Beruflich Dokumente
Kultur Dokumente
HDFC Mutual Fund seeks SEBI nod to launch low volatility ETF
HDFC Mutual Fund has sought Securities and Exchange Board of India's approval to launch HDFC Low Volatility ETF, according to the draft offer
document filed on the regulator's website. The open-ended exchange-traded scheme will invest up to 95 percent of its assets in securities
covered by the S&P BSE Low Volatility Index, while the remaining will be deployed in debt and money market instruments, excluding
subscription and redemption cash flow.
Union Mutual Fund launches equity savings fund, offer to end July 30
Union Mutual Fund has launched the Union Equity Savings Fund, an open-ended scheme investing in equity, arbitrage and debt, a press release
from the fund house stated. The scheme will invest in a combination of diversified equity and equity- related instruments, arbitrage and
derivative strategies along with exposure in debt and money market instruments. The scheme will follow a multi-cap strategy for stock picking
based on a bottom-up analysis. The fund manager will increase equity allocation when markets go down and decrease equity allocation when
markets go up. Vinay Paharia, Chief Investment Officer, Union Mutual Fund will manage the scheme.
Invesco Mutual Fund announces new fund manager for Invesco India Midcap Fund
Invesco Mutual Fund has announced that Mr. Krishna Cheemalapati jointly with Mr. Abhishek Bandiwdekar will be the new fund manager of
Invesco India Liquid Fund instead of Mr. Krishna Cheemalapati jointly with Mr. Nitish Sikand. The change will become effective from Jul 24.
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NEW FUND OFFER
Growth
Scheme Name DHFL Pramerica Fixed Duration Fund - Series BC - Regular Plan (G)
Fund Type Close-Ended
Fund Class Growth
Opens on 24-Jul-2018
Closes on 06-Aug-2018
Investment Objective To generate income by investing in a portfolio of debt and money market instruments normally in line with the duration of the
scheme.
Min. Investment Rs.5000/-
Fund Manager Rakesh Suri
Scheme Name Sundaram Long Term Tax Advantage Fund - Series - V - Regular Plan (G)
Fund Type Close-Ended
Fund Class Growth
Opens on 25-Jun-2018
Closes on 24-Sep-2018
Investment Objective The investment objective of the scheme is to generate capital appreciation over a period of ten years by investing
predominantly in equity and equity-related instruments of companies along with income tax benefit.
Min. Investment Rs.5000/-
Fund Manager S Krishnakumar / Dwijendra Srivastava
Scheme Name BOI AXA Midcap Tax Fund - Series 2 - Regular Plan (G)
Fund Type Close-Ended
Fund Class Growth
Opens on 12-Jul-2018
Closes on 11-Oct-2018
Investment Objective To generate capital appreciation over a period of ten years by investing predominantly in equity and equity-related securities
of midcap companies along with income tax benefit.
