ITI MF Long Term Equity Fund 728x90

Mutual Fund Category Returns

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Data as on - 01-04-2020
Category Average Return (%) Maximum Return (%) Minimum Return (%) Median Return (%)
Childrens Fund -19.0 -8.25 -27.16 -21.72
Debt: Banking and PSU 9.5 13.9 0.89 9.91
Debt: Corporate Bond 7.88 13.75 -6.81 9.03
Debt: Credit Risk -2.5 9.46 -42.73 2.23
Debt: Dynamic Bond 7.95 14.36 -4.93 9.75
Debt: Floater 7.89 8.7 7.13 7.91
Debt: Gilt 12.73 15.44 9.77 12.58
Debt: Gilt Fund with 10 year constant duration 14.98 16.04 13.83 15.03
Debt: Liquid 5.72 6.65 0.21 6.07
Debt: Long Duration 14.37 17.46 11.76 13.89
Debt: Low Duration -0.3 8.24 -43.53 5.58
Debt: Medium Duration 2.8 11.31 -28.4 6.77
Debt: Medium to Long Duration 7.77 12.6 -11.0 10.69
Debt: Money Market 6.98 7.75 5.52 7.21
Debt: Overnight 5.14 5.88 4.47 5.13
Debt: Short Duration 4.21 9.69 -11.35 8.14
Debt: Ultra Short Duration 6.51 13.35 -2.88 7.0
Equity: Contra -29.99 -27.91 -34.06 -27.99
Equity: Dividend Yield -26.15 -17.21 -34.61 -26.14
Equity: ELSS -26.62 -12.45 -37.54 -26.5
Equity: Focused -24.24 -16.05 -35.24 -24.64
Equity: Large and Mid Cap -25.93 -13.4 -37.14 -25.38
Equity: Large Cap -24.7 -11.07 -34.74 -25.22
Equity: Mid Cap -25.82 -12.02 -34.93 -25.94
Equity: Multi Cap -25.3 -11.88 -37.67 -25.09
Equity: Sectoral-Banking and Financial Services -34.27 -25.87 -44.84 -32.53
Equity: Sectoral-Infrastructure -34.01 -22.36 -49.42 -34.52
Equity: Sectoral-Pharma and Healthcare -4.36 2.05 -8.3 -5.15
Equity: Sectoral-Technology -20.31 -14.13 -26.19 -21.2
Equity: Small Cap -31.54 -14.41 -44.21 -30.8
Equity: Thematic-Consumption -21.17 -7.85 -30.74 -19.48
Equity: Thematic-Energy -28.03 -21.31 -35.3 -27.48
Equity: Thematic-International -6.79 6.78 -27.49 -5.4
Equity: Thematic-MNC -16.48 -12.48 -19.24 -17.71
Equity: Thematic-Others -26.15 -15.46 -42.05 -25.36
Equity: Thematic-PSU -22.82 -15.85 -29.78 -22.82
Equity: Value -33.25 -26.68 -44.09 -30.88
ETFs -17.39 37.17 -62.24 -27.2
Fund of Funds-Domestic 1.1 40.5 -39.45 -5.32
Fund of Funds-Overseas -8.49 15.42 -36.51 -7.31
Hybrid: Aggressive -19.71 -9.19 -37.57 -19.26
Hybrid: Arbitrage 6.03 6.83 3.87 6.26
Hybrid: Conservative -2.6 9.28 -16.13 -1.72
Hybrid: Dynamic Asset Allocation -12.48 -7.45 -27.58 -12.5
Hybrid: Equity Savings -9.55 -1.45 -29.63 -7.93
Hybrid: Multi Asset Allocation -13.3 -2.09 -23.61 -15.79
Index Fund -28.46 -26.01 -35.88 -28.43
Retirement Fund -11.3 11.55 -38.63 -14.0

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