One applies an identical set of rules to every fund and lets the numbers rank them. The other goes one fund at a time, in depth. Both are built from the same AMFI NAV history.
Every fund scored 0–10 against its own segment across five dimensions, computed from raw daily NAVs. Read the same set through returns, drawdowns, cost or style.
Institutional-depth profiles: philosophy, manager record, portfolio construction, holdings and the verdict. A new fund added most weeks.
Figures across both sections are computed from AMFI daily NAV history (direct plan, growth option) as of 21 August 2026, with portfolio data from the 30 June 2026 disclosure. Nothing here is investment advice or a recommendation to buy, sell or hold any scheme.