Min. Investment Rs.5000/-
Fund Manager Saurabh Kataria
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PERFORMANCE OF EQUITY FUNDS
Scheme Name NAV QAAUM 1 Mon 3 Mon 6 Mon 1Y 3Y 5Y S.I Std. Dev. Beta Jensen
Axis Bluechip Fund - Growth 28.40 2035.11 4.60 8.81 10.58 22.47 13.20 17.51 12.97 1.56 0.90 0.09
Axis Focused 25 Fund - Growth 29.11 3943.08 5.36 6.36 8.25 21.90 17.05 20.48 19.22 1.91 1.01 0.16
Parag Parikh Long Term Equity Fund - Reg - G 25.12 1064.79 4.14 8.75 3.40 18.99 14.35 20.33 19.48 1.15 0.54 0.12
UTI Equity Fund - Growth 144.54 6857.20 3.81 4.82 7.06 17.70 12.05 18.57 12.72 1.65 0.94 0.03
Axis Midcap Fund - Growth 35.59 1394.17 3.58 0.65 4.71 17.50 9.81 24.40 18.61 1.97 0.88 0.09
Invesco India Contra Fund - Growth 47.99 1558.27 3.74 0.02 -1.83 16.20 14.73 26.39 14.89 1.95 1.11 0.08
HDFC Small Cap Fund - Growth 44.15 3775.75 0.30 -7.36 -5.84 15.48 18.95 23.90 15.48 2.04 0.91 0.14
Kotak India EQ Contra Fund - Reg - Growth 51.39 358.67 2.47 2.44 3.48 15.41 12.65 17.65 13.41 1.62 0.95 0.07
SBI Focused Equity Fund - Growth 133.97 2691.14 1.15 -3.38 -3.26 13.83 14.25 21.05 20.59 1.78 0.81 0.04
Edelweiss Large & Mid Cap Fund - Growth 31.50 278.81 3.35 0.31 -1.05 12.72 11.19 17.87 10.86 1.70 1.02 0.01
Invesco India Growth Opportunities Fund - G 33.77 537.09 2.83 0.12 0.03 12.72 12.13 20.06 11.73 1.64 0.97 0.06
Canara Robeco Equity Diversified Fund - Growth 130.10 851.50 4.07 4.01 2.21 12.67 9.91 16.35 18.83 1.70 0.98 0.04
Nifty 50 11167.30 N.A 3.70 5.18 0.88 11.44 10.13 13.66 14.04 1.56 1.00 0.00
S&P BSE Sensex 36984.64 N.A 4.21 6.54 2.58 14.21 10.30 13.36 16.06 1.53 1.00 N.A
Index Funds:
Scheme Name NAV QAAUM 1 Mon 3 Mon 6 Mon 1Y 3Y 5Y S.I Std. Dev. Beta Jensen
HDFC Index Fund - Sensex Plan 326.16 155.10 4.42 7.09 3.22 15.00 11.40 14.39 15.54 1.52 0.97 0.02
LIC MF Index Fund - Sensex - Growth 68.63 16.63 4.32 6.96 2.64 13.71 9.77 12.93 13.80 1.53 0.97 0.00
Taurus Nifty Index Fund - Reg - Growth 20.90 17.79 3.84 5.46 3.03 13.04 10.19 13.62 9.52 1.55 0.98 -0.01
UTI Nifty Index Fund - Growth 72.32 866.82 3.92 5.75 1.70 12.61 11.15 14.49 11.32 1.55 0.99 0.00
HDFC Index Fund-NIFTY 50 Plan 100.94 349.91 3.93 5.75 1.83 12.60 11.03 14.56 15.28 1.56 1.00 0.00
IDFC Nifty Fund - Reg - Growth 22.91 111.66 3.87 5.69 1.81 12.47 11.03 14.55 10.58 1.55 1.00 0.00
SBI Nifty Index Fund - Growth 95.58 288.23 3.92 5.68 1.52 12.04 10.55 13.66 14.63 1.56 1.00 -0.01
Reliance Index Fund - Nifty Plan - Growth 18.67 129.01 3.89 5.61 1.33 11.67 10.11 13.74 8.30 1.57 1.01 -0.02
ICICI Prudential Nifty Index Fund - Reg - Growth 107.61 328.05 3.84 5.56 1.28 11.56 10.43 14.27 15.57 1.55 1.00 -0.01
Franklin India Index Fund - NSE Nifty Plan - G 88.43 238.73 3.85 5.54 1.10 11.28 10.11 13.68 14.15 1.55 1.00 -0.02
Aditya Birla Sun Life Index Fund - Growth 109.45 135.98 3.87 5.59 1.18 11.19 10.06 13.63 16.28 1.54 0.99 -0.02
LIC MF Index Fund - Nifty - Growth 61.46 22.01 3.85 5.48 0.56 10.71 9.69 13.30 13.00 1.56 1.00 -0.02
Nifty 50 11167.30 N.A 3.70 5.18 0.88 11.44 10.13 13.66 14.04 1.56 1.00 0.00
S&P BSE Sensex 36984.64 N.A 4.21 6.54 2.58 14.21 10.30 13.36 16.06 1.53 1.00 N.A
Sectoral Funds:
Scheme Name NAV QAAUM 1 Mon 3 Mon 6 Mon 1Y 3Y 5Y S.I Std. Dev. Beta Jensen
