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Mutual Funds

Every regular-growth scheme in one screener. Sort, filter and compare before you invest.

Funds
1,590
Fund houses
42
Categories
68

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Showing 101–150 of 1,590 funds

Data as of 4 Oct 2026

FundNAV1DAUMExpenseAge1Y3Y5YCompare
HSBC Small Cap Fund
Small CapVery High
₹88.51-0.68%₹19,076 Cr1.78%12y 5m19.9%8.6%14.3%
₹593.10+0.04%₹18,819 Cr0.58%23y 5m6.5%7.0%7.0%
DSP Large & Mid Cap Fund
Large & MidCapVery High
₹580.61-0.51%₹18,411 Cr1.84%26y 6m-11.4%0.9%9.0%
Nippon India Multi Asset Allocation Fund
Multi Asset AllocationVery High
₹24.20-0.50%₹17,984 Cr1.44%6y 1m0.8%11.3%14.3%
₹89.67-0.65%₹17,949 Cr2.15%17y 5m-8.0%4.9%12.0%
₹61.95+0.01%₹17,793 Cr1.05%26y 10m5.5%6.4%6.5%
SBI Gold Fund
GoldVery High
₹42.78-0.21%₹17,647 Cr0.42%15y 1m7.7%34.1%28.9%
₹28.490.00%₹17,533 Cr2.03%16y 0m5.8%6.2%6.4%
LIC MF Liquid Fund
LiquidLow to Moderate
₹5,096.36+0.02%₹17,484 Cr0.20%24y 6m6.5%6.6%6.6%
HDFC Ultra Short Term Fund
Ultra Short DurationModerate
₹16.32+0.04%₹17,465 Cr0.71%8y 0m6.3%6.6%6.7%
Kotak Balanced Advantage Fund
Dynamic Asset AllocationVery High
₹20.35-0.69%₹17,373 Cr1.90%8y 2m-3.8%3.0%6.5%
Mirae Asset Liquid Fund
LiquidLow to Moderate
₹2,953.27+0.04%₹17,359 Cr0.20%17y 8m6.4%6.6%6.6%
Axis Large & Mid Cap Fund
Large & MidCapVery High
₹33.34-0.83%₹17,320 Cr1.88%8y 0m0.6%6.1%10.9%
ICICI Prudential Nifty 50 Index Fund
Large Cap IndexVery High
₹227.27-0.88%₹17,254 Cr0.45%24y 7m-15.8%-2.5%3.8%
HSBC Midcap Fund
Mid CapVery High
₹448.26-0.80%₹17,188 Cr2.21%22y 3m14.3%14.1%18.9%
₹57.85-0.89%₹17,092 Cr1.76%16y 3m-12.3%-0.7%5.5%
₹130.23-0.59%₹16,666 Cr1.81%19y 10m-11.6%0.8%8.5%
₹53.66-0.01%₹16,133 Cr0.50%18y 11m5.3%6.7%7.0%
₹1,292.18-0.81%₹15,992 Cr1.77%30y 9m-13.1%0.3%9.2%
ICICI Prudential Ultra Short Term Fund
Ultra Short DurationModerate
₹29.92+0.03%₹15,974 Cr0.80%15y 5m6.4%6.8%6.8%
Kotak Ultra Short Term Fund
Ultra Short DurationLow to Moderate
₹46.16+0.04%₹15,962 Cr0.82%22y 2m6.2%6.5%6.5%
₹188.21-0.85%₹15,905 Cr1.88%19y 7m4.8%12.3%18.1%
ICICI Prudential Business Cycle Fund
Equity OpportunitiesVery High
₹23.20-0.85%₹15,873 Cr1.83%5y 9m-12.1%2.4%10.7%
ICICI Prudential Equity Savings Fund
Equity SavingsLow to Moderate
₹23.15-0.17%₹15,795 Cr1.60%11y 10m0.5%4.3%6.0%
₹46.41-0.85%₹15,744 Cr1.83%7y 11m16.1%13.0%18.5%
HSBC Value Fund
Value & ContraVery High
₹108.41-1.01%₹15,373 Cr1.85%16y 10m-6.4%3.7%12.3%
Bandhan Money Market Fund
Money MarketLow to Moderate
₹43.63+0.03%₹15,338 Cr0.35%23y 7m6.7%6.9%6.7%
Kotak Multi Asset Allocation Fund
Multi Asset AllocationVery High
₹15.47-0.91%₹15,283 Cr1.77%3y 1m0.7%11.6%—
Kotak Corporate Bond Fund
Corporate BondModerate
₹4,006.69-0.01%₹15,095 Cr0.69%19y 0m4.3%6.1%6.5%
Sundaram Mid Cap Fund
Mid CapVery High
₹1,400.30-1.03%₹14,863 Cr1.86%24y 3m-3.6%6.3%14.2%
₹20.80+0.01%₹14,849 Cr2.25%12y 3m5.8%6.3%6.5%
₹172.05-1.03%₹14,746 Cr1.86%20y 10m4.8%3.6%12.2%
₹124.41-0.95%₹14,718 Cr1.80%21y 2m-6.8%2.2%8.8%
₹39.28-1.06%₹14,661 Cr1.84%7y 8m4.0%4.3%10.1%
₹57.92-0.78%₹14,543 Cr1.79%18y 6m-9.3%1.7%6.7%
HDFC Short Term Fund
Short DurationModerate
₹34.15-0.03%₹14,486 Cr0.72%16y 3m4.6%6.4%6.7%
Kotak Short Term Fund
Short DurationModerate
₹55.23-0.02%₹14,436 Cr1.12%24y 5m4.3%5.9%6.1%
₹1,479.46+0.01%₹14,368 Cr0.15%7y 10m5.1%5.6%5.8%
₹887.86-1.02%₹14,286 Cr1.79%27y 2m-8.8%1.6%7.5%
₹61.04-0.64%₹14,160 Cr2.05%12y 5m6.7%7.1%13.3%
Axis Flexi Cap Fund
Flexi CapVery High
₹27.06-0.92%₹13,943 Cr1.84%8y 11m3.0%5.9%8.9%
SBI Nifty Index Fund
Large Cap IndexVery High
₹199.51-0.88%₹13,928 Cr0.43%24y 9m-15.8%-2.5%3.7%
₹323.47-0.86%₹13,679 Cr1.83%23y 1m-8.3%1.5%6.9%
ICICI Prudential Technology Fund
Sectoral-TechnologyVery High
₹170.67+0.64%₹13,661 Cr1.87%26y 8m-13.9%-5.2%1.2%
Bandhan Corporate Bond Fund
Corporate BondModerate
₹20.52-0.01%₹13,626 Cr0.68%10y 9m5.3%6.4%6.5%
₹395.77-1.04%₹13,458 Cr2.15%26y 6m7.9%6.3%11.7%
Edelweiss Balanced Advantage Fund
Dynamic Asset AllocationVery High
₹51.47-0.52%₹13,445 Cr1.92%17y 2m-1.8%3.6%7.2%
SBI Short Term Fund
Short DurationModerate
₹34.12-0.03%₹13,435 Cr0.88%19y 2m4.2%6.1%6.3%
Edelweiss Liquid Fund
LiquidLow to Moderate
₹3,606.81+0.04%₹13,272 Cr0.17%19y 0m6.6%6.7%6.7%
Baroda BNP Paribas Liquid Fund
LiquidLow to Moderate
₹3,240.15+0.05%₹13,194 Cr0.16%17y 8m6.5%6.6%6.6%

