Aditya Birla Sun Life Banking & PSU Debt Fund

An open ended debt scheme predominantly investing in debt instruments of banks, Public Sector Undertakings, Public Financial Institutions and Municipal Bonds. A relatively high interest rate risk and moderate credit risk.

February 2026

Debt Scheme
Investment Objective
To generate reasonable returns by primarily investing in debt and money market securities that are issued by Banks, Investment Objective Public Sector Undertakings (PSUs) and Public Financial Institutions (PFIs) in India. The Scheme does not guarantee/indicate any returns. There is no assurance that the objective of the Scheme will be achieved.
Fund Category: Banking and PSU Fund
Scheme Rating: [ICRA]AAAmfs
Fund Snapshot
Date of Allotment : Apr 19, 2002
Benchmark: Nifty Banking & PSU Debt Index A-II
Fund Manager - Mr. Kaustubh Gupta
Managing the Fund Since: September 29, 2009
Experience in Managing the Fund: 16.4 Years
Fund Manager - Mr. Harshil Suvarnkar
Managing the Fund Since: March 22, 2021
Experience in Managing the Fund: 4.9 Years
SIP:
Monthly: Minimum ₹ 1000/-
Application Amount for fresh subscription:
₹ 1,000 (plus in multiplies of ₹ 1)
Minimum Additional Investment:
₹ 1,000 (plus in multiplies of ₹ 1)
Load Structure (as % of NAV) (Incl. for SIP)
Entry Load: NIL
Exit Load: NIL
AUM as on February 27, 2026 (in ₹Crore)
Month End AUM 8,991.85
Monthly Average AUM 9,003.36
Total Expense Ratio (TER)
Regular 0.73%
Direct 0.39%
Including additional expenses and goods and service tax on management fees.
NAV as on February 27, 2026
Regular Growth 378.85
Regular IDCW$ 155.60
Regular IDCW$ 112.74
Regular IDCW$ 102.78
Retail Growth 568.70
Retail IDCW$ 113.88
Retail IDCW$ 103.95
Direct Growth 394.08
Direct IDCW$ 111.03
Direct IDCW$ 117.27
Direct IDCW$ 105.06
$Income Distribution cum capital withdrawal
Top 10 Sectoral Contribution (in %)
Rating Profile of Portfolio
Instrument Profile
Instrument Name
% Net Assets
Bonds & Debentures
60.37%
Certificate of Deposit
18.86%
Sovereign
14.78%
Cash & cash equivalent
3.17%
Others
2.82%
Volatility Measures
Modified Duration
3.26 years
Average Maturity
4.52 years
Yield to Maturity
7.13%
Macaulay Duration
3.44 years
Portfolio Holdings as on February 27, 2026
( • Top Ten Holdings - Issuerwise)
Sector/Issuer Name
Rating
to Net Assets
Debt & Debt Related
Fixed rates bonds - Corporate
60.37%
• National Bank For Agriculture and Rural Development
CRISIL AAA
3.70%
• National Housing Bank
CARE AAA
2.44%
• Indian Railway Finance Corporation Limited
ICRA AAA
2.18%
• REC Limited
ICRA AAA
2.13%
• HDFC Bank Limited
ICRA AAA
2.05%
• Bajaj Finance Limited
CRISIL AAA
1.86%
• State Bank of India
ICRA AAA
1.78%
Power Finance Corporation Limited
ICRA AAA
1.69%
National Bank for Financing Infrastructure and Dev
ICRA AAA
1.66%
National Bank For Agriculture and Rural Development
