- Invest In Top Funds
- Invest In Goals
Build Wealth ?
Be your own master.
Plan the goal to achieve your financial goal.
Dream Home
Whether its for your first
home or subsequent one, it does not matter.
Kids Education
Kid's Education is very
important, and more important is to plan for it.
Emergancy Fund
Your money will be invested in Low Risk, Quick Withdrawl, Inflation beating funds only.
Buy a Car ?
Buying it without taking a loan is always a good Financial Decision.
Special Day Fund ?
Planning in advance will help you save for a lifetime experience
Plan For Marriage ?
Plannig for marriage?
It's good to invenst in
advance.
Create Own Goal ?
A relatively new approach to wealth management is goal-based investing.
FundsPI Recommended Categories
ICICI Prudential Equity & Debt Fund
Balanced Equity - Aggressive Allocation | Growth
NAV: 238.73(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 3 Years Investment Horizon
ICICI Prudential Balanced Advantage Fund
Balanced Equity - Dynamic Asset Allocation | Growth
NAV: 52.52(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Mod High RISK Category
- > 3 Years Investment Horizon
ICICI Prudential Multi-Asset Fund
Balanced Equity - Multi Asset allocation | Growth
NAV: 479.19(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 3 Years Investment Horizon
ICICI Prudential Banking and Financial Services Fund
Equity - Sector-Financial Services | Growth
NAV: 86.05(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 5 Years Investment Horizon
Nippon India Large Cap Fund
Equity - Large Cap | Growth
NAV: 53.99(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 3 Years Investment Horizon
ICICI Prudential Technology Fund
Equity - Sector - Technology | Growth
NAV: 132.02(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 5 Years Investment Horizon
ICICI Prudential Multicap Fund
Equity - Multi Cap | Growth
NAV: 454.30(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 5 Years Investment Horizon
Nippon India Equity Hybrid Fund
Balanced Equity - Aggressive Allocation | Growth
NAV: 69.31(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 3 Years Investment Horizon
ICICI Prudential Bluechip Fund
Equity - Large Cap | Growth
NAV: 67.53(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 3 Years Investment Horizon
ICICI Prudential FMCG Fund
Equity - Sector - FMCG | Growth
NAV: 391.59(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 5 Years Investment Horizon
Nippon India Small Cap Fund
Equity - Small Cap | Growth
NAV: 90.92(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 5 Years Investment Horizon
Nippon India Focused Equity Fund
Equity - Focused Fund | Growth
NAV: 76.93(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 5 Years Investment Horizon
ICICI Prudential Nifty 50 Index Fund
Equity - Index Fund | Growth
NAV: 171.10(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 3 Years Investment Horizon
ICICI Prudential Value Discovery Fund
Equity - Value | Growth
NAV: 273.75(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 5 Years Investment Horizon
Nippon India Banking & Financial Services Fund
Equity - Sector-Financial Services | Growth
NAV: 382.27(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 5 Years Investment Horizon
ICICI Prudential Exports and Services Fund
Equity - Equity-Other | Growth
NAV: 95.63(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 3 Years Investment Horizon
ICICI Prudential MidCap Fund
Equity - Mid Cap | Growth
NAV: 157.46(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 5 Years Investment Horizon
Nippon India Multi Cap Fund
Equity - Multi Cap | Growth
NAV: 162.90(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 5 Years Investment Horizon
Nippon India Value Fund
Equity - Value | Growth
NAV: 121.03(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 5 Years Investment Horizon
ICICI Prudential Large & Mid Cap Fund.
