Dsp Bond Fund Overview | ||||||
---|---|---|---|---|---|---|
Category | Medium Duration Fund | |||||
BMSMONEY Rank | 8 | |||||
BMSMONEY Rating | ||||||
Gro. Opt. | As On: | 17-01-2025 | ||||
NAV | ₹78.14(R) | +0.03% | ₹82.83(D) | +0.03% | ||
Returns | 1Y | 3Y | 5Y | 7Y | 10Y | |
LumpSum (R) | 7.63% | 6.01% | 6.16% | 5.34% | 5.97% | |
LumpSum (D) | 8.01% | 6.39% | 6.54% | 5.74% | 6.44% | |
SIP (R) | -8.99% | 5.23% | 5.5% | 4.79% | 4.96% | |
SIP (D) | -8.68% | 5.61% | 5.87% | 5.16% | 5.37% | |
Ratio | Sharpe Ratio | Sortino Ratio | Sterling Ratio | Jensen's Alpha | Treynor Ratio | |
-0.66 | -0.22 | 0.51 | -% | - | ||
Risk | STD. Dev | VaR 1Y95% | Max DD | Beta | Semi Devi. | |
1.54% | -1.49% | -1.39% | - | 1.2% |
Top Medium Duration Fund | |||||
---|---|---|---|---|---|
Fund Name | Rank | Rating | |||
Aditya Birla Sun Life Medium Term Plan | 1 | ||||
Axis Strategic Bond Fund | 2 | ||||
Icici Prudential Medium Term Bond Fund | 3 |
NAV Date: 17-01-2025
Scheme Name | NAV | Rupee Change | Percent Change |
---|---|---|---|
DSP Bond Fund - IDCW - Monthly | 11.14 |
0.0000
|
0.0300%
|
DSP Bond Fund - Direct Plan - IDCW - Monthly | 11.25 |
0.0000
|
0.0300%
|
DSP Bond Fund - IDCW | 11.92 |
0.0000
|
0.0300%
|
DSP Bond Fund - Direct Plan - IDCW | 12.06 |
0.0000
|
0.0300%
|
DSP Bond Fund - Growth | 78.14 |
0.0200
|
0.0300%
|
DSP Bond Fund - Direct Plan - Growth | 82.83 |
0.0300
|
0.0300%
|
Review Date: 17-01-2025
Dsp Bond Fund has shown poor performance in the Medium Duration Fund category. The fund has rank of 8 out of 13 funds in the category. The fund has delivered return of 7.63% in 1 year, 6.01% in 3 years, 6.16% in 5 years and 5.97% in 10 years. The category average for the same periods is 7.96%, 6.4%, 6.07% and 6.61% respectively, which shows average return performance of fund in the category. The fund has exhibited standard deviation of 1.54, VaR of -1.49, Average Drawdown of -0.64, Semi Deviation of 1.2 and Max Drawdown of -1.39. The category average for the same parameters is 2.19, -1.17, -0.77, 1.31 and -1.43 respectively. The fund has low risk in the category.Key Points:
KPIs* | Fund | Benchmark | Cat. Avg | Min | Max | Rank (In Cat.) | Performance |
---|---|---|---|---|---|---|
1M Return % | 0.37 |
0.41
|
0.31 | 0.52 | 11 | 14 | Average | |
3M Return % | 1.28 |
1.41
|
1.07 | 1.68 | 11 | 14 | Average | |
6M Return % | 3.75 |
3.90
|
3.02 | 5.76 | 9 | 14 | Average | |
1Y Return % | 7.63 |
7.96
|
6.11 | 10.43 | 10 | 14 | Average | |
3Y Return % | 6.01 |
6.40
|
4.21 | 13.90 | 6 | 13 | Good | |
5Y Return % | 6.16 |
6.07
|
1.26 | 11.40 | 7 | 11 | Average | |
7Y Return % | 5.34 |
5.88
|
1.02 | 8.08 | 8 | 11 | Average | |
10Y Return % | 5.97 |
6.61
|
3.26 | 8.35 | 8 | 10 | Average | |
15Y Return % | 6.54 |
7.42
|
6.20 | 8.84 | 6 | 7 | Average | |
1Y SIP Return % | -8.99 |
-8.69
|
-10.15 | -6.04 | 9 | 14 | Average | |
3Y SIP Return % | 5.23 |
5.39
|
3.61 | 8.82 | 8 | 13 | Good | |
