Mutual Funds

SBI Medium to Long Duration Fund - Regular Plan - Half Yearly - Income Distribution cum Capital Withdrawal Option (IDCW)

SBI Mutual FundMedium-Long DurationLow Risk
₹19.28-0.01 (-0.07%)

NAV as on 2026-07-17 · Debt · Medium-Long Duration

AUM

₹2,055 Cr

1Y Return

+3.8%

3Y CAGR

+6.4%

5Y CAGR

+5.8%

Expense

1.49%

Risk

Low

SBI Medium to Long Duration Fund
₹19.28-0.07%

1Y Return

+3.8%

3Y CAGR

+6.4%

5Y CAGR

+5.8%

Since Inception

+3.3%

AI Fund Analysis

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NAV History

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52-Week NAV Range

₹18.37
₹19.35

93% from 52W low

Fund Information

Medium-Long DurationDebtSince 03-04-2006

Fund House

SBI Mutual Fund

Category

Debt - Medium-Long Duration

Min SIP

₹500

Min Lumpsum

₹5,000

Portfolio Composition

Asset Allocation

Equity0.3%
Cash8.4%
Other0.3%

Market Cap Split

Top Holdings

32 stocks
Weight1M Change
1

7.24% Govt Stock 2055

23.62%+11.1%
2

6.68% Govt Stock 2040

23.25%+42.9%
3

6.75% Govt Stock 2033

10.20%0.0%
4

Bharti Telecom Limited

9.78%0.0%
5

Godrej Seeds & Genetics Limited

9.67%0.0%
6

6.48% Govt Stock 2035

9.48%-55.6%
7

6.9% Bihar Sgs 2035

9.32%0.0%
8

Torrent Power Limited

7.52%0.0%
9

Jsw Kalinga Steel Limited

7.33%0.0%
10

Adani Power Limited

6.83%0.0%

Sector Allocation

Weight1M Change
Financial Services
0.6%0%

Risk Metrics (3Y)

Sharpe Ratio

0.05

Cat avg: 0.11

Sortino Ratio

0.07

Cat avg: 0.22

Beta

0.91

Cat avg: 1.00

Std Deviation

2.30%

Cat avg: 2.63%

Peer Comparison

FundAUM (Cr)Exp %1Y3Y5Y
SBI Medium to Long Dur Reg IDCW-P2,0551.49+3.8%+6.4%+5.8%
SBI Medium to Long Dur IDCW-R2,0551.49+3.8%+6.4%+5.8%
ICICI Pru Bond Bns2,0020.81+2.0%+7.1%-
Kotak Bond Reg Qtrly IDCW-P1,8071.65+5.9%+8.9%+5.5%
Aditya BSL Income Reg IDCW-P1,7870.93+2.6%+5.6%+5.2%
HDFC Income Qt IDCW-P8331.40+2.2%+6.0%+4.9%
Bandhan Medium to Lg Dur Reg HY IDCWP4311.68+4.6%+5.8%+4.7%
Nippon India Mdm to Lg Dur Ann IDCW-P3611.29+3.3%+5.7%+5.3%
UTI Medium to Long Dur Ann Reg IDCW-P3041.66+1.2%+5.3%+7.8%
LIC MF Medium to Long Dur IDCW-P1770.61+3.8%+6.6%+5.7%

What If I Had Invested?

NAV history not available for this range

Key Metrics

AUM₹2,055 Cr
Expense Ratio1.49%
Volatility (3Y)2.3%
Sharpe Ratio0.05
Sortino Ratio0.07
Beta0.91
Min SIP₹500
Min Lumpsum₹5,000
Holdings32

Risk-o-Meter

Low

Moderate

High

Very High

Rated as Low risk

Disclaimer: Mutual fund investments are subject to market risks. Read all scheme related documents carefully. Past performance is not indicative of future returns. NAV data sourced from AMFI. This is not SEBI-registered investment advice.