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Tata Money Market Fund Direct-Growth

NAV as of May 15, 2024

4408.2627+0.02% 1D change

Returns since inception

Returns Annualised Returns since inception

6.64% p.a.

Historical NAV & returns

NAV: ₹4408.2627 as on May 15, 2024
This fund Category average
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This fund Category average

ET Money rank in Money Market

#6

of 15 funds

Consistency of returns

  • star 4.5
  • Good

Protection from volatility

  • star 2.0
  • Poor
  • Return Consistency: This fund is one of the best in generating consistent return in it's category.

  • Return Outperformance: This fund has generated highest return amongst Money Market funds in the last 5 Years.

  • Expense Ratio: This fund has the 2nd lowest expense ratio amongst actively/passively managed Money Market funds.

  • Exit Load: This fund has no exit load.

  • Volatility Protection: This fund ranks lower in terms of protecting against volatility within its category.

  • Return/Risk: The fund is performing poorly than its category.

Fund overview

VRO rating5
Expense ratio0.15% as on Apr 30, 2024
Exit load0%
AUM (Fund size)17,288 Crs
Lock-inNo Lockin
Age11 yrs 4 m since Jan 01, 2013
BenchmarkCRISIL Money Market A-I Index
Min. investment

SIP 500  &  Lump. 5000

RiskLow to ModerateLow to Moderate Risk
Tax on your gainsProfits are added to your income and taxed as per your slab rate

Returns calculator

Investment type
Investment period
Disclaimer: Products compared like fixed deposits may provide fixed guaranteed returns. Mutual Funds investments are subject to market risk, read all scheme related documents carefully. Past performance is not an indicator of future returns.
Investment period
Disclaimer: Products compared like fixed deposits may provide fixed guaranteed returns. Mutual Funds investments are subject to market risk, read all scheme related documents carefully. Past performance is not an indicator of future returns.
  • Total investment ₹ 12 lakh
  • Profit ₹12 lakhs
  • Total corpus ₹1 lakh
  • Absolute return 52.69%
Disclaimer: Products compared like fixed deposits may provide fixed guaranteed returns. Mutual Funds investments are subject to market risk, read all scheme related documents carefully. Past performance is not an indicator of future returns.

Trailing returns as on May 16, 2024

PeriodThis fundCategory average
1 month 0.52% 0.5063636363636363%
3 months 2.05% 1.942727272727273%
6 months 3.97% 3.7799999999999985%
1 year 7.77% 7.441363636363636%
3 years 6.1% 5.820555555555555%
5 years 6.27% 6.070666666666667%
10 years 6.28% 7.008571428571429%

Asset allocationas on Apr 30, 2024

Large Cap 0.0%

Mid Cap 0.0%

Small Cap 0.0%

Other Cap 0.0%

Top holdings

Bifurcation by Holding is not available for this fund

Top sectors

Bifurcation by Sector is not available for this fund

A1+ 87.58%

SOV 15.15%

Others 0.23%

Cash & Call Money -2.96%

Top Debt Holdings

Reserve Bank of India 13.98%

National Bank For Agriculture & Rural Development 8.58%

HDFC Bank Ltd. 8.42%

Punjab National Bank 8.34%

Allocation by Instruments

Certificate of Deposit 55.08%

Commercial Paper 32.50000000000001%

Treasury Bills 13.98%

State Development Loan 1.17%

Other Holdings

Others 0.01%

Peer comparison

Fund nameETM RankAUM (in Crs.)Fund ageExpense ratio
Nippon India Money Market Fund#1₹14,775 Crs11 yrs 4 m0.24%
UTI Money Market Fund#2₹14,041 Crs11 yrs 4 m0.19%
HDFC Money Market Fund#3₹21,261 Crs11 yrs 4 m0.23%
Aditya Birla Sun Life Money Manager Fund#4₹22,895 Crs11 yrs 4 m0.21%
Kotak Money Market Fund#5₹18,875 Crs11 yrs 4 m0.24%
Fund name1M6M1Y3Y5Y10Y
Nippon India Money Market Fund0.51%3.89%7.64%6.02%6.12%7.02%
UTI Money Market Fund0.5%3.84%7.61%5.96%6.08%7.01%
HDFC Money Market Fund0.51%3.85%7.58%5.95%6.24%7.03%
Aditya Birla Sun Life Money Manager Fund0.52%3.91%7.68%6.01%6.26%7.13%
Kotak Money Market Fund0.51%3.88%7.58%5.93%5.96%6.93%
Fund nameStd. deviationBetaSharpeSortino
Nippon India Money Market Fund0.551.211.031.97
UTI Money Market Fund0.551.210.931.77
HDFC Money Market Fund0.561.250.891.6
Aditya Birla Sun Life Money Manager Fund0.581.290.961.59
Kotak Money Market Fund0.561.230.851.62

Key risk & return ratios Compared to other funds in the category

Alpha 3.24 vs. 2.6244247 Higher outperformance against benchmark
Sharpe 1.09 vs. 2.2875874 Poor risk-adjusted returns
Beta 1.3 vs. 0.8983136 More sensitive to market's ups & downs
Standard deviation 0.59 vs. 0.45630926 More volatile performance

Compare this fund in detail with

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