Mutual funds in idcw weekly options

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

Key Highlights Mutual funds in idcw weekly options :

  • DSP Credit Risk Fund Direct Plan-IDCW Weekly has delivered one of the strongest 5 year returns at 12.86%.
  • The lowest expense ratio is offered by Bandhan Income Plus Arbitrage Active FoF Direct-IDCW Weekly at 0.04%.
  • Edelweiss Liquid Direct-IDCW Weekly has the highest NAV at ₹2,174.61, while Baroda BNP Paribas Dynamic Bond Fund Regular-IDCW Weekly has one of the lowest NAV at ₹9.93.
  • In terms of scale, SBI Liquid Fund Direct Plan-IDCW Weekly manages the highest AUM around ₹57,891.29 Cr, whereas ITI Overnight Fund Direct-IDCW Weekly is among the lowest AUM around ₹24.71 Cr.
  • The most affordable entry point is offered by ICICI Prudential Liquid Fund Direct Plan-IDCW Weekly with a minimum investment of ₹99.

Top Performing Mutual funds in idcw weekly options

Scheme NameFund Type / Category1 Year2 Years3 Years4 Years5 Years7 Years10 Years
DSP Credit Risk Fund Direct Plan-IDCW WeeklyDebt / Credit Risk10.41%16.70%16.40%13.72%12.86%10.48%8.84%
DSP Credit Risk Fund Regular-IDCW WeeklyDebt / Credit Risk9.53%15.80%15.51%12.82%11.95%9.60%8.02%
Nippon India Ultra Short Duration Fund Direct-IDCW WeeklyDebt / Ultra Short Duration6.92%7.53%7.59%7.28%7.53%6.42%6.66%
Axis Credit Risk Fund Direct-IDCW WeeklyDebt / Credit Risk7.83%8.86%8.43%7.93%7.50%7.46%7.77%
UTI Low Duration Fund Direct-IDCW WeeklyDebt / Low Duration6.32%7.29%7.27%6.91%7.35%5.44%6.13%
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AUM (in Cr) +

