Equity Oriented Funds |
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29 November, 2024 |
Funds Recommended based on Long Term Trends |
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Suitable for |
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Name of Scheme |
Inception Date |
SEBI Categorisation |
Riskometer** |
Aggressive |
Modetare |
Conservative |
NAV Rs |
Returns for |
Large Cap Funds |
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6 m |
1 yr |
3 Yrs |
5 Yrs |
Incep |
Nippon India Large Cap Fund |
8 Aug 07 |
Large Cap Fund |
Very High |
Yes |
Yes |
Yes |
87.18 |
7.65% |
29.61% |
21.45% |
19.74% |
13.31% |
ICICI Prudential Bluechip Fund |
23 May 08 |
Large Cap Fund |
Very High |
Yes |
Yes |
Yes |
105.92 |
8.30% |
27.80% |
18.45% |
19.19% |
15.35% |
HDFC Top 100 Fund |
3 Sep 96 |
Large Cap Fund |
Very High |
Yes |
Yes |
Yes |
1116.22 |
6.25% |
23.54% |
18.75% |
17.33% |
19.02% |
Baroda BNP Paribas Large Cap Fund |
23 Sep 04 |
Large Cap Fund |
Very High |
Yes |
Yes |
Yes |
219.66 |
7.26% |
31.42% |
17.13% |
17.75% |
16.53% |
S&P BSE Sensex TRI Index |
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8.64% |
20.59% |
13.28% |
15.74% |
-- |
Nifty 50 TRI Index |
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7.79% |
21.27% |
13.76% |
16.21% |
-- |
NIFTY 100 TRI Index |
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7.15% |
25.34% |
14.47% |
16.76% |
-- |
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Flexi Cap / Multi Cap Funds |
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Nippon India Multi Cap Fund |
28 Mar 05 |
Multi Cap Fund |
Very High |
Yes |
Yes |
Yes |
291.55 |
8.31% |
34.24% |
26.81% |
24.47% |
18.69% |
HDFC Flexi Cap Fund |
1 Jan 95 |
Flexi Cap Fund |
Very High |
Yes |
Yes |
Yes |
1883.67 |
11.25% |
34.55% |
25.38% |
22.84% |
19.13% |
Kotak Multicap Fund |
29 Sep 21 |
Multi Cap Fund |
Very High |
Yes |
Yes |
Yes |
19.02 |
11.73% |
38.18% |
25.92% |
-- |
22.49% |
Franklin India Flexi Cap Fund |
29 Sep 94 |
Flexi Cap Fund |
Very High |
Yes |
Yes |
Yes |
1615.53 |
10.56% |
31.39% |
19.71% |
22.22% |
18.34% |
NIFTY 500 TRI Index |
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8.08% |
27.29% |
16.89% |
19.44% |
-- |
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Large & Mid Cap Funds |
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ICICI Prudential Large & Mid Cap Fund |
9 Jul 98 |
Large & Mid Cap |
Very High |
Yes |
Yes |
Yes |
941.26 |
8.47% |
30.44% |
21.87% |
23.19% |
18.78% |
Kotak Equity Opportunities Fund |
9 Sep 04 |
Large & Mid Cap |
Very High |
Yes |
Yes |
Yes |
336.01 |
6.62% |
33.00% |
21.15% |
21.61% |
18.97% |
Bandhan Core Equity Fund |
9 Aug 05 |
Large & Mid Cap |
Very High |
Yes |
Yes |
Yes |
130.07 |
10.81% |
38.13% |
24.80% |
23.24% |
14.20% |
HDFC Large and Mid Cap Fund |
18 Feb 94 |
Large & Mid Cap |
Very High |
Yes |
Yes |
Yes |
331.12 |
8.38% |
29.10% |
21.72% |
23.28% |
13.13% |
NIFTY Large Midcap 250 TRI Index |
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7.93% |
28.54% |
19.22% |
22.39% |
-- |
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Mid Cap Funds |
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Motilal Oswal Midcap Fund |
24 Feb 14 |
Mid Cap Fund |
Very High |
Yes |
Yes |
No |
108.42 |
30.17% |
60.06% |
35.33% |
32.51% |
