Browse funds
Showing direct plans · 4,304 funds match your filters
otherDirect
Edelweiss Liquid Fund-Direct Plan-Growth Option
Edelweiss Mutual Fund
NAV
₹1,529.8657
1Y
6.77%
3Y
7.64%
otherDirect
Aditya Birla Sun Life Fixed Term Plan - Series NP (1163 days) - Direct Plan-Growth
Aditya Birla Sun Life Mutual Fund
NAV
₹12.661
1Y
7.78%
3Y
7.64%
otherDirect
Aditya Birla Sun Life Fixed Term Plan - Series PU (1463 days) - Direct Plan-Growth
Aditya Birla Sun Life Mutual Fund
NAV
₹13.7078
1Y
4.13%
3Y
7.64%
otherDirect
DWS Income Advantage Fund - Direct Plan - Growth
Deutsche Mutual Fund
NAV
₹18.1441
1Y
3.29%
3Y
7.63%
otherDirect
HDFC FMP 1175D January 2019 (1) - Growth Option - Direct Plan
HDFC Mutual Fund
NAV
₹12.7896
1Y
4.20%
3Y
7.63%
otherDirect
Axis Fixed Term Plan - Series 101 (1154 Days) - Direct Plan - Growth Option
Axis Mutual Fund
NAV
₹12.719
1Y
4.30%
3Y
7.63%
otherDirect
Axis Fixed Term Plan Series 102 (1133 Days) - Direct Plan - Quarterly IDCW
Axis Mutual Fund
NAV
₹12.6386
1Y
4.25%
3Y
7.63%
otherDirect
Axis Fixed Term Plan - Series 102 (1133 Days) - Direct Plan - Growth Option
Axis Mutual Fund
NAV
₹12.6382
1Y
4.24%
3Y
7.63%
otherDirect
Aditya Birla Sun Life Fixed Term Plan - Series RY (1199 days) - Direct Plan-Growth
Aditya Birla Sun Life Mutual Fund
NAV
₹12.8797
1Y
4.18%
3Y
7.62%
otherDirect
JM Money Manager Fund - Super Plus Plan (Direct) - Growth Option
JM Financial Mutual Fund
NAV
₹25.0204
1Y
6.37%
3Y
7.62%
otherDirect
HDFC FMP 1182D January 2019 (1) - Growth Option - Direct Plan
HDFC Mutual Fund
NAV
₹12.8188
1Y
4.17%
3Y
7.62%
otherDirect
HDFC FMP 1166D May 2017 (1) - Direct Option - Growth Option
HDFC Mutual Fund
NAV
₹12.7581
1Y
8.11%
3Y
7.62%
otherDirect
Aditya Birla Sun Life Fixed Term Plan - Series PV (1462 days) - Direct Plan-Growth
Aditya Birla Sun Life Mutual Fund
NAV
₹13.717
1Y
4.09%
3Y
7.62%
otherDirect
HDFC FMP 1100D April 2019 (1) - Growth Option - Direct Plan
HDFC Mutual Fund
NAV
₹12.4731
1Y
3.88%
3Y
7.62%
otherDirect
HDFC DAF - II - 1111D April 2016 - Direct Option - Growth option
HDFC Mutual Fund
NAV
₹12.5363
1Y
7.06%
3Y
7.61%
otherDirect
JM Money Manager Fund - Super Plus Plan (Direct) - Bonus Option - Principal units
JM Financial Mutual Fund
NAV
₹15.0654
1Y
6.37%
3Y
7.61%
otherDirect
Sundaram Select Micro Cap Series V- Direct Plan Dividend Option
Sundaram Mutual Fund
NAV
₹16.2853
1Y
10.20%
3Y
7.60%
otherDirect
HDFC FMP 1861D March 2022 - Direct Plan - Growth Option
HDFC Mutual Fund
NAV
₹13.3679
1Y
6.18%
3Y
7.60%
otherDirect
HDFC FMP 1861D March 2022 - Direct Plan - IDCW Option
HDFC Mutual Fund
NAV
₹13.3679
1Y
6.18%
3Y
7.60%
otherDirect
HDFC FMP 1146D February 2019 (1) - Growth Option - Direct Plan
HDFC Mutual Fund
NAV
₹12.6858
1Y
4.19%
3Y
7.60%
otherDirect
HDFC FMP 1126D March 2019 (1) - Growth Option - Direct Plan
HDFC Mutual Fund
NAV
₹12.6016
1Y
4.16%
3Y
7.60%
otherDirect
ICICI Prudential Fixed Maturity Plan - Series 84 - 1293 Days Plan D - Direct Plan Cumulative Option
ICICI Prudential Mutual Fund
NAV
₹13.3589
1Y
4.36%
3Y
7.60%
otherDirect
ICICI Prudential Fixed Maturity Plan - Series 84 - 1275 Days Plan K - Direct Plan Cumulative Option
ICICI Prudential Mutual Fund
NAV
₹13.2257
1Y
4.12%
3Y
7.60%
otherDirect
ICICI Prudential Fixed Maturity Plan - Series 84 - 1275 Days Plan K - Direct Plan Half Yearly IDCW Option
ICICI Prudential Mutual Fund
NAV
₹13.2257
1Y
4.12%
3Y
7.60%
otherDirect
Aditya Birla Sun Life Fixed Term Plan - Series RW (1202 days) - Direct Plan-Growth
Aditya Birla Sun Life Mutual Fund
NAV
₹12.9055
1Y
4.24%
3Y
7.60%
otherDirect
HDFC FMP 1246D NOVEMBER 2018 (1) - Growth Option - Direct Plan
HDFC Mutual Fund
NAV
₹13.0912
1Y
4.18%
3Y
7.60%
otherDirect
HDFC FMP 1876D March 2022 - Direct Plan - Growth Option
HDFC Mutual Fund
NAV
₹13.3182
1Y
6.14%
3Y
7.60%
otherDirect
HDFC FMP 1876D March 2022 - Direct Plan - IDCW Option
HDFC Mutual Fund
NAV
₹13.3182
1Y
6.14%
3Y
7.60%
otherDirect
HDFC FMP 1168D January 2019 (1) - Growth Option - Direct Plan
HDFC Mutual Fund
NAV
₹12.7715
1Y
4.19%
3Y
7.59%
otherDirect
HDFC FMP 1190D January 2019 (1) - Growth Option - Direct Plan
HDFC Mutual Fund
NAV
₹12.8425
1Y
4.18%
3Y
7.59%
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