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The Axis Gilt Fund Growth has an AUM of 836.04 crores & has delivered CAGR of 6.06% in the last 5 years. The fund has an exit load of 0.00% and an expense ratio of 0.80%. The minimum investment in ...
The Axis Small Cap Fund Regular Growth has an AUM of 22735.71 crores & has delivered CAGR of 29.30% in the last 5 years. The fund has an exit load of 1.00% and an expense ratio of 1.62%.
ICICI Prudential Mutual Fund was neutral on Axis Bank in the month. What about fund selling? ICICI Prudential MF was a heavy seller in Bharti Airtel, NTPC Ltd, and Sun Pharma; and also sold ...
The Securities and Exchange Board of India (SEBI) is working on a review of mutual fund (MF) regulations, including possible relaxations on clause 24 (b) restrictions on business activities ...
Standard Deviation value gives an idea about how volatile fund returns has been in the past 3 years. Lower value indicates more predictable performance. So if you are comparing 2 funds (lets say ...
When planning for long-term financial goals like retirement, both the National Pension System (NPS) and Mutual Fund Systematic Investment Plans (SIPs) emerge as powerful tools. However ...
March 2025 saw overall mutual fund AUM expand from ₹64.53 Trillion to ₹65.74 Trillion; despite net outflows of ₹(1.64) Trillion. AUM accretion in equity oriented funds in March were ...
When you think of investing in mutual funds, the first question that comes to mind is — which fund to choose? In such a situation, the rating of the fund comes as an important indicator.
MONTREAL, April 23, 2025 /CNW/ - Desjardins Group is pleased to announce changes to its investment fund lineup that will ... comprehensive range of mutual funds that meet the constantly evolving ...
Whenever you think of investing in mutual funds, the first yardstick that comes to mind to judge a fund is its returns in the short and long term. Many websites directly show you the ‘point-to ...
Nippon India Mutual Fund (NIMF) today announced the expansion of its strategic partnership with Adobe to elevate its digital investor experience. As part of this collaboration, NIMF is leveraging ...
Fund evaluation across critical parameters for better decision making. Study period is 3 years. Volatility represents the standard deviation of fund returns that is, how much the fund returns have ...
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