Top 5 Performing Mutual Funds in India

SBI Small Cap Fund Reg Gr

EQUITY

Category

104.31 0.59(0.57%)

NAV

  • 16.84%

    6M

  • 53.83%

    1Y

  • 28.26%

    3Y

  • 23.68%

    5Y

Morningstar® rating

Very High Risk

RISK

Axis Growth Opportunities Reg Gr

EQUITY

Category

21.14 0.23(1.10%)

NAV

  • 21.84%

    6M

  • 49.40%

    1Y

  • 27.25%

    3Y

  • 0.00%

    5Y

Morningstar® rating

Very High Risk

RISK

Canara Robeco Equity Taxsaver Reg Gr

ELSS

Category

116.17 1.22(1.06%)

NAV

  • 14.54%

    6M

  • 42.75%

    1Y

  • 23.89%

    3Y

  • 20.69%

    5Y

Morningstar® rating

Very High Risk

RISK

Mirae Asset Tax Saver Reg Gr

ELSS

Category

31.14 0.33(1.06%)

NAV

  • 13.57%

    6M

  • 41.77%

    1Y

  • 23.34%

    3Y

  • 22.03%

    5Y

Morningstar® rating

Very High Risk

RISK

ICICI Pru Equity & Debt Gr

EQUITY

Category

216.22 1.63(0.76%)

NAV

  • 17.25%

    6M

  • 50.50%

    1Y

  • 19.65%

    3Y

  • 15.72%

    5Y

Morningstar® rating

Very High Risk

RISK

SBI Small Cap Fund Reg Gr

EQUITY

Category

104.31 0.59(0.57%)

NAV

  • 16.84%

    6M

  • 53.83%

    1Y

  • 28.26%

    3Y

  • 23.68%

    5Y

Morningstar® rating

Very High Risk

RISK

Axis Growth Opportunities Reg Gr

EQUITY

Category

21.14 0.23(1.10%)

NAV

  • 21.84%

    6M

  • 49.40%

    1Y

  • 27.25%

    3Y

  • 0.00%

    5Y

Morningstar® rating

Very High Risk

RISK

Axis Midcap Gr

EQUITY

Category

69.85 0.79(1.14%)

NAV

  • 19.75%

    6M

  • 45.52%

    1Y

  • 26.48%

    3Y

  • 23.34%

    5Y

Morningstar® rating

Very High Risk

RISK

UTI Flexi Cap Reg Gr

EQUITY

Category

266.85 2.74(1.04%)

NAV

  • 19.20%

    6M

  • 43.80%

    1Y

  • 25.90%

    3Y

  • 21.28%

    5Y

Morningstar® rating

Very High Risk

RISK

Mirae Asset Emerging Bluechip Gr

EQUITY

Category

97.47 0.94(0.97%)

NAV

  • 14.63%

    6M

  • 45.28%

    1Y

  • 25.35%

    3Y

  • 22.12%

    5Y

Morningstar® rating

Very High Risk

RISK

Canara Robeco Equity Taxsaver Reg Gr

ELSS

Category

116.17 1.22(1.06%)

NAV

  • 14.54%

    6M

  • 42.75%

    1Y

  • 23.89%

    3Y

  • 20.69%

    5Y

Morningstar® rating

Very High Risk

RISK

Mirae Asset Tax Saver Reg Gr

ELSS

Category

31.14 0.33(1.06%)

NAV

  • 13.57%

    6M

  • 41.77%

    1Y

  • 23.34%

    3Y

  • 22.03%

    5Y

Morningstar® rating

Very High Risk

RISK

DSP Tax Saver Reg Gr

ELSS

Category

80.19 0.77(0.97%)

NAV

  • 11.89%

    6M

  • 42.84%

    1Y

  • 21.53%

    3Y

  • 17.38%

    5Y

Morningstar® rating

Very High Risk

RISK

Axis Long Term Equity Gr

ELSS

Category

74.99 1.00(1.35%)

NAV

  • 15.59%

    6M

  • 35.29%

    1Y

  • 20.78%

    3Y

  • 19.55%

    5Y

Morningstar® rating

Very High Risk

RISK

UTI Long Term Equity Reg Gr

ELSS

Category

146.75 1.43(0.99%)

NAV

  • 17.81%

    6M

  • 40.35%

    1Y

  • 21.34%

    3Y

  • 17.14%

    5Y

Morningstar® rating

Moderately High risk

RISK

Franklin India Liquid Super Instl Gr

LIQUID

Category

3143.63 0.29(0.01%)