Questions

Choosing a mutual fund

The five things worth understanding before you read the table above.

How do I read a fund’s expense ratio?
The expense ratio is the yearly fee the fund house charges for running the scheme. It is already deducted from the NAV you see, so the returns in this table are net of it. A 1.20% expense ratio costs ₹1.20 a year on every ₹100 invested — a small-looking gap that compounds over a long holding period.
What do 3-year and 5-year annualised returns mean?
They are the steady yearly rate that would have produced the fund’s actual gain over that period. A 12% five-year return means the money grew as though it earned 12% every year for five years — not 12% in total. Returns for periods under a year are absolute, not annualised.
Are lumpsum and SIP returns the same?
No. Lumpsum returns assume one investment made at the start of the period. SIP returns are annualised over monthly instalments, so every instalment has been invested for a different length of time. Use the Lumpsum and SIP toggle above the table to switch which one the return columns show.
What does the riskometer tell me?
Every scheme carries a SEBI riskometer reading from Low to Very High, set by what the fund actually holds and reviewed every month. It describes how widely the fund’s value can swing, not how likely you are to lose money, and it is only comparable between funds of similar types.
How should I compare two funds?
Compare funds inside the same category and over the same period, and read each one against its category average rather than against the market. Tick the compare box on up to four rows, then open the comparison to see NAV, cost, returns, risk ratios and allocation on the same rows.