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Shriram Aggressive Hybrid Fund
Performance of Shriram Aggressive Hybrid Fund Regular Growth as of 10 Apr 2026
Returns of Regular Plan - Growth Option as on 10 Apr 2026 Date of inception 29 Nov 2013 | ||||||||
|---|---|---|---|---|---|---|---|---|
| NAV Rs. 31.0423 | AUM Rs.(in crore) 48.45 | |||||||
| Date | Period | Nav (Rs.) Per Unit | Scheme Returns (%) | Scheme Benchmark Returns (%) | Additional Benchmark (NIFTY50) Returns (%) | Current value of ₹ 10,000 invested | ||
| Scheme | Scheme Benchmark | Additional Benchmark (NIFTY50) | ||||||
| 08 Apr 2025 | Last 1 Year | 29.2112 | 6.27% | 7.81% | 7.91% | ₹10,627 | ₹10,781 | ₹10,791 |
| 10 Apr 2023 | Last 3 Year | 22.8097 | 10.82% | 12.41% | 12.22% | ₹13,609 | ₹14,204 | ₹14,131 |
| 09 Apr 2021 | Last 5 Year | 20.5783 | 8.57% | 10.61% | 11.43% | ₹15,085 | ₹16,559 | ₹17,183 |
| 08 Apr 2016 | Last 10 Year | 12.3403 | 9.66% | 12.35% | 13.65% | ₹25,155 | ₹32,044 | ₹35,955 |
| 29 Nov 2013 | Since Inception | 10 | 9.59% | 12.43% | 12.95% | ₹31,042 | ₹42,602 | ₹45,109 |
Disclaimer : MUTUAL FUND INVESTMENTS ARE SUBJECT TO MARKET RISKS, READ ALL SCHEME RELATED DOCUMENTS CAREFULLY. CRISIL Hybrid 35+65 – Aggressive Index is the scheme benchmark. As per SEBI circular no. SEBI/HO/IMD/DF3/CIR/P/2018/04 dated Jan 04, 2018, the performance of the scheme is benchmarked to the Total Return variant of the Index. The returns are Compounded Annual Growth Returns (CAGR) for the past 1 year, 3 years, 5 years & since inception and absolute return for less than 1 year. Different plans shall have a different expense structure. The performance details provided herein are of Regular Plan-Growth Option & Direct Plan-Growth Option. Performance of Income Distribution cum Capital Withdrawal (IDCW) option would be Net of Dividend distribution tax, if any. For computation of return since inception (%) the allotment NAV has been taken as Rs. 10.00. Point-to-point returns on a standard investment of Rs. 10,000/- are in addition to CAGR for the Scheme. Past performance may or may not be sustained in future. Load is not considered for computation of returns. In case the start/end date of the concerned period is a Non-Business Date (NBD), the NAV of the previous date is considered for computation of returns. The NAV per unit shown in the table is as on the start date of the said period. The scheme is being currently managed by Mr. Deepak Ramaraju, effective from August 20, 2022; Mr. Sudip More effective from October 3, 2024 and Mr. Prateek Nigudkar effective from August 7, 2025.
