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Page 1: Vol. No. 12 Issue No. 12 June 2015 - hdfcfund.com · Vol. No. 12 Issue No. 12 June 2015. 2 June 2015 Intouchmutually PAGE NO. MARKET REVIEW 3 EDITORIAL 4 FEATURES OF OUR SELECT SCHEMES

Vol. No. 12 Issue No. 12 June 2015

Page 2: Vol. No. 12 Issue No. 12 June 2015 - hdfcfund.com · Vol. No. 12 Issue No. 12 June 2015. 2 June 2015 Intouchmutually PAGE NO. MARKET REVIEW 3 EDITORIAL 4 FEATURES OF OUR SELECT SCHEMES

2 June 2015 Intouchmutually

PPAAGGEE NNOO..MARKET REVIEW 3EDITORIAL 4FFEEAATTUURREESS OOFF OOUURR SSEELLEECCTT SSCCHHEEMMEESS 55-1177HDFC GROWTH FUND 18HDFC EQUITY FUND 18HDFC TOP 200 FUND 19HDFC CAPITAL BUILDER FUND 19HDFC CORE & SATELLITE FUND 20HDFC PREMIER MULTI-CAP FUND 20HDFC LARGE-CAP FUND 21HDFC MID-CAP OPPORTUNITIES FUND 21HDFC SMALL AND MID-CAP FUND 22HDFC INFRASTRUCTURE FUND 22HDFC LONG TERM ADVANTAGE FUND 23HDFC TAXSAVER 23HDFC INDEX FUND - SENSEX PLAN & NIFTY PLAN 24HDFC INDEX FUND - SENSEX PLUS PLAN 25HDFC BALANCED FUND 25HDFC PRUDENCE FUND 26HDFC CHILDREN’S GIFT FUND - INVESTMENT PLAN 26HDFC CHILDREN’S GIFT FUND - SAVINGS PLAN 27HDFC MF MIP - SHORT TERM PLAN 27HDFC MF MIP - LONG TERM PLAN 28HDFC MULTIPLE YIELD FUND 28HDFC MULTIPLE YIELD FUND - PLAN 2005 29HDFC INCOME FUND 29HDFC HIGH INTEREST FUND - DYNAMIC PLAN 30HDFC HIGH INTEREST FUND - SHORT TERM PLAN 30HDFC SHORT TERM PLAN 31HDFC SHORT TERM OPPORTUNITIES FUND 31HDFC MEDIUM TERM OPPORTUNITIES FUND 32HDFC GILT FUND - LONG TERM PLAN 32HDFC FLOATING RATE INCOME FUND - SHORT TERM PLAN & LONG TERM PLAN 33HDFC LIQUID FUND 34HDFC CASH MANAGEMENT FUND - SAVINGS PLAN 34HDFC CASH MANAGEMENT FUND - TREASURY ADVANTAGE PLAN 35HDFC CORPORATE DEBT OPPORTUNITIES FUND 35SSIIPP PPEERRFFOORRMMAANNCCEE OOFF SSEELLEECCTT SSCCHHEEMMEESS 3366-3377SCHEME PERFORMANCE SUMMARY - REGULAR PLANS 38-66SCHEME PERFORMANCE SUMMARY - DIRECT PLANS 67-94DIVIDEND HISTORY 95-98DISCLAIMER 98

CONTENTS

Page 3: Vol. No. 12 Issue No. 12 June 2015 - hdfcfund.com · Vol. No. 12 Issue No. 12 June 2015. 2 June 2015 Intouchmutually PAGE NO. MARKET REVIEW 3 EDITORIAL 4 FEATURES OF OUR SELECT SCHEMES

The equity markets remained flat in June.S&P BSE Sensex and CNX Nifty weredown marginally by 0.2% & 0.7% respec-

tively. The CNX Midcap Index underperformedand was down 1.3%. Capital Goods, Oil & Gassectors performed well while metal, Pharma, ITsectors underperformed.

INR appreciated by 0.3% in June. FII’s sold~US$ 0.5bn of Indian equities in June. DomesticMutual funds continue to see healthy inflows.Equity mutual funds net inflows in May 2015came in at ` 9,850 crs. Total inflows so far inFY16 have been nearly ` 20,000 crs.

Global equity markets also fared poorly duringJune amid fears of Greek debt default. The DowJones and the NASDAQ were down ~2% each. InEurope, FTSE, DAX & CAC were down 4-7%. InAsia, Kospi, Hang Seng, TAIEX and Nikkei weredown ~1.5-4.5%. The Shanghai Composite wasworst performer, down 7.3% (it was up ~43% inCY15 till May).

On the commodities front, Brent Crude contin-

ued to soften and was down a further ~2.9% inJune after correcting ~2.8% in May. Gold and sil-ver were down 1.5% and 6% respectively duringthe month. Metals continue to correct further withLead, Zinc, Aluminum & Copper down 3-10%.

Improving growth prospects of the economy,especially of the capex cycle, improving marginoutlook of corporates, likely lower interest rates,softening commodity prices and reasonable valu-ations lead to a positive outlook for equity mar-kets over the medium to long term. The issue ofGreece has been commented upon far more thanits relevance or impact on India or for that matteron Europe itself. Focus on this issue has pushedinto the background encouraging data from econ-omy - CAD, IIP, Inflation etc.

In our opinion therefore, there is merit inincreasing allocation to equities (for those with amedium to long term view) in a phased mannerand to stay invested. However, given the sharprally in markets in last year or so, it is not advis-able to invest in markets with a short term view.

Equity market update

During the month of June 2015, the yield onnew 10-year benchmark Government bond(7.72% GoI 2025) ended at 7.86% as against

7.64% in end May 2015, up by 22 bps. The average liquidity availed through various

sources (Liquidity Adjustment Facility, export refi-nance, marginal standing facility and term repos)from RBI during the month was lower at ~` 53,220crs as compared to ~` 106,570 crs in May 2015. TheNSE overnight MIBOR ended at 7.28%, lower thanthe rate seen in end May 2015 (7.59%).

The INR appreciated to 63.65 against the USdollar as compared to 63.83 at the end of previousmonth. The net FII investment in equities & debtwas an outflow of ~US$ 0.25 billion in June 2015 ascompared to an outflow of US$ 2.2 billion in May2015. The net FII investment in equities & debt hasbeen US$ 12.7 billion in calendar year 2015.

The annual rate of inflation, based on monthlyWPI, stood at -2.4% (provisional) for the month ofMay, 2015 (over May, 2014) as compared to -2.7%(provisional) for the previous month and 6.2% dur-ing the corresponding month of the previous year.Headline CPI came in at ~5% YoY in May 2015

compared to ~4.9% in April 2015. Core CPI forMay 2015 came in at ~4.4%.

Industrial production (IP) increased by 4.1%YoY in April 2015. Consumer durables output rose of first time in eleven months, up 1.3%, while capital goods reported a growth of 11.1% andconsumer non durables grew by 4.4%. Electricityoutput decreased by 0.5% and mining output gainedby 0.6%.

OutlookThe moderate pace of economic recovery, low com-modity prices, stable exchange rate and proactivemeasures by the government with regard to foodsupply management should help in containing infla-tion over the medium term. However, short termrisks to inflation such as below normal monsoonand its likely impact on food prices, volatility incrude oil prices and the expected rate hike by the USFed may lead to spike in yields in the near term.

In our opinion therefore, all the key determi-nants of interest rates viz inflation and inflationdrivers, fiscal deficit, CAD, and economic activitypoint towards lower rates in 2015 and 2016.

Debt market update

June 2015 3Intouchmutually

Market Review - June 2015

Source for various data points: Bloomberg, Reuters, www.sebi.gov.in, www.rbi.org.in and Central Statistics Office (CSO).

Page 4: Vol. No. 12 Issue No. 12 June 2015 - hdfcfund.com · Vol. No. 12 Issue No. 12 June 2015. 2 June 2015 Intouchmutually PAGE NO. MARKET REVIEW 3 EDITORIAL 4 FEATURES OF OUR SELECT SCHEMES

Not so long ago, yoga inIndia meant nothing morethan wearing a set of

loose, comfortable clothes anddoing the prescribed breathingexercises and asanas on an oldbedcover in one’s garden, a parkor a room in one’s own home.Today, there are yoga ‘chains’with outlets across cities andmassive demand for yoga classesand for personal trainers.

Firms have begun specialisingin making clothing and acces-sories for India’s yoga practi-tioners, and a company in Tamil

Nadu even exports them to the US,Canada and Europe. An executive of onesuch company estimates that the Indianyoga accessories industry is worth ` 500-700 crore a year. According to the centralgovernment’s ‘Make In India’ report, the wellness industry in India is worth ` 49,000 crore, of which the wellnessservices segment (of which yoga is a sub-set) accounts for 40 per cent.

Yoga studios are coming up across thecountry and looking to expand withinIndia and abroad as well. One yoga stu-dio, which opened its first outlet inChennai in 2010, now has three morecentres there and one each in Nepal andDubai. Another company, which openedits first studio in Pune the same year,now has centres in Singapore, Bengaluru,Delhi and California as well.

Rishikesh, Pune, Goa, Kerala andMysuru (earlier known as Mysore) haveemerged as major yoga centres in India,with house owners renting their homesto ‘yoga tourists’ as well as to organisa-tions that want to conduct yoga trainingprogrammes and companies that areinterested in setting up ‘yoga resorts’.Rishikesh is ahead of the rest, and evenholds a regular International YogaFestival. Mysuru — until recently knownas a pensioner’s paradise — is deluged byserious yoga practitioners for a fewmonths each year, and Pune, Goa andKerala also attract their share of learners.

Another aspect to the boom is thedemand for yoga instructors. Accordingto a study by a chamber of commerce and

industry, the demand for yoga instructorsis growing by 30 to 35 per cent per year.One highly qualified yoga instructor, whoset up his own teaching business in 2008,now has a network of 70 instructorsspread across 10 Indian cities and about200 clients. In cities like Mumbai, thereare homemakers who are qualified train-ers and set aside a few hours each day toteach yoga.

The reason for the boom for yoga pro-fessionals in India, according to the study,is the central government’s focus on yoga,coupled with growing awareness about thetraditional Indian philosophy of life andliving, which is also effective in dealingwith stress. “While initiatives likeInternational Yoga Day have brought morefocus on yoga at the global level, more andmore people suffering from lifestyle stressare taking to yoga (and) that requirestrained teachers,” the study said.

According to senior official of thechamber, yoga now has millions of practitioners worldwide, and promises tobecome a multi-billion dollar market inthe form of health clinics, ayurvedaresorts, holiday camps and corporatetraining.

In the US, yoga was estimated to be a$27 billion market in 2014, with moreand more Americans turning to theancient fitness regime for health benefits.More than 20 million Americans report-edly practised yoga in 2014, a significantincrease from the 15.8 million yoga prac-titioners in 2008. Spending by Americanson yoga classes and yoga gear was $11billion in 2014, up 88 per cent from 2008,according to media reports. Yoga studioscan be found all across America.

In this respect, India still has some wayto go. But according to the promoter of acompany that makes yoga clothing, giventhe rapid rate at which yoga institutes arecoming up in India and the increasingdemand for yoga instructors, it will not betoo long before the Indian market for yogaalso acquires critical mass.

B S REPORTERThis article is issued in

general investor interest. Please refer Page No. 98 for disclaimer.

India’s yoga boom

Intouchmutually4 June 2015

Page 5: Vol. No. 12 Issue No. 12 June 2015 - hdfcfund.com · Vol. No. 12 Issue No. 12 June 2015. 2 June 2015 Intouchmutually PAGE NO. MARKET REVIEW 3 EDITORIAL 4 FEATURES OF OUR SELECT SCHEMES

Intouchmutually June 2015 5

NNaattuurree ooff SScchheemmee

TThhiiss pprroodduucctt iiss ssuuiittaabbllee ffoorr iinnvveessttoorrsswwhhoo aarree sseeeekkiinngg ~~

RRiisskkoommeetteerr

FFuunndd MMaannaaggeerr

IInncceeppttiioonn DDaattee((DDaattee ooff AAlllloottmmeenntt))

EEnnttrryy // SSaalleess LLooaadd

EExxiitt LLooaadd

IInnvveessttmmeenntt PPllaann

IInnvveessttmmeenntt OOppttiioonnss

MMiinniimmuumm AApppplliiccaattiioonn AAmmoouunntt((UUnnddeerr eeaacchh PPllaann //OOppttiioonn))

NNeett AAsssseett VVaalluuee ((NNAAVV))

RReeddeemmppttiioonn PPrroocceeeeddss

HDFC Growth Fund

Open-ended Growth Scheme

● Capital appreciation over long term.● Investment predominantly in equity

and equity related instruments.

Srinivas Rao Ravuri (since April 3, 06)#

September 11, 2000

HDFC Growth Fund, HDFC Growth Fund - Direct Plan

HDFC Equity Fund

Open-ended Growth Scheme

● Capital appreciation over long term.

● Investment predominantly in equity and equity related instruments of medium tolarge sized companies.

Prashant Jain (since June 19, 03)*#

January 1, 1995

HDFC Equity Fund, HDFC Equity Fund - Direct Plan

HDFC Top 200 Fund

Open-ended Growth Scheme

● Capital appreciation over long term.

● Investment in equity and equitylinked instruments including equity derivatives primarilydrawn from the companies inthe S&P BSE 200 Index.

Prashant Jain (since June19, 03)*#

October 11, 1996

HDFC Top 200 Fund, HDFC Top 200 Fund - Direct Plan

HDFC Capital Builder Fund

Open-ended Growth Scheme

● Capital appreciation over long term.

● Investment predominantly in equityand equity related instruments ofstrong companies.

Chirag Setalvad (since April 2, 07) & Miten Lathia (since May 10, 12)#

February 1, 1994

HDFC Capital Builder Fund, HDFC Capital Builder Fund - Direct Plan

Investors are advised to consult their tax advisors with respect to the tax consequences of the purchase, ownership and disposal of mutual fund units. For Tax Benefits / Consequences, Please refer to page 17* Date of migration from Zurich India Mutual Fund (Close of business hours - June 19, 03)# Dedicated Fund Manager for Overseas Investments: Mr Rakesh Vyas. ~~ Investors should consult their financial advisers if in doubt about whether the product is suitable for them.

Features of our select schemes

NNoott AApppplliiccaabbllee.. Upfront commission shall be paid directly by the investor to the ARN Holder (AMFI registered Distributor) based on the investors’assessment of various factors including the service rendered by the ARN Holder.

Under Each Plan : Growth & Dividend. The Dividend Option offers Dividend Payout and Reinvestment facility.

FFoorr ffuurrtthheerr ddeettaaiillss,, pplleeaassee rreeffeerr ttoo ppaarraa ‘‘EExxiitt LLooaadd’’ oonn PPgg 1177..

Normally despatched within 3-4 Business Days.

Every Business Day

Purchase : ` 5,000 and any amount thereafter. Additional Purchase : ` 1,000 and any amount thereafter.

