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Mutual Fund Research Desk

How The Funds Fared : 4th April, 2007
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Equity Funds
Equity Funds
Largecap Funds
Flexicap/Opportinities/Thematic
Midcap Funds
Index Funds
Sector Funds
ELSS Funds
Arbitrage Funds
Blended Plans

1
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3

Balanced Funds
MIP Funds
Fund of Funds

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Debt Funds
Income Funds
Gilts Short Term Funds
Gilts Long Term Funds
Gilts Provident Funds
Liquid Funds - Super IP
Liquid Funds - IP
Liquid Funds - Regular
STP - IP
STP - Regular
FRF - ST
FRF - ST - IP
FRF - LT
FRF - LT - IP
Liquid Plus

To Check the Returns of Schemes other than "TOP 10" - Click on Down arrow of Green Coloured Cell and Select "All"

Note : Click on the above Hyperlink for a detailed report
CA - Compounded Annualised
P2P - Point to Point
SA - Simple Annualised

Disclaimer: This document has been prepared by RFL Finvest Limited (RFL) - Mutual Fund Research Desk. This is not an offer to buy or sell or the solicitation of an offer to buy or sell any security or to participate in any particular trading strategy or as an off
completeness or airness of the information and opinions contained in this document. RFL accepts no obligation to correct or update the information or opinions in it. RFL may discontinue research coverage of a subject company or change the opinion(s) withou
the entire risk of any use made of this information. Neither RFL nor any of its affiliates, directors, employees, agents or representatives shall be liable for any damages whether direct, indirect, special or consequential including lost revenue or lost profits that ma
seek to perform investment banking or other services for, or solicit investment banking or act as advisor or lender / borrower to such company (ies) or have other potential conflict or interest with respect to any recommendation and related information and opi
distribution, publication availability or use would be contrary to law regulation or which would subject RFL and affiliates to any registration or licensing requirements within such jurisdiction,persons in whose possession this document comes, should inform the
without prior written permission from Religare. We do not guarantee the inte

Disclaimer: This document has been prepared by RFL Finvest Limited (RFL) - Mutual Fund Research Desk. This is not an offer to buy or sell or the solicitation of an offer to buy or sell any security or to participate in any particular trading strategy or as an off
completeness or airness of the information and opinions contained in this document. RFL accepts no obligation to correct or update the information or opinions in it. RFL may discontinue research coverage of a subject company or change the opinion(s) withou
the entire risk of any use made of this information. Neither RFL nor any of its affiliates, directors, employees, agents or representatives shall be liable for any damages whether direct, indirect, special or consequential including lost revenue or lost profits that ma
seek to perform investment banking or other services for, or solicit investment banking or act as advisor or lender / borrower to such company (ies) or have other potential conflict or interest with respect to any recommendation and related information and opi
distribution, publication availability or use would be contrary to law regulation or which would subject RFL and affiliates to any registration or licensing requirements within such jurisdiction,persons in whose possession this document comes, should inform the
without prior written permission from Religare. We do not guarantee the inte

n any particular trading strategy or as an official confirmation of any transaction. The views expressed are those of analyst. The information contained herein is from publicly available data or other sources believed to be reliable or developed through analysis. No representation or
ect company or change the opinion(s) without notice. The investment discussed or views expressed may not be suitable for all investors and certain investors may not be eligible to purchase or participate in some or all of them. RFL recommends that investors independently evalua
including lost revenue or lost profits that may arise from or in connection with the use of the information. RFL and its affiliates, officers, directors, and employees may from time to time, effect or have effected an own account transaction in, or deal as principal or agent in or for the
mmendation and related information and opinions. The recipient should take this into account before interpreting the document. This report is not directed or intended for distribution, publication, availability or use by, any person or entity who is a citizen or resident of or located in a
on this document comes, should inform themselves about and observes, any such restrictions. Copy right in this document vests exclusively with Religare. This information should not be reproduced or redistributed or passed on directly or indirectly in any form to any other person
from Religare. We do not guarantee the integrity of any e-mails or attached files and are not responsible for any changes made to them by any other person

ed through analysis. No representation or warranty, express or implied, is made as to the accuracy,
mends that investors independently evaluate particular investments and strategies.The user assumes
or deal as principal or agent in or for the securities mentioned in this document. They may perform or
ho is a citizen or resident of or located in any locality, state, country or other jurisdiction, where such
r indirectly in any form to any other person or published, copied, in whole or in part, for any purpose,

HOME

Top performing Equity Funds - Growth Schem

Scheme Name

Current

Launch

Corpus

Minimum

Expense

NAV

Date

(Rs Crs)

Investment

Ratio

SENSEX Prudential ICICI Exchange
131.47
Traded Fund
Nifty BeES
Liquid BeES
Bank BeES
Junior BeES

376.35

BSE Sensex

0.72

25000

0.8

159.8

1

0.41

1000.00

3-Jul-03

165.35

2500000

0.6

505.39

26-May-04

3300.33

5000

0.45

67.78

14-Feb-03

3.39

1

1

Indices
S&P Nifty

9-Jan-03
18-Dec-01

3733.25
12786.77

Funds - Growth Scheme (04-April-07)
Returns Absolute % (P2P)
1 week

1 Month

3 Months

6 Months

Returns CA % (P2P)
1 Year

2 Years

3 Years

-0.72

-0.56

-7.53

5.01

10.86

40.16

31.09

-0.76

0.37

-7.83

4.94

6.81

35.02

26.73
4.79

0.19

0.82

1.86

3.37

6.14

5.37

-4.70

-3.34

-16.97

-4.26

4.46

17.18 --

-2.40

0.05

-7.42

2.82

0.57

24.00

24.35

-0.74

0.17

-6.41

6.20

7.18

34.51

26.52

-0.76

-0.77

-7.82

4.78

9.87

39.14

30.18

HOME

Top performing Equity Funds - Growth Scheme (04-April-07)

Scheme Name

Current

Launch

Corpus

Minimum

Expense

NAV

Date

(Rs Crs)

Investment

Ratio

Returns Absolute % (P2P)
3 Months

6 Months

Returns CA % (P2P)
1 Year

2 Years

3 Years

5 Years

Since Inception

Reliance NRI Equity Fund - Growth

22.69 11-Nov-04

121.23

50000

2.47

-9.61

0.64

18.29

40.64 --

Birla SunLife Frontline Equity Fund - Growth

48.16 30-Aug-02

127.64

5000

2.5

-5.40

8.35

16.22

40.72

Reliance RSF - Equity - Growth

14.02 10-May-05

160.5

500

2.5

-12.34

-0.72

DBS Chola Opportunities Fund - Cumulative

25.32

8-Nov-97

10.15

3000

2.5

-10.02

6.88

15.20

28.48

PRINCIPAL Global Opportunities Fund - Growth
14.9142 (03-Apr-07)
19-Mar-04

441.25

25000

0.33

1.51

15.42

14.08

17.71 --

2015.41

5000

1.9

-7.38

11.62

12.08

49.92

46.16 --

5000

0

-7.33

10.95

12.01

42.54

35.58

37.74

16.38

40.32

22.78

Prudential ICICI Dynamic Plan - Growth

61.42 18-Oct-02

Franklin India Growth Fund

28.18

Franklin India Prima Plus - Growth

7-Feb-00 25.06 (30-Sep-04)

15.86 --

--

40.89

32.98 --

20.03

--

-29.84

20.26
21.47

--

14.18
50.68

130.55 28-Sep-94

878.7

5000

2.09

-7.33

10.96

11.99

42.53

36.38

DSP ML Top 100 Equity Fund - Growth

54.46 21-Feb-03

327.48

5000

2.3

-5.91

9.05

9.99

41.76

33.58 --

SBI Magnum Global Fund 94 - Growth

40.36 30-Sep-94

1361.77

2000

2.19

-11.00

10.58

9.85

50.33

56.73

42.96

Average

10.44

51.63
13.02

-9.03

3.37

-0.27

33.38

32.74

36.28

20.37

Minimum

-22.66

-11.59

-25.12

11.02

15.05

19.49

-12.30

Maximum

2.73

18.15

18.29

50.33

56.73

59.14

57.80

Indices
S&P Nifty

3733.25

-6.41

6.20

7.18

34.51

26.52

26.63

12786.77

-7.82

4.78

9.87

39.14

30.18

29.47

BSE200

1520.40

-8.79

3.22

4.35

31.33

25.91

30.02

CNX500

3082.65

-7.37

4.54

3.00

30.72

26.71

31.22

CNX Midcap

4752.20

-9.08

1.80

-3.72

25.59

28.07

36.26

BSE SMALL CAP

6386.48

-10.68

3.76

-6.50

28.17

48.78 --

BSE Sensex

HOME

Top performing Equity Largecap Funds (04-Apr
Current

Launch

Corpus

Minimum

Expense

NAV

Date

(Rs Crs)

Investme
nt

Ratio

Scheme Name

Returns Absolute % (P2P)
3 Months

Birla SunLife Frontline Equity Fund - Growth

48.16 30-Aug-02

127.64

5000

SBI Magnum Equity Fund - Growth

26.13

1-Jan-91

282.78

1000 2.37 (31-Dec-06)

