Data as on 04th feb 2025

Bank Of India Overnight Fund

  • Fund Type : An open ended debt scheme investing in overnight securities. A Relatively Low Interest Rate Risk and A Relatively Low Credit Risk.
    Entry Load : NA
    Date of Allotment : January 28, 2020
    Features : Liquity SIP SWP STP
  • Benchmark :
    Tier 1: CRISIL Liquid Overnight Index
    Exit Load :
    Nil

Investment Objective

The investment objective of the scheme is to generate income commensurate with low risk and high liquidity by investing in overnight securities having residual maturity of 1 business day. However, there can be no assurance that the investment objectives of the Scheme will be realized. The Scheme does not assure or guarantee any returns.

Fund Manager

  • Mr. Mithraem Bharucha

    BMS and MBA

    Alok singh
    See detail

Fund Highlights

Advantages of an Overnight Fund:

  • High Liquidity: Fund stands to provides highest liquidity within the Fixed Income mutual Fund Product segment with redemption on T+1 basis
  • No Lock in Period and No Exit Load: It offers overnight liquidity without any exit load
  • Lowest Risk Fund: This Fund category has lowest mark to market risk and lowest credit default risk
  • Stable returns: Fund is positioned to deliver consistent returns compared to other Fixed Income instruments
  • Click here for KIM
  • Click here for SID

Riskometer

Scheme Riskometer:

 

The above Riskometer is based on the portfolio as on 30th April, 2026.

This product is suitable for investors who are seeking*:

  • Income over short term with low risk and high liquidity
  • Investments in overnight securities having residual maturity of 1 business day.

Benchmark Riskometer: Tier 1: CRISIL Liquid Overnight Index:

*Investor should consult their financial advisor if in doubt about whether the product is suitable for them

The above Benchmark Riskometer is based on the portfolio as on 30th April, 2026.

Potential Risk Class Matrix
Credit Risk Relatively Low (Class A) Moderate (Class B) Relatively High (Class C)
Interest rate Risk
Relatively Low (Class I) A-I
Moderate (Class II)
Relatively High (Class III)

Note: Annualized data for returns and Standard deviation as of Jan 16, 2019

  • Scheme
  • Benchmark

Fund Performance

Performance(Regular Plan - Growth Option & Direct Plan - Growth Option)

Current Value of Standard Investment of Rs 10000 in the
Date NAV Per Unit(Rs.) Scheme Returns(%)^ Benchmark Returns #(%) Additional Benchmark Returns # #(%) Scheme (Rs) Benchmark #(Rs) Additional Benchmark # # (Rs)
7 days 1376.3499 5.16 % 5.28 % 1.78 % 10010 10010 10003
15 days 1374.0409 6.50 % 5.22 % 0.27 % 10026 10021 10001
30 days 1369.4937 7.07 % 5.17 % 1.62 % 10058 10043 10014
1 yrs 1304.9111 5.58 % 5.34 % 3.98 % 10558 10534 10398
3 yrs 1145.6344 6.34 % 6.23 % 6.34 % 12026 11990 12026
5 yrs 1045.1647 5.68 % 5.63 % 5.60 % 13598 13150 13134
Since inception 1000.0000 5.18 % 5.12 % 5.51 % 13777 13730 14058
6 Months 1340.7702 5.53 % 5.13 % 3.34 % 10274 10263 10196
3 Months 1357.7073 5.85 % 5.12 % 2.66 % 10144 10127 10066

IDCW History (Regular Plan - Annual Dividend)

Record Date IDCW (`/Unit)
27-March-263.9749793
27-March-263.9749793
27-April-264.5530000
27-April-264.5530000
CLICK HERE TO VIEW THE IDCW HISTORY
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