Moneycontrol
YOU ARE HERE > Moneycontrol > Mutual Funds > Evaluate > Performance Tracker : Fund of Funds - Commodity oriented
Performance Tracker

Fund of Funds - Commodity oriented

Fund of funds investing in commodity funds will form part of this category. E.g., Fund of funds investing in Gold ETFs.
Fund of Funds - Commodity oriented - Ranks - as on Aug 18, 2017

Mutual Fund Scheme

Crisil Rank AUM
(Rs. cr.)
Mar 17
1mth 3mth 6mth 1yr 2yr 3yr 5yr  
Sponsored Advt.
Reliance Gold Savings Fund (G) Not Ranked
809.16 12 6 12 6 10 9 6
Kotak Gold Fund - Direct (G) Not Ranked
5.42 1 1 1 3 1 8 --
Kotak Gold Fund (G) Not Ranked
188.23 2 2 2 4 2 1 5
SBI Gold Fund - Direct (G) Not Ranked
18.47 13 3 8 12 8 7 --
SBI Gold Fund (G) Not Ranked
446.11 14 4 11 16 13 14 8
Reliance Gold Savings - Direct (G) Not Ranked
38.51 11 5 10 5 5 3 --
Reliance Gold Savings Fund (G) Not Ranked
809.16 12 6 12 6 10 9 6
Birla SL Gold Fund -Direct (G) Not Ranked
4.77 15 7 14 21 4 1 --
Birla Sun Life Gold Fund (G) Not Ranked
47.46 16 8 17 22 6 6 1
Quantum Gold Savings Fund - D(G) Not Ranked
13.15 7 9 13 8 7 3 3
Quantum Gold Savings Fund - (G) Not Ranked
0.00 8 10 -- -- -- -- --
IDBI Gold Fund - Direct Not Ranked
1.25 3 11 7 18 10 11 --
Birla SL Global Commodities (G) Not Ranked
2.45 22 12 22 1 19 22 1
Birla SL Global Commodities-Dir (G) Not Ranked
0.67 21 12 23 2 19 21 --
IDBI Gold Fund Not Ranked
43.13 4 14 8 19 15 17 --
HDFC Gold Fund - Direct (G) Not Ranked
30.85 9 15 3 7 3 3 --
HDFC Gold Fund (G) Not Ranked
239.64 10 16 5 9 8 9 3
Axis Gold Fund - Direct (G) Not Ranked
1.50 17 17 3 10 21 14 --
Axis Gold Fund (G) Not Ranked
63.31 18 18 6 13 23 20 11
Canara Robeco Gold Sav.-Direct (G) Not Ranked
1.16 19 19 14 11 15 14 --
Canara Robeco Gold Savings (G) Not Ranked
55.26 20 20 19 14 18 17 10
Invesco India Gold Fund -DP (G) Not Ranked
1.09 5 21 14 14 12 7 --
Invesco India Gold Fund (G) Not Ranked
15.10 6 22 17 16 14 12 8
ICICI Pru Reg Gold Savings Fund (G) Not Ranked
52.78 24 23 21 23 21 19 7
ICICI Pru Reg. Gold Sav.-Direct (G) Not Ranked
4.36 23 24 20 20 17 12 --

Note : Returns have been calculated based on NAV's as on Aug 18, 2017 & Index values as on Aug 18, 2017

As per AMFI guidelines, effective from quarter ending December 31, 2010, fund houses have stopped publishing the Assets Under Management (AUM) on a monthly basis. This data is published every quarter.

Quick Links (Mouseover on for more information)
Sections
Follow us on
Available On