Investments

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Monthly Investment₹10,000
Expected Return Rate (p.a.)12%
Investment Period15 yr
Invested
₹18.00 L
Est. Returns
₹32.46 L
Total Value
₹50.46 L
Y1Y2Y3Y4Y5Y6Y7Y8Y9Y10Y11Y12Y13Y14Y15₹0₹15.00L₹30.00L₹45.00L₹60.00L

All Funds

Explore all mutual funds

Live NAVs and returns across every category, sourced from AMFI. Search any Indian fund or browse the list below.

Live NAV · as on 28 Sep 2026
Nippon India Large Cap Fund
Nippon India · Large Cap
NAV
₹96.27
1Y
-5%
3Y
+10%
5Y
+12%
ICICI Prudential Large Cap Fund
ICICI Prudential · Large Cap
NAV
₹113.83
1Y
-5.8%
3Y
+9.7%
5Y
+10.1%
SBI Large Cap Fund
SBI · Large Cap
NAV
₹99.81
1Y
-1.4%
3Y
+8.3%
5Y
+8.2%
Axis Large Cap Fund
Axis · Large Cap
NAV
₹66.96
1Y
-2.9%
3Y
+8.2%
5Y
+4.8%
Mirae Asset Large Cap Fund
Mirae Asset · Large Cap
NAV
₹121.56
1Y
-3.5%
3Y
+7.7%
5Y
+6.9%
Motilal Oswal Midcap Fund
Motilal Oswal · Mid Cap
NAV
₹114.88
1Y
+0.6%
3Y
+17.6%
5Y
+20.1%
HDFC Mid Cap Fund
HDFC · Mid Cap
NAV
₹223.17
1Y
+6.2%
3Y
+16%
5Y
+18%
Axis Midcap Fund
Axis · Mid Cap
NAV
₹138.78
1Y
+7.2%
3Y
+15.5%
5Y
+12.5%
Quant Small Cap Fund
quant · Small Cap
NAV
₹313.14
1Y
+14.6%
3Y
+17%
5Y
+18.8%
Nippon India Small Cap Fund
Nippon India · Small Cap
NAV
₹204.75
1Y
+9.7%
3Y
+14.8%
5Y
+18.5%
Tata Small Cap Fund
Tata · Small Cap
NAV
₹44.89
1Y
+1%
3Y
+12.1%
5Y
+15.4%
HDFC Flexi Cap Fund
HDFC · Flexi Cap
NAV
₹2181.07
1Y
-0.8%
3Y
+14.9%
5Y
+16.1%
Parag Parikh Flexi Cap Fund
PPFAS · Flexi Cap
NAV
₹89.96
1Y
-3.5%
3Y
+12.8%
5Y
+11.1%
Quant ELSS Tax Saver Fund
quant · ELSS
NAV
₹452.69
1Y
+10.9%
3Y
+14.3%
5Y
+14.6%
Mirae Asset ELSS Tax Saver Fund
Mirae Asset · ELSS
NAV
₹54.94
1Y
+0.2%
3Y
+11.3%
5Y
+10%
Parag Parikh ELSS Tax Saver Fund
PPFAS · ELSS
NAV
₹30.81
1Y
-9.8%
3Y
+8.1%
5Y
+10%
ICICI Prudential Aggressive Hybrid Fund
ICICI Prudential · Hybrid
NAV
₹440.3
1Y
-0.2%
3Y
+12.6%
5Y
+13.8%
HDFC Balanced Advantage Fund
HDFC · Hybrid
NAV
₹551.04
1Y
-1.2%
3Y
+10.4%
5Y
+13.8%
UTI Nifty 50 Index Fund
UTI · Index
NAV
₹160.42
1Y
-6.8%
3Y
+5.9%
5Y
+6%
SBI BANKING & PSU DEBT FUND
SBI · Debt
NAV
₹3531.88
1Y
+5.1%
3Y
+7.1%
5Y
+6.1%
Nippon India Pharma Fund
Nippon India · Sectoral
NAV
₹639.51
1Y
+15.1%
3Y
+19%
5Y
+14.1%
ICICI Prudential Technology Fund
ICICI Prudential · Sectoral
NAV
₹193.92
1Y
-10.5%
3Y
+4.6%
5Y
+1.9%

Showing 22 funds. 1Y is absolute return; 3Y & 5Y are CAGR. NAVs sourced from AMFI via public data. Mutual fund investments are subject to market risks.

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