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Since 1st March, 1999
 
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MUTUAL FUND
FUND EQUITY:
DIVERSIFIED
NAV Change RETURNS Size
3-Month 1-Year 3-Year Lifetime
ABN AMRO Opportunities 26.93 0.56 13.85 52.42 - 48.03 383.22
AIG India Equity Regular 10.97 0.38 - - - 5.89 1143.84
Birla Advantage 147.72 3.97 10.54 30.72 41.33 25.47 501.26
Birla Dividend Yield Plus 49.25 0.88 6.10 20.80 28.72 40.73 351.35
Birla Infrastructure 15.76 0.35 19.00 48.46 - 31.84 473.09
Birla Mid Cap 84.22 1.37 17.00 47.71 49.73 53.06 456.81
Birla Sun Life Equity 232.25 5.36 14.83 47.84 54.01 41.11 1003.11
Birla Top 100 18.56 0.5 10.36 26.51 - 34.94 431.36
DSPML Equity Fund 49.86 0.8 13.06 46.67 54.01 29.14 915.41
DSPML Opportunities 66.75 1.96 11.63 32.92 45.85 28.53 1462.09
DSPML Small And Mid Cap Reg 12.21 0.2 8.01 - - 20.04 1346.49
DSPML T.I.G.E.R. Reg 43.07 1.26 16.48 51.77 54.63 53.91 2241.73
DSPML Top 100 Equity Reg 70.38 1.42 11.14 38.72 45.47 52.50 469.81
Fidelity Equity 25.77 0.59 9.57 40.51 - 46.54 3248.34
Fidelity India Special Situations 15.05 0.36 9.38 33.87 - 31.67 2148.68
Fidelity Internation Opportunities 10.63 0.3 3.20 - - 3.35 1633.69
Franklin India Bluechip 156.87 4.88 12.54 31.45 41.44 29.70 2522.13
Franklin India Flexi Cap 25.08 0.65 11.52 28.86 - 40.90 3435.69
Frank India High Grow Com Fund 10.63 0.24 - - - 3.83 1593.55
Franklin India Opportunities 30.99 0.59 11.80 35.52 49.43 43.15 910.90
Franklin India Prima 240.42 2.67 10.52 30.66 41.68 25.79 1507.24
Franklin India Prima Plus 168.60 4.84 10.53 39.32 45.86 24.03 1432.67
HDFC Capital Builder 80.56 1.18 13.88 41.40 42.62 16.40 683.26
HDFC Core & Satellite 29.44 0.64 11.07 23.91 - 41.91 581.46
HDFC Equity 176.39 3.65 8.60 30.04 46.66 25.06 4656.35
HDFC Growth Fund 61.86 1.76 14.08 42.62 46.05 28.69 623.69
HDFC Premier Multi-Cap 21.69 0.57 9.28 29.03 - 34.93 669.40
HDFC Top 200 133.83 3.89 11.74 31.01 45.43 28.52 2070.91
HSBC Advantage India 15.17 0.31 12.98 35.25 - 27.32 905.39
HSBC Equity 84.17 2.53 11.67 32.30 39.21 54.95 973.57
HSBC India Opportunities 32.40 0.68 5.66 31.85 42.05 37.83 688.23
ICICI Prudential Discovery 29.26 0.55 4.06 10.00 40.83 39.96 691.28
ICICI Prudential Dynamic 74.60 1.9 5.86 32.52 53.41 49.65 2424.67
ICICI Prudential Emerging STAR 33.89 0.55 7.86 41.87 - 50.34 1105.45
ICICI Prudential Growth 109.89 3.74 10.31 28.39 44.26 29.08 468.02
ICICI Prudential Infrastructure 24.58 0.57 18.92 51.96 - 52.04 2205.44
ICICI Prudential Power 94.80 3.09 5.94 29.37 45.64 18.51 1479.15
ICICI Prud Services Industries 18.04 0.43 4.57 51.29 - 36.17 755.17
