ITI Dynamic Bond Fund

(An open ended dynamic debt scheme investing across duration Relatively High interest rate risk and relatively Low credit risk)

CATEGORY OF SCHEME Dynamic Bond
INVESTMENT OBJECTIVE The investment objective of the Scheme is to maximize returns through an active management of a portfolio comprising of debt and money market instruments. However, there can be no assurance or guarantee that the investment objective of the scheme would be achieved.
Inception Date (Date of Allotment): 14-Jul-21
Benchmark: CRISIL Dynamic Bond A-III 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
Regular Plan: 1.20% Direct Plan: 0.15%

Fund Manager Mr. Laukik Bagwe (Since 01-Feb-25)
Total experience: 25 years

AUM (in Rs. Cr):
116.02
AAUM (in Rs. Cr):
116.47

Average Maturity:
11.92 Years
Macaulay Duration:
5.84 Years
Modified Duration:
5.64 Years
Yield To Maturity (Regular & Direct) Plans :
4.56%

Regular Plan (in Rs.)
Direct Plan (in Rs.)
Growth
12.5836
13.1814
Half Yearly IDCW
12.5864
10.9571
Monthly IDCW
9.9422
10.0976
Annual IDCW
12.5843
13.1813
Quarterly IDCW
12.5862
13.2078
     

Name of Instrument
Ratings
Market Value (Rs. Lakhs)
% to NAV

Debt Instrument

 

 

 

Certificate of Deposit

 

 

 

National Bank For Agriculture and Rural Development

CRISIL A1+

197.87

1.71

Commercial Paper

 

 

 

ICICI Securities Limited

CRISIL A1+

99.61

0.86

Corporate Bond

 

 

 

Small Industries Dev Bank of India

CRISIL AAA

100.24

0.86

Corporate Debt Market Development Fund

 

 

 

Corporate Debt Market Development Fund Class A2

 

17.79

0.15

Government Bond

 

 

 

6.33% GOI (MD 05/05/2035)

SOVEREIGN

4186.61

36.09

6.9% GOI (MD 15/04/2065)

SOVEREIGN

2109.62

18.18

6.68% GOI (MD 07/07/2040)

SOVEREIGN

977.10

8.42

Reverse Repo/TREPS

 

 

 

Clearing Corporation of India Ltd

NA

3818.00

32.91

Net Current Assets

NA

94.94

0.82

Total Net Assets

 

 

100.00

Dividend History (Past 3 months)
Record Date
Plan(s) Option(s)
Individuals/ HUF (IDCW) (Rs per unit)
Others (IDCW) (Rs per unit)
Cum-IDCW NAV (Rs per unit)
27-04-2025
Regular Plan - Monthly IDCW Option
0.2016
0.2016
10.2170
27-04-2025
Direct Plan - Monthly IDCW Option
0.2138
0.2138
10.3566
26-05-2025
Regular Plan - Monthly IDCW Option
0.0712
0.0712
10.0954
26-05-2025
Direct Plan - Monthly IDCW Option
0.0816
0.0816
10.2324
26-06-2025
Regular Plan - Monthly IDCW Option
0.0712
0.0712
10.0954
26-06-2025
Direct Plan - Monthly IDCW Option
0.0816
0.0816
10.2324

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.

Period
Fund Returns (%)
Benchmark Returns (%)
Additional Benchmark Returns (%)
Benchmark (Rs)
Fund (Rs)
Additional Benchmark
Returns (Rs)
Regular - Growth
Last 1 Year
4.29%
7.09%
7.09%
10,428
10,707
10,707
Last 3 Years
6.19%
7.69%
8.07%
11,973
12,485
12,620
Since Inception
5.39%
6.22%
5.65%
12,584
13,023
12,720
Direct - Growth
Last 1 Year
5.39%
7.09%
7.09%
10,538
10,707
10,707
Last 3 Years
7.31%
7.69%
8.07%
12,355
12,485
12,620
Since Inception
6.51%
6.22%
5.65%
13,181
13,023
12,720

Past performance may or may not be sustained in future and is not a guarantee of any future returns, and should not be used as a basis of comparison with other investments. The performance data for 5 years period has not been provided, since scheme is in existence for less than 5 years. In case, the start / end date of the concerned period is a non-business date (NBD), the NAV of the previous date is considered for computation of returns. Different Plans i.e. Regular Plan and Direct Plan under the scheme have different expense structure. Benchmark: CRISIL Dynamic Bond A-III Index Additional Benchmark: CRISIL 10 Year Gilt Index. Fund Manager: Mr. Laukik Bagwe (Since 01-Feb-25). Inception date of the scheme (14-Jul-21). Face Value per unit: Rs. 10. ITI Dynamic Bond Fund NAV as on November 28, 2025: Rs. 12.5836 (Regular Growth Option), Rs. 13.1814 (Direct Growth Option)

THIS PRODUCT IS SUITABLE FOR INVESTORS WHO ARE SEEKING^

  • Regular income over medium to long term
  • Investment in Debt and Money Market Securities with flexible maturity profile of securities depending on the prevailing market condition.

^Investors should consult their financial advisers if in doubt about whether the product is suitable for them.

Riskometer of the Scheme

Riskometer of the Primary Benchmark
CRISIL Dynamic Bond A-III Index

Data is as of November 30, 2025 unless otherwise specified.
Mutual Fund investments are subject to market risks, read all scheme related documents carefully