An open ended ultra-short term debt scheme investing in instruments such that the Macaulay duration of the portfolio is between 3 months to 6 months #Moderate interest rate risk and relatively Low credit risk. #Please refer to Scheme Information Document where concept of Macaulay's Duration is explained Moderate interest rate risk and relatively low credit risk.
| CATEGORY OF SCHEME | Ultra Short Duration |
| INVESTMENT OBJECTIVE | The investment objective of the Scheme is to generate regular income and capital appreciation through investment in a portfolio of short term debt & money market instruments such that the Macaulay duration of the portfolio is between 3 - 6 months. However, there can be no assurance or guarantee that the investment objective of the scheme would be achieved. |
| Inception Date (Date of Allotment): | 05-May-2021 |
| Benchmark: | CRISIL Ultra Short Duration Debt A-I 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. Laukik Bagwe (Since 01-Feb-25) Total experience: 25 years |
| AUM (in Rs. Cr): | 183.58 |
| AAUM (in Rs. Cr): | 172.90 |
| Average Maturity: | 191 Days |
| Macaulay Duration: | 174 Days |
| Modified Duration: | 166 Days |
| Yield To Maturity (Regular & Direct) Plans : | 5.35% |
Regular Plan
(in Rs.) |
Direct Plan
(in Rs.) |
|
| Growth | 1,259.3256 |
1,306.8553 |
| Daily IDCW | 1,001.0000 |
1,001.0000 |
| Weekly IDCW | 1,002.8581 |
NA |
| Fortnightly IDCW | 1,002.4614 |
NA |
| Monthly IDCW | 1,002.4646 |
1,002.5405 |
| Annual IDCW | 1,259.3802 |
1,308.5142 |
| Name of Instrument | Ratings |
Market Value (Rs. Lakhs) |
% to NAV |
Debt Instrument |
|||
Certificate of Deposit |
|||
HDFC Bank Limited |
CARE A1+ |
1230.49 |
6.70 |
Kotak Mahindra Bank Limited |
CRISIL A1+ |
492.87 |
2.68 |
Canara Bank |
CRISIL A1+ |
488.86 |
2.66 |
Axis Bank Limited |
CRISIL A1+ |
483.79 |
2.64 |
ICICI Bank Limited |
ICRA A1+ |
299.38 |
1.63 |
Commercial Paper |
|||
HDFC Securities Limited |
CRISIL A1+ |
499.14 |
2.72 |
Aditya Birla Capital Limited |
CRISIL A1+ |
199.20 |
1.09 |
Corporate Bond |
|||
National Housing Bank |
CRISIL AAA |
1507.44 |
8.21 |
LIC Housing Finance Limited |
CRISIL AAA |
1506.42 |
8.21 |
Power Finance Corporation Limited |
CRISIL AAA |
1505.25 |
8.20 |
Small Industries Dev Bank of India |
ICRA AAA |
1501.12 |
8.18 |
National Bank For Agriculture and Rural Development |
CRISIL AAA |
1483.50 |
8.08 |
Mahindra & Mahindra Financial Services Limited |
CRISIL AAA |
1004.24 |
5.47 |
Bajaj Finance Limited |
CRISIL AAA |
1001.63 |
5.46 |
HDB Financial Services Limited |
CRISIL AAA |
251.23 |
1.37 |
Corporate Debt Market Development Fund |
|||
Corporate Debt Market Development Fund Class A2 |
64.17 |
0.35 |
|
Government Bond |
|||
6.33% GOI (MD 05/05/2035) |
SOVEREIGN |
295.74 |
1.61 |
Treasury Bill |
|||
91 Days Tbill (MD 13/11/2025) |
SOVEREIGN |
798.57 |
4.35 |
182 Days Tbill (MD 25/12/2025) |
SOVEREIGN |
496.03 |