● In respect of eeaacchh purchase / switch-in of Units, an Exit Load of 1.00% is payable if Units are redeemed / switched-out within 1 year from the date of allotment.

● No Exit Load is payable if Units are redeemed / switched-out after 1 year from the date of allotment.

MODERATE

LO

W

HIG

H

MO

DERA

TELY

LOW

MO

DERATELY

HIG

H

LOW HIGH

Inves tors unders tand that the i r p r inc ipa l wi l l be a t moderate ly h igh r i sk

Page 6: Vol. No. 12 Issue No. 12 June 2015 - hdfcfund.com · Vol. No. 12 Issue No. 12 June 2015. 2 June 2015 Intouchmutually PAGE NO. MARKET REVIEW 3 EDITORIAL 4 FEATURES OF OUR SELECT SCHEMES

Features of our select schemes

Intouchmutually6 June 2015

NNaattuurree ooff SScchheemmee

TThhiiss pprroodduucctt iiss ssuuiittaabbllee ffoorr iinnvveessttoorrsswwhhoo aarree sseeeekkiinngg ~~

RRiisskkoommeetteerr

FFuunndd MMaannaaggeerr

IInncceeppttiioonn DDaattee((DDaattee ooff AAlllloottmmeenntt))

EEnnttrryy // SSaalleess LLooaadd

EExxiitt LLooaadd

IInnvveessttmmeenntt PPllaann

IInnvveessttmmeenntt OOppttiioonnss

MMiinniimmuumm AApppplliiccaattiioonn AAmmoouunntt((UUnnddeerr eeaacchh PPllaann //OOppttiioonn))

NNeett AAsssseett VVaalluuee ((NNAAVV))

RReeddeemmppttiioonn PPrroocceeeeddss

HDFC Core & Satellite Fund

Open-ended Growth Scheme

● Capital appreciation over long term.

● Investment primarily in equity and equityrelated instruments of companies whoseshares are quoting at prices below theirtrue value.

Vinay Kulkarni(since November 21, 06)#

September 17, 2004

HDFC Core & Satellite Fund, HDFC Core & Satellite Fund - Direct Plan

HDFC Premier Multi-Cap Fund

Open-ended Growth Scheme

● Capital appreciation over long term.

● Investment predominantly in equity and equity related instruments of Mid Cap and Large Cap ‘blue chip’ companies.

Vinay Kulkarni(since November 21, 06)#

April 6, 2005

HDFC Premier Multi-Cap Fund,HDFC Premier Multi-Cap Fund -Direct Plan

HDFC Mid-Cap Opportunities Fund

Open-ended Equity Scheme

● Capital appreciation over long term.

● Investment predominantly in equity and equity related instruments of Small and Mid Cap companies.

Chirag Setalvad (since June 25, 07)#

June 25, 2007

HDFC Mid-Cap Opportunities Fund,HDFC Mid-Cap Opportunities Fund- Direct Plan

Investors are advised to consult their tax advisors with respect to the tax consequences of the purchase, ownership and disposal of mutual fund units. For Tax Benefits / Consequences, Please refer to page 17* Date of migration from Morgan Stanley Mutual Fund (Close of business hours - June 27, 14) # Dedicated Fund Manager for Overseas Investments: Mr Rakesh Vyas. ~~ Investors should consult their financial advisers if in doubt about whether the product is suitable for them.

HDFC Large Cap Fund

Open-ended Equity Scheme

● Capital appreciation over long term.

● Investment in equity and equity related instruments ofLarge Cap companies.

Vinay Kulkarni (since June 28, 14)*#

February 18, 1994

HDFC Large Cap Fund - Regular PlanHDFC Large Cap Fund - Direct Plan

NNoott AApppplliiccaabbllee.. Upfront commission shall be paid directly by the investor to the ARN Holder (AMFI registered Distributor) based on the investors’ assessment of various factors including the service rendered by the ARN Holder.

● In respect of eeaacchh purchase / switch-in of Units, an Exit Load of 1.00% is payable if units are redeemed / switched-out within 1 year from the date of allotment.

● No Exit Load is payable if Units are redeemed / switched-out after 1 year from the date of allotment.FFoorr ffuurrtthheerr ddeettaaiillss,, pplleeaassee rreeffeerr ttoo ppaarraa ‘‘EExxiitt LLooaadd’’ oonn PPgg 1177..

Under Each Plan : Growth & Dividend. The Dividend Option offers Dividend Payout and Reinvestment facility.

Purchase : ` 5,000 and any amount thereafter. Additional Purchase : ` 1,000 and any amount thereafter.

Every Business Day

Normally despatched within 3-4 Business Days.

MODERATE

LO

W

HIG

H

MO

DERA

TELY

LOW

MO

DERATELY

HIG

H

LOW HIGH

Inves tors unders tand that the i r p r inc ipa l wi l l be a t moderate ly h igh r i sk

Page 7: Vol. No. 12 Issue No. 12 June 2015 - hdfcfund.com · Vol. No. 12 Issue No. 12 June 2015. 2 June 2015 Intouchmutually PAGE NO. MARKET REVIEW 3 EDITORIAL 4 FEATURES OF OUR SELECT SCHEMES

Intouchmutually June 2015 7

Features of our select schemes

Investors are advised to consult their tax advisors with respect to the tax consequences of the purchase, ownership and disposal of mutual fund units. For Tax Benefits / Consequences, Please refer to page 17 # Dedicated Fund Manager for Overseas Investments: Mr Rakesh Vyas.~~ Investors should consult their financial advisers if in doubt about whether the product is suitable for them.

NNaattuurree ooff SScchheemmee

TThhiiss pprroodduucctt iiss ssuuiittaabbllee ffoorr iinnvveessttoorrsswwhhoo aarree sseeeekkiinngg ~~

RRiisskkoommeetteerr

FFuunndd MMaannaaggeerr

IInncceeppttiioonn DDaattee((DDaattee ooff AAlllloottmmeenntt))

EEnnttrryy // SSaalleess LLooaadd

EExxiitt LLooaadd

IInnvveessttmmeenntt PPllaann

IInnvveessttmmeenntt OOppttiioonnss

MMiinniimmuumm AApppplliiccaattiioonn AAmmoouunntt((UUnnddeerr eeaacchh PPllaann //OOppttiioonn))

LLoocckk-iinn PPeerriioodd

NNeett AAsssseett VVaalluuee ((NNAAVV))

RReeddeemmppttiioonn PPrroocceeeeddss

HDFC Infrastructure Fund

Open-ended Equity Scheme

● Capital appreciation over long term.● Investment predominantly in equity and

equity related securities of companiesengaged in or expected to benefit from thegrowth and development of infrastructure.

Prashant Jain and Srinivas Rao Ravuri (sinceMarch 10, 08) #

March 10, 2008

● In respect of eeaacchh purchase / switch-in ofUnits, an Exit Load of 1.00% is payable ifUnits are redeemed / switched-out within 1year from the date of allotment.

● No Exit Load is payable if Units areredeemed / switched-out after 1 year fromthe date of allotment.

HDFC Infrastructure Fund, HDFC Infrastructure Fund - Direct Plan

N.A.

HDFC TaxSaver

Open-ended Equity LinkedSavings Scheme with a lock-inperiod of 3 years

● Growth of capital over long term.

● Investment predominantlyin equity and equity related instruments.

Vinay Kulkarni (since November 21, 06)#

March 31, 1996

Nil

HDFC TaxSaver, HDFC TaxSaver - Direct Plan

HDFC Long TermAdvantage Fund

Open-ended Equity LinkedSavings Scheme with a lock-inperiod of 3 years

● Capital appreciation over long term.

● Investment predominantlyin equity and equity related instruments.

Chirag Setalvad (since April 2, 07)#

January 2, 2001

Nil

HDFC Long Term AdvantageFund, HDFC Long Term AdvantageFund - Direct Plan

Purchase & Additional Purchase : ` 500 and in multiples of ` 500 thereafter.

3 years from the date of allotment of the respective Units(including Units allotted under dividend reinvestment).

Normally despatched within 3-4 Business Days (Redemption issubject to completion of Lock-in Period, if applicable).

HDFC Small and Mid Cap Fund

Open-ended Equity Scheme

● Capital appreciation over long term.● Investment predominantly in equity

and equity related instruments ofSmall-Cap and Mid-Cap companies.

Chirag Setalvad (since June 27, 14)*#

April 3, 2008

● In respect of eeaacchh purchase / switch-inof Units, an Exit Load of 1.00% ispayable if Units are redeemed /switched-out within 1 year from thedate of allotment.

● No Exit Load is payable if Units areredeemed / switched-out after 1 yearfrom the date of allotment.

HDFC Small and MidCap Fund - Regular PlanHDFC Small and MidCap Fund - Direct Plan

N.A.

NNoott AApppplliiccaabbllee.. Upfront commission shall be paid directly by the investor to the ARN Holder (AMFI registered Distributor) based on the investors’ assessment of various factors including the service rendered by the ARN Holder.

Under Each Plan: Growth & Dividend. The Dividend Option offers Dividend Payoutand Reinvestment facility.

FFoorr ffuurrtthheerr ddeettaaiillss,, pplleeaassee rreeffeerr ttoo ppaarraa ‘‘EExxiitt LLooaadd’’ oonn PPgg 1177..

Purchase : ` 5,000 and any amount thereafter.Additional Purchase : ` 1,000 and any amount thereafter.

Every Business Day

Normally despatched within 3-4 Business Days.

Under Each Plan: Growth & Dividend. The Dividend Option offersDividend Payout facility.

MODERATE

LO

W

HIG

H

MO

DERA

TELY

LOW

MO

DERATELY

HIG

H

LOW HIGH

Inves tors unders tand that the i r p r inc ipa l wi l l be a t moderate ly h igh r i sk

MODERATE

LO

W

HIG

H

MO

DERA

TELY

LOW

MO

DERATELY

HIG

H

LOW HIGH

Inves tors unders tand that the i r p r inc ipa l wi l l be a t h igh r i sk

Page 8: Vol. No. 12 Issue No. 12 June 2015 - hdfcfund.com · Vol. No. 12 Issue No. 12 June 2015. 2 June 2015 Intouchmutually PAGE NO. MARKET REVIEW 3 EDITORIAL 4 FEATURES OF OUR SELECT SCHEMES

NNaattuurree ooff SScchheemmee

TThhiiss pprroodduucctt iiss ssuuiittaabbllee ffoorr iinnvveessttoorrsswwhhoo aarree sseeeekkiinngg ~~

RRiisskkoommeetteerr

FFuunndd MMaannaaggeerr

IInncceeppttiioonn DDaattee((DDaattee ooff AAlllloottmmeenntt))

EEnnttrryy // SSaalleess LLooaadd

EExxiitt LLooaadd

IInnvveessttmmeenntt PPllaann

IInnvveessttmmeenntt OOppttiioonnss

MMiinniimmuumm AApppplliiccaattiioonn AAmmoouunntt((UUnnddeerr eeaacchh PPllaann //OOppttiioonn))

NNeett AAsssseett VVaalluuee ((NNAAVV))

RReeddeemmppttiioonn PPrroocceeeeddss

HDFC Index Fund

Open-ended Index Linked Scheme

SSEENNSSEEXX PPllaann● Returns that are commensurate with the performance of the SENSEX, subject to tracking

errors over long term.● Investment in equity securities covered by the SENSEX.NNiiffttyy PPllaann● Returns that are commensurate with the performance of the Nifty, subject to tracking

errors over long term.● Investment in equity securities covered by the Nifty. SSEENNSSEEXX PPlluuss PPllaann● Capital appreciation over long term. ● Investment in equity securities of 80% to 90% of the net assets of the Plan in companies

whose securities are included in SENSEX and between 10% & 20% of the net assets in companies whose securities are not included in the SENSEX.

Vinay Kulkarni (since December 29, 06)

July 17, 2002

FFoorr SSEENNSSEEXX && SSEENNSSEEXX PPlluuss PPllaann● In respect of eeaacchh purchase / switch-in of Units, an Exit Load of 1.00% is payable if Units

are redeemed / switched-out within 30 days from the date of allotment.● No Exit Load is payable if Units are redeemed / switched-out after 30 days from the date

of allotment.● No Load shall be levied on bonus units.NNiiffttyy PPllaann● In respect of eeaacchh purchase / switch-in of Units, an Exit Load of 1.00% is payable if Units

are redeemed / switched-out within 3 months from the date of allotment.● No Exit Load is payable if Units are redeemed / switched-out after 3 months from the

date of allotment.● No Load shall be levied on bonus units.

HDFC Index Fund - Nifty Plan, HDFC Index Fund - Nifty Plan - Direct Plan, HDFC Index Fund - SENSEX Plan, HDFC Index Fund - SENSEX Plan - Direct Plan, HDFC Index Fund - SENSEX Plus Plan, HDFC Index Fund - SENSEX Plus Plan - Direct Plan

At present, each Plan offers Growth Option only.

Purchase : ` 5,000 and any amount thereafter. Additional Purchase : ` 1,000 and any amount thereafter.

HDFC Arbitrage Fund

Open ended Equity Fund

● Income over short term. ● Income through arbitrage opportunities between cash

and derivative market and arbitrage opportunities within the derivative segment.

Anil Bamboli (since October 23, 07)#

October 23, 2007

● In respect of eeaacchh purchase / switch-in of units, an Exit Load of 0.25% is payable if Units are redeemed /switched-out within 1 month from the date of allotment.

● No Exit Load is payable if Units are redeemed /switched-out after 1 month from the date of allotment.

HDFC Arbitrage Fund (Wholesale Plan), HDFC Arbitrage Fund (Wholesale Plan) - Direct Plan

Under Each Plan: Growth and Dividend Option. DividendOption offers Monthly Dividend Option and Normal DividendOption with Payout and Reinvestment facility.

Purchase / Additional Purchase: `1 lakh and any amount thereafter.

NNoott AApppplliiccaabbllee.. Upfront commission shall be paid directly by the investor to the ARN Holder (AMFI registered Distributor) based on the investors’ assessment of various factors including the service rendered by the ARN Holder.

Every Business Day

Normally despatched within 3-4 Business Days.

Investors are advised to consult their tax advisors with respect to the tax consequences of the purchase, ownership and disposal of mutual fund units. For Tax Benefits / Consequences, Please refer to page 17 # Dedicated Fund Manager for Overseas Investments: Mr Rakesh Vyas.~~ Investors should consult their financial advisers if in doubt about whether the product is suitable for them.

FFoorr ffuurrtthheerr ddeettaaiillss,, pplleeaassee rreeffeerr ttoo ppaarraa ‘‘EExxiitt LLooaadd’’ oonn PPgg 1177..