JM Basic 28.87 0.49 24.13 77.81 - 54.98 448.47
JPMorgan India Equity 11.53 0.37 12.29 - - 11.57 950.07
Kotak 30 82.75 2.66 11.90 33.93 45.64 31.33 467.27
Magnum COMMA 20.32 0.57 19.99 37.82 - 37.22 435.30
Magnum Contra 46.63 1.15 12.77 39.00 60.74 34.63 1970.44
Magnum Global 50.37 0.9 10.47 41.38 61.63 17.04 1626.95
Magnum Midcap 27.79 0.61 15.76 46.76 - 49.01 426.77
Magnum MultiCap 17.98 0.55 11.80 26.03 - 31.92 1026.41
Magnum Multiplier Plus 67.60 1.44 17.60 47.35 60.44 17.05 856.54
Reliance Equity 13.85 0.31 10.89 27.98 - 21.84 3348.69
Reliance Equity Adva Fund Retail 10.34 0.3 - - - .40 2645.14
Reliance Equity Opportunities 24.36 0.46 6.54 29.81 - 41.05 2512.57
Reliance Growth 332.71 5.81 11.45 44.24 55.47 33.86 4092.10
Reliance Vision 224.44 5.12 11.38 38.02 48.36 29.47 3491.60
SBI Bluechip 13.19 0.4 8.48 19.31 - 15.98 1510.38
Stan Chartered Classic Equity 19.33 0.62 13.99 36.93 - 33.30 364.73
Stan Chartered Premier Equity 18.88 0.42 16.22 65.04 - 36.31 365.85
Sund BNP Pari CAPEX Opp.-D 21.50 0.42 22.21 54.40 - 49.30 426.30
Sund BNP Paribas Rural India 13.71 0.31 14.50 25.39 - 22.98 538.17
Sund BNP Paribas Select Focus 74.05 2.68 16.49 37.73 45.15 46.25 340.28
Sund BNP Pari Select Midcap 107.06 1.92 11.61 30.03 55.77 57.63 2015.64
Tata Equity Opportunities 71.85 1.51 11.48 40.08 46.70 64.78 475.51
Tata Infrastructure 31.02 0.78 19.01 49.27 - 49.77 1647.28
Tata Pure Equity 74.81 1.99 12.01 34.61 44.16 34.39 330.44
Templeton India Equity Income 14.74 0.46 8.30 39.00 - 28.72 1600.86
UTI Contra 10.54 0.25 6.96 8.43 - 1.93 389.67
UTI Dividend Yield 19.54 0.48 11.33 28.35 - 31.16 674.97
UTI Equity 37.85 1.03 8.42 22.37 33.94 12.26 1635.45
UTI Infrastructure 35.88 0.98 16.88 48.26 56.29 47.50 1258.97
UTI Leadership Equity 14.82 0.47 13.35 34.87 - 24.76 1024.40
UTI Master Growth 51.27 1.48 9.89 25.51 34.52 16.42 369.85
UTI Master Plus ‘91 77.40 2.43 10.66 31.43 39.63 16.34 1005.05
UTI Master Value 33.36 0.45 8.61 19.85 27.18 26.31 559.90
UTI Mastershare 41.75 1.36 11.30 32.30 33.46 22.16 2136.19
UTI Mid Cap 24.06 0.28 7.70 22.01 31.15 32.03 389.32
UTI Opportunities 17.71 0.51 16.06 24.64 - 28.48 494.99
UTI Services Sector 56.56 1.76 7.90 35.64 37.24 33.81 473.59
Hybrid: Equity-oriented
Birla Balance 32.72 0.72 11.15 25.15 27.72 15.73 115.40
Birla Sun Life’95 220.37 2.48 12.46 38.24 36.18 28.10 160.69
Canbalance II 43.60 1.16 9.64 18.25 36.36 12.54 108.02
DSPML Balanced 46.42 0.55 9.52 31.67 33.83 20.00 461.42
FT India Balanced 39.24 0.97 10.50 29.83 31.10 18.84 278.46
HDFC Balanced 33.68 0.5 5.12 11.66 23.41 18.37 121.82