Equity - Large & Midcap | Growth
NAV: 568.08(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 5 Years Investment Horizon
Nippon India Growth Fund
Equity - Mid Cap | Growth
NAV: 2083.28(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 5 Years Investment Horizon
Nippon India Pharma Fund
Equity - Sector - Pharma | Growth
NAV: 270.59(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 5 Years Investment Horizon
Nippon India Vision Fund
Equity - Large & Midcap | Growth
NAV: 820.73(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 5 Years Investment Horizon
ICICI Prudential Infrastructure Fund
Equity - Sector - Infrastructure | Growth
NAV: 101.07(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 5 Years Investment Horizon
Nippon India Power & Infra Fund
Equity - Sector - Infrastructure | Growth
NAV: 175.03(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 5 Years Investment Horizon
Nippon India Power & Infra Fund
Equity - Equity-Infrastructure | Dividend
NAV: 175.03(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 5 Years Investment Horizon
Nippon India Balanced Advantage Fund
Balanced Equity - Dynamic Asset Allocation | Dividend
NAV: 27.73(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Mod High RISK Category
- > 3 Years Investment Horizon
Nippon India Balanced Advantage Fund
Balanced Equity - Dynamic Asset Allocation | Dividend
NAV: 27.73(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Mod High RISK Category
- > 3 Years Investment Horizon
Nippon India Pharma Fund
Equity - Sector - Pharma | Dividend
NAV: 270.59(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 5 Years Investment Horizon
ICICI Prudential Equity & Debt Fund
Balanced Equity - Aggressive Allocation | Dividend
NAV: 29.93(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 3 Years Investment Horizon
ICICI Prudential Retirement Fund - Hybrid Aggressive Plan
Equity - Speciality - Retirement | Growth
NAV: 14.59(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 5 Years Investment Horizon
ICICI Prudential Retirement Fund - Hybrid Aggressive Plan
Equity - Speciality - Retirement | Dividend
NAV: 14.59(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 5 Years Investment Horizon
ICICI Prudential Retirement Fund - Pure Debt Plan
Equity - Speciality - Retirement | Growth
NAV: 12.90(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Moderate RISK Category
- > 5 Years Investment Horizon
Nippon India Equity Hybrid Fund
Balanced Equity - Aggressive Allocation | Dividend
NAV: 12.43(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 3 Years Investment Horizon
Nippon India Equity Hybrid Fund
Balanced Equity - Aggressive Allocation | Dividend
NAV: 12.43(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 3 Years Investment Horizon
Nippon India Equity Savings Fund
Balanced Equity - Equity Savings | Dividend
NAV: 13.06(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Moderate RISK Category
- > 3 Years Investment Horizon
Nippon India Growth Fund
Equity - Mid Cap | Dividend
NAV: 72.01(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 5 Years Investment Horizon
Nippon India Growth Fund
Equity - Mid Cap | Dividend
NAV: 72.01(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 5 Years Investment Horizon
Nippon India Small Cap Fund
Equity - Small Cap | Dividend
NAV: 57.29(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 5 Years Investment Horizon
Nippon India Quant Fund
Equity - Equity-Other | Growth
NAV: 41.59(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 3 Years Investment Horizon
Nippon India Vision Fund
Equity - Large & Midcap | Dividend
NAV: 138.23(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 5 Years Investment Horizon
ICICI Prudential Balanced Advantage Fund
Balanced Equity - Dynamic Asset Allocation | Dividend
NAV: None(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- High Risk RISK Category
- > 3 Years Investment Horizon
ICICI Prudential Dividend Yield Equity Fund
Equity - Dividend Yield | Dividend
NAV: 14.43(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 3 Years Investment Horizon
ICICI Prudential Dividend Yield Equity Fund
Equity - Dividend Yield | Dividend
NAV: 14.43(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 3 Years Investment Horizon
ICICI Prudential Multicap Fund
Equity - Multi Cap | Dividend
NAV: 23.63(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 5 Years Investment Horizon
ICICI Prudential Nifty 50 Index Fund
Equity - Index Fund | Dividend
NAV: 22.79(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 3 Years Investment Horizon
ICICI Prudential Nifty 50 Index Fund
Equity - Index Fund | Dividend
NAV: 22.79(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 3 Years Investment Horizon
ICICI Prudential FMCG Fund
Equity - Sector - FMCG | Dividend
NAV: 85.70(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 5 Years Investment Horizon
ICICI Prudential Child Care Fund (Gift Plan)
Equity - Speciality - Children | Growth
NAV: 194.34(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 5 Years Investment Horizon
Nippon India Vision Fund
Equity - Large & Midcap | Dividend
NAV: 44.14(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 5 Years Investment Horizon
Nippon India Vision Fund
Equity - Large & Midcap | Dividend
NAV: 44.14(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 5 Years Investment Horizon
Nippon India US Equity Opportunities Fund
Equity - Global-Other | Dividend
NAV: 22.51(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 3 Years Investment Horizon
Nippon India US Equity Opportunities Fund
