DSP Low Duration Reg-IDCWW

Fund Category: Low Duration

Fund Category Low Duration

Low to Moderate Debt IDCW Weekly

2 Morning Star

3 Value Research

NAV( 6 Apr 2026)

₹ 10.13
0.15%

DSP Low Duration Reg-IDCWW

Invest now

Performance

6.89%3y Returns

0.04% 1D Returns

Investment details

  • Min SIP amount

    ₹ 100
  • Min Lumpsum

    ₹ 100
  • Lock In

    0
  • Expense ratio

    0.62%
  • Exit load

    NIL
    L After 365 days

Fund details

View Fund Documents
  • Fund size

    ₹ 4,669 Cr
  • Plan

    REGULAR
  • Launch date

    27 Feb 2015
  • Fund type

    OPEN
  • Fund benchmark

    NIFTY Low Duration Debt Index A-I
  • ISIN

    INF740KA1OP6

Fund allocation

Asset allocation

Company holdings
Company Allocation %
LIC Housing Finance Ltd Bonds 7.90 18/08/2026 0.11%
Power Finance Corporation Ltd SR-168B Bonds 7.44 11/06/2027 0.57%
Power Finance Corporation Ltd SR-155 Bonds 7.23 05/01/2027 0.54%
REC Ltd SR-140 Bonds 7.52 07/11/2026 0.55%
Small Industries Devp. Bank of India Ltd SR V Bonds 7.51 12/06/2028 1.65%
National Bank For Agriculture & Rural Development SR 25C Bonds 7.44 24/02/2028 0.54%
ICICI Home Finance Company Ltd SR HDBAPR261 7. Bonds 28/06/2027 1.13%
Canara Bank CD 04/03/2027 1.0%
Small Industries Devp. Bank of India Ltd CD 13/10/2026 1.55%
Bajaj Housing Finance Ltd NCD 7.02 26/05/2028 1.12%
Bajaj Housing Finance Ltd NCD 7.14 26/02/2027 0.54%
LIC Housing Finance Ltd NCD 7.75 23/11/2027 1.87%
REC Ltd SR 231A NCD 7.64 30/04/2027 1.15%
Kotak Mahindra Prime Ltd Debenture 8.23 21/12/2026 0.33%
Indian Railway Finance Corporation Ltd Debenture 7.33 27/08/2027 0.46%
Export-Import Bank Of India Debenture 7.22 03/08/2027 1.12%
Mahindra Rural Housing Finance Ltd SR MRHFLEE2025 Debenture 7.42 23/02/2028 1.61%
Small Industries Devp. Bank of India Ltd CP 26/02/2027 1.0%
Kotak Mahindra Prime Ltd Debenture 7.9866 17/09/2027 0.78%
Bajaj Housing Finance Ltd Debenture 8.10 08/07/2027 2.28%
REC Ltd SR 236-B Debenture 7.56 31/08/2027 3.36%
REC Ltd SR 245A Bonds 7.44 29/02/2028 1.08%
National Bank For Agriculture & Rural Development SR 25G Bonds 7.48 15/09/2028 2.22%
National Bank For Agriculture & Rural Development SR 25E Bonds 7.53 24/03/2028 1.07%
Tata Capital Housing Finance Ltd SR G 8 Bonds 03/11/2027 0.56%
Kotak Mahindra Prime Ltd Bonds 7.79 19/07/2027 0.56%
Small Industries Devp. Bank of India Ltd SR III NCD 7.55 22/09/2026 0.56%
LIC Housing Finance Ltd NCD 6.90 17/09/2027 0.55%
Kotak Mahindra Prime Ltd NCD 8.13 18/08/2027 0.56%
LIC Housing Finance Ltd NCD 7.69 11/12/2026 0.55%
Gujarat State SDL 7.98 11/05/2026 0.55%
Gujarat State SDL 7.05 14/12/2026 0.11%
Gujarat State SDL 7.24 28/12/2026 0.55%
Gujarat State SDL 7.59 15/02/2027 0.55%
Maharashtra State SDL 7.40 28/06/2031 0.44%
Karnataka State SDL 6.83 23/11/2026 0.11%
Uttar Pradesh State SDL 6.88 23/06/2031 0.43%
Maharashtra State SDL 6.24 11/08/2026 0.43%
Reverse Repo 0.57%
Small Industries Devp. Bank of India Ltd SR VI Debenture 7.79 14/05/2027 0.55%
LIC Housing Finance Ltd Debenture 7.83 25/09/2026 0.56%
Standard Chartered Capital Ltd CP 358-D 19/05/2026 0.53%
Reserve Bank of India T-Bills 364-D 04/03/2027 1.02%
Reserve Bank of India T-Bills 364-D 11/03/2027 0.41%
Axis Securities Ltd CP 364-D 12/02/2027 1.0%
