The investment objective of the scheme is to seek to generate returns with low volatility and higher liquidity through a portfolio of debt and money market instruments. The scheme does not guarantee any returns. Mirae Asset Savings Fund is a Debt - Low Duration fund launched on 5 Mar 08. It is a fund with Moderately Low risk and has given a Below is the key information for Mirae Asset Savings Fund Returns up to 1 year are on Historical performance (Yearly) on absolute basis Mirae Asset Savings Fund - G
Scheme Objective
CAGR return of 4.9% since its launch. Ranked 84 in Low Duration category. Return for 2024 was 7.4% , 2023 was 6.6% and 2022 was 4% . NAV as on 27 Nov 25 ₹2,318.59 ↑ 0.28 (0.01 %) Net Assets (AUM) as on 31 Oct 2025 ₹2,676 Cr. Launch Date 5 Mar 2008 Category Debt - Low Duration Rating ☆ Type Open Ended Fund Risk Moderately Low Yield To Maturity 0.07% Effective Maturity 11 Months 14 Days Modified Duration 10 Months 6 Days Alpha Ratio 0.0 Expense Ratio 0.44 % Sharpe Ratio 2.019 Information Ratio 0.0 Benchmark Not Available ISIN INF769K01937 AMC Mirae Asset Global Inv (India) Pvt. Ltd Min Investment ₹5,000 Min SIP Investment ₹1,000 Exit Load NIL NAV Price Chart
Returns
Annual Compounded Returns
absolute basis & more than 1 year are on CAGR (Compound Annual Growth Rate) basis. as on 27 Nov 25 Duration Returns 1 Month 0.5% 3 Month 1.6% 6 Month 3.1% 1 Year 7.3% 3 Year 7.1% 5 Year 5.6% 10 Year 15 Year Since launch 4.9% Historical Annual Returns
Year Returns 2024 7.4% 2023 6.6% 2022 4% 2021 3.1% 2020 6.7% 2019 5.8% 2018 6.6% 2017 5.8% 2016 6.9% Growth of 10k Over Years
Date Value 31 Oct 20 ₹10,000 31 Oct 21 ₹10,327 31 Oct 22 ₹10,682 31 Oct 23 ₹11,378 31 Oct 24 ₹12,222 31 Oct 25 ₹13,118 Asset Allocation
Asset Class Value Cash 39.37% Debt 60.47% Other 0.15% Sector Allocation
Sector Value Corporate 55.88% Cash Equivalent 22.07% Government 21.9% Rating Value AA 6.8% AAA 93.2% Top Securities Holdings / Portfolio
Holdings/Securities
Name Global Industry Holding Value Quantity Bajaj Housing Finance Limited
Debentures | -5% ₹131 Cr 13,000,000 182 Days Treasury Bills (MD 26/03/2026)
Sovereign Bonds | -4% ₹98 Cr 10,000,000
↓ -2,500,000 India (Republic of)
- | -4% ₹98 Cr 10,000,000 National Bank For Agriculture And Rural Development
Debentures | -3% ₹80 Cr 8,000,000
↑ 2,500,000 LIC Housing Finance Ltd
Debentures | -2% ₹51 Cr 5,000,000
↑ 5,000,000 Indian Railway Finance Corporation Limited
Debentures | -2% ₹51 Cr 5,000,000 Power Finance Corporation Limited
Debentures | -2% ₹50 Cr 5,000,000 Rec Limited
Debentures | -2% ₹50 Cr 5,000,000 National Bank For Agriculture And Rural Development
Debentures | -2% ₹50 Cr 5,000,000
↑ 5,000,000 HDFC Bank Ltd.
Debentures | -2% ₹49 Cr 5,000,000
Talk to our investment specialistFund Managers
Name Since Tenure Basant Bafna 1 Feb 24 1.75 Yr. Custodians
Company Address Deutsche Bank AG 1 Great Winchester Street Registrar & Transfer Agent
KFin Technologies Ltd Address 138 -Suyesh Solitaire, Nr. Podar International School,Kudasan, Gandhinagar, Gujarat FAX N.A Email N.A Administrator Companies
Company Address Mirae Asset Investment Managers (India) Private Limited Mirae Asset Investment Managers (India) Private Limited.,Unit No. 606, 6th Floor,,Windsor Bldg, Off CST Road,,Kalina, Santacruz (East), Mumbai - 400 098 Auditors
Company Address M/s. Chokshi & Chokshi 101/102, Kshamalaya 1st Floor,,37, Sir V. Thackersey Marg, All Plan & Options
Fund and Plan NAV 6 Month 1 Year 3 Year 5 Year Mirae Asset Savings Fund
Growth ₹2,318.59
↑ 0.28 3.07 % 7.33 % 7.09 % 5.57 % Mirae Asset Savings Fund
Weekly Dividend, Reinvestment ₹1,106.77
↑ 0.14 3.08 % 7.33 % 7.15 % 5.6 % Mirae Asset Savings Fund
Quarterly Dividend, Reinvestment ₹1,009.05
↑ 0.12 3.01 % 7.19 % 7.03 % 5.83 % Mirae Asset Savings Fund
Quarterly Dividend, Payout ₹1,009.05
↑ 0.12 3.01 % 7.19 % 7.03 % 5.83 % Mirae Asset Savings Fund
Monthly Dividend, Reinvestment ₹1,087.9
↑ 0.13 3.08 % 7.32 % 7.09 % 5.57 % Mirae Asset Savings Fund
Monthly Dividend, Payout ₹1,087.9
↑ 0.13 3.08 % 7.32 % 7.09 % 5.57 % Mirae Asset Savings Fund
Daily Dividend, Reinvestment ₹1,005.16 0 % 3.43 % 5.31 % 4.51 % Data as on 27 Nov 25