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Aditya Birla SL Floating Rate Fund Standard Growth

GrowthRegular
358.480.01% (+0.05)
High
Low
Returns
0.00%
0.00%
1M
6M
1Y
3Y
5Y
Max
SIP
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1M
6M
1Y
3Y
5Y
Max
SIP

Large-size Fund

Assets Under Mgmt: ₹ 13,191 Cr

Moderately Low Risk

Principle investment will be at moderately low risk

Scorecard

Performance

Avg

Return has been average, nothing exciting vs others

Risk

Low

Stay at ease, amongst the lower risk funds

Cost

Low

Expense that wouldn't create any worry

Composition

High

A well thought mix versus other funds

Red flags

Low

We got you covered, no major red flags identified

How to use scorecard? Learn more

Large-size Fund

Assets Under Mgmt: ₹ 13,191 Cr

Moderately Low Risk

Principle investment will be at moderately low risk

Aditya Birla SL Floating Rate Fund Performance & Key Metrics

Aditya Birla SL Floating Rate Fund Performance & Key Metrics

Expense RatioExpense RatioNo LabelNo LabelNo LabelNo Label
0.456.636.65
No LabelNo LabelNo LabelNo LabelNo LabelNo Label
0.486.894.22

Aditya Birla SL Floating Rate Fund Scheme InfoAditya Birla SL Floating Rate Fund Scheme Info

PlanPlanLock inLock inExit LoadExit Load
Growth0 yrs0.00%
Nil
SIP Inv.SIP Inv.Min. LumpsumMin. Lumpsum
Allowed₹ 1,000
Initial: ₹ 1,000 Incremental: ₹ 1,000
BenchmarkBenchmark
NIFTY Low Duration Debt Index

About Floating Rate Fund

About Floating Rate Fund

Floating rate funds are debt funds. They invest in bonds and debt instruments whose interest payments alter with an underlying interest rate level.

Aditya Birla SL Floating Rate Fund Portfolio

Aditya Birla SL Floating Rate Fund Asset Allocation

Aditya Birla SL Floating Rate Fund Asset Allocation

Actual

Target

Mar 2025

Jun 2025

Sep 2025

Nov 2025

ACTUAL
+3 moreSecured DebtCash & EquivalentsGovernment SecuritiesCertificate of DepositCorporate Debt1.94%4.07%4.09%11.70%17.91%60.29%

Mar 2025

Jun 2025

Sep 2025

Nov 2025

Tickertape Separator

Aditya Birla SL Floating Rate Fund Sector Distribution

Aditya Birla SL Floating Rate Fund Sector Distribution

+7 moreG-SecConsumer FinanceInvestment Banking & BrokerageSpecialized FinancePublic Banks25.96 %11.70 %11.75 %11.98 %13.53 %25.08 %

Mar 2025

Jun 2025

Sep 2025

Nov 2025

Tickertape Separator

Aditya Birla SL Floating Rate Fund Sector Weightage

Aditya Birla SL Floating Rate Fund Sector Weightage

Sep 24Dec 24Mar 25Jun 25Sep 25Nov 2523.19%24.69%31.99%30.84%26.29%25.08%
Public Banks as a % of total holdings for last six quarters
Tickertape Separator

Aditya Birla SL Floating Rate Fund Current Holdings

Aditya Birla SL Floating Rate Fund Current Holdings

Debt

Others

  • Constituent
    Holding Weight
    3M Change

AMC Profile of Aditya Birla SL Floating Rate Fund

AMC Profile of Aditya Birla SL Floating Rate Fund

Aditya Birla Sun Life AMC Limited, is a joint venture between the Aditya Birla Group and the Sun Life Financial Inc. of Canada. The joint venture brings together Aditya Birla Group's experience in the Indian market and Sun Life's global experience.

Aditya Birla Sun Life AMC Limited, is a joint venture between the Aditya Birla Group and the Sun Life Financial Inc. of Canada. The joint venture brings together Aditya Birla Group's experience in the Indian market and Sun Life's global experience.

  • No.of Schemes

    95

  • Total AUM

    ₹ 4,37,364.83 Cr.

Aditya Birla SL Floating Rate Fund Manager Details

Aditya Birla SL Floating Rate Fund Manager Details

Aditya Birla SL Floating Rate Fund Manager Profile

Aditya Birla SL Floating Rate Fund Manager Profile

Kaustubh Gupta

AUM:  ₹1,98,990.38 Cr.

Sum of AUMs of all funds managed by the fund manager

 | 

Exp: 5yrs

Harshil Suvarnkar

AUM:  ₹50,069.25 Cr.