Tata Digital India Fund - Reg - Growth 14.71 139.19 4.72 4.52 16.05 50.86 N.A N.A 16.16 2.11 0.73 0.18
ICICI Prudential Technology Fund - Growth 56.89 361.07 3.87 3.23 9.31 39.40 11.79 20.58 9.90 1.73 0.51 0.17
SBI Technology Opportunities Fund - Growth 62.64 86.50 3.34 4.87 11.05 38.17 11.14 17.33 19.67 1.81 0.57 0.11
Aditya Birla Sun Life Digital India Fund - Growth 51.30 210.25 3.72 1.95 6.66 37.53 14.07 18.45 9.22 1.87 0.70 0.16
Franklin India Technology Fund - Growth 157.28 206.97 2.89 4.32 8.93 29.02 11.59 15.80 18.88 1.61 0.58 0.12
Tata India Consumer Fund - Reg - Growth 18.17 1029.49 1.40 -0.35 1.13 22.87 N.A N.A 26.07 2.03 0.98 0.27
SBI Consumption Opportunities Fund - Growth 116.94 597.46 0.11 -4.80 -4.78 17.97 16.70 15.09 16.30 1.97 0.78 0.10
SBI Banking & Financial Services Fund - Reg - G 16.93 502.29 5.02 8.50 6.76 15.19 20.69 N.A 16.68 1.94 1.04 0.11
UTI MNC Fund - Growth 201.75 2012.49 1.96 1.24 1.07 13.44 9.16 22.18 17.47 1.60 0.80 0.01
ICICI Prudential FMCG - Growth 232.45 394.88 4.44 1.76 3.01 13.22 13.44 13.60 17.67 1.67 0.74 0.06
Aditya Birla Sun Life MNC Fund - Growth 759.23 3368.38 0.91 -0.95 -1.91 10.72 8.35 23.76 17.80 1.60 0.74 -0.02
Tata Banking And Financial Services Fund - R - G 18.71 250.40 5.63 6.22 6.58 9.48 N.A N.A 27.49 2.07 1.06 0.14
Nifty 50 11167.30 N.A 3.70 5.18 0.88 11.44 10.13 13.66 14.04 1.56 1.00 0.00
S&P BSE Sensex 36984.64 N.A 4.21 6.54 2.58 14.21 10.30 13.36 16.06 1.53 1.00 N.A
*Mutual Fund investments are subject to market risks, read all scheme related documents carefully.
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PERFORMANCE OF BALANCED FUNDS
Scheme Name NAV QAAUM 1 Mon 3 Mon 6 Mon 1Y 3Y 5Y S.I Std. Dev. Jensen
Sundaram Equity Hybrid Fund - Reg - Growth 88.01 1016.04 2.38 2.84 2.32 9.85 11.20 13.03 12.67 1.09 0.02
Principal Hybrid Equity Fund - Growth 75.87 1280.74 1.01 -1.56 -2.93 9.01 14.04 18.54 11.55 1.43 0.07
Canara Robeco Equity Debt Allocation Fund - Growth 152.65 1601.55 3.05 2.43 1.36 8.28 9.86 17.61 11.44 1.21 0.01
SBI Equity Hybrid Fund - Growth 127.96 23833.60 1.81 0.51 -1.89 8.26 10.23 17.91 15.96 1.22 -0.01
Mirae Asset Hybrid - Equity Fund - Reg - Growth 13.86 1182.94 2.26 2.61 -2.52 6.70 11.49 N.A 11.52 1.25 -0.01
HDFC Childrens Gift Fund 117.18 2215.16 2.40 0.44 -2.43 6.69 11.78 18.61 16.93 1.23 0.02
DSP BlackRock Equity & Bond Fund - Growth 148.44 7085.58 3.07 0.90 -1.93 5.96 10.04 17.45 15.10 1.47 -0.02
Reliance Equity Hybrid Fund - Growth 55.02 13368.20 1.42 0.32 -3.35 4.80 11.10 18.32 13.86 1.31 -0.02
Baroda Pioneer Hybrid Equity Fund - Growth 56.23 697.99 2.03 -1.58 -2.65 4.69 8.82 13.70 12.31 1.46 -0.03
L&T Hybrid Equity Fund - Reg - Growth 26.30 10483.20 1.15 -1.04 -3.06 4.43 10.36 18.49 13.82 1.29 -0.02
JM Equity Hybrid Fund - Growth 45.75 3693.14 1.43 2.43 -1.70 4.02 6.29 13.39 11.84 1.05 -0.07
Franklin India Equity Hybrid Fund - Growth 115.83 2067.14 0.35 1.06 -2.27 3.96 8.09 16.42 14.05 1.06 -0.07
CRISIL Hybrid 35+65 - Aggressive Index N.A N.A 2.55 2.6 0.26 7.83 10.45 14.27 14.42 1.07 N.A
*Mutual Fund investments are subject to market risks, read all scheme related documents carefully.
