Close Menu
Fund Focus News
    Facebook X (Twitter) Instagram
    Trending
    • What Are Dual Currency Bonds? How They Work
    • Why XRP Price is Lagging Even After Strong ETF Inflows
    • Strategy Discipline, Costs, and Liquidity
    • Goldman pitches hedge funds on strategies to bet against corporate loans
    • Large-Cap Funds Show Greater Resilience Than Flexi-Caps in 18-Month Market Slump
    • My Prediction: Prediction Market ETFs Will Be a Huge Disappointment for Long-Term Investors
    • Nationwide Target Destination Funds Q4 2025 Commentary
    • Solana ETFs Builds ‘Serious Investor Base,’ Outpacing Bitcoin
    Facebook X (Twitter) Instagram
    Fund Focus News
    • Home
    • Bonds
    • ETFs
    • Funds
    • Investments
    • Mutual Funds
    • Property Investments
    • SIP
    Fund Focus News
    Home»Mutual Funds»Largest mutual fund bets on short-term government bonds despite supply tweak
    Mutual Funds

    Largest mutual fund bets on short-term government bonds despite supply tweak

    September 30, 2025


    India’s largest mutual fund in terms of assets under management is avoiding exposure to ultra-long duration debt despite New Delhi lowering its supply, and prefers 5-to-10 year government bonds and shorter tenor corporate notes, a top executive said.

    The government reduced the share of ultra-long 30-50 year bonds for the fiscal year’s second half, while raising the same for 5-year and 10-year bonds after suggestions across investor segments.

    “This (supply tweak) is a temporary fix,” said Rajeev Radhakrishnan, SBI Mutual Fund’s chief investment officer (fixed income), on Tuesday. The fund manages nearly ₹3 lakh crore of debt.

    Radhakrishnan sees the rise in long-term bond yields as a structural issue.

    The mismatch in supply and demand of long-term bonds was a result of multiple factors, including pension and insurance funds increasing equity allocations and taxation changes that hit debt flows into mutual funds and insurance products, he said.

    “Given the overall weak demand and the fact that we are possibly at the late stage of the rate cycle, we would not want to be structurally overweight on long-end duration and prefer being invested in the most liquid segment of the curve,” Radhakrishnan said.

    The veteran fund manager expects the central bank to hold rates steady on Wednesday, but does not rule out a 25-bps rate cut in December.

    Radhakrishnan sees 1-3 year corporate bonds as a sweet spot, pointing out good spreads with government bond yields, ample liquidity and an appropriate level of supply.

    Published on September 30, 2025



    Source link

    Share. Facebook Twitter Pinterest LinkedIn Tumblr Telegram Email

    Related Posts

    Strategy Discipline, Costs, and Liquidity

    March 9, 2026

    Large-Cap Funds Show Greater Resilience Than Flexi-Caps in 18-Month Market Slump

    March 9, 2026

    Equity Mutual Funds Jump, FDs Slide

    March 8, 2026
    Leave A Reply Cancel Reply

    Top Posts

    The Shifting Landscape of Art Investment and the Rise of Accessibility: The London Art Exchange

    September 11, 2023

    Charlie Cobham: The Art Broker Extraordinaire Maximizing Returns for High Net Worth Clients

    February 12, 2024

    Dragons’ Den star Steven Bartlett shares 2 key investments to make now

    March 5, 2026

    The Unyielding Resilience of the Art Market: A Historical and Contemporary Perspective

    November 19, 2023
    Don't Miss
    Bonds

    What Are Dual Currency Bonds? How They Work

    March 9, 2026

    Key Takeaways A dual currency bond features interest payments in one currency and the principal…

    Why XRP Price is Lagging Even After Strong ETF Inflows

    March 9, 2026

    Strategy Discipline, Costs, and Liquidity

    March 9, 2026

    Goldman pitches hedge funds on strategies to bet against corporate loans

    March 9, 2026
    Stay In Touch
    • Facebook
    • Twitter
    • Pinterest
    • Instagram
    • YouTube
    • Vimeo
    EDITOR'S PICK

    Diviniti Equity Long Short Fund: Inside the New SIF Strategy

    November 21, 2025

    Granite Quarry fundraiser shares funds with Bat Cave, NC – Salisbury Post

    October 12, 2024

    Shrinking JSE means growing problems for your investments

    July 14, 2025
    Our Picks

    What Are Dual Currency Bonds? How They Work

    March 9, 2026

    Why XRP Price is Lagging Even After Strong ETF Inflows

    March 9, 2026

    Strategy Discipline, Costs, and Liquidity

    March 9, 2026
    Most Popular

    🔥Juve target Chukwuemeka, Inter raise funds, Elmas bid in play 🤑

    August 20, 2025

    💵 Libra responds after Flamengo takes legal action and ‘freezes’ funds

    September 26, 2025

    ₹10,000 monthly SIP in this mutual fund has grown to ₹1.52 crore in 22 years

    September 17, 2025
    © 2026 Fund Focus News
    • Get In Touch
    • Privacy Policy
    • Terms and Conditions

    Type above and press Enter to search. Press Esc to cancel.