Shriram Flexi Cap Fund
Performance of Shriram Flexi Cap Fund Regular Growth as of 10 Apr 2026
Returns of Regular Plan - Growth Option as on 10 Apr 2026 Date of inception 28 Sept 2018 | ||||||||
|---|---|---|---|---|---|---|---|---|
| NAV Rs. 19.2185 | AUM Rs.(in crore) 128.82 | |||||||
| Date | Period | Nav (Rs.) Per Unit | Scheme Returns (%) | Scheme Benchmark Returns (%) | Additional Benchmark (NIFTY50) Returns (%) | Current value of ₹ 10,000 invested | ||
| Scheme | Scheme Benchmark | Additional Benchmark (NIFTY50) | ||||||
| 08 Apr 2025 | Last 1 Year | 18.3473 | 4.75% | 10.15% | 7.91% | ₹10,475 | ₹11,015 | ₹10,791 |
| 10 Apr 2023 | Last 3 Year | 14.5192 | 9.8% | 15.85% | 12.22% | ₹13,237 | ₹15,550 | ₹14,131 |
| 09 Apr 2021 | Last 5 Year | 12.681 | 8.67% | 13.41% | 11.43% | ₹15,155 | ₹18,757 | ₹17,183 |
| 28 Sept 2018 | Since Inception | 10 | 9.05% | 13.79% | 12.31% | ₹19,219 | ₹26,468 | ₹23,982 |
Disclaimer : MUTUAL FUND INVESTMENTS ARE SUBJECT TO MARKET RISKS, READ ALL SCHEME RELATED DOCUMENTS CAREFULLY. NIFTY 500 TRI value is the scheme benchmark. As per SEBI circular no. SEBI/HO/IMD/DF3/CIR/P/2018/04 dated Jan 04, 2018, the performance of the scheme is benchmarked to the Total Return variant of the Index. The returns are Compounded Annual Growth Returns (CAGR) for the past 1 year, 3 years, 5 years & since inception and absolute return for less than 1 year. Different plans shall have a different expense structure. The performance details provided herein are of Regular Plan-Growth Option & Direct Plan-Growth Option. Performance of Income Distribution cum Capital Withdrawal (IDCW) option would be Net of Dividend distribution tax, if any. For computation of return since inception (%) the allotment NAV has been taken as Rs. 10.00. Point-to-point returns on a standard investment of Rs. 10,000/-. Past performance may or may not be sustained in future. Load is not considered for computation of returns. In case, the start/end date of the concerned period is a non business date (NBD), the NAV of the previous date is considered for computation of returns. The NAV per unit shown in the table is as on the start date of the said period. The scheme is currently managed by Mr. Deepak Ramaraju, effective from August 20, 2022 and Mr. Prateek Nigudkar effective from August 7, 2025.
Shriram ELSS Tax Saver Fund
Performance of Shriram ELSS Tax Saver Fund Regular Growth as of 10 Apr 2026
Returns of Regular Plan - Growth Option as on 10 Apr 2026 Date of inception 25 Jan 2019 | ||||||||
|---|---|---|---|---|---|---|---|---|
| NAV Rs. 20.1284 | AUM Rs.(in crore) 45.92 | |||||||
| Date | Period | Nav (Rs.) Per Unit | Scheme Returns (%) | Scheme Benchmark Returns (%) | Additional Benchmark (NIFTY50) Returns (%) | Current value of ₹ 10,000 invested | ||
| Scheme | Scheme Benchmark | Additional Benchmark (NIFTY50) | ||||||
| 08 Apr 2025 | Last 1 Year | 19.07 | 5.55% | 10.15% | 7.91% | ₹10,555 | ₹11,015 | ₹10,791 |
| 10 Apr 2023 | Last 3 Year | 15.0737 | 10.12% | 15.85% | 12.22% | ₹13,353 | ₹15,550 | ₹14,131 |
| 09 Apr 2021 | Last 5 Year | 13.2911 | 8.65% | 13.41% | 11.43% | ₹15,144 | ₹18,757 | ₹17,183 |
| 25 Jan 2019 | Since Inception | 10 | 10.19% | 14.63% | 13.08% | ₹20,128 | ₹26,771 | ₹24,258 |
