YOU ARE ON :

FUND PERFORMANCE

As on Mar 13, 2026
Scheme Name NAV() Returns(%) 1Y Since Inception(%) Inception Date AUM(Cr)
   Nippon India Taiwan Equity Fund (G) 23.4787 121.02 22.21 11-Dec-2021 519.50
   HDFC Defence Fund - Regular (G) 23.6830 36.09 36.35 02-Jun-2023 8,096.66
   DSP Natural Resources & New Energy Fund (G) 104.8680 31.89 14.21 25-Apr-2008 1,989.64
   Franklin Asian Equity Fund (G) 37.0363 31.40 7.47 16-Jan-2008 426.90
   Nippon India Japan Equity Fund (G) 24.0880 25.16 7.91 26-Aug-2014 311.26
   Nippon India Japan Equity Fund (Bonus) 24.0880 25.16 7.91 26-Aug-2014 311.26
   SBI PSU Fund (G) 34.4811 24.12 8.21 07-Jul-2010 6,545.08
   Aditya Birla SL International Equity Fund (G) 46.1011 23.06 8.67 31-Oct-2007 303.58
   Invesco India PSU Equity Fund (G) 64.6000 22.53 12.13 27-Nov-2009 1,510.76
   SBI Automotive Opportunities Fund - Regular (G) 10.2853 22.52 1.60 05-Jun-2024 5,332.87

Copyright © 2026 Arihant Capital Markets Ltd. All rights Reserved.

Designed, Developed and Content powered by CMOTS InfoTech (ISO 9001:2015 & ISO/IEC 27001:2022 Certified)

x
  • QR-CodeNew