Overview
NAV Performance
₹56.51
as on 11 Sept 2026Summary
An open-ended short-term debt scheme investing in instruments such that the Macaulay duration of portfolio is between 1 year and 3 years. The investment objective is to generate regular income/appreciation over a short-term period. At present we do not have other similar scheme.
Investment Philosophy
- The Scheme would invest in companies based on various criteria including sound professional management, track record, industry scenario, growth prospectus, liquidity of the securities, etc.
- The Scheme will emphasise on well-managed, good quality companies with above average growth prospectus whose securities can be purchased at a good yield and whose debt securities are concerned investments (wherever possible) will be mainly in securities listed as investments grade by a recognized authority.
Portfolio Positioning and Construction
- Short Term Accrual focus
- Bottom-up approach to maintain good Quality of portfolio.
- Effective Credit Risk Management
Exit Load
Nil (w.e.f 24th January, 2019)
Minimum Investment Amount
₹ 500
Lumpsum
₹ 5,000
Calculators
₹500
₹ 10 Lakhs
Worth of investments in last
This Fund
N.A.
0%
CRISIL Short Duration Debt A-II Index
N.A.
0%
CRISIL 10 Year Gilt Index
N.A.
0%
Holding Analysis
Key Measures ^
| Key Measures** | Fund | Benchmark |
|---|---|---|
| Standard Deviation | 1.27 | 1.1 |
| Sharpe Ratio | ||
| Portfolio Beta | 1.08 | NA |
| R Squared | 0.92 | NA |
| Treynor | 0.07 | NA |
| Jenson | -0.08 | NA |
| Portfolio Macauley Duration | 2.11 Years |
| Modified Duration | 2 Years |
| Average Maturity | 2.45 Years |
| YTM* | 7.41% |
Returns over the years
| Current value of ₹10,000 invested | ||||||
|---|---|---|---|---|---|---|
| Annualized (%) | CRISIL Short Duration Debt A-II IndexBenchmark(%) | CRISIL 10 Year Gilt IndexAdditional Benchmark(%) | Scheme | CRISIL Short Duration Debt A-II IndexBenchmark(%) | CRISIL 10 Year Gilt IndexAdditional Benchmark(%) | |
Since Inception 08 Aug 2002 | 7.46% | 7.55% | 6.41% | ₹26,593 | ₹26,866 | ₹23,258 |
| Last 1 Year | 5.29% | 5.56% | 2.27% | ₹10,529 | ₹10,556 | ₹10,227 |
| Last 3 Years | 7.34% | 7.28% | 6.78% | ₹12,368 | ₹12,348 | ₹12,176 |
| Last 5 Years | 6.39% | 6.24% | 5.34% | ₹13,637 | ₹13,540 | ₹12,971 |
Fund Managers

Amit Somani
Managing since 11 Jun 2025
Dhawal Joshi
Managing since 01 Jun 2026
Riskometer
This product is suitable for investors who are seeking* :
- Regular Fixed Income for Short Term.
- Investment in Debt / Money Market instruments / Government Securities.


** Investors should understand that their principal will be at Moderate risk
Potential Risk Class Matrix
B-III is the potential risk class matrix of Tata Short Term Fund based on interest rate & credit risk.


