Fund Category Index Funds (Debt)
Investment Objective The investment objective of the Scheme is to generate returns corresponding to the total returns of the securities as
represented by the CRISIL IBX AAA Index – March 2024 before expenses, subject to tracking errors.
The Scheme does not guarantee/indicate any returns. There can be no assurance or guarantee that the investment
objective of the Scheme will be achieved.
Fund Details | |
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Fund Manager: | Mr. Mohit Sharma & Mr. Sanjay Godambe |
Managing Fund Since: | Feb 03, 2023 |
Experience in Managing the Fund: | 0.3 Years |
Date of Allotment: | Feb 03, 2023 |
Application Amount for fresh subscription: | 500 (plus in multiplies of 1) |
Min. Addl. Investment: | 500 (plus in multiplies of 1) |
SIP: | Monthly: Minimum 500/- |
NAV of Plans / Options () | $Income Distribution cum capital withdrawal | Regular Plan |
Growth: | 10.3117 |
Daily IDCW: | 10.3117 |
Direct Plan | |
Growth: | 10.3204 |
Daily IDCW$: | 10.3205 |
Benchmark: | CRISIL IBX AAA Mar 2024 Index |
Monthly Average AUM: | 767.83 Crores |
AUM as on last day: | 796.71 Crores |
Load Structure (as % of NAV) (Incl. for SIP) | |
Entry Load: | NiL |
Exit Load: | NIL |
Other Parameters | |
Modified Duration: | 0.65 years |
Average Maturity: | 0.67 years |
Yield to Maturity: | 7.41% |
Macaulay Duration: | 0.67 years |
Total Expense Ratio (TER) | |
Including additional expenses and goods and service tax on management fees. | |
Regular | 0.32% |
Direct | 0.11% |
Tracking Error | |
Regular | 0.18% |
Direct | 0.18% |
Data as on 30th June 2023 unless otherwise specified
*Standard deviation of daily tracking difference computed for a 1 year horizon. If the fund is non-existent for 1 year then since inception returns are considered.
Note: The exit load (if any) rate levied at the time of redemption/switch-out of units will be the rate prevailing at the time of allotment of the corresponding units. Customers may request for a separate Exit Load Applicability Report by calling our toll free numbers 1800-270-7000 or from any of our Investor Service Centers.
Portfolio Holdings | ||
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Issuer | % to net Assets |
Rating |
Fixed rates bonds - Corporate | 55.10% | |
Pipeline Infrastructure Limited | 11.43% | CRISIL AAA |
Oil & Natural Gas Corporation Limited | 9.87% | ICRA AAA |
National Bank For Agriculture and Rural Development | 7.44% | ICRA AAA |
Small Industries Development Bank of India | 5.81% | CARE AAA |
National Bank For Agriculture and Rural Development | 4.34% | CRISIL AAA |
Bajaj Finance Limited | 3.16% | CRISIL AAA |
Housing Development Finance Corporation Limited | 3.13% | ICRA AAA |
Bajaj Housing Finance Limited | 3.11% | CRISIL AAA |
Kotak Mahindra Prime Limited | 3.10% | CRISIL AAA |
Bajaj Finance Limited | 3.10% | CRISIL AAA |
National Housing Bank | 0.62% | CRISIL AAA |
Money Market Instruments | 43.88% | |
Export Import Bank of India | 4.30% | ICRA A1+ |
Small Industries Development Bank of India | 4.20% | CRISIL A1+ |
Export Import Bank of India | 4.18% | ICRA A1+ |
ICICI Bank Limited | 4.17% | ICRA A1+ |
Small Industries Development Bank of India | 4.17% | CRISIL A1+ |
Axis Bank Limited | 4.17% | ICRA A1+ |
ICICI Bank Limited | 3.87% | ICRA A1+ |
Housing Development Finance Corporation Limited | 3.00% | ICRA A1+ |
Bajaj Finance Limited | 2.99% | ICRA A1+ |
Housing Development Finance Corporation Limited | 2.97% | ICRA A1+ |
HDFC Bank Limited | 2.41% | CARE A1+ |
Housing Development Finance Corporation Limited | 1.66% | ICRA A1+ |
Axis Bank Limited | 1.19% | ICRA A1+ |
Housing Development Finance Corporation Limited | 0.60% | ICRA A1+ |
Cash & Current Assets | 1.01% | |
Total Net Assets | 100.00% |
Rating Profile of Portfolio |
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This page is a part of the July 2023 Factsheet of Aditya Birla Sun Life Mutual Fund. Click on http://empower.abslmf.com/ for the digital factsheet.
Mutual Fund investments are subject to market risks, read all scheme related documents carefully.