Bharti AXA Short Term Income Fund - Fund Facts
An open-ended income Scheme
Minimum Application Amount
| Plan | Purchase | Additional Purchase |
| Regular Plan | Rs. 5,000 and in multiples of Re. 1 | Rs. 1,000 and in multiples of Re. 1 |
| Institutional Plan | Rs. 25 Lakhs and in multiples of Re. 1 | Rs. 1,00,000 and in multiples of Re. 1 |
Asset Allocation Pattern
The Asset Allocation pattern of the Scheme under normal circumstances would be as under:| Types of Instruments | Normal Allocation (% of Net Assets) |
Risk Profile (High/ Medium/ Low) |
| Money market securities and debt securities including government securities, corporate debt, securitized debt* and other debt instruments with average maturity less than or equal to 370 days or have put options within a period not exceeding 370 days | 30% to 100% | Low to Medium |
| Debt instruments including government securities, corporate debt, securitized debt* and other debt instruments with average maturity greater than 370 days | 0% to 70% | Medium |
| * Investments in Asset Backed Securities (Securitized debt) will not exceed 20% of the net assets as at the time of Purchase. Investment in debt derivatives instruments may be up to 50% of the net assets of the Scheme for the purpose of hedging and portfolio balancing purposes. | ||
| Statutory Details: Bharti AXA Mutual Fund has been set up as a Trust (under the Indian Trust Act, 1882) by AXA Investment Managers, Sponsor of the Fund. Trustee: Bharti AXA Trustee Services Private Limited, a limited liability company. Investment Manager: Bharti AXA Investment Managers Private Limited, a limited liability company. The Sponsor is not responsible for any loss resulting from the operations of the schemes beyond the contribution of an amount of Rs. 1 Lakh made by it towards setting up the Mutual Fund. Risk Factors: All mutual funds and securities investments are subject to market risks and there can be no assurance that the Scheme’s objectives will be achieved and the Net Asset Value (NAV) of the Plans under the Scheme(s) may go up or down depending upon the factors and forces affecting the securities market. Past performance of the Sponsors and their affiliates / Asset Management Company (AMC)/ Mutual Fund and its Scheme(s) do not indicate the future performance of the Scheme(s) of the Mutual Fund. Investors in the Scheme(s) are not being offered any guaranteed / assured returns. Bharti AXA Short Term Income Fund – an open-ended income scheme, is only the name of the Scheme and does not in any manner indicate either the quality of the Scheme, its future prospects or returns. Copy of the Scheme Information Document (SID) / Key Information Memorandum can be obtained at any of our Investor Service Centres or AMC Website. Mutual Fund Investments are subject to market risks. Please read the Scheme Information Document (SID) and Statement of Additional Information carefully before investing. |
Investor Tools
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| Updated as of 19-Mar-2010 | |||||||||||||||||

Fund Facts
Funds
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Bharti AXA Equity Fund
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Bharti AXA Tax Advantage Fund
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Bharti AXA Focused Infrastructure
Fund
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Bharti AXA Regular Return Fund
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Bharti AXA Treasury Advantage Fund
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Bharti AXA Liquid Fund
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Bharti AXA Short Term Income Fund
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Bharti AXA Fixed Maturity Plan - Series C - Plan 1
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Bharti AXA Fixed Maturity Plan - Series C - Plan 2
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