An open ended dynamic debt scheme investing across duration
The fund is positioned in the dynamic bond fund
category to take exposure across the curve
depending upon the fund manager’s underlying
interest rate view where we employ the majority of
the portfolio. It is a wide structure and conceptually
can go anywhere on the curve.
• From an investor’s standpoint, it is quite important in our
view that portfolio yields be looked at somewhat
dynamically.
• Thus after a 3 year bull run in bonds if the portfolio
manager is creating some hedges and flexibilities that in
turn are showing up as reduction in yield, then this may
even be looked at as a source of comfort for investors
(please refer to our note ‘Hedging fixed income in volatile
times’, dated 22nd June’21
–https://idfcmf.com/article/4984 for further details).
• Similarly, if corporate / credit spreads have narrowed to
unsustainable levels in some cases and the manager hence
decides to move to more quality assets, this could be a
move to protect against future risks to spread expansion
even as it entails some dilution in portfolio yields of the
current portfolio.
• Thus a static analysis of portfolio yields and choosing the
highest of these for every category of funds may not
optimize risk versus reward, especially at cycle turning
points.
Category: Dynamic Bond
Monthly Avg AUM: Rs4,093.79 Crores
Inception Date: 25th June 2002
Fund Manager:
Mr. Suyash
Choudhary (Since 15th October 2010)
Standard Deviation (Annualized): 4.29%
Modified duration: 1.79 years
Average Maturity: 2.16 years
Macaulay Duration: 1.85 years
Yield to Maturity: 4.39%
Benchmark: CRISIL Composite Bond
Fund Index
Minimum Investment Amount: Rs5,000/- and any amount thereafter.
Exit Load: Nil (w.e.f. 17th October
2016)
Options Available: Growth, IDCW@
- Periodic, Quarterly, Half Yearly, Annual
and Regular frequency (each with
Reinvestment, Payout and Sweep
facility)
Maturity Bucket:
PORTFOLIO | (30 June 2021) |
Name | Rating | Total (%) |
Government Bond | 42.18% | |
6.97% - 2026 G-Sec | SOV | 26.65% |
5.63% - 2026 G-Sec | SOV | 15.53% |
8.20% - 2025 G-Sec | SOV | 0.003% |
7.17% - 2028 G-Sec | SOV | 0.003% |
Net Cash and Cash Equivalent | 57.82% | |
Grand Total | 100.00% |
This product is suitable for investors who are seeking*:
• To generate long term optimal returns by active management
• Investments in money market & debt instruments including
G-Sec across duration
*Investors should consult their financial advisors if in doubt about
whether the product is suitable for them.
Contact your Financial Advisor |
Call toll free 1800-2-6666-88 |
Contact your Financial Advisor | Call toll free 1800-2-6666-88 |
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@IDFCMF |