5Y SIP Return % | 5.50 |
6.13
|
3.75 | 11.18 | 8 | 11 | Average | |
7Y SIP Return % | 4.79 |
5.27
|
3.15 | 9.04 | 7 | 11 | Average | |
10Y SIP Return % | 4.96 |
5.55
|
2.39 | 8.14 | 8 | 10 | Average | |
15Y SIP Return % | 5.86 |
6.75
|
5.21 | 8.44 | 6 | 7 | Average | |
Standard Deviation | 1.54 |
2.19
|
1.21 | 9.37 | 6 | 13 | Good | |
Semi Deviation | 1.20 |
1.31
|
0.94 | 2.25 | 8 | 13 | Good | |
Max Drawdown % | -1.39 |
-1.43
|
-2.57 | -0.45 | 8 | 13 | Good | |
VaR 1 Y % | -1.49 |
-1.17
|
-2.65 | 0.00 | 9 | 13 | Average | |
Average Drawdown % | -0.64 |
-0.77
|
-2.37 | -0.40 | 7 | 13 | Good | |
Sharpe Ratio | -0.66 |
-0.61
|
-1.45 | 0.69 | 7 | 13 | Good | |
Sterling Ratio | 0.51 |
0.56
|
0.33 | 1.32 | 8 | 13 | Good | |
Sortino Ratio | -0.22 |
-0.05
|
-0.42 | 2.12 | 7 | 13 | Good |
KPIs* | Fund | Benchmark | Cat. Avg | Min | Max | Rank (In Cat.) | Performance |
---|---|---|---|---|---|---|
1M Return % | 0.40 | 0.46 | 0.37 | 0.57 | 11 | 14 | ||
3M Return % | 1.37 | 1.57 | 1.28 | 1.83 | 13 | 14 | ||
6M Return % | 3.94 | 4.24 | 3.48 | 6.15 | 11 | 14 | ||
1Y Return % | 8.01 | 8.65 | 7.06 | 11.24 | 12 | 14 | ||
3Y Return % | 6.39 | 7.10 | 5.16 | 14.72 | 8 | 13 | ||
5Y Return % | 6.54 | 6.79 | 1.82 | 12.18 | 7 | 11 | ||
7Y Return % | 5.74 | 6.62 | 1.69 | 8.84 | 8 | 11 | ||
10Y Return % | 6.44 | 7.37 | 4.02 | 9.09 | 8 | 10 | ||
1Y SIP Return % | -8.68 | -8.12 | -9.38 | -5.39 | 12 | 14 | ||
3Y SIP Return % | 5.61 | 6.09 | 4.55 | 9.62 | 9 | 13 | ||
5Y SIP Return % | 5.87 | 6.85 | 4.71 | 11.98 | 9 | 11 | ||
7Y SIP Return % | 5.16 | 5.97 | 3.71 | 9.78 | 8 | 11 | ||
10Y SIP Return % | 5.37 | 6.29 | 3.03 | 8.88 | 8 | 10 | ||
Standard Deviation | 1.54 | 2.19 | 1.21 | 9.37 | 6 | 13 | ||
Semi Deviation | 1.20 | 1.31 | 0.94 | 2.25 | 8 | 13 | ||
Max Drawdown % | -1.39 | -1.43 | -2.57 | -0.45 | 8 | 13 | ||
VaR 1 Y % | -1.49 | -1.17 | -2.65 | 0.00 | 9 | 13 | ||
Average Drawdown % | -0.64 | -0.77 | -2.37 | -0.40 | 7 | 13 | ||
Sharpe Ratio | -0.66 | -0.61 | -1.45 | 0.69 | 7 | 13 | ||
Sterling Ratio | 0.51 | 0.56 | 0.33 | 1.32 | 8 | 13 | ||
Sortino Ratio | -0.22 | -0.05 | -0.42 | 2.12 | 7 | 13 |
Investment Period | Regular | Direct | ||
---|---|---|---|---|
Return % | Current Value of ₹ 10000 | Return % | Current Value of ₹ 10000 | |
1D | 0.03 | ₹ 10,003.00 | 0.03 | ₹ 10,003.00 |
1W | 0.13 | ₹ 10,013.00 | 0.14 | ₹ 10,014.00 |
1M | 0.37 | ₹ 10,037.00 | 0.40 | ₹ 10,040.00 |
3M | 1.28 | ₹ 10,128.00 | 1.37 | ₹ 10,137.00 |
6M | 3.75 | ₹ 10,375.00 | 3.94 | ₹ 10,394.00 |
1Y | 7.63 | ₹ 10,763.00 | 8.01 | ₹ 10,801.00 |
3Y | 6.01 | ₹ 11,915.00 | 6.39 | ₹ 12,041.00 |
5Y | 6.16 | ₹ 13,483.00 | 6.54 | ₹ 13,725.00 |
7Y | 5.34 | ₹ 14,395.00 | 5.74 | ₹ 14,781.00 |
10Y | 5.97 | ₹ 17,855.00 | 6.44 | ₹ 18,666.00 |
15Y | 6.54 | ₹ 25,867.00 | ₹ |
Disclaimer: Past performance may or may not be sustained in future and should not be used as a basis for comparison with other investments. Returns for periods above 1 year are annualised.
