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  • 7/30/2019 ValueResearchFundcard UTIShort TermIncomeInst 2013Jan04

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  • 7/30/2019 ValueResearchFundcard UTIShort TermIncomeInst 2013Jan04

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    Volatility Measurements

    Standard Deviation

    Sharpe Ratio

    Risk Analysis

    % of Assets

    Top Instrument Break-up

    Trailin g Returns (%)

    Year-to-Date

    1-Week

    1-Month

    3-Month

    6-Month

    1-Year

    2-Year

    3-Year

    5-Year

    Return less than 1-year are absolute and over 1 year are annualised

    Return Rank

    Fund Category Fund/Cat

    Quarterly Returns (%)Q1 Q2 Q3 Q4 YearCompany Sector Instruments % Assets

    Top Holdi ngs

    Total Securities

    Avg Maturity (Yrs.)

    Avg Maturity 52 W High (Yrs.)

    Avg Maturity 52 W Low (Yrs.)Avg Credit Rating

    GOI Securities

    AAA/P1+

    AA

    A and Below

    Unrated

    TBills

    CDs/STD

    Cash Equivalent

    Net Recbl/Payable

    Others

    % of Assets

    Credit Rating Break-up

    Portfolio Characteristics

    Returns as on

    High Medium LowCredit QualityFUND STYLE

    High

    Mediu

    mLow

    InterestRate

    Sensitivity

    NAV (Rs)

    Total Return (%)

    +/-

    Rank (Fund/Category)

    52 Week High (Rs)

    52 Week Low (Rs)

    Net Assets (Rs.Cr)

    Expense Ratio (%)

    Rating:

    Risk:

    Return:

    History

    Fund

    (Rebased to 10,000)

    1/49

    Above Average

    High

    UTI Short-term Income Inst

    4.11

    6.399.4911.19

    1/50

    NSETreasury Bill

    NSE G-SecComposite

    Fund Performance Vs NSE G-Sec Composite

    NSE G-Sec Composite (%)

    1/49

    1/49

    NSE G-Sec Composite

    4.57

    0.00

    1.570.901.29

    0.800.380.65

    -

    1/39

    3.73

    1/49

    Debenture

    Bonds

    Bonds/NCDs

    Certificate of Deposit

    GOI Securities

    Net Current Assets

    64

    0.84

    7.94

    Financial

    Construction

    Financial

    Financial

    Services

    Energy

    Metals

    2.722.242.78

    Services

    Metals

    Financial

    1.53

    5.09

    4.83

    2003

    -

    -

    -

    -

    -

    -

    879.90

    -

    3.90

    3.86

    3.68

    3.67

    3.62

    3.38

    8.879.8911.49

    3.38

    2.93

    2013

    13.67

    0.41

    -0.12

    1/50

    -

    -

    -

    -

    11.252.543.082.862.32

    2012

    13.61

    11.25

    2.49

    1/48

    13.61

    12.25

    547.95

    -

    10.702.622.753.261.67

    Financial

    2011

    12.24

    10.70

    7.81

    1/25

    12.24

    11.05

    294.30

    -

    5.901.551.541.441.25

    Sovereign

    2010

    11.05

    5.90

    3.35

    2/24

    11.05

    10.44

    1146.74

    -

    0.092.351.58--

    Automobile

    2009

    0.09

    10.44

    6.49

    118/120

    10.44

    10.00

    107.37

    -

    ----1.32

    Metals

    2008

    -

    10.43

    -

    -

    -

    -

    5.12

    -

    Financial

    2007

    -

    10.29

    -

    -

    -

    -

    833.20

    -

    GOI 8.33% 09/07/2026

    Energy

    2006

    -

    -

    -

    -

    -

    -

    36.43

    -

    Canara Bank

    2005

    -

    -

    -

    -

    -

    -

    56.48

    -

    Rural Electrification

    2004

    -

    -

    -

    -

    -

    -

    61.25

    -

    Reliance Gas Transportation

    Tata Motors

    Rural Electrification

    SAIL

    Shriram City Union Finance

    Power Finance Corp.

