MF Gyan

Browse funds

Showing direct plans · 12,468 funds match

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otherDirect
Reliance Dual Advantage Fixed Tenure Fund VI- Plan E- Direct Plan- Growth Option
Reliance Mutual Fund
NAV
₹11.7722
1Y
10.79%
3Y
3.49%
indexDirect
Franklin India NSE Nifty 50 Index Fund - Direct Plan - IDCW
Franklin Templeton Mutual Fund
NAV
₹179.3139
1Y
-5.69%
3Y
3.47%
debtDirect
Principal Dynamic Bond Fund - Direct Plan - Growth Option
Principal Mutual Fund
NAV
₹33.645
1Y
7.81%
3Y
3.47%
otherDirect
Axis Hybrid Fund - Series 5 (1346 Days) - Direct Plan - Growth
Axis Mutual Fund
NAV
₹14.6279
1Y
-0.48%
3Y
3.46%
debtDirect
LIC MF Overnight Fund - Direct Plan - Weekly IDCW
LIC Mutual Fund
NAV
₹1,107.9697
1Y
4.86%
3Y
3.46%
otherDirect
SUNDARAM HYBRID SERIES P DIRECT PLAN YEARLY DIVIDEND
Sundaram Mutual Fund
NAV
₹11.5216
1Y
4.94%
3Y
3.45%
otherDirect
UTI Quarterly Interval Fund - I - Direct Plan - IDCW
UTI Mutual Fund
NAV
₹11.1076
1Y
3.99%
3Y
3.45%
otherDirect
Nippon India Retirement Fund- Wealth Creation Scheme - Direct Plan - IDCW Option
Nippon India Mutual Fund
NAV
₹22.571
1Y
-5.29%
3Y
3.45%
debtDirect
360 ONE Dynamic Term Fund - Direct Plan - IDCW Option
360 ONE Mutual Fund
NAV
₹14.1805
1Y
2.27%
3Y
3.45%
otherDirect
UTI F I I F Series II -Quarterly Interval Plan - IV -Direct Plan - Growth Option
UTI Mutual Fund
NAV
₹25.5663
1Y
3.08%
3Y
3.45%
otherDirect
DSP BlackRock Dual Advantage Fund - Series 35 - 36M - Direct Plan - Dividend Payout Option
DSP Mutual Fund
NAV
₹11.0865
1Y
9.47%
3Y
3.44%
debtDirect
HSBC Low Duration Fund - Weekly IDCW Direct Plan
HSBC Mutual Fund
NAV
₹10.5271
1Y
2.18%
3Y
3.43%
hybridDirect
DSP Equity Savings Fund - Direct Plan - Monthly IDCW
DSP Mutual Fund
NAV
₹17.149
1Y
-1.70%
3Y
3.42%
arbitrageDirect
DSP Arbitrage fund - Direct Plan - Monthly IDCW
DSP Mutual Fund
NAV
₹13.242
1Y
1.53%
3Y
3.42%
sectorDirect
Nippon India Consumption Fund - Direct Plan - IDCW Option
Nippon India Mutual Fund
NAV
₹54.2039
1Y
-10.60%
3Y
3.41%
debtDirect
Aditya Birla Sun Life Medium Term Plan - Direct Plan - IDCW
Aditya Birla Sun Life Mutual Fund
NAV
₹18.2705
1Y
3.02%
3Y
3.41%
otherDirect
Sahara Infrastructure Fund ---FIXED PRICING -Direct-Dividend
Sahara Mutual Fund
NAV
₹20.328
1Y
0.00%
3Y
3.41%
hybridDirect
DSP Equity Savings Fund - Direct Plan - Quarterly IDCW
DSP Mutual Fund
NAV
₹17.136
1Y
-1.70%
3Y
3.40%
sectorDirect
Kotak Multi Asset Allocation Fund-Monthly Dividend - Direct
Kotak Mahindra Mutual Fund
NAV
₹13.1358
1Y
8.91%
3Y
3.40%
debtDirect
Sundaram Short Term Debt Fund Direct Plan - Quarterly Payout of Income Distribution cum Capital Withdrawal (IDCW)
Sundaram Mutual Fund
NAV
₹14.0601
1Y
15.99%
3Y
3.39%
debtDirect
TRUSTMF Short Duration Fund - Direct Plan - Weekly Income Distribution Cum Capital Withdrawal
Trust Mutual Fund
NAV
₹1,140.1763
1Y
2.09%
3Y
3.36%
hybridDirect
BNP Paribas Conservative Hybrid Fund - Direct Plan - Monthly Income Distribution cum Capital Withdrawal Option
BNP Paribas Mutual Fund
NAV
₹12.3237
1Y
-0.07%
3Y
3.35%
otherDirect
Sundaram Value Fund Series III Direct Plan Dividend Payout
Sundaram Mutual Fund
NAV
₹16.9778
1Y
17.58%
3Y
3.35%
sectorDirect
Sundaram Focused Fund (Formerly Known as Principal Focused Multicap Fund) - Direct Plan - IDCW (Income Distribution CUM Capital Withdrawal)
Sundaram Mutual Fund
NAV
₹43.798
1Y
-2.16%
3Y
3.35%
debtDirect
L&T Credit Risk Fund - Direct Plan -Annual IDCW
L&T Mutual Fund
NAV
₹12.6661
1Y
3.70%
3Y
3.34%
flexi capDirect
Mahindra Manulife Flexi Cap Fund - Direct Plan - IDCW
Mahindra Manulife Mutual Fund
NAV
₹14.1302
1Y
-6.08%
3Y
3.34%
otherDirect
DWS Alpha Equity Fund - Direct Plan - Dividend
Deutsche Mutual Fund
NAV
₹18.07
1Y
-23.37%
3Y
3.32%
hybridDirect
Aditya Birla Sun Life Equity Hybrid '95 Fund - Direct Plan - IDCW
Aditya Birla Sun Life Mutual Fund
NAV
₹294.36
1Y
-3.25%
3Y
3.31%
otherDirect
Kotak World Gold Fund- Direct Plan- Dividend Option
Kotak Mahindra Mutual Fund
NAV
₹9.78
1Y
32.70%
3Y
3.31%
liquidDirect
Sundaram Money Fund Direct Plan - Quarterly Reinvestment of Income Distribution cum Capital Withdrawal (IDCW)
Sundaram Mutual Fund
NAV
₹40.4223
1Y
2.24%
3Y
3.30%

Page 173 of 416

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