Investment Period | Invested Amount | Regular | Direct | ||
---|---|---|---|---|---|
XIRR % | Current Value of Invested Amount | XIRR % | Current Value of Invested Amount | ||
1Y | ₹ 12000 | -8.99 | ₹ 11,406.43 | -8.68 | ₹ 11,427.46 |
3Y | ₹ 36000 | 5.23 | ₹ 38,989.55 | 5.61 | ₹ 39,211.09 |
5Y | ₹ 60000 | 5.50 | ₹ 68,961.12 | 5.87 | ₹ 69,617.34 |
7Y | ₹ 84000 | 4.79 | ₹ 99,585.44 | 5.16 | ₹ 100,932.13 |
10Y | ₹ 120000 | 4.96 | ₹ 154,709.88 | 5.37 | ₹ 158,063.40 |
15Y | ₹ 180000 | 5.86 | ₹ 285,143.40 | ₹ |
Date | Dsp Bond Fund NAV Regular Growth | Dsp Bond Fund NAV Direct Growth |
---|---|---|
17-01-2025 | 78.1361 | 82.8321 |
16-01-2025 | 78.1128 | 82.8065 |
15-01-2025 | 77.9708 | 82.6553 |
14-01-2025 | 77.9192 | 82.5998 |
13-01-2025 | 77.919 | 82.5987 |
10-01-2025 | 78.0352 | 82.7195 |
09-01-2025 | 78.0297 | 82.7129 |
08-01-2025 | 78.0106 | 82.6919 |
07-01-2025 | 78.0283 | 82.7098 |
06-01-2025 | 77.9857 | 82.6639 |
03-01-2025 | 77.9375 | 82.6104 |
02-01-2025 | 77.9169 | 82.5878 |
01-01-2025 | 77.8959 | 82.5647 |
31-12-2024 | 77.8852 | 82.5526 |
30-12-2024 | 77.839 | 82.5028 |
27-12-2024 | 77.848 | 82.51 |
26-12-2024 | 77.8265 | 82.4864 |
24-12-2024 | 77.8127 | 82.4702 |
23-12-2024 | 77.8611 | 82.5207 |
20-12-2024 | 77.7928 | 82.446 |
19-12-2024 | 77.8093 | 82.4627 |
18-12-2024 | 77.8561 | 82.5115 |
17-12-2024 | 77.85 | 82.5042 |
Fund Launch Date: 07/Apr/1997 |
Fund Category: Medium Duration Fund |
Investment Objective: The primary investment objective of the Scheme is to seek to generate an attractive return, consistent with prudent risk, from a portfolio which is substantially constituted of high quality debt securities, predominantly of issuers domiciled in India. This shall be the fundamental attribute of the Scheme. As a secondary objective, the Scheme will seek capital appreciation. The Scheme will also invest a certain portion of its corpus in money market securities, in order to meet liquidity requirements from time to time. |
Fund Description: An open ended medium term debt scheme investing in debt and money market securities such that the Macaulay duration of the portfolio is between 3 years and 4 years |
Fund Benchmark: 50% of CRISIL Short Term Bond Fund Index + 50% of CRISIL Composite Bond Fund Index |
Disclaimer: NO INVESTMENT ADVICE. The Content is for informational purposes only.