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Wednesday, July 24, 2013

Fw: Top Performing Debt Funds

 
 

IIFL
Dear Investor,
We are delighted to inform you about our credentials in MF Research. There are more than 1000 equity funds and 1000 plus debt funds with varying degree of performance. Fund with the same theme also deviates to a large extent in returns. Selecting suitable fund requires thorough analysis of various parameter.
Based on our research analysis please find herewith the Top performer's category wise.
Long term Income / Gilt Fund
Scheme Name Corpus (Cr.) Month End NAV 6 Months 1 Year 3 Years
IDFC SSIF-Invest-F(G) 3236.8151 Jun-13 13.1851 9.6040 12.7626 N.A
Reliance Dynamic Bond(G) 8759.1796 Jun-13 16.3346 9.9966 12.3866 9.9220
SBI Dynamic Bond(G) 7658.6546 Jun-13 15.2832 10.2114 12.8003 11.0071
SBI Magnum Income(G) 6219.7995 Jun-13 30.2152 10.4705 13.4784 9.9152
UTI Bond Fund(G) 3482.4795 Jun-13 36.3366 10.6177 12.7244 10.1645







Short term Income / Gilt Fund
Scheme Name Corpus (Cr.) Month End NAV 6 Months 1 Year 3 Years
Birla SL Medium Term Fund(G) 1112.2673 Jun-13 14.3400 12.7032 11.9019 10.0447
Birla SL ST Opportunities Fund(G) 867.7625 Jun-13 19.3577 12.2550 12.0607 10.0782
JPMorgan India ST Income(G) 1290.8737 Jun-13 13.1578 9.1633 9.6566 8.9612
Morgan Stanley ST Bond-Reg(G) 565.5149 Jun-13 13.6525 9.8061 10.2377 8.9115
Templeton India Low Duration Fund(G) 2357.5612 May-13 13.0555 9.5056 9.6981 N.A







Ultra Short term / Liquid Fund
Scheme Name Corpus (Cr.) Month End NAV 6 Months 1 Year 3 Years
ICICI Pru Flexible Income-Ret(G) 9402.3892 Jun-13 134.3749 8.4400 8.4287 8.1799
JM High Liquidity Fund(G) 2687.7976 Jun-13 32.7316 8.6416 8.9010 8.7836
Kotak Floater-LT(G) 4518.6080 Jun-13 19.1550 9.0992 9.3671 8.9156
Kotak Floater-ST(G) 2116.5332 Jun-13 1967.8136 8.7467 9.0220 8.8316
Tata Floater(G) 3487.5053 Jun-13 1801.0953 8.9292 9.1110 8.9387
Source: ACEMF Based on Data as on: 11th July, 2013
DEMO
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Disclaimer :
This report is for information purposes only and does not constitute an offer, solicitation or advertisement with respect to the purchase or sale of any Mutual Fund Scheme and no part of it shall form the basis of or be relied upon in connection with any contract or commitment whatsoever. This report has been prepared from the publicly available information. Any person who subsequently subscribes for any Mutual Fund Scheme issued by the AMC must rely solely on the publicly available information including the Offer Document issued in connection with the Issue on the basis of which alone investment can be made. In addition, investors should pay particular attention to the section of the Offer Document entitled "Risk Factors". Mutual Fund investments are subject to market risks, read all scheme related documents carefully.
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