1 Year Absolute Returns
-
NAV (₹) on 27 Mar 2026
1002.62
1 Day NAV Change
0.04%
Risk Level
Moderate Risk
Rating
-
Bajaj Finserv Low Duration Fund is a Debt mutual fund categorized under STP, offered by Bajaj Finserv Asset Management Limited. Launched on 09 Feb 2026, investors can start with a minimum SIP of ₹100 ... Read more
AUM
₹ 694.24 Cr
| Sectors | Weightage |
|---|---|
| Certificate of Deposits | 47.35% |
| Debt | 28.20% |
| Commercial Paper | 20.31% |
| Finance - Term Lending Institutions | 3.61% |
| Net Receivables/(Payables) | 0.53% |
| Name | Weightage | Value (in Cr.) | Sector |
|---|---|---|---|
| Clearing Corporation of India Ltd | 13.59% | ₹ 94.36 | Others |
| National Bank For Agriculture and Rural Development (02/03/2027) | 6.73% | ₹ 46.70 | Others |
| HDFC Bank Limited (24/02/2027) | 6.73% | ₹ 46.74 | Others |
| 7.18% Power Finance Corporation Limited (20/01/2027) | 5.76% | ₹ 40.01 | Others |
| 8.9% Muthoot Finance Limited (07/10/2027) | 4.37% | ₹ 30.35 | Others |
| 8.4% Cholamandalam Investment and Finance Company Ltd (18/09/2027) | 3.63% | ₹ 25.20 | Others |
| 8.2378% HDB Financial Services Limited (06/04/2027) | 3.62% | ₹ 25.13 | Others |
| 7.53% National Bank For Agriculture and Rural Development (24/03/2028) | 3.62% | ₹ 25.11 | Others |
| 7.7% Bajaj Housing Finance Limited (21/05/2027) | 3.61% | ₹ 25.05 | Others |
| 7.60% Power Finance Corporation Limited (20/02/2027) | 3.61% | ₹ 25.09 | Finance - Term Lending Institutions |
| 7.14% Bajaj Housing Finance Limited (26/02/2027) | 3.59% | ₹ 24.91 | Others |
| Bank of Baroda (15/06/2026) | 3.54% | ₹ 24.55 | Others |
| Bank of Baroda (03/02/2027) | 3.39% | ₹ 23.50 | Others |
| Punjab National Bank (10/02/2027) | 3.38% | ₹ 23.49 | Others |
| Canara Bank (04/03/2027) | 3.37% | ₹ 23.39 | Others |
| Punjab National Bank (04/03/2027) | 3.37% | ₹ 23.38 | Others |
| Bank of Baroda (08/03/2027) | 3.37% | ₹ 23.37 | Others |
| National Bank For Financing Infrastructure And Development (04/03/2027) | 3.37% | ₹ 23.41 | Others |
| HDFC Bank Limited (09/03/2027) | 3.37% | ₹ 23.36 | Others |
| Kotak Mahindra Bank Limited (09/03/2027) | 3.37% | ₹ 23.36 | Others |
| Small Industries Dev Bank of India (26/02/2027) | 3.36% | ₹ 23.36 | Others |
| Axis Securities Limited (22/02/2027) | 3.36% | ₹ 23.34 | Others |
| Kotak Securities Limited (24/02/2027) | 3.36% | ₹ 23.33 | Others |
| Net Receivables / (Payables) | 0.53% | ₹ 3.73 | Others |
| Annualised returns | ||||
|---|---|---|---|---|
| 9M | 1Y | 2Y | 3Y | |
| Fund returns | - | - | - | - |
| Category returns | 3.55% | 6.03% | 13.28% | 20.88% |
The investment objective of the Scheme is to generate optimal returns for its investors through a portfolio constituted of debt and money market securities. The Macaulay duration of the portfolio is ... Read more
|
Scheme Name
|
NAV
|
Returns
1Y
3Y
5Y
|
AUM (Cr)
|
Expense Ratio
|
Risk Meter
|
||
|---|---|---|---|---|---|---|---|
|
Aditya Birla Sun Life Low Duration Fund
Liquid
Regular
|
₹100.85 | 0.12% | 0.30% | -0.22% | ₹12,079 | 1.24% |
