(Dynamic Bond Fund - An Open ended dynamic debt scheme investing across duration)
Type of Scheme | Dynamic Bond Fund - An Open ended dynamic debt scheme investing across duration |
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Investment Objective | The objective of the Scheme is to generate optimal returns through active management of a portfolio of debt and money market instruments. However, there is no assurance that the investment objective of the Scheme will be
realized and the Scheme does not assure or guarantee any returns |
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Fund Manager** |
Mr. Mahendra Jajoo - (since 24th March, 2017) Allotment Date |
24th March, 2017 Benchmark Index |
CRISIL Composite Bond Fund Index Minimum Investment |
Amount ₹ 5,000/- and in multiples of ₹ 1/-thereafter. Minimum Additional Application Amount: ₹1,000/- per application and in multiples of ₹ 1/- thereafter. Systematic Investment Plan (SIP) (Any Date SIP is available from 1st July, 2019) Monthly and Quarterly: ₹ 1000/- (multiples of ₹ 1/- thereafter), minimum 5 installments. Load Structure |
Entry load: NA Exit Load: If redeemed within 6 months (182 days) from the date of allotment – 0.50% ;If redeemed after 6 months (182 days) from the date of allotment – Nil Plans Available |
Regular Plan and Direct Plan Options Available |
Growth Option and Dividend Option (Payout & Re-investment) Monthly Average AUM (₹ Cr.) as on August 31, 2020 |
112.34 Net AUM (₹ Cr.) |
114.48 Monthly Avg. Expense Ratio |
(Including Statutory Levies) as on August 31, 2020 Regular Plan: 1.38% Direct Plan: 0.49% ANY DATE SIP provides one of the better investment experiences by allowing the investor to choose any investment date of the month (i.e., from 1st to 28th) depending upon the investors' expense and income flow.
| **For experience of Fund Managers Click Here |
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NAV: | Direct Plan | Regular Plan |
Growth Option | ₹ 13.4687 | ₹ 12.8835 |
Dividend Option | ₹ 13.4687 | ₹ 12.8835 |
Weighted Average Maturity | 5.32 Years |
Modified Duration | 4.02 Years |
Macaulay Duration | 4.26 Years |
Yield to Maturity | 4.88% |
Portfolio Holdings | % Allocation |
Government Bond | |
5.79% GOI (11/05/2030) | 47.04% |
6.18% GOI (04/11/2024) | 18.02% |
Government Bond Total | 65.05% |
Cash & Other Receivables Total | 34.95% |
Total | 100.00% |
Returns (%) | ||||
1 Yr | 3 Yrs | SI | ||
MADBF | 9.15 |
7.63 |
7.64 |
|
Scheme Benchmark* | 10.90 |
8.23 |
8.67 |
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Additional Benchmark** | 6.82 |
6.98 |
6.78 |
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NAV as on 31st August, 2020 | 12.8835 | |||
Index Value (31st August, 2020) | Index Value of benchmark is 3732.82 and CRISIL 1 Year T-Bill is 5972.69 | |||
Allotment Date | 24th March, 2017 | |||
Scheme Benchmark | *CRISIL Composite Bond Fund Index | |||
Additional Benchmark | **CRISIL 1 Year T Bill |
Note:1. Different Plans under the scheme has different expense structure. The reference and details provided herein are of Regular Plan - Growth Option
2. Fund manager : Mr. Mahendra Jajoo managing the scheme since 24th March, 2017
3. The scheme is in existence for more than 1 year and less than 3 years.
This product is suitable for investors who are seeking*
. Optimal returns over short to medium term
. To generate optimal returns through active management of a portfolio of debt and money market instruments
. Degree of risk - MODERATE
*Investors should consult their financial advisers if they are not clear about the suitability of the product.
Past Performance may or may not be sustained in future.
Note : For computation of since inception returns (%) the allotment NAV has been taken as ₹ 10.00. The performance of other funds managed by the same fund manager is given in the respective page of the schemes