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Risk

Moderate
-

Rating

4.0
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Min SIP Amount

₹100
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Expense Ratio

0.52
-

NAV

₹116.00
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Fund Started

11 Feb 1997
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Fund Size

₹30554.47 Cr
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Exit Load

-
-

1 Year

7.33%
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3 Year

7.69%
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5 Year

6.23%
-

Equity

0.00%
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Cash

2.78%
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Top 10 Holdings

-
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Name

-
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Start Date

-
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Description

The scheme seeks to generate optimal returns with high liquidity through active management of the portfolio by investing in High Quality Debt and Money Market Instruments.
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Launch Date

11 Feb 1997
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