Funds performance

fund name 1 mth 3 mth 12 mth ytd Inceptionsort icon Net assets Return Date
HDFC FMP 36 Mn April 2010 (12) Gr 0.78% 2.38% 6.44% 4.60% 895342000 2011-07-31
HDFC FMP 36 Mn April 2010 (12) Div 0.78% 2.38% 6.44% 4.60% 895342000 2011-07-31
HDFC FMP 36 Mn April 2010 (12) Qt Div 0.78% 2.06% 4.28% 4.02% 895342000 2011-07-31
DWS FTF Ser 69 Gr 0.76% 2.29% 6.92% 4.74% 528102000 2011-07-31
DWS FTF Ser 69 Div 0.76% 2.29% 6.92% 4.74% 528102000 2011-07-31
HDFC FMP 367D April 2010 (12)2 Gr 0.73% 2.11% 2.92% 185108881 2011-04-30
HDFC FMP 367D April 2010 (12)2 Div 0.73% 2.11% 2.92% 185108881 2011-04-30
HDFC FMP 367D April 2010 (12)2 Qt Div 0.73% 1.83% 2.64% 185108881 2011-04-30
Reliance Dual Adv FTF A Gr 0.41% 1.20% 5.27% 2.02% 4294967295 2011-07-31
Reliance Dual Adv FTF A Div 0.41% 0.54% 4.59% 1.37% 4294967295 2011-07-31
DSP Blackrock FMP 12 Mn Ser 5 Gr 0.87% 2.40% 3.62% 772532655 2011-05-31
DSP Blackrock FMP 12 Mn Ser 5 Div -1.16% -1.39% -0.22% 772532655 2011-05-31
ICICI Pru FMP Ser 52 1 Yr B Gr 0.76% 2.34% 3.42% 143649374 2011-05-31
ICICI Pru FMP Ser 52 1 Yr B Div 0.76% 2.34% 3.42% 143649374 2011-05-31
DWS FTF Ser 71 Gr 0.89% 2.63% 3.88% 1194976000 2011-05-31
DWS FTF Ser 71 Div 0.89% 1.15% 2.38% 1194976000 2011-05-31
db Uranium ETC -1.79% -16.74% -31.94% -23.47% 6087534 2013-08-31
Kotak FMP 370D Ser 6 Gr 0.76% 2.53% 5.67% 1209519000 2011-07-31
Kotak FMP 370D Ser 6 Div 0.76% 0.48% 3.14% 1209519000 2011-07-31
DWS Hybrid FTF Ser 1 Gr 478905000
DWS Hybrid FTF Ser 1 Div 478905000
DWS FTF Ser 74 Gr 620368000
DWS FTF Ser 74 Div 620368000
DWS FTF Ser 75 Gr 863405000
DWS FTF Ser 75 Div 863405000
Kotak FMP 24 Mn Ser 2 Gr 0.85% 2.44% 4.79% 360515000 2011-07-31
Kotak FMP 24 Mn Ser 2 Div 0.85% 2.44% 4.79% 360515000 2011-07-31
Kotak FMP 370D Ser 5 Gr 0.80% 2.74% 7.19% 5.02% 471256000 2011-06-30
Kotak FMP 370D Ser 5 Div 0.80% 2.84% 7.19% 5.02% 471256000 2011-06-30
DWS FTF Ser 66 Instl Gr 143305000

Upcoming events

Upcoming training

Mon, 12/05/2014 (All day) - Dubai
Tue, 13/05/2014 (All day) - Dubai