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Invest
₹ 10,000
Payment Mode
Monthly
Invest for
5 Years
Maturity Value
₹638,888
AUM
₹222.83 Cr
Expense ratio
0.41%
Current NAV
11.0302
Category
Debt
1 Yr Return
10.41%
3 Yr Return
16.40%
5 Yr Return
12.86%
7 Yr Return
10.48%
10 Yr Return
8.84%
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Maturity Value
₹636,173
AUM
₹222.83 Cr
Expense ratio
1.18%
Current NAV
11.0273
Category
Debt
1 Yr Return
9.53%
3 Yr Return
15.51%
5 Yr Return
11.95%
7 Yr Return
9.60%
10 Yr Return
8.02%
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Maturity Value
₹622,838
AUM
₹9,511.51 Cr
Expense ratio
0.39%
Current NAV
1,092.1442
Category
Debt
1 Yr Return
6.92%
3 Yr Return
7.59%
5 Yr Return
7.53%
7 Yr Return
6.42%
10 Yr Return
6.66%
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Maturity Value
₹622,743
AUM
₹351.04 Cr
Expense ratio
0.8%
Current NAV
10.2800
Category
Debt
1 Yr Return
7.83%
3 Yr Return
8.43%
5 Yr Return
7.50%
7 Yr Return
7.46%
10 Yr Return
7.77%
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Maturity Value
₹622,320
AUM
₹2,246.22 Cr
Expense ratio
0.32%
Current NAV
1,020.9213
Category
Debt
1 Yr Return
6.32%
3 Yr Return
7.27%
5 Yr Return
7.35%
7 Yr Return
5.44%
10 Yr Return
6.13%
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Maturity Value
₹621,978
AUM
₹2,246.22 Cr
Expense ratio
0.42%
Current NAV
1,439.9483
Category
Debt
1 Yr Return
6.21%
3 Yr Return
7.17%
5 Yr Return
7.24%
7 Yr Return
5.33%
10 Yr Return
6.01%
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Maturity Value
₹621,822
AUM
₹7,041.01 Cr
Expense ratio
0.3%
Current NAV
102.1111
Category
Debt
1 Yr Return
6.85%
3 Yr Return
8.18%
5 Yr Return
7.19%
7 Yr Return
7.61%
10 Yr Return
7.78%
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Maturity Value
₹621,207
AUM
₹14,001.88 Cr
Expense ratio
0.63%
Current NAV
10.5210
Category
Debt
1 Yr Return
4.32%
3 Yr Return
7.67%
5 Yr Return
6.99%
7 Yr Return
8.15%
10 Yr Return
8.46%
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Maturity Value
₹621,014
AUM
₹3,130.01 Cr
Expense ratio
0.35%
Current NAV
1,082.8792
Category
Debt
1 Yr Return
6.55%
3 Yr Return
7.33%
5 Yr Return
6.92%
7 Yr Return
6.13%
10 Yr Return
6.66%
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Maturity Value
₹620,698
AUM
₹16,415.33 Cr
Expense ratio
0.31%
Current NAV
10.0277
Category
Debt
1 Yr Return
6.23%
3 Yr Return
7.82%
5 Yr Return
6.82%
7 Yr Return
7.21%
10 Yr Return
7.36%
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Maturity Value
₹620,453
AUM
₹8,354.21 Cr
Expense ratio
0.37%
Current NAV
17.0461
Category
Debt
1 Yr Return
4.82%
3 Yr Return
7.49%
5 Yr Return
6.74%
7 Yr Return
7.17%
10 Yr Return
7.42%
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Maturity Value
₹620,339
AUM
₹9,511.51 Cr
Expense ratio
1.12%
Current NAV
1,092.0130
Category
Debt
1 Yr Return
6.15%
3 Yr Return
6.79%
5 Yr Return
6.70%
7 Yr Return
5.60%
10 Yr Return
5.80%
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Maturity Value
₹620,255
AUM
₹8,341.56 Cr
Expense ratio
0.39%
Current NAV
10.2266
Category
Debt
1 Yr Return
5.87%
3 Yr Return
7.65%
5 Yr Return
6.67%
7 Yr Return
7.50%
10 Yr Return
7.64%
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Maturity Value
₹620,209
AUM
₹8,142.09 Cr
Expense ratio
0.37%
Current NAV
10.3385
Category
Debt
1 Yr Return
5.35%
3 Yr Return
7.63%
5 Yr Return
6.66%
7 Yr Return
7.19%
10 Yr Return
-
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Maturity Value
₹620,166
AUM
₹13,682.86 Cr
Expense ratio
0.26%
Current NAV
100.9866
Category
Debt
1 Yr Return
6.37%
3 Yr Return
7.57%
5 Yr Return
6.64%
7 Yr Return
7.00%
10 Yr Return
7.33%
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Maturity Value
₹620,157
AUM
₹22,103.93 Cr
Expense ratio
0.5%
Current NAV
10.0563
Category
Debt
1 Yr Return
6.52%
3 Yr Return
7.57%
5 Yr Return
6.64%
7 Yr Return
6.99%
10 Yr Return
7.24%
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Maturity Value
₹620,130
AUM
₹351.04 Cr
Expense ratio
1.57%
Current NAV
10.1518
Category
Debt
1 Yr Return
7.01%
3 Yr Return
7.61%
5 Yr Return
6.63%
7 Yr Return
6.50%
10 Yr Return
6.68%
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Maturity Value
₹620,102
AUM
₹10,864.64 Cr
Expense ratio
0.42%
Current NAV
100.8312
Category
Debt
1 Yr Return
6.44%
3 Yr Return
7.47%
5 Yr Return
6.62%
7 Yr Return
7.03%
10 Yr Return
7.36%
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Maturity Value
₹620,053
AUM
₹26,664.53 Cr
Expense ratio
0.42%
Current NAV
105.4319
Category
Debt
1 Yr Return
6.56%
3 Yr Return
7.59%
5 Yr Return
6.60%
7 Yr Return
6.94%
10 Yr Return
7.22%
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Maturity Value
₹619,993
AUM
₹8,767.67 Cr
Expense ratio
0.38%
Current NAV
1,011.7152
Category
Debt
1 Yr Return
6.51%
3 Yr Return
7.46%
5 Yr Return
6.58%
7 Yr Return
6.70%
10 Yr Return
7.04%
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Frequently Asked Questions

  • Which fund has the lowest expense ratio?

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

    Edelweiss Liquid Direct-IDCW Weekly has one of the highest NAVs at ₹2,174.61, while Baroda BNP Paribas Dynamic Bond Fund Regular-IDCW Weekly has a lower NAV of ₹9.93.
  • Which fund has the highest AUM?

    SBI Liquid Fund Direct Plan-IDCW Weekly manages one of the highest assets under management at ₹57,891.29 Cr.
  • What is the minimum investment required?

    The minimum investment starts from ₹99, offered by ICICI Prudential Liquid Fund Direct Plan-IDCW Weekly.
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