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FUND PERFORMANCE

As on Oct 28, 2025
Scheme Name NAV() Returns(%) 1Y Since Inception(%) Inception Date AUM(Cr)
   Nippon India Taiwan Equity Fund (G) 17.0314 47.58 14.70 11-Dec-2021 406.67
   Aditya Birla SL International Equity Fund (G) 46.0560 30.53 8.85 31-Oct-2007 266.19
   HDFC Defence Fund - Regular (G) 24.6180 23.10 45.37 02-Jun-2023 7,024.28
   Nippon India Japan Equity Fund (G) 22.4144 22.82 7.49 26-Aug-2014 289.73
   Nippon India Japan Equity Fund (Bonus) 22.4144 22.82 7.49 26-Aug-2014 289.73
   HDFC Transportation and Logistics Fund - Reg (G) 18.3170 21.44 31.67 17-Aug-2023 1,651.55
   Franklin Asian Equity Fund (G) 35.0681 20.97 7.35 16-Jan-2008 279.13
   DSP Banking & Financial Services Fund - Reg (G) 13.9300 18.74 19.16 08-Dec-2023 1,419.62
   SBI Banking & Financial Services Fund (G) 44.6575 17.57 15.05 26-Feb-2015 8,693.07
   Motilal Oswal Business Cycle Fund - Regular (G) 13.1389 17.12 26.28 27-Aug-2024 1,984.52

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