICI Prudential Mutual Fund
NAV
₹12.9876
1Y
4.47%
3Y
8.35%
otherDirect
ICICI Prudential Fixed Maturity Plan - Series 85 - 1185 Days Plan C - Direct Plan Cumulative Option
ICICI Prudential Mutual Fund
NAV
₹12.9876
1Y
4.47%
3Y
8.35%
otherDirect
Aditya Birla Sun Life Fixed Term Plan - Series MK (1105 days) - Direct Plan - Growth
Aditya Birla Sun Life Mutual Fund
NAV
₹12.7609
1Y
7.02%
3Y
8.35%
otherDirect
UTI FTIF Series XXI-XI (1112 Days) - Growth Option - Direct
UTI Mutual Fund
NAV
₹12.7912
1Y
7.06%
3Y
8.34%
otherDirect
UTI - Fixed Term Income Fund Series XXX-XIII (1224 Days) - Direct Plan - Growth Option
UTI Mutual Fund
NAV
₹13.1517
1Y
6.46%
3Y
8.34%
otherDirect
Sundaram Fixed Term Plan FA Direct Plan Growth
Sundaram Mutual Fund
NAV
₹12.7787
1Y
7.54%
3Y
8.34%
otherDirect
HDFC FMP 369D January 2014 (1) - Direct Option-Growth Option
HDFC Mutual Fund
NAV
₹13.0366
1Y
7.31%
3Y
8.34%
indexDirect
Franklin India NSE Nifty 50 Index Fund - Direct Plan - Growth
Franklin Templeton Mutual Fund
NAV
₹205.8409
1Y
-1.45%
3Y
8.34%
otherDirect
HDFC FMP 370D April 2014 (1) - Direct Option-Flexi Option
HDFC Mutual Fund
NAV
₹12.8783
1Y
7.72%
3Y
8.34%
otherDirect
Axis Fixed Term Plan - Series 74 (1105 days) - Direct Plan - Dividend
Axis Mutual Fund
NAV
₹12.7463
1Y
7.03%
3Y
8.34%
otherDirect
UTI FTIF Series XXIII-VIII (1100 Days)- Direct Plan - Growth Option
UTI Mutual Fund
NAV
₹12.7233
1Y
7.22%
3Y
8.34%
otherDirect
LIC MF FIXED MATURITY PLAN SERIES 83-DIRECT PLAN-GROWTH
LIC Mutual Fund
NAV
₹12.7605
1Y
7.90%
3Y
8.34%
otherDirect
ICICI Prudential Fixed Maturity Plan - Series 84 - 1287 Days Plan I - Direct Plan Cumulative Option
ICICI Prudential Mutual Fund
NAV
₹13.3454
1Y
4.50%
3Y
8.34%
otherDirect
HDFC FMP 367D April 2014 (1)-Direct Option-Flexi Option
HDFC Mutual Fund
NAV
₹12.8803
1Y
7.49%
3Y
8.34%
otherDirect
HDFC FMP 367D April 2014 (1)-Direct Option-Growth Option
HDFC Mutual Fund
NAV
₹12.8803
1Y
7.49%
3Y
8.34%
otherDirect
ICICI Prudential Fixed Maturity Plan -Series 74 -369 Days Plan I Direct Plan Dividend Option
ICICI Prudential Mutual Fund
NAV
₹12.9655
1Y
28.33%
3Y
8.34%
indexDirect
SBI NIFTY INDEX FUND - Direct Plan - Growth
SBI Mutual Fund
NAV
₹225.0665
1Y
-1.52%
3Y
8.34%
indexDirect
SBI NIFTY INDEX FUND - Direct Plan - IDCW
SBI Mutual Fund
NAV
₹115.6023
1Y
-1.52%
3Y
8.34%
otherDirect
Reliance Fixed Horizon Fund XXIX - Series 2 - Direct Plan - Growth Option
Reliance Mutual Fund
NAV
₹12.7482
1Y
7.08%
3Y
8.34%
otherDirect
Reliance Fixed Horizon Fund - XXV - Series 6 - Direct Plan - Growth Option
Reliance Mutual Fund
NAV
₹13.5368
1Y
7.45%
3Y
8.33%

Page 78 of 416

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