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Home | Debt Low Duration Fund

Debt Low Duration Fund : 1 Week Return

Low duration fund: These open-ended debt schemes will invest in instruments with a duration between six months and 12 months. Money market funds: These open-ended debt schemes will invest in money market instruments with a maturity of up to one year.

Sources "Value Research" Data as on May ,29 2020

Fund Name
May ,29 2020
Fund
Rating
AUM
(Cr)
Launch Date Fund
NAV
1 Week Return(%)
Franklin India Low Duration Fund ★★★★★ 6333.77 Feb-00 22.3041 0.1118
Franklin India Low Duration Fund - Direct Plan ★★★★★ 6333.77 Jan-13 22.7801 0.1191
Kotak Low Duration Fund - Standard Plan - Direct Plan ★★★★★ 4693.75 Jan-13 2459.2538 0.1339
Mahindra Low Duration Bachat Yojana - Direct Plan ★★★★★ 344.86 Feb-17 1212.7653 0.1470
SBI Magnum Low Duration Fund ★★★★★ 7659.18 Jul-07 2504.7763 0.1859
Fund Name
May ,29 2020
Fund
Rating
AUM
(Cr)
Launch Date Fund
NAV
1 Week Return(%)
Aditya Birla Sun Life Low Duration Fund - Direct Plan ★★★★ 8752.71 Jan-13 491.5519 0.1965
Axis Treasury Advantage Fund ★★★★ 1577.35 Oct-09 2168.1456 0.2050
Axis Treasury Advantage Fund - Direct Plan ★★★★ 1577.35 Jan-13 2230.9704 0.2107
Canara Robeco Savings Fund - Regular Plan ★★★★ 1048.89 Mar-05 30.2791 0.1730
ICICI Prudential Savings Fund ★★★★ 19162.26 Sep-02 371.9291 0.1678
IDFC Low Duration Fund - Regular Plan ★★★★ 4167.18 Jan-06 27.4572 0.1795
Invesco India Treasury Advantage Fund ★★★★ 721.77 Jan-07 2682.5967 0.1751
Kotak Low Duration Fund - Standard Plan ★★★★ 4693.75 Mar-08 2358.2839 0.1198
Reliance Low Duration Fund ★★★★ 3974.44 Mar-07 2629.0995 0.2043
SBI Magnum Low Duration Fund - Direct Plan ★★★★ 7659.18 Jan-13 2522.8997 0.1964
Sundaram Low Duration Fund - Direct Plan ★★★★ 936.24 Jan-13 24.6436 0.1638
Tata Treasury Advantage Fund - Regular Plan ★★★★ 855.69 Sep-05 2776.8092 0.1644
Fund Name
May ,29 2020
Fund
Rating
AUM
(Cr)
Launch Date Fund
NAV
1 Week Return(%)
Aditya Birla Sun Life Low Duration Fund ★★★ 8752.71 May-98 465.2482 0.1803
BNP Paribas Low Duration Fund ★★★ 193.73 Oct-05 28.7349 0.1736
BNP Paribas Low Duration Fund - Direct Plan ★★★ 193.73 Jan-13 30.0712 0.1899
Canara Robeco Savings Fund - Direct Plan ★★★ 1048.89 Jan-13 30.6378 0.1775
DSP Low Duration Fund - Direct Plan ★★★ 2257.48 Mar-15 14.1642 0.2165
DSP Low Duration Fund - Regular Plan ★★★ 2257.48 Mar-15 13.9581 0.2104
Edelweiss Low Duration Fund - Regular Plan ★★★ 144.23 Sep-07 2023.4262 0.0649
HSBC Low Duration Fund - Direct Plan ★★★ 228.02 Jan-13 16.0374 0.1956
ICICI Prudential Savings Fund - Direct Plan ★★★ 19162.26 Jan-13 374.6336 0.1695
IDFC Low Duration Fund - Direct Plan ★★★ 4167.18 Jan-13 27.7357 0.1835
Invesco India Treasury Advantage Fund - Direct Plan ★★★ 721.77 Jan-13 2747.0984 0.1808
JM Low Duration Fund ★★★ 50.45 Sep-06 24.2613 0.0920
L&T Low Duration Fund ★★★ 1018.07 Dec-10 20.2020 0.0847
LIC MF Savings Fund ★★★ 1203.44 Jun-03 28.3253 0.1772
LIC MF Savings Fund - Direct Plan ★★★ 1203.44 Jan-13 29.6733 0.1877
Mahindra Low Duration Bachat Yojana - Regular Plan ★★★ 344.86 Feb-17 1184.5556 0.1318
PGIM India Low Duration Fund ★★★ 210.40 Jun-07 22.0415 0.2588
PGIM India Low Duration Fund - Direct Plan ★★★ 210.40 Jan-13 22.9164 0.2722
Reliance Low Duration Fund - Direct Plan ★★★ 3974.44 Jan-13 2689.3501 0.2102
Sundaram Low Duration Fund - Regular Plan ★★★ 936.24 Apr-07 23.7981 0.1545
Tata Treasury Advantage Fund - Direct Plan ★★★ 855.69 Jan-13 2808.9560 0.1687
UTI Treasury Advantage Fund - Direct Plan ★★★ 2481.48 Jan-13 2386.9369 0.1593
Fund Name
May ,29 2020
Fund
Rating
AUM
(Cr)
Launch Date Fund
NAV
1 Week Return(%)
Baroda Treasury Advantage Fund ★★ 303.72 Jun-09 1822.1570 -0.3983
Baroda Treasury Advantage Fund - Direct Plan ★★ 303.72 Jan-13 1860.9759 -0.3924
Edelweiss Low Duration Fund - Direct Plan ★★ 144.23 Jan-13 2071.4196 0.0802
HDFC Low Duration Fund ★★ 15490.55 Nov-99 40.4774 0.1492
HDFC Low Duration Fund - Direct Plan ★★ 15490.55 Jan-13 42.3792 0.1607
HSBC Low Duration Fund ★★ 228.02 Oct-06 15.2810 0.1809
JM Low Duration Fund - Direct Plan ★★ 50.45 Jan-13 24.4359 0.0938
L&T Low Duration Fund - Direct Plan ★★ 1018.07 Jan-13 20.6599 0.0945
Mirae Asset Savings Fund - Direct Plan ★★ 571.73 Jan-13 1719.4680 0.1777
Mirae Asset Savings Fund - Regular Savings Plan ★★ 571.73 Mar-08 1637.3465 0.1642
UTI Treasury Advantage Fund - Regular Plan ★★ 2481.48 Mar-03 2363.6747 0.1570
Fund Name
May ,29 2020
Fund
Rating
AUM
(Cr)
Launch Date Fund
NAV
1 Week Return(%)
Principal Low Duration Fund 172.19 Sep-04 2528.6188 0.1263
Principal Low Duration Fund - Direct Plan 172.19 Jan-13 2626.3594 0.1307
Equity Large & Midcap Fund
Equity Multi Cap Fund
Equity Mid Cap Fund
Equity Small Cap Fund
Equity Value Oriented Fund
Equity ELSS Fund
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