HDFC Bank Ltd CD 09/03/2027 1.0%
Bank Of Baroda CD 25/11/2026 0.51%
Bank Of Baroda CD 06/11/2026 1.03%
HDFC Bank Ltd CD 06/11/2026 0.51%
Himachal Pradesh State SDL 6.36 29/07/2028 0.54%
GOI Sec 6.01 21/07/2030 0.84%
Bajaj Finance Ltd Debenture 7.3763 26/06/2028 1.14%
Mahindra & Mahindra Financial Services Ltd SR AI2023 STRPP 2 Debenture 27/04/2027 0.06%
Bank Of Baroda CD 03/02/2027 1.51%
HDFC Bank Ltd CD 05/02/2027 1.01%
Bank Of Baroda CD 12/02/2027 2.01%
Kotak Mahindra Bank Ltd CD 12/02/2027 0.5%
Punjab National Bank CD 05/02/2027 1.01%
Punjab National Bank CD 04/02/2027 0.5%
Canara Bank CD 28/01/2027 1.52%
Bank Of Baroda CD 27/01/2027 0.51%
Bajaj Finance Ltd Debenture 7.7951 10/12/2027 1.09%
Power Finance Corporation Ltd SR BS216 Debenture 7.13 15/07/2026 2.23%
Canara Bank CD 02/02/2027 2.52%
HDFC Bank Ltd CD 22/01/2027 1.01%
Canara Bank CD 29/01/2027 1.01%
Union Bank of India CD 19/01/2027 0.51%
National Bank For Agriculture & Rural Development CD 28/01/2027 0.51%
Kotak Mahindra Bank Ltd CD 29/01/2027 0.51%
HDFC Bank Ltd CD 24/02/2027 1.0%
Bank Of Baroda CD 02/02/2027 1.01%
Indian Bank CD 09/02/2027 1.01%
Canara Bank CD 12/02/2027 1.01%
Canara Bank CD 11/03/2027 1.5%
CDMDF Class A2 0.38%
Maharashtra State SDL 7.39 09/11/2026 0.22%
Karnataka State SDL 7.86 15/03/2027 0.87%
Tamilnadu State SDL 7.39 09/11/2026 1.67%
Kotak Mahindra Prime Ltd Debenture 7.05 10/04/2028 0.56%
Kotak Mahindra Prime Ltd Debenture 7.745 19/11/2027 1.65%
Standard Chartered Capital Ltd CP 300-D 10/09/2026 1.03%
Bharti Telecom Ltd SR XXVII Debenture 7.30 01/12/2027 0.65%
Kotak Mahindra Bank Ltd CD 08/01/2027 1.01%
Small Industries Devp. Bank of India Ltd CD 14/01/2027 1.01%
Bank Of Baroda CD 08/01/2027 2.03%
Bank Of Baroda CD 11/12/2026 0.51%
Uttar Pradesh State SDL 6.85 23/11/2026 2.14%
Gujarat State SDL 6.04 20/10/2026 1.1%
Sundaram Finance Ltd SR Y4 Debenture 7.75 11/12/2026 0.77%
Bajaj Housing Finance Ltd Debenture 7.66 20/03/2028 0.54%
National Bank For Agriculture & Rural Development SR 23H Debenture 7.58 31/07/2026 5.17%
HDB Financial Services Ltd SR 191 OP Debenture 8.3774 24/04/2026 0.46%
REC Ltd SR 221 Debenture 7.51 31/07/2026 0.56%
Power Finance Corporation Ltd Debenture 7.55 15/07/2026 1.15%
Power Finance Corporation Ltd Debenture 7.63 14/08/2026 0.56%
Mahindra Rural Housing Finance Ltd SR MRHFLBB NCD 1.0%
LIC Housing Finance Ltd NCD 7.73 18/03/2027 1.08%
REC Ltd SR 220-A NCD 7.77 31/03/2028 0.54%
Reserve Bank of India T-Bills 364-D 04/02/2027 0.92%
Bharti Telecom Ltd SR XXV Debenture 7.35 15/10/2027 3.84%
India Universal Trust AL1 SERIES A2 PTC Sec. Debt 20/07/2027 1.5%
India Universal Trust AL1 SERIES A1 PTC Sec. Debt 20/09/2026 0.29%
Net Payables -6.02%
Power Finance Corporation Ltd SR 253 Bonds/NCD 6.73 15/10/2027 0.44%
Jio Credit Ltd SR III Bonds/NCD 7.05 13/10/2027 0.55%
Karnataka State SDL 7.08 12/02/2031 0.21%
Maharashtra State SDL 7.37 14/09/2026 0.41%
Maharashtra State SDL 7.16 28/09/2026 0.18%
Maharashtra State SDL 7.15 13/10/2026 0.89%
Bajaj Finance Ltd Debenture 7.11 10/07/2028 0.56%
Small Industries Devp. Bank of India Ltd SR II Debenture 7.44 04/09/2026 1.67%
Sectors
Company Allocation %
Others 6.26%
Construction 2.86%
Sovereign 0.84%
Financial 85.55%
Communication 4.49%