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PERFORMANCE OF DEBT FUNDS
Income Funds:
Scheme Name NAV QAAUM 3 Days 1 Week 2 Weeks 1 Mon 2 Mon 3 Mon 1Y S.I Std. Dev. Sharpe
BOI AXA Credit Risk Fund - Reg - Growth 13.65 1534.44 8.83 6.12 9.26 10.47 9.60 8.74 7.30 9.55 9.48 0.19
Franklin India Income Opportunities Fund - G 21.04 3555.02 16.91 9.71 11.94 11.60 10.85 7.84 6.82 9.00 9.55 0.13
Axis Corporate Debt Fund - Reg - Growth 10.70 290.43 7.17 4.68 7.48 8.69 9.56 7.47 6.56 6.78 6.82 -0.04
Invesco India Ultra Short Term Fund - Growth 1810.59 1129.17 6.40 6.01 7.03 7.39 7.74 6.89 6.46 8.15 4.22 0.01
Franklin India Credit Risk Fund - Growth 18.36 6930.85 15.39 10.16 10.71 10.68 9.92 7.34 6.43 9.59 9.89 0.10
Kotak Corporate Bond Fund - Std - Growth 2330.92 1173.21 8.16 6.92 7.66 8.46 8.85 7.22 6.27 8.11 7.47 0.04
Sundaram Short Term Credit Risk Fund - Reg - G 25.85 484.98 7.02 5.65 7.05 8.31 8.54 7.01 6.23 6.12 5.21 -0.12
Franklin India Dynamic Accrual Fund - Growth 62.30 3343.83 11.55 8.86 10.52 10.73 9.86 7.22 6.13 8.92 10.91 0.10
Axis Banking & PSU Debt Fund - Growth 1627.92 620.00 4.68 2.67 10.83 9.37 8.24 5.42 6.02 8.27 7.65 -0.03
Aditya Birla Sun Life Credit Risk Fund - Reg - G 13.15 6790.78 6.85 6.87 8.93 9.87 9.90 7.35 5.65 8.71 15.09 0.06
ICICI Prudential Credit Risk Fund - Growth 18.88 10539.90 4.71 5.53 6.69 7.99 8.09 7.12 5.54 8.66 11.53 0.02
Baroda Pioneer Credit Risk Fund - Reg - Growth 13.65 969.69 10.53 6.47 7.86 7.78 7.64 5.62 5.48 9.27 12.38 0.10
Franklin India Corporate Debt Fund - Growth 61.98 868.03 7.94 5.42 8.53 9.54 8.41 5.64 5.40 9.03 12.45 0.05
Axis Strategic Bond Fund - Growth 17.15 1435.05 7.45 5.94 8.53 8.98 8.89 6.07 5.39 8.89 18.17 0.02
Invesco India Credit Risk Fund - Reg - Growth 1387.17 413.98 4.27 4.59 7.28 8.19 8.40 5.83 5.35 8.77 12.61 0.00
CRISIL Composite Bond Fund Index N.A N.A 17.83 6.43 9.47 10.13 7.57 5.76 1.35 6.89 26.24 -0.04
Scheme Name NAV QAAUM 3 Day 1 Week 2 Weeks 1 Mon 2 Mon 3 Mon 1Y S.I Std. Dev. Sharpe
L&T Money Market Fund - Reg - Cumulative 17.53 817.92 5.07 5.81 6.35 7.34 7.92 6.81 6.86 7.74 4.78 0.12
Franklin India Savings Fund - Growth 32.47 499.54 3.41 4.82 5.64 7.72 8.81 7.42 6.73 7.42 4.17 0.01