HDFC Children’s Gift-Inv 28.19 0.7 5.28 17.55 24.70 21.26 139.43
HDFC Prudence 132.76 1.75 8.45 28.90 38.45 23.37 2811.24
ICICI Pru Equit & Derivative Reg 11.53 0.19 6.08 - - 13.40 1120.95
ICICI Prudential Balanced 38.67 0.95 5.69 21.36 31.34 18.17 416.70
ICICI Prudential ChildCare-Gift 48.15 0.52 13.16 34.06 32.49 29.05 123.49
Kotak Balance 27.28 0.54 8.83 22.41 35.93 21.91 87.03
LICMF ULIS 12.84 0.25 12.96 26.48 27.60 23.14 62.38
Magnum Balanced 41.41 1.05 9.32 28.45 40.99 20.83 317.73
Principal Balanced 25.47 0.5 11.18 22.70 27.99 12.55 180.84
Tata Balanced 60.03 1.16 9.68 34.22 35.51 19.02 182.45
UTI Balanced 63.40 1.22 10.09 19.12 24.49 21.88 1145.91
Hybrid: Debt-oriented
Canbalance 32.77 0.53 11.29 23.81 18.84 18.92 64.69
Escorts Opportunities 29.20 0.36 10.03 22.00 18.48 17.52 99.46
FT India 50s Plus Floating Rate 14.74 0.1 3.93 12.61 12.54 12.59 174.85
HDFC Multiple Yield 12.91 0.03 2.53 8.66 - 8.72 125.64
HDFC Multiple Yield Plan 2005 11.76 0.05 4.62 8.70 - 7.73 69.40
Tata Young Citizens 24.77 0.24 6.43 20.99 23.05 16.26 164.70
Templeton India Pension 48.82 0.71 7.84 18.89 18.07 16.18 157.12
Unit Linked Insurance Plan ‘71 15.83 0.15 6.56 14.80 16.41 9.12 3649.13
UTI CCP Balanced 14.66 0.15 4.98 10.49 15.78 11.05 2602.13
UTI CRTS ‘81 120.03 0.89 5.93 11.51 17.97 14.04 398.10
UTI Mahila Unit Scheme-Gift 29.95 0.24 4.85 13.48 22.87 18.38 87.23
UTI Retirement Benefit Pension 19.55 0.19 4.80 9.76 16.44 11.94 490.61
Hybrid: Asset Allocation
Optimix Asset Allocator MMFoF* 12.94 0.1 8.96 15.68 - 25.53 78.75
Debt: Medium-term
ABN AMRO Flexi Debt Regular 11.99 0.02 1.47 8.37 - 6.08 152.89
Birla Income Plus 32.50 0.07 5.15 8.91 5.56 10.38 313.30
Birla Sun Life Income 27.59 0.03 3.75 11.03 6.56 10.09 51.38
DSPML Bond Retail 25.66 0.02 1.90 5.13 4.50 9.44 41.78
DSPML Strategic Bond Regula 1030.18 0.27 1.89 - - 2.99 1217.27
Grindlays SSI Inv 17.67 0.02 2.96 7.20 4.53 8.21 44.23
Grindlays SSI Medium-term 12.33 0.01 1.94 7.13 5.34 5.07 48.41
HDFC High Interest 25.27 0.04 2.68 3.96 3.62 9.27 33.17
HDFC Income 17.29 0.03 2.99 4.78 3.60 7.97 220.26
ICICI Prudential Flexible Income 14.28 0 1.96 8.30 6.18 7.39 6300.51
ICICI Prudential Income 22.53 0.05 3.98 7.12 5.17 9.15 273.96
Kotak Bond Deposit 19.31 0.02 2.74 5.99 5.17 8.71 34.34
Kotak Bond Regular 20.49 0.02 3.19 7.87 6.20 9.52 159.45
Kotak Flexi Debt 12.10 0 2.00 8.19 - 7.02 6504.67
LICMF Bond 21.11 0.02 2.77 6.81 5.76 9.32 78.32
Lotus India Activ Inc Fund Retail 10.05 0.02 - - - .31 31.43
Magnum Income 20.43 0.04 2.70 4.98 4.10 8.36 64.60
OptiMix Active Debt Multi FoF* 10.55 0 2.46 - - 5.46 111.25
