The fund has given 23.94 per cent annualised SIP returns in the 10-year period. The fund has assets under management (AUM) of Rs 3,290 crore, while its net asset value (NAV) is Rs 139.2020.
The fund in the No. 2 position has given 21.6 per cent XIRR in five years. The fund has an asset base of Rs 37,846 crore, while its NAV rate is 164.5020.
The fund has given 21.38 per cent annualised NAV returns in 10 years. It has AUM of Rs 5,360 crore, while its NAV price is Rs 147.9700.
The fund has given a 20.66 per cent annualised SIP return in 10 years. It has an asset base of Rs 24,055 crore, while the price of its NAV is Rs 377.2620.
The fund has had 20.71 per cent annualised SIP returns in the 10-year period. It has AUM of Rs 14,486 crore, while its NAV price is Rs 1,046.6100.