Funds performance

fund name 1 mth 3 mth 12 mth ytdsort icon Inception Net assets Return Date
Morgan Stanley Active Bd Instl Pls Qt D 0.73% -1.77% -1.21% 683913528 2009-09-30
Sundaram Money Instl Wk Div 0.63% 1.73% 4.27% 4294967295 2012-07-31
Peerless Liquid Instl Wk Div 0.02% 0.04% 4294967295 2010-04-30
Peerless Liquid Instl Mn Div 0.00% 4294967295 2010-03-31
ICICI Pru Flexible Inc Instl I 0.36% 1.14% 1.40% 4294967295 2009-08-31
Mirae Asset S/T Bond Instl Div -0.05% 0.66% 0.73% 32058000 2009-12-31
ICICI Pru Liquid Instl Pls Mn Div 0.35% 1.59% 4294967295 2011-02-28
Reliance Gilt Sec Instl Div 0.39% 2.75% 2453492000 2012-04-30
Reliance Banking Instl Div -5.96% -35.13% 4294967295 2012-02-29
Reliance Quant Plus Instl Gr 9.20% -7.42% 2.98% 693992000 2011-03-31
Birla Sun Life S/T FMP Ser 7 Gr 0.75% 2.13% 2011-04-30
Birla Sun Life S/T FMP Ser 7 Div 0.75% 1.53% 2011-04-30
DSP Blackrock FMP 3 Mn Ser 33 Gr 0.70% 2.30% 2.37% 2011-06-30
DSP Blackrock FMP 3 Mn Ser 33 Div -0.21% -0.06% 0.00% 2011-06-30
DSP Blackrock FMP 3 Mn Ser 34 Gr 0.69% 1.65% 1705479300 2011-06-30
DSP Blackrock FMP 3 Mn Ser 34 Div 0.69% 1.65% 1705479300 2011-06-30
ICICI Pru FMP Ser 55 6 Mn A Gr 0.72% 2.24% 4.34% 2011-07-31
ICICI Pru FMP Ser 55 6 Mn A Div 0.72% -0.29% 1.76% 2011-07-31
Canara Cap Protection Ser 1 36 Mn A Gr 0.56% 1.50% 2.56% 363000000 2011-07-31
Canara Cap Protection Ser 1 36 Mn A Div 0.56% 1.50% 2.56% 363000000 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
DWS FTF Ser 66 Instl Gr 143305000
DWS FTF Ser 66 Instl Div 143305000
DWS FTF Ser 73 Gr 2254460000
DWS FTF Ser 73 Div 2254460000

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