Purpose – The purpose of this study is to analyse the performance of selected debt mutual fund schemes according to
the terms of risk and return relationship, using simple statistical tools which can be easily understood by the investors.
Originality – This study tells us about the annual returns of selected two debt mutual fund schemes of 4 companies which will
help the investor to understand which particular company is best in the scheme selected for investment. Also, it will guide them
to invest in these mutual fund schemes taking into consideration the average maturity, yield to maturity factors.
Research Design - This descriptive research analysis has been carried out on the basis of secondary data where the facts were
already available and on the basis of these facts the analysis has been done. The data has been collected from the annual reports
of the company and internet. The tools and parameters used are total returns, average maturity, yield to maturity and Sharpe’s
ratio.