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Home
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MF Analyser
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Scheme Synopsis
Scheme Synopsis
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Category
Period
-- Select Category --
Arbitrage Funds
Equity - Auto
Equity - Banking
Equity - Diversified
Equity - FMCG
Equity - Index
Equity - Infotech
Equity - Media
Equity - Offshore
Equity - Pharma
Equity - Tax Planning
Equity - Telecom
Equity Theme - Infrastructure
Equity Theme - Natural Resources
Equity Theme - Shariah
Exchange Traded Funds (ETFs)
Exchange Traded Funds (ETFs) - Debt
Fixed Maturity Plans
Floating Rate Funds - Long Term
Floating Rate Funds - Short Term
Fund of Funds - Debt
Fund of Funds - Equity
Gilt Funds - Medium & Long Term
Gilt Funds - Short Term
Global Funds - Expo on Foreign Equity
Global Funds - Expo on Foreign Mutual Fund
Gold - ETFs
Hybrid - Asset Allocation
Hybrid - Capital Protection
Hybrid - Debt Oriented
Hybrid - Equity Oriented
Hybrid - Fixed Maturity Plans
Income Funds
Interval Income Funds
Liquid Funds
Monthly Income Plans - Long Term
Monthly Income Plans - Short Term
Real Estate Funds
Short Term Income Funds
Ultra Short Term Funds
-- Select Period --
6 Months
1 Year
3 Years
Since Inception
Scheme Name
NAV (Rs)
Inception Date
1 Week [%]
1 Month [%]
3 Months [%]
6 Months [%]
AIG India Equity Fund (D)
12.29
Jun 22 2007
-0.08
1.08
5.41
7.28
AIG India Equity Fund (G)
12.29
Jun 22 2007
-0.08
1.08
5.41
7.28
AIG India Equity Fund - Inst (D)
12.56
Jun 22 2007
-0.06
1.14
5.63
7.70
AIG India Equity Fund - Inst (G)
6.06
Jun 22 2007
6.84
4.25
-25.69
-34.77
AXIS Equity Fund (D)
11.13
Jan 5 2010
-0.09
1.18
8.80
11.41
AXIS Equity Fund (G)
11.13
Jan 5 2010
-0.09
1.18
8.80
11.41
Baroda Pioneer Growth (D)
29.51
Sep 9 2003
0.65
1.37
10.86
9.62
Baroda Pioneer Growth (G)
52.38
Sep 9 2003
0.63
1.37
10.83
9.63
Bharti AXA Equity Fund (D)
12.93
Oct 21 2008
0.39
2.95
9.67
7.69
Bharti AXA Equity Fund (Div-B)
18.35
Oct 21 2008
0.38
2.92
9.68
7.69
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* Equity - Returns upto 1 year are absolute and over 1 year are CAGR.
* Debt - Returns upto 1 year are annualised and over 1 year are CAGR.
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