    GOI Securities

    Certificate of Deposit

    Bonds

    Bonds/NCDs

    Debenture

    Bonds

    Bonds

    Debenture

    Bonds/NCDs

    0.530.230.41

    1/49

    -

    40.58

    0.00

    23.27

    0.00

    11.00

    0.00

    6.98

    0.00

    6.54

    0.00

    4.34

    0.00

    0.00

    0.00

    0.00

    January 3, 2013, Portfolio related data as on November 30, 2012

    4.825.146.07

    0.74

    1/46

    0.21

    3.977.959.36

    Sovereign

    8.48

    Financial

    Energy

    Energy

    Automobile

    Energy

    Metals

    Financial

    Services

    2.70

    2.43

    2.41

    2.41

    2.19

    2.19

    1.94

    1.92

    1.90

    AA

    1.72

    BMW India Financial Services

    L&T Seawood Pvt. Ltd.|

    Tata Capital Financial Services

    2.10Tata Motor Finance

    Power Finance Corp.

    Rural Electrification

    Hindalco Inds.

    0.09

    Power Finance Corp.

    Tata Steel

    HDFC1.70

    1.45

    1.25

    1.23

    1.22

    1.22

    Debenture

    Debenture

    Debenture

    Debenture

    Bonds

    Bonds

    Bonds/NCDs

    Bonds

    Debenture

    DebentureBMW India Financial Services

    GOI 8.15% 11/06/2022

    Mahindra Vehicle

    Hindalco Inds.

    L I C Housing Fin.

    Rural Electrification

    2012

    2011

    2010

    2009

    2008

    Debenture

    GOI Securities

    Debenture

    Bonds/NCDs

    Bonds/NCDs

    Bonds

    ---

    6.76

  • 7/30/2019 ValueResearchFundcard UTIShort TermIncomeInst 2013Jan04

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    V l R h

    Fund Objective & StrategyValue Research AnalysisBest Performance

    AMC :

    Website :

    Registrar :

    Launch :

    Benchmark :Plans (NAV) :

    Min Investment (Rs.) :

    Min SIP Investment (Rs.) :

    Exit Load :

    YEAR

    NAV

    QUARTER

    MONTH

    Worst Perfor mance

    YEAR

    QUARTER

    MONTH

    All the graphs are rebased to 10,000

    Portfolio Manager

    Investment Information

    Analysis not available

    NSE G-Sec Composite

    The fund seeks to generate

    steady and reasonable

    income, with low risk and highlevel of liquidity from, a

    portfolio of money market

    securities and high quality

    debt with maturity upto 4 yrs.

    Karvy Computershare Pvt Ltd.

    -

    30000UTI Asset Management Company Ltd

    www.utimf.com

    0.75% for redemption within 180 days

    Crisil Short-Term Bond

    11.97%

    3.42%

    1.89%

    5.29%

    0.72%

    -0.01%

    August 2007

    Since Jul 2012

    Sudhir Agrawal

    Dividend Monthly (10.94) , Growth (13.67)

  • 7/30/2019 ValueResearchFundcard UTIShort TermIncomeInst 2013Jan04

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    20000

    17500

    15000

    12500

    10000

    Volatility Measurements

    Standard Deviation 0.13

    Sharpe Ratio 23.87

    Risk Analysis

    % of Assets

    C er ti fi ca te of De po si t 6 3. 64

    Cash/Net Curren t Assets 13.85

    Commercial Paper 8.25

    Debenture 8.19

    St ructured Obligation 5.67

    Treasury Bills 0.40

    Top Instrument Break-up

    Trailing Returns (%)

    Year-to-Date 8.99 8.31 9/46 20.78 7.73

    1-Week 0.16 0.14 22/51 2.78 -0.66

    1-Month 0.70 0.64 20/51 9.97 0.30

    3-Month 2.24 1.98 29/51 21.78 2.03

    6-Month 4.62 4.17 15/48 26.28 4.08

    1-Year 8.99 8.31 9/46 20.78 7.73

    2-Year 8.60 7.92 5/42 12.77 7.80

    3-Year 7.96 7.40 5/35 8.61 7.25

    5-Year 6.78 6.33 4/32 5.13 6.43

    Return less than 1-year are absolute and over 1 year are annualised

    Return Rank NSE NSE

    Fund Category Fund/Cat G-Sec T-Bill

    Quarterly Returns (%)

