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Reading: 10 Mutual Funds that Delivered 35% to 95% Returns in 1 Yr
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StockWaves > Investment Strategies > 10 Mutual Funds that Delivered 35% to 95% Returns in 1 Yr
Investment Strategies

10 Mutual Funds that Delivered 35% to 95% Returns in 1 Yr

StockWaves By StockWaves Last updated: November 10, 2025 9 Min Read
10 Mutual Funds that Delivered 35% to 95% Returns in 1 Yr
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Contents
How We Filtered These Funds?Record of 10 Mutual Funds that Delivered 35% to 95% Returns in 1 YrDeep Dive into Every Mutual Fund Scheme1. DSP World Gold Mining Abroad Fairness Omni FoF2. Mirae Asset NYSE FANG+ ETF FoF3. Mirae Asset S&P 500 High 50 ETF FoF4. Nippon India Taiwan Fairness Fund5. Invesco India – Invesco World Shopper Traits FoF6. Edelweiss Larger China Fairness Off-shore Fund7. Edelweiss Rising Markets Alternatives Fairness Offshore Fund8. Mirae Asset World X Synthetic Intelligence & Know-how ETF FoF9. ICICI Prudential Strategic Steel and Power Fairness FoF10. Edelweiss US Know-how Fairness FoFAbstract and Conclusion

Fairness mutual funds have seen a outstanding rally within the final one yr, because of international market restoration, expertise sector rebound, and robust commodity costs. Whereas a number of schemes delivered first rate returns, just a few funds stood out by giving distinctive positive aspects between 35% to 95%. On this article, we have a look at the 10 Mutual Funds that Delivered 35% to 95% Returns in 1 Yr, their aims, efficiency, who ought to make investments, and the important thing danger elements.

Discover – 10 Greatest Mutual Funds to Spend money on India in 2025 for Gen Z.


How We Filtered These Funds?

We thought-about:

1) All fairness mutual funds underneath direct plans out there in India

2) Analyzed their 1-year returns (as of 9-Nov-2025).

3) We filtered the top-performing schemes primarily based purely on 1-year absolute returns.

4) The highest 10 funds confirmed spectacular development ranging between 35% and 95%.

10 Mutual Funds that Delivered 35% to 95% Returns in 1 Yr


Record of 10 Mutual Funds that Delivered 35% to 95% Returns in 1 Yr

S NoMutual Fund Title1-Yr Return (%)₹1 Lakh Turned To (₹)
1DSP World Gold Mining Fund92.7%1,92,700
2Mirae Asset NYSE FANG+ ETF FoF68.8%1,68,800
3Mirae Asset S&P 500 High 50 ETF FoF44.9%1,44,900
4Nippon India Taiwan Fairness Fund42.1%1,42,100
5Invesco India World Shopper Traits FoF41.4%1,41,400
6Edelweiss Larger China Fairness Off-shore Fund36.8%1,36,800
7Edelweiss Rising Markets Alternatives Fund36.3%1,36,300
8Mirae Asset World X Synthetic Intelligence & Tech ETF FoF36.0%1,36,000
9ICICI Prudential Strategic Steel & Power Fairness FoF35.5%1,35,500
10Edelweiss US Know-how Fairness FoF35.4%1,35,400

Deep Dive into Every Mutual Fund Scheme

1. DSP World Gold Mining Abroad Fairness Omni FoF

Fund Goal: This fund invests in international gold mining firms to seize alternatives within the gold sector. It advantages from rising gold costs and robust international demand.

CAGR Returns:

  • 1 Yr – 92.7%
  • 3 Years – 46.1%
  • 5 Years – 15.1%
  • 10 Years – 18.7%

₹1 Lakh Turned To: ₹1,92,700 in 1 yr

Who Can Make investments: Ultimate for traders seeking to diversify into commodities and hedge in opposition to inflation.

Danger Components: Excessive volatility because of international commodity value fluctuations and foreign money dangers.

Earlier we reviewed this fund as a part of 15 Mutual Funds Outperformed in Final 3 Years with 120% to 380% Returns too.


2. Mirae Asset NYSE FANG+ ETF FoF

Fund Goal: Invests in NYSE FANG+ Index firms like Meta, Apple, Amazon, Netflix, and Google to seize tech-driven development.

CAGR Returns:

  • 1 Yr – 68.8%
  • 3 Years – 70.3%

₹1 Lakh Turned To: ₹1,68,800 in 1 yr

Who Can Make investments: Appropriate for aggressive traders bullish on international expertise and innovation.

Danger Components: Focus in few tech shares and publicity to international market volatility.


3. Mirae Asset S&P 500 High 50 ETF FoF

Fund Goal: Tracks the highest 50 large-cap firms within the U.S. S&P 500 Index, providing diversification in U.S. equities.

