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Reading: 10 Mutual Fund Schemes with 10-12 months Returns Between 464% and 646%
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StockWaves > Investment Strategies > 10 Mutual Fund Schemes with 10-12 months Returns Between 464% and 646%
Investment Strategies

10 Mutual Fund Schemes with 10-12 months Returns Between 464% and 646%

StockWaves By StockWaves Last updated: May 8, 2025 10 Min Read
10 Mutual Fund Schemes with 10-12 months Returns Between 464% and 646%
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10 Mutual Fund Schemes with 10-12 months Returns Between 464% and 646%Prime Performing Mutual Funds in final 10 years – Deep Dive#1 – Nippon India Small Cap Fund#2 – Quant ELSS Tax Saver Fund#3 – SBI Small Cap Fund#4 – Quant Flexi Cap Fund#5 – Quant Small Cap Fund#6 – Axis Small Cap Fund#7 – Motilal Oswal Midcap Fund#8 – Edelweiss Mid Cap Fund#9 – Invesco India Mid Cap Fund#10 – Kotak Rising Fairness FundUncover extra from Myinvestmentideas.com

For traders with a long-term horizon, mutual funds have the potential to generate substantial wealth. Over the previous decade, whereas many funds have carried out effectively, a couple of have stood out by constantly delivering distinctive returns. On this article, we highlight 10 Mutual Fund Schemes which have created vital long-term worth within the final 10 years together with particulars on their funding targets, efficiency over 3, 5, and 10 years, portfolio focus, and the important thing dangers to contemplate earlier than investing.

10 Mutual Fund Schemes with 10-12 months Returns Between 464% and 646%

Let’s get began!

Mutual Fund TitleAnnualised Return (10Y)Absolute Returns (10Y)₹1 Lakh Grew to become 
Nippon India Small Cap Fund22.3%646.6%7.46 Lakhs
Quant ELSS Tax Saver Fund21.0%573.7%6.7 Lakhs
SBI Small Cap Fund20.0%519.8%6.19 Lakhs
Quant Flexi Cap Fund20.0%518.4%6.18 Lakhs
Quant Small Cap Fund19.7%508.4%6.08 Lakhs
Axis Small Cap Fund19.5%497.8%5.97 lakhs
Motilal Oswal Midcap Fund19.3%486.6%5.86 Lakhs
Edelweiss Mid Cap Fund19.2%484.5%5.84 Lakhs
Invesco India Mid Cap Fund19.0%471.2%5.71 Lakhs
Kotak Rising Fairness Fund18.8%464.1%5.64 Lakhs

Prime Performing Mutual Funds in final 10 years – Deep Dive

Let’s deep dive into these mutual funds.

#1 – Nippon India Small Cap Fund

Funding Goal: This fund seeks to generate long-term capital progress by investing predominantly in small-cap corporations, tapping into their excessive progress potential.

Annualised Returns:

  • 3 Years: 24.7%
  • 5 Years: 39.5%
  • 10 Years: 22.2%

The place does the scheme make investments? The fund maintains a diversified portfolio throughout small-cap corporations in sectors similar to healthcare, financials, industrial manufacturing, and know-how.

Danger Elements:

  • Excessive volatility related to small-cap investing.
  • Liquidity dangers throughout market corrections.
  • Firm-specific dangers, as small companies could also be extra susceptible to operational challenges.

This fund is a part of our earlier article on 5 Mutual Funds with 5 12 months returns between 426% to 619%.

#2 – Quant ELSS Tax Saver Fund

Funding Goal: This fund goals to offer long-term capital appreciation together with tax advantages beneath Part 80C by investing primarily in fairness and equity-related devices. It follows an aggressive funding technique and actively manages sectoral allocation.

Annualised Returns:

  • 3 Years: 17.0%
  • 5 Years: 35.8%
  • 10 Years: 21.0%

The place does the scheme make investments?

The fund sometimes invests throughout market capitalisations with a bias in direction of high-conviction concepts. Its portfolio consists of corporations in sectors like financials, energy, and capital items, usually with tactical bets to seize market momentum.

Danger Elements:

  • Excessive volatility on account of aggressive sector rotation.
  • Concentrated bets can amplify draw back in unsure markets.
  • Market timing and technique execution dangers.

#3 – SBI Small Cap Fund

Funding Goal: The fund goals to offer traders with alternatives for long-term capital appreciation by investing predominantly in a well-diversified portfolio of fairness shares of small-cap corporations.

Annualised Returns:

  • 3 Years: 17.6%
  • 5 Years: 30.9%
  • 10 Years: 20.0%

The place does the scheme make investments?

The fund invests in rising small-cap corporations throughout varied sectors together with shopper items, industrials, chemical compounds, and healthcare. Its bottom-up inventory choosing method helps establish companies with sturdy progress potential and scalable fashions.