24.77% |
HDFC Mid-Cap Opportunities Fund |
25 Jun 07 |
Mid Cap Fund |
Very High |
Yes |
Yes |
No |
187.34 |
11.80% |
34.93% |
28.04% |
28.48% |
18.29% |
NIFTY Midcap 150 TRI Index |
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8.67% |
31.68% |
23.91% |
28.00% |
-- |
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Small Cap Funds |
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Nippon India Small Cap Fund |
16 Sep 10 |
Small cap Fund |
Very High |
Yes |
Yes |
No |
176.05 |
12.67% |
34.28% |
29.03% |
35.55% |
22.36% |
HSBC Small Cap Fund |
12 May 14 |
Small cap Fund |
Very High |
Yes |
Yes |
No |
88.28 |
14.90% |
31.87% |
26.00% |
31.01% |
22.18% |
Franklin India Smaller Companies Fund |
13 Jan 06 |
Small cap Fund |
Very High |
Yes |
Yes |
No |
179.85 |
9.55% |
29.80% |
25.88% |
29.36% |
16.53% |
Tata Small Cap Fund |
12 Nov 18 |
Small cap Fund |
Very High |
Yes |
Yes |
No |
42.73 |
19.85% |
38.86% |
26.05% |
32.10% |
27.12% |
Nifty Smallcap 250 TRI Index |
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13.89% |
34.52% |
24.77% |
30.76% |
-- |
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Value / Contra / Dividend Yield Funds |
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SBI Contra Fund |
14 Jul 99 |
Contra |
Very High |
Yes |
Yes |
Yes |
381.53 |
8.20% |
29.74% |
24.66% |
29.50% |
19.27% |
ICICI Prudential Value Discovery Fund |
16 Aug 04 |
Value Fund |
Very High |
Yes |
Yes |
Yes |
447.01 |
10.92% |
30.14% |
23.56% |
25.66% |
20.58% |
HSBC Value Fund |
8 Jan 10 |
Value Fund |
Very High |
Yes |
Yes |
Yes |
108.44 |
9.06% |
35.36% |
24.92% |
24.73% |
17.35% |
Templeton India Value Fund |
5 Sep 03 |
Value Fund |
Very High |
Yes |
Yes |
Yes |
713.20 |
5.30% |
28.42% |
22.22% |
23.98% |
18.16% |
Nifty 500 TRI Index |
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8.08% |
27.29% |
16.89% |
19.44% |
-- |
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Funds Recommended based on Long Term Trends |
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Focused Funds |
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HDFC Focused 30 Fund |
17 Sep 04 |
Focused Fund |
Very High |
Yes |
Yes |
Yes |
218.80 |
11.71% |
34.51% |
25.97% |
22.91% |
16.49% |
Mahindra Manulife Focused Fund |
17 Nov 20 |
Focused Fund |
Very High |
Yes |
Yes |
Yes |
26.16 |
6.49% |
33.66% |
21.39% |
-- |
26.91% |
ICICI Prudential Focused Equity Fund |
28 May 09 |
Focused Fund |
Very High |
Yes |
Yes |
Yes |
85.76 |
10.89% |
35.20% |
21.07% |
23.93% |
14.85% |
Franklin India Focused Equity Fund |
26 Jul 07 |
Focused Fund |
Very High |
Yes |
Yes |
Yes |
106.46 |
8.24% |
28.32% |
18.24% |
20.05% |
14.60% |
Nifty 500 TRI Index |
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8.08% |
27.29% |
16.89% |
19.44% |
-- |
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Arbitrage Funds |
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Kotak Equity Arbitrage Fund |
29 Sep 05 |
Arbitrage Fund |
Low |
Yes |
Yes |
Yes |
35.99 |
3.55% |
7.82% |
6.40% |
5.51% |
6.90% |
HDFC Arbitrage Fund |
23 Oct 07 |
Arbitrage Fund |
Low |
Yes |
Yes |
Yes |
29.45 |
3.53% |
7.65% |
6.16% |
5.18% |
6.51% |
UTI Arbitrage Fund |
29 Jun 06 |
Arbitrage Fund |
Low |
Yes |
Yes |
Yes |
33.64 |
3.53% |
7.68% |
6.11% |
5.32% |
6.80% |
Invesco India Arbitrage Fund |
