Under normal circumstances the asset allocation pattern will be:
(% of assets)
|Debt* & Money Market instruments||0%||100%||Moderate|
|Units issued by REITs & InvITs|| 0% ||10%|| Moderately High |
* Includes securitized debt and debt instruments having structured obligations/credit enhancements (such as corporate / promoter guarantee, conditional and contingent liabilities, covenants, pledge and / or Non Disposal Undertaking of shares etc) upto 35% of the net assets of the Scheme.
CRISIL Dynamic Bond B-III Index
FUND MANAGER : MR. RAHUL PAL
Total Experience :
Experience in managing this fund:
5 years and 2 month (managing since August 20, 2018)
The data/statistics given above are to explain general market trends in the securities market, it should not be construed as any research report/research recommendation.