Alternative To FD's

Best suited for goals with investment horizon of 1-3 years and for the investor who have low level of risk tolerance.

FundsPi
Low Risk Tolerance

Investors looking to avoid high level of market fluctuations


FundsPi
Stable Returns

Better returns than parking funds in fixed deposits.


FundsPi
Short Term Horizon

Best suited to park money for 1-3 years with minimal risk.



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Monthly (SIP)    OneTime(Lumpsum)



Based on past performance, investment would have grown as below
Total Invested Amount 25K
Gained 5.05K
Total Value 30.05K

Where will your money be invested?


Funds Name
ANNUALISED RETURNS(3 Yr)
Amount
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Fund House

Horizon

Risk

Category

SBI Magnum Constant Maturity Fund

Debt - Government Bond | Growth

NAV: 52.73(31-Mar-2023)

  • 7.46 % Return( > 5 Yrs )
  • Moderate RISK Category
  • > 5 Years Investment Horizon

Nippon India Gilt Securities Fund

Debt - Government Bond | Growth

NAV: 32.09(31-Mar-2023)

  • 7.09 % Return( > 5 Yrs )
  • Moderate RISK Category
  • > 5 Years Investment Horizon

UTI Gilt Fund

Debt - Government Bond | Growth

NAV: 52.84(31-Mar-2023)

  • 6.75 % Return( > 5 Yrs )
  • Moderate RISK Category
  • > 5 Years Investment Horizon

ICICI Prudential All Seasons Bond Fund

Debt - Dynamic Bond | Growth

NAV: 30.87(31-Mar-2023)

  • 7.32 % Return( > 5 Yrs )
  • Moderate RISK Category
  • > 5 Years Investment Horizon

Kotak Corporate Bond Fund

Debt - Corporate Bond | Growth

NAV: 3161.40(31-Mar-2023)

  • 5.52 % Return( > 3 Yrs )
  • Low to Moderate Riskometer RISK Category
  • > 3 Years Investment Horizon

SBI Magnum Gilt Fund

Debt - Government Bond | Growth

NAV: 55.13(31-Mar-2023)

  • 7.67 % Return( > 5 Yrs )
  • Moderate RISK Category
  • > 5 Years Investment Horizon

SBI Magnum Medium Duration Fund

Debt - Medium Duration | Growth

NAV: 42.97(31-Mar-2023)

  • 6.04 % Return( > 3 Yrs )
  • Mod High RISK Category
  • > 3 Years Investment Horizon

Aditya Birla Sun Life Corporate Bond Fund

Debt - Corporate Bond | Growth

NAV: 94.39(31-Mar-2023)

  • 6.45 % Return( > 3 Yrs )
  • Low to Moderate Riskometer RISK Category
  • > 3 Years Investment Horizon

Franklin India Corporate Debt Fund

Debt - Corporate Bond | Growth

NAV: 83.49(31-Mar-2023)

  • 5.23 % Return( > 3 Yrs )
  • Low to Moderate Riskometer RISK Category
  • > 3 Years Investment Horizon