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DSP BlackRock Mutual Fund
                                                 Fixed Income Schemes
                                                 Performance Snapshot
                                                                                         February 28, 2010


                                   DSP BLACKROCK LIQUIDITY FUND                                                                           DSP BLACKROCK FLOATING RATE FUND
                                                          CRISIL                                  CRISIL                                                        CRISIL                    CRISIL
                                                                                                                                                 DSPBRFRF -               DSPBRFRF -
                                    DSPBRLF -            LIQUID           DSPBRLF -              LIQUID                    PERIOD                           LIQUID FUND               LIQUID FUND
          PERIOD                                                                                                                                  REGULAR               INSTITUTIONAL
                                    REGULAR               FUND          INSTITUTIONAL             FUND                                                         INDEX^                    INDEX^
                                                         INDEX^                                  INDEX^      Last 1 Year                           5.79%        5.84%       6.09%         5.84%
Last 7 days                           0.15%              0.15%               0.16%                0.15%      Last 3 Years                          6.59%          6.22%              6.87%               6.22%
Last 15 days                          0.37%              0.37%               0.38%                0.37%      Last 5 Years                          6.22%          6.46%              6.54%               6.46%
Last 30 days                          0.61%              0.61%               0.62%                0.61%      Since Inception                       5.86%          5.69%              6.49%               6.35%
                                                                                                             NAV / Index Value (Feb 28,
Last 1 Year                           5.96%              5.84%               6.23%                5.84%                                           ` 15.5995      1,645.33         ` 1,401.1513         1,645.33
                                                                                                             2011)
Last 3 Years                          5.94%              6.22%               6.20%                6.22%      Date of allotment                        13th May, 2003                    18th October, 2005
Last 5 Years                          6.27%              6.46%               6.52%                6.46%
Since Inception                       6.67%                NA#               6.51%                6.39%                                    DSP BLACKROCK SHORT TERM FUND
NAV / Index Value (Feb 28, 2011)     ` 23.1067        1,645.33            ` 1393.8477            1,645.33                                                                               CRISIL LIQUID
                                                                                                                           PERIOD                         DSPBRSTF
Date of allotment                       11th March, 1998                     23rd November, 2005                                                                                         FUND INDEX^
                                                                                                             Last 1 Year                                     5.84%                          5.84%
                                                                                                             Last 3 Years                                    6.27%                          6.22%
                             DSP BLACKROCK MONEY MANAGER FUND                                                Last 5 Years                                    6.51%                          6.46%
                                                CRISIL                    CRISIL                             Since Inception                                 6.17%                          5.67%
                                 DSPBRMMF -              DSPBRMMF -
           PERIOD                           LIQUID FUND               LIQUID FUND                            NAV / Index Value (Feb 28, 2011)              ` 16.6061                       1,645.33
                                  REGULAR               INSTITUTIONAL
                                               INDEX^                    INDEX^
                                                                                                             Date of allotment                                       9th September, 2002
Last 1 Year                         5.78%       5.84%        6.06%        5.84%
Last 3 Year                            6.15%               6.22%              6.47%               6.22%
Since Inception                        6.52%               6.47%              6.87%               6.47%                                   DSP BLACKROCK STRATEGIC BOND FUND

NAV / Index Value (Feb 28, 2011)     ` 1335.9582         1,645.33          ` 1355.9069           1,645.33                                                          CRISIL                  CRISIL
                                                                                                                                                                            DSPBRSBF -
                                                                                                                                                DSPBRSBF -      COMPOSITE               COMPOSITE
Date of allotment                                                31st July, 2006                                       PERIOD                                             INSTITUTIONAL
                                                                                                                                                 REGULAR        BOND FUND               BOND FUND
                                                                                                                                                                                ~
                                                                                                                                                                  INDEX^                  INDEX^
                                     DSP BLACKROCK BOND FUND                                                 Last 1 year                          4.56%           4.99%              5.09%              4.99%
                                                                           CRISIL COMPOSITE BOND             Last 3 year                          5.12%           5.64%                 --                   --
           PERIOD                              DSPBRBF
                                                                                 FUND INDEX^