30 Apr 07 |
Arbitrage Fund |
Low |
Yes |
Yes |
Yes |
30.67 |
3.52% |
7.63% |
6.53% |
5.47% |
6.57% |
Nifty 50 Arbitrage Index |
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3.38% |
7.49% |
6.43% |
5.14% |
-- |
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Aggressive Hybrid Funds |
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ICICI Prudential Equity & Debt Fund |
3 Nov 99 |
Aggressive Hybrid Fund |
Very High |
Yes |
Yes |
Yes |
367.93 |
6.92% |
25.44% |
19.95% |
21.55% |
15.45% |
Kotak Equity Hybrid Fund |
3 Nov 14 |
Aggressive Hybrid Fund |
Very High |
Yes |
Yes |
Yes |
61.30 |
11.31% |
28.31% |
16.18% |
18.34% |
13.13% |
UTI Aggressive Hybrid Fund |
2 Jan 95 |
Aggressive Hybrid Fund |
Very High |
Yes |
Yes |
Yes |
395.82 |
10.61% |
26.80% |
17.30% |
18.73% |
13.17% |
Nippon India Equity Hybrid Fund |
10 Jun 05 |
Aggressive Hybrid Fund |
Very High |
Yes |
Yes |
Yes |
101.75 |
8.44% |
23.02% |
16.13% |
13.29% |
12.64% |
NIFTY 50 Hybrid Composite Debt 65:35 Index |
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6.68% |
17.07% |
11.17% |
13.43% |
-- |
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Dynamic Asset Allocation or Balanced Advantage Funds |
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HDFC Balanced Advantage Fund |
1 Feb 94 |
Balanced Advantage |
Very High |
Yes |
Yes |
Yes |
502.74 |
4.85% |
25.35% |
22.72% |
20.05% |
18.46% |
SBI Balanced Advantage Fund |
31 Aug 21 |
Balanced Advantage |
Moderately High |
Yes |
Yes |
Yes |
14.73 |
4.94% |
18.61% |
13.42% |
-- |
12.64% |
ICICI Prudential Balanced Advantage Fund |
30 Dec 06 |
Balanced Advantage |
Very High |
Yes |
Yes |
Yes |
69.42 |
6.41% |
16.61% |
12.67% |
12.89% |
11.41% |
Baroda BNP Paribas Balanced Advantage Fund |
14 Nov 18 |
Balanced Advantage |
Very High |
Yes |
Yes |
Yes |
23.60 |
7.60% |
21.90% |
13.57% |
16.22% |
15.26% |
NIFTY 50 Hybrid Composite Debt 65:35 Index |
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6.68% |
17.07% |
11.17% |
13.43% |
-- |
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Equity Savings Funds |
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Name of Scheme |
Inception Date |
SEBI Categorisation |
Riskometer** |
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NAV Rs |
Equity Exposure * |
Arbitrage Exposure * |
Returns for |
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6 m |
1 yr |
Incep |
Kotak Equity Savings Fund |
13 Oct 14 |
Equity Savings |
Moderately High |
Yes |
Yes |
Yes |
25.37 |
36.40% |
27.78% |
5.73% |
15.84% |
9.62% |
HDFC Equity Savings Fund |
17 Sep 04 |
Equity Savings |
Moderately High |
Yes |
Yes |
Yes |
63.71 |
32.33% |
33.38% |
4.74% |
14.12% |
9.59% |
ICICI Prudential Equity Savings Fund |
5 Dec 14 |
Equity Savings |
Low to Moderate |
Yes |
Yes |
Yes |
21.51 |
17.67% |
58.83% |
5.44% |
9.69% |
7.97% |
34% NIFTY Short Duration Debt Index, 33% Nifty 50 TRI & 33% Nifty 50 Arbitrage Index |
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4.97% |
13.48% |
-- |
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Equity Linked Saving Schemes |
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Name of Scheme |
Inception Date |
SEBI Categorisation |
Riskometer** |
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NAV Rs |
Returns for |
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6 m |
