ValueResearchFundcard AxisBanking&PSUDebtFund 2019jan03
ValueResearchFundcard AxisBanking&PSUDebtFund 2019jan03
ValueResearchFundcard AxisBanking&PSUDebtFund 2019jan03
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Axis Banking & PSU Debt Fund
Fund
CCIL T Bill Liquidity
Weight
(Rebased to 10,000)
History 2009 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019
NAV (Rs) - - - 1051.83 1143.22 1249.22 1355.38 1468.84 1574.35 1693.40 1692.86
Total Return (%) - - - - 8.69 9.27 8.50 8.37 7.18 7.52 -0.03
+/- CCIL T Bill Liquidity Weight (%) - - - - 3.19 3.56 3.12 3.64 3.14 3.46 -
Rank (Fund/Category) - - - - 89/145 90/204 81/127 76/122 1/15 - 16/17
52 Week High (Rs) - - - 1051.83 1143.22 1249.22 1355.38 1468.84 1574.35 1693.40 -
52 Week Low (Rs) - - - 1001.24 1052.82 1143.61 1249.48 1355.73 1471.48 1575.52 -
Net Assets (Rs.Cr) - - - 61.52 303.30 612.63 502.49 576.50 869.40 1049.48 -
Expense Ratio (%) - - - 0.20 0.48 0.21 0.37 0.33 0.29 - -
National Bank Agr. Rur. Devp Financial Debenture 9.67 2018 1.84 0.65 1.33 3.56 7.52
Food Corporation of India FMCG Bonds 7.88 2017 1.91 1.81 1.86 1.41 7.18
Reliance Industries Energy Non Convertible Debenture 6.53 2016 2.28 1.91 2.03 1.90 8.37
SIDBI Financial Debenture 6.11 2015 2.34 1.96 2.25 1.70 8.50
Power Finance Corp. Financial Bonds 5.54 2014 2.40 2.30 2.09 2.18 9.27
Power Finance Corp. Financial Bonds/NCDs 5.49
Nat. Highways Authority Services Bonds 5.38 Trailing Returns (%)
Export-Import Bank Financial Bonds 4.44 Return Rank CCIL All CCIL T Bill
SIDBI Financial Debenture 4.38 Fund Category Fund/Cat Sovereign
Bond - TRI
Liquidity
Weight
Power Grid Corporation Energy Bonds 3.99 Year-to-Date -0.03 0.01 16/17 -0.37 0.06
Nat. Highways Authority Services Non Convertible Debenture 3.20 1-Week 0.06 0.08 3/17 -0.34 0.10
REC Financial Bonds 3.02 1-Month 1.00 0.99 10/17 2.08 0.41
NHPC Energy Debenture 2.87 3-Month 3.34 2.75 3/17 6.83 1.20
REC Financial Non Convertible Debenture 2.22 6-Month 4.75 4.22 3/17 8.13 2.19
Haryana State Others State Development Loan 2.15 1-Year 7.43 6.46 1/16 7.78 4.13
REC Financial Debenture 1.83 2-Year 7.26 6.08 1/15 5.08 4.09
Reliance Industries Energy Non Convertible Debenture 1.83 3-Year 7.67 7.39 4/14 8.40 4.28
REC Financial Bonds 1.69 5-Year 8.15 7.95 5/10 9.97 4.78
Power Grid Corporation Energy Non Convertible Debenture 1.67 Return less than 1-year are absolute and over 1 year are annualised
Export-Import Bank Financial Bonds 1.40
Rajasthan State Others State Development Loan 1.38 Credit Rating Break-up Risk Analysis
LIC Housing Fin. Financial Debenture 1.38 % of Assets Volatility Measurements
REC Financial Non Convertible Debenture 1.34 SOV 3.53 Standard Deviation 1.14
Tata Sons Financial Debenture 1.33 AAA 90.19 Sharpe Ratio 0.98
Export-Import Bank Financial Bonds 1.12
A1+ 0.00
AA
Top Instrument Break-up
FUND STYLE 0.00 % of Assets
Portfolio Characteristics Credit Quality A and Below 0.00
High Medium Low Bonds 36.87
Interest Rate Sensitivity
Avg Maturity (Yrs.) 3.20 Bill Rediscounting 0.00 Non Convertible 17.57
Avg Maturity 52 W High (Yrs.) 3.70 Cash Equivalent 6.28 CBLO 5.78
Avg Maturity 52 W Low (Yrs.) 0.68 Unrated / Others 0.00 Bonds/NCDs 5.77
Avg Credit Rating AAA State Development Loan 3.53
Returns as on January 2, 2019, Portfolio related data as on November 30, 2018
Best Performance Value Research Analysis Fund Objective & Strategy
YEAR 10.76%
Analysis not available The scheme seeks to
generate stable returns by
investing predominantly in
debt and money market
instruments issued by banks,
Public Sector Units & Public
Financial Institutions.
QUARTER 3.98%
MONTH 1.74%
Portfolio Manager
Aditya Pagaria
Worst Performance Since Aug 2016
YEAR 4.72%
QUARTER 0.38%
MONTH -0.81%
Investment Information
AMC : Axis Asset Management Company Ltd. Min Investment (Rs.) : 5000
Website : www.axismf.com Min SIP Investment (Rs.) : 1000
Registrar : Karvy Fintech Pvt Ltd. Exit Load : Nil
Launch : June 2012
Benchmark : NIFTY Banking and PSU Debt Index
All the graphs are rebased to 10,000 Plans (NAV) : Bonus (1289.41) , Dividend Daily (1008.57) , Dividend Monthly (1009.63) , Dividend Weekly (1007.64) , Growth (1692.86)
History
Data on the fund’s performance
since its launch.
z NAV (Year End) — The last
Fund Performance Vs Index
Sample Mutual Fund
NAV of each year. Graph of how an investors’ money
z Total Return — The percent- Rating: Fund Performance Vs Ultra Short-term Bond Index would have grown in the fund since
Risk: Below Average
age returns that an investor
20000
Return: Above Average its launch. A similar graph of the
would have got over the 17500
fund’s benchmark index is also
year. Fund
Ultra ST Bond
15000 given. For ease of comparison,
z +/- — In the given year, a (Rebased to 10,000)
12500 both have been adjusted to start at
comparison of the fund’s 10,000.
returns with that of a compa-
10000
History 1998 1999 2000 2001 2002 2003 2004 2005 2006 2007 2008
rable index NAV (Rs) - 10.10 10.59 11.52 12.34 13.01 13.62 14.35 15.32 16.57 18.06
z Rank — The fund’s perform- Total Return (%) - - 9.53 8.80 7.17 5.40 4.66 5.41 6.71 8.20 8.99
+/-NSE T Bill (%) - - - -0.19 0.72 -0.04 0.02 -0.37 0.57 0.33 1.26
ance rank within its category Rank (Fund/Category) - - 9/17 7/26 10/28 10/39 6/36 8/35 3/36 3/42 9/46
for the year and the total 52 Week High (Rs) - - 10.59 11.52 12.34 13.01 13.62 14.35 15.32 16.57 18.06