This Mutual Fund scheme is no longer active now and not accepting any fresh investments.

    Navi Overnight Fund Regular - Growth

    Unrated
    • NAV as of Nov 14, 2024

      10.820.00%

    • Fund Category:

      Debt: Overnight

      Investment Growth

      • Type
        • SIP
        • Lumpsum
      SIP
      • Amount
        • 100
        • 500
        • 1,000
        • 5,000
        • 10,000
      5,000
      • Period
        • 3 Months
        • 6 Months
        • 1 Year
        • 3 Years
        • 5 Years
      1 Year
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      Navi Overnight Fund Regular - Growth

      Unrated
      • NAV as of Nov 14, 2024

        10.820.00%

      • Fund Category:

        Debt: Overnight

      Navi Overnight Fund Regular - Growth Fund Key Highlights
      1. Current NAV: The Current Net Asset Value of the Navi Overnight Fund - Regular Plan as of Nov 14, 2024 is Rs 10.82 for Growth option of its Regular plan.
      2. Returns: Its trailing returns over different time periods are: 6.03% (1yr) and 6.11% (since launch). Whereas, Category returns for the same time duration are: 6.641706360430556% (1yr), 5.727931682966741% (3yr) and 4.768121021311539% (5yr).
      3. Fund Size: The Navi Overnight Fund - Regular Plan currently holds Assets under Management worth of Rs 4.5591 crore as on Sep 30, 2024.
      4. Expense ratio: The expense ratio of the fund is 0.25% for Regular plan as on Sep 30, 2024.
      5. Exit Load: The given fund doesn't attract any Exit Load.
      6. Minimum Investment: Minimum investment required is Rs 10 and minimum additional investment is Rs 10. Minimum SIP investment is Rs 10.

      Navi Overnight Fund Regular - Growth Returns

      • Trailing Returns

      • Rolling Returns

      • Discrete Period

      • SIP Returns

      • Trailing Return data not available for this fund

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      Return Comparison

      Return Comparison data not available for this fund

      Navi Overnight Fund Regular - Growth Fund Details

      Investment Objective - The scheme seeks to generate returns by investing in debt and money market instruments with overnight securities having maturity of 1 day .

      Fund HouseNavi Mutual Fund
      Launch DateJul 17, 2023
      Benchmark-

      Navi Overnight Fund Regular - Growth Investment Details

      Minimum Investment (Rs.)10.00
      Minimum Additional Investment (Rs.)10.00
      Minimum SIP Investment (Rs.)10.00
      Minimum Withdrawal (Rs.)10.00
      Exit Load0%

      Portfolio Allocation

      Portfolio Aggregates

      Portfolio Aggregates data not available for this fund

      Style Box

      CREDIT RATING
      INTEREST RATE SENSITIVITY
      HighMediumLow
      HighMediumLow

      Investment / Portfolio Grades

      Security TypeWeight(%)Category Avg(%)
      Government Backed--
      Low Risk--
      Moderate Risk--
      High Risk--
      Very High Risk--
      Others--

      Type of Holdings

      Security TypeWeight(%)Category Avg(%)
      GOI--
      CD--
      T-Bills--
      CP--
      NCD & Bonds--
      PTC--
      Cash & Others--

      Debt Holding In Portfolio

      Debt Holdings data not available for this fund

      Peer Comparison

      • Cumulative Returns

      • SIP returns

      • Discrete Returns

      • Quant Measures

      • Asset Allocation

      • Cumulative Return data not available for this fund

      Risk Ratios

      Ratios are calculated using the calendar month returns for the last 3 years

      Risk Ratio data not available for this fund

      Fund Manager

        • T.S.
          Tanmay SethiSince Feb 20240 schemes
        • Mr. Sethi has done B.Com and CA Prior to joining Navi Mutual Fund, he has worked with HDFC Mutual Fund

          No schemes for the Fund Manager

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        About Navi Overnight Fund Regular - Growth
        1. Navi Overnight Fund - Regular Plan is Open-ended Overnight Debt scheme which belongs to Navi Mutual Fund House.
        2. The fund was launched on Jul 17, 2023.