Intouchmutually8 June 2015

Features of our select schemes

MODERATE

LO

W

HIG

H

MO

DERA

TELY

LOW

MO

DERATELY

HIG

H

LOW HIGH

MODERATE

LO

W

HIG

H

MO

DERA

TELY

LOW

MO

DERATELY

HIG

H

LOW HIGH

Inves tors unders tand that the i r p r inc ipa l wi l l be a tmoderate ly h igh r i sk

Inves tors unders tand that the i r p r inc ipa l wi l l be a t moderate ly low r i sk

Page 9: Vol. No. 12 Issue No. 12 June 2015 - hdfcfund.com · Vol. No. 12 Issue No. 12 June 2015. 2 June 2015 Intouchmutually PAGE NO. MARKET REVIEW 3 EDITORIAL 4 FEATURES OF OUR SELECT SCHEMES

Intouchmutually June 2015 9

Features of our select schemes

Investors are advised to consult their tax advisors with respect to the tax consequences of the purchase, ownership and disposal of mutual fund units. For Tax Benefits / Consequences, Please refer to page 17* Date of migration from Zurich India Mutual Fund (Close of business hours - June 19, 03) # Dedicated Fund Manager for Overseas Investments: Mr Rakesh Vyas. $ For Large Investors, subscriptions shall only be allowed by payment of requisite Cash through RTGS/NEFT or Funds Transfer Letter/ Transfer Cheque of a bank where the Scheme has a collection account. ~~ Investors should consult their financial advisers if in doubt about whether the product is suitable for them.

NNaattuurree ooff SScchheemmee

TThhiiss pprroodduucctt iiss ssuuiittaabbllee ffoorr iinnvveessttoorrsswwhhoo aarree sseeeekkiinngg ~~

RRiisskkoommeetteerr

FFuunndd MMaannaaggeerr

IInncceeppttiioonn DDaattee((DDaattee ooff AAlllloottmmeenntt))

EEnnttrryy // SSaalleess LLooaadd

EExxiitt LLooaadd

IInnvveessttmmeenntt PPllaann

IInnvveessttmmeenntt OOppttiioonnss

MMiinniimmuumm AApppplliiccaattiioonn AAmmoouunntt((UUnnddeerr eeaacchh PPllaann //OOppttiioonn))

NNeett AAsssseett VVaalluuee ((NNAAVV))

RReeddeemmppttiioonn PPrroocceeeeddss

HDFC Gold Exchange Traded Fund

An Open-ended Exchange Traded Fund

● Returns that are commensurate with theperformance of gold, subject to trackingerrors over long term.

● Investment predominantly in Gold bullionof 0.995 fineness

Anil Bamboli (since August 13, 10)

August 13, 2010

● FFoorr CCrreeaattiioonn UUnniitt SSiizzee::No Exit load will be levied on redemptions made by AuthorisedParticipants / Large Investors directly withthe Fund in Creation Unit Size.

● FFoorr ootthheerr tthhaann CCrreeaattiioonn UUnniitt SSiizzee::Not Applicable. The Units in other thanCreation Unit Size cannot be directlyredeemed with the Fund. These Unitscan be redeemed (sold) on a continuousbasis on the stock exchange(s) during the trading hours on all trading days.

HDFC Gold Exchange Traded Fund

Currently, there are no Options being offered under the Scheme.

Directly with the Fund – Subscription /Redemption in exchange of Portfolio Depositand Cash Component in creation unit size of1,000 units and in multiples thereafter. $ On the Exchange(s) – 1 unit and in multiples of 1 unit thereafter.

HDFC Gold Fund

An Open-ended Fund of Fund Scheme investing in HDFC Gold Exchange Traded Fund

● Capital appreciation over long term.● Investment in Units of HDFC Gold

Exchange Traded Fund (HGETF). HGETFinvests in gold bullion of 0.995 fineness.

Anil Bamboli (since November 1, 11)

November 1, 2011

In respect of eeaacchh purchase / switch-in of units ● An Exit Load of 2.00% is payable if Units

are redeemed / switched-out within 6months from the date of allotment.

● An Exit Load of 1.00% is payable if Unitsare redeemed / switched-out after 6 months but within 1 year from the date of allotment.

● No Exit Load is payable if Units areredeemed / switched-out after 1 year fromthe date of allotment.

HDFC Gold Fund, HDFC Gold Fund - Direct Plan

Currently each Plan offers only Growth Option.

HDFC Balanced Fund

Open-ended BalancedScheme

● Capital appreciationalong with currentincome over long term.

● Investment. predominantly in equityand equity related instruments with balance exposure todebt and money marketinstruments.

Chirag Setalvad (since April 2, 07)#

September 11, 2000

HDFC Balanced Fund,HDFC Balanced Fund -Direct Plan

HDFC Prudence Fund

Open-ended Balanced Scheme

● Periodic income with capital appreciation andprevention of capital erosion over long term.

● Investment predominantlyin equity and equity related instruments withbalance exposure to debtand money market instruments.

Prashant Jain (since June 19, 03)*#

February 1, 1994

HDFC Prudence Fund, HDFCPrudence Fund - Direct Plan

NNoott AApppplliiccaabbllee.. Upfront commission shall be paid directly by the investor to the ARN Holder (AMFI registered Distributor) based on the investors’ assessment of various factors including the service rendered by the ARN Holder.

FFoorr ffuurrtthheerr ddeettaaiillss,, pplleeaassee rreeffeerr ttoo ppaarraa ‘‘EExxiitt LLooaadd’’ oonn PPgg 1177..

Under Each Plan: Growth & Dividend. The DividendOption offers Dividend Payout and Reinvestment facility.

Purchase: ` 5,000 and any amount thereafter. Additional Purchase: ` 1,000 and any amount thereafter.

Every Business Day

Normally despatched within 3-4 Business Days.

● In respect of eeaacchh purchase / switch-in of Units, an ExitLoad of 1.00% is payable if Units are redeemed /switched-out within 1 year from the date of allotment.

● No Exit Load is payable if Units are redeemed /switched-out after 1 year from the date of allotment.

MODERATE

LO

W

HIG

H

MO

DERA

TELY

LOW

MO

DERATELY

HIG

H

LOW HIGH

Inves tors unders tand that the i r p r inc ipa l wi l l be a t moderate ly h igh r i sk

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Intouchmutually10 June 2015

Features of our select schemes

^̂ EElliiggiibbiilliittyy ((ooff UUnniitt hhoollddeerr)) :: Children less than 18 years of age as on the date of investment by the Investor / Applicant are eligible as Unit holders in the Scheme. @@ Personal Accident InsuranceCover for Parent / Legal Guardian (upto the age of 80 years) of the Unit holder, equivalent to 10 times the cost value of the outstanding Units held by the Unit holder under all the applications /account statements / folios, subject to a maximum amount of ` 10 lakhs per Unit holder. The insurance premium in respect of the personal accident insurance cover will be borne by the AMC. Thisaccident insurance cover is subject to conditions of the group personal accident insurance policy. Investors are advised to consult their tax advisors with respect to the tax consequences of the purchase, ownership and disposal of mutual fund units. For Tax Benefits / Consequences, Please refer to page 17 # Dedicated Fund Manager for Overseas Investments: Mr Rakesh Vyas.~~ Investors should consult their financial advisers if in doubt about whether the product is suitable for them.

NNaattuurree ooff SScchheemmee

TThhiiss pprroodduucctt iiss ssuuiittaabbllee ffoorr iinnvveessttoorrsswwhhoo aarree sseeeekkiinngg ~~

RRiisskkoommeetteerr

FFuunndd MMaannaaggeerr

IInncceeppttiioonn DDaattee((DDaattee ooff AAlllloottmmeenntt))

EEnnttrryy // SSaalleess LLooaadd

EExxiitt LLooaadd

IInnvveessttmmeenntt PPllaann

IInnvveessttmmeenntt OOppttiioonnss

MMiinniimmuumm AApppplliiccaattiioonn AAmmoouunntt((UUnnddeerr eeaacchh PPllaann //OOppttiioonn))

LLoocckk-iinn PPeerriioodd

NNeett AAsssseett VVaalluuee ((NNAAVV))

RReeddeemmppttiioonn PPrroocceeeeddss

HDFC Children’s Gift Fund (CGF)^@

Open-ended Balanced Scheme

Chirag Setalvad (since April 2, 07)#

March 2, 2001

● For Units subject to Lock-in Period: NIL● For Units not subject to Lock-in Period:

■ 3.00% if the Units are redeemed / switched-out within one year from the date of allotment; ■ 2.00% if the Units are redeemed / switched-out between the first and second year of the date of allotment; ■ 1.00% if Units are redeemed / switched-out between the second and third year of the date of allotment; ■ Nil if the Units are redeemed / switched-out after third year from the date of allotment.

EEqquuiittyy OOrriieenntteedd - Investment Plan, Investment Plan - Direct Plan DDeebbtt OOrriieenntteedd - Savings Plan, Savings Plan - Direct Plan

Nil

Purchase : ` 5,000 and any amount thereafter. Additional Purchase : ` 1,000 and any amount thereafter.

IIff oopptteedd :: Until the Unit holder (being the beneficiary child) attains the age of 18 years or until completion of 3 years from date of allotment, whichever is later.

Every Business Day

Normally despatched within 3-4 Business Days (Redemption is subject to completion of Lock-in Period, if opted).

FFoorr ffuurrtthheerr ddeettaaiillss,, pplleeaassee rreeffeerr ttoo ppaarraa ‘‘EExxiitt LLooaadd’’ oonn PPgg 1177..

Inves tors unders tand that the i r p r inc ipa lwi l l be a t moderate ly h igh r i sk

MODERATE

LO

W

HIG

H

MO

DERA

TELY

LOW

MO

DERATELY

HIG

H

LOW HIGH

Inves tors unders tand that the i r p r inc ipa lwi l l be a t moderate r i sk

MODERATE

LO

W

HIG

H

MO

DERA

TELY

LOW

MO

DERATELY

HIG

H

LOW HIGH

NNoott AApppplliiccaabbllee.. Upfront commission shall be paid directly by the investor to the ARN Holder (AMFI registered Distributor) based on the investors’ assessment of various factors including the service rendered by the ARN Holder.

CCGGFF - IInnvveessttmmeenntt PPllaann● Capital appreciation over long term.● Investment in equity and equity related instruments as well as

debt and money market instruments.

CCGGFF - SSaavviinnggss PPllaann● Capital appreciation over medium to long term.● Investment in debt and money market instruments as well

as equity and equity related instruments.

Page 11: Vol. No. 12 Issue No. 12 June 2015 - hdfcfund.com · Vol. No. 12 Issue No. 12 June 2015. 2 June 2015 Intouchmutually PAGE NO. MARKET REVIEW 3 EDITORIAL 4 FEATURES OF OUR SELECT SCHEMES

Intouchmutually June 2015 11

Features of our select schemes

NNaattuurree ooff SScchheemmee

TThhiiss pprroodduucctt iiss ssuuiittaabbllee ffoorr iinnvveessttoorrsswwhhoo aarree sseeeekkiinngg ~~

RRiisskkoommeetteerr

FFuunndd MMaannaaggeerr

IInncceeppttiioonn DDaattee((DDaattee ooff AAlllloottmmeenntt))

EEnnttrryy // SSaalleess LLooaadd

EExxiitt LLooaadd

IInnvveessttmmeenntt PPllaann

IInnvveessttmmeenntt OOppttiioonnss

MMiinniimmuumm AApppplliiccaattiioonn AAmmoouunntt((UUnnddeerr eeaacchh PPllaann //OOppttiioonn))

NNeett AAsssseett VVaalluuee ((NNAAVV))

RReeddeemmppttiioonn PPrroocceeeeddss

Investors are advised to consult their tax advisors with respect to the tax consequences of the purchase, ownership and disposal of mutual fund units. For Tax Benefits / Consequences, Please refer to page 17 # Dedicated Fund Manager for Overseas Investments: Mr Rakesh Vyas.~~ Investors should consult their financial advisers if in doubt about whether the product is suitable for them.* Date of migration from Morgan Stanley Mutual Fund (Close of business hours - June 27, 14)

HDFC Inflation Indexed Bond Fund

Open-ended Income Scheme

● Generate income and capital appreciation indexed to inflation.

● Investment in inflation indexed securities issued by government and corporate issuers.

Anil Bamboli (since June 27, 14)*

March 4, 2013

● In respect of each purchase / switch-in of units, an exitload of 1.50% is payable if units are redeemed/switchedout within 12 months from the date of allotment.

● No exit load is payable if units are redeemed/switched-out after 12 months from the date of allotment.

HDFC Inflation Indexed Bond Fund - Regular Plan, HDFC Inflation Indexed Bond Fund - Direct Plan

Under both the Plans: Growth, Regular Dividend andQuarterly Dividend. Both Dividend Options offer Payout andReinvestment facilities.

Purchase : ` 5,000 and any amount thereafter.Additional Purchase : ` 1,000 and any amount thereafter.

HDFC MF Monthly Income Plan (HDFC MF MIP)

An open-ended income scheme. Monthly income is not assured and is subject to availability ofdistributable surplus

HHDDFFCC MMFF MMIIPP - SShhoorrtt TTeerrmm PPllaann ((SSTTPP)) && LLoonngg TTeerrmm PPllaann ((LLTTPP))● Regular income over medium to long term.● Investment in debt and money market instruments as well as equity and equity

related instruments.

LTP – Prashant Jain (Equities) (since December 26, 03), Shobhit Mehrotra (Debt) (since September 1, 07)#,STP – Vinay Kulkarni (Equities) (since November 21, 06), Shobhit Mehrotra (Debt) (since February 16, 04)#

December 26, 2003

MMIIPP - SShhoorrtt TTeerrmm PPllaann && MMIIPP - LLoonngg TTeerrmm PPllaann ● In respect of eeaacchh purchase / switch-in of Units, 15% of the units (“the limit”) may be

redeemed without any exit load from the date of allotment. ● Any redemption in excess of the limit shall be subject to the following exit load:

■ Exit load of 1.00% is payable if Units are redeemed / switched-out within 1 year from thedate of allotment of units.

● No Exit Load is payable if Units are redeemed / switched-out after 1 year from the date of allotment.

HDFC MF MIP - Short Term Plan (STP), HDFC MF MIP - STP - Direct Plan, HDFC MF MIP - Long Term Plan (LTP), HDFC MF MIP - LTP - Direct Plan

Each Plan offers Growth, Monthly Dividend & Quarterly Dividend Option. The Dividend Optionoffers Dividend Payout and Reinvestment facility.

Purchase :(Growth & Quarterly Dividend Option) – ` 5,000 and any amount thereafter.(Monthly Dividend Option) – ` 25,000 and any amount thereafter. Additional Purchase : ` 1,000 and any amount thereafter.

MODERATE

LO

W

HIG

H

MO

DERA

TELY

LOW

MO

DERATELY

HIG

H

LOW HIGH

Inves tors unders tand that the i r p r inc ipa lwi l l be a t moderate ly h igh r i sk

MODERATE

LO

W

HIG

H

MO

DERA

TELY

LOW

MO

DERATELY

HIG

H

LOW HIGH

Inves tors unders tand that the i r p r inc ipa lwi l l be a t moderate r i sk

NNoott AApppplliiccaabbllee.. Upfront commission shall be paid directly by the investor to the ARN Holder (AMFI registered Distributor) based on the investors’ assessment of various factors including the service rendered by the ARN Holder.

