About the Fund:The Fund will predominantly invest
in high quality money market and debt instruments
of Banks, PSU and PFI.
Category: Banking and PSU
Monthly Avg AUM: ₹ 3,516.89 Crores
Monthly end AUM: ₹ 3,943.37 Crores
Inception Date: 7 March 2013
Fund Manager: Mr. Anurag Mittal (w.e.f. 15th May 2017)
Other Parameter:
Standard Deviation (Annualized) | 2.47% |
Modified Duration | 2.90 years |
Average Maturity | 3.59 years |
Yield to Maturity | 7.80% |
Expense Ratio | |
Regular | 0.52% |
Direct | 0.30% |
Benchmark: Crisil Short Term Bond Fund Index
(w.e.f. 12th June 2017)
SIP (Minimum Amount): ₹ 1000/-
SIP Frequency: Monthly
SIP Dates (Monthly): Investor may choose any day
of the month except 29th, 30th and 31st as the date
of instalment.
Investment Objective: Click here
Minimum Investment Amount : ₹ 5000/- and any
amount thereafter
Option Available: Growth, Dividend - Daily,
Fortnightly, Monthly (Reinvestment), Quarterly
(Payout), Annual (Payout) & Periodic
Exit Load: Nil (w.e.f. June 12th 2017)
NAV (₹)
Plan | Option | Freq | NAV |
Regular Plan | Growth | - | 16.0725 |
Regular Plan | Dividend | - | 11.6922 |
Regular Plan | Dividend | Fortnightly | 10.2975 |
Regular Plan | Dividend | Daily | 10.1861 |
Regular Plan | Dividend | Monthly | 10.3252 |
Regular Plan | Dividend | Quarterly | 10.6876 |
Regular Plan | Dividend | Annual | 10.2626 |