| Top Funds ranked on the basis of performance between Dec 7, 2004 To Dec 22, 2004 (On 15 Days ) |
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| Scheme Name | 15 Days | 91-days | 1yr | Inception | Date | ||
| Franklin India Maxima Fund - Dividend | 6.7407 | 7.7362 | 8.234 | 8.9086 | Dec 22, 2004 | ||
| Franklin India Maxima Fund - Growth | 6.7406 | 7.7362 | 8.2345 | 14.4243 | Dec 22, 2004 | ||
| ICICI Prudential SMART Fund - Series G - 36 Months - Ret - Dividend | 4.2825 | -1.3498 | N.A | 52.3061 | Mar 10, 2010 | ||
| ICICI Prudential SMART Fund - Series G - 36 Months - Ret - Growth | 4.2825 | -1.3498 | N.A | 52.3061 | Mar 10, 2010 | ||
| UTI HUS 92 | 3.4651 | 15.5604 | 42.2123 | 25.2685 | Dec 23, 2003 | ||
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| Scheme Name | 15 Days | 91-days | 1yr | Inception | Date | ||
| Cantriple + | 9.4956 | 19.0199 | 26.4594 | 10.8495 | Feb 15, 2005 | ||
| Unit Scheme 64 | 7.9734 | 7.084 | 8.5142 | 4.5924 | May 30, 2003 | ||
| Canganga | 5.1546 | 14.9758 | 18.9261 | 5.6958 | Feb 15, 2005 | ||
| ICICI Prudential Child Care Plan - Gift Plan | 4.9909 | 8.241 | 126.378 | 21.2418 | Mar 12, 2010 | ||
| Reliance RSF - Balanced - Growth | 4.8106 | 6.4111 | 114.5831 | 16.0392 | Mar 12, 2010 | ||
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| Scheme Name | 15 Days | 91-days | 1yr | Inception | Date | ||
| ING High Yield Liquidity Fund - IP - Monthly Dividend | 0.4064 | 2.278 | 2.2717 | 1.7459 | Feb 25, 2009 | ||
| ING High Yield Liquidity Fund - IP - Growth | 0.4064 | 2.278 | 2.2717 | 1.7459 | Feb 25, 2009 | ||
| Sahara Liquid Fund - VP - Mhtly Dividend | 0.3104 | 0.9803 | 3.452 | 4.8834 | Mar 12, 2010 | ||
| HDFC Liquid Fund - Premium Plan - Monthly Div | 0.2934 | N.A | N.A | 4317.2182 | Oct 30, 2005 | ||
| AIG India Liquid Fund - Ret - Bonus | 0.2704 | N.A | N.A | 7.9019 | Nov 5, 2007 | ||
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| Scheme Name | 15 Days | 91-days | 1yr | Inception | Date | ||
| Sundaram BNP Paribas Media & Entert Opp Fund - IP - Growth | 32.2577 | 53.6059 | N.A | 32.3778 | May 28, 2009 | ||
| Sundaram BNP Paribas Financial Services Opportunities Fund - IP - Growth | 31.2109 | 73.2839 | N.A | 33.3308 | May 19, 2009 | ||
| Sundaram BNP Paribas India Leadership Fund - IP - Growth | 20.3763 | N.A | N.A | 114.9038 | May 20, 2009 | ||
| Religare Contra Fund - Dividend | 17.6292 | 17.4507 | 165.8095 | 19.1462 | Mar 12, 2010 | ||
| UTI Index Select Fund - Growth | 14.2582 | 42.949 | -14.2857 | 13.7843 | May 20, 2009 | ||
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| Scheme Name | 15 Days | 91-days | 1yr | Inception | Date | ||
| SBI Magnum Sector Umbrella - FMCG | 7.5882 | 7.0707 | 94.9212 | 10.2028 | Mar 12, 2010 | ||
| Canara Robeco Expo - Growth | 6.6939 | -3.8745 | 3.3654 | 13.2961 | Apr 23, 2008 | ||
| Canara Robeco Expo - Income | 6.6667 | -3.8835 | -21.4933 | 9.0717 | Apr 23, 2008 | ||
| JM Financial Services Sector Fund - Growth | 6.1155 | -3.5006 | 58.0404 | -4.1595 | Mar 12, 2010 | ||
| JM Financial Services Sector Fund - Dividend | 6.1145 | -3.5019 | 58.0428 | -4.1612 | Mar 12, 2010 | ||
