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Mutual Funds

Best Plans for OneTime

ICICI Prudential Bluechip

Fund Size

₹ 32524.62 Cr

1 Year Return

9.87%

3 Year Return

18.04%

Since Inception

14.30%

ICICI Prudential Bluechip

Risk O Meter

Very High

Expense Ratio

1.71%

Standard Deviation

21.14

Beta

0.94

Axis Bluechip

Fund Size

₹ 35915.36 Cr

1 Year Return

44.20%

3 Year Return

92.62%

Since Inception

0.71 %

Axis Bluechip

Risk O Meter

Very High

Expense Ratio

1.69%

Standard Deviation

19.63

Beta

0.84

BNP Paribas Large Cap

Fund Size

₹ 1325.54 Cr

1 Year Return

7.52%

3 Year Return

16.77%

Since Inception

15.98%

BNP Paribas Large Cap

Risk O Meter

Very High

Expense Ratio

2.27%

Standard Deviation

20.18

Beta

0.9

Mirae Asset Large Cap

Fund Size

₹ 32913.32 Cr

1 Year Return

6.40%

3 Year Return

16.91%

Since Inception

15.46%

Mirae Asset Large Cap

Risk O Meter

Very High

Expense Ratio

1.59%

Standard Deviation

21.7

Beta

0.97

Canara Robeco Bluechip Equity

Fund Size

₹ 7593.28 Cr

1 Year Return

50.57%

3 Year Return

94.43%

Since Inception

2.35 %

Canara Robeco Bluechip Equity

Risk O Meter

Very High

Expense Ratio

1.86%

Standard Deviation

20.3

Beta

0.9

Kotak Bluechip

Fund Size

₹ 4703.22 Cr

1 Year Return

6.22%

3 Year Return

18.79%

Since Inception

16.61%

Kotak Bluechip

Risk O Meter

Very High

Expense Ratio

2%

Standard Deviation

21.37

Beta

0.93

Edelweiss Large Cap

Fund Size

₹ 341.89 Cr

1 Year Return

5.57%

3 Year Return

16.27%

Since Inception

13.71%

Edelweiss Large Cap

Risk O Meter

Very High

Expense Ratio

2.58%

Standard Deviation

20.73

Beta

0.92

Mirae Asset Emerging Bluechip

Fund Size

₹ 22741.49 Cr

1 Year Return

69.95%

3 Year Return

114.88%

Since Inception

2.64 %

Mirae Asset Emerging Bluechip

Risk O Meter

Very High

Expense Ratio

1.69%

Standard Deviation

21.36

Beta

0.98

Canara Robeco Emerging Equities

Fund Size

₹ 14230.59 Cr

1 Year Return

67.55%

3 Year Return

93.75%

Since Inception

3.4 %

Canara Robeco Emerging Equities

Risk O Meter

Very High

Expense Ratio

1.86%

Standard Deviation

20.94

Beta

0.96

Parag Parikh Flexi Cap

Fund Size

₹ 24594.84 Cr

1 Year Return

27.19%

3 Year Return

18.62%

Since Inception

42.43 %

Parag Parikh Flexi Cap

Risk O Meter

Very High

Expense Ratio

1.94%

Standard Deviation

16.93

Beta

0.64

Kotak India EQ Contra

Fund Size

₹ 1319.15 Cr

1 Year Return

7.39%

3 Year Return

18.70%

Since Inception

13.33%

Kotak India EQ Contra

Risk O Meter

Very High

Expense Ratio

2.3%

Standard Deviation

21.43

Beta

0.97

Invesco India Contra

Fund Size

₹ 9001.0 Cr

1 Year Return

6.44%

3 Year Return

20.05%

Since Inception

14.32%

Invesco India Contra

Risk O Meter

Moderately High

Expense Ratio

1.78%

Standard Deviation

21.31

Beta

0.96

UTI Value Opportunities

Fund Size

₹ 6670.68 Cr

1 Year Return

5.83%

3 Year Return

20.30%

Since Inception

14.48%

UTI Value Opportunities

Risk O Meter

Very High

Expense Ratio

2.15%

Standard Deviation

20.84

Beta

0.94

ICICI Prudential Value Discovery

Fund Size

₹ 24693.66 Cr

1 Year Return

15.90%

3 Year Return

24.13%

Since Inception

19.89%

ICICI Prudential Value Discovery

Risk O Meter

Very High

Expense Ratio

1.77%

Standard Deviation

19.34

Beta

0.74

Tata Equity PE

Fund Size

₹ 5029.4 Cr

1 Year Return

9.37%

3 Year Return

16.45%

Since Inception

18.04%

Tata Equity PE

Risk O Meter

Very High

Expense Ratio

1.96%

Standard Deviation

20.81

Beta

0.62

HDFC Mid-Cap Opportunities

Fund Size

₹ 32451.48 Cr

1 Year Return

12.32%

3 Year Return

24.16%

Since Inception

16.12%

HDFC Mid-Cap Opportunities

Risk O Meter

Very High

Expense Ratio

1.76%

Standard Deviation

20.31

Beta

0.84

L&T Midcap

Fund Size

₹ 6534.19 Cr

1 Year Return

8.77%

3 Year Return

25.38%

Since Inception

17.09%

L&T Midcap

Risk O Meter

Very High

Expense Ratio

1.89%

Standard Deviation

18.91

Beta

0.84

PGIM India Midcap Opportunities

Fund Size

₹ 6022.66 Cr

1 Year Return

8.77%

3 Year Return

25.38%

Since Inception

