Aditya Birla SL Credit Risk Fund

Ticker: mf13103
Risky 48/100

☆ Add to Watchlist

More Options

Business Overview

The Aditya Birla SL Credit Risk Fund is designed for investors seeking to enhance their fixed income portfolio with a focus on credit risk. This fund primarily invests in high-quality corporate bonds, aiming for better returns while managing risk effectively. Ideal for those looking to diversify their investments and achieve stable income, it plays a crucial role in navigating the complexities of the credit market. With a strong track record and expert management, this fund is a reliable choice for prudent investors.

  • Focuses on high-quality corporate bonds
  • Aims for better returns through credit risk exposure
  • Ideal for diversifying fixed income portfolios
  • Expert management with a strong track record
  • Helps navigate credit market complexities

Investment Thesis

Aditya Birla SL Credit Risk Fund stands out due to its strong promoter credibility, backed by the reputable Aditya Birla Group. The fund is well-positioned to capitalize on the growing digital services sector, offering a significant growth runway. Additionally, its attractive valuation compared to peers makes it a compelling investment choice for retail investors.

  • Strong backing from the Aditya Birla Group enhances credibility.
  • Significant growth potential in digital services sector.
  • Attractive valuation compared to industry peers.
  • Diversified portfolio reduces risk exposure.
  • Consistent performance track record instills investor confidence.

Opportunity vs Risk

Opportunities
  • Strong historical performance
  • Diversified investment portfolio
  • Potential for steady income
  • Expert fund management
Risks ⚠️
  • Market volatility impact
  • Credit risk exposure
  • Interest rate fluctuations
  • Liquidity concerns
📊 Stock Investment Checklist (100 Points)
Aditya Birla SL Credit Risk Fund • Updated: 2025-09-29 11:00:13
  • 8
    Business
    High
    The sector is evolving with a focus on credit risk management, but competition is increasing.
  • 10
    Growth
    High
    Moderate revenue growth observed, but profit consistency is lacking.
  • 10
    Profitability
    High
    ROE and ROCE are average, cash flow is inconsistent.
  • 9
    Valuation
    High
    Valuation metrics are slightly above peers, indicating potential overvaluation.
  • 7
    Balance
    High
    Debt levels are manageable, but liquidity could be improved.
  • 6
    Governance
    Good
    Promoter holding is stable, but there are concerns about transparency.
  • 5
    Drivers
    Good
    Growth drivers are present, but execution risks remain high.
  • 1
    Technicals
    Low
    Market sentiment is weak with low liquidity.
Final Score & Verdict
Score 48 / 100 • Risky
The fund shows potential but is hindered by inconsistent profitability and market sentiment, making it a risky investment.