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| Scheme Name | 15 Days | 91-days | 1yr | Inception | Date | ||
| ING Nifty Plus Fund - Bonus | 8.7201 | 76.2158 | 4.1311 | 17.204 | Jun 10, 2009 | ||
| UTI Index Advantage Fund - Nifty Plan | 4.7458 | 12.2046 | 48.4433 | 19.099 | Jun 30, 2005 | ||
| HDFC Index Fund - Sensex Plan | 4.703 | 0.2903 | 100.2348 | 21.5592 | Mar 12, 2010 | ||
| LIC MF Index Fund - Sensex Plan - Growth | 4.4375 | 0.1266 | 97.989 | 17.8972 | Mar 12, 2010 | ||
| LIC MF Index Fund - Sensex Plan - Dividend | 4.4372 | 0.1265 | 97.9899 | 14.7318 | Mar 12, 2010 | ||
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| Scheme Name | 15 Days | 91-days | 1yr | Inception | Date | ||
| Birla Sun Life Taxplan 98 | 6.614 | -32.5236 | 9.8566 | 34.574 | Mar 31, 2008 | ||
| Bharti AXA Tax Advantage Fund - Reg - Dividend | 6.09 | -0.3099 | 146.0789 | 116.33 | Mar 12, 2010 | ||
| Bharti AXA Tax Advantage Fund - Eco - Dividend | 6.0858 | -0.45 | 145.8018 | 116.4231 | Mar 12, 2010 | ||
| Bharti AXA Tax Advantage Fund - Eco - Growth | 6.0663 | 0.3975 | 147.8735 | 120.0509 | Mar 12, 2010 | ||
| Bharti AXA Tax Advantage Fund - Reg - Growth | 6.0309 | 0.354 | 147.5983 | 119.5859 | Mar 12, 2010 | ||
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| Scheme Name | 15 Days | 91-days | 1yr | Inception | Date | ||
| HSBC Offshore India Fund | 8.297 | -14.7315 | 33.8979 | 24.9706 | Jun 29, 2006 | ||
| JF India Fund | 5.3213 | -15.3498 | 34.456 | 15.2411 | Jun 29, 2006 | ||
| FF India Focus Fund - USD | 4.4338 | -19.7455 | 26.6192 | 40.4076 | Jun 29, 2006 | ||
| Baroda Pioneer NRI Fund - FAP - Dividend | 0.1161 | 0.5822 | 3.1358 | 3.1191 | May 5, 2006 | ||
| Baroda Pioneer NRI Fund - FAP - Growth | 0.106 | 0.7745 | N.A | 3.101 | Aug 18, 2005 | ||
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| Scheme Name | 15 Days | 91-days | 1yr | Inception | Date | ||
| Kotak Global Emerging Market Fund - Growth | 6.5607 | -1.6218 | 82.4236 | -4.5571 | Mar 11, 2010 | ||
| Kotak Global Emerging Market Fund - Dividend | 6.5607 | -1.6218 | 82.4236 | -4.5571 | Mar 11, 2010 | ||
| Mirae Asset Global Commodity Stocks Fund - Dividend | 5.7838 | -1.5673 | 95.1982 | 11.6242 | Mar 12, 2010 | ||
| Mirae Asset Global Commodity Stocks Fund - Growth | 5.7838 | -1.5673 | 95.1982 | 11.6242 | Mar 12, 2010 | ||
| Tata Indo-Global Infrastructure Fund - Dividend | 4.6184 | -1.1294 | N.A | -11.004 | Mar 10, 2010 | ||
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| Scheme Name | 15 Days | 91-days | 1yr | Inception | Date | ||
| ICICI Prudential Equity & Derivatives Fund - W O - Regular - Dividend | 3.0594 | 2.8796 | 60.8458 | 6.1692 | Mar 12, 2010 | ||
| ICICI Prudential Equity & Derivatives Fund - W O - Regular - Growth | 2.9826 | 2.8122 | 60.8021 | 6.2762 | Mar 12, 2010 | ||
| JPMorgan India Alpha Fund - Dividend | 0.2534 | 1.1583 | 5.7605 | 6.0931 | Mar 12, 2010 | ||
| JPMorgan India Alpha Fund - Growth | 0.2465 | 1.1516 | 5.7605 | 6.2309 | Mar 12, 2010 | ||
| IDFC Arbitrage Plus Fund - Plan B - Dividend | 0.2163 | 0.6986 | 3.6992 | 5.8758 | Mar 12, 2010 | ||