                                                                                                             Since Inception                      5.62%           6.44%              5.21%              7.06%
Last 1 Year                                      3.83%                              4.99%
Last 3 Years                                     5.73%                                 5.64%                 NAV / Index Value (Feb 28, 2011) ` 1,231.5595       1,653.11         ` 1,123.6335         1,653.11
Last 5 Years                                     5.67%                                 5.74%                 Date of allotment                                          9th May, 2007
Since Inception                                  8.61%                                   NA#
NAV / Index Value (Feb 28, 2011)               ` 31.3635                              1,653.11
                                                                                                                                           DSP BLACKROCK TREASURY BILL FUND
Date of allotment                                                29th April, 1997
                                                                                                                                                              SHORT ICICI SECURITIES SOVEREIGN
                                                                                                                           PERIOD                DSPBRTBF
                                                                                                                                                                      BOND FUND INDEX^
                      DSP BLACKROCK GOVERNMENT SECURITIES FUND                                               Last 1 Year                           4.61%                    4.53%
                                                    LONG ICICI SECURITIES                                    Last 3 Years                            4.29%                                7.66%
          PERIOD                  DSPBRGF
                                                 SOVEREIGN BOND FUND INDEX^
                                                                                                             Last 5 Years                            4.96%                                7.63%
Last 1 Year                         5.22%                    7.11%
                                                                                                             Since Inception                         6.40%                                8.07%
Last 3 Years                                9.54%                                     7.24%
                                                                                                             NAV / Index Value (Feb 28, 2011)       ` 20.3048                           3,896.98
Last 5 Years                                8.35%                                     7.55%
                                                                                                             Date of allotment                                          30th Sept. 1999
Since Inception                            11.10%                                   11.90%
NAV / Index Value (Feb 28,
                                          ` 33.2861                                 6,774.08
2011)
Date of allotment                                            30th Sept. 1999                                ^Benchmark. Returns < 1 year are absolute returns. “Since inception” returns are calculated on ` 10/-
                                                                                                            invested at inception, viz. date of allotment. All returns are for Growth Option. #Since historical data
                                                                                                            for the benchmark is not available, performance has not been compared. ~’Since inception’ returns
                                                                                                            for DSPBRSBF have been calculated from Nov 12, 2008 as there were no investors in this plan for a
                                                                                                            significiant period before this date. Past performance may or may not be sustained in future and
                                                                                                            should not be used as a basis for comparison with other investments.
DSP BlackRock Liquidity Fund (DSPBRLF) is an open ended income Scheme, seeking to generate a reasonable return commensurate with low risk and a high degree of liquidity, from a portfolio constituted
of money market securities and high quality debt securities. ASSET ALLOCATION: Money market securities and/or Debt securities* with maturity of 91 days – 80% - 100%; (*Debt securities may include
securitised debts upto 30% of the net assets.) DSP BlackRock Floating Rate Fund (DSPBRFRF) is an open ended Income Scheme, seeking to generate interest income through investments in acceptable
floating rate assets commensurate with the credit risk. The Scheme may also invest in fixed rate debt securities. ASSET ALLOCATION: Floating rate debt securities* or money market securities: 65% to 100%;
Fixed rate debt securities: 0% to 35% (*Debt securities may include securitized debts upto 60% of the net assets). DSP BlackRock Money Manager Fund (DSPBRMMF) is an open ended income Scheme,
seeking to generate reasonable returns commensurate with low risk and a high degree of liquidity, from a portfolio constituted of money market securities and high quality debt securities. ASSET ALLOCATION
Money market securities and/or debt securities which at the time of purchase have residual or average maturity of less than or equal to 367 days or have put options within a period not exceeding 367 days:
65%-100%; Debt securities, which, at the time of purchase have residual or average maturity of more than 367 days: 0%-50% (Debt securities may include securitised debts up to 75% of net assets). DSP
BlackRock Short Term Fund (DSPBRSTF) is an open ended income Scheme, seeking to generate income commensurate with prudent risk, from a portfolio constituted of money market securities, floating
rate debt securities and debt securities. ASSET ALLOCATION: Money market securities, floating rate debt securities whose coupon(s) are reset at least once a year, fixed rate debt securities having an average
or residual maturity <= 367 days or having put options within a period not exceeding 367 days: 50%-100% (Floating rate debt securities will include fixed rate debt securities swapped for floating rate returns by
using derivatives); Fixed rate debt securities having a residual or average maturity > 367 days and floating rate debt securities where the next reset date is more than 367 days from the date of purchase: 0%-
50% (Debt securities may include securitised debts up to 60% of the net assets). DSP BlackRock Bond fund (DSPBRBF) is an open ended income Scheme, seeking to generate an attractive return, consistent
with prudent risk, from a portfolio which is substantially constituted of high quality debt securities, predominantly of issuers domiciled in India. As a secondary objective, the Scheme will seek capital appreciation.