Disclaimer : MUTUAL FUND INVESTMENTS ARE SUBJECT TO MARKET RISKS, READ ALL SCHEME RELATED DOCUMENTS CAREFULLY. NIFTY 500 TRI value is the scheme benchmark. As per SEBI circular no. SEBl/HO/lMD/DF3/ClR/P/2018/04 dated Jan 04, 2018, the performance of the scheme is benchmarked to the Total Return variant of the Index. The returns are Compounded Annual Growth Returns (CAGR) for the past 1 year, 3 years & since inception and absolute return for less than 1 year. Different plans shall have a different expense structure. The performance details provided herein are of Regular Plan-Growth Option & Direct Plan-Growth Option. Performance of Income Distribution cum Capital Withdrawal (IDCW) option would be Net of Dividend distribution tax, if any. For computation of return since inception (0/0) the allotment NAV has been taken as Rs. 10.00. Point-to-point returns on a standard investment of Rs. 10,000/- are in addition to CAGR for the Scheme. Past performance may or may not be sustained in future. Load is not considered for computation of returns. In case, the start/end date of the concerned period is a Non-Business Date (NBD), the NAV of the previous date is considered for computation of returns. The NAV per unit shown in the table is as on the start date of the said period. The scheme is being currently managed by Mr. Deepak Ramaraju, effective from August 20, 2022; Mr. Sudip More effective from October 3, 2024 and Mr. Prateek Nigudkar effective from August 7, 2025
Shriram Balanced Advantage Fund
Performance of Shriram Balanced Advantage Fund Regular Growth as of 10 Apr 2026
Returns of Regular Plan - Growth Option as on 10 Apr 2026 Date of inception 05 Jul 2019 | ||||||||
|---|---|---|---|---|---|---|---|---|
| NAV Rs. 16.3803 | AUM Rs.(in crore) 52.96 | |||||||
| Date | Period | Nav (Rs.) Per Unit | Scheme Returns (%) | Scheme Benchmark Returns (%) | Additional Benchmark (NIFTY50) Returns (%) | Current value of ₹ 10,000 invested | ||
| Scheme | Scheme Benchmark | Additional Benchmark (NIFTY50) | ||||||
| 08 Apr 2025 | Last 1 Year | 15.93 | 2.83% | 7% | 7.91% | ₹10,283 | ₹10,700 | ₹10,791 |
| 10 Apr 2023 | Last 3 Year | 13.2306 | 7.38% | 11.22% | 12.22% | ₹12,381 | ₹13,757 | ₹14,131 |
| 09 Apr 2021 | Last 5 Year | 12.1102 | 6.23% | 9.57% | 11.43% | ₹13,526 | ₹15,791 | ₹17,183 |
| 05 Jul 2019 | Since Inception | 10 | 7.56% | 10.82% | 12.36% | ₹16,380 | ₹20,048 | ₹22,009 |
Disclaimer: MUTUAL FUND INVESTMENTS ARE SUBJECT TO MARKET RISKS, READ ALL SCHEME RELATED DOCUMENTS CAREFULLY. NIFTY 50 Hybrid Composite Debt 50:50 Index is the scheme benchmark. As per SEBI circular no. SEBI/HO/IMD/DF3/CIR/P/2018/04 dated Jan 04, 2018, the performance of the scheme is benchmarked to the Total Return variant of the Index The returns are Compounded Annual Growth Returns (CAGR) for the past 1 year, 3 years & since inception and absolute return for less than 1 year. Different plans shall have a different expense structure. The performance details provided herein are of Regular Plan-Growth Option & Direct Plan-Growth Option. Performance of Income Distribution cum Capital Withdrawal (IDCW) option would be Net of Dividend distribution tax, if any. For computation of return since inception (%) the allotment NAV has been taken as Rs. 10.00. Point-to-point returns on a standard investment of Rs. 10,000/- are in addition to CAGR for the Scheme. Past performance may or may not be sustained in future. Load is not considered for computation of returns. In case, the start/end date of the concerned period is a Non-Business Date (NBD), the NAV of the previous date is considered for computation of returns. The NAV per unit shown in the table is as on the start date of the said period. The scheme is being currently managed by Mr. Deepak Ramaraju, effective from August 20, 2022; Mr. Sudip More effective from October 3, 2024 and Mr. Prateek Nigudkar effective from August 7, 2025.
