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  • Fixed Income
  • Money Market
  • 0 Year Old Fund
Benchmark(s) : NIFTY Low Duration Debt Index A-I Benchmark(s) : NIFTY Low Duration Debt Index A-I
image 1,500  Existing Investors imageimage As of 30/09/2025
Existing Investors image As of30/09/2025
image 1,500 image As of30/09/2025

  • An open-ended Low duration debt scheme investing in instruments such that the Macaulay duration of the portfolio is between 6 months to 12 months.  
  • Relatively High interest rate risk and Moderate credit risk.
How does the fund work?
  • The scheme will allocate 100% of it's assets in Debt securities, and Money Market Instruments, including corporate debt, PSU Bonds, Gilts, cash & cash equivalent. 
  • The scheme shall maintain liquid assets in the form of Redemption at Risk (LR-RaR) and Conditional Redemption at Risk (LR-CRaR) which shall be atleast 10%of their net assets of the scheme or as prescribed at Annexure 1 of AMFI Best Practices Guidelines Circular No.93 / 2021-22 dated July 24, 2021, whichever is higher.
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  • Generating returns in the fixed income market by actively managing the portfolio while maintaining a low duration.
  • Derivative products are leveraged instruments and can provide disproportionate gains as well as disproportionate losses to the investor. Execution of such strategies depends upon the ability of the fund manager to identify such opportunities. Identification and execution of the strategies to be pursued by the fund manager involve uncertainty and decision of fund manager may not always be profitable. No assurance can be given that the fund manager will be able to identify or execute such strategies. The risks associated with the use of derivatives are different from or possibly greater than, the risks associated with investing directly in securities and other traditional investments.

  For detailed derivative strategies, please refer to SAI.

The recommended investment horizon is “6 to 12 months”
Alternative To
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Short Term Savings Instruments

Suitable For
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Regular Income

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Parking of short term funds

Performance

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Portfolio

NAVs & Other Details

Fund Managers

Chandni Gupta
Chandni Gupta
Managing this fund since 05/03/2025
View all funds managed by him/her View all funds managed by him/her
Rahul Goswami
Rahul Goswami
Managing this fund since 05/03/2025
View all funds managed by him/her View all funds managed by him/her

Scheme Details

Inception05/03/2025
Benchmark(s)NIFTY Low Duration Debt Index A-I
Entry LoadNil
Exit LoadNil
AUM (Month end) -
Minimum Investment/Multiples for Fresh Purchase (₹)5000/1
Additional Investment/Multiples thereof (₹)1000/1
Managed funds by
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Daily NAVs

Plan NAV
Retail-Growth10.5541
Retail-IDCW10.4530
Plan NAV
Direct-Growth10.5987
Direct-IDCW10.4925
NAV in INR as on - 14/11/2025   Click here for Latest NAVs - AMFI
Click here for Latest NAVs - AMFI

IDCW History

PlanRecord DateDiv Per Unit (₹)Record NAV (₹)Ex.Div DateEx.Div NAV (₹)
IDCW----------
Direct-IDCW----------

Fund Documents

Product Label and Riskometer as on October 31, 2025

This product is suitable for Investors who are seeking*:
  • Short term regular income
  • Investment in a portfolio of low duration debt & money market securities
Low to Moderate
The risk of the scheme is Low to Moderate Risk.
*Investors should consult their financial distributors if in doubt about whether the product is suitable for them.
Low to Moderate

The risk of the benchmark is Low to Moderate Risk

NIFTY Low Duration Debt Index A-I

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Franklin Hi there, do you need some help?