-6.68

Principal Resurgent India Equity Fund - Growth

70.16

30-Jun-00

189.42

5000

2.34

-3.76

Principal Large Cap Fund - Growth

15.94

19-Oct-05

264.42

5000

2.3

-7.06

Sahara Growth Fund - Growth

47.04 12-Aug-02

3.68

3000

2.45

-7.42

HSBC Equity Fund - Growth

66.19

3-Dec-02

936.53

5000

2.03

-8.89

Reliance Equity Fund - Growth

10.79

7-Mar-06

4455.25

5000

1.76

-8.48

UTI Leadership Equity Fund - Growth

11.42

30-Jan-06

1027.84

5000

1.95

-9.08

Prudential ICICI Growth Plan - Cumulative

87.24

19-Jun-98

430.64

5000

2.29

-7.17

DBS Chola Growth Fund -Growth

28.91

7-Sep-01

33.93

5000

2.5

-11.21

Average

2.5

-5.40

-8.66

Minimum

-13.56

Maximum

-1.69

Indices
S&P Nifty
BSE Sensex
BSE100

3733.25

-6.41

12786.77

-7.82

6431.87

-8.55

ecap Funds (04-April-07)

Returns Absolute % (P2P)
6 Months

Returns CA % (P2P)
1 Year

2 Years

3 Years

5 Years

Since
Inception

8.35

16.22

40.72

32.98 --

9.70

8.73

43.44

33.68

30.63

12.01

10.16

7.52

32.85

28.14

45.74

33.38

--

20.03

5.70

6.62 --

--

6.87

6.26

39.70

36.90

32.39 --

7.33

5.44

40.01

34.00

32.33 --

1.70

5.06 --

--

--

54.91
7.79

5.84

4.96 --

--

--

11.96

4.65

4.87

39.39

32.39

34.11

28.12

1.83

4.52

30.52

29.22

35.73

37.20
23.29

3.48

0.49

32.84

29.66

35.34

-8.64

-13.01

20.13

15.05

24.31

0.65

12.06

16.22

43.44

36.60

53.03

54.91

6.20

7.18

34.51

26.52

26.63

4.78

9.87

39.14

30.18

29.47

3.35

5.61

34.74

27.83

29.74

HOME

Top performing Equity Flexicap Fund (04-Ap

Scheme Name

Current

Launch

Corpus

Minimum

Expense

NAV

Date

(Rs Crs)

Investment

Ratio

Reliance RSF - Equity - Growth

14.02 10-May-05

160.5

500

DBS Chola Opportunities Fund - Cumulative

25.32

8-Nov-97

10.15

3000

2.5

PRINCIPAL Global Opportunities Fund - Growth
14.9142 (03-Apr-07)
19-Mar-04

441.25

25000

0.33

Prudential ICICI Dynamic Plan - Growth

2.5

61.42 18-Oct-02

2015.41

5000

1.9

130.55 28-Sep-94

878.7

5000

2.09

Fidelity Equity Fund - Growth

20.18 19-Apr-05

2659.47

5000

1.86

HSBC India Opportunities Fund - Growth

26.14 13-Feb-04

607.88

5000

2.28

Quantum Long-Term Equity Fund - Growth

11.27 25-Feb-06

30.45

5000

2.5

DSP ML Equity Fund

36.85 15-Apr-97

706.62

5000

2.11

Prudential ICICI Power - Growth

75.77 24-Aug-94

1357.81

5000

2

Franklin India Prima Plus - Growth

Average
Minimum
Maximum
Indices
S&P Nifty
BSE Sensex

3733.25
12786.77

CNX500

3082.65

CNX Midcap

4752.20

BSE MID CAP

5280.07

ity Flexicap Fund (04-April-07)
Returns Absolute % (P2P)
3 Months

6 Months

Returns CA % (P2P)
1 Year

2 Years

15.86 --

3 Years
--

5 Years

-12.34

-0.72

-10.02

6.88

15.20

28.48

1.51

15.42

14.08

17.71 --

-7.38

11.62

12.08

49.92

46.16 --

-7.33

10.96

11.99

42.53

36.38

9.71 --

-29.84

20.26
21.47

--

--

Since
Inception
10.44
14.18
50.68

40.32

22.78

-4.67

11.09

-12.43

8.32

9.49

-7.92

0.18

8.89 --

-6.34

11.03

8.77

35.26

35.60

34.84

21.30

-8.08

5.57

7.26

42.93

37.51

44.20

17.56
19.89

40.22

--

45.14

37.63 --

36.21

--

--

11.44

-9.14

2.69

-1.15

31.82

32.68

35.67

-20.65

-9.78

-25.12

11.02

16.03

19.49

-3.84

1.51

15.42

15.86

49.92

47.78

46.18

50.68

-6.41

6.20

7.18

34.51

26.52

26.63

-7.82

4.78

9.87

39.14

30.18

29.47

-7.37

4.54

3.00

30.72

26.71

31.22

-9.08

1.80

-3.72

25.59

28.07

36.26

-11.14

2.98

-4.25

29.19

34.49 --

HOME

Top performing Equity Midcap Funds(04-AprilCurrent

Launch

Corpus

Minimum

Expense

NAV

Date

(Rs Crs)

Investme
nt

Ratio

Scheme Name

40.36

2000 2.19 (28-Feb-07)

-11.00

Sundaram BNP Paribas Select Midcap - Growth

84.63

19-Jul-02 1962.29 (28-Feb-07)
5000 2.08 (28-Feb-07)

-10.19

253.67

7-Oct-95 3243.92 (28-Feb-07)
5000 1.88 (28-Feb-07)

Prudential ICICI Fusion Fund - Growth

11.17

27-Feb-06

SBI Magnum Midcap Fund - Growth

20.39

Prudential ICICI Emerging STAR Fund - Growth

26.04

Birla Mid Cap Fund - Growth

1361.77

3 Months

SBI Magnum Global Fund 94 - Growth
Reliance Growth - Growth

30-Sep-94

Returns Absolute % (P2P)

-6.88

640.51

5000 2.10 (28-Feb-07)

-11.28

17-Mar-05

409.89

5000 2.30 (28-Feb-07)

-10.92

25-Sep-04

1058.42

5000 2.04 (28-Feb-07)

-11.46

58.92

1-Oct-02 228.43 (28-Feb-07)
5000 2.42 (28-Feb-07)

-9.87

Standard Chartered Premier Equity Fund - Growth
12.83

26-Sep-05 161.21 (28-Feb-07)
25000 2.13 (28-Feb-07)

-5.04

Principal Junior Cap Fund - Growth

13.71

8-Jun-05

70.39

5000 2.23 (28-Feb-07)

-5.58

SBI Magnum Sector Umbrella - Emerging Businesses
27.14
- Growth
17-Sep-04

256.37

2000 2.30 (28-Feb-07)

-12.56

Average

-10.75

Minimum

-16.66

Maximum

-5.04

Indices
S&P Nifty

3733.25

-6.41

12786.77

-7.82

BSE200

1520.40

-8.79

CNX500

3082.65

-7.37

CNX Midcap

4752.20

-9.08

BSE MID CAP

5280.07

-11.14

BSE Sensex

cap Funds(04-April-07)

Returns Absolute % (P2P)

6 Months

Returns CA % (P2P)

1 Year

2 Years

3 Years

5 Years

10.58

9.85

50.33

56.73

2.56

8.05

47.92

52.64 --

8.81

7.63

43.20

48.32

7.09

5.18 --

--

--

10.60

7.54

3.66 --

--

--

43.79

45.68 --

--

48.20

40.11 --

48.72

10.20

2.16

2.59

-1.07

33.12

42.96

Since
Inception
13.02
57.80

59.14

32.48

13.64

-1.57 --

--

--

17.85

6.94

-2.97 --

--

--

19.62

4.30

-4.64

34.38 --

--

48.28

4.23

-4.18

32.45

43.33

49.57

-4.60

-24.07

14.35

27.87

42.96

26.16
-8.10

13.82

9.85

50.33

56.73

59.14

57.80

6.20

7.18

34.51

26.52

26.63

4.78

9.87

39.14

30.18

29.47

3.22

4.35

31.33

25.91

30.02

4.54

3.00

30.72

26.71

31.22

1.80

-3.72

25.59

28.07

36.26

2.98

-4.25

29.19

34.49 --

HOME

Top performing Index Funds (04-April-07)
Current Launch
Scheme Name
Tata Index Fund - Sensex Plan - Option A

NAV

Date

Corpus

Expense

Minimum

(Rs Crs)

Ratio

Investment

Returns Absolute % (P2P)
3 Months

6 Months

Returns CA % (P2P)
1 Year

2 Years

3 Years

5 Years

Since
Inception

32.41

24-Feb-03

2.66

5000

1.49

-7.63

4.10

10.96

36.37

29.32 --

35.59

SENSEX Prudential ICICI Exchange Traded Fund131.47

9-Jan-03

0.72

25000

0.8

-7.53

5.01

10.86

40.16

31.09 --

38.04

LIC MF Index Fund - Sensex Plan - Growth

26.88

28-Nov-02

32.01

2000

2.5

-8.39

2.37

10.60

35.29

24.54 --

UTI Master Index Fund - Growth

40.15

30-Jun-98

45.45

5000

0.75

-7.75

4.67

10.30

39.78

30.99

ING Vysya Nifty Plus Fund - Growth

19.35

6-Feb-04

3.6

5000

2.5

-5.61

6.91

9.32

33.73

25.19 --

23.63

HDFC Index Fund - Sensex Plus Plan

136.59

10-Jul-02

11.98

5000

1.5

-7.05

5.38

9.07

37.89

31.20 --

35.87

HDFC Index Fund - Sensex Plan

117.71

10-Jul-02

26.2

5000

1.5

-8.27

3.15

9.06

37.20

28.89 --

34.09

16-Jan-02

9.27

5000

2.11

-6.53

4.83

8.97

34.20

26.52

S&P CNX NIFTY UTI National Depository Receipts
382.61
Scheme 11-Jul-03

11.81

50000000

0.5

-5.92

7.05

8.50

35.00

27.47 --

Prudential ICICI Index Fund

19.94

5000

1.25

-6.19

5.98

8.36

37.99

28.11

28.01

26.50

Average

-7.11

4.50

7.36

34.46

26.98

27.61

28.19

Minimum

-9.43

1.21

-0.44

22.52

18.33

25.01

12.98

Maximum

-5.61

7.05

10.96

40.16

31.20

30.41

43.34

3733.25

-6.41

6.20

7.18

34.51

26.52

26.63

12786.77

-7.82

4.78

9.87

39.14

30.18

29.47

SBI Magnum Index Fund - Growth

33.20

25-Feb-02

26.96
30.41

31.65
27.03

BSE Sensex

27.55
43.34

Indices
S&P Nifty

17.02

HOME

Top performing Sector Funds (04-April-07)

