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Fund Family
Category
Scheme
Aditya Birla SL Credit Risk Fund - Dir (IDCW)
Summary Info
Fund Name : Aditya Birla Sun Life Mutual Fund
Scheme Name : Aditya Birla SL Credit Risk Fund - Dir (IDCW)
AMC : Aditya Birla Sun Life Mutual Fund
Type : Open
Category : Income Funds
Launch Date : 30-Mar-15
Fund Manager : Sunaina da Cunha
Net Assets:(Rs in cr) 1072.97
NAV Graph
NAV Details
NAV Date : 17-Nov-25
NAV [Rs] : 14.17
Buy/Repurchase Price [Rs] : 0.00
Sell/Resale Price [Rs] : 0.00
Entry Load % : Nil
Exit Load % : In respect of each purchase / switch-in of Units, upto 15% of the units may be redeemed / switched-out without any exit load from the date of allotment. Any redemption in excess of the above limit shall be subject to the following exit load: For redeemed / switched out of units on or before 1 year from the date of allotment: 3.00% of the applicable NAV. For redeemed / switched out of units after 1 year but on or before 2 years from the date of allotment: 2.00% of the applicable NAV. For redeemed / switched out of units after 2 year but on or before 3 years from the date of allotment: 1.00% of the applicable NAV. For redeemed / switched out of units after 3 years from the date of allotment: NIL
Latest Payouts
  Dividends Bonus
Ratio 9.12 % NA
Record Date 21-Mar-25 NA
Investment Details
Tax Benefits : Section NA
Min. Investment (Rs) : 100
Increm.Investment (Rs) : 100
Performance(%)
  1 Week 1 Month 3 Month 6 Month 1 Year 3 Year 5 Year Since INC
Scheme Return 0.22 0.74 2.57 5.68 14.63 11.69 10.26 8.99
Category Avg 0.03 0.21 1.31 2.03 7.65 7.70 6.40 7.06
Category Best 0.36 1.43 2.70 5.84 22.60 15.76 26.32 10.36
Category Worst -0.66 -2.18 -0.76 -4.03 0.00 0.94 2.79 0.89
Statistical Ratios
What is Beta ?
Beta is a measure of the volatility of the portfolio to that of the index. In simple words it shows the movement of the portfolio in comparison. The Higher the Beta, higher the volatility of the scheme to the index. If its greater than1 , then the portfolio is highly volatile to the movemnts in the index. If the beta is lesser than 1 , then scheme is less volatile to the index and beta which is close to 1 implies that the scheme is closely following the index.
  Beta [%] SD [%] Sharpe Ratio [%] Jensons Alpha [%] ER [%]
  -0.0766 0.7302 2.1640 5.9140 1.8430
* Move mouse over the headings to view the definitions.
Asset Allocation
Holdings 31-Oct-25
Company Name % Hold
JSW Steel 4.67
Avanse Fin. Ser. 4.21
A B Real Estate 4.20
I R F C 4.16
GMR Airports 3.48
IKF FINANC SER 3.25
Narayana Hrudaya 2.84
JSW Energy 2.82
360 One Prime 2.82
SIS 2.81
Vedanta 2.81
Hero Housing Fin 2.80
Hinduja Housing 2.73
ERIS Lifescience 2.55
SK Finance 2.52
Tata Projects 2.37
NABFID 2.34
Nuvama Wealth. 2.07
Adani Airport 2.00
JM Financial Pro 1.87
Kogta Financial 1.62
PCBL Chemical 1.20
Power Fin.Corpn. 1.03
Jubilant Bevco 2.97
JTPM Metal Trade 2.73
GSEC2034 10.45
GSEC2037 3.35
C C I 2.62
Net CA & Others 2.74
DME Development 3.93
SBI - CDMDF - A2 Units 0.32
Nexus Select 1.84
Embassy Off.REIT 1.53
Indus Inf. Trust 2.00
IndiGrid Trust 1.79
IRB InvIT Fund 0.54
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Ganesh S Shanbhag – AMFI Registered Mutual Fund Distributor. Registration Number – ARN-0988 – Valid Till 01/JUL/ 2027, Date of initial registration: 02/DEC/2004
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