Mutual Funds
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Gainers over a year (Open-ended - Growth)
(Select any 2 schemes to compare)
OPEN-ENDED, GROWTH SCHEMES
NAV (Rs)
NAV DATE
12-MONTH
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MAGNUM NRI FLEXI ASSET G
26.06
Feb 8
63.67 %
Detailed NAV
Fact Sheet
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HDFC MIP LTP G
20.63
Feb 8
32.63 %
Detailed NAV
Fact Sheet
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CRTS81
153.85
Feb 8
28.42 %
Detailed NAV
RELIANCE MIP G
19.85
Feb 8
26.51 %
Detailed NAV
Fact Sheet
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ICICI PRU INCOME MULTIPLIER RP G
17.76
Feb 8
23.00 %
Detailed NAV
Fact Sheet
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BIRLA SUN LIFE MIP WEALTH G
16.44
Feb 8
22.69 %
Detailed NAV
Fact Sheet
HDFC MULTIPLE YIELD 05 G
14.72
Feb 8
21.96 %
Detailed NAV
Fact Sheet
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PRINCIPAL MIP PLUS G
17.75
Feb 8
21.86 %
Detailed NAV
Fact Sheet
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UTI MIS ADV G
18.77
Feb 8
21.36 %
Detailed NAV
Fact Sheet
HSBC MIP SAV G
18.04
Feb 8
19.94 %
Detailed NAV
Fact Sheet
DSP BLACK ROCK SAV PLUS AGG G
18.11
Feb 8
19.42 %
Detailed NAV
Fact Sheet
HDFC MIP STP G
16.03
Feb 8
18.93 %
Detailed NAV
Fact Sheet
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FT INDIA MIP A G
26.06
Feb 8
18.86 %
Detailed NAV
Fact Sheet
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FT INDIA MIP B G
26.06
Feb 8
18.86 %
Detailed NAV
Fact Sheet
BIRLA SUN LIFE MIP G
33.73
Feb 8
18.76 %
Detailed NAV
Fact Sheet
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CANARA ROBECO CIGO
26.89
Feb 8
18.56 %
Detailed NAV
TEMPLETON MIP G
25.13
Feb 8
17.46 %
Detailed NAV
Fact Sheet
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UTI MONTHLY INC G
18.36
Feb 8
17.28 %
Detailed NAV
Fact Sheet
TATA MIP G
14.89
Feb 8
17.22 %
Detailed NAV
Fact Sheet
PRINCIPAL MIP G
20.33
Feb 8
16.57 %
Detailed NAV
Fact Sheet
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LIC FLOAT MIP A G
16.90
Feb 8
16.12 %
Detailed NAV
ICICI PRU MIP C
23.69
Feb 8
15.58 %
Detailed NAV
Fact Sheet
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BIRLA SUN LIFE MIP C G
24.42
Feb 8
15.47 %
Detailed NAV
Fact Sheet
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MAGNUM INC PLUS INVEST G
15.40
Feb 8
15.08 %
Detailed NAV
Fact Sheet
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SUNDARAM MIP G
14.79
Feb 8
14.45 %
Detailed NAV
Fact Sheet
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HSBC MIP REG G
16.12
Feb 8
14.37 %
Detailed NAV
Fact Sheet
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DSP BLACK ROCK SAV PLUS MOD G
18.74
Feb 8
12.89 %
Detailed NAV
Fact Sheet
ING MIP B G
14.01
Feb 8
12.62 %
Detailed NAV
CANARA ROBECO INCOME
15.28
Aug 19
11.92 %
Detailed NAV
KOTAK INC PLUS G
14.56
Feb 8
11.31 %
Detailed NAV
Fact Sheet
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MAGNUM MIP G
18.84
Feb 8
11.20 %
Detailed NAV
Fact Sheet
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BIRLA SUN LIFE MIP II SAV 5 G
16.38
Feb 8
9.41 %
Detailed NAV
Fact Sheet
ESCORTS INCOME BOND G
25.07
Feb 8
9.30 %
Detailed NAV
JM MONTHLY INC G
14.39
Feb 8
8.04 %
Detailed NAV
Fact Sheet
MAGNUM MIP FLOATER G
12.10
Feb 8
7.53 %
Detailed NAV
Fact Sheet
DWS TWIN ADVANTAGE G
15.29
Feb 8
7.22 %
Detailed NAV
FORTIS MIP G
14.07
Feb 8
6.21 %
Detailed NAV
ING DYNAMIC DURATION G
13.26
Sep 18
5.74 %
Detailed NAV
DSP BLACK ROCK SAV PLUS CONS G
13.75
Feb 8
5.63 %
Detailed NAV
Fact Sheet
TATA MIP APP
15.71
Aug 18
4.48 %
Detailed NAV
Fact Sheet
MAGNUM NRI INVEST LTP G
10.77
Feb 8
2.58 %
Detailed NAV
Fact Sheet
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MAGNUM NRI INVEST STP G
10.98
Feb 8
0.84 %
Detailed NAV
Fact Sheet
Download form
LIC FLOAT MIP B G
12.06
May 22
0.56 %
Detailed NAV
(Select any 2 schemes to compare)
NAV Appreciation date : Feb 8, 2010
*NAV Returns are adjusted for dividends.
*Returns over periods greater than 12 months are annualised.
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