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NAVs as of 20 Aug 2026

SBI Fixed Maturity Plan (FMP) - Series 46 (1850 Days)RegularNippon India Fixed Maturity Plan - XLV - Series 5RegularKotak FMP Series 304RegularSBI Fixed Maturity Plan (FMP) - Series 1 (3668 Days)Regular4 of 4 funds
Comparing the maximum of 4. Replace which fund?

Growth of ₹100 (rebased over the selected window)

Common period 31 Mar 202330 Jul 2026, limited by Nippon India Fixed Maturity Plan - XLV - Series 5. Every series is rebased to ₹100 at the start of this window.

View as table
Growth of ₹100, sampled across the common period
DateSBI Fixed Maturity Plan (FMP) - Series 46 (1850 Days)Nippon India Fixed Maturity Plan - XLV - Series 5Kotak FMP Series 304SBI Fixed Maturity Plan (FMP) - Series 1 (3668 Days)
31 Mar 2023₹100.00₹100.00₹100.00₹100.00
10 Jul 2023₹101.87₹102.41₹102.83₹102.58
20 Oct 2023₹103.26₹104.73₹103.59₹103.57
29 Jan 2024₹105.62₹107.21₹107.07₹106.53
10 May 2024₹107.88₹109.64₹109.57₹108.71
19 Aug 2024₹110.50₹112.32₹113.51₹112.10
29 Nov 2024₹112.69₹115.02₹116.24₹114.81
10 Mar 2025₹114.86₹117.44₹118.74₹116.93
19 Jun 2025₹117.94₹120.97₹123.87₹121.70
29 Sep 2025₹119.59₹123.22₹124.51₹122.86
08 Jan 2026₹121.50₹125.54₹125.86₹124.87
20 Apr 2026₹123.36₹128.10₹127.23₹126.05
30 Jul 2026₹125.02₹131.29₹130.79₹128.78
SBI Fixed Maturity Plan (FMP) - Series 46 (1850 Days), Nippon India Fixed Maturity Plan - XLV - Series 5, Kotak FMP Series 304, SBI Fixed Maturity Plan (FMP) - Series 1 (3668 Days) compared on return, risk, benchmark-relative, cost and portfolio metrics, against the Income median.
Metric
SBI · Regular
NAV ₹13.48
Moderate risk
★☆☆☆☆
Nippon India · Regular
NAV ₹13.16
Moderate risk
★★★★★
Kotak Mahindra · Regular
NAV ₹13.31
Moderate risk
★★★★★
SBI · Regular
NAV ₹17.54
Moderate risk
★★★☆☆
Category median
Income · 35 funds
+5.37%+7.48%Best in row+6.07%+5.83%+5.87%
+6.93%+8.40%Best in row+8.20%+7.82%+7.34%
+6.05%+6.77%Best in row+6.51%
+6.10%+8.43%Best in row+8.32%+7.96%+6.53%
+6.53%+8.21%Best in row+7.65%+7.35%
+6.68%+8.37%Best in row+8.12%+6.78%+7.17%
+6.05%+6.91%Best in row+6.59%
Risk
0.42%Best in row0.59%2.74%1.22%0.65%
3.22Best in row0.621.081.15
5.39Best in row0.911.511.92
-3.35%-0.30%Best in row-2.11%-4.58%-3.43%
0.39%0.34%0.10%Best in row0.20%0.26%
₹139.67Cr₹182.14Cr₹120.00Cr₹51.26Cr₹142.86Cr
None
None
₹5.00K
Vikash AgarwalDeepak Agrawal
14 Jul 202131 Mar 202303 Jan 202304 Apr 2019
4.5%
11 rows carry the same value for every fund — show
10Y return (CAGR)
10Y rolling avg
Benchmark
Alpha
Beta
Upside capture
Downside capture
Min SIP
Portfolio turnover
Holdings
Top 10 weight

Best marks the strongest value in a row, and only where the gap is bigger than noise — a near-tie is left unmarked rather than dressed up as a result. SIP XIRR is a ₹10,000/month instalment over 5 years of real NAV history. Nothing here is supplied by a fund house. For research only — not investment advice.