How to Use This Page
Every fund shows its actual SIP return — the annualised CAGR computed from historical NAV data, not an assumed rate. The corpus column shows the rupee amount your monthly SIP would have built. Click any column header to sort. Use the quick filters below to narrow by performance threshold.
| Fund Name ↕ | Category | 1Y % ↕ | 1Y Corpus | 3Y % p.a. ↕ | 3Y Corpus | 5Y % p.a. ↓ | 5Y Corpus |
|---|---|---|---|---|---|---|---|
|
Lic Mutual Fund
|
Equity | +10.2% | ₹63,424 | +28.2% | ₹2.85 L | +25.1% | ₹6.00 L |
|
ICICI Prudential Mutual Fund
|
Equity | +3.9% | ₹61,273 | +22.3% | ₹2.58 L | +24.7% | ₹5.95 L |
|
SBI Mutual Fund
|
Equity | +8.0% | ₹62,671 | +27.4% | ₹2.81 L | +24.6% | ₹5.91 L |
|
Aditya Birla Sun Life Mutual Fund
|
Equity | +9.1% | ₹63,028 | +25.4% | ₹2.72 L | +24.6% | ₹5.91 L |
|
DSP Mutual Fund
|
Equity | +14.3% | ₹64,857 | +26.0% | ₹2.74 L | +24.1% | ₹5.83 L |
|
Motilal Oswal Mutual Fund
|
Mid Cap | -3.6% | ₹58,849 | +20.7% | ₹2.51 L | +23.5% | ₹5.73 L |
|
Nippon India Mutual Fund
|
Equity | +8.9% | ₹62,955 | +23.9% | ₹2.65 L | +23.5% | ₹5.72 L |
|
Invesco Mutual Fund
|
Equity | +1.1% | ₹60,369 | +24.4% | ₹2.67 L | +23.0% | ₹5.64 L |
|
Bank of India Mutual Fund
|
Equity | +17.1% | ₹65,873 | +26.3% | ₹2.76 L | +22.9% | ₹5.62 L |
|
Canara Robeco Mutual Fund
|
Equity | +5.2% | ₹61,721 | +23.3% | ₹2.62 L | +22.7% | ₹5.59 L |
|
Franklin Templeton Mutual Fund
|
Equity | +3.8% | ₹61,256 | +23.0% | ₹2.61 L | +21.9% | ₹5.47 L |
|
Invesco Mutual Fund
|
Mid Cap | +12.4% | ₹64,194 | +27.5% | ₹2.81 L | +21.8% | ₹5.46 L |
|
Bandhan Mutual Fund
|
Small Cap | +8.1% | ₹62,685 | +29.1% | ₹2.89 L | +21.7% | ₹5.43 L |
|
HDFC Mutual Fund
|
Equity | -0.3% | ₹59,909 | +21.1% | ₹2.53 L | +21.6% | ₹5.42 L |
|
Invesco Mutual Fund
|
Equity | +6.0% | ₹61,976 | +24.0% | ₹2.65 L | +21.6% | ₹5.42 L |
|
Quant Mutual Fund
|
Equity | +19.2% | ₹66,610 | +21.2% | ₹2.53 L | +21.6% | ₹5.42 L |
|
Invesco Mutual Fund
|
Small Cap | +12.9% | ₹64,355 | +25.9% | ₹2.74 L | +21.6% | ₹5.41 L |
|
Quant Mutual Fund
|
Equity | +11.8% | ₹63,959 | +21.6% | ₹2.55 L | +21.6% | ₹5.41 L |
|
Kotak Mutual Fund
|
Equity | +4.8% | ₹61,580 | +18.5% | ₹2.42 L | +21.5% | ₹5.40 L |
|
Nippon India Mutual Fund
|
Mid Cap | +9.6% | ₹63,213 | +23.2% | ₹2.62 L | +21.1% | ₹5.34 L |
|
ICICI Prudential Mutual Fund
|
Equity | +10.1% | ₹63,396 | +22.8% | ₹2.60 L | +21.0% | ₹5.33 L |
|
HDFC Mutual Fund
|
Mid Cap | +7.1% | ₹62,355 | +21.3% | ₹2.53 L | +20.9% | ₹5.31 L |
|
Motilal Oswal Mutual Fund
|
Mid Cap | +6.6% | ₹62,199 | +24.4% | ₹2.67 L | +20.8% | ₹5.30 L |
|
ICICI Prudential Mutual Fund
|
Equity | +2.6% | ₹60,855 | +18.7% | ₹2.43 L | +20.8% | ₹5.29 L |
|
Quant Mutual Fund
|
Multi Asset | +19.8% | ₹66,845 | +24.4% | ₹2.67 L | +20.7% | ₹5.28 L |
Returns are annualised CAGR computed from daily NAV data updated monthly from AMFI. Corpus calculated using standard SIP formula at your entered monthly amount. Showing top 25 funds by selected sort. Index funds, ETFs, debt, liquid, gilt and money market funds excluded.