Med to Long Duration PERFORMANCE
Sr. Scheme Name Current NAV 1 Week 1 Month 3 Month 6 Month 9 Month 1 Year 3 Year 5 Year
1 LIC MF Bond Fund - Regular Plan - Growth 72.8978 0.01 0.3 1.45 5.42 6.38 9.6 68.37 42.36
2 LIC Bond Fund (G) 72.8978 0.01 0.3 1.45 5.42 6.38 9.6 68.37 42.36
3 ICICI Pru Bond (G) 40.5766 0.27 0.74 1.74 5.59 6.87 9.85 8.44 6.08
4 NIPPON INDIA Income (G) 90.0459 0.2 0.58 0.88 4.57 5.13 8.04 7.89 5.13
5 SBI MagIncome Gr (G) 70.9829 0.08 0.51 1.19 4.85 5.63 8.44 7.85 6.00
6 HDFC Income RP (G) 58.514 0.13 0.61 1.04 4.99 5.7 8.66 7.67 5.04
7 Kotak Bond (G) 77.2164 0.23 0.47 1.25 4.8 5.45 8.3 7.62 5.37
8 UTI Bond - Gr (G) 73.7209 0.05 0.48 1.07 4.91 5.75 8.8 7.62 8.04
9 Aditya Birla Sun Life CRISIL IBX 60:40 SDL Plus AAA PSU - Apr 2027 Index Fund - Regular Plan - Growth 12.249 0.11 0.51 2.15 4.79 6.21 8.64 7.61
10 JM Income Growth (G) 62.6002 0.04 0.42 1.62 5.79 6.57 9.44 7.60 4.75
11 AdityaBSL Income (G) 126.1155 0.2 0.63 1 4.72 5.41 8.41 7.51 5.66
12 HSBC Debt (G) 42.3092 0.09 0.37 0.89 4.8 5.3 8.06 6.77 4.34
13 IDFC Bond Income (G) 64.8621 0.26 0.65 0.49 3.7 3.91 6.61 6.52 4.19
14 CanaraRob Income (G) 55.5245 0.13 0.38 0.64 3.98 4.45 6.95 6.51 4.40