NAV (Rs) on 24 May, 2012

65.00 INR-0.02 -0.03%

Loading graph. Please wait...

Initial Price10

Min InvestmentRs 5,000

Entry loadNIL

Exit load1%

NAV Returns

5 days-0.73%
1 month-4.93%
6 months11.76%
1 year8.86%
3 years94.96%
5 years36.77%

Profile

Essentials
Fund categoryEquity - Sector Fund
Scheme planGrowth
Scheme typeOpen Ended
Launch DateApril 15, 1998
Fund ManagerMrs. Swati Kulkarni
Info
AMCUTI Asset Management Co. Ltd.
Objective
Asset (Rs cr)198.12 (February 29, 2012)
Dividend (%)15.00 (August 31, 2010)

Industry Allocation

Personal Care16%
Pharmaceuticals13%
Food Processing - Dairy/Fruits/Others10%
Auto Ancl - Engine Parts7%
Oil Drilling And Exploration7%
Auto - Cars & Jeeps6%
Instrumentation & Process Control6%
Computers - Software4%
Auto - LCVs/HCVs4%
Bearings4%
Registered office: Bombay House24, Homi Mody Street, Mumbai-400001, Maharashtra, India.



Tel:
022-66658282
Fax:
022-66658282