About the Fund: The Fund aims to invest in high
quality debt and money market instruments
with high liquidity and seeks to generate accrual
income with low volatility.
Category: Liquid
Monthly Avg AUM: ₹ 9,814.01 Crores
Monthly end AUM: ₹ 8,063.57 Crores
Inception Date: 2 July 2001
Fund Manager: Mr. Harshal Joshi (w.e.f. 15th
September 2015) & Mr. Anurag Mittal (w.e.f. 09th
November 2015)
Other Parameter:
Standard Deviation (Annualized) | 0.17% |
Modified Duration | 43 Days
|
Average Maturity | 43 Days
|
Yield to Maturity | 7.05% |
Expense Ratio | |
Regular | 0.15% |
Direct | 0.05% |
Benchmark: CRISIL Liquid Fund Index
SIP (Minimum Amount): ₹ 100/-
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 : ₹ 100/- and any
amount thereafter
Option Available: Growth, Dividend - Daily,
Weekly, Monthly & Periodic
Exit Load: Nil
NAV (₹)
Plan | Option | Freq | NAV |
Regular Plan | Growth | - | 2218.8554 |
Regular Plan | Dividend | Daily | 1001.0846 |
Regular Plan | Dividend | Weekly | 1001.6599 |
Regular Plan | Dividend | Periodic | 1463.1842 |
Regular Plan | Dividend | Monthly | 1000.9040 |