Liquid Debt Equity Tax Saver Hybrid ETF
 MF - Toppers: Liquid
Rank Scheme 1 M%  3 M% 6 M% 1 Y% 3 Y%
1 ICICI Pru Transportation and Logistics Fund - Dir - Gr.. 4.27 18.30 32.79 62.53 -
2 DSP Bond Fund - IDCW.. 0.95 2.25 -3.34 -0.17 0.37
3 DSP Bond Fund - IDCW - (54EA Benefits).. 0.95 2.25 -3.34 -0.17 0.37
4 DSP Bond Fund - Gr.. 0.95 2.25 3.99 7.40 5.38
5 UTI Short Duration Fund - IDCW.. 0.74 1.93 3.70 6.94 6.84
6 UTI - Treasury Adv Fund - Inst Monthly IDCW.. 0.66 1.84 3.71 7.21 7.54
7 UTI Low Duration Fund - Inst- Gr.. 0.66 1.84 3.71 7.21 7.54
8 UTI - Treasury Adv Fund - Inst-Bonus Option.. 0.66 1.84 3.71 7.21 7.54
9 UTI-TREASURY Adv FUND - Inst. PLAN - HALF YEARLY IDCW.. 0.66 1.84 3.71 7.21 7.54
10 Franklin India Savings Fund Retail Option -Dir - Gr.. 0.65 0.52 1.19 2.52 1.72
11 UTI Money Market Fund- Gr Plan.. 0.64 1.84 3.83 7.52 6.13
12 Nippon India Money Market Fund- Reg- IDCW (Q).. 0.64 -0.08 -0.03 -0.08 0.12
13 UTI-MONEY MARKET FUND -Inst. PLAN- HALF YEARLY IDCW.. 0.64 1.84 3.83 7.52 6.13
14 UTI-MONEY MARKET FUND -Inst. PLAN- ANNUAL IDCW.. 0.64 1.84 3.83 7.52 6.13
15 UTI-MONEY MARKET FUND -INST- FLEXI IDCW.. 0.64 1.84 3.83 7.52 0.30
16 Franklin India Savings Fund Retail (Q) IDCW.. 0.64 0.51 1.18 2.33 1.44
17 Franklin India Money Market Fund - Reg - Gr.. 0.64 1.82 3.78 7.39 5.86
18 Tata Money Market Fund - Reg - Gr.. 0.64 1.83 3.86 7.53 6.07
19 Tata Money Market Fund - Reg - Gr.. 0.64 1.83 3.86 7.53 6.07
20 Kotak Money Market Scheme - Reg - Gr .. 0.64 1.82 3.86 7.48 6.07
21 Nippon India Money Market Fund -Reg - Gr.. 0.64 1.83 3.88 7.54 6.14
22 ICICI Prudential Money Market Fund - Reg - Gr.. 0.64 1.83 3.85 7.48 6.04
23 Invesco India Treasury Advantage Fund - Weekly Inst- IDCW.. 0.64 1.85 2.06 2.28 1.71
24 Invesco India Treasury Advantage Fund- Growth .. 0.64 1.85 3.80 7.18 5.52
25 Invesco India Ultra ST Fund - Monthly IDCW.. 0.64 1.85 3.80 7.18 5.52
26 HDFC Money Market Fund - Reg - Gr.. 0.63 1.81 3.84 7.42 6.01
27 Invesco India Money Market Fund - Gr.. 0.63 1.76 3.76 7.20 5.55
28 Sundaram Money Market Fund - Reg - Gr.. 0.63 1.81 3.70 7.26 5.80
29 HSBC Money Market Fund - Dir - Gr.. 0.63 1.83 3.84 7.46 5.95
30 HSBC Money Market Fund - Reg - Gr.. 0.62 1.77 3.70 7.14 5.54
31 PGIM India Money Market Fund - Reg -Gr.. 0.62 1.73 3.54 6.98 5.62
32 Nippon India Low Duration Fund -Bonus Option .. 0.62 1.76 3.62 6.94 5.53
33 Nippon India Low Duration Fund - IDCW (Q) .. 0.62 0.00 0.05 0.09 0.08
34 UTI - Treasury Adv Fund - Annaul IDCW.. 0.62 1.73 3.49 6.74 7.05
35 UTI - Treasury Adv Fund - Bonus Option.. 0.62 1.73 3.49 6.74 7.05
36 UTI - Treasury Adv Fund - Qtr IDCW.. 0.62 1.73 3.49 6.74 6.51
37 BOI Liquid Fund- Reg Plan- Gr.. 0.62 1.78 3.69 7.39 5.91
38 Canara Robeco Liquid-Regular Plan-Monthly IDCW (R).. 0.61 0.53 -0.04 0.56 0.21
39 Canara Robeco Liquid-Reg Plan-Gr.. 0.61 1.76 3.66 7.35 5.86
40 Nippon India Low Duration Fund - Retail Plan - Bonus option.. 0.61 1.72 3.54 6.76 5.41
41 SBI Savings Fund - Reg - Gr.. 0.61 1.73 3.63 7.02 5.60
42 SBI Savings Fund - Reg - IDCW.. 0.61 1.73 3.63 7.02 5.59
43 SBI Savings Fund - Reg - IDCW (W).. 0.61 1.74 3.63 7.02 5.60
44 Sbi Savings Fund - Reg - Weekly IDCW.. 0.61 1.74 3.63 7.02 5.60
45 Nippon India Low Duration Fund - Retail Plan - IDCW (Q) .. 0.61 0.00 0.05 0.09 0.08
46 SBI Savings Fund - Reg - IDCW (D).. 0.61 1.74 3.63 7.02 5.60
47 Union Liquid Fund - Reg - Gr.. 0.61 1.76 3.64 7.32 5.86
48 Mahindra Manulife Liquid Fund - Reg - Gr.. 0.61 1.77 3.65 7.33 5.87
49 360 One Liquid Fund - Reg - Gr.. 0.60 1.73 3.56 7.18 5.71
50 WhiteOak Capital Liquid Fund - Reg - Gr.. 0.60 1.74 3.62 7.19 5.58

Disclaimer:
Mutual Funds and securities investments are subject to market risks, please read the offer document carefully before investing. There is no assurances or guarantees that the objectives of the Scheme(s) will be achieved. As with any investment in securities, the NAV of the Units issued under the Scheme(s) can go up or down depending on the factors and forces affecting the capital markets. Past performance of the Sponsor/AMC/Mutual Fund is not indicative of the future performance of the Scheme.