Principal Income 10.86 0.01 1.83 6.07 5.52 8.95 281.85
Reliance Income 24.15 0.06 2.67 6.41 5.62 9.46 39.12
Sund BNP Paribas Bond Saver 23.48 0.04 1.56 5.04 3.55 9.05 55.56
Tata Dynamic Bond A 12.56 0 1.92 7.79 6.12 5.79 32.09
Tata Income 25.93 0.04 1.94 6.22 6.22 9.57 36.37
Templeton India Income 26.98 0.07 3.52 6.94 4.79 9.83 180.94
Templeton India Income Builder 25.72 0.07 2.74 5.21 3.68 9.63 88.15
UTI Bond 22.51 0.04 2.50 5.95 6.49 9.14 269.13
Hybrid: Monthly Income
ABN AMRO MIP 13.63 0.03 2.35 13.06 - 10.62 137.87
Birla MIP 20.91 0.1 6.07 12.50 10.06 11.32 139.13
Birla MIP II Savings 5 12.19 0.01 2.57 8.25 6.44 6.02 661.56
Birla MIP II Wealth 25 14.55 0.08 5.27 11.76 12.27 11.53 109.11
Birla Sun Life MIP 27.52 0.13 5.03 13.26 10.96 13.10 147.36
DSPML Savings Plus Aggressive 14.86 -0.03 4.46 13.75 12.89 12.73 86.33
DSPML Savings Plus Moderate 15.99 -0.03 3.26 10.03 10.20 10.86 141.36
FT India MIP 22.47 0.21 5.33 11.88 11.05 12.15 543.27
HDFC MIP Long-term 15.94 0.08 3.91 12.35 14.34 12.98 1199.50
HDFC MIP Short-term 13.44 0.03 2.19 6.79 8.38 8.06 170.40
HSBC MIP Regular 13.29 0.07 3.71 11.18 9.00 8.07 45.84
HSBC MIP Savings 14.56 0.1 4.72 14.79 12.05 10.81 69.68
ICICI Prud Income Multiplier Reg 15.17 0.1 2.70 9.95 14.14 12.28 451.23
ICICI Prudential MIP 19.96 0.12 2.82 8.99 10.31 10.42 563.39
Kotak Income Plus 13.71 0.08 2.49 7.54 10.04 8.38 42.12
LICMF Floater MIP Plan A 13.90 0.08 4.88 13.66 - 11.59 54.88
LICMF MIP 26.41 0.2 5.38 12.67 12.17 10.86 169.59
Magnum MIP 17.48 0.1 3.01 6.35 8.37 8.88 90.10
Principal MIP 16.29 0.03 4.73 11.02 8.27 9.48 42.22
Reliance MIP 14.16 0.06 3.48 7.01 11.21 9.66 374.50
Sundaram BNP Paribas MIP 13.26 0.01 2.97 6.87 8.98 7.81 32.81
Tata MIP Plus 12.78 0.06 3.67 10.03 8.06 6.97 44.68
Templeton MIP-G 21.37 0.16 4.43 10.28 9.79 10.37 115.26
UTI MIS-Advantage Plan 15.06 0.08 3.96 12.28 13.22 11.35 85.75
UTI Monthly Income Scheme 14.72 0.06 3.23 9.22 8.39 8.05 158.17
Gilt: Medium & Long-term
Birla Gilt Plus PF 21.40 0.02 2.72 6.38 4.67 10.04 65.21
Birla Gilt Plus Regular 24.66 0.03 4.17 10.24 6.24 12.02 52.08
ICICI Prudential Gilt Investment 23.51 0.03 3.18 9.53 5.75 11.09 103.11
ICICI Prud Gilt Investment PF 12.37 0.02 3.77 8.92 6.59 5.65 74.76
Kotak Gilt Investment Regular 24.30 0.02 2.61 4.42 4.22 10.68 36.64
LICMF GSF 19.60 0.01 2.03 5.82 4.05 9.00 51.09
Magnum Gilt Long-term 17.86 0.02 1.67 6.34 4.70 8.97 217.51
Principal GSF Provident 11.23 0.02 3.12 4.42 4.53 3.21 44.59
Reliance Gilt Long-term 13.29 0.02 2.88 7.87 6.70 6.94 37.20
Tata GSF 23.86 0.04 2.13 5.67 3.38 11.27 233.04
