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Medium to Long Duration FundSBI Funds Management Limited

SBI Medium to Long Term Fund-DIRECT PLAN -Growth

Benchmark: CRISIL Medium to Long Duration Debt A-III Index · Riskometer: Moderately High

₹80.1916

NAV (2026-08-31)

₹2,046.064 Cr

AUM (2026-08-31)

0.78%

EXPENSE RATIO (DIRECT)

2010-12-31

INCEPTION

?Quality · -/100
?Safety · -/100
?Compound · -/100

Punji Fund Health Score - percentile-within-category. See methodology.

Rolling returns aren't shown for debt funds. Their NAV compounds steadily from near Rs 10, so a rolling-return band describes the arithmetic rather than the manager's decisions.

Not enough data yet to rank this fund against its category.

Risk metrics aren't shown for debt funds. Their NAV starts near Rs 10 and compounds steadily, so CAGR, beta and drawdown measure the arithmetic rather than the manager.

CHART

Top sector holdings

Share of portfolio (% to NAV) in each of the top sectors.

100%TOP 1100%
Other 100%

TOP HOLDINGS

7.24% CGL 2055 ()9.49%
TREPS ()8.17%
6.68% CGL 2040 ()7.1%
Muthoot Finance Ltd. ()4.88%
6.90% State Government of Bihar 2035 ()4.71%
JSW Kalinga Steel Ltd. ()3.77%
Torrent Power Ltd. ()3.74%
6.94% CGL 2036 ()3.68%
REC Ltd. ()3.66%
Indostar Capital Finance Ltd. ()3.4%

Similar funds are matched on how a fund behaves -- beta, drawdown, up and down capture. Those are not calculated for debt funds, so there is no basis here to match peers on.

CHART

Asset Allocation

As of Jul-2026

89.8%9.6%TOP 399%
Equity 0%Debt 89.8%Cash 9.6%

CHART

Credit Quality

As of Jul-2026

16.47%46.12%27.21%TOP 490%
AAA 16.47%AA 46.12%Sovereign 27.21%Other 0%

Portfolio analytics as of Jul-2026.

Data as of 2026-09-02. Source: AMFI disclosures via Punji. Not investment advice.