Mutual Funds

Best Tax Saver Fund

Saving under 80C / Best Tax Saver Fund

Axis Long Term Equity

Fund Size

₹ 31360.56 Cr

1 Year Return

31.11%

3 Year Return

12.55%

Since Inception

23.56 %

Axis Long Term Equity

Risk O Meter

Very High

Expense Ratio

1.61%

Standard Deviation

21.26

Beta

0.91

Aditya Birla Sun Life Tax Relief 96

Fund Size

₹ 13738.43 Cr

1 Year Return

7.92%

3 Year Return

21.20%

Since Inception

14.16%

Aditya Birla Sun Life Tax Relief 96

Risk O Meter

Very High

Expense Ratio

1.77%

Standard Deviation

19.35

Beta

0.85

Mirae Asset Tax Saver

Fund Size

₹ 12615.16 Cr

1 Year Return

7.92%

3 Year Return

21.20%

Since Inception

18.48 %

Mirae Asset Tax Saver

Risk O Meter

Very High

Expense Ratio

1.66%

Standard Deviation

21.86

Beta

0.99

Invesco India Tax Plan

Fund Size

₹ 1818.27 Cr

1 Year Return

51.22%

3 Year Return

80.90%

Since Inception

12.21 %

Invesco India Tax Plan

Risk O Meter

Very High

Expense Ratio

2.05%

Standard Deviation

21.33

Beta

0.94

Quant Tax Plan

Fund Size

₹ 1584.38 Cr

1 Year Return

12.36%

3 Year Return

37.98%

Since Inception

15.07%

Quant Tax Plan

Risk O Meter

Very High

Expense Ratio

2.62%

Standard Deviation

23.09

Beta

0.92

Canara Robeco Equity Tax Saver

Fund Size

₹ 3957.26 Cr

1 Year Return

7.92%

3 Year Return

21.20%

Since Inception

14.16%

Canara Robeco Equity Tax Saver

Risk O Meter

Very High

Expense Ratio

2.01%

Standard Deviation

20.57

Beta

0.92

DSP Tax Saver

Fund Size

₹ 9966.02 Cr

1 Year Return

4.40%

3 Year Return

20.17%

Since Inception

14.42%

DSP Tax Saver

Risk O Meter

Moderately High

Expense Ratio

1.78%

Standard Deviation

21.12

Beta

0.95

*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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