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DSP Short Term Fund - Direct Plan - Growth

DSP Mutual Fund · Debt · mandate: Macaulay duration 1–3 years · benchmark: —
AUM (all plans)
3,312 cr
TER direct / regular
0.37% / 0.96%
CAGR (full)
6.2%
Sharpe (full)
0.06
Sharpe (bull ≤Sep-24)
2.42
Sharpe (sideways Oct-24→)
0.36
Max drawdown
-1.4%
Months of data
163
Percentile ranks this fund within its peer pool; the leaderboard Score is the weighted average of its fiscal-year percentiles (equity: active-return-rank blended with IR-rank).

Equity curve

20132014201520162017201820192020202120222023202420252026100188276Fund (NAV=100)Risk-free 6%/yrCategory median (Short Duration Fund)

Drawdown

20132014201520162017201820192020202120222023202420252026-1-10Drawdown %

Fiscal-year record

FYReturnvs categorySharpemonths
FY224.4%-0.3%-2.1212
FY234.3%-0.2%-1.2512
FY247.7%0.0%2.0012
FY258.5%0.1%2.8212
FY265.9%-0.3%-0.1412
FY27*3.0%-0.0%0.445
Active/Fund returns are TOTALS over the months covered — never annualized (FY27* is year-to-date; a * row covers only part of the year). %ile is the fund's percentile within its peer pool for that year.

Monthly returns (%)

JanFebMarAprMayJunJulAugSepOctNovDecYear
2013+0.3+1.0+1.2+1.1+0.2-1.4+0.4+1.9+1.3+0.6+0.8+7.5
2014+0.6+0.6+1.2+0.8+1.2+0.7+0.6+0.6+1.0+1.4+1.1+0.7+11.2
2015+1.2+0.4+0.8+0.6+0.8+0.4+0.9+0.7+1.0+0.7+0.5+0.5+8.9
2016+0.6+0.4+1.3+0.9+0.7+0.7+1.2+0.9+0.9+0.7+1.6-0.4+9.9
2017+1.0+0.0+0.6+0.4+0.8+1.0+1.1+0.7+0.3+0.6+0.1-0.1+6.6
2018+0.4+0.2+1.1-0.3+0.1+0.6+0.9+0.6+0.1+0.7+1.2+0.9+6.6
2019+0.6+0.6+1.4-0.0+1.5+0.4+1.4+1.1+0.3+1.4+0.7+0.0+9.9
2020+0.9+1.1+0.1+0.8+2.0+1.2+0.9-0.1+0.4+1.2+0.9+0.3+10.2
2021-0.3-0.3+0.7+0.7+0.4+0.1+0.8+0.6+0.1+0.1+0.4+0.2+3.5
2022+0.3+0.4+0.4-0.1-0.5+0.3+0.7+0.5-0.0+0.4+0.8+0.4+3.6
2023+0.5+0.2+1.0+1.0+0.8+0.4+0.5+0.6+0.4+0.3+0.6+0.8+7.3
2024+0.6+0.7+0.7+0.3+0.8+0.6+0.9+0.7+0.9+0.5+0.6+0.6+8.3
2025+0.7+0.5+1.1+1.4+1.0+0.3+0.6-0.1+0.6+0.8+0.5+0.1+7.9
2026+0.0+0.8-0.4+0.5+0.2+1.9+0.3+0.1+3.4

Quarterly average AUM & estimated net flows

201320142015201620172018201920202021202220232024202520267073,1115,515AUM (quarter avg), ₹cr
-1,7821,410
Quarterly net flow estimate: AUM_q − AUM_(q−1)·(1+quarter return). AUM shown is the quarter AVERAGE (AMFI central disclosure). Positive = net inflows, ₹cr.
Source: AMFI's official all-scheme NAV history (portal report; official NAV history, net of TER by construction). Monthly returns are month-end NAV chains; stale prints (>7 days before month-end) drop out rather than carry. Benchmark series are the median of plain-vanilla direct-plan index funds tracking each index (TRI minus ~10-25bp/yr tracking drag — verified against true-TRI chains). Direct plans, growth option only. Sharpe uses rf 6%, arithmetic monthly convention. Independence: all figures are computed from mandatory public disclosures with a fixed methodology applied identically to every fund — no fund can pay for inclusion, exclusion, placement, or altered presentation, and any material commercial relationship will be disclosed on the affected pages. Nothing here is investment advice; past performance does not predict future returns. Generated 2026-08-25 05:37Z · data through Aug 2026 · leaderboard · PMS leaderboard
Feedback, inputs, or bug reports are appreciated — @vivekrmr on X · LinkedIn.