FFoorr ffuurrtthheerr ddeettaaiillss,, pplleeaassee rreeffeerr ttoo ppaarraa ‘‘EExxiitt LLooaadd’’ oonn PPgg 1177..

Every Business Day

Normally despatched within 3-4 Business Days.

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Intouchmutually12 June 2015

Features of our select schemes

NNaattuurree ooff SScchheemmee

TThhiiss pprroodduucctt iiss ssuuiittaabbllee ffoorr iinnvveessttoorrsswwhhoo aarree sseeeekkiinngg ~~

RRiisskkoommeetteerr

FFuunndd MMaannaaggeerr

IInncceeppttiioonn DDaattee((DDaattee ooff AAlllloottmmeenntt))

EEnnttrryy // SSaalleess LLooaadd

EExxiitt LLooaadd

IInnvveessttmmeenntt PPllaann

IInnvveessttmmeenntt OOppttiioonnss

MMiinniimmuumm AApppplliiccaattiioonn AAmmoouunntt((UUnnddeerr eeaacchh PPllaann //OOppttiioonn))

NNeett AAsssseett VVaalluuee ((NNAAVV))

RReeddeemmppttiioonn PPrroocceeeeddss

HDFC Multiple Yield Fund

Open-ended Income Scheme

● Positive returns over medium term with lowrisk of capital loss over medium term.

● Investment in debt and money market instruments with maturity of 1 year (85%) as well as equity and equity related instruments (15%).

Vinay Kulkarni (Equities), (since November 21, 06)Anil Bamboli (Debt) (since September 17, 04)#

September 17, 2004

● In respect of eeaacchh purchase / switch-in ofUnits, an Exit Load of 1.00% is payable ifunits are redeemed / switched-out within 1year from the date of allotment.

● No Exit Load is payable if Units are redeemed/ switched-out after 1 year from the date ofallotment.

HDFC Multiple Yield Fund, HDFC Multiple Yield Fund - Direct Plan

HDFC Multiple Yield Fund (MYF) – Plan 2005

Open-ended Income Scheme

● Positive returns over medium term with lowrisk of capital loss over medium term.

● Investment in debt and money market instruments with maturity of 15 months (85%) as well as equity and equity relatedinstruments (15%).

Chirag Setalvad (Equities), (since April 2, 07)Anil Bamboli (Debt) (since Aug 17, 05)#

August 17, 2005

● In respect of eeaacchh purchase / switch-in ofUnits, an Exit Load of 1.00% is payable ifunits are redeemed / switched-out within 15months from the date of allotment.

● No Exit Load is payable if Units are redeemed/ switched-out after 15 months from the dateof allotment.

HDFC MYF - Plan 2005, HDFC MYF - Plan 2005 - Direct Plan

Investors are advised to consult their tax advisors with respect to the tax consequences of the purchase, ownership and disposal of mutual fund units. For Tax Benefits / Consequences, Please refer to page 17* Date of migration from Morgan Stanley Mutual Fund (Close of business hours - June 27, 14)# Dedicated Fund Manager for Overseas Investments: Mr Rakesh Vyas.~~ Investors should consult their financial advisers if in doubt about whether the product is suitable for them.

HDFC Dynamic PE Ratio Fund of Funds

Open-ended Fund of Funds Scheme

● Capital appreciation over long term.● Investment in specified equity and debt

schemes of HDFC Mutual Fund based on PE Ratios.

Miten Lathia (Equities), (since June 27, 14)*Anil Bamboli (Debt) (since June 27, 14)*

February 6, 2012

● In respect of eeaacchh purchase / switch-in of Units,an Exit Load of 1.00% is payable if units areredeemed / switched-out within 1 year from thedate of allotment.

● No Exit Load is payable if Units are redeemed /switched-out after 1 year from the date of allotment.

HDFC Dynamic PE Ratio Fund of Funds - Regular PlanHDFC Dynamic PE Ratio Fund of Funds - Direct Plan

NNoott AApppplliiccaabbllee.. Upfront commission shall be paid directly by the investor to the ARN Holder (AMFI registered Distributor) based on the investors’ assessment of various factors including the service rendered by the ARN Holder.

Under Each Plan: Growth & Dividend. The Dividend Option offers Dividend Payout and Reinvestment facility.

Purchase : ` 5,000 and any amount thereafter. Additional Purchase : ` 1,000 and any amount thereafter.

Every Business Day

Normally despatched within 3-4 Business Days.

MODERATE

LO

W

HIG

H

MO

DERA

TELY

LOW

MO

DERATELY

HIG

H

LOW HIGH

Inves tors unders tand that the i r p r inc ipa l wi l l be a t moderate ly h igh r i sk

FFoorr ffuurrtthheerr ddeettaaiillss,, pplleeaassee rreeffeerr ttoo ppaarraa ‘‘EExxiitt LLooaadd’’ oonn PPgg 1177..

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HDFC Income Fund

Open-ended Income Scheme

● Regular income over medium to long term.

● To optimise returns while maintaining a balance of safety,yield and liquidity by investment in debt and money market instruments.

Shobhit Mehrotra (since September 1, 07)#

September 11, 2000

● In respect of eeaacchh purchase /switch-in of Units, an Exit Load of0.5% is payable if units areredeemed / switched-out within 6months from the date of allotment.

● No Exit Load is payable if Units areredeemed / switched-out after 6 months from the date of allotment.

HDFC Income Fund, HDFC Income Fund - Direct Plan

Under each Plan: Growth, QuarterlyDividend & Normal Dividend. Both Dividend Options offer Payout andReinvestment facility.

NNaattuurree ooff SScchheemmee

TThhiiss pprroodduucctt iiss ssuuiittaabbllee ffoorr iinnvveessttoorrsswwhhoo aarree sseeeekkiinngg ~~

RRiisskkoommeetteerr

FFuunndd MMaannaaggeerr

IInncceeppttiioonn DDaattee((DDaattee ooff AAlllloottmmeenntt))

EEnnttrryy // SSaalleess LLooaadd

EExxiitt LLooaadd

IInnvveessttmmeenntt PPllaann

IInnvveessttmmeenntt OOppttiioonn

MMiinniimmuumm AApppplliiccaattiioonn AAmmoouunntt((UUnnddeerr eeaacchh PPllaann //OOppttiioonn))

NNeett AAsssseett VVaalluuee ((NNAAVV))

RReeddeemmppttiioonn PPrroocceeeeddss

Intouchmutually June 2015 13

Features of our select schemes

HDFC Short Term Plan

Open-ended Income Scheme

● Regular income over short to medium term.

● Investment in debt and money market instruments with a short tomedium term maturity (average maturity profile of 1-3 years).

Anil Bamboli (since January 13, 04)#

February 28, 2002

● In respect of eeaacchh purchase / switch-in of Units, an Exit Load of0.75% is payable if units areredeemed / switched-out within 12months from the date of allotment.

● No Exit Load is payable if Units areredeemed / switched-out after 12months from the date of allotment.

HDFC Short Term Plan, HDFC Short Term Plan - Direct Plan

Under both the Plans: Growth, MonthlyDividend option and Normal Dividend.Both Dividend options offer Payout andReinvestment facilities.

HDFC High Interest Fund (HHIF)

Open-ended Income Scheme

HHDDFFCC HHiigghh IInntteerreesstt FFuunndd - DDyynnaammiicc PPllaann ● Stable returns over medium to long term.● To maximize income while maintaining the optimum balance of yield,

safety and liquidity by investing in a range of debt and money marketinstruments of various maturity dates.

HHDDFFCC HHiigghh IInntteerreesstt FFuunndd - SShhoorrtt TTeerrmm PPllaann ((HHHHIIFF - SSTTPP))● Stable returns over short to medium term.● To maximize income while maintaining the optimum balance of yield,

safety and liquidity by investing in a range of debt and money marketinstruments of various maturity dates.

Anil Bamboli (HHIF - Dynamic Plan) (since February 16, 04)#, Shobhit Mehrotra (HHIF - STP) (since September 1, 07)#

HHHHIIFF - DDyynnaammiicc PPllaann :: April 28, 1997HHHHIIFF - SSTTPP :: February 6, 2002

HHHHIIFF - DDyynnaammiicc PPllaann::● In respect of eeaacchh purchase / switch-in of Units, an Exit Load of

0.50% is payable if units are redeemed / switched-out within 3months from the date of allotment.

● No Exit Load is payable if Units are redeemed / switched-out after 3months from the date of allotment.

HHHHIIFF - SSTTPP● In respect of eeaacchh purchase / switch-in of units, an Exit Load of 0.25% is

payable if units are redeemed / switched-out within 1 month from thedate of allotment.

● No Exit Load is payable if Units are redeemed / switched-out after 1month from the date of allotment.

HHIF - Dynamic Plan, HHIF - Dynamic Plan - Direct Plan, HHIF - STP, HHIF - STP - Direct Plan

HHHHIIFF - DDyynnaammiicc PPllaann :: Under Each Plan: Growth, Normal Dividend,Quarterly Dividend, Half Yearly Dividend, Yearly Dividend . All Dividendoptions offer Payout and Reinvestment facilities.HHHHIIFF - SSTTPP :: Under both the Plans: Growth, Normal Dividend and FortnightlyDividend. Both Dividend options offer Payout and Reinvestment facilities.

FFoorr ffuurrtthheerr ddeettaaiillss,, pplleeaassee rreeffeerr ttoo ppaarraa ‘‘EExxiitt LLooaadd’’ oonn PPgg 1177..

Every Business Day

Normally despatched within 3-4 Business Days.

NNoott AApppplliiccaabbllee.. Upfront commission shall be paid directly by the investor to the ARN Holder (AMFI registered Distributor) based on the investors’ assessment of various factors including the service rendered by the ARN Holder.

Investors are advised to consult their tax advisors with respect to the tax consequences of the purchase, ownership and disposal of mutual fund units. For Tax Benefits / Consequences, Please refer to page 17 # Dedicated Fund Manager for Overseas Investments: Mr Rakesh Vyas.~~ Investors should consult their financial advisers if in doubt about whether the product is suitable for them.

Purchase : ` 5,000 and any amount thereafter. Additional Purchase : ` 1,000 and any amount thereafter.

MODERATE

LO

W

HIG

H

MO

DERA

TELY

LOW

MO

DERATELY

HIG

H

LOW HIGH

Inves tors unders tand that the i r p r inc ipa l wi l l be a t moderate r i sk

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Intouchmutually14 June 2015

Features of our select schemes

NNaattuurree ooff SScchheemmee

TThhiiss pprroodduucctt iiss ssuuiittaabbllee ffoorr iinnvveessttoorrsswwhhoo aarree sseeeekkiinngg ~~

RRiisskkoommeetteerr

FFuunndd MMaannaaggeerr

IInncceeppttiioonn DDaattee((DDaattee ooff AAlllloottmmeenntt))

EEnnttrryy // SSaalleess LLooaadd

EExxiitt LLooaadd

IInnvveessttmmeenntt PPllaann

IInnvveessttmmeenntt OOppttiioonn

MMiinniimmuumm AApppplliiccaattiioonn AAmmoouunntt ((UUnnddeerr eeaacchh PPllaann)) //OOppttiioonn

NNeett AAsssseett VVaalluuee ((NNAAVV))

RReeddeemmppttiioonn PPrroocceeeeddss

Investors are advised to consult their tax advisors with respect to the tax consequences of the purchase, ownership and disposal of mutual fund units. For Tax Benefits / Consequences, Please refer to page 17 # Dedicated Fund Manager for Overseas Investments: Mr Rakesh Vyas. ~~ Investors should consult their financial advisers if in doubt about whether the product is suitable for them.

HDFC Gilt Fund

Open-ended Income Scheme

Anil Bamboli (since September 1, 07)

July 25, 2001

SShhoorrtt TTeerrmm PPllaann :: NilLLoonngg TTeerrmm PPllaann :: Nil

Short Term Plan, Short Term Plan - Direct Plan,Long Term Plan, Long Term Plan - Direct Plan

Under both the Plans: Growth & Dividend Option (Dividend Option offers Dividend Payoutand Reinvestment facility).

HDFC Medium Term Opportunities Fund

Open-ended Income Scheme

● Regular income over mediumto long term.

● Investment in debt, moneymarket instruments and government securities withmaturities not exceeding 60months.

Shobhit Mehrotra (since June 29, 10) #

June 29, 2010

● In respect of each purchase/switch-in of units, an exitload of 1.00% is payable ifunits are redeemed/switchedout within 12 months fromthe date of allotment.

● No exit load is payable ifunits are redeemed/switched-out after 12 monthsfrom the date of allotment.

HDFC Medium Term OpportunitiesFund, HDFC Medium TermOpportunities Fund - Direct Plan

Under both the Plans: Growth,Quarterly Dividend and NormalDividend. Both Dividend optionsoffer Payout and Reinvestmentfacilities.

HDFC Short Term Opportunities Fund

Open-ended Income Scheme

● Regular income over short to medium term.

● Investment in debt andmoney market instrumentsand government securitieswith maturities not exceeding36 months.

Anil Bamboli (since June 25, 10) #

June 25, 2010

● In respect of each purchase /switch-in of Units, an ExitLoad of 0.25% is payable ifUnits are redeemed /switched-out within 1 monthfrom the date of allotment.

● No Exit Load is payable ifUnits are redeemed /switched-out after 1 monthfrom the date of allotment.

HDFC Short Term OpportunitiesFund, HDFC Short TermOpportunities Fund - Direct Plan

Under Each Plan: Growth,Fortnightly Dividend and NormalDividend. Both Dividend optionsoffer Payout and Reinvestmentfacilities.

NNoott AApppplliiccaabbllee.. Upfront commission shall be paid directly by the investor to the ARN Holder (AMFI registered Distributor) based on the investors’ assessment of various factors including the service rendered by the ARN Holder.

Purchase : ` 5,000 and any amount thereafter. Additional Purchase : ` 1,000 and any amount thereafter.

Every Business Day

Normally despatched within 3-4 Business Days.

FFoorr ffuurrtthheerr ddeettaaiillss,, pplleeaassee rreeffeerr ttoo ppaarraa ‘‘EExxiitt LLooaadd’’ oonn PPgg 1177..

MODERATE

LO

W

HIG

H

MO

DERA

TELY

LOW

MO

DERATELY

HIG

H

LOW HIGH

Investors understand that their principal will be at moderately low risk

MODERATE

LO

W

HIG

H

MO

DERA

TELY

LOW

MO

DERATELY

HIG

H

LOW HIGH

Investors understand that their principal will be at moderately low risk

MODERATE

LO

W

HIG

H

MO

DERA

TELY

LOW

MO

DERATELY

HIG

H

LOW HIGH

Investors understand that their principal will be at moderate risk

SShhoorrtt TTeerrmm PPllaann● Credit risk free returns over short to

medium term. ● Investment in sovereign securities

issued by Central/ State Governmentwith short to medium term maturities.

