| CATEGORY OF SCHEME | Overnight Fund |
| INVESTMENT OBJECTIVE | The investment objective of the Scheme is to provide reasonable returns commensurate with low risk and providing a high level of liquidity, through investments made primarily in overnight securities having maturity of 1 business day. However there can be no assurance or guarantee that the investment objective of the scheme would be achieved. |
| Inception Date (Date of Allotment): | 25-Oct-19 |
| Benchmark: | CRISIL Liquid Overnight Index |
| Minimum Application Amount: | Rs. 5,000/- and in multiples of Rs. 1/- thereafter |
| Load Structure: | Entry Load: Nil Exit Load: Nil |
| Total Expense Ratio (TER): | Including Additional Expenses and Goods and Service
Tax on Management Fees |
| Fund Manager | Mr. Vikrant Mehta (Since 18-Jan-21) Total Experience: 28 years |
| AUM (in Rs. Cr): | 14.32 |
| AAUM (in Rs. Cr): | 60.01 |
| Average Maturity: | 2 Days |
| Macaulay Duration: | 2 Days |
| Modified Duration: | 2 Days |
| Yield to Maturity: | 6.77% |
Regular Plan
(in Rs.) |
Direct Plan
(in Rs.) |
|
| Growth | 1,143.9581 |
1,148.0932 |
| Daily IDCW | 1,001.0000 |
NA |
| Weekly IDCW | 1,001.8639 |
1,001.8760 |
| Fortnightly IDCW | 1,001.7215 |
1,001.6962 |
| Monthly IDCW | 1,001.6857 |
1,001.6928 |
| Annual IDCW | 1,072.6631 |
1,141.1515 |
| Name of Instrument | Ratings |
Market Value (Rs. Lakhs) |
% to NAV |
| Debt Instrument | |||
| Reverse Repo/TREPS | |||
| Clearing Corporation of India Ltd | NA |
1344.75 |
93.91 |
| Net Current Assets | NA |
87.25 |
6.09 |
| Total Net Assets | 100.00 |
| Highest liquidity The fund provides highest liquidity within the fixed income mutual fund product segment with redemption on T+1 |
|
| Lowest risk fund Carries effectively least interest rate/mark to market risk & lowest credit default risk |
|
| Same day returns Enables investors to earn same day returns since purchase takes place on previous day's NAV |
|
| Efficient risk adjusted performance Positioned to deliver consistent and reasonable risk adjusted performance compared to traditional saving instruments |
|
| No lock in period & no exit load Offers overnight liquidity without any exit load |
Value of Investment of 10,000 |
||||||
| Period | Fund Returns (%) |
Benchmark Returns (%) |
Additional Benchmark Returns (%) |
Fund () |
Benchmark () |
Additional Benchmark () |
Regular - Growth |
||||||
| Last 7 days | 6.31% |
6.76% |
8.40% |
10,012 |
10,013 |
10,016 |
| Last 15 days | 6.28% |
6.67% |
6.73% |
10,026 |
10,027 |
10,028 |
| Last 30 days | 6.23% |
6.55% |
9.07% |
10,051 |
10,054 |
10,075 |
| Last 1 Year | 5.45% |
5.79% |
5.02% |
10,545 |
10,579 |
10,502 |
| Last 3 Years | 3.83% |
4.10% |
4.13% |
11,194 |
11,280 |
11,291 |
| Since Inception | 3.90% |
4.14% |
4.78% |
11,440 |
11,531 |
11,784 |
Direct - Growth |
||||||
| Last 7 days | 6.41% |
6.76% |
8.40% |
10,012 |
10,013 |
10,016 |
| Last 15 days | 6.38% |
6.67% |
6.73% |
10,026 |
10,027 |
10,028 |
| Last 30 days | 6.33% |
6.55% |
9.07% |
10,052 |
10,054 |
10,075 |
| Last 1 Year | 5.57% |
5.79% |
5.02% |
10,557 |
10,579 |
10,502 |
| Last 3 Years | 3.94% |
4.10% |
4.13% |
11,229 |
11,280 |
11,291 |
| Since Inception | 4.01% |
4.14% |
4.78% |
11,481 |
11,531 |
11,784 |
Past performance may or may not be sustained in future. Different Plans i.e. Regular Plan and Direct Plan under the scheme have different expense structure. Benchmark: CRISIL Liquid Overnight Index Additional Benchmark: CRISIL 1 Year T-Bill Index. Fund Manager: Mr. Vikrant Mehta from (Managing since January 18, 2021). Returns less than 1 year period are simple annualized and greater than 1 year are compounded annualized. Inception date of the scheme (25-Oct-19). Face Value per unit: Rs. 1000.
Record Date |
Plan(s) Option(s) |
Individuals/ HUF (IDCW) (Rs per unit) |
Others (IDCW) (Rs per unit) |
Cum-IDCW NAV (Rs per unit) |
27-Feb-2023 |
Regular Plan - Monthly IDCW Option |
5.4768 |
5.4768 |
1006.4768 |
27-Feb-2023 |
Direct Plan - Monthly IDCW Option |
5.5811 |
5.5811 |
1006.5811 |
27-Mar-2023 |
Regular Plan - Monthly IDCW Option |
4.7079 |
4.7079 |
1005.7079 |
27-Mar-2023 |
Direct Plan - Monthly IDCW Option |
4.7922 |
4.7922 |
1005.7922 |
25-Apr-2023 |
Regular Plan - Monthly IDCW Option |
4.9784 |
4.9784 |
1005.9784 |
25-Apr-2023 |
Direct Plan - Monthly IDCW Option |
5.0635 |
5.0635 |
1006.0635 |
Pursuant to payment of IDCW, the NAV of the IDCW Option (s) of the Scheme/Plan (s) falls to the extent of payout and statutory levy, if any. Past performance may or may not be sustained in future and should not be used as a basis for comparison with other investments. For complete list of IDCW, visit www.itiamc.com.
THIS PRODUCT IS SUITABLE FOR INVESTORS WHO ARE SEEKING^
^Investors should consult their financial advisers if in doubt about whether the product is suitable for them.


Face Value per Unit: Rs. 1000 unless otherwise specified; CD - Certificate of Deposit; CP - Commercial Papers;
Data is as of April 28, 2023 unless otherwise specified.
Mutual Fund investments are subject to market risks, read all scheme related documents carefully