Risk Associated

Low to Moderate
  • Investors be aware that principal under this fund will be at Low to Moderate risk
  • This product is suitable for investors who are seeking capital appreciation over long term

Contact Information

Address:

About

DSP Investment Managers Pvt. Ltd. (formerly known as DSP BlackRock Investment Managers Pvt. Ltd.) is a leading asset management company in India. They are committed to providing a broad set of investment solutions to their investors while striving to constantly achieve the best balance between risk and opportunity. Their disciplined and well researched approach to investing combined with robust risk-management controls and processes has held in good stead over the years.

  • Funds Offered

    6
  • AUM

    ₹ 37,320 Cr
  • Highest Return

    7.14%
About

Karan Mundra Fund Manager - Role of a fund manager includes buying and selling of securities based on their research and analysis. Check out the mutual fund managers across all the categories for best guidance now

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More

NAV

3697.35

Min Investment

₹5000.0

Fund Size

₹13582.83 cr

Fund Manager

Rajeev Radhakrishnan
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Franklin India Low Duration Reg-G

0 Morning Star

0 Value Research

0.38 %

0 Morning Star

0 Value Research

NAV

10.76

1M Returns

0.38%

1Y Returns

6.62%

3Y Returns

-%

Min. Investment

Rs.500.0

Fund Size

Rs.399.48 Cr

Fund Manager

Rahul Goswami
Moderate Debt G
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NAV

10.76

Min Investment

₹500.0

Fund Size

₹399.48 cr

Fund Manager

Rahul Goswami
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Nippon India Low Duration Retail-G

3 Morning Star

0 Value Research

0.49 %

3 Morning Star

0 Value Research

NAV

3712.68

1M Returns

0.49%

1Y Returns

6.28%

3Y Returns

6.85%

Min. Investment

Rs.500.0

Fund Size

Rs.8767.67 Cr

Fund Manager

Anju Chhajer
Low to Moderate Debt G
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NAV

3712.68

Min Investment

₹500.0

Fund Size

₹8767.67 cr

Fund Manager

Anju Chhajer
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Nippon India Low Duration-G

4 Morning Star

3 Value Research

0.15 %

4 Morning Star

3 Value Research

NAV

3900.43

1M Returns

0.15%

1Y Returns

6.07%

3Y Returns

6.9%

Min. Investment

Rs.100.0

Fund Size

Rs.8767.67 Cr

Fund Manager

Anju Chhajer
Low to Moderate Debt G
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NAV

3900.43

Min Investment

₹100.0

Fund Size

₹8767.67 cr

Fund Manager

Anju Chhajer
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