电竞娱乐平台比赛结果
Check out the stocks which are the favourites of the Mutual fund industry on various parameters. Whats more? You can filter based on Asset type, Category & AMC
Equity
No. of schemes managed
Bharat Forge
-
No of Schemes
58
-
AUM
4,978.82 Cr.
-
Max Invested Scheme
Kotak Flexi Cap Fund (G) 440.81 Cr.
-
Max Exposed Scheme
Mirae Asset Midcap Fund (G) 3.53%
Distribution of AMC's
All funds
-
Mirae Asset Midcap Fund (G)
Mirae Asset Midcap Fund (G)MID
-
Net Asset Value
22.04
0.03 0.15 %
-
-
1 Y Return
7.80 %
-
Volatility
1.12 %
-
1 Y Return
-
Value Research Rating
Not Rated
-
Net Asset Value
-
Kotak Flexi Cap Fund (G)
Kotak Flexi Cap Fund (G)MULTI
-
Net Asset Value
54.54
0.07 0.13 %
-
-
1 Y Return
2.94 %
-
Volatility
1.12 %
-
1 Y Return
-
Value Research Rating
-
Net Asset Value
-
Mirae Asset Emerging Bluechip Fund (G)
Mirae Asset Emerging Bluechip Fund (G)MID
-
Net Asset Value
97.93
0.17 0.17 %
-
-
1 Y Return
0.66 %
-
Volatility
1.09 %
-
1 Y Return
-
Value Research Rating
-
Net Asset Value
-
DSP Midcap Fund (G)
DSP Midcap Fund (G)MID
-
Net Asset Value
90.69
0.38 0.42 %
-
-
1 Y Return
-1.67 %
-
Volatility
1.08 %
-
1 Y Return
-
Value Research Rating
-
Net Asset Value
-
电竞娱乐平台 SL Flexi Cap Fund (G)
电竞娱乐平台 SL Flexi Cap Fund (G)MULTI
-
Net Asset Value
1,133.17
3.97 0.35 %
-
-
1 Y Return
-1.75 %
-
Volatility
1.10 %
-
1 Y Return
-
Value Research Rating
-
Net Asset Value
Top Sectors
Check out the top sectors in which Mutual Funds are investing. This can help you gain insights on which sectors are most preferred by the AMCs.
Equity
No. of schemes managed
Finance
-
No of Schemes
198
-
AUM
85,147.64 Cr.
-
Max Invested Scheme
电竞娱乐平台 Bluechip Fund (G) 5,495.04 Cr.
-
Max Exposed Scheme
电竞娱乐平台 Focused 25 Fund (G) 18.28%
AMC Wise 电竞娱乐平台 s In Sector
-
-
Net Asset Value
51.59
0.60 1.18%
-
-
1 Y Return
26.66%
-
Volatility
1.20%
-
1 Y Return
-
Value Research rating
-
Net Asset Value
-
-
Net Asset Value
129.09
0.03 0.03%
-
-
1 Y Return
22.78%
-
Volatility
1.03%
-
1 Y Return
-
Value Research rating
-
Net Asset Value
-
-
Net Asset Value
15.90
0.05 0.32%
-
-
1 Y Return
20.00%
-
Volatility
1.27%
-
1 Y Return
-
Value Research rating
Not Rated
-
Net Asset Value
-
-
Net Asset Value
19.47
0.01 0.05%
-
-
1 Y Return
19.82%
-
Volatility
1.05%
-
1 Y Return
-
Value Research rating
Not Rated
-
Net Asset Value
-
-
Net Asset Value
14.72
0.04 0.27%
-
-
1 Y Return
19.57%
-
Volatility
1.32%
-
1 Y Return
-
Value Research rating
Not Rated
-
Net Asset Value
Top Fund Manager
Check out the top Fund Managers in the Mutual Fund industry across various parameters. Whats more? You can filter based on Asset type, Category & AMC.
All Assets
No. of schemes managed
Kayzad Eghlim
-
No. of schemes managed
14
-
AUM
25,378.66 Cr.
-
Favorite stock
Reliance Industries Ltd (1,325.81 Cr)
-
Return (1 Year)
-1.78%
No. of Schemes Managed
-
-
Net Asset Value
17.63
0.01 0.06%
-
-
1 Y Return
6.08 %
-
Volatility
0.16%
-
1 Y Return
-
Value Research rating
-
Net Asset Value
-
ICICI Pru Nifty 50 Index Fund - Regular (G)
ICICI Pru Nifty 50 Index Fund - Regular (G)-
Net Asset Value
175.79
0.34 0.19%
-
-
1 Y Return
3.57 %
-
Volatility
1.11%
-
1 Y Return
-
Value Research rating
-
Net Asset Value
-
-
Net Asset Value
38.89
-0.03 -0.06%
-
-
1 Y Return
3.55 %
-
Volatility
1.25%
-
1 Y Return
-
Value Research rating
-
Net Asset Value
-
-
Net Asset Value
28.27
-0.01 -0.02%
-
-
1 Y Return
3.42 %
-
Volatility
0.06%
-
1 Y Return
-
Value Research rating
-
Net Asset Value
-
ICICI Pru Nifty 100 Low Volatility 30 ETF FOF (G)
ICICI Pru Nifty 100 Low Volatility 30 ETF FOF (G)-
Net Asset Value
11.87
-0.03 -0.28%
-
-
1 Y Return
-0.46 %
-
Volatility
0.95%
-
1 Y Return
-
Value Research rating
Not Rated
-
Net Asset Value
Top AMCs
Gain insights about the biggest names in the Asset Management business. Take a look at their Market share, growth rate, schemes managed and more
Equity
No. of schemes managed
ICICI Prudential Mutual Fund
-
No of Schemes
20
-
AUM
1,17,692.13 Cr.
Scheme Breakup for AMC
-
-
Net Asset Value
19.47
0.01 0.05%
-
-
1 Y Return
19.82 %
-
Volatility
1.05%
-
1 Y Return
-
Value Research rating
Not Rated
-
Net Asset Value
-
-
Net Asset Value
264.16
0.55 0.21%
-
-
1 Y Return
13.47 %
-
Volatility
0.93%
-
1 Y Return
-
Value Research rating
-
Net Asset Value
-
-
Net Asset Value
11.70
0.00 0.00%
-
-
1 Y Return
10.90 %
-
Volatility
0.95%
-
1 Y Return
-
Value Research rating
Not Rated
-
Net Asset Value
-
-
Net Asset Value
67.99
0.08 0.12%
-
-
1 Y Return
6.77 %
-
Volatility
1.01%
-
1 Y Return
-
Value Research rating
-
Net Asset Value
-
-
Net Asset Value
463.90
0.85 0.18%
-
-
1 Y Return
5.78 %
-
Volatility
1.05%
-
1 Y Return
-
Value Research rating
-
Net Asset Value
MF Market Activity
Get to know where money is flowing in and flowing out. This may give you an insight on market expectations in various asset classes
-
Equity (In Rs. Cr.)
Debt (In Rs. Cr.)
-
08 Sep 2022
482.06
446.26
-
Month Till Date
2,773.03
3,208.75
-
Year Till Date
80,200.48
-949.96