LLoonngg TTeerrmm PPllaann● Credit risk free returns over medium to

long term.● Investment in sovereign securities

issued by Central / State Governmentwith medium to long term maturities.

Page 15: Vol. No. 12 Issue No. 12 June 2015 - hdfcfund.com · Vol. No. 12 Issue No. 12 June 2015. 2 June 2015 Intouchmutually PAGE NO. MARKET REVIEW 3 EDITORIAL 4 FEATURES OF OUR SELECT SCHEMES

HDFC Floating Rate Income Fund

Open-ended Income Scheme

Shobhit Mehrotra (since February 16, 04)#

LLoonngg TTeerrmm PPllaann ((LLTTPP)) :: January 16, 2003 SShhoorrtt TTeerrmm PPllaann ((SSTTPP)) - WWhhoolleessaallee OOppttiioonn:: October 23, 2007

SSTTPP :: NilLLTTPP :: ● In respect of eeaacchh purchase / switch-in of Units, an Exit Load of 0.50% is payable if units are

redeemed / switched-out within 3 months from the date of allotment.● No Exit Load is payable if Units are redeemed / switched-out after 3 months from the

date of allotment.

STP - Wholesale Option, STP - Wholesale Option - Direct Plan,LTP, LTP - Direct Plan

SSTTPP –– WWhhoolleessaallee OOppttiioonn :: Under both the Plans: Growth and Dividend Option. The DividendOption offers Daily Dividend Option (with Reinvestment facility only) and Weekly and MonthlyDividend Option (with Payout and Reinvestment facility).LLTTPP :: Under both the plans: Growth, Weekly Dividend Reinvestment Option and NormalDividend Option (with payout facility).

SSTTPP –– WWhhoolleessaallee OOppttiioonn :: Purchase : ` 10 lakh and any amount thereafter. Additional Purchase : ` 1 and and any amount thereafter.LLTTPP :: For Purchase : ` 5,000 and any amount thereafter.Additional Purchase : ` 1,000 and any amount thereafter.

Every Business Day

Normally despatched within 3-4 Business Days.

NNaattuurree ooff SScchheemmee

TThhiiss pprroodduucctt iiss ssuuiittaabbllee ffoorr iinnvveessttoorrsswwhhoo aarree sseeeekkiinngg ~~

RRiisskkoommeetteerr

FFuunndd MMaannaaggeerr

IInncceeppttiioonn DDaattee((DDaattee ooff AAlllloottmmeenntt))

EEnnttrryy // SSaalleess LLooaadd

EExxiitt LLooaadd

IInnvveessttmmeenntt PPllaann

IInnvveessttmmeenntt OOppttiioonn

MMiinniimmuumm AApppplliiccaattiioonn AAmmoouunntt((UUnnddeerr eeaacchh PPllaann //OOppttiioonn))

NNeett AAsssseett VVaalluuee ((NNAAVV))

RReeddeemmppttiioonn PPrroocceeeeddss

Investors are advised to consult their tax advisors with respect to the tax consequences of the purchase, ownership and disposal of mutual fund units. For Tax Benefits / Consequences, Please refer to page 17^ Calculated on all calendar days# Dedicated Fund Manager for Overseas Investments: Mr Rakesh Vyas.~~ Investors should consult their financial advisers if in doubt about whether the product is suitable for them.

HDFC Liquid Fund

Open-ended Liquid Income Scheme

● Income over short term.● Investment in debt and money market instruments.

Shobhit Mehrotra (since February 16, 04)#

October 17, 2000

Nil

HDFC Liquid Fund, HDFC Liquid Fund - Direct Plan

Under both the Plans: Growth & Dividend Option. TheDividend Option offers Daily Dividend Option(Reinvestment facility only) and Weekly and MonthlyDividend Option (with Payout and Reinvestment facility).

Purchase: Under Growth Option, Weekly DividendOption and Monthly Dividend Option: ` 5,000 and any amount thereafter. Under Daily Dividend Option: ` 10,000 and any amount thereafter.Additional Purchase: Under Growth Option, WeeklyDividend Option and Monthly Dividend Option: ` 1,000 and any amount thereafter. Under DailyDividend Option: ` 5,000 and any amount thereafter.

Every Business Day^

Normally despatched within 1 Business Day.

NNoott AApppplliiccaabbllee.. Upfront commission shall be paid directly by the investor to the ARN Holder (AMFI registered Distributor) based on the investors’ assessment of various factors including the service rendered by the ARN Holder.

Intouchmutually June 2015 15

Features of our select schemes

FFoorr ffuurrtthheerr ddeettaaiillss,, pplleeaassee rreeffeerr ttoo ppaarraa ‘‘EExxiitt LLooaadd’’ oonn PPgg 1177..

SShhoorrtt TTeerrmm PPllaann● Regular income over short term.● Investment in floating rate debt / money

market instruments, fixed rate debt /money market instruments swapped forfloating rate returns and fixed rate debtand money market instruments of shortterm maturities with higher liquidity.

LLoonngg TTeerrmm PPllaann● Regular income over short to medium term.● Investment in floating rate debt / money

market instruments, fixed rate debt /money market instruments swapped forfloating rate returns and fixed rate debtand money market instruments of longerterm maturities.

MODERATE

LO

W

HIG

H

MO

DERA

TELY

LOW

MO

DERATELY

HIG

H

LOW HIGH

Investors understand that their principal wil l be at moderate risk

MODERATE

LO

W

HIG

H

MO

DERA

TELY

LOW

MO

DERATELY

HIG

H

LOW HIGH

Investors understand that theirprincipal wil l be at low risk

MODERATE

LO

W

HIG

H

MO

DERA

TELY

LOW

MO

DERATELY

HIG

H

LOW HIGH

Investors understand that their principal will be at moderately low risk

Page 16: Vol. No. 12 Issue No. 12 June 2015 - hdfcfund.com · Vol. No. 12 Issue No. 12 June 2015. 2 June 2015 Intouchmutually PAGE NO. MARKET REVIEW 3 EDITORIAL 4 FEATURES OF OUR SELECT SCHEMES

Intouchmutually16 June 2015

Features of our select schemes

Investors are advised to consult their tax advisors with respect to the tax consequences of the purchase, ownership and disposal of mutual fund units.For Tax Benefits / Consequences, Please refer to page 17^ Calculated on all calendar days# Dedicated Fund Manager for Overseas Investments: Mr Rakesh Vyas.~~ Investors should consult their financial advisers if in doubt about whether the product is suitable for them.

Nature of Scheme

TThhiiss pprroodduucctt iiss ssuuiittaabbllee ffoorr iinnvveessttoorrsswwhhoo aarree sseeeekkiinngg ~~

RRiisskkoommeetteerr

Fund Manager

Inception Date(Date of Allotment)

Entry / Sales Load

Exit Load

Investment Plan

Investment Option

Minimum Application Amount((UUnnddeerr eeaacchh PPllaann //OOppttiioonn))

Net Asset Value (NAV)

Redemption Proceeds

HDFC Cash Management Fund

SSaavviinnggss && CCaallll PPllaann:: Open-ended High Liquidity Income SchemeTTrreeaassuurryy AAddvvaannttaaggee PPllaann:: Open-ended Income Scheme

Anil Bamboli SSaavviinnggss && CCaallll PPllaann (since July 25, 12)# TTrreeaassuurryy AAddvvaannttaaggee PPllaann (since September 1, 07)#

SSaavviinnggss && TTrreeaassuurryy AAddvvaannttaaggee PPllaann ((RReettaaiill OOppttiioonn)):: November 18, 1999 CCaallll PPllaann :: February 6, 2002

NNoott AApppplliiccaabbllee.. Upfront commission shall be paid directly by the investor to the ARN Holder (AMFI registered Distributor) based on the investors’assessment of various factors including the service rendered by the ARN Holder.

SSaavviinnggss,, CCaallll && TTrreeaassuurryy AAddvvaannttaaggee PPllaann :: Nil

Savings Plan, Savings Plan - Direct Plan, Call Plan, Call Plan - Direct Plan, Treasury Advantage Plan, Treasury Advantage Plan - Direct Plan

SSaavviinnggss && CCaallll PPllaann :: Each Plan offers Growth Option & Daily Dividend Option (with Reinvestment facility only). Savings Plan also offers Weekly DividendOption (with Payout and Reinvestment facility). TTrreeaassuurryy AAddvvaannttaaggee PPllaann ((RReettaaiill OOppttiioonn)):: Each Plan offers Growth and Dividend Option. Dividend Option offers Daily Dividend Option with Reinvestment facility only and Weekly and Monthly Dividend Option with Payout and Reinvestment facility.

SSaavviinnggss PPllaann :: Purchase: Under Growth Option and Weekly Dividend Option: ` 5,000 and any amount thereafter. Under Daily Dividend Option: ` 10,000 and any amount thereafter.Additional Purchase: Under Growth Option and Weekly Dividend Option: ` 1,000 and any amount thereafter. Under Daily Dividend Option: ` 5,000 and any amount thereafter.TTrreeaassuurryy AAddvvaannttaaggee PPllaann –– RReettaaiill OOppttiioonn:: Growth, Weekly and Monthly Dividend Option : Purchase ` 5,000 and any amount thereafter.Additional Purchase: ` 1,000 and any amount thereafter. Daily Dividend Option : Purchase ` 10,000 and any amount thereafter; Additional Purchase ` 5,000 and any amount thereafter.CCaallll PPllaann :: Purchase: Under Growth Option: ` 5,000 and any amount thereafter. Under Daily Dividend Option: ` 10,000 and any amount thereafter.Additional Purchase: Under Growth Option: ` 1,000 and any amount thereafter. Under Daily Dividend Option: ` 5,000 and any amount thereafter.

SSaavviinnggss && CCaallll PPllaann:: Every Business Day^ TTrreeaassuurryy AAddvvaannttaaggee PPllaann:: Every Business Day

SSaavviinnggss && CCaallll PPllaann :: Normally despatched within 1 Business Day.TTrreeaassuurryy AAddvvaannttaaggee PPllaann:: Normally despatched within 3-4 Business Days.

SSaavviinnggss PPllaann● Optimal returns over short term. ● Investment in debt and money

market instruments with maturityof upto 91 days only.

TTrreeaassuurryy AAddvvaannttaaggee PPllaann● Regular income over short term.● Investment in debt and money

market instruments.

CCaallll PPllaann● Optimal returns over short term that may be in line with the

overnight call rates. ● Investment typically in Collateralised Borrowing & Lending

Obligations (CBLO), overnight reverse repos in Government securitiesand fixed income instruments with overnight maturity/ liquidity.

FFoorr ffuurrtthheerr ddeettaaiillss,, pplleeaassee rreeffeerr ttoo ppaarraa ‘‘EExxiitt LLooaadd’’ oonn PPgg 1177..

MODERATE

LO

W

HIG

H

MO

DERA

TELY

LOW

MO

DERATELY

HIG

H

LOW HIGH

Inves tors unders tand that the i r p r inc ipa l wi l l be a t low r i sk

Page 17: Vol. No. 12 Issue No. 12 June 2015 - hdfcfund.com · Vol. No. 12 Issue No. 12 June 2015. 2 June 2015 Intouchmutually PAGE NO. MARKET REVIEW 3 EDITORIAL 4 FEATURES OF OUR SELECT SCHEMES

Intouchmutually June 2015 17

Features of our select schemes

Nature of Scheme

TThhiiss pprroodduucctt iiss ssuuiittaabbllee ffoorr iinnvveessttoorrsswwhhoo aarree sseeeekkiinngg ~~

RRiisskkoommeetteerr

Fund Manager

Inception Date(Date of Allotment)

Entry / Sales Load

Exit Load

Investment Plan

Investment Option

Minimum Application Amount((UUnnddeerr eeaacchh PPllaann //OOppttiioonn))

Net Asset Value (NAV)

Redemption Proceeds

HDFC Banking and PSU Debt Fund

Open-ended Income Scheme

● Regular income over medium to long term● Investments in debt and money market instruments

consisting predominantly of securities issued by ScheduledCommercial Banks and Public Sector undertakings.

Anil Bamboli (since March 26, 14) #

March 26, 2014

Nil

HDFC Banking and PSU Debt Fund - Regular PlanHDFC Banking and PSU Debt Fund - Direct Plan

Under Each Plan: Growth & Dividend. The Dividend Optionoffers Dividend Payout and Dividend Reinvestment facility.

HDFC Corporate Debt Opportunities Fund

Open-ended Income Scheme

● Regular income over medium to long term.● To generate regular income and capital appreciation by investing predominantly in

corporate debt.

Shobhit Mehrotra (since March 25, 14) #

March 25, 2014

● In respect of eeaacchh purchase / switch-in of Units, an Exit Load of 2.00% is payable ifUnits are redeemed / switched-out within 12 months from the date of allotment.

● In respect of eeaacchh purchase / switch-in of Units, an Exit Load of 1.00% is payable ifUnits are redeemed / switched-out after 12 months but within 24 months from thedate of allotment.

● In respect of eeaacchh purchase / switch-in of Units, an Exit Load of 0.50% is payable ifUnits are redeemed / switched-out after 24 months but within 36 months from thedate of allotment.

● No Exit Load is payable if Units are redeemed / switched-out after 36 months from thedate of allotment.

HDFC Corporate Debt Opportunities Fund - Regular Plan, HDFC Corporate DebtOpportunities Fund - Direct Plan

Under Each Plan: Growth, Half Yearly Dividend and Normal Dividend. Both Dividendoptions offer Payout and Reinvestment facilities.

NNoott AApppplliiccaabbllee.. Upfront commission shall be paid directly by the investor to the ARN Holder (AMFI registered Distributor) based on the investors’ assessment of various factors including the service rendered by the ARN Holder.

Investors are advised to consult their tax advisors with respect to the tax consequences of the purchase, ownership and disposal of mutual fund units.# Dedicated Fund Manager for Overseas Investments: Mr Rakesh Vyas since May 10, 2012. EExxiitt LLooaadd:: (i) No exit load shall be levied for switching between Options under the same Plan within a Scheme. (ii) Switch of investments to Direct Plan within the same Scheme shall be subjectto applicable exit load, unless the investments were made without any distributor code. However, any subsequent switch-out or redemption of such investments from the Direct Plan will not besubject to any exit load.(iii) No exit load shall be levied for switch-out from Direct Plan to other Plan within the same Scheme. However, any subsequent switch-out or redemption of such investment from the other Plan shall be subject to exit load based on the original date of investment in the Direct Plan. (iv) Switch of investments between Plans under a Scheme having separate portfolios, will be subject to applicable exit load. (v) No exit load will be levied on Bonus Units and Units allotted on Dividend Re-investment. ~~ Investors should consult their financial advisers if in doubt about whether the product is suitable for them.TTaaxx BBeenneeffiittss // CCoonnsseeqquueenncceess :: Income distributed by the Scheme(s) is free from Income–tax in the hands of Investors. The additional income-tax on distribution of income by any other fund(not being an equity oriented fund) to an individual / HUF shall be payable at the rate of 28.84%* and at the rate of 34.608%* on distribution of income to any other investor. Units of theScheme(s) are not subject to Wealth-tax and Gift-tax. Unit holders are required to pay Securities Transaction Tax (STT) at the rate of 0.001% at the time of redemption / switch-out of units of an equity-oriented fund.* including applicable surcharge, education cess and secondary and higher education cessIInnvveessttoorrss sshhoouulldd bbee aawwaarree tthhaatt tthhee ffiissccaall rruulleess // ttaaxx llaawwss mmaayy cchhaannggee aanndd tthheerree ccaann bbee nnoo gguuaarraanntteeee tthhaatt tthhee ccuurrrreenntt ttaaxx ppoossiittiioonn mmaayy ccoonnttiinnuuee iinnddeeffiinniitteellyy.. IInn vviieeww ooff iinnddiivviidduuaall nnaattuurree ooff ttaaxxccoonnsseeqquueenncceess,, eeaacchh iinnvveessttoorr iiss aaddvviisseedd ttoo ccoonnssuulltt hhiiss // hheerr oowwnn pprrooffeessssiioonnaall ttaaxx aaddvviissoorr..

