Mirae Asset Low Duration Fund Direct Plan Quarterly Reinvestment of Income Dis cum cptl wdrl
debt
                                        RETURNS (5 YEARS)
                                        
                                            6.67%
                                        
                                    
                                
                                        RETURNS (5 YEARS)
                                        
                                            6.67%
                                        
                                    
                                    
                                        NAV
                                        
                                            ₹1005.16
                                        
                                    
                                    
                                        Sub-Type
                                        low
                                    
                                    
                                        Rating
                                        
                                            
                                        
                                    
                                - Overview
 - Holdings
 - Manager
 
Returns
Timeframe
                                                    Fund(%)
                                                1M
                                                    
                                                        0.56%
                                                    
                                                3M
                                                    
                                                        1.56%
                                                    
                                                6M
                                                    
                                                        3.53%
                                                    
                                                1Y
                                                    
                                                        7.85%
                                                    
                                                3Y
                                                    
                                                        8.04%
                                                    
                                                5Y
                                                    
                                                        6.67%
                                                    
                                                Fund Essentials
- 
                                                        
01 Jan 2013
Fund Started
 - 
                                                        
₹2231.96 Cr
AUM Fund Size
 - 
                                                        
0.18%
Expense Ratio
 - 
                                                        
₹1000
Min SIP Amount
 - 
                                                        
Low
Fund Risk
 - 
                                                        
0% if redeemed after 0 years
Exit Load
 
Top 10 Holdings
- 4.22%
 - 3.74%
 - 3.72%
 - 2.85%
 - 2.81%
 - 2.79%
 - 2.11%
 - 1.94%
 - 1.93%
 - 1.93%
 
- 
                                                                
Basant Bafna
Manager