1 yr |
3 Yrs |
5 Yrs |
Incep |
HDFC ELSS Tax saver |
31 Mar 96 |
ELSS |
Very High |
Yes |
Yes |
Yes |
1341.74 |
9.10% |
32.44% |
22.67% |
20.94% |
23.62% |
SBI Long Term Equity Fund |
31 Mar 93 |
ELSS |
Very High |
Yes |
Yes |
Yes |
430.66 |
9.15% |
38.62% |
25.25% |
24.51% |
16.71% |
Motilal Oswal ELSS Tax Saver Fund |
21 Jan 15 |
ELSS |
Very High |
Yes |
Yes |
Yes |
53.54 |
20.06% |
51.66% |
26.40% |
23.60% |
18.54% |
Nifty 500 TRI Index |
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8.08% |
27.29% |
16.89% |
19.44% |
-- |
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Index Funds |
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Name of Scheme |
Inception Date |
SEBI Categorisation |
Riskometer** |
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NAV Rs |
Returns for |
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6 m |
1 yr |
3 Yrs |
5 Yrs |
Incep |
HDFC Nifty 50 Index Fund |
17 Jul 02 |
Index Funds |
Very High |
Yes |
Yes |
Yes |
227.34 |
7.51% |
20.73% |
13.25% |
15.58% |
14.81% |
ICICI Prudential Nifty 50 Index Fund |
26 Feb 02 |
Index Funds |
Very High |
Yes |
Yes |
Yes |
241.18 |
7.51% |
20.74% |
13.24% |
15.56% |
15.00% |
UTI Nifty 50 Index Fund |
4 Mar 00 |
Index Funds |
Very High |
Yes |
Yes |
Yes |
164.62 |
7.58% |
20.76% |
13.35% |
15.75% |
11.98% |
Nippon India Index Fund - Nifty 50 Plan |
28 Sep 10 |
Index Funds |
Very High |
Yes |
Yes |
Yes |
40.68 |
7.43% |
20.48% |
12.88% |
15.00% |
10.40% |
Nifty 50 TRI Index |
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7.79% |
21.27% |
13.76% |
16.21% |
-- |
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Sectoral/Thematic and Other Funds |
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DSP India T.I.G.E.R. Fund |
11 Jun 04 |
Sector Funds |
Very High |
Yes |
No |
No |
330.17 |
5.35% |
47.25% |
32.68% |
29.06% |
18.62% |
ICICI Prudential Business Cycle Fund |
18 Jan 21 |
Thematic Fund |
Very High |
Yes |
No |
No |
22.81 |
6.49% |
31.70% |
22.20% |
-- |
23.78% |
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Multi Asset Allocation |
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ICICI Prudential Multi-Asset Fund |
31 Oct 02 |
Multi Asset Allocation |
Very High |
Yes |
Yes |
Yes |
700.54 |
6.54% |
22.22% |
19.90% |
20.61% |
21.20% |
UTI Multi Asset Allocation Fund |
17 Dec 08 |
Multi Asset Allocation |
Very High |
Yes |
Yes |
Yes |
71.39 |
6.91% |
26.60% |
17.98% |
15.42% |
13.10% |
SBI Multi Asset Allocation Fund |
30 Nov 05 |
Multi Asset Allocation |
Very High |
Yes |
Yes |
Yes |
55.52 |
5.40% |
18.00% |
14.44% |
14.05% |
9.43% |
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Gold Funds |
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Name of Scheme |
Inception Date |
SEBI Categorisation |
Riskometer** |
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NAV Rs |
Returns for |
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6 m |
1 yr |
3 Yrs |
5 Yrs |
Incep |
Kotak Gold Fund |
25 Mar 11 |
Gold |
High |
Yes |
Yes |
Yes |
29.87 |
4.66% |
20.33% |
14.85% |
13.57% |
8.32% |
HDFC Gold ETF Fund of Fund |
1 Nov 11 |
Gold |
High |
Yes |
Yes |
Yes |
23.24 |
4.72% |
20.82% |
15.33% |
13.79% |
6.66% |
Physical Gold |
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5.92% |
22.36% |
16.67% |
15.06% |
-- |