Category | Launch Date | Benchmark | Expense Ratio | AUM |
---|---|---|---|---|
Debt: Floater | 26-07-2021 | CRISIL Low Duration Debt | 0.57% As on (31-03-2024) |
252.36 Cr As on (30-04-2024) |
Dividend Record Date | Dividend ( |
NAV ( |
Dividend Yield (%) |
---|---|---|---|
25-04-2024 | 4.0783 | 1001.0 | 0.41% |
26-03-2024 | 7.9717 | 1004.0563 | 0.79% |
26-02-2024 | 5.5451 | 1008.8932 | 0.55% |
25-01-2024 | 5.7349 | 1002.7668 | 0.57% |
26-12-2023 | 8.7018 | 1001.6681 | 0.87% |
28-11-2023 | 7.3780 | 1001.0 | 0.74% |
25-09-2023 | 6.0508 | 1001.0 | 0.60% |
25-08-2023 | 2.9518 | 1001.0 | 0.29% |
25-07-2023 | 6.6152 | 1001.0 | 0.66% |
26-06-2023 | 3.6351 | 1001.0 | 0.36% |
25-05-2023 | 6.5184 | 1001.0 | 0.65% |
25-04-2023 | 9.0943 | 1001.0 | 0.91% |
27-03-2023 | 10.1763 | 1001.0 | 1.02% |
25-01-2023 | 6.2978 | 1001.0 | 0.63% |
26-12-2022 | 4.4588 | 1001.0 | 0.45% |
25-11-2022 | 9.5596 | 1001.0 | 0.96% |
25-10-2022 | 2.1879 | 1001.0 | 0.22% |
25-08-2022 | 8.4964 | 1001.0 | 0.85% |
25-07-2022 | 6.3819 | 1001.0 | 0.64% |
25-04-2022 | 3.8699 | 1001.0 | 0.39% |
25-03-2022 | 5.6530 | 1001.0 | 0.56% |
25-01-2022 | 4.1197 | 1001.0 | 0.41% |
27-12-2021 | 1.0435 | 1001.0 | 0.10% |
25-11-2021 | 1.5671 | 1001.0 | 0.16% |
25-10-2021 | 2.8506 | 1001.0 | 0.28% |
27-09-2021 | 3.2306 | 1001.0 | 0.32% |
25-08-2021 | 3.2345 | 1001.0 | 0.32% |