Mutual funds in idcw periodic options

Looking for top Best Mutual Funds options. This page lists IDCW Periodic funds. Compare performance, NAV, holdings, and risk metrics below to find funds that match your investment objectives.

Key Highlights Mutual funds in idcw periodic options :

  • Bandhan Floater Fund Direct-IDCW Periodic has delivered one of the strongest 5 year returns at 6.45%.
  • The lowest expense ratio is offered by Bandhan Income Plus Arbitrage Active FoF Direct-IDCW Periodic at 0.04%.
  • LIC MF Overnight Fund Direct-IDCW Periodic has the highest NAV at ₹1,402.73, while Tata Floating Rate Fund Regular-IDCW Periodic has one of the lowest NAV at ₹13.34.
  • In terms of scale, Bandhan Money Market Fund Direct-IDCW Periodic manages the highest AUM around ₹13,437.11 Cr, whereas Tata Floating Rate Fund Regular-IDCW Periodic is among the lowest AUM around ₹109.79 Cr.
  • The most affordable entry point is offered by Bandhan Money Market Fund Direct-IDCW Periodic with a minimum investment of ₹100.

Top Performing Mutual funds in idcw periodic options

Scheme NameFund Type / Category1 Year2 Years3 Years4 Years5 Years7 Years10 Years
Bandhan Floater Fund Direct-IDCW PeriodicDebt / Floater5.77%7.98%7.64%7.13%6.45%--
Bandhan Money Market Fund Direct-IDCW PeriodicDebt / Money Market6.58%7.36%7.41%7.05%6.38%6.27%6.57%
Bandhan Short Duration Fund Direct-IDCW PeriodicDebt / Short Duration5.48%7.73%7.44%6.98%6.26%7.09%7.24%
Bandhan Income Plus Arbitrage Active FoF Direct-IDCW Periodic5.53%7.46%7.19%6.75%6.09%7.15%7.24%
Bandhan Gilt Fund Direct-IDCW PeriodicDebt / Gilt1.17%7.08%7.06%6.72%5.98%7.80%8.03%
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AUM (in Cr) +