ASSET ALLOCATION: Debt & money market securities: 100% (Debt securities may include securitised debts upto 50% of net assets). DSP BlackRock Strategic Bond Fund (DSPBRSBF) is an open
ended income Scheme, seeking to generate optimal returns with high liquidity through active management of the portfolio by investing in high quality debt and money market securities. ASSET ALLOCATION
Money market securities and/or Debt securities with residual or average maturity of less than or equal to 367 days or put options within a period not exceeding 367 days: 0% - 100%; Debt securities which have
residual or average maturity of more than 367 days: 0% - 100% (Debt Instruments may include securitised debts up to 75% of the net assets). DSP BlackRock Government Securities Fund (DSPBRGF)
is an open ended income Scheme, seeking to generate income through investment in Central Government Securities of various maturities. ASSET ALLOCATION: Central Government Securities, repos /
reverse repos in Central Government Securities as may be permitted by Reserve Bank of India : 80% - 100% ; Call money market or alternative investment for call money market as may be provided by the
Reserve Bank of India : 0% - 20%. DSP BlackRock Treasury Bill Fund (DSPBRTBF) is an open ended income Scheme, seeking to generate income through investment in Treasury Bills and other Central
Government Securities having maturities of less than or equal to 1 year. ASSET ALLOCATION: Treasury Bills issued by the Government of India, Repo, Reverse Repo, CBLO, and any other money market
instrument permitted by the RBI for deploying surplus liquidity: 0% - 100%. Common Features: SIP only in Regular Plan, SWP & STP available in each plan of the scheme. Nomination facility available, subject
to applicable conditions as per the Statement of Additional Information (SAI) and Scheme Information Document (SID). Declaration of NAV on all Business Days. Sale and redemption of Units on all Business
Days at Purchase Price and Redemption Price. Switching facility subject to prevailing terms of the relevant schemes. SWP and STP facilities available in each plan of all the schemes. Entry Load – NIL.