Shriram Overnight Fund
Performance of Shriram Overnight Fund Regular Growth as of 10 Apr 2026
Returns of Regular Plan - Growth Option as on 10 Apr 2026 Date of inception 26 Aug 2022 | ||||||||
|---|---|---|---|---|---|---|---|---|
| NAV Rs. 12.418 | AUM Rs.(in crore) 205.49 | |||||||
| Date | Period | Nav (Rs.) Per Unit | Scheme Returns (%) | Scheme Benchmark Returns (%) | Additional Benchmark (NIFTY50) Returns (%) | Current value of ₹ 10,000 invested | ||
| Scheme | Scheme Benchmark | Additional Benchmark (NIFTY50) | ||||||
| 02 Apr 2026 | Last 7 Day | 12.4048 | 4.97% | 5.32% | 3.95% | ₹10,011 | ₹10,011 | ₹10,008 |
| 25 Mar 2026 | Last 15 Day | 12.3884 | 5.6% | 5.23% | 4.39% | ₹10,024 | ₹10,022 | ₹10,019 |
| 10 Mar 2026 | Last 1 Month | 12.3623 | 5.44% | 5.36% | 3.85% | ₹10,045 | ₹10,044 | ₹10,032 |
| 09 Jan 2026 | Last 3 Month | 12.2638 | 5.14% | 5.12% | 3.95% | ₹10,126 | ₹10,125 | ₹10,097 |
| 10 Oct 2025 | Last 6 Month | 12.1062 | 5.23% | 5.26% | 4.03% | ₹10,258 | ₹10,259 | ₹10,199 |
| 08 Apr 2025 | Last 1 Year | 11.7845 | 5.38% | 5.47% | 5.07% | ₹10,538 | ₹10,547 | ₹10,507 |
| 10 Apr 2023 | Last 3 Year | 10.3846 | 6.14% | 6.31% | 6.61% | ₹11,958 | ₹12,016 | ₹12,116 |
| 26 Aug 2022 | Since Inception | 10 | 6.16% | 6.29% | 6.5% | ₹12,418 | ₹12,476 | ₹12,564 |
Disclaimer: MUTUAL FUND INVESTMENTS ARE SUBJECT TO MARKET RISKS, READ ALL SCHEME RELATED DOCUMENTS CAREFULLY. CRISIL Liquid Overnight Index is the scheme benchmark. As per SEBI circular no. SEBI/HO/IMD/DF3/CIR/P/2018/04 dated Jan 04, 2018, the performance of the scheme is benchmarked to the Total Return variant of the Index. The returns are Compounded Annual Growth Returns (CAGR) for the past 1 year & since inception and simple annualised returns for less than 1 year. Different plans shall have a different expense structure. The performance details provided herein are of Regular Plan-Growth Option. Performance of Income Distribution cum Capital Withdrawal (IDCW) option would be Net of Dividend distribution tax, if any. For computation of return since inception (%) the allotment NAV has been taken as Rs. 10.00. Point-to-point returns on a standard investment of Rs. 10,000/-. Past performance may or may not be sustained in future. Load is not considered for computation of returns. In case, the start/end date of the concerned period is a non business date (NBD), the NAV of the previous date is considered for computation of returns. The NAV per unit shown in the table is as on the start date of the said period. The scheme is being currently managed by Mr. Deepak Ramaraju, effective from August 20, 2022; Mr. Sudip More effective from October 3, 2024 and Mr. Prateek Nigudkar effective from August 7, 2025
Shriram Multi Asset Allocation Fund
Performance of Shriram Multi Asset Allocation Fund Regular Growth as of 10 Apr 2026
Returns of Regular Plan - Growth Option as on 10 Apr 2026 Date of inception 08 Sept 2023 | ||||||||
|---|---|---|---|---|---|---|---|---|
