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Filter, compare, and analyze top-performing Indian mutual funds side-by-side.

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14224 funds found
The Wealth Company Multi Asset Allocation Fund - Direct Growth
The Wealth Company Multi Asset Allocation
Moderate
1Y
15.5%
3Y
13.5%
5Y
16.5%
NAV
₹10.76
AUM
₹9500 Cr
Exp Ratio
0.85%
Details
The Wealth Company Multi Asset Allocation Fund - Direct IDCW
The Wealth Company Multi Asset Allocation
Moderate
1Y
12.2%
3Y
18.2%
5Y
13.2%
NAV
₹10.75
AUM
₹21970 Cr
Exp Ratio
0.42%
Details
The Wealth Company Multi Asset Allocation Fund - Regular Growth
The Wealth Company Multi Asset Allocation
Moderate
1Y
19.2%
3Y
15.2%
5Y
20.2%
NAV
₹10.66
AUM
₹7170 Cr
Exp Ratio
1.92%
Details
The Wealth Company Multi Asset Allocation Fund - Regular IDCW
The Wealth Company Multi Asset Allocation
Moderate
1Y
19.5%
3Y
18.5%
5Y
20.5%
NAV
₹10.65
AUM
₹10500 Cr
Exp Ratio
0.95%
Details
The Wealth Company Small Cap Fund- Direct-Growth
The Wealth Company Small Cap
Very High
1Y
36.6%
3Y
23.6%
5Y
20.6%
NAV
₹11.28
AUM
₹4710 Cr
Exp Ratio
0.46%
Details
The Wealth Company Small Cap Fund- Direct-IDCW
The Wealth Company Small Cap
Very High
1Y
22.8%
3Y
29.8%
5Y
21.8%
NAV
₹11.28
AUM
₹10830 Cr
Exp Ratio
0.88%
Details
The Wealth Company Small Cap Fund- Regular-Growth
The Wealth Company Small Cap
Very High
1Y
19.9%
3Y
16.9%
5Y
18.9%
NAV
₹11.22
AUM
₹2540 Cr
Exp Ratio
1.69%
Details
The Wealth Company Small Cap Fund- Regular-IDCW
The Wealth Company Small Cap
Very High
1Y
37.7%
3Y
14.7%
5Y
21.7%
NAV
₹11.22
AUM
₹9320 Cr
Exp Ratio
1.87%
Details
UTI - BSE Sensex Next 50 Exchange Traded Fund
UTI
High
1Y
21.8%
3Y
19.8%
5Y
11.8%
NAV
₹93.35
AUM
₹18630 Cr
Exp Ratio
1.58%
Details
UTI - Bond Fund ( Segregated - 17022020) - Regular Plan - Growth Option
UTI
High
1Y
29.8%
3Y
13.8%
5Y
19.8%
NAV
₹6.81
AUM
₹5530 Cr
Exp Ratio
1.78%
Details
UTI - Bond Fund (Segregated - 17022020) - Direct Plan - Growth Option
UTI
High
1Y
15.3%
3Y
9.3%
5Y
16.3%
NAV
₹7.35
AUM
₹14080 Cr
Exp Ratio
0.13%
Details
UTI - Credit Risk Fund (Segregated - 06032020) - Direct Plan - Annual Dividend Option
UTI
Moderate
1Y
22.6%
3Y
12.6%
5Y
12.6%
NAV
₹0.00
AUM
₹4910 Cr
Exp Ratio
0.16%
Details
UTI - Credit Risk Fund (Segregated - 06032020) - Direct Plan - Flexi Dividend Option
UTI
Moderate
1Y
27.0%
3Y
10.0%
5Y
17.0%
NAV
₹0.00
AUM
₹10150 Cr
Exp Ratio
0.80%
Details
UTI - Credit Risk Fund (Segregated - 06032020) - Direct Plan - Growth Option
UTI
Moderate
1Y
27.7%
3Y
21.7%
5Y
17.7%
NAV
₹0.00
AUM
₹5820 Cr
Exp Ratio
0.17%
Details
UTI - Credit Risk Fund (Segregated - 06032020) - Direct Plan - Half Yearly Dividend Option
UTI
Moderate
1Y
31.7%
3Y
18.7%
5Y
21.7%
NAV
₹0.00
AUM
₹1020 Cr
Exp Ratio
0.47%
Details
UTI - Credit Risk Fund (Segregated - 06032020) - Direct Plan - Monthly Dividend Option
UTI
Moderate
1Y
17.0%
3Y
15.0%
5Y
18.0%
NAV
₹0.00
AUM
₹13150 Cr
Exp Ratio
0.40%
Details
UTI - Credit Risk Fund (Segregated - 06032020) - Direct Plan - Quarterly Dividend Option
UTI
Moderate
1Y
23.5%
3Y
21.5%
5Y
13.5%
NAV
₹0.00
AUM
₹5800 Cr
Exp Ratio
0.75%
Details
UTI - Credit Risk Fund (Segregated - 06032020) - Regular Plan - Annual Dividend Option
UTI
Moderate
1Y
24.3%
3Y
11.3%
5Y
14.3%
NAV
₹0.00
AUM
₹280 Cr
Exp Ratio
2.03%
Details
UTI - Credit Risk Fund (Segregated - 06032020) - Regular Plan - Flexi Dividend Option
UTI
Moderate
1Y
11.6%
3Y
9.6%
5Y
12.6%
NAV
₹0.00
AUM
₹18110 Cr
Exp Ratio
1.76%
Details
UTI - Credit Risk Fund (Segregated - 06032020) - Regular Plan - Growth Option
UTI
Moderate
1Y
30.2%
3Y
13.2%
5Y
20.2%
NAV
₹0.00
AUM
₹3970 Cr
Exp Ratio
1.02%
Details
UTI - Credit Risk Fund (Segregated - 06032020) - Regular Plan - Half Yearly Dividend Option
UTI
Moderate
1Y
14.6%
3Y
23.6%
5Y
15.6%
NAV
₹0.00
AUM
₹23510 Cr
Exp Ratio
1.26%
Details
UTI - Credit Risk Fund (Segregated - 06032020) - Regular Plan - Monthly Dividend Option
UTI
Moderate
1Y
24.2%
3Y
19.2%
5Y
14.2%
NAV
₹0.00
AUM
₹11570 Cr
Exp Ratio
1.42%
Details
UTI - Credit Risk Fund (Segregated - 06032020) - Regular Plan - Quarterly Dividend Option
UTI
Moderate
1Y
26.6%
3Y
13.6%
5Y
16.6%
NAV
₹0.00
AUM
₹12510 Cr
Exp Ratio
1.06%
Details
UTI - Credit Risk Fund (Segregated - 07072020) - Direct Plan - Quarterly Dividend Option
UTI
Moderate
1Y
15.1%
3Y
19.1%
5Y
16.1%
NAV
₹0.00
AUM
₹13060 Cr
Exp Ratio
0.81%
Details
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