Prashant Jain Over 24 yearsVinay Kulkarni Over 25 years

Srinivas Rao Ravuri Over 18 yearsChirag Setalvad Over 18 years

Shobhit Mehrotra Over 21 yearsAnil Bamboli Over 21 years

Miten Lathia Over 15 yearsRakesh Vyas Over 11 years

FFuunndd MMaannaaggeerr TToottaall EExxppeerriieennccee FFuunndd MMaannaaggeerr TToottaall EExxppeerriieennccee FFuunndd MMaannaaggeerr TToottaall EExxppeerriieennccee FFuunndd MMaannaaggeerr TToottaall EExxppeerriieennccee

Every Business Day

Normally despatched within 3-4 Business Days.

Purchase : ` 5,000 and any amount thereafter. Additional Purchase : ` 1,000 and any amount thereafter

MODERATE

LO

W

HIG

H

MO

DERA

TELY

LOW

MO

DERATELY

HIG

H

LOW HIGH

Inves tors unders tand that the i r p r inc ipa l wi l l be a tmoderate r i sk

MODERATE

LO

W

HIG

H

MO

DERA

TELY

LOW

MO

DERATELY

HIG

H

LOW HIGH

Inves tors unders tand that the i r p r inc ipa l wi l lbe a t moderate ly low r i sk

Page 18: Vol. No. 12 Issue No. 12 June 2015 - hdfcfund.com · Vol. No. 12 Issue No. 12 June 2015. 2 June 2015 Intouchmutually PAGE NO. MARKET REVIEW 3 EDITORIAL 4 FEATURES OF OUR SELECT SCHEMES

Portfolio – Top 10 Holdings

HDFC Growth FundAn open-ended growth scheme

HDFC Equity FundAn open-ended growth scheme

Banks 27.37Petroleum Products 10.20Software 10.05Pharmaceuticals 7.27Auto 6.71Construction Project 4.88Industrial Capital Goods 4.22Chemicals 3.48Finance 3.29Telecom - Services 3.11

Consumer Non Durables 2.40Oil 2.19Construction 1.85Power 1.83Gas 1.79Minerals / Mining 1.60Cement 1.33Ferrous Metals 0.90Non - Ferrous Metals 0.88Industrial Products 0.83

Industry Allocation of Equity Holding (% of Net Assets)

PPoorrttffoolliioo TTuurrnnoovveerr RRaattiioo ((LLaasstt 11 YYeeaarr)) 2288..6644%%

NAV NAV per Unit (`)

Growth Option 132.127Dividend Option 29.974Direct Plan - Growth Option 133.666Direct Plan - Dividend Option 30.378

Std Deviation Beta Sharpe Ratio*

Risk Ratio 4.48% 1.0898 0.161(for the 3-yr period ended June 30, 15)Based on month-end NAV

Std Deviation Beta Sharpe Ratio*

Risk Ratio 5.31% 1.1793 0.215(for the 3-yr period ended June 30, 15)Based on month-end NAV

NAV NAV per Unit (`)

Growth Option 464.316Dividend Option 53.078Direct Plan - Growth Option 472.571Direct Plan - Dividend Option 54.159

Portfolio – Top 10 Holdings

PPoorrttffoolliioo TTuurrnnoovveerr RRaattiioo ((LLaasstt 11 YYeeaarr)) 3355..4411%%

Banks 27.65Software 13.42Auto 9.82Construction Project 8.28Petroleum Products 7.54Pharmaceuticals 4.79Industrial Capital Goods 4.41Power 3.84Telecom - Services 3.56Finance 3.32

Cement 2.82Consumer Non Durables 2.70Auto Ancillaries 1.64Ferrous Metals 1.17Oil 1.15Media And Entertainment 0.99Industrial Products 0.69Pesticides 0.69Construction 0.32Paper 0.02

Industry Allocation of Equity Holding (% of Net Assets)

CCoommppaannyy IInndduussttrryy++ %% ttoo NNAAVV

EEQQUUIITTYY && EEQQUUIITTYY RREELLAATTEEDD

ICICI Bank Ltd. Banks 7.68

Reliance Industries Ltd. Petroleum Products 6.69

Infosys Ltd. Software 6.61

State Bank of India Banks 6.05

HDFC Bank Ltd. Banks 5.06

Larsen & Toubro Ltd. Construction Project 4.88

Bank of Baroda Banks 3.58

Axis Bank Ltd. Banks 3.52

Aurobindo Pharma Ltd. Pharmaceuticals 3.51

Bharat Petroleum Corporation Ltd. Petroleum Products 3.51

TToottaall ooff TToopp TTeenn HHoollddiinnggss 5511..0099

TToottaall EEqquuiittyy && EEqquuiittyy RReellaatteedd HHoollddiinnggss 9966..1188

Cash, Cash Equivalents and Net Current Assets 3.82

GGrraanndd TToottaall 110000..0000

AAvveerraaggee AAUUMM ffoorr tthhee qquuaarrtteerr eennddeedd JJuunnee 3300,, 22001155 ((`̀ IInn LLaakkhhss)) 111188,,772233..1177

CCoommppaannyy IInndduussttrryy++ %% ttoo NNAAVV

EEQQUUIITTYY && EEQQUUIITTYY RREELLAATTEEDD

State Bank of India Banks 8.53

ICICI Bank Ltd. Banks 8.16

Larsen & Toubro Ltd. Construction Project 7.55

Infosys Ltd. Software 6.81

Maruti Suzuki India Ltd. Auto 5.39

Bharat Petroleum Corporation Ltd. Petroleum Products 4.36

Aurobindo Pharma Ltd. Pharmaceuticals 3.95

Bharti Airtel Ltd. Telecom - Services 3.56

Tata Motors Ltd. DVR Auto 3.28

HDFC Bank Ltd. Banks 3.10

TToottaall ooff TToopp TTeenn HHoollddiinnggss 5544..6699

TToottaall EEqquuiittyy && EEqquuiittyy RReellaatteedd HHoollddiinnggss 9988..8822

Cash, Cash Equivalents and Net Current Assets 1.18

GGrraanndd TToottaall 110000..0000

AAvveerraaggee AAUUMM ffoorr tthhee qquuaarrtteerr eennddeedd JJuunnee 3300,, 22001155 ((`̀ IInn LLaakkhhss)) 11,,779999,,554444..8833

Source for Risk ratio: CRISIL Fund Analyser * Risk-free rate assumed to be 7.70% (364-day Treasury Bill yield on 30-06-15)

Face Value per Unit: ` 10 unless otherwise specified + Industry Classification as recommended by AMFI Data is as of June 30, 2015 unless otherwise specified.

18 June 2015 Intouchmutually

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HDFC Top 200 FundAn open-ended growth scheme

HDFC Capital Builder FundAn open-ended growth scheme

NAV NAV per Unit (`)

Growth Option 198.905Dividend Option 27.449Direct Plan - Growth Option 201.239Direct Plan - Dividend Option 27.861

NAV NAV per Unit (`)

Growth Option 336.976Dividend Option 49.853Direct Plan - Growth Option 341.891Direct Plan - Dividend Option 50.681

CCoommppaannyy IInndduussttrryy++ %% ttoo NNAAVV

EEQQUUIITTYY && EEQQUUIITTYY RREELLAATTEEDD

State Bank of India Banks 7.33

ICICI Bank Ltd. Banks 6.95

Larsen & Toubro Ltd. Construction Project 6.33

Infosys Ltd. Software 6.16

HDFC Bank Ltd. Banks 4.65

Maruti Suzuki India Ltd. Auto 4.15

Reliance Industries Ltd. Petroleum Products 3.76

Bharat Petroleum Corporation Ltd. Petroleum Products 3.72

Axis Bank Ltd. Banks 3.15

Aurobindo Pharma Ltd. Pharmaceuticals 3.12TToottaall ooff TToopp TTeenn HHoollddiinnggss 4499..3322

TToottaall EEqquuiittyy && EEqquuiittyy RReellaatteedd HHoollddiinnggss 9988..5500

Cash, Cash Equivalents and Net Current Assets 1.50GGrraanndd TToottaall 110000..0000

AAvveerraaggee AAUUMM ffoorr tthhee qquuaarrtteerr eennddeedd JJuunnee 3300,, 22001155 ((`̀ IInn LLaakkhhss)) 11,,333399,,777777..0033

Portfolio – Top 10 Holdings Portfolio – Top 10 Holdings

PPoorrttffoolliioo TTuurrnnoovveerr RRaattiioo ((LLaasstt 11 YYeeaarr)) 2299..8877%%

CCoommppaannyy IInndduussttrryy++ %% ttoo NNAAVV

EEQQUUIITTYY && EEQQUUIITTYY RREELLAATTEEDD

ICICI Bank Ltd. Banks 6.69

State Bank of India Banks 4.71

Reliance Industries Ltd. Petroleum Products 4.35

Bharat Petroleum Corporation Ltd. Petroleum Products 4.31

Infosys Ltd. Software 4.28

Larsen & Toubro Ltd. Construction Project 3.87

Grasim Industries Ltd. Cement 3.74

HDFC Bank Ltd. Banks 3.48

Tata Motors Ltd. Auto 3.48

Solar Industries India Ltd. Chemicals 3.39TToottaall ooff TToopp TTeenn HHoollddiinnggss 4422..3300

TToottaall EEqquuiittyy && EEqquuiittyy RReellaatteedd HHoollddiinnggss 9966..3399

Cash, Cash Equivalents and Net Current Assets 3.61GGrraanndd TToottaall 110000..0000

AAvveerraaggee AAUUMM ffoorr tthhee qquuaarrtteerr eennddeedd JJuunnee 3300,, 22001155 ((`̀ IInn LLaakkhhss)) 9900,,774400..6688

Banks 29.43

Software 10.81

Petroleum Products 8.62

Auto 8.44

Construction Project 6.33

Finance 5.40

Industrial Capital Goods 5.26

Pharmaceuticals 4.86

Telecom - Services 3.59

Power 3.41

Consumer Non Durables 3.27

Cement 3.21

Ferrous Metals 1.38

Oil 1.15

Non - Ferrous Metals 0.98

Media And Entertainment 0.79

Minerals / Mining 0.78

Pesticides 0.33

Gas 0.20

Chemicals 0.17

Construction 0.09

Industry Allocation of Equity Holding (% of Net Assets)Banks 26.17Software 10.88Pharmaceuticals 9.11Petroleum Products 8.66Construction Project 6.75Chemicals 5.19Cement 3.86Consumer Durables 3.51Auto 3.48Consumer Non Durables 3.30Media And Entertainment 2.38Construction 2.19

Industrial Capital Goods 1.37Industrial Products 1.31Telecom - Services 1.20Auto Ancillaries 1.20Oil 1.12Gas 1.02Hotels, Resorts and Others 0.93Power 0.92Non - Ferrous Metals 0.76Minerals / Mining 0.74Retailing 0.34

Industry Allocation of Equity Holding (% of Net Assets)

Std Deviation Beta Sharpe Ratio*

Risk Ratio 5.10% 1.1790 0.186(for the 3-yr period ended June 30, 15)Based on month-end NAV

Std Deviation Beta Sharpe Ratio*

Risk Ratio 4.04% 0.8912 0.302(for the 3-yr period ended June 30, 15)Based on month-end NAV

PPoorrttffoolliioo TTuurrnnoovveerr RRaattiioo ((LLaasstt 11 YYeeaarr)) 4455..7755%%

Face Value per Unit: ` 10 unless otherwise specified + Industry Classification as recommended by AMFI Data is as of June 30, 2015 unless otherwise specified.

Source for Risk ratio: CRISIL Fund Analyser * Risk-free rate assumed to be 7.70% (364-day Treasury Bill yield on 30-06-15)

This is a simple and performing scheme which is eligible for distribution by new cadre of distributors.