Scheme Name

Current

Launch

Corpus

Minimum

Expense

NAV

Date

(Rs Crs)

Investme
nt

Ratio

Sector

IT
Media
DSP ML Technology.com Fund - Growth
IT
Prudential ICICI Technology Fund - Growth
IT
Birla SunLife New Millennium - Growth
IT
UTI Growth Sector Fund - Software - Growth
IT
Franklin Infotech Fund - Growth
IT
Kotak Tech Fund
IT
UTI Thematic Banking Sector Fund - GrowthBanking
Prudential ICICI Service Industries Fund - Growth
Services

3-Jul-99

111.87

Returns Absolute % (P2P)

3 Months

6 Months

Returns CA % (P2P)

1 Year

2 Years

3 Years

SBI Magnum Sector Umbrella - Infotech

26.96

2000 2.50 (28-Feb-07)

-3.58

30.24

36.71

55.01

Reliance Media & Entet Fund - Growth

24.20 27-Sep-04 69.92 (28-Feb-07)5000 2.23 (28-Feb-07)

3.18

25.81

21.70

50.22 --

24.77 10-Apr-00

5 Years

54.45

33.22
--

Since
Inception
19.81
42.54

70.22

5000 2.26 (28-Feb-07)

2.60

38.91

33.51

49.64

47.26

38.53

14.07

166.38

5.62

14.74

28-Jan-00

5000 2.39 (28-Feb-07)

-6.05

34.00

25.77

45.21

46.38

34.96

19.66

15-Jan-00 118.92 (28-Feb-07)
5000 2.50 (28-Feb-07)

-4.14

23.03

22.19

44.47

46.11

34.88

9.81

26.45

26-Jun-99 125.02 (28-Feb-07)
5000 2.35 (28-Feb-07)

-6.96

24.35

24.53

42.26

39.62

26.44

14.93

51.12 22-Aug-98 181.18 (28-Feb-07)
5000 2.37 (28-Feb-07)

-8.78

15.09

17.17

34.62

41.81

28.77

30.95

10.01 24-Mar-00 44.45 (28-Feb-07)5000 2.25 (28-Feb-07)

-9.27

17.52

16.43

30.15

35.22

26.77

18.82

-9.48

6.63

14.41

20.51 --

--

22.86

-7.24

22.46

--

--

32.63

7-Apr-04 63.32 (28-Feb-07)5000 2.50 (28-Feb-07)

14.61 11-Nov-05

Average

465.98

5000 2.24 (28-Feb-07)

20.84 --

0.01

-8.29

7.09

2.95

31.71

32.23

29.43

20.49

Minimum

-22.66

-15.94

-19.76

15.11

9.64

15.19

-12.30

Maximum

3.18

38.91

36.71

55.01

54.45

42.35

52.08

Indices
S&P Nifty

3733.25

-6.41

6.20

7.18

34.51

26.52

26.63

12786.77

-7.82

4.78

9.87

39.14

30.18

29.47

BSE PSU

5890.04

-3.30

2.54

-5.28

16.91

12.94

29.91

BSE Teck

3454.98

-6.68

17.60

23.24

40.52

42.45

29.17

BSE FMCG

1713.11

-9.21

-15.45

-25.26

27.47

20.74

12.54

BSE Bankex

6253.61

-11.86

4.98

14.27

25.57

26.57

BSE AUTO

4591.92

-19.17

-14.64

-16.08

BSE Sensex

31.41 --

39.18
--

HOME

Top performing ELSS Funds (04-April-07)

Scheme Name
SBI Magnum Tax Gain Scheme 93

Current

Launch

Corpus

Minimum

Expense

NAV

Date

(Rs Crs)

Investme
nt

Ratio

Returns Absolute % (P2P)
3 Months

6 Months

Returns CA % (P2P)
1 Year

2 Years

3 Years

5 Years

Since
Inception

41.87

31-Mar-93

1663.97

500

2.14

-6.56

11.97

12.04

40.37

51.40

44.14

16.93

Franklin India Taxshield 97

118.96

31-Mar-97

11.42

500

2.5

-3.34

7.18

9.22

33.36

31.26

36.23

26.70

Franklin India Taxshield 99

69.18

31-Mar-99

5.25

500

2.49

-7.89

9.21

9.10

32.76

33.47

30.21

26.92

Fidelity Tax Advantage Fund - Growth

11.96

31-Jan-06

707.74

5000

2.25

-5.00

8.87

7.80 --

117.80

31-Mar-98

1.56

500

2.49

-3.46

7.84

7.75

34.06

30.63

34.23

30.36

Franklin India Index Tax Fund

29.18

26-Feb-01

3.01

500

1.5

-6.27

6.30

7.60

34.66

26.89

27.04

19.17

Birla SunLife Tax Relief 96

86.09

29-Mar-96

314.08

500

2.5

-5.94

8.37

4.60

37.94

26.61

33.96

35.17

120.59

1-Jan-96

38.84

500

2.5

-5.29

13.70

3.64

22.84

24.68

29.33

30.16

PRINCIPAL Tax Savings Fund

71.48

31-Mar-96

167.49

500

2.43

-6.04

11.63

2.58

38.62

38.64

40.50

20.98

Kotak Taxsaver - Growth

13.60

25-Oct-05

175.33

500

2.4

-5.76

15.22

2.28 --

Franklin India Taxshield 98

Principal Personal Taxsaver

--

--

--

17.70

--

25.22

Average

-10.07

2.95

-1.44

30.50

30.96

34.81

19.39

Minimum

-33.62

-20.51

-20.57

8.26

14.86

23.79

-11.10

Maximum

-3.34

15.22

12.04

40.37

51.40

48.34

40.85

Indices
S&P Nifty

3733.25

-6.41

6.20

7.18

34.51

26.52

26.63

12786.77

-7.82

4.78

9.87

39.14

30.18

29.47

CNX500

3082.65

-7.37

4.54

3.00

30.72

26.71

31.22

CNX Midcap

4752.20

-9.08

1.80

-3.72

25.59

28.07

36.26

BSE Sensex

HOME

Top performing Arbitrage Funds (04-April-07)
Current

Launch

Corpus

Minimum

Expense

NAV

Date

(Rs Crs)

Investmen
t

Ratio

Scheme Name
Prudential ICICI Blended Plan - Option A - Growth

1 Month

495.01

5000

1169.25

14-Dec-04

49.02

200000

Kotak Cash Plus - Growth

11.20

21-Sep-05

77.52

5000

1

JM Equity & Derivative Fund - Growth

11.54

21-Feb-05

249.03

5000

1.15

Benchmark Derivative Fund - Growth

11.57 18-May-05

Returns SA % (P2P)

Average

1.5

10.13

3 Months

Returns CA % (P2P)

6 Months

1 Year

2 Years

3 Years

5 Years

Since
Inception

10.80

10.28

9.50 --

--

--

8.22

11.45

9.14

8.58 --

--

--

7.06

13.63

10.91

8.76

8.45 --

--

--

7.66

7.12

7.97

7.30

7.69

6.97 --

--

7.10
9.21

1.49 --

11.18

10.79

9.03

8.56

6.97 --

--

Minimum

7.12

7.97

7.30

7.69

6.97 --

--

7.06

Maximum

13.63

11.70

10.28

9.50

6.97 --

--

13.07

3733.25

1.93

-25.98

12.43

7.18

34.51

26.52

26.63

12786.77

-8.53

-31.72

9.58

9.87

39.14

30.18

29.47

Indices
S&P Nifty
BSE Sensex

HOME

Top performing Balanced Funds (04-April-07)
Current

Scheme Name

NAV

Launch

Date

Corpus

Minimum

Expense

(Rs Crs)

Investment

Ratio

Benchmark Split Capital Fund - Plan B - Capital Units 132.98 19-Jul-05
HDFC Prudence Fund - Growth
108.40 31-Jan-94
Franklin India Balanced Fund - Growth
34.15 13-Jul-00 44.05
FT India Balanced Fund - Growth
31.62 10-Dec-99
Birla SunLife 95 - Growth
171.02 11-Feb-95
JM Balanced - Growth
21.69 22-Dec-94
Reliance RSF - Balanced - Growth
10.95 10-May-05
DSP ML Balanced Fund - Growth
36.86 14-May-99
Birla Balance Fund - Growth
26.98 4-Oct-99
Prudential ICICI Balanced - Growth
33.03 7-Oct-99
Average
Minimum
Maximum
Indices
S&P Nifty
BSE Sensex
CNX500
Crisil Balanced Fund Index
CNX Midcap

3733.25
12786.77
3082.65
2378.5600 (02-Apr-07)
4752.20

1.17
2104.78
(29-Jun-04)
253.76
128.58
13.83
14.54
394.79
115.53
452.69

5000 -5000
5000
5000
5000
1000
500
5000
5000
5000

1.93
0
2.34
2.46
2.5
2.25
2.01
2.45
2.17

Returns Absolute % (P2P)

3 Months

6 Months

3.78
-5.65
-3.93
-3.94
-2.59
-7.94
-5.39
-5.55
-4.22
-5.55

8.26
6.06
6.76
6.75
5.83
3.53
-1.78
5.75
4.13
5.93

-5.33
-10.97
3.78

3.17
-3.48
9.25

-6.41
-7.82
-7.37
-2.70
-9.08

6.20
4.78
4.54
5.46
1.80

Returns CA % (P2P)

