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Best Low Risk Mutual Funds

Moderate returns over medium-to-long term can be achieved when investing strategy is focused on protecting downside. One of the ways to do this have a balanced mix of different asset classes like Equity, Debt & Gold. The Funds in this list are a mix of different categories that have demonstrated good returns with strong downside protection.

  • Funds in this list are focused on generating returns while managing risk too
  • These categories of Funds shouldn't be compared with Equity Funds while comparing returns
  • Invest if you are looking for a balance between risk & returns for your medium-to-long term investment
Show returns & current values for:
ShowReturns foroffor
Investment: 6 Lakh

List of Best Low Risk Mutual Funds in India sorted by ET Money Ranking

ICICI Prudential Income Optimizer Fund (FOF)
AUM
₹270 Crs
Current Value
Return (p.a)
+ 11.95% + 34.91% + 10.03% + 68.07% + 12.24% + 3.34% + 12.32% + 20.13% + 11.59% + 1.75% + 14.01% + 14.86% + 13.35% + 7.0% + 16.94% + 1.21%
ETM Rank Unranked
Expense 0.58%
Quant Multi Asset Fund
AUM
₹2,173 Crs
Current Value
Return (p.a)
+ 33.53% + 126.96% + 22.53% + 229.0% + 63.88% + 15.47% + 31.23% + 56.12% + 45.37% + 6.27% + 39.78% + 44.22% + 57.56% + 28.81% + 21.59% + 1.56%
ETM Rank #1 of 6 in Multi Asset Allocation
Expense 0.68%
ICICI Prudential Equity & Debt Fund
AUM
₹34,733 Crs
Current Value
Return (p.a)
+ 26.52% + 92.36% + 19.12% + 173.59% + 36.36% + 9.39% + 26.13% + 45.8% + 27.75% + 4.05% + 31.62% + 34.67% + 38.13% + 19.5% + 38.3% + 2.61%
ETM Rank #1 of 27 in Aggressive Hybrid
Expense 1.02%
ICICI Prudential Regular Savings Fund
AUM
₹3,402 Crs
Current Value
Return (p.a)
+ 10.97% + 31.72% + 10.39% + 71.35% + 14.86% + 4.06% + 11.23% + 18.28% + 14.2% + 2.16% + 13.02% + 13.83% + 14.55% + 7.66% + 15.94% + 1.18%
ETM Rank #1 of 18 in Conservative Hybrid
Expense 0.91%
Edelweiss Aggressive Hybrid Fund
AUM
₹1,564 Crs
Current Value
Return (p.a)
+ 22.76% + 75.77% + 16.47% + 137.2% + 33.1% + 8.62% + 23.4% + 40.46% + 32.03% + 4.61% + 29.05% + 31.71% + 33.6% + 17.27% + 53.84% + 3.48%
ETM Rank #2 of 27 in Aggressive Hybrid
Expense 0.33%
SBI Multi Asset Allocation Fund
AUM
₹4,677 Crs
Current Value
Return (p.a)
+ 17.43% + 54.43% + 13.45% + 101.7% + 30.28% + 7.93% + 19.82% + 33.67% + 33.44% + 4.76% + 25.06% + 27.17% + 29.42% + 15.19% + 31.3% + 2.19%
ETM Rank #2 of 6 in Multi Asset Allocation
Expense 0.58%
ICICI Prudential Multi Asset Fund
AUM
₹39,535 Crs
Current Value
Return (p.a)
+ 25.27% + 86.57% + 18.23% + 160.65% + 35.43% + 9.08% + 25.02% + 43.52% + 33.71% + 4.74% + 28.99% + 31.56% + 34.02% + 17.39% + 30.09% + 2.04%
ETM Rank #3 of 6 in Multi Asset Allocation
Expense 0.72%
Edelweiss Balanced Advantage Fund
AUM
₹11,136 Crs
Current Value
Return (p.a)
+ 17.53% + 54.8% + 14.14% + 109.28% + 30.3% + 7.95% + 17.28% + 28.99% + 30.15% + 4.37% + 22.31% + 24.08% + 27.48% + 14.23% + 52.54% + 3.41%
ETM Rank #3 of 17 in Dynamic Asset Allocation
Expense 0.48%
Kotak Debt Hybrid Fund
AUM
₹2,415 Crs
Current Value
Return (p.a)
+ 13.19% + 39.17% + 11.58% + 82.52% + 16.25% + 4.42% + 13.09% + 21.51% + 14.39% + 2.19% + 15.57% + 16.6% + 17.17% + 9.01% + 27.09% + 1.92%
ETM Rank #3 of 18 in Conservative Hybrid
Expense 0.5%