Canara Robeco Savings Fund - Reg - Growth 27.74 1018.79 7.99 7.27 7.37 7.82 7.94 6.81 6.25 7.91 4.61 -0.04
SBI Savings Fund - Growth 27.48 3786.05 4.03 4.86 5.77 7.04 7.38 6.38 6.02 7.47 4.40 -0.11
Reliance Floating Rate Fund - Growth 27.65 7236.87 7.05 7.48 8.05 9.22 8.43 5.22 4.19 7.58 12.08 -0.09
CRISIL Composite Bond Fund Index N.A N.A 17.83 6.43 9.47 10.13 7.57 5.76 1.35 6.89 26.24 -0.04
Franklin India Low Duration Fund - Growth 20.42 5759.66 7.93 7.44 8.97 9.20 9.54 7.94 7.19 9.33 6.87 0.19
Franklin India Ultra Short Bond Fund - Retail - Growth 23.42 12974.30 7.12 6.78 7.87 8.18 8.77 7.52 7.12 8.35 4.04 0.15
Tata Treasury Advantage Fund - Reg - Growth 2690.63 4323.86 5.95 5.57 6.63 8.00 8.90 7.36 6.59 7.98 4.53 0.00
Edelweiss Low Duration Fund - Ret - Growth 1902.65 602.24 6.94 5.24 6.54 7.97 8.71 7.32 6.92 6.74 5.09 0.03
Invesco India Money Market Fund - Growth 2028.63 511.61 5.25 6.04 6.59 7.28 7.49 7.29 7.02 8.26 0.96 -0.24
Kotak Low Duration Fund - Std - Growth 2165.93 5681.23 7.33 6.79 8.01 8.28 8.84 7.25 6.55 7.72 5.79 0.05
BOI AXA Ultra Short Duration Fund - Reg - Growth 2147.05 786.32 7.42 5.97 7.10 7.54 8.01 7.18 7.26 7.92 3.02 0.23
DHFL Pramerica Ultra Short-Term Fund - Growth 21.53 2006.94 5.26 5.28 6.59 7.58 8.47 7.13 6.77 7.92 3.77 0.01
SBI Magnum Low Duration Fund - Growth 2288.43 9770.37 5.67 5.82 6.81 7.86 8.49 7.10 6.49 7.81 4.96 -0.01
Aditya Birla Sun Life Floating Rate Fund - LTP - Reg - Growth 216.90 6027.35 7.27 5.54 6.62 8.05 8.94 7.02 6.29 8.64 7.38 0.01
Kotak Savings Fund - Reg - Growth 28.39 6986.13 5.36 5.06 6.25 7.45 8.11 6.98 6.47 7.76 3.45 -0.05
Reliance Low Duration Fund - Growth 2441.21 15447.30 5.13 5.11 6.33 8.01 8.92 6.98 6.30 8.17 5.51 -0.04
SBI Banking and PSU Fund - Growth 1964.88 2051.88 5.21 5.00 6.40 8.47 8.63 6.98 6.22 7.98 4.98 -0.07
ICICI Prudential Savings Fund - Reg - Growth 339.55 19824.00 5.49 5.36 6.54 8.16 8.81 6.94 6.32 8.02 7.15 0.02
Indiabulls Ultra Short Term Fund - Growth 1721.85 550.12 3.00 3.83 5.43 7.64 7.82 6.93 6.58 8.64 2.50 0.04
CRISIL Composite Bond Fund Index N.A N.A 17.83 6.43 9.47 10.13 7.57 5.76 1.35 6.89 26.24 -0.04
*Mutual Fund investments are subject to market risks, read all scheme related documents carefully.