        Investment objective & Benchmark
        1. The investment objective of the fund is that " The scheme seeks to generate returns by investing in debt and money market instruments with overnight securities having maturity of 1 day. "
        2. It is benchmarked against CRISIL Liquid Overnight Index.

        Asset Allocation & Portfolio Composition
        1. The portfolio allocation of debt securities primarily have 2 kinds of risks: interest rate risk & credit risk. While the interest rate movements are driven by the fund's duration, credit quality of debt securities are based on the weighted average credit ratings of a fund. Generally, funds with high credit quality will have the weighted average credit rating of AA- and higher rated securities, funds with medium credit quality will hold securities having credit rating lying between A- to BBB- and funds with low credit quality will hold securities having average credit rating of less than BBB-. Credit rating is a qualitative tool that basically assesses the creditworthiness and financial soundness of a company and takes into consideration several factors including the default rate and solvency of the concerned business entity.
        2. The portfolio of the fund has securities with varying levels of maturities. Duration takes into consideration the sensitivity of the average maturity of these securities with respect to the interest rate changes. The Average Maturity of Navi Overnight Fund - Regular Plan is null years and Duration is null years. Generally, securities with high maturity are more sensitive to interest rate changes. So, an investor with a low risk appetite may look to invest in a fund with low maturity and duration vis-a-vis category levels.
        3. All these parameters - average maturity, duration, interest rate changes, credit quality, credit rating, liquidity etc. need to be looked at in conjunction with each other to determine the quality of portfolio of a fund.

        Tax Implications on Navi Overnight Fund Regular - Growth

        Capital Gains Tax Implications:
        If the investment is made after Apr 1, 2023:
        1. The entire amount of gain will be added to the investor's income (irrespective of the period of investment) and will be taxed as per his/her applicable slab rate.

        If the investment is made before Apr 1, 2023:
        1. If units are redeemed within 3 years of investment, the whole gain will be added to the investor's income and taxed as per his/her applicable slab rate.
        2. For units redeemed after 3 years of investment, gains will be taxed at a rate of 20% post-indexation benefits. Indexation is a process of recalculating the purchase price after accounting for inflation into it. The benefit of indexation lies in lowering one's capital gains which brings down the taxable income and thereby reduces taxes on it.

        Dividend Tax Implications:
        1. For Dividend Distribution Tax, the dividend income from this fund will get added to an investor’s income and taxed according to his/her respective tax slabs.
        2. Also, for dividend income more than Rs 5,000 in a financial year; the fund house shall deduct a TDS of 10% on such income.

        FAQs about Navi Overnight Fund Regular - Growth

        • Is it safe to invest in Navi Overnight Fund - Regular Plan?
          As per SEBI’s latest guidelines to calculate risk grades, investment in the Navi Overnight Fund - Regular Plan comes under Low risk category.
        • What is the category of Navi Overnight Fund - Regular Plan?
          Navi Overnight Fund - Regular Plan belongs to the Debt : Overnight category of funds.
        • How Long should I Invest in Navi Overnight Fund - Regular Plan?
          The suggested investment horizon of investing into Navi Overnight Fund - Regular Plan is <1 month. The suggested investment horizon is the minimum time required for holding investments in the fund to reduce its downside risk and ensure that the returns become more predictable.
        • Who manages the Navi Overnight Fund - Regular Plan?
          The Navi Overnight Fund - Regular Plan is managed by Tanmay Sethi (Since Feb 01, 2024).

        Date Sources: Mutual Funds, ETFs, and NPS data are sourced from Value Research. All times stamps are reflecting IST (Indian Standard Time). By using this site, you agree to the Terms of Service and Privacy Policy.

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