1 Year
16.85 -12.13
9.99
9.99
7.12
6.22
6.19 -5.51
5.39
5.22

2 Years

3 Years
--

5 Years

28.38
23.32
28.13

25.73
19.26
27.19

29.97
24.37
28.86

18.14
19.87
18.27
17.03
26.32
11.60
4.98
18.05
14.18
17.47

2.70
-12.65
16.85

25.18
11.51
34.74

23.49
10.05
34.67

26.00
15.11
36.69

15.86
4.98
26.32

7.18
9.87
3.00
7.96
-3.72

34.51
39.14
30.72
22.66
25.59

26.52
30.18
26.71
16.98
28.07

26.63
29.47
31.22
18.80
36.26

33.85
27.71
27.71
28.96
28.92

--

Since
Inception

32.58
24.00
23.37
26.41
23.01
--

36.69
27.96
27.44
29.23
15.11
--

HOME

Top performing MIPs (04-April-07)

Scheme Name

NAV

Launch

Corpus

Minimum

Expense

Date

(Rs Crs)

Investment

Ratio

3-Sep-04 62.27 (28-Feb-07)

Returns Absolute %
(P2P)
3 Months

Returns CA % (P2P)

6 Months

1 Year

2 Year

3 Years

Since
Inception

ABN AMRO MIP - Growth

12.89

5000 2.25 (28-Feb-07)

-0.90

6.40

9.82

10.39 --

Prudential ICICI Income Multiplier Fund - Cumulative

14.32 27-Feb-04

466.63

5000 1.99 (28-Feb-07)

-0.60

4.12

8.32

14.46

DSP ML Savings Plus - Aggressive Fund - Growth

13.83 20-May-04

65.23

10000 2.11 (28-Feb-07)

0.95

5.28

8.24

12.34 --

HDFC MIP - LTP - Growth

14.67

8-Dec-03 1161.55 (28-Feb-07)

5000 1.83 (28-Feb-07)

-0.04

3.57

7.01

13.59

11.79

12.43

Birla SunLife MIP - Growth

25.10

14-Jul-99 129.62 (28-Feb-07)

5000 2.19 (28-Feb-07)

-0.52

2.81

6.65

9.45

7.20

12.65

HSBC MIP - Savings Plan - Growth

13.08 13-Feb-04 69.54 (28-Feb-07)

5000 1.95 (28-Feb-07)

-1.04

3.53

6.57

10.57

8.57

9.01

DSP ML Savings Plus - Moderate Fund - Growth

15.17 21-Feb-03

10000 2.01 (28-Feb-07)

0.31

3.81

6.29

9.79

8.62

10.78

Birla MIP - Savings 5 - Growth

11.63 30-Apr-04 6.17 (28-Feb-07)

5000 1.50 (28-Feb-07)

1.08

2.68

6.24

5.90 --

HSBC MIP - Regular Plan - Growth

12.25 13-Feb-04 49.84 (28-Feb-07)

5000 1.95 (28-Feb-07)

-0.37

2.70

6.22

7.83

DSP ML Savings Plus - Conservative Fund - Growth

12.10 20-May-04

10000 1.41 (28-Feb-07)

0.78

3.58

6.01

7.28 --

158.63

10.58

10.53
12.74

12.64
12.23

5.31
6.43

6.73
7.01

Average

-0.87

2.27

4.46

8.48

7.48

Minimum

-3.79

-0.47

1.59

4.99

4.82

4.54

Maximum

1.80

6.40

9.82

14.46

12.74

12.65

Indices
S&P Nifty

3733.25

-6.41

6.20

7.18

34.51

26.52

12786.77

-7.82

4.78

9.87

39.14

30.18

Crisil MIP Blended Index

1522.9600 (02-Apr-07)

-0.59

2.19

5.11

8.29

6.04

Crisil Composite Bond Fund Index

1296.5500 (02-Apr-07)

-0.05

0.92

3.70

3.58

2.32

BSE Sensex

8.48

HOME

Top performing Fund of Funds (04-A
Scheme Name

NAV

Launch

Corpus

Minimum

Expense

Date

(Rs Crs)

Investment

Ratio

FT India Dynamic PE Ratio Fund Of Funds - Growth

23.65

31-Oct-03

39.78

5000

0

Prudential ICICI Aggressive Plan - Growth

20.27 28-Nov-03

7.66

5000

0.55

Prudential ICICI Moderate Plan - Growth

16.95 28-Nov-03

10.16

5000

0.45

Prudential ICICI Cautious Plan - Growth

13.51 28-Nov-03

5.06

5000

0.35

Prudential ICICI Very Cautious Plan - Growth

11.97 28-Nov-03

6.08

5000

0.2

Fidelity Multi Manager Cash Fund - Growth

10.85

4-Jan-06

55.77

5000

0.35

Birla AAF - Conservative Plan - Growth

14.05

23-Jan-04

6.36

5000

0.35

Standard Chartered ASBF - Plan A - Growth

11.44 27-Aug-04

28.87

500

0.44
0.25

FT India Life Stage - 50s Plus Floating Rate Plan - Growth
13.53

2-Jul-04

216.04

5000

Prudential ICICI Very Aggressive Plan - Growth

23.67 28-Nov-03

8.35

5000

0.7

Birla AAF - Moderate Plan - Growth

17.12

23-Jan-04

4.73

5000

0.35

Birla AAF - Aggressive Plan - Growth

19.54

23-Jan-04

7.92

5000

0.35

FT India Life Stage - 50s Plus Plan - Growth

12.92 29-Nov-03

20.08

5000

0.25

FT India Life Stage - 40s Plan - Growth

15.04 29-Nov-03

23.12

5000

0.5

FT India Life Stage - 30s Plan - Growth

17.59 29-Nov-03

12.23

5000

0.75

FT India Life Stage - 20s Plan - Growth

21.70 29-Nov-03

18.14

5000

0.75

Kotak Equity FOF - Growth

23.59

72.76

5000

0.74

5000

0.75

ABN AMRO Multi Manager Fund - Growth

19-Jul-04

10.1823 (28-Mar-07)
31-Mar-06 117.84 (29-Dec-06)

ABN AMRO Multi Manager Fund - Series 3 - Growth
9.8417 (28-Mar-07)
28-Nov-06

179.53

ABN AMRO Multi Manager Fund Series 2 A -10.0796
Growth (28-Mar-07)
18-Sep-06 59.77 (29-Dec-06)

5000 -25000 --

OptiMix Asset Allocator Multi Manager FoF Scheme
10.8590- (03-Apr-07)
Growth 31-Jul-06

191.43

5000

OptiMix Financial Planning Multi-Manager FoF
9.9893
Scheme
(03-Apr-07)
- Plan A28-Nov-06
- Growth

0.13

5000 --

OptiMix Financial Planning Multi-Manager FoF
9.8452
Scheme
(03-Apr-07)
- Plan B28-Nov-06
- Growth

0.05

5000 --

OptiMix Financial Planning Multi-Manager FoF
9.8035
Scheme
(03-Apr-07)
- Plan C28-Nov-06
- Growth

0.2

5000 --

OptiMix Financial Planning Multi-Manager FoF
9.7803
Scheme
(03-Apr-07)
- Plan D28-Nov-06
- Growth

0.16

5000 --

OptiMix Financial Planning Multi-Manager FoF
9.5965
Scheme
(03-Apr-07)
- Plan E28-Nov-06
- Growth

0.2

5000 --

OptiMix Financial Planning Multi-Manager FoF
9.5942
Scheme
(03-Apr-07)
- Plan F28-Nov-06
- Growth

3.08

5000 --

OptiMix Income Growth Multi Manager FoF Scheme
10.4246- (03-Apr-07)
15% EQ Plan
7-Apr-06
- Gr

49.02

5000

0.75

OptiMix Income Growth Multi Manager FoF Scheme
10.1614- (03-Apr-07)
30% EQ Plan
7-Apr-06
- Gr

53.31

5000

0.75

Prudential ICICI Moderate Plan - NRI - Growth
--

28-Jan-04 --

50000 --

Prudential ICICI Very Aggressive Plan - NRI - --Growth

28-Jan-04 --

50000 --

Prudential ICICI Very Cautious Plan - NRI - Growth
--

28-Jan-04 --

50000 --

Average
Minimum
Maximum
Indices
S&P Nifty
BSE Sensex

3733.25
12786.77

Crisil MIP Blended Index

1522.9600 (02-Apr-07)

Crisil Composite Bond Fund Index

1296.5500 (02-Apr-07)

Crisil Balanced Fund Index

2378.5600 (02-Apr-07)

Crisil Liquid Fund Index

1289.1600 (02-Apr-07)

CRISIL Short-Term Bond Fund Index

1291.5300 (02-Apr-07)

