Lakson Income Fund
The investment objective of the Lakson Income Fund is to provide competitive total return through investment in a diversified portfolio of fixed income securities. Investments will be made in a variegated mix of short term, medium term and longer term maturities depending on the assessment by the Investment Team of interest rate trends and prospective returns.
Investment & Suitability
The fund is best suited for investors seeking consistent income with a medium term investment horizon.
Returns as on October 31, 2017
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Month End Total Returns*** as on October 31, 2017
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TFCs Portfolio as on October 31, 2017
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Investment Committee
Rating by PACRA
A+
The PACRA has revised the stability rating of Lakson Income Fund (LIF), an open-end income fund to ‘A+(f)’(Single A Plus ; fund rating) [Previous rating:- ‘AA-(f)’]. The fund’s rating denotes a strong capacity to manage relative stability in returns and low exposure to risks.
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* Updated Daily ** Updated Weekly *** Updated Monthly
Performance Analysis: Monthly Returns***
LIF vs. Benchmark***

As on October 31, 2017
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As on October 31, 2017
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Performance Comparison
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Asset Allocation (%)

Credit Split (%)

Portfolio Statistics
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As on October 31, 2017
Asset Allocation Instruments (as % of total assets)
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TFCs Portfolio
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As on October 31, 2017
You are trying to load a table of an unknown type. Probably you did not activate the addon which is required to use this table type.
You are trying to load a table of an unknown type. Probably you did not activate the addon which is required to use this table type.
You are trying to load a table of an unknown type. Probably you did not activate the addon which is required to use this table type.
[wpfd_category id=’126′]
Disclaimer
All investments in Mutual Funds are subject to market risks. The NAV of units may go up or down based on the market conditions. Past performance is not necessarily indicative of future results. The investors are advised in their own interest to carefully read the Offering Document in particular the investment policies in Clause 2.2 and risk disclosures and warning statements in contained in Clause 2.11 and part 11 in the respective Offering Documents.