2.70 |
91 Days Tbill (MD 28/11/2025) |
SOVEREIGN |
348.61 |
1.90 |
Reverse Repo/TREPS |
|||
Clearing Corporation of India Ltd |
NA |
2842.13 |
15.48 |
Net Current Assets |
NA |
58.64 |
0.32 |
Total Net Assets |
100.00 |
Value of Investment of 10,000 |
||||||
| Period | Fund Returns (%) |
Benchmark Returns (%) |
Additional Benchmark Returns (%) |
Fund () |
Benchmark () |
Additional Benchmark () |
Regular - Growth |
||||||
Last 7 days |
5.47% |
5.68% |
1.95% |
10,010 |
10,011 |
10,004 |
Last 15 days |
5.20% |
5.70% |
3.34% |
10,021 |
10,023 |
10,014 |
Last 30 days |
5.47% |
5.78% |
4.39% |
10,046 |
10,049 |
10,037 |
Last 3 Months |
5.23% |
5.79% |
4.20% |
10,132 |
10,146 |
10,106 |
Last 6 Months |
5.74% |
6.30% |
5.25% |
10,289 |
10,318 |
10,265 |
Last 1 Year |
6.39% |
7.08% |
6.65% |
10,639 |
10,708 |
10,665 |
Last 3 Years |
6.39% |
7.40% |
7.07% |
12,044 |
12,390 |
12,275 |
Since Inception |
5.27% |
6.32% |
5.83% |
12,593 |
13,167 |
12,901 |
Direct - Growth |
||||||
| Last 7 days | 6.26% |
5.68% |
1.95% |
10,012 |
10,011 |
10,004 |
| Last 15 days | 5.98% |
5.70% |
3.34% |
10,025 |
10,023 |
10,014 |
| Last 30 days | 6.26% |
5.78% |
4.39% |
10,053 |
10,049 |
10,037 |
| Last 3 Months | 6.02% |
5.79% |
4.20% |
10,152 |
10,146 |
10,106 |
| Last 6 Months | 6.45% |
6.30% |
5.25% |
10,325 |
10,318 |
10,265 |
| Last 1 Year | 7.17% |
7.08% |
6.65% |
10,717 |
10,708 |
10,665 |
| Last 3 Years | 7.26% |
7.40% |
7.07% |
12,341 |
12,390 |
12,275 |
| Since Inception | 6.14% |
6.32% |
5.83% |
13,069 |
13,167 |
12,901 |
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 Ultra Short Duration Debt A-I Index Additional Benchmark: CRISIL 1 Year T-Bill Index. Fund Manager: Mr. Laukik Bagwe (Since 01-Feb-25) Inception date of the scheme (05-May-2021). Face Value per unit: Rs. 1000. ITI Ultra Short Duration Fund NAV as on October 31, 2025: Rs. 1259.3256 (Regular Growth Option), Rs. 1306.8553 (Direct Growth Option)
Record Date |
Plan(s) Option(s) |
Individuals/ HUF (IDCW) (Rs per unit) |
Others (IDCW) (Rs per unit) |
Cum-IDCW NAV (Rs per unit) |
25-08-2025 |
Regular Plan - Monthly IDCW Option |
4.6903 |
4.6903 |
1007.1443 |
25-08-2025 |
Direct Plan - Monthly IDCW Option |
5.2941 |
5.2941 |
1007.7496 |
25-09-2025 |
Regular Plan - Monthly IDCW Option |
4.4544 |
4.4544 |
1006.6136 |
25-09-2025 |
Direct Plan - Monthly IDCW Option |
5.2295 |
5.2295 |
1007.3904 |
27-10-2025 |
Regular Plan - Monthly IDCW Option |
5.1359 |
5.1359 |
1007.1477 |
27-10-2025 |
Direct Plan - Monthly IDCW Option |
5.9556 |
5.9556 |
1007.9690 |
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.

*Please refer to Scheme Information Document where concept of Macaulay's Duration is explained
Face Value per Unit: Rs. 1000 unless otherwise specified Data is as of October 31, 2025 unless otherwise specified.
Mutual Fund investments are subject to market risks, read all scheme related documents carefully