0.75

g Fund of Funds (04-April-07)
Returns Absolute %
(P2P)
1 Month

3 Months

Returns CA % (P2P)
6 Months

1 Year

2 Year

Since
Inception

3 Years

-0.28

-5.16

2.05

8.80

29.26

24.68

28.23

-0.37

-4.56

6.31

8.68

30.28

25.53

23.90

0.04

-2.59

5.56

8.18

23.00

17.97

17.37

0.56

0.05

4.92

7.70

11.99

9.38

9.57

0.86

2.04

3.82

7.13

6.19

5.65

5.60

0.77

1.97

3.76

7.01 --

0.26

-0.57

3.97

6.60

11.92

11.23

0.45

1.44

3.10

6.45

5.66 --

-12.55

6.85
5.40

0.58

-0.30

3.73

6.28

11.43 --

-0.88

-7.18

5.73

5.84

37.56

32.44

29.88

-0.63

-4.22

4.22

5.19

20.28

19.66

18.31

-0.87

-5.94

4.78

5.06

26.47

25.36

23.31

-0.30

-1.47

1.53

3.84

9.13

7.13

7.97

-0.35

-2.45

1.48

3.32

13.50

11.99

13.00

-0.66

-4.91

1.60

2.47

19.56

17.05

18.41

-0.74

-7.07

1.99

2.24

27.35

24.32

26.09

-0.96

-8.13

1.43

0.20

32.70 --

-0.41

-3.20

1.40 --

--

--

1.84

--

--

--

-1.58

1.41

-4.61 --

-0.21

-2.25 --

-2.21

-10.86

11.68

38.22

--

--

--

0.80

-3.00 --

--

--

8.59

0.22

-0.56 --

--

--

--

-0.11

-0.29

-2.05 --

--

--

--

-1.55

-0.40

-3.03 --

--

--

--

-1.97

-0.75

-3.85 --

--

--

--

-2.20

-1.09

-5.27 --

--

--

--

-4.04

-1.44

-5.46 --

--

--

--

-4.06

-0.10

-1.97

1.76 --

--

--

4.25

-1.02

-3.99

1.24 --

--

--

1.61

--

--

--

--

--

--

--

--

--

--

--

--

--

--

--

--

--

--

--

--

--

-0.30

-3.32

2.92

5.59

19.81

17.93

10.23

-2.21

-10.86

-3.00

0.20

5.66

5.65

-4.06

1.41

2.04

6.31

8.80

37.56

32.44

38.22

0.17

-6.41

6.20

7.18

34.51

26.52

-0.77

-7.82

4.78

9.87

39.14

30.18

0.55

-0.59

2.19

5.11

8.29

6.04

0.16

-0.05

0.92

3.70

3.58

2.32

1.78

-2.70

5.46

7.96

22.66

16.98

0.87

1.87

3.42

6.49

5.73

5.21

0.59

0.91

2.02

5.58

4.80

4.16

HOME

Top performing Income Funds (04-April-07)

Scheme Name

NAV

Launch

Corpus

Minimum

Expense

Date

(Rs Crs)

Investment

Ratio

Returns SA % (P2P)

3 Months

Returns CA % (P2P)

6 Months

1 Year

2 Year

3 Years

5 years

ABN AMRO Flexi Debt Fund - Growth

11.62

3-Sep-04

234.99

5000

0.4

8.97

9.64

9.22

7.08 --

Birla SunLife Income Fund - Growth

25.90

3-Mar-97

32.84

5000

1.64

3.69

7.54

7.96

5.86

3.85

--

Prudential ICICI Flexible Income Plan - Growth

13.76

21-Sep-02

547.36

5000

0.38

8.77

8.08

7.71

6.33

4.70 --

Kotak Flexi Debt Fund - Growth

11.65

30-Nov-04

514.36

5000

0.62

8.10

7.78

7.63

6.81 --

Libra Bond Fund - Growth

14.25 18-Aug-01

1.07

1000

1.66

8.16

10.32

7.47

3.19

Prudential ICICI Blended Plan - Option B - Growth

11.26 18-May-05

58.54

5000

1.49

7.23

7.00

7.36 --

Prudential ICICI L T P - Cumulative

15.65

27-Mar-02

8.06

5000

0.75

7.77

6.87

7.32

PRINCIPAL Income Fund - I P - Growth

12.40

8-May-03

386.94

100000

1.1

4.40

5.06

Sahara Income Fund - Growth

13.12

14-Feb-02

1.41

3000

1.49

7.49

PRINCIPAL Income Fund - Growth

10.53

25-Oct-00

386.94

5000

1.53

3.90

6.14
6.40

--

9.89
7.31

-5.28

Since
Inception

6.79
5.28

6.51

--

6.66

6.98

8.03 --

9.33

7.26

6.28

4.57 --

10.14

7.24

5.56

3.71

5.44

5.52

4.60

6.81

5.72

3.96

6.70

9.12
7.16

5.65

Average

2.81

4.23

5.27

4.67

3.40

5.75

Minimum

-9.83

-7.07

1.00

2.24

1.48

4.79

0.10

Maximum

8.97

10.32

9.22

7.08

8.03

7.06

10.17

Indices
Crisil Composite Bond Fund Index

1296.5500 (02-Apr-07)

-0.22

1.86

3.70

3.58

2.32

5.23

CRISIL Short-Term Bond Fund Index

1291.5300 (02-Apr-07)

3.78

4.10

5.58

4.80

4.16

5.22

Home

Top performing Gilts Short Term Plans (04-Ap

Scheme Name

NAV

Launch

Corpus

Minimum

Expense

Date

(Rs Crs)

Investmen
t

Ratio

Ret

1 Day

SBI Magnum Gilt STP - Growth

14.90 21-Dec-00

9.43

25000

1.1

7.11

Tata G S S M F - Growth

12.17

10-Jan-03

222.85

10000

1.23

6.30

HSBC Gilt Fund - STP - Growth

11.22

2-Dec-03

1.39

5000

1

5.53

UTI G-Sec Fund - STP - Growth

11.74 15-Dec-03

Grindlays G Sec Fund - Short Term - Plan A - Growth12.64

102.96

1000

0.75

7.16

1-Mar-02

0.67

500

0.6

6.35
5.70

Reliance G Sec Fund - STP - Retail - Growth

11.52

4-Jul-03

7.61

100000

1.25

Birla GPLP - Growth

18.20

11-Oct-99

19.17

5000

0.75

6.02

Templeton India GSF - Treasury Plan - Growth

13.96

11-Feb-02

91.36

5000

0.9

14.12

HDFC Gilt Fund - S T P - Growth

13.70

17-Jul-01

12.85

500

1.33

6.13

PRINCIPAL G Sec - Savings - Growth

14.08 23-Aug-01

1.71

5000

1

5.70

Average

9.82

Minimum

5.53

Maximum

31.17

Indices
NSE Treasury Bill Index

224.38

253.89

NSE G Sec Composite Index

242.98

-46.51

erm Plans (04-April-07)
Returns SA % (P2P)

1 Week

1 Month

Returns CA % (P2P)

3 Months

6 Months

1 Year

Since
Inception

8.69

8.44

8.25

6.90

5.45

6.54

16.94

8.34

7.46

6.75

5.97

5.02

14.03

7.52

6.63

6.17

5.03

3.51

3.51

6.32

5.98

5.94

5.99

4.88

11.62

6.90

5.95

5.59

4.63

4.72

5.94

5.46

5.74

5.57

3.72

3.84

3.76

5.09

5.32

6.87

6.56

8.33

-0.52

4.51

4.56

5.30

4.79

6.70

8.81

6.00

4.25

4.78

4.88

5.68

12.13

5.63

3.77

4.30

6.46

6.29

6.81

6.22

4.75

5.25

5.27

5.90

-5.17

2.88

1.35

3.48

3.72

3.51

16.94

8.71

8.25

6.90

6.56

8.33

44.77

15.85

9.04

8.24

7.12

-24.56

-8.18

-9.44

0.44

-0.95

Home

Top performing Gilt Long Term Plans (04-A

Scheme Name

NAV

Launch

Corpus

Minimum

Expense

Date

(Rs Crs)

Investmen
t

Ratio

Birla GPRP - Growth

23.34

11-Oct-99

56.53

5000

Birla SunLife G Sec Fund - LT - Growth

19.84

28-Oct-99

2.21

5000

1.5

BOB Gilt Fund - Growth

11.40

5-Mar-02

0.54

2000

0.59

Grindlays G Sec Fund - Investment - Plan A - Growth

13.75

1-Mar-02

5.69

500

1.6

Prudential ICICI GFIP - Growth

22.40

9-Aug-99

106.38

25000

1.15

Reliance G Sec Fund - LTP - Retail - Growth

12.70

4-Jul-03

47.29

100000

1.25

Sahara Gilt Fund - Growth

12.58

14-Feb-02

0.16

5000

1.32

SBI Magnum Gilt LTP - Growth

17.24 21-Dec-00

221.81

25000

1.31

Sundaram BNP Paribas Gilt Fund - Growth

13.51

30-Apr-01

1.11

5000

1.3

Templeton India GSF - LTP - Growth

16.45

7-Dec-01

56.28

10000

1.25

Average
Minimum
Maximum
Indices
NSE G Sec Composite Index

242.98

1.5

ng Term Plans (04-April-07)
Returns SA % (P2P)

3 Months

6 Months

Returns CA % (P2P)

1 Year

2 Years

3 Years

5 Years

Since
Inception

-2.16

5.20

7.22

5.56

2.94

7.30

11.99

2.11

4.91

5.17

3.85

1.87

6.65

9.64

7.05

6.63

5.87

5.05

2.15

2.57

2.63

0.74

5.31

6.22

5.40

2.87

6.16

6.48

-2.70

5.57

7.08

5.38

3.27

6.49

11.15

-2.68

3.38

5.65

5.44

4.88 --

7.82

8.12

7.78

5.20

2.42

4.41

4.65

3.61

4.56

5.38

4.63

2.17

5.72

9.08

6.14

5.89

4.84

4.28

3.24

4.22

5.21

-2.60

3.22

4.85

4.51

3.05

8.67

9.79
8.22

6.58

0.53

3.65

4.56

4.15

2.30

5.79

-9.95

-0.82

1.39

-0.19

0.25

2.57

2.63

7.82

8.12

7.78

6.33

4.88

8.67

11.99

-9.44

0.44

-0.95

1.36

-0.75

3.49

Home

Top performing Gilts Provident Fund Plans (

Scheme Name

NAV

Launch

Corpus

Minimum

Expense

Date

(Rs Crs)

