Conservative PERFORMANCE
Sr. Scheme Name Current NAV 1 Week 1 Month 3 Month 6 Month 9 Month 1 Year 3 Year 5 Year
1 BOI AXA ConserHybEco (G) 34.4986 0.29 0.59 0.47 3.36 4.34 10.26 13.57 12.22
2 BOI AXA ConserHyb (G) 33.4044 0.28 0.55 0.37 3.14 4.01 9.81 13.29 11.94
3 Axis Rtrmnt Sav- Aggre Pl- Reg 18.27 0.66 0.72 -1.98 10.39 15.93 26.79 10.45
4 HDFC Hybrid Debt RP (G) 79.4301 0.31 0.39 0.27 4.81 7.3 13.54 10.27 10.86
5 Kotak Debt Hybrid RP (G) 56.9298 1.03 0.96 0.65 6.28 8.74 15.1 9.96 11.47
6 SBI Debt Hybrid (G) 69.8353 0.29 0.13 0.5 5.47 8.57 13.53 9.40 11.14
7 ICICI Pru RegSav (G) 72.1034 0.52 0.55 0.73 6.15 8.83 13.23 9.34 9.81
8 DSP Regular Savings (G) 56.1462 0.39 0.62 1.31 6.98 9.19 13.15 9.05 8.75
9 UTI RegularSavings (G) 66.9509 0.63 0.81 1.06 7.13 10.17 14.73 8.96 10.02
10 HSBCRegularSavings (G) 59.5808 0.67 1.5 1.98 6.9 11.87 16.94 8.95 9.04
11 Franklin India Debt Hybrid Fund - Plan A - Growth 87.0896 0.45 0.89 0.85 5.59 8.11 13.28 8.66 8.22
12 Franklin India Debt Hybrid Fund - Plan B - Growth 86.8167 0.86 0.76 0.78 4.94 8.04 13.64 8.60 8.18
13 AdityaBSL RegSav (G) 64.0455 0.44 0.89 2.03 6.49 9.5 12.91 8.59 9.66
14 NIPPON INDIA HybBond (G) 54.8431 0.23 0.57 1.18 4.34 6.24 9.29 7.69 4.68
15 Canara RobeConHy (G) 93.8145 0.47 0.64 1.5 6.51 8.68 12.54 7.63 9.32
16 BNP Paribas Conservative Hyb G 43.2810 0.62 0.95 1.04 4.83 7.33 11.67 7.60 7.64
17 Axis Rtrmnt Sav- Conser Pl- Re 15.6127 0.29 0.48 -0.52 6.66 7.78 15.97 7.38
18 Sundaram DebOriHy (G) 28.8413 0.51 0.63 1 5.07 6.17 10.66 6.90 8.38
19 IDFC RegularSaving (G) 30.8566 0.13 0.46 -0.36 4.99 6.8 10.73 5.96 6.37
20 LIC Debt Hybrid (G) 79.8143 0.52 1.22 1.21 6.18 7.11 10.92 5.78 6.76
21 Axis Regular Saver (G) 28.8160 0.35 0.45 0.18 5.48 6.84 10.09 5.61 8.20
22 Nippon India Hybrid Bond Fund - Segregated Portfolio 2 - Growth 0.0000 0 0 0 0 0 0 N/A