15:31 May 17, 2012  

Biggest Schemes

Biggest schemes ranked on the basis of AUM (in Rs. Crs).
Category : Fund House :
Note: Returns for periods 1 year and below are absolute % returns and for periods above 1 year are Annualised % returns. SI - Since Inception.
Scheme Name
AUM(Rs. Cr.)
1w
1m
3m
6m
1y
3y
5y
SI
HDFC Cash Mgmt - Treasury Advantage (Div-D)15,232.209.109.139.809.178.946.807.317.32
ICICI Pru Liquid - Super Inst (Div-D)14,378.548.229.319.759.649.437.077.367.34
Birla Sun Life Cash Plus - Inst Premium (Div-W)12,501.709.9310.0110.029.899.026.887.3940.71
HDFC Top 200 Fund (D)11,381.06-2.06-6.65-11.43-1.15-12.1716.9710.2222.08
HDFC Equity Fund - (G)9,916.37-2.06-6.44-10.150.25-14.2920.989.5820.10
ICICI Pru Flexible Income Plan - Regular (G)8,684.159.4610.279.289.039.006.590.006.56
HDFC Liquid Fund - Premium (Div-D)8,570.949.469.019.899.869.677.097.517.34
Reliance Liquidity Fund (G)8,438.649.879.969.969.839.657.057.557.38
SBI Premier Liquid Fund - Inst (Div-W)8,429.349.6812.269.879.749.566.876.9998.89
Reliance Money Manager Fund - Retail (Div-W)7,278.760.007.858.858.939.126.907.507.63
Reliance Liquid Fund - Treasury Plan (Div-M)6,852.879.239.269.319.249.146.707.206.85
HDFC Monthly Income Plan - LTP (Div-M)6,636.06-0.36-0.90-0.784.363.9711.169.7410.94
SBI Short Horizon Debt - UST - Inst (Div-M)6,326.529.7210.4510.009.779.807.380.00181.48
HDFC Prudence Fund - (D)6,248.60-1.31-3.67-5.703.66-3.6023.0011.8519.92
Tata Liquid High Invest Plan - (Div-W)5,894.689.479.649.519.309.156.637.226.49
Reliance Growth Fund - (Bonus)5,843.49-2.35-6.47-8.791.02-10.7515.607.4439.76
IDFC Cash Fund - Inst (Div-D)5,675.998.628.718.949.129.366.656.7275.51
Birla Sun Life Dynamic Bond Fund (G)5,348.064.579.968.8511.0110.517.549.468.17
UTI-Liquid - Cash Plan - Inst (Div-W)5,347.5410.059.799.829.729.566.957.617.57
Templeton India Short Term Income (G)4,986.524.478.338.929.029.508.349.337.78
DWS Insta Cash Plus Fund (Div-A)4,747.569.049.130.000.000.000.000.000.00
SBI Magnum Tax Gain Scheme (D)4,629.80-0.78-3.62-5.552.72-5.8114.224.2016.97
Franklin India Bluechip Fund - (G)4,569.13-1.68-5.23-9.59-1.94-7.1815.928.3622.05
Kotak Liquid - Inst (G)4,459.209.559.629.689.479.236.446.996.39
Reliance Monthly Income Plan (Div-M)4,141.96-0.50-0.750.267.226.2910.2511.297.47
ICICI Pru Dynamic Plan - Inst (G)4,118.77-1.37-3.56-6.433.85-6.010.000.00-5.96
Templeton India TMA - Super Inst (Div-D)4,021.649.589.729.939.849.787.357.777.58
DSP BR Liquidity Fund - Inst (Div-W)3,994.269.739.979.939.809.646.827.016.98
UTI-Treasury Advantage Fund (Div-A)3,937.598.639.499.169.179.277.727.986.69
Birla Sun Life Savings Fund - Inst (Div-W)3,931.079.7510.273.566.518.126.790.0071.45
Birla Sun Life Cash Manager - Inst (Div-D)3,856.399.6110.219.669.439.497.167.5538.72
ICICI Pru Focused Bluechip Equity Fund (D)3,805.27-0.68-4.26-8.80-2.08-5.6818.740.0011.30
IDBI Liquid Fund (G)3,753.919.869.969.969.859.670.000.008.63
UTI-Dividend Yield Fund (D)3,713.43-1.66-6.67-11.44-4.46-10.2318.3911.3416.42
AXIS Liquid Fund - Inst (Div-D)3,490.809.529.149.459.649.870.000.007.44
JM High Liquidity Fund - Inst (G)3,391.649.849.929.939.829.686.997.346.59
Religare Liquid Fund (G)3,372.618.858.928.928.748.686.396.96147.41
Reliance Equity Opportunities Fund (G)3,340.12-1.45-3.57-3.836.80-0.9929.039.9819.47
DSP BR Top 100 Equity Fund (D)3,315.44-1.57-5.38-9.871.10-5.5115.658.8727.59
Fidelity Equity Fund (D)3,314.84-1.47-6.00-9.12-3.29-9.0317.937.3117.97
Birla Sun Life Floating Rate - Short Term (Div-D)3,267.669.629.689.559.629.527.147.4249.05
Baroda Pioneer Liquid Fund (D)3,184.449.969.989.989.869.696.926.8466.40
HDFC Tax Saver Fund (G)3,114.05-1.61-5.55-8.46-0.43-9.8119.767.5020.97
GS Gold BeES2,981.99-2.30-2.150.73-3.3125.4722.4624.6922.52
Birla Sun Life Frontline Equity Fund - Plan A (D)2,900.75-1.38-4.74-8.67-1.55-9.9015.378.0723.56
Reliance Regular Savings Fund - Equity (D)2,891.02-1.52-5.63-8.020.91-12.9916.680.0022.99
UTI-CCP Balanced Fund (G)2,831.47-0.48-1.53-1.613.703.3311.007.3011.34
UTI-Opportunities Fund (D)2,814.09-0.78-5.13-7.830.27-0.1719.6013.5515.45
Canara Robeco Liquid - Super Inst (Div-Frt)2,805.560.000.000.000.000.00-0.140.00338.78
SBI Magnum SFU - Contra Fund (D)2,747.89-0.43-2.91-5.233.36-9.3311.104.6021.82
 
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