Investmen
t

Ratio

Prudential ICICI GFIP - PF Option - Growth

11.68 14-Nov-03

80.87

25000

1.1

BOB Gilt Fund - PF Plan - Growth

10.93 22-Dec-03

0.01

100000

0.39

Grindlays G-Sec Fund - PF Plan - Plan A - Growth

11.13

17-Mar-04

22.58

500

1.5

Grindlays G-Sec Fund - IP- PF Plan - Plan B - Growth

11.16

17-Mar-04

22.58

2500001

1.6

Reliance G Sec Fund - LTP - PF Option

12.70

10-Mar-04 130.35 (30-Dec-05)100000

1.25

SBI Magnum Gilt LTP - PF - Regular - Growth

11.02 28-Nov-03

221.81

25000

Birla GPPFP - Growth

20.69

11-Oct-99

74.33

5000

1.5

SBI Magnum Gilt LTP - PF - Fixed Period - 1 year - Growth

10.88 28-Nov-03

221.81

25000

1.31

SBI Magnum Gilt LTP - PF - Fixed Period - 2 year - Growth

10.91 28-Nov-03

221.81

25000

1.31

SBI Magnum Gilt LTP - PF - Fixed Period - 3 year - Growth

10.79 28-Nov-03

221.81

25000

1.31

Average
Minimum
Maximum
Indices
NSE Treasury Bill Index

224.38

NSE G Sec Composite Index

242.98

1.31

vident Fund Plans (04-April-07)
Returns SA % (P2P)

3 Months

Returns CA % (P2P)

6 Months

1 Year

2 Years

3 Years

5 Years

Since
Inception

-8.90

2.36

7.07

5.91

4.15 --

4.70

14.50

10.61

6.98

6.17

2.76 --

2.78

1.36

5.00

6.40

5.83

3.36 --

3.62

1.26

4.90

6.29

5.73

3.44 --

3.71

-2.68

3.38

5.65

5.44 --

--

6.58

3.65

4.69

5.57

4.86

2.41 --

-3.08

3.40

5.25

4.53

2.02

3.17

4.20

5.03

4.36

1.97 --

2.76

3.02

4.03

4.89

4.22

1.85 --

2.84

2.88

3.89

4.74

4.08

1.72 --

2.51

3.17
6.56

10.20

0.16

3.45

4.89

4.71

2.56

6.43

-8.90

-1.38

2.57

3.48

1.72

6.30

4.16
1.98

14.50

10.61

7.07

6.33

4.15

6.56

11.15

9.04

8.24

7.12

6.47

6.02

5.83

-9.44

0.44

-0.95

1.36

-0.75

3.49

Home

Top performing Liquid Plus Fun

Scheme Name

NAV

Launch

Corpus

Minimum

Date

(Rs Crs)

Investmen
t

DWS Money Plus Fund - Growth

10.84

9-Mar-06

1612.9

5000

DWS Insta Cash Plus Fund - Growth

12.61

21-Jan-03

1099.07

100000

JM Money Manager Fund - Super Plus Plan - Growth

10.43

27-Sep-06

278.64

100000

JM Money Manager Fund - Growth

10.40

27-Sep-06

1.37

100000

JM Money Manager Fund - Super Plan - Growth

10.40

27-Sep-06

57.2

100000

HSBC Cash Fund - Reg - Growth

12.63

3-Dec-02

2762.48

100000

HSBC Liquid Plus Fund - Regular - Growth

10.38

12-Oct-06

2666.64

5000

HDFC Cash Mgmt Fund - Savings Plus - Growth

16.27 19-Nov-99

857.13

100000

10.17

17-Jan-07

164.36

25000

1080.95

1-Mar-06

945.66

10000

Lotus India Liquid Plus Fund - Retail - Growth
TATA Liquidity Management Fund - Growth
Average
Minimum
Maximum
Indices
Crisil Liquid Fund Index

1289.1600 (02-Apr-07)

forming Liquid Plus Funds (04-April-07)
Expense

Returns SA % (P2P

Ratio

1 Day

1 Week

2 Weeks

1 Month

Returns CA % (P2P

3 Months

6 Months

1 Year

0.7

9.77

17.71

14.68

11.19

8.95

8.25

7.79

0.65

8.40

15.97

13.13

10.12

8.35

7.83

7.29

0.3

9.10

15.94

12.73

10.90

8.87

8.37 --

0.3

7.02

16.61

12.45

9.65

8.16

7.65 --

0.3

8.42

15.44

11.35

9.10

8.04

7.74 --

0.65

8.38

12.04

10.90

9.46

8.04

7.53

0.65

9.50

11.94

10.65

9.31

8.27 -8.25

0.28
-0.3

--

6.99
--

9.42

10.53

9.79

9.04

14.72

9.92

9.68

8.73 --

7.88

8.82

9.81

9.48

8.89

8.22

7.92

7.45

8.87

12.06

10.56

9.16

8.11

7.75

7.29

6.45

7.30

7.31

7.21

7.08

7.06

6.82

14.72

17.71

14.68

11.19

8.95

8.37

7.79

23.86

15.56

10.92

7.77

6.94

6.49

--

7.35
--

Returns CA % (P2P
Since
Inception
7.83
5.67
8.36
7.64
7.74
5.56
8.14
6.82
7.98
7.38
7.28
5.56
8.36

Home

Top performing Liquid Super IP Funds (0

Scheme Name

NAV

Launch

Corpus

Minimum

Expense

Date

(Rs Crs)

Investmen
t

Ratio

JM High Liquidity - Super I P - Growth

11.83 19-May-04

653.13

Fidelity Cash Fund - Super IP - Growth

10.29 22-Nov-06

346.12 100000000 --

Sundaram BNP Paribas Money Fund - Super IP - Growth

15.85

9-Dec-05

HSBC Cash Fund - Institutional Plus - Growth

11.83

1-Jun-04

2762.48

20000000

0.3

Prudential ICICI Liquid - Super IP - Growth

11.00 17-Nov-05

19980.27

50000000

0.35

3081.99 250000000

0.33

Templeton India TMA - Super IP - Growth

50000000

1300.44 100000000

0.3
0.18

1109.72

2-Sep-05

Prudential ICICI Liquid - Inst Plus - Growth

18.64

23-Feb-03

19980.27

30000000

Reliance Liquid Fund - TP - IP - Growth

18.26 10-Dec-03

1497.9

10000000

0.6

HDFC Liquid Fund - Premium Plus Plan - Growth

15.03

3049.13 200000000

0.39

2400.64

0.23

Tata Liquid Fund - SHIP - Growth

24-Feb-03

1382.89 21-May-03

Average
Minimum
Maximum
Indices
Crisil Liquid Fund Index

1289.1600 (02-Apr-07)

10000000

0.55

Super IP Funds (04-April-07)
Returns SA % (P2P

1 Day

--

1 Week

1 Month

Returns CA % (P2P

3 Months

6 Months

1 Year

7.83

7.30

Since
Inception

8.02

13.30

9.55

8.30

9.22

13.15

9.83

8.54 --

9.68

13.03

9.27

8.21

7.80

7.35

7.07

8.64

12.37

9.84

8.40

7.91

7.41

6.10

10.63

11.98

9.81

8.58

8.04

7.51

7.13

9.64

11.95

9.67

8.30

7.87

7.41

6.79

10.38

11.80

9.62

8.37

7.83

7.35

5.83

8.60

11.47

9.03

8.04

7.66

7.04

5.68

10.20

11.41

9.34

8.38

7.90

7.38

5.70

9.56

10.18

9.06

8.22

7.83

7.38

5.81

8.95

10.47

8.93

8.11

7.73

7.28

6.12

5.28

6.34

6.69

7.01

7.21

6.79

0.56

10.63

13.30

9.84

8.58

8.04

7.51

8.33

23.86

10.92

7.77

6.94

6.49

--

6.02
8.33

HOME

Top performing Liquid IP Funds (04-Apri

Scheme Name

NAV

Launch

Corpus

Minimum

Expense

Date

(Rs Crs)

Investmen
t

Ratio

DWS Insta Cash Plus Fund - IP - Growth

11.80

25-Jun-04

1099.07

50000000

0.5

JM High Liquidity - I P - Growth

12.44

4-Apr-03

653.13

10000000

0.3

Fidelity Cash Fund - IP - Growth

10.29 22-Nov-06

346.12

10000000 --

Sundaram BNP Paribas Money Fund - IP - Growth

15.79

9-Sep-04

HSBC Cash Fund - I P - Growth

12.67

15-Sep-03

2762.48

10000000

0.5

Birla SunLife Cash Manager - I P - Growth

12.53

16-Apr-03

425.22

10000000

0.38

18.58

23-Feb-03

19980.27

10000000

0.6

1173.79

22-Jun-04

3081.99

50000000

0.5

Reliance Liquid Fund - TP - IP - Growth

18.26 10-Dec-03

1497.9

10000000

0.6

SBI Premier Liquid Fund - IP - Growth

12.06 21-Nov-03

1016.85

5000000

0.3

Prudential ICICI Liquid - I P - Growth
Templeton India TMA - IP - Growth

Average
Minimum
Maximum
Indices
Crisil Liquid Fund Index

1289.1600 (02-Apr-07)

