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Mutual Fund Annual Returns

Returns as on - 03-06-2024 in %
Expense
Scheme Name Launch Date AUM (Crore) Ratio (%) 2024 2023 2022 2021 2020
Bandhan CBF Dir Gr 11-01-2016 13721.8163 0.32 3.15 7.12 2.94 3.98 11.91
Franklin India Corp Debt Dir Gr 01-01-2013 729.86844 0.26 3.23 7.12 3.73 4.34 9.65
DSP Corp Bond Dir Gr 05-09-2018 2616.5286 0.28 3.24 6.76 2.34 3.66 9.67
Trust CorpoRate Bond Fund Dir GR 20-01-2023 68.45955 0.22 3.29 - - - -
Sundaram Corp Bond Dir Gr 01-01-2013 759.68438 0.32 3.33 6.49 3.92 3.76 11.22
Union Corp Bond Dir Gr 18-05-2018 411.4643 0.38 3.41 6.74 2.76 3.19 10.98
PGIM India Corporate Bond Dir Gr 01-01-2013 99.5104 0.29 3.42 7.19 3.86 4.73 10.49
Canara Robeco Corp Bond Dir Gr 07-02-2014 147.917 0.38 3.43 6.69 3.57 3.47 10.33
UTI Corp Bond Dir Gr 08-08-2018 3548.6553 0.29 3.45 7.22 3.73 3.77 11.33
SBI Corp Bond Dir Gr 29-01-2019 20164.5409 0.34 3.45 7.11 3.76 3.36 11.07
HSBC Corporate Bond Fund Dir Gr 01-01-2013 5985.83058 0.3 3.47 6.81 2.57 4.13 12.75
ICICI Pru Corp Bond Dir Gr 01-01-2013 27350.2217 0.32 3.5 7.83 4.78 4.44 10.79
Invesco India Corp Bond Dir Gr 01-01-2013 3465.1278 0.28 3.53 7.09 3.25 3.78 10.56
Mirae Asset Corp Bond Fund Dir Gr 15-03-2021 49.84698 0.22 3.57 6.74 3.3 - -
Axis Corp Debt Dir Gr 07-07-2017 5336.2561 0.3 3.59 7.51 4.4 4.38 12.36
Kotak Corp Bond Dir Gr 01-01-2013 12144.9043 0.34 3.62 7.23 4.05 4.14 9.98
BARODA BNP PARIBAS Corporate Bond Fund
Dir Gr 01-01-2013 147.7455 0.2 3.64 7.36 - - -
ABSL Corp Bond Gr Dir 01-01-2013 21330.3711 0.33 3.66 7.48 4.25 4.2 12.06
Nippon India Corp Bond Dir Gr Gr 01-01-2013 2892.7645 0.35 3.67 7.51 4.7 5.13 9.96
Tata Corporate Bond Fund Dir Gr 29-11-2021 1105.84963 0.31 3.7 7.5 2.89 - -
HDFC Corp Bond Dir Gr 01-01-2013 28968.0984 0.35 3.74 7.49 3.56 4.22 12.09
Debt: Corporate Bond - - - 3.31 6.73 3.17 3.64 10.57

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