Low to Moderate
|
|
Aditya Birla Sun Life Low Duration Fund
Liquid
Regular
|
₹100.85 | 0.12% | 0.30% | -0.22% | ₹12,079 | 1.24% |
Low to Moderate
|
|
Aditya Birla Sun Life Low Duration Fund - Direct Plan
Liquid
Direct
|
₹100.29 | -0.26% | 0.29% | -0.32% | ₹12,079 | 0.42% |
Low to Moderate
|
|
Nippon India Low Duration Fund - Direct Plan
STP
Direct
|
₹1,011.92 | -0.00% | 0.28% | 0.21% | ₹8,878 | 0.38% |
Low to Moderate
|
|
Nippon India Low Duration Fund
STP
Regular
|
₹1,011.72 | -0.01% | 0.27% | 0.20% | ₹8,878 | 0.99% |
Low to Moderate
|
|
Nippon India Low Duration Fund - Retail Plan
STP
Regular
|
₹1,011.69 | -0.02% | 0.27% | 0.20% | ₹8,878 | 1.13% |
Low to Moderate
|
|
Axis Treasury Advantage Fund - Direct Plan
STP
Direct
|
₹1,009.88 | -0.13% | 0.03% | 0.01% | ₹5,869 | 0.30% |
Low to Moderate
|
|
Axis Treasury Advantage Fund - Direct Plan
STP
Direct
|
₹1,009.88 | -0.13% | 0.03% | 0.01% | ₹5,869 | 0.30% |
Low to Moderate
|
|
Aditya Birla Sun Life Low Duration Fund - Institutional Plan
Liquid
Regular
|
₹100.26 | -0.30% | 0.26% | -0.29% | ₹12,079 | 1.09% |
Low to Moderate
|
|
Axis Treasury Advantage Fund
STP
Regular
|
₹1,009.85 | -0.13% | 0.02% | 0.01% | ₹5,869 | 0.70% |
Low to Moderate
|
|
Scheme Name
|
NAV
|
Returns
1Y
3Y
5Y
|
AUM (Cr)
|
Expense Ratio
|
Risk Meter
|
||
|---|---|---|---|---|---|---|---|
|
Bajaj Finserv Balanced Advantage Fund
Hybrid
Regular
|
₹10.70 | -0.31% | 0.00% | 0.00% | ₹1,281 | 2.08% |
Very High
|
|
Bajaj Finserv Liquid Fund
Liquid
Regular
|
₹1,034.67 | -0.07% | 0.00% | 0.00% | ₹5,572 | 0.28% |
Low to Moderate
|
|
Bajaj Finserv Gilt Fund
Gilt
Regular
|
₹1,021.35 | -0.45% | 0.00% | 0.00% | ₹33 | 1.29% |
Moderate
|
|
Bajaj Finserv Money Market Fund
Liquid
Regular
|
₹1,194.43 | 6.15% | 0.00% | 0.00% | ₹3,685 | 0.76% |
Low to Moderate
|
|
Bajaj Finserv Healthcare Fund - Direct Plan
Sector
Direct
|
₹9.39 | 2.91% | 0.00% | 0.00% | ₹315 | 0.74% |
Very High
|
|
Bajaj Finserv Flexi Cap Fund - Direct Plan
Diversified
Direct
|
₹13.94 | 4.48% | 0.00% | 0.00% | ₹6,501 | 0.55% |
Very High
|
|
Bajaj Finserv Arbitrage Fund - Direct Plan
Arbitrage
Direct
|
₹11.91 | 6.71% | 0.00% | 0.00% | ₹1,217 | 0.35% |
Low
|
|
Bajaj Finserv Consumption Fund
Sector
Regular
|
₹8.05 | -9.33% | 0.00% | 0.00% | ₹617 | 2.34% |
Very High
|
|
Bajaj Finserv Banking And Financial Services Fund -...
Sector
Direct
|
₹8.96 | 0.00% | 0.00% | 0.00% | ₹414 | 0.66% |
Very High
|
|
Bajaj Finserv Healthcare Fund
Sector
Regular
|
₹9.20 | 1.21% | 0.00% | 0.00% | ₹315 | 2.39% |
Very High
|
What is the current NAV of Bajaj Finserv Low Duration Fund Regular IDCW-Reinvestment?
What is the fund size (AUM) of Bajaj Finserv Low Duration Fund Regular IDCW-Reinvestment?
What are the historical returns of Bajaj Finserv Low Duration Fund Regular IDCW-Reinvestment?
What is the risk level of Bajaj Finserv Low Duration Fund Regular IDCW-Reinvestment?
What is the minimum investment amount for Bajaj Finserv Low Duration Fund Regular IDCW-Reinvestment?
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