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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) 1368.28 303.1 0.07 1.66 2.79 14.86 0
IDFC Dynamic Bond Fund - Regular - Direct (G) 17.57 5779.04 0.25 1.51 1.72 14.40 0
Birla Sun Life Dynamic Bond Fund - Direct (G) 25.4 14895.89 0.08 2 3.77 14.40 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) 3043.44 11406.75 0.14 2.58 4.87 12.20 0
HDFC Corporate Debt Opportunities Fund-Dir (G) 11.76 6373.2 0.10 2.50 4.32 12.19 0
Franklin India Short Term Income - Inst (G) 2423.86 11406.75 0.13 2.44 4.59 11.59 10.56
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) 11.84 197.66 0.15 2.88 5.37 13.04 0
HDFC FMP - 1127Days-Mar 2014(1)(XXIX) (G) 11.8 197.66 0.14 2.82 5.24 12.76 0
HDFC FMP - 1175Days-Jan 2014(1)(XXIX)-Dir (G) 12.01 551.67 0.15 2.79 5.11 12.62 0
Floating Rate Funds - Short Term
Scheme Name NAV(Rs.) AUM(Rs.in Cr) 1w % 1m % 3m % 6m % 1y %
DSP BR Income Opportunities Fund (G) 23.21 2162.72 0.11 2.42 4.53 10.76 9.46
Reliance Floating Rate Fund - STP - Direct (G) 23.04 4063.37 0.04 2.08 4.40 10.20 0
Reliance Floating Rate Fund - STP (G) 22.73 4063.37 0.03 1.96 4.17 9.70 8.92
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) 20.88 75.92 0.15 1.34 22.52 22.52 0
SBI Magnum Gilt Fund - Long term - Direct (G) 31.06 1676.61 0.23 1.60 1.69 16.58 0
SBI Magnum Gilt Fund - LTP - PF (G) 19.79 1676.61 0.22 1.48 1.47 16.21 11.96
Gilt Funds - Short Term
Scheme Name NAV(Rs.) AUM(Rs.in Cr) 1w % 1m % 3m % 6m % 1y %
BNP Paribas Govt Securities Fund - Dir (G) 12.44 48.3 0.18 1.32 2.22 16.11 0
Reliance Gilt Sec Fund - Direct (G) 18.74 1005.39 0.22 1.68 1.70 15.77 0
Reliance Gilt Sec Fund - Dir-Defined Maturity Date 18.69 1005.39 0.22 1.67 1.70 15.76 0
Interval Income Funds
Scheme Name NAV(Rs.) AUM(Rs.in Cr) 1w % 1m % 3m % 6m % 1y %
ICICI Pru Interval V - Mthly Interval A - Dir (G) 12.29 3.01 0.14 4.71 6.75 11.22 0
ICICI Pru Interval V - Mthly Interval A Retail (G) 17.52 3.01 0.13 4.70 6.72 11.17 9.84
ICICI Pru Interval V - Mthly Interval Plan A (G) 12.16 3.01 0.14 4.70 6.72 11.17 0.27
Liquid Funds
Scheme Name NAV(Rs.) AUM(Rs.in Cr) 1w % 1m % 3m % 6m % 1y %
Escorts Liquid Plan - Direct (G) 22.61 225.07 0.15 2.14 4.35 9.29 0
Principal Retail Money Manager Fund - Dir (G) 1639.6 35.93 0.15 2.13 4.46 9.24 0
Escorts Liquid Plan (G) 22.5 225.07 0.15 2.14 4.33 9.19 9.52
Ultra Short Term Funds
Scheme Name NAV(Rs.) AUM(Rs.in Cr) 1w % 1m % 3m % 6m % 1y %
Kotak Corporate Bond - Inst (G) 1895.85 30.29 0.11 2.54 4.52 14.64 9.50
Kotak Corporate Bond Fund-Dir(G) 1903.57 30.29 0.11 2.55 4.49 14.54 0
Kotak Corporate Bond Fund (G) 1849.85 30.29 0.10 2.47 4.36 14.30 9.18
 
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