NAV

  • 1.66%

    6M

  • 3.23%

    1Y

  • 4.93%

    3Y

  • 5.77%

    5Y

Morningstar® rating

Low to Moderate Risk

RISK

Aditya BSL Liquid Reg Gr

LIQUID

Category

336.54 0.03(0.01%)

NAV

  • 1.65%

    6M

  • 3.22%

    1Y

  • 4.85%

    3Y

  • 5.70%

    5Y

Morningstar® rating

Moderate Risk

RISK

Axis Liquid Gr

LIQUID

Category

2322.97 0.21(0.01%)

NAV

  • 1.66%

    6M

  • 3.25%

    1Y

  • 4.83%

    3Y

  • 5.71%

    5Y

Morningstar® rating

Low to Moderate Risk

RISK

Nippon India Liquid Gr

LIQUID

Category

5105.75 0.46(0.01%)

NAV

  • 1.63%

    6M

  • 3.19%

    1Y

  • 4.83%

    3Y

  • 5.69%

    5Y

Morningstar® rating

Low to Moderate Risk

RISK

ICICI Pru Liquid Gr

LIQUID

Category

309.61 0.03(0.01%)

NAV

  • 1.63%

    6M

  • 3.19%

    1Y

  • 4.80%

    3Y

  • 5.66%

    5Y

Morningstar® rating

Low to Moderate Risk

RISK

Aditya BSL Regular Sav Reg Gr

DEBT

Category

50.12 0.13(0.25%)

NAV

  • 6.40%

    6M

  • 15.99%

    1Y

  • 9.77%

    3Y

  • 7.69%

    5Y

Morningstar® rating

Moderately High risk

RISK

Kotak Debt Hybrid Reg Gr

DEBT

Category

42.88 0.14(0.34%)

NAV

  • 7.01%

    6M

  • 15.93%

    1Y

  • 13.19%

    3Y

  • 9.43%

    5Y

Morningstar® rating

Moderately High risk

RISK

SBI Debt Hybrid Fund Reg Gr

DEBT

Category

53.40 0.15(0.27%)

NAV

  • 7.79%

    6M

  • 16.39%

    1Y

  • 12.24%

    3Y

  • 8.38%

    5Y

Morningstar® rating

Moderately High risk

RISK

Canara Robeco Cons Hyb Reg Gr

HYBRID (C)

Category

75.35 0.19(0.26%)

NAV

  • 5.26%

    6M

  • 11.58%

    1Y

  • 11.61%

    3Y

  • 8.89%

    5Y

Morningstar® rating

Moderate Risk

RISK

HDFC Hybrid Debt Gr

DEBT

Category

59.33 0.14(0.24%)

NAV

  • 5.75%

    6M

  • 16.23%

    1Y

  • 10.63%

    3Y

  • 7.76%

    5Y

Morningstar® rating

High Risk

RISK

ICICI Pru Equity & Debt Gr

EQUITY

Category

216.22 1.63(0.76%)

NAV

  • 17.25%

    6M

  • 50.50%

    1Y

  • 19.65%

    3Y

  • 15.72%

    5Y

Morningstar® rating

Very High Risk

RISK

SBI Equity Hybrid Fund Reg Gr

HYBRID (NC)

Category

202.39 1.43(0.71%)

NAV

  • 10.95%

    6M

  • 28.47%

    1Y

  • 17.11%

    3Y

  • 14.57%

    5Y

Morningstar® rating

Very High Risk

RISK

Axis Equity Hybrid Fund Reg Gr

EQUITY

Category

16.01 0.14(0.88%)

NAV

  • 16.35%

    6M

  • 30.16%

    1Y

  • 17.82%

    3Y

  • 0.00%

    5Y

Morningstar® rating

Very High Risk

RISK

Canara Robeco Equity Hyb Reg Gr

HYBRID (NC)

Category

244.25 1.80(0.74%)

NAV

  • 10.37%

    6M

  • 26.49%

    1Y

  • 17.68%

    3Y

  • 15.32%

    5Y

Morningstar® rating

Very High Risk

RISK

Mirae Asset Hybrid Equity Reg Gr

EQUITY

Category

22.03 0.17(0.79%)

NAV

  • 10.43%

    6M

  • 29.01%

    1Y

  • 16.38%

    3Y

  • 15.43%

    5Y

Morningstar® rating

Very High Risk

RISK

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