Declaration of NAV on all Business Days for DSPBRLF, DSPBRMMF, DSPBRFRF, DSPBRSTF, DSPBRSBF, DSPBRBF, DSPBRGF, DSPBRTBF, Redemption normally within 1 Business Day for DSPBRLF
and DSPBRSTF, and; 2 Business Days for DSPBRFRF,DSPBRGF and DSPBRTBF; 3 Business Days for DSPBRMMF, DSPBRSBF and DSPBRBF. Specific Features: Minimum investment – DSPBRBF,
DSPBRSTF, DSPBRGF, DSPBRTBF, DSPBRFRF – Regular Plan, DSPBRMMF – Regular Plan, DSPBRLF – Regular Plan and DSPBRSBF – Regular Plan – Rs. 5,000; DSPBRFRF – Institutional Plan,
DSPBRMMF – Institutional Plan, DSPBRLF – Institutional Plan and DSPBRSBF – Institutional Plan – Rs. 1 crore. Exit Load:. DSPBRSBF, DSPBRBF and DSPBRGF - 0.10% for holding period <= 7 calendar
days; Holding period > 7 days: Nil. Exit Load for DSPBRLF, DSPBRMMF, DSPBRFRF, DSPBRTBF and DSPBRSTF – Nil. Common Features: SIP only in Regular Plan, SWP & STP available in each plan
of the scheme. Nomination facility available, subject to applicable conditions as per the Statement of Additional Information (SAI) and Scheme Information Document (SID). Declaration of NAV on all Business
Days. DSPBREF, DSPBRTEF, DSPBROF, DSPBRITF, DSPBRSMF, DSPBRTF and DSPBRNRNEF: - Redemption normally within 3 Business Days, Minimum investment: Rs. 5,000/- (Reg. Plan)/Rs. 1 crore
(Inst. Plan). Entry load: NIL. Exit load: Holding Period < 12 months: 1%, Holding Period >= 12 months: NIL. (Exit Load for DSPBRMCF: For holding period from the date of allotment: < 24 months: 1.00%; >=
24 months: Nil). Statutory Details: DSP BlackRock Mutual Fund was set up as a Trust and the settlors/sponsors are DSP ADIKO Holdings Pvt. Ltd. & DSP HMK Holdings Pvt. Ltd. (collectively) and BlackRock
Inc. (Combined liability restricted to Rs. 1 lakh). Trustee: DSP BlackRock Trustee Company Pvt. Ltd. Investment Manager: DSP BlackRock Investment Managers Pvt. Ltd. Risk Factors: Mutual funds, like
securities investments, are subject to market and other risks and there can be no assurance that the Scheme’s objectives will be achieved. As with any investment in securities, the NAV of Units
issued under the Scheme can go up or down depending on the factors and forces affecting capital markets. Past performance of the sponsor/AMC/mutual fund does not indicate the future performance
of the Scheme. Investors in the Scheme are not being offered a guaranteed or assured rate of return. Each Scheme/Plan is required to have (i) minimum 20 investors and (ii) no single investor holding>25%
of corpus. If the aforesaid point (i) is not fulfilled within the prescribed time, the Scheme/Plan concerned will be wound up and in case of breach of the aforesaid point (ii) at the end of the prescribed period, the
investor’s holding in excess of 25% of the corpus will be redeemed as per SEBI guidelines. The names of the Schemes do not in any manner indicate the quality of the Schemes, their future prospects
or returns. For scheme specific risk factors, please refer the Scheme Information Document (SID). For more details, please refer the Key Information Memorandum cum Application Forms, which are
available on the website, www.dspblackrock.com, and at the ISCs/Distributors. Please read the Scheme Information Document and Statement of Additional Information carefully before investing.

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Fixed Income Schemes Performance Snapshot

