Browse funds
Showing direct plans · 12,468 funds match
otherDirect
Aditya Birla Sun Life Fixed Term Plan - Series OX (1234 days) - DIRECT - NORMAL IDCW
Aditya Birla Sun Life Mutual Fund
NAV
₹10.00
1Y
-16.60%
3Y
-0.37%
otherDirect
Aditya Birla Sun Life Fixed Term Plan - Series OX (1234 days) - DIRECT - Quarterly IDCW
Aditya Birla Sun Life Mutual Fund
NAV
₹10.00
1Y
-8.23%
3Y
-0.37%
otherDirect
Aditya Birla Sun Life MIP - Direct Plan - Monthly Dividend
Aditya Birla Sun Life Mutual Fund
NAV
₹13.159
1Y
-5.23%
3Y
-0.37%
debtDirect
Nippon India Medium to Long Term Fund - Direct Plan - ANNUAL IDCW Option
Nippon India Mutual Fund
NAV
₹14.3529
1Y
1.07%
3Y
-0.37%
otherDirect
HDFC FMP 1204D December - Quarterly IDCW Option - Direct Plan
HDFC Mutual Fund
NAV
₹10.00
1Y
-3.91%
3Y
-0.37%
otherDirect
UTI Capital Protection Oriented Scheme - Series V-I (1163 Days) - Dividend Option - Direct
UTI Mutual Fund
NAV
₹10.0001
1Y
-15.95%
3Y
-0.37%
otherDirect
HDFC FMP 369D April 2014 (1) - Direct Option-Quarterly Dividend Option
HDFC Mutual Fund
NAV
₹10.00
1Y
-1.34%
3Y
-0.37%
otherDirect
UTI Fixed Term Income Fund Series XXXII-I(1126 Days) - Direct Plan - Maturity IDCW
UTI Mutual Fund
NAV
₹10.00
1Y
-16.58%
3Y
-0.37%
otherDirect
UTI Fixed Term Income Fund Series XXXII-I(1126 Days) - Direct Plan - Annual IDCW
UTI Mutual Fund
NAV
₹10.00
1Y
-5.26%
3Y
-0.37%
otherDirect
UTI Fixed Term Income Fund Series XXXII-I(1126 Days) - Direct Plan - Quarterly IDCW
UTI Mutual Fund
NAV
₹10.00
1Y
-4.07%
3Y
-0.37%
otherDirect
UTI Fixed Term Income Fund Series XXXII-I(1126 Days) - Direct Plan - Flexi IDCW
UTI Mutual Fund
NAV
₹10.00
1Y
-16.59%
3Y
-0.37%
otherDirect
UTI FTIF Series XXVI-VIII (1154 Days)- Direct Plan - Quarterly Div Option
UTI Mutual Fund
NAV
₹10.00
1Y
-1.53%
3Y
-0.37%
otherDirect
UTI FTIF Series XXVI-VIII (1154 Days)- Direct Plan - Maturity Div Option
UTI Mutual Fund
NAV
₹10.00
1Y
-14.00%
3Y
-0.37%
otherDirect
UTI FTIF Series XXVI-VIII (1154 Days)- Direct Plan - Flexi Div Option
UTI Mutual Fund
NAV
₹10.00
1Y
-14.00%
3Y
-0.37%
otherDirect
UTI FTIF Series XXVI-VIII (1154 Days)- Direct Plan - Annual Div Option
UTI Mutual Fund
NAV
₹10.00
1Y
-1.53%
3Y
-0.37%
liquidDirect
ICICI Prudential Liquid Fund - Direct Plan - Half Yearly IDCW
ICICI Prudential Mutual Fund
NAV
₹106.7325
1Y
0.55%
3Y
-0.37%
otherDirect
HDFC CPO - I - 36M September 2013 - Direct Option - Dividend Option
HDFC Mutual Fund
NAV
₹10.0156
1Y
-17.35%
3Y
-0.37%
otherDirect
HDFC FMP 1128D March 2015 (1)-Direct Option-Quarterly Dividend Option
HDFC Mutual Fund
NAV
₹10.00
1Y
-1.34%
3Y
-0.37%
otherDirect
HDFC FMP 1128D March 2015 (1)-Direct Option-Dividend Option
HDFC Mutual Fund
NAV
₹10.00
1Y
-16.35%
3Y
-0.37%
otherDirect
Reliance Fixed Horizon Fund - XXV - Series 30 - Direct Plan - Dividend Payout Option
Reliance Mutual Fund
NAV
₹10.00
1Y
-16.90%
3Y
-0.38%
otherDirect
HDFC FMP 370D May 2014 (1)-Direct Option-Quarterly Dividend Option
HDFC Mutual Fund
NAV
₹10.00
1Y
-2.04%
3Y
-0.38%
otherDirect
HDFC FMP 1126D March 2019 (1) - IDCW Option - Direct Plan
HDFC Mutual Fund
NAV
₹10.00
1Y
-17.34%
3Y
-0.38%
otherDirect
HDFC FMP 1126D March 2019 (1) - Quarterly IDCW Option - Direct Plan
HDFC Mutual Fund
NAV
₹10.00
1Y
-2.80%
3Y
-0.38%
otherDirect
HDFC FMP 1208D March 2018 (1) - IDCW Option - Direct Plan
HDFC Mutual Fund
NAV
₹10.00
1Y
-16.30%
3Y
-0.38%
otherDirect
HDFC FMP 1208D March 2018 (1) - Quarterly IDCW Option - Direct Plan
HDFC Mutual Fund
NAV
₹10.00
1Y
-1.01%
3Y
-0.38%
debtDirect
HSBC Banking and PSU Debt Fund - Direct Plan - Monthly IDCW
HSBC Mutual Fund
NAV
₹11.1387
1Y
-1.49%
3Y
-0.38%
otherDirect
HSBC Flexi Debt Fund - Fortnightly Dividend Direct
HSBC Mutual Fund
NAV
₹10.0679
1Y
0.30%
3Y
-0.38%
debtDirect
Nippon India Nivesh Lakshya Long Term Fund - Direct Plan - ANNUAL IDCW Option
Nippon India Mutual Fund
NAV
₹12.0137
1Y
1.01%
3Y
-0.38%
otherDirect
UTI FTIF Series XXVI-III (1169 Days)- Direct Plan - Quarterly Div Option
UTI Mutual Fund
NAV
₹10.00
1Y
-0.91%
3Y
-0.39%
otherDirect
UTI Fixed Term Income Fund Series XXXI-VII (1155 Days) - Direct Plan - Annual IDCW
UTI Mutual Fund
NAV
₹10.00
1Y
-4.07%
3Y
-0.39%
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