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Children's funds

13 Direct-plan Growth funds ranked.

Median 1 year
-1.64%
Median 3Y CAGR
+7.98%
Median 5Y CAGR
+7.52%
Median volatility 1Y
12.4%
Median Sharpe (3Y)
0.17
Median 5Y SIP
+7.75%
Median expense ratio
1.45%
Median AUM (Cr)
15

All Children's funds

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FundNAV3M6M1Y3Y CAGR5Y CAGRSharpeVol 1YExp. ratioAUM (Cr)Rank 1Y
SBI Children's Fund - Investment Plan
SBI Mutual Fund
53.08 0.29% 20.27% 13.91% 20.69% 19.38% 1.17 12.4% 1.12% — 1/13
SBI CHILDREN'S FUND - SAVINGS PLAN
SBI Mutual Fund
131.26 1.84% 10.31% 9.61% 11.44% 10.56% 1.27 4.3% 0.91% — 2/13
LIC MF Children's Fund
LIC Mutual Fund
37.43 0.15% 14.15% 3.83% 8.39% 7.52% 0.16 12.7% 2.16% 1 3/13
Baroda BNP Paribas Children's Fund
Baroda BNP Paribas Mutual Fund
10.94 -3.49% 6.33% 2.05% — — — 13.4% 1.32% 1 4/13
ADITYA BIRLA SUN LIFE BAL BHAVISHYA YOJNA
Aditya Birla Sun Life Mutual Fund
22.39 -2.65% 9.97% 1.91% 9.44% 8.87% 0.23 14.2% 1.14% 61 5/13
Union Children's Fund
Union Mutual Fund
12.65 -4.02% 8.86% -0.55% — — — 15.3% 1.47% 2 6/13
Axis Children's Fund
Axis Mutual Fund
29.55 -2.56% 4.56% -1.64% 7.77% 5.76% 0.17 10.2% 1.48% 6 7/13
Axis Children's Fund
Axis Mutual Fund
29.00 -2.56% 4.56% -1.64% 7.65% 5.60% 0.16 10.2% 1.48% 15 8/13
UTI Children's Hybrid Fund
UTI Mutual Fund
40.40 -2.35% 2.83% -1.99% 5.88% 5.94% -0.03 5.9% 1.45% 251 9/13
HDFC Children's Fund
HDFC Mutual Fund
315.59 -2.24% 5.19% -2.02% 7.98% 9.85% 0.20 9.4% 1.03% 944 10/13
ICICI Prudential Children's Fund
ICICI Prudential Mutual Fund
347.09 -4.18% 4.70% -3.52% 11.45% 11.08% 0.40 11.8% 2.32% 83 11/13
UTI Children's Equity Fund
UTI Mutual Fund
85.35 -5.46% 2.45% -8.49% 5.97% 5.88% -0.01 12.8% 1.37% 59 12/13
Tata Childrens Fund
Tata Mutual Fund
58.98 -7.04% 2.05% -11.80% 3.23% 5.60% -0.22 13.5% 1.84% 13 13/13

Returns are computed by Tradinity from each scheme's own published NAV, so they are net of the fund's expenses. Periods over one year are annualised (CAGR). Past performance does not indicate future returns. Only Growth-option schemes are ranked: an IDCW scheme pays cash out of its NAV, so its NAV understates what an investor earned.