CAGR Returns:

  • 1 Yr – 44.9%
  • 3 Years – 39.7%

₹1 Lakh Turned To: ₹1,44,900 in 1 yr

Who Can Make investments: Traders in search of long-term wealth creation by publicity to main U.S. firms.

Danger Components: Forex and geopolitical dangers; relies on U.S. market cycles.


4. Nippon India Taiwan Fairness Fund

Fund Goal: Focuses on Taiwan-based firms, primarily in semiconductor and electronics sectors.

CAGR Returns:

  • 1 Yr – 42.1%
  • 3 Years – 41.3%

₹1 Lakh Turned To: ₹1,42,100 in 1 yr

Who Can Make investments: Appropriate for traders who need publicity to the rising semiconductor ecosystem.

Danger Components: Excessive nation and foreign money danger; relies upon closely on international chip demand.

We analysed this fund in 12 Mutual Funds Outperformed in Final 2 Years with 66% to 104% Returns.


5. Invesco India – Invesco World Shopper Traits FoF

Fund Goal: Invests in firms that profit from rising international shopper spending tendencies.

CAGR Returns:

  • 1 Yr – 41.4%
  • 3 Years – 29.4%

₹1 Lakh Turned To: ₹1,41,400 in 1 yr

Who Can Make investments: Greatest fitted to traders who need international diversification in consumption-driven companies.

Danger Components: Sectoral focus danger and foreign money fluctuations.


6. Edelweiss Larger China Fairness Off-shore Fund

Fund Goal: Invests in main firms from China, Hong Kong, and Taiwan.

CAGR Returns:

  • 1 Yr – 36.8%
  • 3 Years – 20.4%
  • 5 Years – 2.8%
  • 10 Years – 11.3%

₹1 Lakh Turned To: ₹1,36,800 in 1 yr

Who Can Make investments: Traders searching for long-term participation in China’s development story.

Danger Components: Coverage adjustments in China, geopolitical and regulatory dangers.


7. Edelweiss Rising Markets Alternatives Fairness Offshore Fund

Fund Goal: Invests in rising markets to seize increased development alternatives.

CAGR Returns:

  • 1 Yr – 36.3%
  • 3 Years – 19.7%
  • 5 Years – 6.6%
  • 10 Years – 9.4%

₹1 Lakh Turned To: ₹1,36,300 in 1 yr

Who Can Make investments: Appropriate for traders who consider in long-term rising market development.

Danger Components: Political instability, international commerce tensions, and foreign money danger.

Earlier we analysed this fund few months again as a part of 10 Worst Performing Mutual Funds within the Final 5 Years (1.7% to 9.1% CAGR Returns).


8. Mirae Asset World X Synthetic Intelligence & Know-how ETF FoF

Fund Goal: Focuses on firms leveraging AI and rising tech tendencies globally.

CAGR Returns:

  • 1 Yr – 36.0%
  • 3 Years – 41.5%

₹1 Lakh Turned To: ₹1,36,000 in 1 yr

Who Can Make investments: Traders with a high-risk urge for food in search of publicity to international AI and expertise leaders.

Danger Components: Excessive volatility and fast-evolving expertise panorama.


9. ICICI Prudential Strategic Steel and Power Fairness FoF

Fund Goal: Invests in firms associated to metals, mining, and power sectors throughout the globe.

CAGR Returns:

  • 1 Yr – 35.5%
  • 3 Years – 16.8%

₹1 Lakh Turned To: ₹1,35,500 in 1 yr

Who Can Make investments: Traders seeking to diversify into cyclical sectors like power and metals.

Danger Components: Commodity value volatility and international demand fluctuations.


10. Edelweiss US Know-how Fairness FoF

Fund Goal: Invests in U.S.-based expertise firms like Apple, Microsoft, and Nvidia.

CAGR Returns:

  • 1 Yr – 35.4%
  • 3 Years – 40.7%
  • 5 Years – 17.4%

₹1 Lakh Turned To: ₹1,35,400 in 1 yr

Who Can Make investments: Appropriate for traders with a long-term horizon who consider in U.S. tech dominance.

Danger Components: Excessive valuation danger and dependence on international tech sentiment.


Abstract and Conclusion

These 10 mutual funds have outperformed the broader market with stellar 1-year returns between 35% and 95%. Most of those are worldwide and thematic funds investing in gold, expertise, AI, and international shopper tendencies. Whereas such returns are spectacular, traders should do not forget that excessive returns include increased dangers because of international publicity and market volatility.

Diversifying throughout asset lessons and reviewing efficiency periodically might help traders steadiness danger and reward successfully.

Suresh KPSuresh KP
Suresh KP is a seasoned monetary knowledgeable with over 23 years of expertise. He’s NISM Licensed Funding Adviser and Analysis Analyst. For extra about his experience and certifications, go to About Suresh KP
Suresh KPSuresh KP
Newest posts by Suresh KP (see all)

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