ICRA AAA
1.57%
HDFC Bank Limited
ICRA AAA
1.41%
National Bank For Agriculture and Rural Development
ICRA AAA
1.40%
Power Finance Corporation Limited
ICRA AAA
1.39%
Small Industries Development Bank of India
CRISIL AAA
1.39%
REC Limited
ICRA AAA
1.38%
Indian Railway Finance Corporation Limited
ICRA AAA
1.35%
Bharti Telecom Limited
CRISIL AAA
1.33%
Small Industries Development Bank of India
CRISIL AAA
1.14%
Bajaj Finance Limited
CRISIL AAA
1.13%
National Bank For Agriculture and Rural Development
ICRA AAA
1.13%
Indian Renewable Energy Development Agency Ltd
ICRA AAA
1.12%
National Bank For Agriculture and Rural Development
ICRA AAA
1.12%
Indian Railway Finance Corporation Limited
ICRA AAA
1.10%
REC Limited
ICRA AAA
1.06%
REC Limited
ICRA AAA
1.00%
REC Limited
ICRA AAA
0.95%
REC Limited
ICRA AAA
0.94%
Small Industries Development Bank of India
CRISIL AAA
0.84%
Housing & Urban Development Corporation Limited
ICRA AAA
0.83%
Indian Railway Finance Corporation Limited
ICRA AAA
0.82%
Power Finance Corporation Limited
ICRA AAA
0.78%
Bharti Telecom Limited
CRISIL AAA
0.72%
Tata Capital Housing Finance Limited
ICRA AAA
0.57%
Tata Capital Limited
ICRA AAA
0.56%
Small Industries Development Bank of India
CRISIL AAA
0.56%
Poonawalla Fincorp Limited
CRISIL AAA
0.56%
Poonawalla Fincorp Limited
CRISIL AAA
0.56%
Kotak Mahindra Investments Limited
ICRA AAA
0.55%
Bank of Baroda
CRISIL AAA
0.55%
Indian Railway Finance Corporation Limited
ICRA AAA
0.55%
National Bank for Financing Infrastructure and Dev
ICRA AAA
0.54%
LIC Housing Finance Limited
CRISIL AAA
0.51%
Indian Railway Finance Corporation Limited
ICRA AAA
0.45%
Bharti Telecom Limited
CRISIL AAA
0.44%
HDFC Bank Limited
ICRA AAA
0.39%
ICICI Home Finance Company Limited
ICRA AAA
0.39%
HDFC Bank Limited
CRISIL AAA
0.34%
Tata Capital Limited
ICRA AAA
0.34%
Knowledge Realty Trust
CRISIL AAA
0.32%
REC Limited
CRISIL AAA
0.28%
REC Limited
ICRA AAA
0.28%
REC Limited
ICRA AAA
0.28%
REC Limited
ICRA AAA
0.28%
Power Finance Corporation Limited
ICRA AAA
0.28%
Small Industries Development Bank of India
CRISIL AAA
0.28%
Small Industries Development Bank of India
CRISIL AAA
0.28%
REC Limited
ICRA AAA
0.28%
SMFG India Home Finance Company Limited
CARE AAA
0.28%
National Bank for Financing Infrastructure and Dev
ICRA AAA
0.28%
Power Finance Corporation Limited
ICRA AAA
0.28%
Power Finance Corporation Limited
ICRA AAA
0.28%
HDB Financial Services Limited
CRISIL AAA
0.28%
Indian Railway Finance Corporation Limited
ICRA AAA
0.28%
HDB Financial Services Limited
CRISIL AAA
0.28%
National Bank for Financing Infrastructure and Dev
ICRA AAA
0.27%
Indian Railway Finance Corporation Limited
ICRA AAA
0.23%
REC Limited
CRISIL AAA
0.23%
Power Finance Corporation Limited
ICRA AAA
0.22%
REC Limited
ICRA AAA
0.22%
Pipeline Infrastructure Limited
CRISIL AAA
0.18%
LIC Housing Finance Limited
