Index Funds - Sensex

SchemeSub CategoryMin. Inv(Rs.)NAV(Rs.)Exp. Ratio(%)SIP Min. Inv.(Rs.)
LIC MF Index Fund-Sensex Plan(G)-Direct Plan Equity - Index Funds500073.60750.58300
Tata Index Fund-Sensex Plan(G)-Direct Plan Equity - Index Funds500097.67680.05150
LIC MF Index Fund-Sensex Plan(D) Equity - Index Funds500024.29641.08300
LIC MF Index Fund-Sensex Plan(D)-Direct Plan Equity - Index Funds500024.68270.58300
HDFC Index Fund-Sensex(G)-Direct Plan Equity - Index Funds5000344.26440.1300
HDFC Index Fund-Sensex(G)(Post Addendum) Equity - Index Funds5000339.12370.3300
LIC MF Index Fund-Sensex Plan(G) Equity - Index Funds500070.88391.08300
ICICI Pru Sensex Index Fund(DP)-Direct Plan Equity - Index Funds10012.04710.1500
ICICI Pru Sensex Index Fund(G)-Direct Plan Equity - Index Funds10012.04710.1500
ICICI Pru Sensex Index Fund(D) Equity - Index Funds10011.96550.3500
ICICI Pru Sensex Index Fund(DP) Equity - Index Funds10011.96550.3500
ICICI Pru Sensex Index Fund(D)-Direct Plan Equity - Index Funds10012.04710.1500
Tata Index Fund-Sensex Plan(G) Equity - Index Funds500094.20351150
ICICI Pru Sensex Index Fund(G) Equity - Index Funds10011.96550.3500
HDFC Index Fund-Sensex(G) Equity - Index Funds5000339.12370.3300
Nippon India Index Fund - Sensex Plan(G) Equity - Index Funds500018.81640.34100
Nippon India Index Fund - Sensex Plan(G)-Direct Plan Equity - Index Funds500019.55940.1100
Nippon India Index Fund - Sensex Plan(QD) Equity - Index Funds500015.49110.34100
Nippon India Index Fund - Sensex Plan(B)-Direct Plan Equity - Index Funds500019.55940.1100
Nippon India Index Fund - Sensex Plan(AD)-Direct Plan Equity - Index Funds500016.2030.1100
Nippon India Index Fund - Sensex Plan(HD) Equity - Index Funds500015.49040.34100
Nippon India Index Fund - Sensex Plan(QD)-Direct Plan Equity - Index Funds500016.21070.1100
Nippon India Index Fund - Sensex Plan(B) Equity - Index Funds500018.81640.34100
Nippon India Index Fund - Sensex Plan(AD) Equity - Index Funds500015.49030.34100
Nippon India Index Fund - Sensex Plan(HD)-Direct Plan Equity - Index Funds500016.19160.1100