Top Performing Schemes

As on 13 Nov, 2019, 04:38 AM

Mutual funds may offer two schemes - dividend (profits are given to investors from time to time) and growth (profits are ploughed back into the scheme leading to higher NAV). Here’s a look at the performance of the two types of funds.

Top Performing Schemes

Scheme Name Current NAV Month's Return (%)
    Change Change %
  • 1D
  • 1W
  • 1M
  • 3M
  • 6M
  • 1Y
  • 3Y
  • 5Y
  • SI
Sundaram World Brand Fund - Series - III - Regular Plan - Growth 15.5708 0.6755 4.5350%
Sundaram World Brand Fund - Series - II - Regular Plan - Growth 15.3918 0.6674 4.5326%
Sundaram Global Advantage - Growth 16.8342 0.4129 2.5144%
Sundaram Infrastructure Advantage Fund - Growth 33.2274 0.7955 2.4528%
Sundaram Financial Services Opportunities Fund - Growth 43.6872 0.9306 2.1765%
Sundaram Select Small Cap Series - VI - Regular Plan - Growth 9.5479 0.1429 1.5194%
Sundaram Services Fund - Regular Plan - Growth 11.1850 0.1584 1.4365%
Sundaram Value Fund - Series VII - Regular Plan - Growth 8.7887 0.1067 1.2290%
Sundaram Select Small Cap Series - V - Regular Plan - Growth 9.7510 0.1100 1.1410%
Sundaram Select Small Cap Series - III - Regular Plan - Growth 14.0872 0.1248 0.8938%
Sundaram Select Small Cap Series - IV - Regular Plan - Growth 14.1117 0.1240 0.8865%
Sundaram Long Term Tax Advantage Fund - Series II - Regular Plan - Growth 14.6914 0.0498 0.3401%
Sundaram TOP 100 - Series VI - Regular Plan - Growth 12.2509 0.0216 0.1766%
Sundaram TOP 100 - Series VII - Regular Plan - Growth 12.0152 0.0180 0.1500%
Sundaram Multi Cap Fund - Series II - Regular Plan - Growth 9.9712 0.0080 0.0803%
Sundaram Value Fund - Series III - Regular Plan - Growth 16.6489 -0.0059 -0.0354%
Sundaram Multi Cap Fund - Series I - Regular Plan - Growth 9.9864 -0.0046 -0.0460%
Sundaram Select Micro Cap - Series VIII - Regular Plan - Growth 13.4539 -0.0205 -0.1521%
Sundaram Value Fund - Series II - Regular Plan - Growth 15.9643 -0.0356 -0.2225%
Sundaram Select Micro Cap - Series IX - Regular Plan - Growth 13.3809 -0.0314 -0.2341%