Templeton IGSF Long-term 17.00 0.02 2.41 6.02 4.51 9.58 65.66
Templeton India GSF Composite 24.91 0.03 2.30 5.32 4.02 11.69 125.36
UTI Gilt Advantage Long-term 15.68 0.02 1.82 5.19 5.15 8.25 54.74
UTI G-Sec 19.75 0.02 2.22 5.59 3.99 8.81 120.30
Debt: Liquid Plus
ABN AMRO Money Plus Reg 11.41 0 1.90 8.27 - 7.13 2363.55
Birla Sun Life Liquid Plus Retail 14.43 0 1.92 7.40 6.37 6.50 6560.88
DSPML Liquid Plus Retail 1079.44 0.2 1.50 6.98 - 6.95 2146.09
DWS Money Plus 11.24 0 1.98 8.29 - 7.96 3894.66
HDFC Cash Mgmt Sav Plus Retail 16.86 0 1.84 8.01 6.45 6.89 6233.41
HSBC Liquid Plus Regular 10.76 0 1.93 - - 7.58 6934.25
ING Liquid Plus Regular 10.44 0 1.98 - - 4.34 4099.02
LICMF Liquid Plus 10.24 0 1.99 - - 2.35 1690.36
Lotus India Liquid Plus Retail 10.54 0 1.92 - - 5.42 3233.69
Reliance Liquid Plus Retail 1044.10 0.24 1.90 - - 4.39 8093.23
Sund BNP Pari Liquid Plus Retail 10.34 0 1.90 - - 3.39 2336.75
UTI Liquid Plus 1970.51 0.42 1.85 6.74 5.29 8.63 4650.58
Debt: Floating Rate Short-term
DBS Chola ST Floating Rate 11.60 0 1.97 8.34 - 7.26 1891.81
ICICI Prudential Floating Rate B 12.97 0 1.96 8.08 6.52 5.98 2157.35
Debt: Floating Rate Long-term
Grindlays Floating Rate LT A 11.95 0 1.87 7.38 5.87 5.82 5432.02
Prin Float Rate Flexible Maturity 12.16 0 2.02 8.42 6.68 6.66 6007.61
Tata Floater 11.46 0 2.01 8.04 - 6.92 3240.80
Temp Floating Rate LT Retail 14.02 0 1.93 8.10 6.27 6.18 2010.39
Debt: Ultra Short-term
Birla Cash Plus Retail 20.86 0 1.75 7.56 6.22 7.43 8488.21
HDFC Cash Mgmt Saving 16.20 0 1.81 7.92 6.45 6.95 3877.72
HDFC Liquid 15.42 0 1.80 7.82 6.31 6.45 4814.69
HSBC Cash 13.05 0 1.73 7.47 6.12 5.70 2175.66
ICICI Prudential Liquid 19.04 0 1.86 7.72 6.21 7.20 17521.93
ING Liquid 16.41 0 1.68 7.34 6.07 6.62 2353.47
Kotak Liquid Regular 15.29 0 1.62 7.02 5.80 6.28 5405.90
LICMF Liquid 14.09 0 1.71 7.87 6.61 6.41 5943.96
Principal Cash Mgt Liquid 15.21 0 1.64 7.28 6.03 6.26 4154.68
Tata Liquid 1797.24 0.37 1.81 7.69 6.18 6.68 7329.63
Templeton India TMA 1927.68 0.26 1.75 7.45 6.06 7.24 3999.76
UTI Liquid Cash Regular 1265.75 0.25 1.53 7.27 6.18 5.71 5543.96
 
Net asset value (NAV) as on September 19, 2007. Schemes marked with * indicate NAV from previous day. Change indicates gain/loss (in Rs) in NAV over previous trading day. Lifetime represents return (in per cent) since inception. 3-month and 1-year returns are absolute, 3-year and lifetime returns are annualised. Size indicates asset under management in Rs crore. Source: Value Research (www.valueresearchonline.com)
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