Equity - Global-Other | Dividend
NAV: 22.51(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 3 Years Investment Horizon
Nippon India Banking & Financial Services Fund
Equity - Sector-Financial Services | Dividend
NAV: 382.27(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 5 Years Investment Horizon
Nippon India Balanced Advantage Fund
Balanced Equity - Dynamic Asset Allocation | Dividend
NAV: 125.20(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Mod High RISK Category
- > 3 Years Investment Horizon
Nippon India Large Cap Fund
Equity - Large Cap | Dividend
NAV: 53.99(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 3 Years Investment Horizon
Nippon India Index Fund - Nifty 50 Plan
Equity - Index Fund | Growth
NAV: 28.96(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 3 Years Investment Horizon
Nippon India Index Fund - S&P BSE Sensex Plan
Equity - Index Fund | Dividend
NAV: 23.22(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 3 Years Investment Horizon
Nippon India Index Fund - S&P BSE Sensex Plan
Equity - Index Fund | Dividend
NAV: 23.22(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 3 Years Investment Horizon
ICICI Prudential MidCap Fund
Equity - Mid Cap | Dividend
NAV: 26.43(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 5 Years Investment Horizon
Nippon India Multi Cap Fund
Equity - Multi Cap | Dividend
NAV: 40.92(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 5 Years Investment Horizon
Nippon India Multi Cap Fund
Equity - Multi Cap | Dividend
NAV: 40.92(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 5 Years Investment Horizon
Nippon India Multi Cap Fund
Equity - Multi Cap | Dividend
NAV: 162.90(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 5 Years Investment Horizon
ICICI Prudential Equity Savings Fund
Balanced Equity - Equity Savings | Dividend
NAV: None(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Low to Moderate Riskometer RISK Category
- > 3 Years Investment Horizon
ICICI Prudential Equity & Debt Fund
Balanced Equity - Aggressive Allocation | Dividend
NAV: 19.73(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 3 Years Investment Horizon
Nippon India Balanced Advantage Fund
Balanced Equity - Dynamic Asset Allocation | Growth
NAV: 125.20(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Mod High RISK Category
- > 3 Years Investment Horizon
ICICI Prudential Dividend Yield Equity Fund
Equity - Dividend Yield | Growth
NAV: 29.17(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 3 Years Investment Horizon
Nippon India Quant Fund
Equity - Equity-Other | Dividend
NAV: 22.17(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 3 Years Investment Horizon
Nippon India Quant Fund
Equity - Equity-Other | Dividend
NAV: 22.17(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 3 Years Investment Horizon
Nippon India Focused Equity Fund
Equity - Focused Fund | Dividend
NAV: 26.19(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 5 Years Investment Horizon
Nippon India Focused Equity Fund
Equity - Focused Fund | Dividend
NAV: 26.19(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 5 Years Investment Horizon
Nippon India Large Cap Fund
Equity - Large Cap | Dividend
NAV: 19.11(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 3 Years Investment Horizon
Nippon India Large Cap Fund
Equity - Large Cap | Dividend
NAV: 19.11(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 3 Years Investment Horizon
Nippon India Japan Equity Fund
Equity - Global-Other | Dividend
NAV: 15.34(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 3 Years Investment Horizon
Nippon India Index Fund - S&P BSE Sensex Plan
Equity - Index Fund | Growth
NAV: 29.45(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 3 Years Investment Horizon
Nippon India Consumption Fund
Equity - Equity-Consumption | Growth
NAV: 122.20(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 5 Years Investment Horizon
Nippon India Banking & Financial Services Fund
Equity - Sector-Financial Services | Dividend
NAV: 51.66(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 5 Years Investment Horizon
Nippon India Banking & Financial Services Fund
Equity - Sector-Financial Services | Dividend
NAV: 51.66(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 5 Years Investment Horizon
Nippon India Index Fund - Nifty 50 Plan
Equity - Index Fund | Dividend
NAV: 28.96(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 3 Years Investment Horizon
ICICI Prudential US Bluechip Equity Fund
Equity - Global-Other | Dividend
NAV: 48.70(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 3 Years Investment Horizon
ICICI Prudential Pharma Healthcare and Diagnostics Fund
Equity - Sector - Health Care | Growth
NAV: 18.64(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 5 Years Investment Horizon
ICICI Prudential Infrastructure Fund
Equity - Equity-Infrastructure | Dividend
NAV: 18.41(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 5 Years Investment Horizon
ICICI Prudential Retirement Fund - Hybrid Conservative Plan
Equity - Speciality - Retirement | Growth
NAV: 12.90(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Mod High RISK Category
- > 5 Years Investment Horizon
ICICI Prudential Value Discovery Fund
Equity - Value | Dividend
NAV: 28.44(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 5 Years Investment Horizon
Nippon India Index Fund - S&P BSE Sensex Plan
Equity - Index Fund | Dividend
NAV: 29.45(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 3 Years Investment Horizon
ICICI Prudential Smallcap Fund.