| NAV Rs. 12.9053 | AUM Rs.(in crore) 138.74 | |||||||
| Date | Period | Nav (Rs.) Per Unit | Scheme Returns (%) | Scheme Benchmark Returns (%) | Additional Benchmark (NIFTY50) Returns (%) | Current value of ₹ 10,000 invested | ||
| Scheme | Scheme Benchmark | Additional Benchmark (NIFTY50) | ||||||
| 10 Oct 2025 | Last 6 Month | 12.5996 | 4.93% | 7.93% | -9.07% | ₹10,243 | ₹10,388 | ₹9,537 |
| 08 Apr 2025 | Last 1 Year | 11.2195 | 15.03% | 12.54% | 7.91% | ₹11,503 | ₹11,254 | ₹10,791 |
| 08 Sept 2023 | Since Inception | 10 | 10.35% | 12.3% | 8.89% | ₹12,905 | ₹13,504 | ₹12,467 |
Disclaimer: MUTUAL FUND INVESTMENTS ARE SUBJECT TO MARKET RISKS, READ ALL SCHEME RELATED DOCUMENTS CAREFULLY. Nifty 50 TRI (70%) + NIFTY Short Duration Debt Index (20%) + Domestic prices of Gold (8%) + Domestic prices of Silver (2%). As per SEBI circular no. SEBI/HO/IMD/DF3/CIR/P/2018/04 dated Jan 04, 2018, the performance of the scheme is benchmarked to the Total Return variant of the Index.The returns are absolute return for less than 1 year. Different plans shall have a different expense structure. The performance details provided herein are of Regular Plan-Growth Option & Direct Plan-Growth Option.For computation of return since inception the allotment NAV has been taken as Rs. 10.00. Point-to-point returns on a standard investment of Rs. 10,000/- are in addition to CAGR for the Scheme.Past performance may or may not be sustained in future. Load is not considered for computation of returns. In case, the start/end date of the concerned period is a Non-Business Date (NBD), the NAV of the previous date is considered for computation of returns. The NAV per unit shown in the table is as on the start date of the said period.The scheme is being currently managed by Mr. Deepak Ramaraju, effective from August 20, 2022; Mr. Sudip More effective from October 3, 2024 and Mr. Prateek Nigudkar effective from August 7, 2025.
Shriram Multi Sector Rotation Fund
Performance of Shriram Multi Sector Rotation Fund Regular Growth as of 10 Apr 2026
Returns of Regular Plan - Growth Option as on 10 Apr 2026 Date of inception 09 Dec 2024 | ||||||||
|---|---|---|---|---|---|---|---|---|
| NAV Rs. 7.6099 | AUM Rs.(in crore) 170.73 | |||||||
| Date | Period | Nav (Rs.) Per Unit | Scheme Returns (%) | Scheme Benchmark Returns (%) | Additional Benchmark (NIFTY50) Returns (%) | Current value of ₹ 10,000 invested | ||
| Scheme | Scheme Benchmark | Additional Benchmark (NIFTY50) | ||||||
| 10 Oct 2025 | Last 6 Month | 7.7852 | -2.25% | -3.98% | -4.63% | ₹9,775 | ₹9,602 | ₹9,537 |
| 08 Apr 2025 | Last 1 Year | 7.6094 | 0.01% | 10.15% | 7.91% | ₹10,001 | ₹11,015 | ₹10,791 |
| 09 Dec 2024 | Since Inception | 10 | -23.9% | -2.94% | -0.98% | ₹7,610 | ₹9,706 | ₹9,902 |
Shriram Liquid Fund
Performance of Shriram Liquid Fund Regular Growth as of 10 Apr 2026
Returns of Regular Plan - Growth Option as on 10 Apr 2026 Date of inception 14 Nov 2024 | ||||||||
|---|---|---|---|---|---|---|---|---|
