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Moneycontrol.com >> Mutual Funds >> Gainers & Losers >> Snapshots
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Evaluate
Gainers & Losers - Balanced
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Gainers & Losers : Balanced
Snapshot
Equity Diversified
Equity Tax Saving
Equity Index
Equity Institutional
Equity - Auto
Equity - FMCG
Equity - Tech
Equity - Pharma
Equity - Banking
Equity - MNC
Equity Others
Balanced
Hybrid
Gold
Monthly Income Plan
Debt Speciality
Money Market
Money Market - Inst
Debt - Short Term
Debt - Long Term
Debt - Floating Rate
Debt - Institutional
Absolute Returns (in %) as on Jul 04, 2008
Listed below are the schemes in the selected category based on their 1 year return. Use the adjacent drop down menu to view the schemes based on their Absolute or Annualised Returns or Ranks.
View :
Index Returns
Annualised
Absolute
Rank
Mutual Fund Scheme
Rating
Asset
(Rs. cr.)
NAV
1 wk
1 mth
3 mth
6 mth
1 yr
2 yr
3 yr
5 yr
Principal Child Benefit - CBP
Not Rated
20.16
69.42
-1.3
-7.9
-3.9
-26.0
8.0
63.6
117.7
281.4
Principal Child Benefit - FGP
Not Rated
4.22
68.47
-1.3
-8.0
-3.9
-26.0
8.0
63.5
117.5
281.2
UTI CRTS 81(G)
389.54
118.89
--
-4.3
-4.4
-12.6
3.2
7.8
15.5
26.5
UTI Mahila Unit Scheme (G)
88.07
30.07
0.2
-2.6
-2.2
-10.9
3.1
16.7
71.6
125.4
Reliance RSF - Balanced
Not Rated
29.44
12.56
-0.1
-8.7
-6.8
-28.0
1.9
15.0
25.0
--
BOB Children - Gift Plan
Not Rated
0.02
10.69
--
0.1
0.4
0.6
1.3
3.0
4.9
--
Benchmark Split Capital-Bal-A
Not Rated
4.76
129.09
--
-6.0
-7.9
-22.2
--
--
--
--
Benchmark Split Capital-Bal-B
Not Rated
1.48
170.79
--
1.1
4.1
8.3
--
--
--
--
BOB Children - Study Plan
Not Rated
0.01
9.75
--
0.1
0.1
-0.9
-0.6
-2.5
-3.3
--
DSP-ML Balanced Fund (G)
570.62
43.17
-0.3
-9.3
-7.6
-27.5
-1.9
35.7
85.4
245.1
LIC MF Balanced C (G)
Not Rated
26.58
45.08
0.2
-9.5
-10.9
-40.9
-2.0
18.9
56.5
133.2
Templeton (I) Pension Plan (G)
168.53
44.97
0.1
-6.5
-6.1
-19.2
-2.5
18.6
34.6
103.7
Escorts Opportunities Fund (G)
Not Rated
119.69
26.51
0.1
-3.4
-6.9
-28.5
-3.2
13.8
35.3
100.4
UTI Childrens Career Balanced
2,556.62
13.63
-0.9
-6.0
-6.2
-16.9
-3.6
10.1
35.4
86.1
Kotak Balance
78.00
19.36
-0.4
-10.6
-10.3
-32.4
-3.7
18.7
71.0
241.2
ING Balanced Portfolio (G)
Not Rated
6.87
19.00
-0.6
-10.5
-10.1
-29.6
-3.8
25.9
52.4
169.5
HDFC Balanced Fund (G)
104.85
31.25
-0.5
-9.0
-8.6
-25.3
-4.3
16.6
49.7
160.7
Kotak Dynamic Asset Allocation
599.97
10.68
--
-18.1
-19.2
-42.0
-5.0
--
--
--
Principal Balanced (G)
89.34
22.36
-0.6
-11.3
-11.6
-32.1
-5.4
18.9
50.2
191.9
FT India Balanced Fund (G)
290.95
33.71
0.4
-10.4
-10.5
-28.2
-7.5
28.2
65.6
209.8
Birla Sun Life Balance (G)
106.38
27.70
-1.4
-9.1
-8.6
-26.4
-8.0
19.8
51.8
155.5
ICICI Pru CCP - Gift Plan
131.72
40.25
-1.0
-11.0
-11.0
-42.5
-8.0
22.8
58.9
205.9
Tata Balanced Fund (G)
230.56
51.68
-0.8
-11.0
-11.1
-34.3
-8.1
26.9
66.9
241.5
Escorts Balanced Fund (G)
Not Rated
3.11
48.54
-0.7
-10.1
-13.0
-40.3
-8.3
20.9
68.7
243.8
Sundaram Balanced Fund (G)
42.02
32.80
-1.3
-10.3
-11.5
-30.0
-8.5
19.8
54.9
175.5
Can Robeco Balance II (G)
140.30
36.83
-0.2
-11.5
-12.8
-33.7
-8.6
9.7
73.1
211.1
SBI Magnum Balanced Fund (G)
363.04
35.29
-0.6
-10.5
-12.3
-33.6
-8.8
21.8
70.8
316.5
HDFC Childrens Gift (Inv)
138.10
24.23
-0.9
-9.3
-6.3
-25.7
-9.1
11.5
36.3
134.2
Tata Young Citizens Fund
153.09
14.42
-0.2
-6.2
-7.5
-21.8
-9.4
12.7
38.5
124.7
Templeton (I) CAP- Gift (G)
Not Rated
5.80
30.38
0.5
-9.1
-8.9
-26.4
-9.5
21.4
44.7
64.5
BOB Balance Fund (G)
Not Rated
0.77
23.50
2.3
-8.5
-9.7
-34.0
-9.8
16.3
41.1
--
UTI Balanced Fund (G)
992.59
52.97
0.1
-10.0
-12.0
-31.3
-10.9
11.8
41.9
142.3
HDFC Prudence Fund (G)
2,685.29
111.16
-1.4
-11.4
-12.9
-33.2
-11.4
23.3
69.7
248.7
ICICI Pru E & D- Wealth RO (G)
685.65
9.68
--
-9.4
-7.7
-26.3
-11.5
--
--
--
Birla Sun Life 95 Fund (G)
170.13
177.09
-1.4
-13.0
-11.0
-35.8
-11.7
23.8
60.0
216.5
ICICI Pru Balanced Fund (G)
336.97
32.49
-0.1
-10.0
-12.0
-32.2
-11.9
12.1
53.5
192.2
LIC MF Unit Linked Insurance
56.95
8.25
0.3
-10.2
-13.0
-35.3
-12.5
13.6
55.8
110.7
JM Balanced Fund (G)
Not Rated
36.26
20.55
-0.6
-10.6
-14.1
-40.5
-20.3
7.8
51.9
135.1
Index
1 wk
1mth
3mth
6mth
1yr
2yr
3yr
5yr
Sensex
-2.5
-13.3
-12.3
-35.0
-9.6
26.2
84.9
271.4
Nifty
-2.9
-12.4
-13.6
-36.0
-7.9
28.0
80.0
252.8
BSE-Midcap
-5.0
-17.5
-15.7
-47.8
-20.6
20.2
48.0
--
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Note :
Returns have been calculated based on NAV's as on Jul 04, 2008 & Index values as on Jul 04, 2008
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