  • 1. DSP BlackRock Mutual Fund Fixed Income Schemes Performance Snapshot February 28, 2010 DSP BLACKROCK LIQUIDITY FUND DSP BLACKROCK FLOATING RATE FUND CRISIL CRISIL CRISIL CRISIL DSPBRFRF - DSPBRFRF - DSPBRLF - LIQUID DSPBRLF - LIQUID PERIOD LIQUID FUND LIQUID FUND PERIOD REGULAR INSTITUTIONAL REGULAR FUND INSTITUTIONAL FUND INDEX^ INDEX^ INDEX^ INDEX^ Last 1 Year 5.79% 5.84% 6.09% 5.84% Last 7 days 0.15% 0.15% 0.16% 0.15% Last 3 Years 6.59% 6.22% 6.87% 6.22% Last 15 days 0.37% 0.37% 0.38% 0.37% Last 5 Years 6.22% 6.46% 6.54% 6.46% Last 30 days 0.61% 0.61% 0.62% 0.61% Since Inception 5.86% 5.69% 6.49% 6.35% NAV / Index Value (Feb 28, Last 1 Year 5.96% 5.84% 6.23% 5.84% ` 15.5995 1,645.33 ` 1,401.1513 1,645.33 2011) Last 3 Years 5.94% 6.22% 6.20% 6.22% Date of allotment 13th May, 2003 18th October, 2005 Last 5 Years 6.27% 6.46% 6.52% 6.46% Since Inception 6.67% NA# 6.51% 6.39% DSP BLACKROCK SHORT TERM FUND NAV / Index Value (Feb 28, 2011) ` 23.1067 1,645.33 ` 1393.8477 1,645.33 CRISIL LIQUID PERIOD DSPBRSTF Date of allotment 11th March, 1998 23rd November, 2005 FUND INDEX^ Last 1 Year 5.84% 5.84% Last 3 Years 6.27% 6.22% DSP BLACKROCK MONEY MANAGER FUND Last 5 Years 6.51% 6.46% CRISIL CRISIL Since Inception 6.17% 5.67% DSPBRMMF - DSPBRMMF - PERIOD LIQUID FUND LIQUID FUND NAV / Index Value (Feb 28, 2011) ` 16.6061 1,645.33 REGULAR INSTITUTIONAL INDEX^ INDEX^ Date of allotment 9th September, 2002 Last 1 Year 5.78% 5.84% 6.06% 5.84% Last 3 Year 6.15% 6.22% 6.47% 6.22% Since Inception 6.52% 6.47% 6.87% 6.47% DSP BLACKROCK STRATEGIC BOND FUND NAV / Index Value (Feb 28, 2011) ` 1335.9582 1,645.33 ` 1355.9069 1,645.33 CRISIL CRISIL DSPBRSBF - DSPBRSBF - COMPOSITE COMPOSITE Date of allotment 31st July, 2006 PERIOD INSTITUTIONAL REGULAR BOND FUND BOND FUND ~ INDEX^ INDEX^ DSP BLACKROCK BOND FUND Last 1 year 4.56% 4.99% 5.09% 4.99% CRISIL COMPOSITE BOND Last 3 year 5.12% 5.64% -- -- PERIOD DSPBRBF FUND INDEX^ Since Inception 5.62% 6.44% 5.21% 7.06% Last 1 Year 3.83% 4.99% Last 3 Years 5.73% 5.64% NAV / Index Value (Feb 28, 2011) ` 1,231.5595 1,653.11 ` 1,123.6335 1,653.11 Last 5 Years 5.67% 5.74% Date of allotment 9th May, 2007 Since Inception 8.61% NA# NAV / Index Value (Feb 28, 2011) ` 31.3635 1,653.11 DSP BLACKROCK TREASURY BILL FUND Date of allotment 29th April, 1997 SHORT ICICI SECURITIES SOVEREIGN PERIOD DSPBRTBF BOND FUND INDEX^ DSP BLACKROCK GOVERNMENT SECURITIES FUND Last 1 Year 4.61% 4.53% LONG ICICI SECURITIES Last 3 Years 4.29% 7.66% PERIOD DSPBRGF SOVEREIGN BOND FUND INDEX^ Last 5 Years 4.96% 7.63% Last 1 Year 5.22% 7.11% Since Inception 6.40% 8.07% Last 3 Years 9.54% 7.24% NAV / Index Value (Feb 28, 2011) ` 20.3048 3,896.98 Last 5 Years 8.35% 7.55% Date of allotment 30th Sept. 1999 Since Inception 11.10% 11.90% NAV / Index Value (Feb 28, ` 33.2861 6,774.08 2011) Date of allotment 30th Sept. 1999 ^Benchmark. Returns < 1 year are absolute returns. “Since inception” returns are calculated on ` 10/- invested at inception, viz. date of allotment. All returns are for Growth Option. #Since historical data for the benchmark is not available, performance has not been compared. ~’Since inception’ returns for DSPBRSBF have been calculated from Nov 12, 2008 as there were no investors in this plan for a significiant period before this date. Past performance may or may not be sustained in future and should not be used as a basis for comparison with other investments.