1300.44 100000000

0.46

iquid IP Funds (04-April-07)
Returns SA % (P2P

1 Day

--

1 Week

1 Month

Returns CA % (P2P

3 Months

6 Months

1 Year

Since
Inception

8.36

16.09

10.26

8.50

7.98

7.45

6.14

7.92

13.36

9.56

8.31

7.83

9.23

13.01

9.68

8.39 --

7.18

5.61

9.48

12.74

8.99

7.93

7.51

7.06

6.06

8.36

12.17

9.60

8.18

7.68

7.12

5.61

10.20

12.05

9.72

8.48

8.07

7.37

5.84

10.41

11.87

9.60

8.33

7.79

7.31

5.71

9.54

11.80

9.48

8.10

7.67

7.21

5.93

8.60

11.47

9.03

8.04

7.66

7.04

5.68

8.78

11.44

8.49

7.54

7.39

7.06

5.73

8.70

10.42

8.76

7.94

7.58

7.12

6.01

5.27

6.19

6.52

6.85

6.82

6.41

5.36

10.41

16.09

10.26

8.50

8.07

7.45

8.18

23.86

10.92

7.77

6.94

6.49

--

8.18

HOME

Top performing Liquid Regular Funds (04-April-07)

Scheme Name

NAV

Launch

Corpus

Minimum

Expense

Date

(Rs Crs)

Investmen
t

Ratio

Returns SA % (P2P

1 Day

1 Week

1 Month

Returns CA % (P2P

3 Months

6 Months

1 Year

Reliance Liquid Fund - Cash Plan - Growth

13.14

4-Dec-01

559.33

25000

0.4

6.95

22.72

11.58

8.54

7.78

Quantum Liquid Fund - Growth

10.72

4-Apr-06

29.98

10000

0.45

43.28

21.78

12.66

9.46

8.40 --

Standard Chartered Liquidity Manager Fund -Growth

10.79

16-Jan-06

148.54

500

0.3

54.20

18.28

10.39

8.10

7.34

6.51

6.49

HDFC Cash Mgmt Fund - Call Plan - Growth

12.97

6-Feb-02

312.08

100000

0.24

8.44

16.94

11.20

8.91

8.33

7.38

5.18

DWS Insta Cash Plus Fund - Growth

12.61

21-Jan-03

1099.07

100000

0.65

8.40

15.97

10.12

8.35

7.83

7.29

5.67

UTI Money Market - Growth

21.08 23-Apr-97

134.15

10000

0.22

10.57

13.69

9.84

8.29

7.97

7.28

7.78

Taurus Liquid Fund - Growth

10.36 31-Aug-06

17.15

1000

0.6

6.69

13.47

9.39

7.34

6.03 --

JM High Liquidity - Growth

20.62 31-Dec-97

653.13

1000

0.3

7.97

13.28

9.54

8.31

7.82

Fidelity Cash Fund - Retail - Growth

10.27 22-Nov-06

346.12

5000 --

8.89

12.62

9.28

7.98 --

Sundaram BNP Paribas Money Fund - Growth

15.73

9.28

12.56

8.84

7.78

7.36

6.91

6.61

6-Mar-00

1300.44

10000

0.6

Average

6.70

Since
Inception
5.25
7.23

6.12
7.07

--

8.13
7.76

10.74

11.20

9.01

7.92

7.49

6.96

6.51

Minimum

5.06

0.48

6.28

6.61

6.03

6.27

5.18

Maximum

54.20

22.72

12.66

9.46

8.40

7.52

8.13

23.86

10.92

7.77

6.94

6.49

Indices
Crisil Liquid Fund Index

1289.1600 (02-Apr-07)

--

HOME

Top performing STP - IP Funds (04-Apr

Scheme Name

NAV

Prudential ICICI STIP- Growth

14.39

Launch

Corpus

Minimum

Expense

Date

(Rs Crs)

Investmen
t

Ratio

25000 0.80 (28-Feb-07)

20.05

Grindlays SSIF - Short Term - Plan C - Super IP - Growth
11.01

2-Sep-05 33.90 (28-Feb-07) 10000000 0.50 (28-Feb-07)

20.57

JM Short Term Fund - I P - Growth

12.65

4-Apr-03

24.54

DBS Chola F I - S T F - I P - Growth

11.99

10-Apr-03 76.37 (28-Feb-07) 1000000 0.73 (28-Feb-07)

7.31

Birla Bond Plus - I P - Growth

14.00

15-Apr-03 143.46 (28-Feb-07)50000000 0.72 (28-Feb-07)

21.39

Templeton India STIP - IP - Growth

13.86

10000000 0.83 (28-Feb-07)

6-Sep-05 317.97 (28-Feb-07)50000000 0.90 (28-Feb-07)

51.92

PRINCIPAL Income Fund - STP - I P - Growth

12.47

8-May-03

139.59

1000000 0.73 (28-Feb-07)

13.47

Fidelity Short Term Income Fund - IP - Growth

10.23 24-Aug-06

25.42

50000000 0.88 (28-Feb-07)

9.64

HSBC Income Fund - S T P - I P - Growth

1090.37

23-Feb-03 351.71 (28-Feb-07)

1 day

12.5568 (29-Mar-07)
15-Sep-03 26.31 (28-Feb-07) 10000000 0.60 (28-Feb-07)
--

Average

21.11

Minimum

7.31

Maximum

51.92

Indices
Crisil Liquid Fund Index

1289.1600 (02-Apr-07)

--

CRISIL Short-Term Bond Fund Index

1291.5300 (02-Apr-07)

--

IP Funds (04-April-07)
Returns SA % (P2P)

1 week

1 month

Returns CA % (P2P)

3 months

6 months

1 year

Since
Inception

9.62

9.98

7.55

7.19

7.43

6.44

23.22

16.51

7.44

6.72

7.19

6.23

11.11

10.92

7.11

7.24

7.09

6.05

-24.85

2.72

5.82

6.79

6.91

5.60

8.06

7.83

5.12

6.04

7.18

5.91

9.66

10.25

3.99

5.40

6.69

5.67

6.58

1.35

3.21

5.18

6.58

5.80

16.62

10.86

1.63

3.15 --

8.14

8.22

0.63

3.11

5.36

5.12

3.78

7.57

8.74

4.72

5.65

6.80

5.62

-24.85

1.35

0.63

3.11

5.36

3.78

23.22

16.51

7.55

7.24

7.43

6.44

23.86

10.92

7.77

6.94

6.49

8.88

7.43

3.78

4.10

5.58

HOME

Top performing STP - Regular Funds (0

Scheme Name

NAV

Launch

Corpus

Minimum

Expense

Date

(Rs Crs)

Investmen
t

Ratio

Birla SunLife Short Term Fund - Growth

13.39

Sundaram BNP Paribas Select Debt - S T A P - Appreciation

13.12 30-Aug-02 16.58 (28-Feb-07)

18-Apr-02 38.66 (28-Feb-07)

LIC Short Term Plan - Growth

12.05

Can Short Term Plan - Growth

12.26

9-Sep-03 0.28 (28-Feb-07)

Tata Short Term Bond Fund - Growth

13.35

8-Aug-02

40.3

10000 0.79 (28-Feb-07)

Reliance Short Term Fund - Growth

13.08 17-Dec-02

229.82

50000 0.65 (28-Feb-07)

Prudential ICICI STP- Growth

14.24

Grindlays SSIF - Short Term - Plan A - Growth

14.84 13-Dec-00 33.90 (28-Feb-07)

JM Short Term Fund - Growth

13.39

ING Vysya Income Fund - Short Term - Growth

13.28 16-Aug-02 67.58 (28-Feb-07)

4-Jun-03 0.77 (28-Feb-07)

19-Oct-01 351.71 (28-Feb-07)
22-Jun-02

Average
Minimum
Maximum
Indices
Crisil Liquid Fund Index

1289.1600 (02-Apr-07)

CRISIL Short-Term Bond Fund Index

1291.5300 (02-Apr-07)

13.86

10000 0.30 (28-Feb-07)
5000 0.64 (28-Feb-07)
10000 0.50 (28-Feb-07)
5000 0.57 (28-Feb-07)

5000 1.10 (28-Feb-07)
500 0.80 (28-Feb-07)
5000 0.83 (28-Feb-07)
5000 0.86 (28-Feb-07)

- Regular Funds (04-April-07)
Returns SA % (P2P)

1 day

1 week

1 month

Returns CA % (P2P)

3 months

6 months

1 year

Since
Inception

11.18

10.61

9.88

9.13

8.53

7.65

6.06

7.51

14.74

9.59

8.55

8.01

8.29

6.11

-1.21

27.36

9.83

8.34

6.12

6.44

4.98

6.55

21.32

10.90

8.23

7.23 --

17.79

8.92

8.59

8.23

7.88

7.59

6.39

17.03

12.43

9.69

7.40

7.69

7.63

6.43

19.74

9.32

9.67

7.24

6.88

7.11

6.71

20.17

22.58

15.96

6.92

6.24

6.68

6.46

24.01

10.77

10.57

6.90

6.96

6.76

6.29

38.53

7.55

8.00

6.83

7.09

7.75

6.32

5.81

22.97

9.70

8.12

5.55

6.02

6.79

6.01

-1.21

-24.84

-4.39

-0.62

2.88

4.99

3.58

69.28

27.36

15.96

9.13

8.53

8.29

8.43

--

23.86

10.92

7.77

6.94

6.49

--

8.88

7.43

3.78

4.10

5.58

HOME

Top performing FRF - Short Term Regular Fund

Scheme Name

NAV

Launch

Corpus

Minimum

Expense

Date

(Rs Crs)