Intouchmutually June 2015 19

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An open-ended growth scheme An open-ended growth scheme

HDFC Core & Satellite Fund

PPoorrttffoolliioo TTuurrnnoovveerr RRaattiioo ((LLaasstt 11 YYeeaarr)) 7700..0055%%

Banks 18.67Construction Project 12.88Industrial Capital Goods 9.01Auto 7.92Software 6.84Cement 5.92Petroleum Products 5.21Pharmaceuticals 4.68Media And Entertainment 3.79Transportation 3.71

Consumer Non Durables 3.57Power 2.90Consumer Durables 2.60Ferrous Metals 2.46Telecom - Services 2.33Construction 2.31Industrial Products 2.26Gas 1.01Auto Ancillaries 0.72

Industry Allocation of Equity Holding (% of Net Assets)

NAV NAV per Unit (`)

Growth Option 57.867Dividend Option 19.576Direct Plan - Growth Option 58.658Direct Plan - Dividend Option 19.950

NAV NAV per Unit (`)

Growth Option 42.773Dividend Option 14.782Direct Plan - Growth Option 43.376Direct Plan - Dividend Option 15.021

Banks 27.48

Industrial Capital Goods 10.95

Construction Project 9.15

Cement 7.39

Auto 7.25

Software 6.19

Petroleum Products 5.22

Industrial Products 3.17

Pharmaceuticals 3.10

Gas 2.99

Ferrous Metals 2.51

Consumer Non Durables 2.20

Telecom - Services 1.99

Media And Entertainment 1.85

Power 1.64

Auto Ancillaries 1.45

Consumer Durables 1.37

Oil 1.17

Non - Ferrous Metals 0.82

Industry Allocation of Equity Holding (% of Net Assets)

PPoorrttffoolliioo TTuurrnnoovveerr RRaattiioo ((LLaasstt 11 YYeeaarr)) 2244..3333%%

HDFC Premier Multi-Cap Fund

CCoommppaannyy IInndduussttrryy++ %% ttoo NNAAVV

EEQQUUIITTYY && EEQQUUIITTYY RREELLAATTEEDD

ICICI Bank Ltd. Banks 8.21

Larsen & Toubro Ltd. Construction Project 7.10

KEC International Ltd. Construction Project 5.78

Infosys Ltd. Software 5.22

Tata Motors Ltd. DVR Auto 4.94

State Bank of India Banks 3.90

Bharat Petroleum Corporation Ltd. Petroleum Products 3.32

VRL Logistics Ltd. Transportation 3.32

Maruti Suzuki India Ltd. Auto 2.98

Kalpataru Power Transmission Ltd. Power 2.90TToottaall ooff TToopp TTeenn HHoollddiinnggss 4477..6677

TToottaall EEqquuiittyy && EEqquuiittyy RReellaatteedd HHoollddiinnggss 9988..7799

Cash, Cash Equivalents and Net Current Assets 1.21GGrraanndd TToottaall 110000..0000

AAvveerraaggee AAUUMM ffoorr tthhee qquuaarrtteerr eennddeedd JJuunnee 3300,, 22001155 ((`̀ IInn LLaakkhhss)) 2277,,886677..8844

Portfolio – Top 10 Holdings

Std Deviation Beta Sharpe Ratio*

Risk Ratio 5.90% 1.2835 0.149(for the 3-yr period ended June 30, 15)Based on month-end NAV

Source for Risk ratio: CRISIL Fund Analyser * Risk-free rate assumed to be 7.70% (364-day Treasury Bill yield on 30-06-15)

Std Deviation Beta Sharpe Ratio*

Risk Ratio 5.39% 1.1706 0.164(for the 3-yr period ended June 30, 15)Based on month-end NAV

Large-Cap 40.51Mid Cap 57.38

Segment-wise Break-up of Equity Holding (% of Net Assets)

CCoommppaannyy IInndduussttrryy++ %% ttoo NNAAVV

EEQQUUIITTYY && EEQQUUIITTYY RREELLAATTEEDD

State Bank of India Banks 8.53

ICICI Bank Ltd. Banks 8.30

KEC International Ltd. Construction Project 5.10

Maruti Suzuki India Ltd. Auto 4.18

Larsen & Toubro Ltd. Construction Project 4.05

Punjab National Bank Banks 3.94

Bharat Electronics Ltd. Industrial Capital Goods 3.71

Bharat Petroleum Corporation Ltd. Petroleum Products 3.61

Axis Bank Ltd. Banks 3.52

Crompton Greaves Ltd. Industrial Capital Goods 3.27TToottaall ooff TToopp TTeenn HHoollddiinnggss 4488..2211

TToottaall EEqquuiittyy && EEqquuiittyy RReellaatteedd HHoollddiinnggss 9977..8899

Cash, Cash Equivalents and Net Current Assets 2.11 GGrraanndd TToottaall 110000..0000

AAvveerraaggee AAUUMM ffoorr tthhee qquuaarrtteerr eennddeedd JJuunnee 3300,, 22001155 ((`̀ IInn LLaakkhhss)) 3322,,004488..2211

Portfolio – Top 10 Holdings

Face Value per Unit: ` 10 unless otherwise specified + Industry Classification as recommended by AMFI Data is as of June 30, 2015 unless otherwise specified.

20 June 2015 Intouchmutually

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PPoorrttffoolliioo TTuurrnnoovveerr RRaattiioo ((LLaasstt 11 YYeeaarr)) 2222..1199%%

HDFC Mid-Cap Opportunities FundAn open-ended equity scheme

NAV NAV per Unit (`)

Growth Option 37.038Dividend Option 25.983Direct Plan - Growth Option 37.654Direct Plan - Dividend Option 29.346

Portfolio – Top 10 Holdings

Banks 14.34

Industrial Products 12.90

Pharmaceuticals 9.85

Auto Ancillaries 8.15

Software 7.66

Finance 7.63

Consumer Durables 6.14

Pesticides 5.71

Industrial Capital Goods 3.95

Media And Entertainment 3.94

Chemicals 3.58

Construction Project 3.45

Petroleum Products 2.36

Consumer Non Durables 2.12

Construction 1.21

Oil 0.95

Transportation 0.93

Cement 0.14

Paper 0.02

Industry Allocation of Equity Holding (% of Net Assets)

Large-Cap 4.02Mid-Cap 90.86Small-Cap 0.15

Segment-wise Break-up of Equity Holding (% of Net Assets)

CCoommppaannyy IInndduussttrryy++ %% ttoo NNAAVV

EEQQUUIITTYY && EEQQUUIITTYY RREELLAATTEEDD

Bajaj Finance Ltd. Finance 3.03

Voltas Ltd. Construction Project 2.53

Hindustan Petroleum Corporation Ltd. Petroleum Products 2.36

Bayer Cropscience Ltd Pesticides 2.24

Aurobindo Pharma Ltd. Pharmaceuticals 2.20

Torrent Pharmaceuticals Ltd. Pharmaceuticals 2.17

Divi’s Laboratories Ltd. Pharmaceuticals 2.10

United Phosphorus Ltd. Pesticides 2.10

Kotak Mahindra Bank Ltd. Banks 2.02

Axis Bank Ltd. Banks 2.00

TToottaall ooff TToopp TTeenn HHoollddiinnggss 2222..7755

TToottaall EEqquuiittyy && EEqquuiittyy RReellaatteedd HHoollddiinnggss 9955..0033

Cash, Cash Equivalents and Net Current Assets 4.97

GGrraanndd TToottaall 110000..0000

AAvveerraaggee AAUUMM ffoorr tthhee qquuaarrtteerr eennddeedd JJuunnee 3300,, 22001155 ((`̀ IInn LLaakkhhss)) 999988,,002233..7766

Std Deviation Beta Sharpe Ratio*

Risk Ratio 4.47% 0.7534 0.401(for the 3-yr period ended June 30, 15)Based on month-end NAV

Std Deviation Beta Sharpe Ratio*

Risk Ratio 3.59% 0.8394 0.218(for the 3-yr period ended June 30, 15)Based on month-end NAV

PPoorrttffoolliioo TTuurrnnoovveerr RRaattiioo ((LLaasstt 11 YYeeaarr)) 6611..8866%%

HDFC Large-Cap FundAn open-ended equity scheme

NAV NAV per Unit (`)

Growth Option 90.137Dividend Option 23.168Direct Plan - Growth Option 90.668Direct Plan - Dividend Option 23.401

Portfolio – Top 10 Holdings

Banks 30.25

Software 14.56

Petroleum Products 12.04

Auto 10.26

Construction Project 7.84

Telecom - Services 5.22

Finance 5.14

Oil 2.71

Cement 2.40

Minerals / Mining 2.36

Consumer Non Durables 1.30

Power 1.12

Non - Ferrous Metals 1.10

Pharmaceuticals 0.99

Industry Allocation of Equity Holding (% of Net Assets)

CCoommppaannyy IInndduussttrryy++ %% ttoo NNAAVV

EEQQUUIITTYY && EEQQUUIITTYY RREELLAATTEEDD

ICICI Bank Ltd. Banks 8.37Larsen & Toubro Ltd. Construction Project 7.84State Bank of India Banks 7.78Reliance Industries Ltd. Petroleum Products 7.50Axis Bank Ltd. Banks 7.39HDFC Bank Ltd. Banks 6.71Infosys Ltd. Software 5.93Housing Development Finance Corporation Ltd. $ Finance 5.14Bharat Petroleum Corporation Ltd. Petroleum Products 4.54IInnvveessttmmeenntt iinn AADDRR//GGDDRR//FFoorreeiiggnn SSeeccuurriittiieess

Cognizant Technology Solutions Corp Software 6.00TToottaall ooff TToopp TTeenn HHoollddiinnggss 6677..2200TToottaall EEqquuiittyy && EEqquuiittyy RReellaatteedd HHoollddiinnggss 9977..2299

Cash, Cash Equivalents and Net Current Assets 2.71GGrraanndd TToottaall 110000..0000

AAvveerraaggee AAUUMM ffoorr tthhee qquuaarrtteerr eennddeedd JJuunnee 3300,, 22001155 ((`̀ IInn LLaakkhhss)) 112244,,333377..9966

Source for Risk ratio: CRISIL Fund Analyser * Risk-free rate assumed to be 7.70% (364-day Treasury Bill yield on 30-06-15)

Face Value per Unit: ` 10 unless otherwise specified + Industry Classification as recommended by AMFI Data is as of June 30, 2015 unless otherwise specified.

$ Co-sponsor

Intouchmutually June 2015 21

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HDFC Infrastructure FundAn open-ended equity scheme

Portfolio – Top 10 Holdings

NAV NAV per Unit (`)

Growth Option 15.857Dividend Option 14.503Direct Plan- Growth Option 16.173Direct Plan -Dividend Option 16.173

CCoommppaannyy IInndduussttrryy++ %% ttoo NNAAVV

EEQQUUIITTYY && EEQQUUIITTYY RREELLAATTEEDDState Bank of India Banks 8.08Larsen & Toubro Ltd. Construction Project 7.59ICICI Bank Ltd. Banks 5.94Bank of Baroda Banks 4.99Maruti Suzuki India Ltd. Auto 3.71Tata Motors Ltd. DVR Auto 3.57Sadbhav Engineering Ltd. Construction Project 3.55Siemens Ltd. Industrial Capital Goods 3.49Infosys Ltd. Software 3.46ITD Cementation India Ltd. Construction 2.84TToottaall ooff TToopp TTeenn HHoollddiinnggss 4477..2222TToottaall EEqquuiittyy && EEqquuiittyy RReellaatteedd HHoollddiinnggss 9988..9966Cash, Cash Equivalents and Net Current Assets 1.04GGrraanndd TToottaall 110000..0000

AAvveerraaggee AAUUMM ffoorr tthhee qquuaarrtteerr eennddeedd JJuunnee 3300,, 22001155 ((`̀ IInn LLaakkhhss)) 119966,,226600..0055

Banks 22.22Construction Project 17.77Industrial Capital Goods 18.00Construction 8.02Auto 7.28Software 3.46Cement 3.32Power 2.98Chemicals 1.95Petroleum Products 1.95

Finance 1.92Telecom - Services 1.91Auto Ancillaries 1.88Telecom - Equipment & Accessories 1.78Consumer Non Durables 1.65Transportation 1.24Ferrous Metals 0.82Hotels, Resorts and Others 0.59Non - Ferrous Metals 0.22

Industry Allocation of Equity Holding (% of Net Assets)

PPoorrttffoolliioo TTuurrnnoovveerr RRaattiioo ((LLaasstt 11 YYeeaarr)) 4422..6633%%

Std Deviation Beta Sharpe Ratio*

Risk Ratio 7.94% 1.6883 0.124(for the 3-yr period ended June 30, 15)Based on month-end NAV

Std Deviation Beta Sharpe Ratio*

Risk Ratio 3.62% 0.7819 0.333(for the 3-yr period ended June 30, 15)Based on month-end NAV

Source for Risk ratio: CRISIL Fund Analyser * Risk-free rate assumed to be 7.70% (364-day Treasury Bill yield on 30-06-15)

Face Value per Unit: ` 10 unless otherwise specified + Industry Classification as recommended by AMFI Data is as of June 30, 2015 unless otherwise specified.

PPoorrttffoolliioo TTuurrnnoovveerr RRaattiioo ((LLaasstt 11 YYeeaarr)) 1199..1133%%

HDFC Small and Mid-Cap FundAn open-ended equity scheme

NAV NAV per Unit (`)

Growth Option 25.413Dividend Option 20.486Direct Plan - Growth Option 25.896Direct Plan - Dividend Option 20.972

Portfolio – Top 10 Holdings

Banks 14.60

Pharmaceuticals 14.43

Finance 8.29

Industrial Products 8.07

Construction Project 7.15

Software 6.23

Pesticides 5.09

Chemicals 4.40

Consumer Durables 4.39

Auto Ancillaries 4.11

Media And Entertainment 3.93

Consumer Non Durables 3.86

Auto 2.62

Transportation 2.57

Power 2.01

Textiles - Synthetic 1.63

Trading 0.96

Construction 0.46

Cement 0.12

Paper 0.02

Industry Allocation of Equity Holding (% of Net Assets)

CCoommppaannyy IInndduussttrryy++ %% ttoo NNAAVV

EEQQUUIITTYY && EEQQUUIITTYY RREELLAATTEEDDAurobindo Pharma Ltd. Pharmaceuticals 3.82Bajaj Finance Ltd. Finance 2.70Navneet Education Ltd. Media And Entertainment 2.64Voltas Ltd. Construction Project 2.50Glenmark Pharmaceuticals Ltd. Pharmaceuticals 2.30Divi’s Laboratories Ltd. Pharmaceuticals 2.29Cadila Healthcare Ltd. Pharmaceuticals 2.08Torrent Pharmaceuticals Ltd. Pharmaceuticals 2.07Cholamandalam Investment and Finance Co. Ltd. Finance 2.07Kalpataru Power Transmission Ltd. Power 2.01TToottaall ooff TToopp TTeenn HHoollddiinnggss 2244..4488TToottaall EEqquuiittyy && EEqquuiittyy RReellaatteedd HHoollddiinnggss 9944..9944Cash, Cash Equivalents and Net Current Assets 5.06GGrraanndd TToottaall 110000..0000

AAvveerraaggee AAUUMM ffoorr tthhee qquuaarrtteerr eennddeedd JJuunnee 3300,, 22001155 ((`̀ IInn LLaakkhhss)) 8899,,884499..0033

Large-Cap 1.88Mid-Cap 27.48Small-Cap 65.58

Segment-wise Break-up of Equity Holding (% of Net Assets)

22 June 2015 Intouchmutually

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HDFC TaxSaverAn open-ended equity linked savings scheme with

a lock-in period of 3 years

NAV NAV per Unit (`)

Growth Option 389.230Dividend Option 62.858Direct Plan - Growth Option 394.663Direct Plan - Dividend Option 63.890

Portfolio – Top 10 Holdings

PPoorrttffoolliioo TTuurrnnoovveerr RRaattiioo ((LLaasstt 11 YYeeaarr)) 2244..4422%%

Banks 24.10Software 9.72Construction Project 8.21Auto 7.53Petroleum Products 6.56Consumer Non Durables 5.99Industrial Capital Goods 5.92Cement 5.77Pharmaceuticals 4.62Telecom - Services 2.63Ferrous Metals 2.27Oil 2.13

Auto Ancillaries 1.62Industrial Products 1.61Chemicals 1.30Minerals / Mining 1.20Consumer Durables 1.15Finance 1.08Power 0.99Non - Ferrous Metals 0.99Gas 0.49Pesticides 0.48Paper 0.25Media And Entertainment 0.25

Industry Allocation of Equity Holding (% of Net Assets)

