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Interval Mutual Funds

Interval Mutual Funds

Debt - Interval funds primarily invest in debt instruments. These are the mix of open-ended and close-ended funds.

  • Horizon: Medium to long
  • 🔢 Total funds: 12
  • 💰 Total AUM: 648 Cr

Best performing Interval Mutual Funds

NameAUM (Cr)Exp Ratio (%)1Y Return3Y CAGR5Y CAGR

Overview of Interval Mutual Funds

  • AUM
    ₹ 16.36 Cr.
  • Expense Ratio
    0.05%
  • 5Y CAGR
    5.56%
Performance
The fund's annualised performance has been 6.89% since inception.
Risk
The fund has been categorised as Low by SEBI and has a standard deviation of 0.31% vs its category average of 0.3%.
Composition
Government Securities makes up for the majority of the fund at 92.08% along with the largest allocation towards G-Sec at 92.08%.
  • AUM
    ₹ 82.89 Cr.
  • Expense Ratio
    0%
  • 5Y CAGR
    5.41%
Performance
The fund's annualised performance has been 6.96% since inception.
Risk
The fund has been categorised as Moderate by SEBI and has a standard deviation of 0.29% vs its category average of 0.3%.
Composition
Certificate of Deposit makes up for the majority of the fund at 38.32% along with the largest allocation towards Public Banks at 31.14%.
  • AUM
    ₹ 268.74 Cr.
  • Expense Ratio
    0.02%
  • 5Y CAGR
    5.32%
Performance
The fund's annualised performance has been 6.72% since inception.
Risk
The fund has been categorised as Moderate by SEBI and has a standard deviation of 0.31% vs its category average of 0.3%.
Composition
Certificate of Deposit makes up for the majority of the fund at 53.4% along with the largest allocation towards Public Banks at 46.03%.
  • AUM
    ₹ 8.77 Cr.
  • Expense Ratio
    0.02%
  • 5Y CAGR
    5.06%
Performance
The fund's annualised performance has been 2.05% since inception.
Risk
The fund has been categorised as Low by SEBI and has a standard deviation of 0.29% vs its category average of 0.3%.
Composition
Mutual Funds makes up for the majority of the fund at 69.43% along with the largest allocation towards Others at 69.24%.
  • AUM
    ₹ 12.11 Cr.
  • Expense Ratio
    0%
  • 5Y CAGR
    4.96%
Performance
The fund's annualised performance has been 6.43% since inception.
Risk
The fund has been categorised as Moderately Low by SEBI and has a standard deviation of 0.33% vs its category average of 0.3%.
Composition
Government Securities makes up for the majority of the fund at 95.65% along with the largest allocation towards G-Sec at 95.65%.
  • AUM
    ₹ 3.21 Cr.
  • Expense Ratio
    0.03%
  • 5Y CAGR
    4.89%
Performance
The fund's annualised performance has been 6.49% since inception.
Risk
The fund has been categorised as Low by SEBI and has a standard deviation of 0.25% vs its category average of 0.3%.
Composition
Cash & Equivalents makes up for the majority of the fund at 100% along with the largest allocation towards Miscellaneous at 100.33%.
  • AUM
    ₹ 107.29 Cr.
  • Expense Ratio
    0%
  • 5Y CAGR
    4.88%
Performance
The fund's annualised performance has been 6.71% since inception.
Risk
The fund has been categorised as Low by SEBI and has a standard deviation of 0.3% vs its category average of 0.3%.
Composition
Cash & Equivalents makes up for the majority of the fund at 100% along with the largest allocation towards Others at 100%.
  • AUM
    ₹ 52.30 Cr.
  • Expense Ratio
    0.05%
  • 5Y CAGR
    4.81%
Performance
The fund's annualised performance has been 6.42% since inception.
Risk
The fund has been categorised as Moderate by SEBI and has a standard deviation of 0.3% vs its category average of 0.3%.
Composition
Certificate of Deposit makes up for the majority of the fund at 43.96% along with the largest allocation towards Public Banks at 53.52%.
  • AUM
    ₹ 3.93 Cr.
  • Expense Ratio
    0.05%
  • 5Y CAGR
    4.8%
Performance
The fund's annualised performance has been 6.5% since inception.
Risk
The fund has been categorised as Low by SEBI and has a standard deviation of 0.25% vs its category average of 0.3%.
Composition
Cash & Equivalents makes up for the majority of the fund at 100% along with the largest allocation towards Miscellaneous at 100.66%.
  • AUM
    ₹ 68.43 Cr.
  • Expense Ratio
    0%
  • 5Y CAGR
    4.78%
Performance
The fund's annualised performance has been 6.55% since inception.
Risk
The fund has been categorised as Moderately Low by SEBI and has a standard deviation of 0.29% vs its category average of 0.3%.
Composition
Commercial Paper makes up for the majority of the fund at 52.44% along with the largest allocation towards Others at 22.02%.
This compilation has been made as and by way of an update from the publicly available sources of information.This compilation is provided for information purposes only and is not intended to be relied upon by any party as the basis of any decision.

While every effort has been made to take due care in publishing this compilation and to avoid errors or omissions, this compilation is published with a condition and understanding that the Anchorage Technologies Private Limited (ATPL) shall not be responsible for any damages, compensation or loss or action taken or abstained to be taken on the basis of this article/commentary to any person whomsoever.

Investing in Mutual Funds,Stocks/ETFs (Exchange Traded Funds) and securities are subject to market risk. Please read all the related documents carefully before investing. Investors should consider all risk factors and consult their financial advisor before investing. Representations are not indicative of future results.