NAV: 13 May 2024 | ₹10.41 |
Min. SIP amount | ₹1,000 |
Rating | NA |
Fund size | ₹310.32Cr |
1M | 3M | 6M | All | |
---|---|---|---|---|
Fund returns | 0.5% | NA | NA | 4.0% |
Category average | NA | NA | NA | NA |
Rank with in category | NA | NA | NA | NA |
Name | Sector | Instrument | Assets |
---|---|---|---|
GOI | Sovereign | GOI Sec | 9.26% |
Indian Railway Finance Corporation Ltd. | Financial | Bonds | 9.26% |
LIC Housing Finance Ltd. | Financial | Debenture | 9.25% |
REC Ltd. | Financial | NCD | 9.25% |
ICICI Prudential Gold Exchange Traded Fund-IDCW | NA | Mutual Fund | 8.42% |
Power Finance Corporation Ltd. | Financial | NCD | 5.56% |
Small Industries Devp. Bank of India Ltd. | Financial | Debenture | 3.70% |
State Bank of India | Financial | Equity | 2.51% |
Bank Of Baroda | Financial | Equity | 2.20% |
Sun Pharmaceutical Industries Ltd. | Healthcare | Equity | 2.01% |
Inclusive of GST
Exit Load for units in excess of 10% of the investment,1% will be charged for redemption within 12 months.
0.005% (from July 1st, 2020)
NA
Min. for 1st investment | ₹5,000 |
Min. for 2nd investment onwards | ₹1,000 |
Min. for SIP | ₹1,000 |