Debt - Ultra Short Duration Fund
NAV as on
31-Mar-2025
₹ 1702391.8944
Returns (p.a.): 7.28%
Returns (day): 1.65%
Min. Investment
SIP ₹500 & Lumpsum ₹500
Riskometer
Moderate
Expense Ratio
as on null
Age
6 Years 10 Months 10 Days
₹ 26046.6 Crs
No Lock-In Period
N/A
CRISIL Composite Bond Index
Price/NAV | Percentage | Interval | |
---|---|---|---|
Mutual Fund | ₹1702391.89 | 7.28% | 6 Months |
Index | 24414.40 | 0.00% | -- |
1 Week
N/A%
1 Month
N/A%
6 Months
N/A%
1 Year
7.28%
3 Years
0.00%
5 Years
7.59%
Max
7.95%