  • 2. DSP BlackRock Liquidity Fund (DSPBRLF) is an open ended income Scheme, seeking to generate a reasonable return commensurate with low risk and a high degree of liquidity, from a portfolio constituted of money market securities and high quality debt securities. ASSET ALLOCATION: Money market securities and/or Debt securities* with maturity of 91 days – 80% - 100%; (*Debt securities may include securitised debts upto 30% of the net assets.) DSP BlackRock Floating Rate Fund (DSPBRFRF) is an open ended Income Scheme, seeking to generate interest income through investments in acceptable floating rate assets commensurate with the credit risk. The Scheme may also invest in fixed rate debt securities. ASSET ALLOCATION: Floating rate debt securities* or money market securities: 65% to 100%; Fixed rate debt securities: 0% to 35% (*Debt securities may include securitized debts upto 60% of the net assets). DSP BlackRock Money Manager Fund (DSPBRMMF) is an open ended income Scheme, seeking to generate reasonable returns commensurate with low risk and a high degree of liquidity, from a portfolio constituted of money market securities and high quality debt securities. ASSET ALLOCATION Money market securities and/or debt securities which at the time of purchase have residual or average maturity of less than or equal to 367 days or have put options within a period not exceeding 367 days: 65%-100%; Debt securities, which, at the time of purchase have residual or average maturity of more than 367 days: 0%-50% (Debt securities may include securitised debts up to 75% of net assets). DSP BlackRock Short Term Fund (DSPBRSTF) is an open ended income Scheme, seeking to generate income commensurate with prudent risk, from a portfolio constituted of money market securities, floating rate debt securities and debt securities. ASSET ALLOCATION: Money market securities, floating rate debt securities whose coupon(s) are reset at least once a year, fixed rate debt securities having an average or residual maturity <= 367 days or having put options within a period not exceeding 367 days: 50%-100% (Floating rate debt securities will include fixed rate debt securities swapped for floating rate returns by using derivatives); Fixed rate debt securities having a residual or average maturity > 367 days and floating rate debt securities where the next reset date is more than 367 days from the date of purchase: 0%- 50% (Debt securities may include securitised debts up to 60% of the net assets). DSP BlackRock Bond fund (DSPBRBF) is an open ended income Scheme, seeking to generate an attractive return, consistent with prudent risk, from a portfolio which is substantially constituted of high quality debt securities, predominantly of issuers domiciled in India. As a secondary objective, the Scheme will seek capital appreciation. ASSET ALLOCATION: Debt & money market securities: 100% (Debt securities may include securitised debts upto 50% of net assets). DSP BlackRock Strategic Bond Fund (DSPBRSBF) is an open ended income Scheme, seeking to generate optimal returns with high liquidity through active management of the portfolio by investing in high quality debt and money market securities. ASSET ALLOCATION Money market securities and/or Debt securities with residual or average maturity of less than or equal to 367 days or put options within a period not exceeding 367 days: 0% - 100%; Debt securities which have residual or average maturity of more than 367 days: 0% - 100% (Debt Instruments may include securitised debts up to 75% of the net assets). DSP BlackRock Government Securities Fund (DSPBRGF) is an open ended income Scheme, seeking to generate income through investment in Central Government Securities of various maturities. ASSET ALLOCATION: Central Government Securities, repos / reverse repos in Central Government Securities as may be permitted by Reserve Bank of India : 80% - 100% ; Call money market or alternative investment for call money market as may be provided by the Reserve Bank of India : 0% - 20%. DSP BlackRock Treasury Bill Fund (DSPBRTBF) is an open ended income Scheme, seeking to generate