Danger Elements:

  • Greater volatility on account of publicity to small-cap shares.
  • Liquidity challenges throughout market downturns.
  • Larger sensitivity to financial cycles and regulatory adjustments

#4 – Quant Flexi Cap Fund

Funding Goal: The fund seeks to generate long-term capital appreciation by investing in a dynamic combine of huge, mid, and small-cap shares throughout sectors. It takes a high-conviction and energetic method to seize market alternatives.

Annualised Returns:

  • 3 Years: 20.8%
  • 5 Years: 35.4%
  • 10 Years: 20.0%

The place does the scheme make investments?

The portfolio is unfold throughout sectors like financials, capital items, and know-how, with dynamic allocation primarily based on macro traits and market indicators.

Danger Elements:

  • Market timing and aggressive rebalancing dangers.
  • Volatility on account of tactical allocation.
  • Publicity throughout market caps can result in inconsistent efficiency in unstable markets.

This fund is a part of Greatest Mutual Funds as per Google Gemini to put money into 2025.

#5 – Quant Small Cap Fund

Funding Goal: The fund targets wealth creation by investing in small-cap corporations with sturdy fundamentals and scalable enterprise fashions. It follows an aggressive technique with tactical sector rotation.

Annualised Returns:

  • 3 Years: 24.9%
  • 5 Years: 49.2%
  • 10 Years: 19.7%

The place does the scheme make investments?

The fund takes concentrated bets in high-potential small-cap shares from sectors like manufacturing, logistics, and financials.

Danger Elements:

  • Excessive volatility inherent in small-cap investments.
  • Liquidity dangers throughout corrections.
  • Sector rotation and inventory focus danger.

#6 – Axis Small Cap Fund

Funding Goal: This fund goals to generate long-term capital appreciation by investing primarily in small-cap shares with sturdy progress potential and high quality administration.

Annualised Returns:

  • 3 Years: 20.1%
  • 5 Years: 32.0%
  • 10 Years: 19.5%

The place does the scheme make investments?

Focuses on bottom-up inventory choosing in sectors like chemical compounds, financials, and healthcare with an emphasis on high quality and sustainable enterprise fashions.

Danger Elements:

  • Small-cap volatility and liquidity constraints.
  • Restricted draw back safety in bearish phases.
  • Dependence on sturdy execution by small companies.

#7 – Motilal Oswal Midcap Fund

Funding Goal: The fund seeks to ship long-term capital appreciation by investing in high-growth midcap shares utilizing a buy-and-hold technique.

Annualised Returns:

  • 3 Years: 31.0%
  • 5 Years: 39.4%
  • 10 Years: 19.3%

The place does the scheme make investments?

Invests in mid-sized corporations with aggressive benefits, largely in consumption, BFSI, and capital items.

Danger Elements:

  • Mid-cap publicity creates increased volatility.
  • Technique might underperform in short-term market cycles.
  • Sectoral focus dangers.

Even ChatGPT Really helpful Mutual Fund Portfolio for 2025 has above mutual fund scheme.

#8 – Edelweiss Mid Cap Fund

Funding Goal: This fund goals to offer long-term wealth creation by investing in high-growth mid-sized corporations throughout varied sectors.

Annualised Returns:

  • 3 Years: 27.0%
  • 5 Years: 35.1%
  • 10 Years: 19.2%

The place does the scheme make investments?

Focuses on midcap companies in sectors like financials, shopper, and infrastructure with scalable potential and sturdy enterprise fashions.

Danger Elements:

  • Midcap volatility and liquidity dangers.
  • Publicity to cyclical sectors can result in return fluctuations.
  • Financial and coverage adjustments can affect efficiency.

#9 – Invesco India Mid Cap Fund

Funding Goal: Seeks to generate capital progress by investing in high quality midcap corporations with sturdy fundamentals and long-term scalability.

Annualised Returns:

  • 3 Years: 27.0%
  • 5 Years: 32.0%
  • 10 Years: 19.0%

The place does the scheme make investments?

Focuses on mid-sized companies from sectors similar to chemical compounds, healthcare, and finance with a fundamental-driven method.

Danger Elements:

  • Market corrections can affect midcap valuations considerably.
  • Decrease liquidity than large-caps.
  • Firm-specific operational dangers.

#10 – Kotak Rising Fairness Fund

Funding Goal: The fund seeks to generate capital appreciation by investing in mid and small-cap corporations with potential to turn out to be future leaders.

This fund is a part of our earlier article on Prime 5 Midcap Mutual Funds to put money into 2025.

Annualised Returns:

  • 3 Years: 21.7%
  • 5 Years: 32.4%
  • 10 Years: 18.8%

The place does the scheme make investments?

Invests throughout sectors like financials, capital items, and healthcare, figuring out promising companies early of their progress part.

Danger Elements:

  • Excessive danger from smaller firm publicity.
  • Market and liquidity dangers.
  • Dependence on execution of enterprise plans by mid-cap companies.
10 Mutual Fund Schemes with 10-12 months Returns Between 464% and 646%
Suresh KP is a seasoned monetary knowledgeable with over 20 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 KP10 Mutual Fund Schemes with 10-12 months Returns Between 464% and 646%
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