Equity - Small Cap | Dividend
NAV: 25.57(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 5 Years Investment Horizon
ICICI Prudential Smallcap Fund.
Equity - Small Cap | Dividend
NAV: 25.57(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 5 Years Investment Horizon
ICICI Prudential India Opportunities Fund
Equity - Equity-Other | Growth
NAV: 19.50(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 3 Years Investment Horizon
ICICI Prudential Manufacturing Fund
Equity - Equity-Infrastructure | Growth
NAV: 18.25(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 5 Years Investment Horizon
ICICI Prudential Nifty Next 50 Index Fund
Equity - Index Fund | Growth
NAV: 33.27(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 3 Years Investment Horizon
ICICI Prudential Exports and Services Fund
Equity - Equity-Other | Dividend
NAV: 27.94(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 3 Years Investment Horizon
ICICI Prudential India Opportunities Fund
Equity - Equity-Other | Dividend
NAV: 15.33(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 3 Years Investment Horizon
ICICI Prudential India Opportunities Fund
Equity - Equity-Other | Dividend
NAV: 15.33(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 3 Years Investment Horizon
ICICI Prudential Large & Mid Cap Fund.
Equity - Large & Midcap | Dividend
NAV: 21.71(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 5 Years Investment Horizon
ICICI Prudential Large & Mid Cap Fund.
Equity - Large & Midcap | Dividend
NAV: 21.71(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 5 Years Investment Horizon
ICICI Prudential Equity & Debt Fund
Balanced Equity - Aggressive Allocation | Dividend
NAV: 19.84(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 3 Years Investment Horizon
ICICI Prudential Pharma Healthcare and Diagnostics Fund
Equity - Sector - Health Care | Dividend
NAV: 14.10(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 5 Years Investment Horizon
Nippon India Pharma Fund
Equity - Sector - Pharma | Dividend
NAV: 75.14(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 5 Years Investment Horizon
Nippon India Pharma Fund
Equity - Sector - Pharma | Dividend
NAV: 75.14(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 5 Years Investment Horizon
ICICI Prudential Retirement Fund - Hybrid Conservative Plan
Equity - Speciality - Retirement | Dividend
NAV: 12.90(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Mod High RISK Category
- > 5 Years Investment Horizon
Nippon India Index Fund - S&P BSE Sensex Plan
Equity - Index Fund | Dividend
NAV: 23.22(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 3 Years Investment Horizon
Nippon India Index Fund - S&P BSE Sensex Plan
Equity - Index Fund | Dividend
NAV: 23.22(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 3 Years Investment Horizon
ICICI Prudential Equity Savings Fund
Balanced Equity - Equity Savings | Dividend
NAV: None(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Low to Moderate Riskometer RISK Category
- > 3 Years Investment Horizon
Nippon India Index Fund - Nifty 50 Plan
Equity - Index Fund | Dividend
NAV: 22.76(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 3 Years Investment Horizon
Nippon India Index Fund - Nifty 50 Plan
Equity - Index Fund | Dividend
NAV: 22.76(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 3 Years Investment Horizon
ICICI Prudential Manufacturing Fund
Equity - Equity-Infrastructure | Dividend
NAV: 13.94(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 5 Years Investment Horizon
ICICI Prudential Manufacturing Fund
Equity - Equity-Infrastructure | Dividend
NAV: 13.94(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 5 Years Investment Horizon
Nippon India Index Fund - Nifty 50 Plan
Equity - Index Fund | Dividend
NAV: 22.84(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 3 Years Investment Horizon
Nippon India Index Fund - Nifty 50 Plan
Equity - Index Fund | Dividend
NAV: 22.84(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 3 Years Investment Horizon
Nippon India Value Fund
Equity - Value | Dividend
NAV: 28.55(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 5 Years Investment Horizon