CRISIL AAA
0.17%
Mahindra & Mahindra Financial Services Limited
CARE AAA
0.17%
Export Import Bank of India
ICRA AAA
0.17%
Indian Railway Finance Corporation Limited
CRISIL AAA
0.12%
National Bank For Agriculture and Rural Development
CRISIL AAA
0.12%
Power Grid Corporation of India Limited
CRISIL AAA
0.09%
National Bank For Agriculture and Rural Development
CRISIL AAA
0.06%
Power Grid Corporation of India Limited
ICRA AAA
0.06%
Tata Capital Limited
ICRA AAA
0.06%
LIC Housing Finance Limited
CRISIL AAA
0.06%
Bajaj Housing Finance Limited
CRISIL AAA
0.06%
Power Grid Corporation of India Limited
ICRA AAA
0.06%
HDFC Bank Limited
CRISIL AAA
0.06%
National Bank For Agriculture and Rural Development
ICRA AAA
0.01%
National Highways Authority of India
CRISIL AAA
0.01%
Money Market Instruments
18.86%
• Punjab National Bank
ICRA A1+
2.35%
Indian Bank
CRISIL A1+
1.57%
Punjab National Bank
ICRA A1+
1.31%
Small Industries Development Bank of India
CRISIL A1+
1.30%
Small Industries Development Bank of India
CRISIL A1+
1.09%
Indian Bank
CRISIL A1+
1.05%
National Bank For Agriculture and Rural Development
ICRA A1+
1.05%
Small Industries Development Bank of India
CRISIL A1+
1.04%
Sector/Issuer Name
Rating
% to Net Assets
Canara Bank
ICRA A1+
0.79%
Indian Bank
CRISIL A1+
0.78%
Punjab National Bank
ICRA A1+
0.78%
HDFC Bank Limited
ICRA A1+
0.78%
Export Import Bank of India
ICRA A1+
0.78%
Axis Bank Limited
ICRA A1+
0.53%
National Bank For Agriculture and Rural Development
ICRA A1+
0.52%
Indian Bank
CRISIL A1+
0.52%
Bank of Baroda
CARE A1+
0.52%
Kotak Mahindra Bank Limited
CRISIL A1+
0.52%
Small Industries Development Bank of India
CRISIL A1+
0.52%
Kotak Mahindra Bank Limited
CRISIL A1+
0.26%
Small Industries Development Bank of India
CRISIL A1+
0.26%
Union Bank of India
ICRA A1+
0.26%
Small Industries Development Bank of India
CRISIL A1+
0.26%
Government Bond
8.40%
• 6.68% GOI 07Jul2040
SOV
4.69%
• 6.48% GOI 06Oct2035
SOV
1.98%
6.90% GOI 15-Apr-2065
SOV
0.73%
7.46% GOVERNMENT OF INDIA 06NOV73 G-SEC
SOV
0.34%
7.34% INDIA GOVERNMENT BOND 22APR2064
SOV
0.28%
7.23% INDIA GOVERNMENT BOND 15APR2039
SOV
0.17%
7.26% GOI 22AUG2032
SOV
0.14%
7.25% GOI 12JUN63
SOV
0.04%
7.59% GOI (MD 20/03/2029)
SOV
0.02%
7.09% GOVERNMENT OF INDIA 25NOV74 G-SEC
SOV
0.01%
7.37% GOI 23OCT2028
SOV
0.01%
State Government bond
3.44%
7.45% BIHAR 10SEP2034 SDL
SOV
1.11%
7.72% RAJASTHAN 08NOV2033 SDL
SOV
0.57%
7.63% ASSAM 03SEP35 SDL
SOV
0.28%
7.11% TAMIL NADU 21NOV2034 SDL
SOV
0.22%
7.72% BIHAR 25FEB2041 SDL
SOV
0.17%
7.16% UTTAR PRADESH 26DEC2039 SDL
SOV
0.16%
6.77% MAHARASHTRA 30APR2037 SDL
SOV
0.16%
6.98% MAHARASHTRA 26FEB2028 SDL
SOV
0.16%
7.52% RAJAST 25FEB2036 SDL
SOV
0.14%
7.68% MADHYA PRADESH 04FEB43 SDL
SOV
0.11%
7.09% KARNATAKA 16OCT2035 SDL
SOV
0.11%
7.20 % MAHARASHTRA 03DEC2034 SDL
SOV
0.09%
8.53% TAMIL NADU 28NOV2028 SDL
SOV
0.05%