Investmen
t

Ratio

Can FRF - ST - Growth

11.49

22-Feb-05

711.26

5000

0.25

Reliance FRF - Growth

11.71 27-Aug-04

937.52

25000

0.55

Prudential ICICI FRF - Plan C - Growth

11.76

2-Aug-04

1058.37

50000000

0.65

DBS Chola Short Term - FRF - Cumulative

11.18

8-Aug-05

1222.86

5000

0.45

Prudential ICICI FRF - Plan B - Growth

12.51

28-Mar-03

1058.37

100000

0.75

Birla Floating Rate Fund - STP - Growth

12.37

4-Jun-03

648.91

5000

0.64

PRINCIPAL Floating Rate Fund - SMP - Growth

11.66

6-Sep-04

696.93

5000

0.56

Templeton Floating Rate Income Fund ST - Growth

13.51

2-Feb-02

936.7

5000

0.75

ING Vysya FRF - Growth

11.60

27-Sep-04

18.99

5000

0.55

HSBC FRF - STP - Regular Plan - Growth

11.50

8-Nov-04

325.41

100000

0.7

Average
Minimum
Maximum
Indices
Crisil Composite Bond Fund Index

1296.5500 (02-Apr-07)

Crisil Liquid Fund Index

1289.1600 (02-Apr-07)

Term Regular Funds (04-April-07)
Returns SA % (P2P)

1 Day

1 Week

1 Month

Returns CA % (P2P)

3 Months

6 Months

1 Year

Since
Inception

10.17

15.80

11.22

8.90

8.16

7.65

6.83

9.04

17.60

11.22

9.03

8.36

7.60

6.28

10.55

14.23

10.62

8.53

7.95

7.37

6.23

8.49

15.71

10.53

8.83

8.34

7.72

7.02

10.80

14.17

10.52

8.43

7.85

7.27

5.72

9.45

13.15

10.35

8.64

7.96

7.28

5.69

8.77

14.75

10.27

8.63

8.04

7.50

6.20

12.16

14.67

10.23

8.46

7.83

7.05

6.02

8.19

8.51

9.88

8.51

8.06

7.26

6.15

8.26

13.59

9.74

8.08

7.42

6.90

6.04

9.00

11.22

8.99

7.91

7.56

7.10

5.93

5.42

4.42

5.56

5.96

6.17

6.17

5.36

18.90

17.60

11.22

9.03

8.46

7.75

7.02

--

-4.95

1.95

-0.22

1.86

3.70

--

23.86

10.92

7.77

6.94

6.49

Home

Top performing FRF - Short Term Institutional P

Scheme Name

NAV

Launch

Corpus

Minimum

Date

(Rs Crs)

Investmen
t

Prudential ICICI FRF - Plan C - Growth

11.76

2-Aug-04

1058.37

Prudential ICICI FRF - Plan B - Growth

12.51

28-Mar-03

1058.37

100000

Birla Floating Rate Fund - STP - IP - Growth

11.00

10-Oct-05

648.91

50000000

Templeton Floating Rate Income Fund ST - IP- Growth

11.08

2-Sep-05

936.7

50000000

PRINCIPAL Floating Rate Fund - SMP - IP - Growth

11.70

6-Sep-04

696.93

10000000

HSBC FRF - STP - IP - Growth

11.56

8-Nov-04

325.41

10000000

Sundaram BNP Paribas FRF - STIP - Growth

11.50

24-Dec-04

146.65

10000000

Tata FRF - ST - IP - Growth

11.72 31-Aug-04

117.77

10000000

329.16

50000000

DSP ML Floating Rate Fund - IP - Growth
Grindlays F R F - STP - Plan C - Super I P - Growth

1094.48

18-Oct-05

11.82

1-Apr-04

Average
Minimum
Maximum
Indices
Crisil Composite Bond Fund Index

1296.5500 (02-Apr-07)

Crisil Liquid Fund Index

1289.1600 (02-Apr-07)

50000000

226.3 100000000

hort Term Institutional Plans (04-April-07)
Expense

Returns SA % (P2P)

Ratio

1 Day

1 Week

1 Month

Returns CA % (P2P)

3 Months

6 Months

1 Year

Since
Inception

0.65

10.55

14.23

10.62

8.53

7.95

7.37

6.23

0.75

10.80

14.17

10.52

8.43

7.85

7.27

5.72

0.64

9.62

13.25

10.44

8.74

8.06

7.38

6.81

0.75

12.20

14.83

10.43

8.67

8.04

7.26

6.68

0.5

8.73

14.88

10.33

8.68

8.09

7.56

6.35

0.45

8.53

13.85

9.99

8.33

7.67

7.14

6.20

0.43

7.30

13.27

9.09

8.05

7.58

7.21

6.35

0.32

9.66

10.03

8.93

8.23

7.85

7.42

6.31

0.42

6.61

6.83

6.94

6.83

6.81

6.63

6.38

0.3

6.48

6.53

6.58

6.76

6.89

6.70

5.73

8.54

11.07

8.83

7.83

7.49

7.07

6.14

5.68

4.69

5.81

6.22

6.52

6.39

5.02

12.20

14.88

10.62

8.74

8.09

7.56

6.81

--

-4.95

1.95

-0.22

1.86

3.70

--

23.86

10.92

7.77

6.94

6.49

HOME

Top performing FRF - Long Term Regular Fund

Scheme Name

NAV

Launch

Corpus

Minimum

Expense

Date

(Rs Crs)

Investmen
t

Ratio

ABN AMRO FRF LT Fund - Growth

11.01

19-Oct-05

346.96

10000

0.92

Birla Floating Rate Fund - LTP - Growth

12.38

4-Jun-03

60.9

5000

0.65

PRINCIPAL Floating Rate Fund - FMP - Growth

11.70

6-Sep-04

156.07

5000

0.74

Templeton Floating Rate Income Fund LT - Growth 13.51

2-Feb-02

622.64

10000

1

HSBC FRF - LTP - Regular Plan - Growth

11.48

8-Nov-04

80.82

5000

0.8

Tata Floater Fund - Growth

11.03

5-Sep-05

2.8

10000

0.8

Kotak Floater - LT - Growth

11.68

6-Aug-04

77.72

5000

0.6

Tata FRF - LT - Growth

11.61 22-Dec-03

4.81

10000

0.75

Grindlays F R F - LTP - Plan A - Growth

11.53

30-Jul-04

67.56

500

0.7

Prudential ICICI LT FRF - Plan A - Growth

11.53

4-Sep-04

162.41

25000

1.25

Average
Minimum
Maximum
Indices
Crisil Composite Bond Fund Index

1296.5500 (02-Apr-07)

Crisil Liquid Fund Index

1289.1600 (02-Apr-07)

Term Regular Funds (04-April-07)
Returns SA % (P2P)

1 Month

2 Months

Returns CA % (P2P)

3 Months

6 Months

1 Year

2 Year

Since
Inception

9.71

8.79

8.49

8.27

7.62 --

12.67

10.03

9.32

8.17

7.06

6.26

6.81
5.71

9.84

8.93

8.52

8.07

7.61

6.60

6.35

9.91

8.76

8.29

7.81

7.10

6.11

6.02

10.33

9.05

8.40

7.34

6.76

6.02

5.91

7.72

6.91

6.57

7.27

6.99 --

7.80

6.97

6.97

7.17

7.10

6.28

6.05

8.62

7.49

7.20

6.95

5.93

5.21

4.64

8.54

7.86

7.44

6.88

6.35

5.61

5.52

7.58

7.04

7.01

6.79

6.63

5.94

5.73

7.76

7.26

7.08

6.79

6.55

5.89

5.66

3.36

3.55

4.47

3.83

5.17

5.21

4.64

12.67

10.03

9.32

8.27

7.62

6.60

6.81

1.95

-2.94

-0.22

1.86

3.70

3.58

10.92

8.29

7.77

6.94

6.49

5.73

6.40

Home

Top performing FRF - Long Term Institutional Pla

Scheme Name

NAV

Launch

Corpus

Minimum

Expense

Date

(Rs Crs)

Investmen
t

Ratio

ABN AMRO FRF LT IP Fund - Growth

11.05

19-Oct-05

346.96

10000000

Templeton Floating Rate Income Fund LT - IP - Growth

11.06

6-Sep-05

622.64

50000000

1

PRINCIPAL Floating Rate Fund - FMP - IP - Growth

11.74

6-Sep-04

156.07

10000000

0.68

HSBC FRF - LTP - IP - Growth

11.54

8-Nov-04

80.82

10000000

0.55

Prudential ICICI LT FRF - Plan B - Growth

11.65

4-Sep-04

162.41

10000000

0.85

Grindlays F R F - IP - LTP - Plan B - Growth

11.59

30-Jul-04

67.56

10000000

0.5

SBI Magnum Income - FRP - LT - IP - Growth

11.64

14-Jul-04

30.22

5000000

1

JM Floater Fund - LTP - Premium Plan - Growth

11.51

27-Sep-04

2.63

100000

0.56

Average
Minimum
Maximum
Indices
Crisil Composite Bond Fund Index

1296.5500 (02-Apr-07)

Crisil Liquid Fund Index

1289.1600 (02-Apr-07)

0.59

erm Institutional Plan (04-April-07)
Returns SA % (P2P)

1 Month

2 Months

Returns CA % (P2P)

3 Months

6 Months

1 Year

2 Year

Since
Inception

9.89

8.99

8.68

8.28

7.79 --

10.36

9.21

8.74

8.28

7.47 --

7.11

9.88

8.98

8.59

8.13

7.67

6.73

6.49

10.59

9.31

8.65

7.59

7.00

6.24

6.13

7.99

7.45

7.41

7.21

7.05

6.37

6.18

8.84

8.17

7.75

7.19

6.67

5.85

5.73

4.78

6.56

6.65

6.96

6.72

6.08

5.74

4.85

5.40

5.41

5.70

6.08

5.95

5.83

8.40

8.01

7.74

7.42

7.06

6.20

6.23

4.78

5.40

5.41

5.70

6.08

5.85

5.73

10.59

9.31

8.74

8.28

7.79

6.73

7.11

1.95

-2.94

-0.22

1.86

3.70

3.58

10.92

8.29

7.77

6.94

6.49

5.73

6.66

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