ICICI Prudential Bharat Consumption Fund
Equity - Equity-Consumption | Dividend
NAV: 12.97(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 5 Years Investment Horizon
ICICI Prudential Bharat Consumption Fund
Equity - Equity-Consumption | Dividend
NAV: 12.97(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 5 Years Investment Horizon
Nippon India Consumption Fund
Equity - Equity-Consumption | Dividend
NAV: 122.20(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 5 Years Investment Horizon
Nippon India Index Fund - Nifty 50 Plan
Equity - Index Fund | Dividend
NAV: 22.84(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 3 Years Investment Horizon
Nippon India Index Fund - Nifty 50 Plan
Equity - Index Fund | Dividend
NAV: 22.84(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 3 Years Investment Horizon
Nippon India Index Fund - S&P BSE Sensex Plan
Equity - Index Fund | Dividend
NAV: 23.22(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 3 Years Investment Horizon
Nippon India Index Fund - S&P BSE Sensex Plan
Equity - Index Fund | Dividend
NAV: 23.22(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 3 Years Investment Horizon
Nippon India Power & Infra Fund
Equity - Equity-Infrastructure | Dividend
NAV: 39.24(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 5 Years Investment Horizon
ICICI Prudential Retirement Fund - Pure Debt Plan
Equity - Speciality - Retirement | Dividend
NAV: 12.90(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Moderate RISK Category
- > 5 Years Investment Horizon
ICICI Prudential Retirement Fund - Pure Equity Plan
Equity - Speciality - Retirement | Dividend
NAV: 16.72(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 5 Years Investment Horizon
Nippon India Equity Savings Fund
Balanced Equity - Equity Savings | Dividend
NAV: 11.03(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Moderate RISK Category
- > 3 Years Investment Horizon
Nippon India Equity Savings Fund
Balanced Equity - Equity Savings | Dividend
NAV: 11.03(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Moderate RISK Category
- > 3 Years Investment Horizon
IDFC Nifty 50 Index Fund
Equity - Index Fund | Dividend
NAV: 33.43(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 3 Years Investment Horizon
ICICI Prudential Bharat Consumption Fund
Equity - Equity-Consumption | Growth
NAV: 15.57(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 5 Years Investment Horizon
Nippon India Small Cap Fund
Equity - Small Cap | Dividend
NAV: 90.92(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 5 Years Investment Horizon
ICICI Prudential Bluechip Fund
Equity - Large Cap | Dividend
NAV: 23.44(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 3 Years Investment Horizon
ICICI Prudential Technology Fund
Equity - Sector - Technology | Dividend
NAV: 54.28(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 5 Years Investment Horizon
ICICI Prudential Nifty Next 50 Index Fund
Equity - Index Fund | Dividend
NAV: 33.27(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 3 Years Investment Horizon
IDFC Nifty 50 Index Fund
Equity - Index Fund | Growth
NAV: 36.84(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 3 Years Investment Horizon
Nippon India Equity Savings Fund
Balanced Equity - Equity Savings | Growth
NAV: 13.06(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Moderate RISK Category
- > 3 Years Investment Horizon
Nippon India Growth Fund
Equity - Mid Cap | Dividend
NAV: 346.80(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 5 Years Investment Horizon
Nippon India Quant Fund
Equity - Equity-Other | Dividend
NAV: 41.59(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 3 Years Investment Horizon
Nippon India Equity Hybrid Fund
Balanced Equity - Aggressive Allocation | Dividend
NAV: 20.02(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 3 Years Investment Horizon
Nippon India Equity Hybrid Fund
Balanced Equity - Aggressive Allocation | Dividend
NAV: 20.02(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 3 Years Investment Horizon
ICICI Prudential S&P BSE Sensex Index Fund
Equity - Index Fund | Dividend
NAV: 18.81(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 3 Years Investment Horizon