7.76% UTTARAKHAND 29MAR2033 SDL
SOV
0.02%
7.51% UTTAR PRADESH 27MAR2040 SDL
SOV
0.02%
7.49% UTTAR PRADESH 27MAR2036 SDL
SOV
0.02%
7.46% MADHYA PRADESH 14SEP2032 SDL
SOV
0.02%
6.63% GUJARAT 16SEP2029 SDL
SOV
0.01%
7.60% MAHARASHTRA 15APR2030 SDL
SOV
0.01%
6.47% MAHARASHTRA 21OCT2028 SDL
SOV
0.01%
7.66% UTTAR PRADESH 24AUG2032 SDL
SOV
0.01%
Cash Management Bills
2.95%
Government of India
SOV
0.30%
Government of India
SOV
0.30%
Government of India
SOV
0.25%
Government of India
SOV
0.21%
Government of India
SOV
0.15%
Government of India
SOV
0.15%
Government of India
SOV
0.15%
Government of India
SOV
0.14%
Government of India
SOV
0.12%
Government of India
SOV
0.11%
Government of India
SOV
0.11%
Government of India
SOV
0.11%
Government of India
SOV
0.10%
Government of India
SOV
0.10%
Government of India
SOV
0.10%
Government of India
SOV
0.10%
Government of India
SOV
0.09%
Government of India
SOV
0.06%
Government of India
SOV
0.06%
Government of India
SOV
0.05%
Government of India
SOV
0.05%
Government of India
SOV
0.05%
Government of India
SOV
0.04%
Government of India
SOV
0.04%
Government of India
SOV
0.01%
Government of India
SOV
0.01%
SECURITISED DEBT
2.52%
Shivshakti Securitisation Trust 2025-1
CRISIL AAA(SO)
1.61%
Siddhivinayak Securitisation Trust 2025-1
CRISIL AAA(SO)
0.40%
India Universal Trust AL1
IND AAA(SO)
0.21%
India Universal Trust AL1
IND AAA(SO)
0.09%
India Universal Trust Al2
IND AAA(SO)
0.08%
India Universal Trust Al2
IND AAA(SO)
0.06%
India Universal Trust AL1
IND AAA(SO)
0.03%
India Universal Trust Al2
IND AAA(SO)
0.03%
Alternative Investment Funds (AIF)
0.31%
Corporate Debt Market Development Fund
0.31%
Interest Rate Swaps
-0.01%
BARCLAYS BANK PLC
0.83%
ICICI Securities Primary Dealership Limited
0.83%
ICICI Bank Limited
0.55%
Standard Chartered Bank
0.55%
Standard Chartered Bank
0.06%
Clearing Corporation of India Limited
0.05%
Clearing Corporation of India Limited
-0.06%
Standard Chartered Bank
-0.06%
Standard Chartered Bank
-0.56%
ICICI Bank Limited
-0.56%
BARCLAYS BANK PLC
-0.83%
ICICI Securities Primary Dealership Limited
-0.83%
Net Cash and Cash Equivalent
3.17%
Grand Total
100.00%
Scheme Name
Aditya Birla Sun Life Banking & PSU Debt Fund
An open ended debt scheme predominantly investing in debt instruments of banks, Public Sector Undertakings, Public Financial Institutions and Municipal Bonds. A relatively high interest rate risk and
moderate credit risk.
This product is suitable for investors who are seeking*:
  • Generation of reasonable returns and liquidity over short term
  • Investment primarily in securities issued by Banks, Public Sector Undertakings and Public Financial
    Institutions in India
Risk-o-meter
Benchmark Risk-o-meter
Nifty Banking & PSU Debt Index A-II

*Investors should consult their financial advisors if in doubt whether the product is suitable for them.