| NAV Rs. 1090.1044 | AUM Rs.(in crore) 207.76 | |||||||
| Date | Period | Nav (Rs.) Per Unit | Scheme Returns (%) | Scheme Benchmark Returns (%) | Additional Benchmark (NIFTY50) Returns (%) | Current value of ₹ 10,000 invested | ||
| Scheme | Scheme Benchmark | Additional Benchmark (NIFTY50) | ||||||
| 02 Apr 2026 | Last 7 Day | 1087.9088 | 9.64% | 9.62% | 3.95% | ₹10,020 | ₹10,020 | ₹10,008 |
| 25 Mar 2026 | Last 15 Day | 1084.3762 | 12.77% | 11.88% | 4.39% | ₹10,053 | ₹10,049 | ₹10,019 |
| 10 Mar 2026 | Last 1 Month | 1082.302 | 8.83% | 8.66% | 3.85% | ₹10,072 | ₹10,071 | ₹10,032 |
| 09 Jan 2026 | Last 3 Month | 1072.454 | 6.77% | 6.98% | 3.95% | ₹10,165 | ₹10,170 | ₹10,097 |
| 10 Oct 2025 | Last 6 Month | 1058.0021 | 6.18% | 6.34% | 4.03% | ₹10,303 | ₹10,311 | ₹10,199 |
| 08 Apr 2025 | Last 1 Year | 1028.2314 | 6.02% | 6.29% | 5.07% | ₹10,602 | ₹10,629 | ₹10,507 |
| 14 Nov 2024 | Since Inception | 1000 | 6.34% | 6.59% | 5.79% | ₹10,901 | ₹10,936 | ₹10,821 |
Disclaimer: MUTUAL FUND INVESTMENTS ARE SUBJECT TO MARKET RISKS, READ ALL SCHEME RELATED DOCUMENTS CAREFULLY.Nifty 1D Rate Index is the scheme benchmark. The returns are simple annualized returns for less than 1 year & since inception. There are no plans under the scheme. The scheme offers only growth options. For computation of return since inception the allotment NAV has been taken as Rs. 1000.00. Point-to-point returns on a standard investment of Rs. 10,000/- are in addition to CAGR for the Scheme. Past performance may or may not be sustained in future. Load is not considered for computation of returns. In case, the start/end date of the concerned period is a Non-Business Date (NBD), the NAV of the previous date is considered for computation of returns. The NAV per unit shown in the table is as on the start date of the said period. The scheme is being currently managed by Mr. Deepak Ramaraju, effective from August 20, 2022; Mr. Sudip More effective from October 3, 2024 and Mr. Prateek Nigudkar effective from August 7, 2025.
Shriram Money Market Fund
Performance of Shriram Money Market Fund Regular Growth as of 10 Apr 2026
Returns of Regular Plan - Growth Option as on 10 Apr 2026 Date of inception 02 Jan 2026 | ||||||||
|---|---|---|---|---|---|---|---|---|
| NAV Rs. 1014.6466 | AUM Rs.(in crore) 320.04 | |||||||
| Date | Period | Nav (Rs.) Per Unit | Scheme Returns (%) | Scheme Benchmark Returns (%) | Additional Benchmark (NIFTY50) Returns (%) | Current value of ₹ 10,000 invested | ||
| Scheme | Scheme Benchmark | Additional Benchmark (NIFTY50) | ||||||
| 02 Apr 2026 | Last 7 Day | 1010.3825 | 21.18% | 9.62% | 3.95% | ₹10,042 | ₹10,020 | ₹10,008 |
| 25 Mar 2026 | Last 15 Day | 1008.2988 | 15.39% | 11.88% | 4.39% | ₹10,063 | ₹10,049 | ₹10,019 |
| 10 Mar 2026 | Last 1 Month | 1007.9263 | 8.14% | 8.66% | 3.85% | ₹10,067 | ₹10,071 | ₹10,032 |
| 13 Jan 2026 | Since Inception | 1000 | 6.29% | 7.05% | 3.87% | ₹10,146 | ₹10,164 | ₹10,091 |
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