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Choose and Invest

Scheme Name
3Y Ret (%)
5Y Ret (%)
10Y Ret (%)
Nippon India Small Cap Fund
46.47
15.33
25.75
HSBC Small Cap Fund
44.33
11.53
--
ICICI Prudential Infrastructure Fund
44.25
14.45
14.91
SBI Contra Fund
43.16
14.68
15
Tata Small Cap Fund - Regular Plan
42.93
--
--
HDFC Small Cap Fund - Regular Plan
42.84
11.57
18.31
ICICI Prudential Smallcap Fund
42.47
13.51
16.37
Kotak Small Cap Fund - Regular Plan
42.24
14.89
19.72
Bandhan Sterling Value Fund - Regular Plan
41.68
10.28
16.53
Edelweiss Small Cap Fund - Regular Plan
40.31
--
--
DSP Small Cap Fund - Regular Plan
38.87
11.25
22.01
Kotak Infrastructure and Economic Reform Fund - Standard Plan
38.32
11.79
16.57
Templeton India Value Fund
37.91
11.15
14.01
SBI Magnum Midcap Fund
37.72
12.27
19.37
Nippon India Power & Infra Fund
36.41
9.4
13.49
ICICI Prudential BHARAT 22 FOF
36.37
--
--
DSP T.I.G.E.R. Fund - Regular Plan
36.34
11.24
14.51
SBI Small Cap Fund
36.33
13.63
24.48
Franklin Build India Fund
35.46
12.8
18.66
HDFC Mid-Cap Opportunities Fund
34.9
11.58
19.25

Low

Conservative

Investor’s top priority is the safety of capital. She/he is willing to accept relatively low returns against a low risk of principal.

Moderate Low

Moderately Conservative

An investor is willing to accept a small level of risk in exchange for some potential returns over a medium to long-term.

Moderate

Moderate

An investor can tolerate a moderate level of risk in exchange for relatively higher potential returns over a medium to long-term.

Moderately High

Moderately Aggressive

Investor is keen to accept a relatively higher risk to maximize potential returns over the medium to long-term.

High

Aggressive

Investor is willing to accept a significant risk to maximize potential returns over the long terms and is aware that she/he may lose a significant part of the capital.

Very High

Very Aggressive

Investor is willing to accept a significant high risk to maximize potential returns over the long terms and is aware that she/he may lose a significant part of capital.

Durga Financial Services Pvt Ltd

( AMFI- Registered Mutual Fund Distributor )

ARN : 3350 , EUIN : E130795 , E141625

​G 15 , Ground Floor, Vardhman Mall, Sector -19 Faridabad-121002, Haryana

0129 4318844

Sales : +91 - 9560420999, 9971371367

Back Office : +91 - 9540000561 , 9310689029

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​

BONDS : RBI Bond | Capital Gain Bonds | Gold Bond 

ARN : 3350 | ARN Registration Date : 02-April-2003 | ARN Valid Till : 27-Mar-2025

DISCLAIMER : www.honeymoneydhani.com is an online website of Durga Financial Services Pvt. Ltd. A company, registered in AMFI vide ARN - 3350 as a AMFI Registered Mutual Fund Distributor. The said website is just an electronic presentation of goal planning with self-help by investors. This site should not be treated as a financial advisory website as we do not charge for any calculation or results produced here. The website and the organization do not guarantee any returns or financial goal success by any means. We are a no liability third party distribution house.

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