Mirae Asset CRISIL-IBX Financial Services 9-12 Months Debt Index Fund
Index Fund fund benchmarked to CRISIL-IBX Financial Services 9-12 Months Debt Index. Every figure below is read from one dated snapshot; what the snapshot cannot prove is left out, never estimated.
| Latest NAV2 Sep 2026 | 10.7731 |
|---|---|
| Category | Index Fund |
| Plan | Direct · Idcw |
| Launched | 17 Jun 2025 |
| Risk labelthe scheme's own riskometer | Low to Moderate Risk |
| Legal benchmarkSEBI Tier-1 | CRISIL-IBX Financial Services 9-12 Months Debt Index |
| Expense ratiodirect plan, a year | 0.10% |
| AUM | ₹0.01 Cr |
Growth of ₹10,000₹10,77126 Jun 2025 to 2 Sep 2026
₹10,771 (+6.5% a year) Mirae Asset CRISIL-IBX Financial Services 9-12 Months Debt Index Fund
| Point | Mirae Asset CRISIL-IBX Financial Services 9-12 Months Debt Index Fund |
|---|---|
| 26 Jun 2025 | ₹10,000 |
| 30 Jun 2025 | ₹10,009 |
| 7 Jul 2025 | ₹10,029 |
| 14 Jul 2025 | ₹10,042 |
| 21 Jul 2025 | ₹10,053 |
| 28 Jul 2025 | ₹10,063 |
| 4 Aug 2025 | ₹10,076 |
| 11 Aug 2025 | ₹10,086 |
| 18 Aug 2025 | ₹10,096 |
| 25 Aug 2025 | ₹10,110 |
| 1 Sep 2025 | ₹10,118 |
| 9 Sep 2025 | ₹10,129 |
| 15 Sep 2025 | ₹10,136 |
| 22 Sep 2025 | ₹10,150 |
| 30 Sep 2025 | ₹10,166 |
| 6 Oct 2025 | ₹10,181 |
| 13 Oct 2025 | ₹10,190 |
| 20 Oct 2025 | ₹10,202 |
| 27 Oct 2025 | ₹10,212 |
| 3 Nov 2025 | ₹10,226 |
| 10 Nov 2025 | ₹10,237 |
| 17 Nov 2025 | ₹10,249 |
| 24 Nov 2025 | ₹10,261 |
| 1 Dec 2025 | ₹10,273 |
| 8 Dec 2025 | ₹10,287 |
| 15 Dec 2025 | ₹10,286 |
| 22 Dec 2025 | ₹10,294 |
| 29 Dec 2025 | ₹10,310 |
| 5 Jan 2026 | ₹10,321 |
| 12 Jan 2026 | ₹10,323 |
| 19 Jan 2026 | ₹10,317 |
| 27 Jan 2026 | ₹10,330 |
| 2 Feb 2026 | ₹10,340 |
| 9 Feb 2026 | ₹10,354 |
| 16 Feb 2026 | ₹10,379 |
| 23 Feb 2026 | ₹10,385 |
| 2 Mar 2026 | ₹10,398 |
| 9 Mar 2026 | ₹10,404 |
| 16 Mar 2026 | ₹10,409 |
| 23 Mar 2026 | ₹10,412 |
| 30 Mar 2026 | ₹10,429 |
| 6 Apr 2026 | ₹10,437 |
| 13 Apr 2026 | ₹10,484 |
| 20 Apr 2026 | ₹10,499 |
| 27 Apr 2026 | ₹10,498 |
| 4 May 2026 | ₹10,503 |
| 11 May 2026 | ₹10,513 |
| 18 May 2026 | ₹10,502 |
| 25 May 2026 | ₹10,495 |
| 1 Jun 2026 | ₹10,517 |
| 8 Jun 2026 | ₹10,549 |
| 15 Jun 2026 | ₹10,575 |
| 22 Jun 2026 | ₹10,597 |
| 29 Jun 2026 | ₹10,630 |
| 6 Jul 2026 | ₹10,656 |
| 13 Jul 2026 | ₹10,652 |
| 20 Jul 2026 | ₹10,659 |
| 27 Jul 2026 | ₹10,680 |
| 3 Aug 2026 | ₹10,698 |
| 10 Aug 2026 | ₹10,719 |
| 17 Aug 2026 | ₹10,732 |
| 24 Aug 2026 | ₹10,736 |
| 31 Aug 2026 | ₹10,756 |
| 2 Sep 2026 | ₹10,771 |
Performance (trailing, annualised)
| 1Y annualised | 6.44% |
|---|
Point-to-point from the fund's own published NAV; a period the history does not span is left out.
SIP returns
| SIP 1Y (₹10,000 a month)invested ₹1,20,000 → worth ₹1,24,452 | 6.92% |
|---|
₹10,000 on the first of every month, valued at the latest NAV, as an annualised rate (XIRR).
Risk
| Volatility (3Y) | 0.55% |
|---|---|
| Downside deviation (3Y) | 0.21% |
| Maximum drawdown | -0.21% |
Management
| Fund manager | Ms. Pranavi Kulkarni |
|---|---|
| Managing since | 5 Feb 2026 |
Related
Source: the OmniAsset signed reference snapshot, as of 3 Sep 2026. Figures are deterministic; missing data is withheld, never estimated. See methodology and data sources. Not investment advice.
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