#1 MOST BOUGHT

Parag Parikh Flexi Cap Fund

Consistent compounder with global exposure and downside protection.

21.4%
3Y Return
49k Cr
Fund Size
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26.8% 3Y CAGR

High risk, massive potential growth for long horizons.

16.1% 3Y CAGR

Stable Nifty 50 tracking for predictable market returns.

31.2% 3Y CAGR

Exceptional small-cap alpha generation for long-term compounders.

19.4% 3Y CAGR

Focused sector play on India's booming IT services infrastructure.

34.5% 3Y CAGR

High-alpha quantitative model driven massive returns.

28.1% 3Y CAGR

Stellar mid-cap stock picker with proven track record.

18.5% 3Y CAGR

Leading growth fund entirely focused on the IT sector.

15.4% 3Y CAGR

Ultra-low cost passive index tracking the top 50 giants.

26.3% 3Y CAGR

Risk-adjusted returns focusing on quality small ventures.

24.2% 3Y CAGR

Stellar mid and small-cap discovery portfolio.

16.8% 3Y CAGR

Consistent large-cap compounding with low volatility.

22.4% 3Y CAGR

Dynamic allocation across market capitalizations.

21.1% 3Y CAGR

High conviction portfolio of maximum 30 stocks.

23.5% 3Y CAGR

Robust midcap growth through strict quality filters.

19.8% 3Y CAGR

Save up to ₹46,800 in taxes under Section 80C.

14.5% 3Y CAGR

Dynamic asset allocation between equity and debt.

18.2% 3Y CAGR

Aggressive growth opportunities across sectors.

25.6% 3Y CAGR

Contrarian value investing approach for maximum uplift.

21.8% 3Y CAGR

Broad market participation across large, mid and small cap.

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