|Franklin India Short Term Income Plan - Retail Plan||6.56%||8.12%||9.35%||1.67%|
|9.5% Yes Bank||Bonds||3.88|
|8.96% Dolvi Minerals and Metals 2019||Debenture||3.58|
|9.45% Vedanta 2020||Debenture||3.00|
|13.15% Greenko Solar Energy 2020||Structured Obligation||2.84|
|12.25% DLF 2019||Debenture||2.60|
|9.2% DLF Home Developers Ltd 2019||Debenture||2.57|
|Yes Capital India 2020||Structured Obligation||2.44|
|Reliance Infrastructure Consulting & Engineers 2021||Debenture||2.24|
|8.7% Edelweiss Agri Value Chain 2027||Debenture||2.11|
|9.2% Andhra Bank||Bonds/Debentures||1.97|
|Aditya Birla Retail 2020||Debenture||1.75|
|Renew Power Ventures 2022||Debenture||1.73|
|9.4% Small Business Fincredit 2020||Debenture||1.64|
|12.25% Greenko Wind Projects 2019||Debenture||1.61|
|9.6% Narmada Wind Energy Pvt. 2023||Debenture||1.54|
|9.7% Xander Finance Pvt. Ltd. 2021||Debenture||1.53|
|Pri-Media Services 2020||Structured Obligation||1.47|
|10.1% Future Enterprises 2020||Debenture||1.41|
|2% RKN Retail Pvt. 2020||Debenture||1.38|
|Renew Power Ventures 2025||Debenture||1.33|
|8.7% Vedanta 2020||Debenture||1.29|
|8.25% RBL Bank 2023||Debenture||1.20|
|Jindal Power 2019||Debenture||1.19|
|Aditya Birla Retail 2019||Debenture||1.13|
It is a statistical measure of how much the returns of a fund varied from the mean return of the fund. A mutual fund with a high standard deviation implies that the range of performance is wide, indicating higher volatility.
It is a measure of an investment’s volatility with respect to the market. A beta of less than 1 means the security is less volatile than the market, and vice versa.
|Sharpe ratio |
It is a measure of returns the fund generated per unit of risk. Higher the Sharpe Ratio, better the scheme is considered to be. Care should be taken to do Sharpe Ratio comparisons between comparable schemes only.
|Expense Ratio |
This is the reduction in the value that the AMC charges from the direct mutual fund units
|Exit Load |
It is the transaction charges that AMCs charge when you want to exit a scheme. Most Schemes only charge a load in case of withdrawal within the first year after investment.
|For units in excess of 10% of the investment,0.5% will be charged for redemption within 365 days|
Assets under management refers to the total updated market value of investments managed by a mutual fund or any investment firm.
This is the category of the scheme in consideration. This can be equity, debt and hybrid. You can know more by clicking here
|Debt: Short Duration|
|Launch Date||Feb. 4, 2002|