Bank of India Money Market Fund - Direct Plan does not yet have a 5-year performance history.
The average return for Money Market funds is 34.68% .
The largest portfolio holding is SMALL INDUSTRIES DEV BANK OF INDIA 11 06 2027 with a portfolio weight of 6.06% .
The fund currently owns more than 32 stocks.
The top 10 holdings account for 51.11% of total assets.
Based on portfolio allocation, this fund appears moderately concentrated compared with peers.
| Metric | Fund | Category Avg |
|---|---|---|
| 1 Year Return | 11.18% | 5.15% |
| 2 Year Return | N/A | 10.98% |
| 3 Year Return | N/A | 18.25% |
| 4 Year Return | N/A | 26.30% |
| 5 Year Return | N/A | 34.68% |
| 6 Year Return | N/A | 43.79% |
| 7 Year Return | N/A | 55.00% |
| Expense Ratio | 0.14% | - |
| # | Company | Sector | Weight |
|---|---|---|---|
| 1 |
6.06%
|
||
| 2 |
5.06%
|
||
| 3 | Others - Not Mentioned |
5.02%
|
|
| 4 |
5.02%
|
||
| 5 |
5.01%
|
||
| 6 |
5.00%
|
||
| 7 |
4.99%
|
||
| 8 |
4.99%
|
||
| 9 |
4.98%
|
||
| 10 |
4.98%
|
||
| 11 |
4.98%
|
||
| 12 |
4.97%
|
AMC: BANKOFINDIA
Category: Debt • Money Market
Launch Date: 28 Jan 2025
Fund Manager: Mr. Mithraem Bharucha
Minimum Purchase: ₹5,000
Exit Load:
Lock-in: 1
Risk: Low Risk
Bank of India Money Market Fund - Direct Plan is managed by BANKOFINDIA and belongs to the Debt category.
Investors often evaluate this fund using metrics such as portfolio holdings, diversification, expense ratio, risk profile and long-term NAV performance.
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