32.51 %

PGIM India Midcap Opportunities

Risk O Meter

Very High

Expense Ratio

2%

Standard Deviation

21.38

Beta

0.95

Axis Midcap

Fund Size

₹ 18676.62 Cr

1 Year Return

8.77%

3 Year Return

25.38%

Since Inception

17.09%

Axis Midcap

Risk O Meter

Very High

Expense Ratio

1.93%

Standard Deviation

18.12

Beta

0.78

SBI Small Cap

Fund Size

₹ 12824.65 Cr

1 Year Return

17.57%

3 Year Return

31.65%

Since Inception

20.36%

SBI Small Cap

Risk O Meter

Very High

Expense Ratio

1.74%

Standard Deviation

N/A

Beta

N/A

Nippon India Small Cap

Fund Size

₹ 20362.58 Cr

1 Year Return

124.41%

3 Year Return

136.66%

Since Inception

5.84 %

Nippon India Small Cap

Risk O Meter

Moderately High

Expense Ratio

1.94%

Standard Deviation

21.57

Beta

0.93

Kotak Small Cap

Fund Size

₹ 7783.8 Cr

1 Year Return

50.38%

3 Year Return

18.19%

Since Inception

4.63 %

Kotak Small Cap

Risk O Meter

Very High

Expense Ratio

1.96%

Standard Deviation

18.86

Beta

0.73

Axis Small Cap

Fund Size

₹ 9811.15 Cr

1 Year Return

102.98%

3 Year Return

152.08%

Since Inception

27.51 %

Axis Small Cap

Risk O Meter

Very High

Expense Ratio

2.04%

Standard Deviation

18.69

Beta

0.7

Tata Equity PE

Fund Size

₹ 5029.4 Cr

1 Year Return

9.37%

3 Year Return

16.45%

Since Inception

18.04%

Tata Equity PE

Risk O Meter

Very High

Expense Ratio

1.96%

Standard Deviation

20.81

Beta

0.62

Invesco India Contra

Fund Size

₹ 9001.0 Cr

1 Year Return

6.44%

3 Year Return

20.05%

Since Inception

14.32%

Invesco India Contra

Risk O Meter

Moderately High

Expense Ratio

1.78%

Standard Deviation

21.31

Beta

0.96

UTI Value Opportunities

Fund Size

₹ 6670.68 Cr

1 Year Return

5.83%

3 Year Return

20.30%

Since Inception

14.48%

UTI Value Opportunities

Risk O Meter

Very High

Expense Ratio

2.15%

Standard Deviation

20.84

Beta

0.94

IDFC Sterling Value

Fund Size

₹ 4685.59 Cr

1 Year Return

113.04%

3 Year Return

83.62%

Since Inception

4.75 %

IDFC Sterling Value

Risk O Meter

Very High

Expense Ratio

2.02%

Standard Deviation

21.9

Beta

0.9

ICICI Prudential Equity & Debt

Fund Size

₹ 19613.85 Cr

1 Year Return

16.90%

3 Year Return

21.32%

Since Inception

14.79%

ICICI Prudential Equity & Debt

Risk O Meter

Very High

Expense Ratio

1.8%

Standard Deviation

16.86

Beta

1.09

HDFC Hybrid Equity

Fund Size

₹ 18283.64 Cr

1 Year Return

8.63%

3 Year Return

16.02%

Since Inception

12.88%

HDFC Hybrid Equity

Risk O Meter

Very High

Expense Ratio

1.81%

Standard Deviation

16.21

Beta

0.7

Kotak Equity Hybrid

Fund Size

₹ 2747.98 Cr

1 Year Return

9.58%

3 Year Return

18.76%

Since Inception

8.63 %

Kotak Equity Hybrid

Risk O Meter

Moderately High

Expense Ratio

2.08%

Standard Deviation

16.32

Beta

0.5

BOI AXA Mid & Small Cap Equity & Debt

Fund Size

₹ 349.95 Cr

1 Year Return

74.43%

3 Year Return

85.25%

Since Inception

24.46 %

BOI AXA Mid & Small Cap Equity & Debt

Risk O Meter

Very High

Expense Ratio

2.55%

Standard Deviation

16.93

Beta

0.61

*Last Updated on 14 August,2022

Frequently asked questions

  • What is Risk O Meter?

    To help investors be aware of the risks associated with mutual fund investments, SEBI has made it mandatory for all fund houses to display a riskometer with every mutual fund.

  • What is Expense ratio?

    An expense ratio (ER), also sometimes known as the management expense ratio (MER), measures how much of a fund's assets are used for administrative and other operating expenses.

  • What is Standard Deviation?

    Standard deviation is a statistical tool that measures the deviation or dispersion of the data from the mean or average.

  • What is Beta?

    Beta denotes the sensitivity of the mutual fund towards market movements. It is the measure of the volatility of the mutual fund portfolio to the market.

Mutual Fund investments are subject to market risks. Please read all scheme related documents carefully before investing. Past performance is not an indicator of future returns.
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