Index Funds and ETFs

Our Funds

Filter Reset
Minimum Investment Horizon*
Minimum Investment Horizon
Liquidity Management
3 Months
6 Months
2 Years
3 Years
3 Years Plus
5 Years Plus
Categories/Sub Categories
Categories/Sub Categories
Debt (15)
Equity (11)
Hybrid (5)
ETF/Index (12)
Fund of Funds (5)
All Funds (48)
Risk Label
Risk Label
Very High
High
Moderately High
Moderate
Low To Moderate
Low
Search by Fund Name
Regular Direct

Funds are displayed as per risk profile (low to high) and arranged basis their 3 year returns (high to low)

Inception date:   29/11/2022

This scheme has not completed one year.

NAV null as on null
Inception date:   23/03/2021
Annualised Returns0.72%1yrN.A.3yrN.A.5yr
NAV 10.6433 as on 28/11/2022
Inception date:   23/03/2021
Annualised Returns0.79%1yrN.A.3yrN.A.5yr
NAV 10.6591 as on 28/11/2022
Inception date:   20/10/2022

This scheme has not completed one year.

NAV 10.1505 as on 28/11/2022
Inception date:   24/11/2022

This scheme has not completed one year.

NAV 10.0193 as on 28/11/2022
Inception date:   17/11/2022

This scheme has not completed one year.

NAV 10.0277 as on 28/11/2022
Inception date:   07/10/2016
Annualised Returns3.20%1yr15.89%3yr12.89%5yr
NAV 197.2012 as on 28/11/2022
Inception date:   30/04/2010
Annualised Returns3.04%1yr15.78%3yr12.73%5yr
NAV 39.4472 as on 28/11/2022
ETF/IndexVery High
IDFC S&P BSE Sensex ETF
Inception date:   07/10/2016
Annualised Returns3.24%1yr15.63%3yr13.77%5yr
NAV 659.6054 as on 28/11/2022
ETF/IndexVery High
IDFC Nifty 100 Index Fund
Inception date:   24/02/2022

This scheme has not completed one year.

NAV 10.8162 as on 28/11/2022
Inception date:   06/10/2022

This scheme has not completed one year.

NAV 10.4737 as on 28/11/2022
Inception date:   02/09/2022

This scheme has not completed one year.

NAV 10.3198 as on 28/11/2022