📈 India's #1 Share Price Target Analysis Platform
Share Target Price
💼

Mutual Funds

Analyze mutual fund performance, expense ratios, and returns. Find best funds for your investment goals.

497 funds available⚡ Updated daily
📄 Showing 12 of 497 funds
🔄 Sorted by AUM (highest first)

Edelweiss Mutual Fund Infrastructure Fund - Direct Plan - Growth

Thematic
Edelweiss Mutual Fund
NAV: 55.35
AUM: 5165.60 Cr
Expense: 0.92%
Risk: Very High
1Y Return
3.6%
3Y Return
20.82%
5Y Return
20.16%

DSP Mutual Fund Banking Fund - Direct Plan - Growth

Banking
DSP Mutual Fund
NAV: 89.77
AUM: 5152.00 Cr
Expense: 0.92%
Risk: Very High
1Y Return
2.95%
3Y Return
6.77%
5Y Return
5.92%

Groww Mutual Fund Pharma Fund - Regular Plan - Growth

Pharma
Groww Mutual Fund
NAV: 10.81
AUM: 5148.00 Cr
Expense: 1.95%
Risk: Very High
1Y Return
12.28%
3Y Return
3.27%
5Y Return
1.95%

Sundaram Mutual Fund Dividend Fund - Regular Plan - Growth

Thematic
Sundaram Mutual Fund
NAV: 206.97
AUM: 5090.80 Cr
Expense: 1.92%
Risk: Moderate
1Y Return
-4.48%
3Y Return
9.28%
5Y Return
10.37%

Navi Mutual Fund Pharma Fund - Regular Plan - Growth

Pharma
Navi Mutual Fund
NAV: 10.81
AUM: 5076.00 Cr
Expense: 1.95%
Risk: Very High
1Y Return
0%
3Y Return
0%
5Y Return
0.02%

Mirae Asset Banking Fund - Direct Plan - Growth

Banking
Mirae Asset
NAV: 13.68
AUM: 5051.20 Cr
Expense: 0.92%
Risk: Very High
1Y Return
2.78%
3Y Return
6.51%
5Y Return
5.68%

JM Financial Dividend Fund - Regular Plan - Growth

Thematic
JM Financial
NAV: 10.00
AUM: 5011.60 Cr
Expense: 1.92%
Risk: Moderate
1Y Return
0%
3Y Return
0%
5Y Return
0%

JM Financial Infrastructure Fund - Direct Plan - Growth

Thematic
JM Financial
NAV: 55.35
AUM: 5007.20 Cr
Expense: 0.92%
Risk: Very High
1Y Return
3.6%
3Y Return
20.82%
5Y Return
20.16%

Quant Mutual Fund Pharma Fund - Regular Plan - Growth

Pharma
Quant Mutual Fund
NAV: 20.99
AUM: 5004.00 Cr
Expense: 1.95%
Risk: Very High
1Y Return
0.18%
3Y Return
8.67%
5Y Return
7.6%

Mirae Asset Multi Cap Fund - Regular Plan - Growth

Multi
Mirae Asset
NAV: 14.13
AUM: 4954.25 Cr
Expense: 1.88%
Risk: Very High
1Y Return
2.41%
3Y Return
12.03%
5Y Return
9.36%

Kotak Mahindra Banking Fund - Direct Plan - Growth

Banking
Kotak Mahindra
NAV: 10.00
AUM: 4950.40 Cr
Expense: 0.92%
Risk: Very High
1Y Return
2.52%
3Y Return
13.93%
5Y Return
9.96%

LIC Mutual Fund Dividend Fund - Regular Plan - Growth

Thematic
LIC Mutual Fund
NAV: 10.81
AUM: 4932.40 Cr
Expense: 1.92%
Risk: Moderate
1Y Return
2%
3Y Return
16.37%
5Y Return
9.52%

Need help choosing a fund?

Compare funds, check performance, and read expert insights.

Browse All Funds →