income through investment in Treasury Bills and other Central Government Securities having maturities of less than or equal to 1 year. ASSET ALLOCATION: Treasury Bills issued by the Government of India, Repo, Reverse Repo, CBLO, and any other money market instrument permitted by the RBI for deploying surplus liquidity: 0% - 100%. Common Features: SIP only in Regular Plan, SWP & STP available in each plan of the scheme. Nomination facility available, subject to applicable conditions as per the Statement of Additional Information (SAI) and Scheme Information Document (SID). Declaration of NAV on all Business Days. Sale and redemption of Units on all Business Days at Purchase Price and Redemption Price. Switching facility subject to prevailing terms of the relevant schemes. SWP and STP facilities available in each plan of all the schemes. Entry Load – NIL. Declaration of NAV on all Business Days for DSPBRLF, DSPBRMMF, DSPBRFRF, DSPBRSTF, DSPBRSBF, DSPBRBF, DSPBRGF, DSPBRTBF, Redemption normally within 1 Business Day for DSPBRLF and DSPBRSTF, and; 2 Business Days for DSPBRFRF,DSPBRGF and DSPBRTBF; 3 Business Days for DSPBRMMF, DSPBRSBF and DSPBRBF. Specific Features: Minimum investment – DSPBRBF, DSPBRSTF, DSPBRGF, DSPBRTBF, DSPBRFRF – Regular Plan, DSPBRMMF – Regular Plan, DSPBRLF – Regular Plan and DSPBRSBF – Regular Plan – Rs. 5,000; DSPBRFRF – Institutional Plan, DSPBRMMF – Institutional Plan, DSPBRLF – Institutional Plan and DSPBRSBF – Institutional Plan – Rs. 1 crore. Exit Load:. DSPBRSBF, DSPBRBF and DSPBRGF - 0.10% for holding period <= 7 calendar days; Holding period > 7 days: Nil. Exit Load for DSPBRLF, DSPBRMMF, DSPBRFRF, DSPBRTBF and DSPBRSTF – Nil. Common Features: SIP only in Regular Plan, SWP & STP available in each plan of the scheme. Nomination facility available, subject to applicable conditions as per the Statement of Additional Information (SAI) and Scheme Information Document (SID). Declaration of NAV on all Business Days. DSPBREF, DSPBRTEF, DSPBROF, DSPBRITF, DSPBRSMF, DSPBRTF and DSPBRNRNEF: - Redemption normally within 3 Business Days, Minimum investment: Rs. 5,000/- (Reg. Plan)/Rs. 1 crore (Inst. Plan). Entry load: NIL. Exit load: Holding Period < 12 months: 1%, Holding Period >= 12 months: NIL. (Exit Load for DSPBRMCF: For holding period from the date of allotment: < 24 months: 1.00%; >= 24 months: Nil). Statutory Details: DSP BlackRock Mutual Fund was set up as a Trust and the settlors/sponsors are DSP ADIKO Holdings Pvt. Ltd. & DSP HMK Holdings Pvt. Ltd. (collectively) and BlackRock Inc. (Combined liability restricted to Rs. 1 lakh). Trustee: DSP BlackRock Trustee Company Pvt. Ltd. Investment Manager: DSP BlackRock Investment Managers Pvt. Ltd. Risk Factors: Mutual funds, like securities investments, are subject to market and other risks and there can be no assurance that the Scheme’s objectives will be achieved. As with any investment in securities, the NAV of Units issued under the Scheme can go up or down depending on the factors and forces affecting capital markets. Past performance of the sponsor/AMC/mutual fund does not indicate the future performance of the Scheme. Investors in the Scheme are not being offered a guaranteed or assured rate of return. Each Scheme/Plan is required to have (i) minimum 20 investors and (ii) no single investor holding>25% of corpus. If the aforesaid point (i) is not fulfilled within the prescribed time, the Scheme/Plan concerned will be wound up and in case of breach of the aforesaid point (ii) at the end of the prescribed period, the investor’s holding in excess of 25% of the corpus will be redeemed as per SEBI guidelines. The names of the Schemes do not in any manner indicate the quality of the Schemes, their future prospects or returns. For scheme specific risk factors, please refer the Scheme Information Document (SID). For more details, please refer the Key Information Memorandum cum Application Forms, which are available on the website, www.dspblackrock.com, and at the ISCs/Distributors. Please read the Scheme Information Document and Statement of Additional Information carefully before investing.