Low Duration PERFORMANCE
Sr. Scheme Name Current NAV 1 Week 1 Month 3 Month 6 Month 9 Month 1 Year 3 Year 5 Year
1 ICICI Pru Savings (G) 518.469 0.14 0.67 1.99 4.05 6.21 7.99 6.44 6.46
2 UTI Treasury Adv (G) 3382.1524 0.12 0.59 1.99 3.92 5.88 7.7 6.27 7.04
3 Axis Treasury Adv (G) 2950.1962 0.13 0.63 1.91 3.87 5.9 7.67 6.20 5.97
4 Axis TreasuryAdv Ret (G) 2765.9479 0.13 0.63 1.91 3.87 5.9 7.67 6.20 6.01
5 Mahin Ult Shrt Tr Yojana- Reg 1316.6187 0.13 0.6 1.79 3.63 5.59 7.28 6.04 5.52
6 DSP Low Duration (G) 18.9386 0.12 0.58 1.84 3.75 5.74 7.4 6.02 5.67
7 HDFC Low Duration (G) 55.1563 0.12 0.59 1.84 3.78 5.79 7.43 6.02 6.04
8 CanaraRob Savings (G) 40.2500 0.14 0.57 1.82 3.73 5.69 7.4 5.99 5.53
9 Tata TreasuryAdva RP (G) 3752.8871 0.11 0.58 1.84 3.74 5.69 7.42 5.98 5.83
10 InvescoIndTrAdv (G) 3612.2113 0.13 0.6 1.85 3.76 5.75 7.51 5.97 5.73
11 IDFC Low Duration (G) 36.8213 0.12 0.54 1.8 3.67 5.62 7.33 5.94 5.68
12 NIPPON INDIA Low Dur (G) 3574.0956 0.11 0.58 1.88 3.74 5.66 7.36 5.94 5.90
13 AdityaBSL Low Dur (G) 627.8427 0.12 0.55 1.78 3.59 5.49 7.13 5.88 5.80
14 SBI MagLowDur (G) 3338.4457 0.12 0.58 1.8 3.7 5.62 7.32 5.87 5.54
15 JM Low Duration Fund GR 35.3788 0.12 0.58 1.81 3.71 5.6 7.29 5.85 9.21
16 Sundarm LowDur (G) 3309.9973 0.12 0.56 1.94 3.77 5.62 7.25 5.83 6.86
17 MiraeAsset SavingReg (G) 2157.8871 0.12 0.57 1.8 3.75 5.69 7.39 5.82 5.38
18 NIPPON INDIA Low Dur RP (G) 3397.4520 0.11 0.57 1.84 3.65 5.53 7.18 5.81 5.78
19 Kotak Low Duration (G) 3195.8893 0.12 0.62 1.9 3.77 5.73 7.32 5.80 5.83
20 UTI Treasury Adv Ret (G) 5981.8579 0.12 0.58 1.9 3.71 5.55 7.25 5.80 6.56
21 BNP Paribas Low Duration - Reg 38.4039 0.1 0.53 1.74 3.57 5.39 7.03 5.80 5.93
22 Mahindra LowDurBaYoj (G) 1563.4211 0.13 0.58 1.8 3.63 5.54 7.16 5.70 5.36
23 LIC Savings (G) 37.8152 0.12 0.55 1.75 3.57 5.43 7.07 5.67 5.59
24 Baroda BNP Paribas Low Duration Fund 38.3374 0.1 0.53 1.74 3.53 5.35 6.96 5.66 5.56
25 InvescoIndTrAdv - RP (G) 3229.4662 0.12 0.54 1.68 3.41 5.23 6.83 5.33 5.09