Equity - Small cap Fund 2023

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Decizen:- Q: Quality, P: Performance, E: Expenses

Fund Name

NAV (Rs.)
AUM (Cr.)
Returns Since
inception (%)
Returns
Mutual Fund DeciZen

Past

Avg Rolling
Q
P
E
20.10 1,423
25.5
25 Feb' 20
-3.5
34.69
0
0
37.97
29.54
0.00
0.00
Q
P
E
25.33 415
24.1
19 Dec' 18
-2.67
45.19
0
0
37.16
36.13
0.00
0.00
Q
P
E
24.16 1,458
24
07 Feb' 19
1.84
46.26
0
0
34.34
31.51
0.00
0.00
Q
P
E
23.36 4,832
22.7
15 Feb' 19
-2.15
49.24
0
0
38.22
35.45
0.00
0.00
Q
P
E
61.07 11,463
21.3
29 Nov' 13
0.55
37.86
17.73
21.03
23.05
18.06
16.36
22.28
Q
P
E
22.92 3,301
21.2
12 Nov' 18
14.58
47.66
0
0
30.89
29.37
0.00
0.00
Q
P
E
108.08 15,395
19.1
09 Sep' 09
7.46
41.82
14.71
24.78
28.64
23.03
23.04
22.58
Q
P
E
90.20 23,910
19.1
16 Sep' 10
7.99
53.09
16.29
24.31
29.79
23.40
21.83
22.55
Q
P
E
22.09 41
18.9
07 Sep' 18
6.55
47.38
0
0
28.49
27.24
0.00
0.00
Q
P
E
46.62 8,626
18.9
12 May' 14
3.67
49.44
11.77
0
21.52
15.73
12.75
0.00
Q
P
E
21.80 141
18.8
28 Sep' 18
6.95
42.28
0
0
27.09
27.39
0.00
0.00
Q
P
E
14.74 2,391
18.3
22 Dec' 20
-3.12
0
0
0
17.51
0.00
0.00
0.00
Q
P
E
46.62 8,626
18
12 May' 14
3.67
49.44
11.77
0
0.00
0.00
0.00
0.00
Q
P
E
20.79 1,401
18
30 Oct' 18
1.42
39.33
0
0
27.09
26.77
0.00
0.00
Q
P
E
157.13 8,618
16.4
24 Feb' 05
-2.65
46.54
15.44
20.14
23.96
18.06
16.89
15.97
Q
P
E
109.21 8,954
16.3
14 Jun' 07
-0.93
43.31
11.89
20.98
26.08
19.97
19.84
20.78
Q
P
E
144.66 1,962
16.1
15 Feb' 05
0.43
43.32
8.18
17.96
23.26
15.66
14.66
16.00
Q
P
E
144.66 1,962
15.9
15 Feb' 05
0.97
42.27
8.35
18.19
22.83
15.30
14.44
15.86
Q
P
E
19.54 80
15.5
14 Aug' 18
6.4
47.97
0
0
26.88
25.99
0.00
0.00
Q
P
E
79.16 14,649
14.8
03 Apr' 08
12.39
48.24
12.78
18.32
21.29
15.47
15.67
16.40
Q
P
E
19.05 208
14.3
11 Jun' 18
5.4
46.94
0
0
25.27
25.16
0.00
0.00
Q
P
E
19.05 298
14.1
11 May' 18
8.55
49.75
0
0
25.33
24.97
0.00
0.00
Q
P
E
95.36 7,309
13.9
13 Jan' 06
8.37
44
10.37
18.29
24.08
18.55
18.47
18.37
Q
P
E
28.04 710
12.3
10 Jun' 14
-1.2
41.96
12.45
0
15.69
12.29
9.98
0.00
Q
P
E
17.15 335
11.5
09 Apr' 18
9.58
48.22
0
0
22.84
22.50
0.00
0.00
Q
P
E
52.23 4,618
11.3
18 Oct' 07
5.38
46.22
13.66
15.92
19.94
14.62
13.65
13.88
Q
P
E
14.04 1,016
11.3
17 Feb' 20
2.96
32.41
0
0
27.59
21.44
0.00
0.00
Q
P
E
49.30 2,902
10.5
31 May' 07
-3.1
36.37
4.68
14.78
19.80
14.48
14.78
15.46
Q
P
E
137.36 3,302
10.4
16 Oct' 96
3.87
68.94
21.96
15.51
20.20
13.30
10.26
10.05
Q
P
E
17.45 144
10
21 Jun' 17
0.99
42.73
11.31
0
16.12
14.94
11.39
0.00
Q
P
E
10.20 2,043
0.5
29 Jul' 21
-8.27
0
0
0
0.67
0.00
0.00
0.00
Q
P
E
9.80 557
-9.2
12 Dec' 22
0
0
0
0
0.00
0.00
0.00
0.00
Q
P
E
*Based on the Fund’s Ranking within its Category