ICICI Prudential Balanced Advantage Fund
AUM
₹56,709 Crs
Current Value
Return (p.a)
+ 15.44% + 47.08% + 12.95% + 96.36% + 20.29% + 5.47% + 15.46% + 25.7% + 18.04% + 2.72% + 18.3% + 19.61% + 21.19% + 11.06% + 28.33% + 2.0%
ETM Rank #4 of 17 in Dynamic Asset Allocation
Expense 0.86%
Baroda BNP Paribas Aggressive Hybrid Fund
AUM
₹1,022 Crs
Current Value
Return (p.a)
+ 20.39% + 65.97% N.A. + 35.53% + 9.19% + 20.86% + 35.63% + 31.09% + 4.49% + 27.33% + 29.75% + 33.83% + 17.38% + 41.6% + 2.8%
ETM Rank #5 of 27 in Aggressive Hybrid
Expense 0.53%
Axis Multi Asset Allocation Fund
AUM
₹1,202 Crs
Current Value
Return (p.a)
+ 14.18% + 42.61% + 12.42% + 90.88% + 31.04% + 8.12% + 12.37% + 20.26% + 39.6% + 5.57% + 17.52% + 18.75% + 23.17% + 12.06% + 46.68% + 3.09%
ETM Rank #5 of 6 in Multi Asset Allocation
Expense 1.27%
Canara Robeco Equity Hybrid Fund
AUM
₹10,077 Crs
Current Value
Return (p.a)
+ 17.69% + 55.43% + 15.06% + 119.89% + 25.84% + 6.86% + 16.86% + 28.23% + 28.54% + 4.16% + 21.89% + 23.6% + 25.62% + 13.3% + 44.87% + 2.99%
ETM Rank #6 of 27 in Aggressive Hybrid
Expense 0.59%
Baroda BNP Paribas Conservative Hybrid Fund
AUM
₹594 Crs
Current Value
Return (p.a)
+ 9.81% + 27.98% + 9.33% + 61.99% + 14.38% + 3.93% + 10.56% + 17.13% + 14.15% + 2.15% + 12.87% + 13.66% + 14.24% + 7.5% + 18.42% + 1.35%
ETM Rank #6 of 18 in Conservative Hybrid
Expense 0.56%
Nippon India Balanced Advantage Fund
AUM
₹7,928 Crs
Current Value
Return (p.a)
+ 15.87% + 48.64% + 12.84% + 95.26% + 26.0% + 6.9% + 16.48% + 27.54% + 25.86% + 3.8% + 20.58% + 22.14% + 25.26% + 13.12% + 37.4% + 2.56%
ETM Rank #9 of 17 in Dynamic Asset Allocation
Expense 0.55%
Franklin India Debt Hybrid Fund
AUM
₹221 Crs
Current Value
Return (p.a)
+ 9.88% + 28.2% + 8.67% + 56.44% + 15.3% + 4.18% + 10.74% + 17.44% + 15.42% + 2.35% + 13.09% + 13.9% + 14.88% + 7.84% + 22.38% + 1.62%
ETM Rank #10 of 18 in Conservative Hybrid
Expense 0.65%
Mirae Asset Aggressive Hybrid Fund
AUM
₹8,546 Crs
Current Value
Return (p.a)
+ 17.45% + 54.49% N.A. + 23.2% + 6.2% + 16.36% + 27.32% + 22.79% + 3.38% + 20.85% + 22.45% + 23.17% + 12.06% + 35.42% + 2.44%
ETM Rank #12 of 27 in Aggressive Hybrid
Expense 0.37%
DSP Dynamic Asset Allocation Fund
AUM
₹3,110 Crs
Current Value
Return (p.a)
+ 12.4% + 36.47% + 10.71% + 74.3% + 21.18% + 5.69% + 13.25% + 21.78% + 25.71% + 3.78% + 17.25% + 18.45% + 20.08% + 10.5% + 33.85% + 2.34%
ETM Rank #12 of 17 in Dynamic Asset Allocation
Expense 0.74%
HSBC Balanced Advantage Fund
AUM
₹1,422 Crs
Current Value
Return (p.a)
+ 13.37% + 39.79% + 10.77% + 74.9% + 20.59% + 5.54% + 15.01% + 24.9% + 17.63% + 2.67% + 19.25% + 20.66% + 22.22% + 11.58% + 26.05% + 1.86%
ETM Rank #13 of 17 in Dynamic Asset Allocation
Expense 0.78%
Bandhan Balanced Advantage Fund
AUM
₹2,229 Crs
Current Value
Return (p.a)
+ 13.1% + 38.86% N.A. + 22.92% + 6.13% + 13.32% + 21.92% + 26.65% + 3.91% + 17.54% + 18.77% + 20.35% + 10.64% + 38.12% + 2.6%
ETM Rank #14 of 17 in Dynamic Asset Allocation
Expense 0.63%
Motilal Oswal Balance Advantage Fund
AUM
₹1,247 Crs
Current Value
Return (p.a)
+ 12.95% + 38.35% N.A. + 8.63% + 2.41% + 15.13% + 25.12% + 12.1% + 1.87% + 19.76% + 21.23% + 16.45% + 8.64% + 1.91% + 0.15%
ETM Rank #17 of 17 in Dynamic Asset Allocation
Expense 0.98%
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