    2008 2.04 2.09 2.33 2.24 8.99

    2007 2.03 2.05 1.85 2.03 8.20

    2006 1.47 1.61 1.67 1.81 6.71

    2005 1.26 1.33 1.35 1.36 5.41

    2004 1.13 1.12 1.12 1.22 4.66

    Q1 Q2 Q3 Q4 YearCompany Sector Instruments % Assets

    Top Holdings

    112

    Total Securities 46

    Avg Maturity (Yrs.) 0.28

    Avg Mat urity 52 W High (Yrs .) 0.41

    Avg Maturity 52 W Low (Yrs.) 0.27

    Avg Credit Rating AA

    GOI Securities 0.00

    AAA/P1+ 80.09

    AA 3.77

    A and Below 0.00

    Unrated 1.89

    TBills 0.40

    CDs/STD 0.00

    Cash Equivalent 13.85

    Net Recbl/Payable 0.00

    Others 0.00

    % of Assets

    Credit Rating Break-up

    Portfolio Characteristics

    Returns as on 31st December 2008, Portfolio-related data as on 30th November 2008

    ICICI Bank Financial Certificate of Deposit 13.51

    Canara Bank Financial Certificate of Deposit 8.19

    Vijaya Bank Financial Certificate of Deposit 8.18

    Axis Bank Financial Certificate of Deposit 4.58

    Reliance Capital Financial Commercial Paper 4.53

    Corporat ion Bank Financial Cert ificat e of Deposit 2.83

    St at e Ba nk of M ys ore F in an ci al C ert if ic at e o f D ep os it 2 .8 0

    IDBI Bank Financial Certificate of Deposit 2.77

    Oriental Bank Financial Certificate of Deposit 2.58

    Yes Bank Financial Certificate of Deposit 2.35

    Ko ta k M ah ind ra B an k F in an ci al C ert if ic at e o f D ep os it 2 .0 3

    ABN-Amro Bank NV Financial Cert ificat e of Deposit 2.02

    St at e Ba nk of Bi ka ne r F in an ci al C ert if ic at e o f D epo si t 2 .0 0

    Idea Cellular Communication Structured Obligation 1.93

    Carol Info Services Health Care Debenture 1.89

    S ta te Ba nk of Hy de ra ba d F in an ci al C er ti fi ca te o f D ep os it 1 .6 2

    Sundaram Finance Financial Debenture 1.50

    Federal Bank Financial Certificate of Deposit 1.40

    S ta te Ba nk of Tr av an co re F in an ci al C er ti fi ca te of De po si t 1 .4 0

    Gitanjali Trading & Invest. Corp.Services Structured Obligation 1.32

    IDBI Bank Financial Debenture 1.26

    Dr. Reddy's Holdings F inancial Commercia l Paper 1 .22

    SBI Facto rs & Commercia l Ser Financial Commercia l Paper 1 .22

    HDFC Financial Debenture 1.18

    Pu nj ab N at io na l Ba nk F in an ci al C ert if ic at e o f D epo si t 1 .0 1

    High Medium LowCredit QualityFUND STYLE

    High

    MediumLow

    InterestRateSensitivity

    HDFC Cash Management Fund - Savings Plan

    Fund Performance Vs Ultra Short-term Bond Index

    1998 1999 2000 2001 2002 2003 2004 2005 2006 2007 2008

    NAV (Rs) - 10.10 10.59 11.52 12.34 13.01 13.62 14.35 15.32 16.57 18.06

    Total Return (%) - - 9.53 8.80 7.17 5.40 4.66 5.41 6.71 8.20 8.99

    +/-NSE T Bill (%) - - - -0.19 0.72 -0.04 0.02 -0.37 0.57 0.33 1.26

    Rank (Fund/Category) - - 9/17 7/26 10/28 10/39 6/36 8/35 3/36 3/42 9/46

    52 Week High (Rs) - - 10.59 11.52 12.34 13.01 13.62 14.35 15.32 16.57 18.06

    52 Week Low (Rs) - - 10.03 10.59 11.52 12.34 13.01 13.62 14.36 15.33 16.58

    Net Assets (Rs.Cr) - - 203.94 707.77 315.12 1001.45 2195.93 1828.07 4769.91 2789.31 2463.22