Min 0 Cr

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Invest
₹ 10,000
Payment Mode
Monthly
Invest for
5 Years
Maturity Value
₹619,598
AUM
₹255.01 Cr
Expense ratio
0.1%
Current NAV
13.5021
Category
Debt
1 Yr Return
5.77%
3 Yr Return
7.64%
5 Yr Return
6.45%
7 Yr Return
-
10 Yr Return
-
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Maturity Value
₹619,382
AUM
₹13,437.11 Cr
Expense ratio
0.1%
Current NAV
16.8748
Category
Debt
1 Yr Return
6.58%
3 Yr Return
7.41%
5 Yr Return
6.38%
7 Yr Return
6.27%
10 Yr Return
6.57%
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Maturity Value
₹618,998
AUM
₹8,611.82 Cr
Expense ratio
0.34%
Current NAV
23.0740
Category
Debt
1 Yr Return
5.48%
3 Yr Return
7.44%
5 Yr Return
6.26%
7 Yr Return
7.09%
10 Yr Return
7.24%
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Maturity Value
₹618,506
AUM
₹1,592.50 Cr
Expense ratio
0.04%
Current NAV
16.5146
Category
1 Yr Return
5.53%
3 Yr Return
7.19%
5 Yr Return
6.09%
7 Yr Return
7.15%
10 Yr Return
7.24%
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Maturity Value
₹618,167
AUM
₹1,852.66 Cr
Expense ratio
0.55%
Current NAV
18.5073
Category
Debt
1 Yr Return
1.17%
3 Yr Return
7.06%
5 Yr Return
5.98%
7 Yr Return
7.80%
10 Yr Return
8.03%
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Maturity Value
₹617,955
AUM
₹255.01 Cr
Expense ratio
0.72%
Current NAV
13.4451
Category
Debt
1 Yr Return
5.12%
3 Yr Return
7.07%
5 Yr Return
5.91%
7 Yr Return
-
10 Yr Return
-
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Maturity Value
₹617,607
AUM
₹2,103.29 Cr
Expense ratio
0.86%
Current NAV
13.5433
Category
Debt
1 Yr Return
0.97%
3 Yr Return
6.82%
5 Yr Return
5.80%
7 Yr Return
7.38%
10 Yr Return
7.62%
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Maturity Value
₹617,596
AUM
₹13,437.11 Cr
Expense ratio
0.35%
Current NAV
13.9073
Category
Debt
1 Yr Return
6.31%
3 Yr Return
6.91%
5 Yr Return
5.79%
7 Yr Return
5.62%
10 Yr Return
5.92%
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Maturity Value
₹617,580
AUM
₹1,328.86 Cr
Expense ratio
0.65%
Current NAV
13.4924
Category
Debt
1 Yr Return
4.41%
3 Yr Return
6.97%
5 Yr Return
5.79%
7 Yr Return
6.81%
10 Yr Return
7.05%
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Maturity Value
₹617,464
AUM
₹8,611.82 Cr
Expense ratio
0.82%
Current NAV
22.0633
Category
Debt
1 Yr Return
4.97%
3 Yr Return
6.93%
5 Yr Return
5.75%
7 Yr Return
6.57%
10 Yr Return
6.71%
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Maturity Value
₹617,405
AUM
₹331.28 Cr
Expense ratio
0.26%
Current NAV
14.2020
Category
Debt
1 Yr Return
2.40%
3 Yr Return
7.28%
5 Yr Return
5.73%
7 Yr Return
7.52%
10 Yr Return
8.01%
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Maturity Value
₹617,404
AUM
₹1,592.50 Cr
Expense ratio
0.29%
Current NAV
15.9467
Category
1 Yr Return
5.27%
3 Yr Return
6.82%
5 Yr Return
5.73%
7 Yr Return
6.77%
10 Yr Return
6.84%
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Maturity Value
₹616,904
AUM
₹902.49 Cr
Expense ratio
0.07%
Current NAV
1,402.7276
Category
Debt
1 Yr Return
5.41%
3 Yr Return
6.26%
5 Yr Return
5.56%
7 Yr Return
-
10 Yr Return
-
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Maturity Value
₹616,812
AUM
₹331.28 Cr
Expense ratio
0.48%
Current NAV
16.7561
Category
Debt
1 Yr Return
2.17%
3 Yr Return
7.05%
5 Yr Return
5.53%
7 Yr Return
7.34%
10 Yr Return
7.85%
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Maturity Value
₹616,522
AUM
₹902.49 Cr
Expense ratio
0.11%
Current NAV
1,230.2735
Category
Debt
1 Yr Return
5.33%
3 Yr Return
6.14%
5 Yr Return
5.44%
7 Yr Return
-
10 Yr Return
-
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Maturity Value
₹616,176
AUM
₹1,852.66 Cr
Expense ratio
1.17%
Current NAV
16.9029
Category
Debt
1 Yr Return
0.54%
3 Yr Return
6.40%
5 Yr Return
5.32%
7 Yr Return
7.13%
10 Yr Return
7.38%
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Maturity Value
₹615,316
AUM
₹1,328.86 Cr
Expense ratio
1.35%
Current NAV
14.8517
Category
Debt
1 Yr Return
3.67%
3 Yr Return
6.21%
5 Yr Return
5.04%
7 Yr Return
6.07%
10 Yr Return
6.32%
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Maturity Value
₹615,316
AUM
₹450.69 Cr
Expense ratio
1.29%
Current NAV
17.6527
Category
Debt
1 Yr Return
2.28%
3 Yr Return
6.02%
5 Yr Return
5.04%
7 Yr Return
6.53%
10 Yr Return
6.95%
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Maturity Value
₹614,854
AUM
₹2,103.29 Cr
Expense ratio
1.71%
Current NAV
13.7112
Category
Debt
1 Yr Return
0.11%
3 Yr Return
5.90%
5 Yr Return
4.89%
7 Yr Return
6.48%
10 Yr Return
6.74%
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Maturity Value
₹613,220
AUM
₹450.69 Cr
Expense ratio
1.97%
Current NAV
14.1668
Category
Debt
1 Yr Return
1.61%
3 Yr Return
5.32%
5 Yr Return
4.35%
7 Yr Return
5.84%
10 Yr Return
6.21%
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Frequently Asked Questions

  • Which fund has the lowest expense ratio?

    Bandhan Income Plus Arbitrage Active FoF Direct-IDCW Periodic offers one of the lowest expense ratios at 0.04%.
  • Which fund has the highest and lowest NAV?

    LIC MF Overnight Fund Direct-IDCW Periodic has one of the highest NAVs at ₹1,402.73, while Tata Floating Rate Fund Regular-IDCW Periodic has a lower NAV of ₹13.34.
  • Which fund has the highest AUM?

    Bandhan Money Market Fund Direct-IDCW Periodic manages one of the highest assets under management at ₹13,437.11 Cr.
  • What is the minimum investment required?

    The minimum investment starts from ₹100, offered by Bandhan Money Market Fund Direct-IDCW Periodic.
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