AUM
10335.73 Cr
AMC Age
17 years
No. of Funds
25
Bank of India Mutual Fund is a wholly owned subsidiary of Bank of India (BOI), a public sector bank. As of September 30, 2024, the fund house's total assets under management (AUM) stood at Rs 10,994.37 crores.</br>The fund house has a history of nearly 15 years. It started in 2008 when Bharti AXA received a mutual fund license. In 2012, the state-run bank acquired a 51% stake in it, and in 2021, it acquired the remaining 49% stake to become the sole sponsor of this mutual fund.
Equity Sectoral / Thematic - Infra •
Fund Size
₹519.36 Cr
3-Yr Return
29.40%
Equity Sectoral / Thematic - Infra •
Fund Size
₹519.36 Cr
3-Yr Return
27.60%
Equity Small Cap •
Fund Size
₹1537.17 Cr
3-Yr Return
26.78%
Equity Flexi Cap •
Fund Size
₹1929.59 Cr
3-Yr Return
25.78%
Equity Small Cap •
Fund Size
₹1537.17 Cr
3-Yr Return
24.82%
The documents for KYC (Know Your Client) include proof of address and proof of identity. Here is a list of officially valid documents (OVD) admissible.
For any query regarding any schemes offered by 360 ONE Mutual Fund, please contact at the following address:
Bank of India Investment Managers Private Limited Equity Funds invest your money in Equity and Equity related instruments.
Equity Small Cap •
Fund Size
₹1537.17 Cr
3-Yr Return
26.78%
Equity Flexi Cap •
Fund Size
₹1929.59 Cr
3-Yr Return
25.78%
Equity Sectoral / Thematic - Infra •
Fund Size
₹519.36 Cr
3-Yr Return
27.60%
Equity Small Cap •
Fund Size
₹1537.17 Cr
3-Yr Return
24.82%
Equity Sectoral / Thematic - Infra •
Fund Size
₹519.36 Cr
3-Yr Return
29.40%
Equity Tax Saving •
Fund Size
₹1435.90 Cr
3-Yr Return
20.67%
Equity Large Cap •
Fund Size
₹192.46 Cr
3-Yr Return
18.27%
Equity Tax Saving •
Fund Size
₹1435.90 Cr
3-Yr Return
22.02%
Bank of India Investment Managers Private Limited Debt Funds invest in fixed income securities like government bonds, corporate bonds, and money market instruments.
Debt Arbitrage •
Fund Size
₹40.76 Cr
3-Yr Return
6.73%
Debt Short Term •
Fund Size
₹71.70 Cr
3-Yr Return
10.41%
Debt Short Term •
Fund Size
₹71.70 Cr
3-Yr Return
9.84%
Debt Liquid •
Fund Size
₹1848.06 Cr
3-Yr Return
7.09%
Debt Overnight •
Fund Size
₹105.54 Cr
3-Yr Return
6.51%
Debt Ultra Short •
Fund Size
₹174.32 Cr
3-Yr Return
6.47%
Debt Ultra Short •
Fund Size
₹174.32 Cr
3-Yr Return
6.94%
Debt Overnight •
Fund Size
₹105.54 Cr
3-Yr Return
6.54%
Debt Liquid •
Fund Size
₹1848.06 Cr
3-Yr Return
7.04%
Debt Credit Risk •
Fund Size
₹114.70 Cr
3-Yr Return
5.80%
Debt Credit Risk •
Fund Size
₹114.70 Cr
3-Yr Return
6.13%
Bank of India Investment Managers Private Limited Hybrid Funds invest in a mix of equity and debt instruments to provide balanced returns.
Hybrid Aggressive Hybrid •
Fund Size
₹1009.82 Cr
3-Yr Return
23.00%
Hybrid Conservative Hybrid •
Fund Size
₹66.46 Cr
3-Yr Return
8.14%
Hybrid Dynamic Asset Allocation Or Balanced Advantage •
Fund Size
₹135.02 Cr
3-Yr Return
11.86%
Hybrid Aggressive Hybrid •
Fund Size
₹1009.82 Cr
3-Yr Return
21.61%
Hybrid Conservative Hybrid •
Fund Size
₹66.46 Cr
3-Yr Return
8.89%
Hybrid Dynamic Asset Allocation Or Balanced Advantage •
Fund Size
₹135.02 Cr
3-Yr Return
12.98%
Bank of India Investment Managers Private Limited Debt Funds invest in fixed income securities like government bonds, corporate bonds, and money market instruments.
Bank of India Investment Managers Private Limited other Funds invest in categories not belonging to equity, debt, hybrid, or international equity.
Complete list of all mutual fund schemes offered by Bank of India Investment Managers Private Limited Asset Management.
Debt Arbitrage •
Fund Size
₹40.76 Cr
3-Yr Return
6.73%
Debt Short Term •
Fund Size
₹71.70 Cr
3-Yr Return
10.41%
Hybrid Aggressive Hybrid •
Fund Size
₹1009.82 Cr
3-Yr Return
23.00%
Equity Small Cap •
Fund Size
₹1537.17 Cr
3-Yr Return
26.78%
Equity Flexi Cap •
Fund Size
₹1929.59 Cr
3-Yr Return
25.78%
Hybrid Conservative Hybrid •
Fund Size
₹66.46 Cr
3-Yr Return
8.14%
Debt Short Term •
Fund Size
₹71.70 Cr
3-Yr Return
9.84%
Equity Sectoral / Thematic - Infra •
Fund Size
₹519.36 Cr
3-Yr Return
27.60%
Equity Small Cap •
Fund Size
₹1537.17 Cr
3-Yr Return
24.82%
Equity Sectoral / Thematic - Infra •
Fund Size
₹519.36 Cr
3-Yr Return
29.40%
Equity Tax Saving •
Fund Size
₹1435.90 Cr
3-Yr Return
20.67%
Debt Liquid •
Fund Size
₹1848.06 Cr
3-Yr Return
7.09%
Debt Overnight •
Fund Size
₹105.54 Cr
3-Yr Return
6.51%
Debt Ultra Short •
Fund Size
₹174.32 Cr
3-Yr Return
6.47%
Debt Ultra Short •
Fund Size
₹174.32 Cr
3-Yr Return
6.94%
Debt Overnight •
Fund Size
₹105.54 Cr
3-Yr Return
6.54%
Debt Liquid •
Fund Size
₹1848.06 Cr
3-Yr Return
7.04%
Debt Credit Risk •
Fund Size
₹114.70 Cr
3-Yr Return
5.80%
Hybrid Dynamic Asset Allocation Or Balanced Advantage •
Fund Size
₹135.02 Cr
3-Yr Return
11.86%
Hybrid Aggressive Hybrid •
Fund Size
₹1009.82 Cr
3-Yr Return
21.61%
Hybrid Conservative Hybrid •
Fund Size
₹66.46 Cr
3-Yr Return
8.89%
Equity Large Cap •
Fund Size
₹192.46 Cr
3-Yr Return
18.27%
Hybrid Dynamic Asset Allocation Or Balanced Advantage •
Fund Size
₹135.02 Cr
3-Yr Return
12.98%
Debt Credit Risk •
Fund Size
₹114.70 Cr
3-Yr Return
6.13%
Equity Tax Saving •
Fund Size
₹1435.90 Cr
3-Yr Return
22.02%