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Debt: Money Market

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Fund  |  Rating Ratings 1-Month 3-Month 1-Year 3-Year 5-Year 10-Year
Return Rank Return Rank Return Rank Return Rank Return Rank Return Rank
Aditya Birla Sun Life Money Manager Fund (Erstwhile Aditya Birla Sun Life Floating Rate ST)  | 5 0.774/182.274/178.762/147.612/137.932/138.111/11
Aditya Birla Sun Life Money Manager Fund - Direct Plan (Erstwhile Aditya Birla Sun Life Floating Rate ST)  | 5 0.784/182.305/178.902/147.744/138.044/13--
Axis Money Market Fund - Direct Plan 0 ------------
Axis Money Market Fund - Regular Plan 0 ------------
Baroda Money Market Fund - Direct Plan 0 0.747/18----------
Baroda Money Market Fund - Regular Plan 0 0.7110/18----------
DSP Savings Fund 0 0.802/182.312/178.408/146.95-7.14-7.04-
DSP Savings Fund - Direct Plan 0 0.822/182.372/178.687/147.22-7.40---
Franklin India Savings Fund - Direct Plan (Erstwhile Franklin India Savings Plus Fund)  | 3 0.821/182.381/179.031/147.951/138.441/13--
Franklin India Savings Fund - Retail Plan (Erstwhile Franklin India Savings Plus Fund)  | 3 0.811/182.351/178.861/147.771/138.071/138.052/11
HDFC Money Market Fund (Erstwhile HDFC Cash Mgmt Savings)  | 3 0.793/182.303/178.586/147.328/137.709/137.918/11
HDFC Money Market Fund - Direct Plan (Erstwhile HDFC Cash Mgmt Savings)  | 3 0.803/182.363/178.804/147.549/137.8911/13--
ICICI Prudential Money Market Fund  | 4 0.719/182.159/178.417/147.436/137.807/137.769/11
ICICI Prudential Money Market Fund - Direct Plan  | 3 0.7211/182.1810/178.549/147.548/137.9010/13--
IDFC Money Manager Fund - Direct Plan (Erstwhile IDFC Money Manager Treasury Regular)  | 2 0.5816/181.8014/177.8011/147.1511/137.909/13--
IDFC Money Manager Fund - Regular Plan (Erstwhile IDFC Money Manager Treasury Regular)  | 1 0.5117/181.6215/177.0712/146.5012/137.2512/137.4010/11
Indiabulls Savings Fund - Direct Plan 0 0.7213/182.0412/17--------
Indiabulls Savings Fund - Regular Plan 0 0.7012/182.0112/17--------
Invesco India Money Market Fund (Erstwhile Invesco India Credit Opportunities Fund)  | 3 0.5316/181.6814/177.6110/147.169/137.768/13--
Invesco India Money Market Fund - Direct Plan (Erstwhile Invesco India Credit Opportunities Fund)  | 3 0.5517/181.7415/177.8710/147.4310/138.035/13--
JM Money Market Fund (Erstwhile JM Money Manager Sup (Changed))  | 2 0.4518/181.5616/177.0811/146.7511/137.3611/138.014/11
JM Money Market Fund - Direct Plan (Erstwhile JM Money Manager Sup (Changed))  | 2 0.4718/181.6116/177.3012/147.0012/137.6212/13--
Kotak Money Market Scheme - Direct Plan (Erstwhile Kotak Floater ST)  | 3 0.738/182.1511/178.668/147.557/137.918/13--
Kotak Money Market Scheme Regular Plan (Erstwhile Kotak Floater ST)  | 4 0.735/182.1411/178.605/147.495/137.863/137.977/11
L&T Money Market Fund (Erstwhile L&T Floating Rate)  | 3 0.7013/181.4117/176.7413/147.337/137.854/138.02-
L&T Money Market Fund - Direct Plan (Erstwhile L&T Floating Rate)  | 3 0.746/181.5317/177.2313/147.863/138.343/13--
Quant Money Market Fund (Erstwhile Quant Ultra Short Duration Fund) 0 0.6715/182.0013/178.06-7.26-7.99-8.72-
Quant Money Market Fund - Direct Plan (Erstwhile Quant Ultra Short Duration Fund) 0 0.6715/182.0413/178.18-7.36-8.07---
Reliance Money Market Fund (Erstwhile Reliance Liquidity)  | 4 0.736/182.196/178.703/147.533/137.846/137.995/11
Reliance Money Market Fund - Direct Plan (Erstwhile Reliance Liquidity)  | 4 0.739/182.217/178.813/147.646/137.957/13--
SBI Savings Fund  | 2 0.727/182.158/178.109/147.1210/137.6810/138.033/11
SBI Savings Fund - Direct Plan  | 3 0.785/182.314/178.795/147.862/138.402/13--
Sundaram Money Market Fund - Direct Plan 0 0.7212/182.198/17--------
Sundaram Money Market Fund - Regular Plan 0 0.7111/182.167/17--------
Tata Money Market Fund - Direct Plan (Erstwhile Tata Liquid)  | 1 0.7114/182.199/170.9014/144.9713/136.3213/13--
Tata Money Market Fund - Regular Plan (Erstwhile Tata Liquid)  | 1 0.7014/182.1410/170.7514/144.8713/136.2313/137.1711/11
UTI Money Market Fund - Regular Plan  | 4 0.728/182.195/178.624/147.514/137.855/137.986/11
UTI Money Market Fund Institutional - Direct Plan  | 4 0.7310/182.226/178.766/147.645/137.976/13--
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