ICICI Prudential S&P BSE Sensex Index Fund
Equity - Index Fund | Dividend
NAV: 18.81(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 3 Years Investment Horizon
Nippon India Japan Equity Fund
Equity - Global-Other | Growth
NAV: 15.34(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 3 Years Investment Horizon
ICICI Prudential Balanced Advantage Fund
Balanced Equity - Dynamic Asset Allocation | Dividend
NAV: 17.39(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Mod High RISK Category
- > 3 Years Investment Horizon
ICICI Prudential Equity Savings Fund
Balanced Equity - Equity Savings | Growth
NAV: 18.17(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Low to Moderate Riskometer RISK Category
- > 3 Years Investment Horizon
ICICI Prudential Equity Savings Fund
Balanced Equity - Equity Savings | Dividend
NAV: 12.19(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Low to Moderate Riskometer RISK Category
- > 3 Years Investment Horizon
ICICI Prudential US Bluechip Equity Fund
Equity - Global-Other | Growth
NAV: 48.70(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 3 Years Investment Horizon
ICICI Prudential S&P BSE Sensex Index Fund
Equity - Index Fund | Growth
NAV: 18.81(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 3 Years Investment Horizon
ICICI Prudential Multi-Asset Fund
Balanced Equity - Multi Asset allocation | Dividend
NAV: 25.08(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 3 Years Investment Horizon
Nippon India Consumption Fund
Equity - Equity-Consumption | Dividend
NAV: 28.01(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 5 Years Investment Horizon
Nippon India Consumption Fund
Equity - Equity-Consumption | Dividend
NAV: 28.01(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 5 Years Investment Horizon
ICICI Prudential Retirement Fund - Pure Equity Plan
Equity - Speciality - Retirement | Growth
NAV: 16.72(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 5 Years Investment Horizon
ICICI Prudential Balanced Advantage Fund
Balanced Equity - Dynamic Asset Allocation | Dividend
NAV: 16.37(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Mod High RISK Category
- > 3 Years Investment Horizon
ICICI Prudential Smallcap Fund.
Equity - Small Cap | Growth
NAV: 52.63(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 5 Years Investment Horizon
Nippon India Equity Hybrid Fund
Balanced Equity - Aggressive Allocation | Dividend
NAV: 17.02(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 3 Years Investment Horizon
Nippon India Equity Hybrid Fund
Balanced Equity - Aggressive Allocation | Dividend
NAV: 17.02(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 3 Years Investment Horizon
ICICI Prudential Banking and Financial Services Fund
Equity - Sector-Financial Services | Dividend
NAV: 28.72(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 5 Years Investment Horizon
Nippon India Equity Savings Fund
Balanced Equity - Equity Savings | Dividend
NAV: 11.19(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Moderate RISK Category
- > 3 Years Investment Horizon
Nippon India Equity Savings Fund
Balanced Equity - Equity Savings | Dividend
NAV: 11.19(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Moderate RISK Category
- > 3 Years Investment Horizon
Nippon India Equity Savings Fund
Balanced Equity - Equity Savings | Dividend
NAV: 11.04(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Moderate RISK Category
- > 3 Years Investment Horizon
Nippon India Equity Savings Fund
Balanced Equity - Equity Savings | Dividend
NAV: 11.04(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Moderate RISK Category
- > 3 Years Investment Horizon
Nippon India US Equity Opportunities Fund
Equity - Global-Other | Growth
NAV: 22.51(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 3 Years Investment Horizon
Nippon India Japan Equity Fund
Equity - Global-Other | Dividend
NAV: 15.34(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 3 Years Investment Horizon
Nippon India Japan Equity Fund
Equity - Global-Other | Dividend
NAV: 15.34(31-Mar-2023)
- ₹ 100.0 Min SIP Amount
- Very High Riskometer RISK Category
- > 3 Years Investment Horizon