Best Equity Mutual Funds

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Equity - Auto
Scheme Name NAV(Rs.) AUM(Rs.in Cr) 1w % 1m % 3m % 6m % 1y %
No Data Found
Equity - Diversified
Scheme Name NAV(Rs.) AUM(Rs.in Cr) 1w % 1m % 3m % 6m % 1y %
BNP Paribas India Consumption Fund - Reg (G) 12.18 418.95 1.07 7.15 5.16 5.84 21.46
BNP Paribas India Consumption Fund - Reg (D) 12.18 418.95 1.07 7.14 5.16 5.84 21.46
AXIS Bluechip Fund (G) 31.04 8049.93 1.14 6.85 5.22 8.30 21.16
Equity - FMCG
Scheme Name NAV(Rs.) AUM(Rs.in Cr) 1w % 1m % 3m % 6m % 1y %
ICICI Pru FMCG Fund - (G) 248.65 523.36 1.15 5.95 5.50 1.25 10.30
ICICI Pru FMCG Fund - (D) 71.55 523.36 1.16 5.95 5.52 1.26 9.16
Equity - Index
Scheme Name NAV(Rs.) AUM(Rs.in Cr) 1w % 1m % 3m % 6m % 1y %
Tata Index Sensex Fund - Regular 95.31 11.88 1.08 3.85 [1.03] [1.10] 10.64
HDFC Index Fund-Sensex Plan 343.27 506.32 1.10 3.94 [1.11] [1.12] 10.62
ICICI Pru Sensex Index Fund (G) 12.01 31.54 1.09 3.87 [1.09] [1.16] 10.23
Equity - Infotech
Scheme Name NAV(Rs.) AUM(Rs.in Cr) 1w % 1m % 3m % 6m % 1y %
SBI Technology Opportunities Fund (D) 39.59 158.68 1.07 [2.26] [0.46] 0.40 6.91
SBI Technology Opportunities Fund (G) 65.8 158.68 1.07 [2.27] [0.46] 0.37 6.86
Aditya Birla SL Digital India Fund (G) 53.99 454.72 0.82 [1.46] 1.60 1.12 4.61
Equity - Media
Scheme Name NAV(Rs.) AUM(Rs.in Cr) 1w % 1m % 3m % 6m % 1y %
Nippon India Consumption Fund (B) 66.7 82.3 1.05 6.83 6.36 1.23 12.06
Nippon India Consumption Fund (G) 66.7 82.3 1.05 6.83 6.36 1.23 12.06
Nippon India Consumption Fund (D) 18.78 82.3 1.05 6.83 6.35 1.23 10.90
Equity - Pharma
Scheme Name NAV(Rs.) AUM(Rs.in Cr) 1w % 1m % 3m % 6m % 1y %
No Data Found
Equity - Tax Planning
Scheme Name NAV(Rs.) AUM(Rs.in Cr) 1w % 1m % 3m % 6m % 1y %
SBI Tax Advantage Fund - Series III (D) 20.98 20.99 1.15 6.86 3.97 7.69 20.36
SBI Tax Advantage Fund - Series III (G) 26.37 20.99 1.15 6.86 3.97 7.69 20.36
JM Tax Gain Fund (D) 17.81 33.26 0.80 6.86 4.79 3.70 17.30
Equity - Telecom
Scheme Name NAV(Rs.) AUM(Rs.in Cr) 1w % 1m % 3m % 6m % 1y %
No Data Found
Equity Theme - Infrastructure
Scheme Name NAV(Rs.) AUM(Rs.in Cr) 1w % 1m % 3m % 6m % 1y %
SBI Infrastructure Fund (D) 13.51 492.75 1.28 3.75 [2.26] [0.93] 12.11
SBI Infrastructure Fund (G) 15.18 492.75 1.28 3.75 [2.26] [0.93] 12.11
LIC MF Infrastructure Fund (G) 14.08 53.86 0.99 3.60 [2.65] [2.49] 10.44
Equity Theme - Natural Resources
Scheme Name NAV(Rs.) AUM(Rs.in Cr) 1w % 1m % 3m % 6m % 1y %
Tata Resources & Energy Fund (G) 14.27 36.36 2.65 5.22 2.08 [1.14] 5.19
Tata Resources & Energy Fund (D) 13.03 36.36 2.65 5.34 2.01 [1.49] 4.81
Tata Resources & Energy Fund (D) RI 13.03 36.36 2.65 5.34 2.01 [1.49] 4.81
Equity Theme - Shariah
Scheme Name NAV(Rs.) AUM(Rs.in Cr) 1w % 1m % 3m % 6m % 1y %
Tata Ethical Fund - (G) 158.22 563.96 1.60 4.55 3.70 [0.02] 5.34
Tata Ethical Fund - (D) 64.58 563.96 1.60 4.55 3.70 [0.04] 4.31
Taurus Ethical Fund - (B) 51.24 40.56 1.14 3.37 2.32 [0.87] 3.35
Exchange Traded Funds (ETFs) - RGESS
Scheme Name NAV(Rs.) AUM(Rs.in Cr) 1w % 1m % 3m % 6m % 1y %
LIC MF ETF Sensex 405.32 391.37 1.10 3.96 [1.06] [0.94] 11.22
UTI-Sensex ETF 406.43 5058.91 1.10 3.97 [1.03] [0.93] 11.16
IDFC Sensex ETF 398.34 0.96 1.08 3.94 [1] [0.91] 11.01
Hybrid - Arbitrage Oriented
Scheme Name NAV(Rs.) AUM(Rs.in Cr) 1w % 1m % 3m % 6m % 1y %
AXIS Equity Saver Fund (G) 13.2 783.11 0.61 2.72 1.77 2.56 9.36
AXIS Equity Saver Fund (D) 12.81 783.11 0.63 2.64 1.75 2.56 9.30
AXIS Equity Saver Fund (Div-M) 10.67 783.11 0.66 2.63 1.59 2.11 8.52