Sum of AUMs of all funds managed by the fund manager

 | 

Exp: 10yrs

Aditya Birla SL Floating Rate Fund Manager Performance (0)

Aditya Birla SL Floating Rate Fund Manager Performance (0)

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Aditya Birla SL Floating Rate Fund Tax Implications

Aditya Birla SL Floating Rate Fund Tax Implications

Invested period < 2 years

Gains are added to taxable income and taxed according to the individual’s income tax slab

Invested period > 2 years(Investments from 1st April 2023)

Gains are added to taxable income and taxed according to the individual’s income tax slab

Invested period > 2 years(Investments before 1st April 2023)

Gains are treated as long-term capital gains and taxed at 12.5%

Let’s calculate your returns after tax

Investment frequency

Monthly

One Time

Monthly Investment Amt. (₹)

Investment period (years)

CAGR (%)
This CAGR is calculated based on the actual past return given by the fund during the selected investment period. This is the annualised growth rate assuming monthly compounding.
Annual Income
As per the tax implications, in some cases, tax on MF returns depends on your annual income slab

+

-

You make

Frequently asked questions

Frequently asked questions

  1. What is the current price / NAV of Aditya Birla SL Floating Rate Fund?

    The current NAV of Aditya Birla SL Floating Rate Fund is ₹358.48, as of 4th December 2025.

  2. What are the returns of Aditya Birla SL Floating Rate Fund?

    The Aditya Birla SL Floating Rate Fund was launched on 25th March 2009. This mutual fund's past returns are as follows:
    • 1 Year Returns: 7.89%
    • 3 Year Returns: 7.77%
    • 5 Year Returns: 6.31%

  3. What are the top 5 sectoral holdings of Aditya Birla SL Floating Rate Fund?

    The top sectors Aditya Birla SL Floating Rate Fund has invested in are as follows:
    • Public Banks | 25.08%
    • Specialized Finance | 13.53%
    • Investment Banking & Brokerage | 11.98%
    • Consumer Finance | 11.75%
    • G-Sec | 11.70%
    This data is as on 4th December 2025.

  4. What are the top 5 holdings of Aditya Birla SL Floating Rate Fund?

    The top 5 holdings for Aditya Birla SL Floating Rate Fund are as follows:
    • Government of India (22/09/2033) | 5.67%
    • Clearing Corporation of India Limited | 4.07%
    • 7.30% Bharti Telecom Limited (01/12/2027) ** | 2.88%
    • 7.48% National Bank For Agriculture and Rural Development (15/09/2028) | 2.63%
    • 7.20% Knowledge Realty Trust (26/09/2028) ** | 2.28%
    This data is as on 4th December 2025.

  5. What is the asset allocation of Aditya Birla SL Floating Rate Fund?

    The asset allocation for Aditya Birla SL Floating Rate Fund is as follows:
    • Corporate Debt | 60.29%
    • Certificate of Deposit | 17.91%
    • Government Securities | 11.70%
    • Cash & Equivalents | 4.09%
    • Secured Debt | 4.07%
    This data is as on 4th December 2025.

  6. What is the AUM of Aditya Birla SL Floating Rate Fund?

    The AUM (i.e. assets under management) of Aditya Birla SL Floating Rate Fund is ₹13191.32 Cr as of 4th December 2025.

  7. What is the expense ratio of Aditya Birla SL Floating Rate Fund?

    The expense ratio of Aditya Birla SL Floating Rate Fund Plan is 0.45 as of 4th December 2025.

  8. What is the volatility or standard deviation of Aditya Birla SL Floating Rate Fund?

    The volatility or standard deviation for the Aditya Birla SL Floating Rate Fund is 0.56

    Standard deviation measures the volatility or risk associated with the returns of a mutual fund. A higher standard deviation indicates higher volatility, suggesting that the returns of the mutual fund are more spread out from the average. On the other hand, a lower standard deviation implies lower volatility and a more stable performance.

  9. What is the sharpe ratio of Aditya Birla SL Floating Rate Fund?

    The Sharpe ratio for the Aditya Birla SL Floating Rate Fund is 6.65

    The Sharpe ratio is a measure of risk-adjusted return that evaluates the performance of a mutual fund, by adjusting for its risk. Higher Sharpe ratio indicates a better risk-adjusted performance. A positive Sharpe ratio indicates that the MF has provided a return in excess of the risk-free rate for the amount of risk taken. Conversely, a negative Sharpe ratio suggests that the MF did not adequately compensate for the risk.

  10. What is the Sortino ratio of Aditya Birla SL Floating Rate Fund?

    The Sortino Ratio for the Aditya Birla SL Floating Rate Fund is 1.05

    The Sortino ratio of a mutual fund is a measure of its risk-adjusted return, considering only downside volatility. It helps investors evaluate how well a fund is performing relative to its downside risk. A higher Sortino ratio (value >1) means the fund generates better returns for the downside risk taken.