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PERFORMANCE OF FUNDS OF FUNDS
MIP Funds:
Scheme Name NAV QAAUM 3 Day 1 Week 2 Weeks 1 Mon 2 Mon 3 Mon 1Y S.I Std. Dev. Sharpe
Indiabulls Savings Income Fund - Reg - Growth 12.91 96.47 60.42 25.65 13.33 5.49 4.91 3.71 12.95 10.12 32.65 0.06
Axis Regular Saver Fund - Growth 19.09 377.68 46.51 49.38 22.03 21.92 14.27 9.45 6.95 8.38 28.63 0.00
ICICI Prudential Ultra Short Term Fund - Growth 17.87 2461.06 5.72 6.07 7.05 7.53 7.98 6.50 6.35 8.36 6.77 0.05
UTI Regular Savings Fund - Growth 40.35 2107.42 -0.36 30.37 13.54 15.71 12.15 7.04 6.29 10.01 29.54 0.06
HDFC Multi - Asset Fund - Growth 31.71 165.02 178.68 130.79 33.98 31.20 9.70 4.22 5.98 9.32 23.93 0.00
BOI AXA Conservative Hybrid Fund - Eco - Growth 21.33 215.65 71.44 41.65 1.33 14.24 0.86 -3.23 4.96 8.43 29.15 0.01
ICICI Prudential Regular Savings Fund - Growth 40.37 1473.70 36.43 26.75 6.37 12.47 8.54 6.32 4.88 10.23 34.16 0.05
BOI AXA Conservative Hybrid Fund - Reg - Growth 20.99 215.65 71.13 41.37 1.03 13.94 0.56 -3.52 4.65 8.24 29.15 0.00
SBI Multi Asset Allocation Fund - Growth 25.85 369.10 41.19 33.97 -1.33 1.27 -4.65 -4.05 4.54 7.83 19.15 -0.04
BNP Paribas Conservative Hybrid Fund - Growth 27.28 350.00 19.75 22.67 7.24 9.63 7.29 4.50 3.42 7.51 25.15 -0.03
DSP BlackRock Regular Savings Fund - Growth 36.50 421.61 26.80 46.23 19.37 16.16 6.93 1.08 3.09 9.59 33.83 0.01
LIC MF Debt Hybrid Fund - Cumulative 52.06 98.41 37.58 33.13 16.90 11.73 6.94 2.42 2.64 8.53 23.16 -0.10
Canara Robeco Income Saver Fund - Growth 53.69 210.47 40.20 47.80 18.88 19.22 11.71 7.85 2.53 11.37 28.32 -0.03
Reliance Hybrid Bond Fund - Growth 41.52 2063.88 15.26 18.09 14.13 14.12 11.70 7.15 2.43 10.25 28.86 0.00
Franklin India Debt Hybrid Fund - Growth 53.30 390.09 42.63 28.35 6.83 9.87 8.07 5.03 2.11 9.84 26.65 -0.07
CRISIL Hybrid 85+15 - Conservative Index N.A N.A 38.77 26.28 14.26 14.98 10.41 6.88 2.87 8.77 25.44 N.A
Note: Indicative Quarterly Average Assets Under Management QAAUM (Latest) is including Growth & Dividend option. The above-mentioned data is on the basis of 26/07/2018 Beta, Jensen, Sharpe and
Standard Deviation is calculated for the period: 1 Year, Frequency: Weekly Monday, RF: 7%. For debt fund the return are calculated annualized basis for less than 1 year.
*Mutual Fund investments are subject to market risks, read all scheme related documents carefully.
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*Mutual Fund investments are subject to market risks, read all scheme related documents carefully.
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