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Debt: FMP

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Debt: FMP
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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 Interval Income Quarterly Series I 0 0.4012/251.508/256.7111/236.926/237.0318/237.789/20
Aditya Birla Sun Life Interval Income Quarterly Series I Direct 0 0.4212/251.626/257.0110/237.097/237.1421/23--
IDFC Yearly Interval Series II Direct 0 0.574/252.061/258.791/237.571/238.101/23--
IDFC Yearly Interval Series II Reg 0 0.564/252.041/258.671/237.451/237.961/23--
Nippon India Annual Interval Series I Direct 0 0.601/251.893/258.403/237.444/237.903/23--
Nippon India Annual Interval Series I Inst 0 0.591/251.873/258.293/237.324/237.783/23--
Nippon India Interval Fund V Series 1 - Direct Plan 0 0.4710/251.665/25--------
Nippon India Interval Fund V Series 1 - Regular Plan 0 0.4610/251.615/25--------
Nippon India Interval Fund V Series 2 - Direct Plan 0 0.488/251.784/25--------
Nippon India Interval Fund V Series 2 - Regular Plan 0 0.469/251.724/25--------
Nippon India M Interval Series I Direct 0 0.496/251.5210/257.138/236.9112/237.3115/23--
Nippon India M Interval Series I Retail 0 0.485/251.499/257.026/236.8111/237.2112/237.6316/20
Nippon India M Interval Series II Direct 0 0.489/251.5011/257.059/236.9510/237.3114/23--
Nippon India M Interval Series II Retail 0 0.477/251.4910/256.998/236.7212/237.1116/237.6317/20
Nippon India Q Interval Series I Direct 0 0.4611/251.4912/257.435/237.115/237.4311/23--
Nippon India Q Interval Series I Retail 0 0.4511/251.4412/257.225/236.955/237.3010/237.7610/20
Nippon India Q Interval Series II Direct 0 0.487/251.577/257.564/237.523/237.874/23--
Nippon India Q Interval Series II Retail 0 0.478/251.517/257.364/237.393/237.724/238.101/20
Nippon India Q Interval Series III Direct 0 0.495/251.529/257.226/237.069/237.548/23--
Nippon India Q Interval Series III Retail 0 0.476/251.4711/257.007/236.869/237.376/237.955/20
Nippon India Yearly Interval Series I 0 0.583/252.022/258.592/237.442/237.902/23--
Nippon India Yearly Interval Series I Direct 0 0.583/252.032/258.682/237.542/238.002/23--
UTI Annual Interval Fund Sr 1 Direct 0 0.592/251.568/250.4023/234.9323/236.4023/23--
UTI Annual Interval Fund Sr 1 Reg 0 0.582/251.536/250.3023/234.8223/236.2723/237.4720/20
UTI Annual Interval Fund Sr II Direct 0 0.3914/251.3217/256.0515/236.7915/237.4610/23--
UTI Annual Interval Fund Sr II Reg 0 0.3814/251.2915/255.9414/236.6813/237.339/237.906/20
UTI Annual Interval Fund Sr III Direct 0 0.3725/251.2625/255.7922/236.6217/237.2816/23--
UTI Annual Interval Fund Sr III Reg 0 0.3625/251.2319/255.6818/236.5117/237.1714/237.6714/20
UTI Annual Interval Fund Sr IV Direct 0 0.4113/251.3913/256.1513/236.9411/237.675/23--
UTI Annual Interval Fund Sr IV Reg 0 0.4013/251.3613/256.0412/236.8310/237.555/237.964/20
UTI Half Yearly Interval Fund Sr 1 Direct 0 0.3819/251.2820/255.9016/236.5518/237.2817/23--
UTI Half Yearly Interval Fund Sr 1 Reg 0 0.3719/251.2222/255.6916/236.3418/237.0617/237.7212/20
UTI Half Yearly Interval Fund Sr II Direct 0 0.3822/251.2821/255.8917/236.8014/237.3912/23--
UTI Half Yearly Interval Fund Sr II Reg 0 0.3721/251.2221/255.6817/236.5915/237.1813/237.7511/20
UTI M Interval Fund Sr 1 Direct 0 0.3918/251.2819/255.8621/236.4622/237.1422/23--
UTI M Interval Fund Sr 1 Ret 0 0.3718/251.2320/255.6522/236.2422/236.9222/237.6019/20
UTI M Interval Fund Sr II Direct 0 0.3824/251.2724/255.8719/236.5020/237.1520/23--
UTI M Interval Fund Sr II Ret 0 0.3624/251.2225/255.6620/236.2920/236.9321/237.6218/20
UTI Q Interval Fund Sr 1 Direct 0 0.3820/251.3415/256.2012/236.7716/237.3313/23--
UTI Q Interval Fund Sr 1 Reg 0 0.3720/251.2816/255.9913/236.5516/237.1115/237.848/20
UTI Q Interval Fund Sr III Direct 0 0.3916/251.3216/257.0111/237.098/237.586/23--
UTI Q Interval Fund Sr III Reg 0 0.3716/251.2717/256.8010/236.888/237.377/238.013/20
UTI Q Interval Fund Sr IV Direct 0 0.3823/251.2723/255.8620/236.5219/237.2019/23--
UTI Q Interval Fund Sr IV Reg 0 0.3723/251.2224/255.6521/236.3019/236.9820/237.6615/20
UTI Q Interval Fund Sr V Direct 0 0.3821/251.2722/256.1214/236.8913/237.509/23--
UTI Q Interval Fund Sr V Reg 0 0.3722/251.2223/255.9115/236.6714/237.2811/237.897/20
UTI Q Interval Fund Sr VI Direct 0 0.3917/251.3814/257.187/237.116/237.567/23--
UTI Q Interval Fund Sr VI Reg 0 0.3717/251.3314/256.969/236.897/237.348/238.042/20
UTI Q Interval Fund Sr VII Direct 0 0.3915/251.2818/255.8818/236.4721/237.2218/23--
UTI Q Interval Fund Sr VII Reg 0 0.3715/251.2318/255.6619/236.2521/237.0119/237.6713/20
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