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Debt Funds
Debt Funds - Income funds
Scheme Name NAV(Rs.) AUM(Rs.in Cr) 1w % 1m % 3m % 6m % 1y %
Pramerica Dynamic Bond Fund - Direct (G) 1346.03 265.55 0.26 0.76 4.07 13.68 0
IDFC Dynamic Bond Fund - Regular - Direct (G) 17.26 6051.78 0.78 [0.31] 3.23 13.20 0
Birla Sun Life Dynamic Bond Fund - Direct (G) 24.98 14439.22 0.35 1.26 4.33 13 0
Debt Funds - Short term
Scheme Name NAV(Rs.) AUM(Rs.in Cr) 1w % 1m % 3m % 6m % 1y %
Franklin India Short Term Income - Direct (G) 2991.45 10998.11 0.29 2.19 5.05 11.77 0
HDFC Corporate Debt Opportunities Fund-Dir (G) 11.56 5676.93 0.29 2.09 4.63 11.59 0
Franklin India Short Term Income - Inst (G) 2384.38 10998.11 0.28 2.05 4.76 11.16 10.54
Exchange Traded Funds (ETFs) - Debt
Scheme Name NAV(Rs.) AUM(Rs.in Cr) 1w % 1m % 3m % 6m % 1y %
No Data Found
Fixed Maturity Plans
Scheme Name NAV(Rs.) AUM(Rs.in Cr) 1w % 1m % 3m % 6m % 1y %
HDFC FMP - 1127Days-Mar 2014(1)(XXIX)-Dir (G) 11.63 194.07 0.25 2.67 5.71 12.21 0
HDFC FMP - 1175Days-Jan 2014(1)(XXIX)-Dir (G) 11.81 541.63 0.25 2.74 5.48 12.02 0
HDFC FMP - 1127Days-Mar 2014(1)(XXIX) (G) 11.59 194.07 0.25 2.61 5.58 11.93 0
Floating Rate Funds - Short Term
Scheme Name NAV(Rs.) AUM(Rs.in Cr) 1w % 1m % 3m % 6m % 1y %
Reliance Floating Rate Fund - STP - Direct (G) 22.73 3465.23 0.25 2.06 4.72 10.10 0
DSP BR Income Opportunities Fund (G) 22.82 1975.68 0.28 1.93 4.62 9.79 9.40
Reliance Floating Rate Fund - STP (G) 22.44 3465.23 0.24 1.94 4.50 9.57 9.01
Gilt Funds - Medium & Long Term
Scheme Name NAV(Rs.) AUM(Rs.in Cr) 1w % 1m % 3m % 6m % 1y %
Franklin India G-Sec Fund - PF Plan - Direct (G) 20.54 82.31 0.58 20.55 20.55 20.55 0
SBI Magnum Gilt Fund - Long term - Direct (G) 30.47 1612.49 0.69 [0.23] 3.75 15.58 0
JPMorgan India Govt Securities Fund - Dir (G) 11.74 822.62 0.56 [0.58] 2.73 15.33 0
Gilt Funds - Short Term
Scheme Name NAV(Rs.) AUM(Rs.in Cr) 1w % 1m % 3m % 6m % 1y %
BNP Paribas Govt Securities Fund - Dir (G) 12.24 47.55 0.56 0.22 4.05 15.19 0
Reliance Gilt Sec Fund - Dir-Defined Maturity Date 18.33 1028.17 0.65 [0.24] 3.44 14.54 0
Reliance Gilt Sec Fund - Direct (G) 18.38 1028.17 0.65 [0.24] 3.44 14.54 0
Interval Income Funds
Scheme Name NAV(Rs.) AUM(Rs.in Cr) 1w % 1m % 3m % 6m % 1y %
Reliance Interval Fund - II - Series 2 - Direct(G) 11.74 41.63 0.20 2.13 4.26 9.75 0
UTI-Fixed Income Interval - Annual-Sr.I - Inst (G) 19.98 92.68 0.15 2.25 4.53 9.45 10.11
UTI-Fixed Income Interval - Annual-Sr.II -Inst (G) 16.36 61.63 0.19 2.29 4.53 9.43 9.59
Liquid Funds
Scheme Name NAV(Rs.) AUM(Rs.in Cr) 1w % 1m % 3m % 6m % 1y %
Escorts Liquid Plan - Direct (G) 22.32 204.46 0.17 2.20 4.44 9.45 0
Principal Retail Money Manager Fund - Dir (G) 1619.04 30.68 0.17 2.27 4.55 9.32 0
Escorts Liquid Plan (G) 22.22 204.46 0.17 2.19 4.42 9.30 9.61
Ultra Short Term Funds
Scheme Name NAV(Rs.) AUM(Rs.in Cr) 1w % 1m % 3m % 6m % 1y %
Kotak Corporate Bond - Inst (G) 1864.72 27.06 0.30 2.08 5.29 13.70 9.38
Kotak Corporate Bond Fund-Dir(G) 1872.03 27.06 0.30 2.05 5.20 13.58 0
Kotak Corporate Bond Fund (G) 1820.32 27.06 0.30 1.99 5.14 13.37 9.06
 
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