    Expense Ratio (%) - - - 0.49 0.70 0.58 0.52 0.45 0.34 0.58 0.57

    Rating: Risk: Below Average

    Return: Above Average

    History

    Fund

    Ultra ST Bond

    (Rebased to 10,000)

    How to Read the Fundcard - Debt

    Value Research Rating, Risk and Retur n

    Fund Rating The Value Research Fund Rating is a 1 to 5 star rating that is based on the returns that a fund has generated over the previous eight-

    een months, while taking into account the risks that the fund has taken. This rating is relative to other fund of the same type.Risk Grade A five-step grading of the riskiness of a fund, based on the losses it has suffered during the past eighteen months. This grade is rel-

    ative to other fund of the same type.

    Returns Grade A five-step grading of the returns of a fund. This grade is relative to other fund of the same type.

    History

    Data on the funds performance

    since its launch.

    NAV (Year End) The last

    NAV of each year.

    Total Return The percent-

    age returns that an investor

    would have got over the

    year.

    +/- In the given year, acomparison of the funds

    returns with that of a compa-

    rable index

    Rank The funds perform-

    ance rank within its category

    for the year and the total

    number of funds out of

    which it has been ranked.

    52-Week NAV Range The

    highest and the lowest NAV

    that the fund recorded dur-

    ing that year

    Net Assets The total

    amount of investors assets

    that the fund was managing

    at the end of the year.Expense Ratio The per-

    centage of the average daily

    assets that the fund charged

    as its management expens-

    es during the year.

    Trailing Returns (%)

    Performance data for various stan-

    dard periods. All returns are in per-

    centage. Periods greater than a

    year are annualised, shorter peri-

    ods are not.

    Fund The funds own

    returns.

    Category The average

    returns for all funds in the cate-

    gory.

    Rank The funds rank, out of

    the total number of funds in the

    category

    Index The returns of two

    comparable indices.

    Quarterly Returns (%)

    The funds returns over each quar-

    ter of the last five years, along with

    the entire years returns.

    Fund Performance Vs Index

    Graph of how an investors money

    would have grown in the fund since

    its launch. A similar graph of the

    funds benchmark index is also

    given. For ease of comparison,

    both have been adjusted to start at10,000.

    Risk Analysis

    A range of statistical measures thatcan be used to evaluate the per-

    formance, risk, and return of a

    mutual fund.

    Portfolio Characterstics

    Aggregate measures of the

    funds investments. The average

    maturity of the funds portfolio,

    as well as the high and the low

    that this average maturity has hitduring the past 52 weeks are

    given. Also given is the average

    credit rating of the portfolio.

    Fund Style

    A nine-cell matrix of the overall style

    of investment that the fund follows,

    based on its latest portfolio. On the

    vertical axis, the three steps denote

    the weighted average maturity of the

    portfolio. The horizontal axis

    denotes, on a weighted average

    basis, credit quality of the portfolio.

    Credit RatingBreak-up

    The proportion of

    the portfolio that is

    invested in instru-

    ments of different

    credit quality.

    Top InstrumentBreak-up

    The proportion of

    the funds hold-

    ings that are held

    in different types if

    fixed-income

    instruments.

    Top Holdings

    A detailed report on the latest

    investment portfolio that the fund

    is holding. For each security, the

    issuer, the sector, and the type of

    instrument are given. Also stated

    is the percentage of the funds

    investments that are invested in

    that security.

    For MIP funds, data on their

    equity holdings, if any, is also

    given. For each stock, the sector,

    the P/E ratio and the years

    returns are given.

  • 7/30/2019 ValueResearchFundcard UTIShort TermIncomeInst 2013Jan04

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