| Current Stats & Profile |
 |
| Latest NAV
|
|
1323.8137
(18/06/13)
|
 |
| 52-Week High |
|
1323.8137
(18/06/13)
|
 |
| 52-Week Low |
|
1215.185
(19/06/12)
|
 |
| Fund Category |
|
Debt: Liquid
|
 |
| Type |
|
Open End
|
 |
|
Launch Date
|
|
March
2010
|
 |
| Risk Grade |
|
Average
|
 |
| Return Grade |
|
Average
|
 |
|
Net Assets (Cr) *
|
|
4,843.09
(31/03/13)
|
 |
| Benchmark
|
|
Crisil Liquid
|
 |
| * Quarterly Average |
|
|
|
Trailing Returns
|
 |
|
As on 18 Jun 2013
|
Fund |
Category |
 |
| Year to Date |
3.99
|
3.84
|
 |
| 1-Month |
0.72
|
0.68
|
 |
| 3-Month |
2.17
|
2.12
|
 |
| 1-Year |
8.97
|
8.57
|
 |
| 3-Year |
8.73
|
8.31
|
 |
| 5-Year |
--
|
7.28
|
 |
| Return Since Launch |
8.36
|
--
|
 |
| Returns upto 1 year are absolute and over 1 year are annualised. |
 |
|