This fund balances risk and return with ₹3,338 crore in assets, delivering 10.72% annual returns through debt and equity investments.
It is a debt-focused fund with a minor exposure to equities, known for its stability and consistent returns. It has a fund size of ₹9,824 crore and an annual return of around 15.47%.
This balanced fund prioritizes debt with minor equity exposure, managing ₹973 crore to deliver 13.28% annual returns with low risk.
This portfolio emphasizes capital preservation and income with ₹1,387 crore, investing in high-quality debt and some equities, yielding 12.58% annually.
This fund focuses on debt instruments for solid, cautious investing, with a ₹646 crore size and a 14.37% annual return, emphasizing capital protection and sustainability.