CCoommppaannyy IInndduussttrryy++ %% ttoo NNAAVV

EEQQUUIITTYY && EEQQUUIITTYY RREELLAATTEEDD

State Bank of India Banks 7.89

ICICI Bank Ltd. Banks 6.44

Infosys Ltd. Software 5.19

Bharat Petroleum Corporation Ltd. Petroleum Products 5.02

Procter & Gamble Hygiene and Health Care Ltd. Consumer Non Durables 3.95

Larsen & Toubro Ltd. Construction Project 3.86

Maruti Suzuki India Ltd. Auto 3.80

Tata Motors Ltd. DVR Auto 3.73

Bharat Electronics Ltd. Industrial Capital Goods 2.59

Cipla Ltd. Pharmaceuticals 2.50

TToottaall ooff TToopp TTeenn HHoollddiinnggss 4444..9977

TToottaall EEqquuiittyy && EEqquuiittyy RReellaatteedd HHoollddiinnggss 9966..8866

Cash, Cash Equivalents and Net Current Assets 3.14

GGrraanndd TToottaall 110000..0000

AAvveerraaggee AAUUMM ffoorr tthhee qquuaarrtteerr eennddeedd JJuunnee 3300,, 22001155 ((`̀ IInn LLaakkhhss)) 449966,,772255..6600

Std Deviation Beta Sharpe Ratio*

Risk Ratio 4.92% 1.0818 0.226(for the 3-yr period ended June 30, 15)Based on month-end NAV

Source for Risk ratio: CRISIL Fund Analyser * Risk-free rate assumed to be 7.70% (364-day Treasury Bill yield on 30-06-15)

HDFC Long Term Advantage FundAn open-ended equity linked savings scheme with

a lock-in period of 3 years

Portfolio – Top 10 Holdings

NAV NAV per Unit (`)

Growth Option 236.419Dividend Option 39.068Direct Plan - Growth Option 239.440Direct Plan - Dividend Option 39.624

PPoorrttffoolliioo TTuurrnnoovveerr RRaattiioo ((LLaasstt 11 YYeeaarr)) 11..4477%%

CCoommppaannyy IInndduussttrryy++ %% ttoo NNAAVV

EEQQUUIITTYY && EEQQUUIITTYY RREELLAATTEEDD

ICICI Bank Ltd. Banks 7.89

Infosys Ltd. Software 6.39

Larsen & Toubro Ltd. Construction Project 6.17

Tata Consultancy Services Ltd. Software 5.56

Housing Development Finance Corporation Ltd. $ Finance 4.43

Motherson Sumi Systems Ltd. Auto Ancillaries 4.43

Tata Motors Ltd. DVR Auto 4.11

Reliance Industries Ltd. Petroleum Products 3.93

Britannia Industries Ltd. Consumer Non Durables 3.70

AIA Engineering Ltd. Industrial Products 3.60

TToottaall ooff TToopp TTeenn HHoollddiinnggss 5500..2211

TToottaall EEqquuiittyy && EEqquuiittyy RReellaatteedd HHoollddiinnggss 9955..1166

Cash, Cash Equivalents and Net Current Assets 4.84

GGrraanndd TToottaall 110000..0000

AAvveerraaggee AAUUMM ffoorr tthhee qquuaarrtteerr eennddeedd JJuunnee 3300,, 22001155 ((`̀ IInn LLaakkhhss)) 111166,,990044..1155

Banks 17.09

Industrial Products 13.94

Software 12.46

Auto Ancillaries 7.61

Petroleum Products 7.02

Finance 6.76

Consumer Non Durables 6.66

Construction Project 6.17

Auto 5.31

Consumer Durables 4.77

Telecom - Services 2.87

Pharmaceuticals 1.97

Industrial Capital Goods 1.25

Ferrous Metals 0.78

Media And Entertainment 0.46

Paper 0.04

Industry Allocation of Equity Holding (% of Net Assets)

Std Deviation Beta Sharpe Ratio*

Risk Ratio 3.99% 0.9755 0.270(for the 3-yr period ended June 30, 15)Based on month-end NAV

$ Co-sponsor

Face Value per Unit: ` 10 unless otherwise specified + Industry Classification as recommended by AMFI Data is as of June 30, 2015 unless otherwise specified.

Intouchmutually June 2015 23

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HDFC Index Fund

NIFTY Plan (Face Value per Unit: ` 10.3260)

NAV NAV per Unit (`)

Growth Option 73.6858Direct Plan - Growth Option 74.0256

CCoommppaannyy IInndduussttrryy++ %% ttoo NNAAVV

EEQQUUIITTYY && EEQQUUIITTYY RREELLAATTEEDD

HDFC Bank Ltd. Banks 6.94

Housing Development Finance Corporation Ltd. $ Finance 6.81

Infosys Ltd. Software 6.53

ICICI Bank Ltd. Banks 6.03

ITC Ltd. Consumer Non Durables 5.86

Reliance Industries Ltd. Petroleum Products 5.54

Larsen & Toubro Ltd. Construction Project 4.91

Tata Consultancy Services Ltd. Software 4.42

Sun Pharmaceuticals Industries Ltd. Pharmaceuticals 3.16

Axis Bank Ltd. Banks 3.12

TToottaall ooff TToopp TTeenn HHoollddiinnggss 5533..3322

TToottaall EEqquuiittyy && EEqquuiittyy RReellaatteedd HHoollddiinnggss 9988..6644

Cash, Cash Equivalents and Net Current Assets 1.36

GGrraanndd TToottaall 110000..0000

AAvveerraaggee AAUUMM ffoorr tthhee qquuaarrtteerr eennddeedd JJuunnee 3300,, 22001155 ((`̀ IInn LLaakkhhss)) 1100,,777711..3333

Portfolio – Top 10 Holdings

PPoorrttffoolliioo TTuurrnnoovveerr RRaattiioo ((LLaasstt 11 YYeeaarr)) 1144..8800%%

$ Co-sponsor

An open-ended index linked scheme

Banks 24.03Software 14.75Consumer Non Durables 9.28Auto 8.75Pharmaceuticals 7.24Finance 6.81Petroleum Products 6.32Construction Project 4.91Cement 2.81Telecom - Services 2.59

Power 2.43Oil 2.21Minerals / Mining 2.05Non - Ferrous Metals 1.15Industrial Capital Goods 0.73Ferrous Metals 0.69Media And Entertainment 0.66Auto Ancillaries 0.62Gas 0.61

Industry Allocation of Equity Holding (% of Net Assets)

TTrraacckkiinngg EErrrroorr ((AAnnnnuuaalliisseedd ttrraacckkiinngg eerrrroorr iiss ccaallccuullaatteedd bbaasseedd oonn ddaaiillyy rroolllliinngg rreettuurrnnss ffoorr tthhee llaasstt 1122 mmoonntthhss..)) 00..3322%%

CCoommppaannyy IInndduussttrryy++ %% ttoo NNAAVV

EEQQUUIITTYY && EEQQUUIITTYY RREELLAATTEEDD

HDFC Bank Ltd. Banks 8.48

Housing Development Finance Corporation Ltd. $ Finance 8.29

Infosys Ltd. Software 7.80

ICICI Bank Ltd. Banks 7.28

ITC Ltd. Consumer Non Durables 7.18

Reliance Industries Ltd. Petroleum Products 6.84

Larsen & Toubro Ltd. Construction Project 5.89

Tata Consultancy Services Ltd. Software 5.35

Sun Pharmaceuticals Industries Ltd. Pharmaceuticals 3.84

Axis Bank Ltd. Banks 3.83

TToottaall ooff TToopp TTeenn HHoollddiinnggss 6644..7788

TToottaall EEqquuiittyy && EEqquuiittyy RReellaatteedd HHoollddiinnggss 9999..6644

Cash, Cash Equivalents and Net Current Assets 0.36

GGrraanndd TToottaall 110000..0000

AAvveerraaggee AAUUMM ffoorr tthhee qquuaarrtteerr eennddeedd JJuunnee 3300,, 22001155 ((`̀ IInn LLaakkhhss)) 88,,448844..8877

Portfolio – Top 10 Holdings

PPoorrttffoolliioo TTuurrnnoovveerr RRaattiioo ((LLaasstt 11 YYeeaarr)) 1100..5511%%

$ Co-sponsor

SENSEX Plan (Face Value per Unit: ` 32.1610)

NAV NAV per Unit (`)

Growth Option 237.1579Direct Plan - Growth Option 238.6980

An open-ended index linked scheme

HDFC Index Fund

Banks 22.91

Software 14.65

Auto 10.67

Consumer Non Durables 9.90

Pharmaceuticals 8.63

Finance 8.29

Petroleum Products 6.84

Construction Project 5.89

Telecom - Services 2.34

Oil 2.32

Minerals / Mining 2.12

Non - Ferrous Metals 1.39

Power 1.18

Industrial Capital Goods 0.92

Ferrous Metals 0.81

Gas 0.78

Industry Allocation of Equity Holding (% of Net Assets)

TTrraacckkiinngg EErrrroorr ((AAnnnnuuaalliisseedd ttrraacckkiinngg eerrrroorr iiss ccaallccuullaatteedd bbaasseedd oonn ddaaiillyy rroolllliinngg rreettuurrnnss ffoorr tthhee llaasstt 1122 mmoonntthhss..)) 00..3355%%

+ Industry Classification as recommended by AMFI Data is as of June 30, 2015 unless otherwise specified.

24 June 2015 Intouchmutually

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Face Value per Unit: ` 10 unless otherwise specified + Industry Classification as recommended by AMFI Data is as of June 30, 2015 unless otherwise specified.

NAV NAV per Unit (`)

Growth Option 107.173Dividend Option 27.370Direct Plan - Growth Option 108.918Direct Plan - Dividend Option 29.266

HDFC Balanced FundAn open-ended balanced scheme

CCoommppaannyy // IIssssuueerr IInndduussttrryy++ // RRaattiinngg %% ttoo NNAAVV

EEQQUUIITTYY && EEQQUUIITTYY RREELLAATTEEDD

ICICI Bank Ltd. Banks 4.34

HDFC Bank Ltd. Banks 4.20

Infosys Ltd. Software 3.92

Reliance Industries Ltd. Petroleum Products 3.76

Larsen & Toubro Ltd. Construction Project 3.46

State Bank of India Banks 3.25

Aurobindo Pharma Ltd. Pharmaceuticals 2.33

Axis Bank Ltd. Banks 2.31

Tata Consultancy Services Ltd. Software 1.98

Tata Motors Ltd. DVR Auto 1.88TToottaall ooff TToopp TTeenn HHoollddiinnggss 3311..4433

TToottaall EEqquuiittyy && EEqquuiittyy RReellaatteedd HHoollddiinnggss 6699..2211

GG-SSEECC,, CCRREEDDIITT EEXXPPOOSSUURREE

Government Securities Sovereign 20.95

Tata Sons Ltd. CRISIL - AAA 1.29

Shriram Transport Finance Co. Ltd. CARE - AA+ 0.97

Power Finance Corporation Ltd. CRISIL - AAA 0.76

Vedanta Ltd. CRISIL - AA+ 0.41

Hindalco Industries Ltd. CRISIL - AA 0.24

State Bank of India CRISIL - AAA 0.06TToottaall GG-SSeecc,, CCrreeddiitt EExxppoossuurree 2244..6688

Cash, Cash Equivalents and Net Current Assets 6.11GGrraanndd TToottaall 110000..0000

AAvveerraaggee AAUUMM ffoorr tthhee qquuaarrtteerr eennddeedd JJuunnee 3300,, 22001155 ((`̀ IInn LLaakkhhss)) 338855,,443300..2255

Portfolio – Top 10 Holdings

Banks 18.35Software 9.27Pharmaceuticals 7.89Industrial Products 5.07Construction Project 4.69Petroleum Products 3.76Auto 3.48Auto Ancillaries 3.35Pesticides 2.31Consumer Non Durables 2.03

Chemicals 1.79Consumer Durables 1.75Telecom - Services 1.43Industrial Capital Goods 1.00Power 0.93Media And Entertainment 0.73Transportation 0.56Construction 0.48Ferrous Metals 0.33Paper 0.01

Industry Allocation of Equity Holding (% of Net Assets)

CCoommppaannyy IInndduussttrryy++ %% ttoo NNAAVV

EEQQUUIITTYY && EEQQUUIITTYY RREELLAATTEEDD

HDFC Bank Ltd. Banks 7.01

Housing Development Finance Corporation Ltd. $ Finance 6.85

Infosys Ltd. Software 6.62

ICICI Bank Ltd. Banks 6.11

Reliance Industries Ltd. Petroleum Products 6.09

ITC Ltd. Consumer Non Durables 6.06

Tata Consultancy Services Ltd. Software 5.19

Larsen & Toubro Ltd. Construction Project 5.06

Axis Bank Ltd. Banks 3.74

Tata Motors Ltd. Auto 2.96

TToottaall ooff TToopp TTeenn HHoollddiinnggss 5555..6699

TToottaall EEqquuiittyy && EEqquuiittyy RReellaatteedd HHoollddiinnggss 9977..9955

Cash, Cash Equivalents and Net Current Assets 2.05

GGrraanndd TToottaall 110000..0000

AAvveerraaggee AAUUMM ffoorr tthhee qquuaarrtteerr eennddeedd JJuunnee 3300,, 22001155 ((`̀ IInn LLaakkhhss)) 1122,,663344..4444

Portfolio – Top 10 Holdings

PPoorrttffoolliioo TTuurrnnoovveerr RRaattiioo ((LLaasstt 11 YYeeaarr)) 1155..5599%%$ Co-sponsor

SENSEX Plus Plan (Face Value per Unit: ` 32.1610)

NAV NAV per Unit (`)

Growth Option 363.8700Direct Plan - Growth Option 366.7478

An open-ended index linked scheme

HDFC Index Fund

Banks 21.66

Software 13.06

Auto 9.34

Petroleum Products 8.83

Consumer Non Durables 8.50

Finance 6.85

Pharmaceuticals 6.48

Construction Project 5.06

Chemicals 2.89

Cement 2.63

Oil 2.22

Telecom - Services 1.89

Minerals / Mining 1.65

Non - Ferrous Metals 1.32

Pesticides 1.28

Power 0.81

Industrial Capital Goods 0.77

Auto Ancillaries 0.75

Ferrous Metals 0.74

Gas 0.74

Industrial Products 0.48

Industry Allocation of Equity Holding (% of Net Assets) YYiieelldd ttoo MMaattuurriittyy ** 88..2244%%

MMooddiiffiieedd DDuurraattiioonn ** 66..1166 yyeeaarrss

AAvveerraaggee MMaattuurriittyy ** 1122..7700 yyeeaarrss

PPoorrttffoolliioo TTuurrnnoovveerr RRaattiioo ((LLaasstt 11 YYeeaarr)) 77..8811%%

* Computed on the invested amount for debt portfolio

Intouchmutually June 2015 25

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Face Value per Unit: ` 10 unless otherwise specified + Industry Classification as recommended by AMFI Data is as of June 30, 2015 unless otherwise specified.

HDFC Children’s Gift FundAn open-ended balanced scheme

Investment Plan

NAV NAV per Unit (`)

Investment Plan 83.442Investment Plan - Direct Plan 84.777

Portfolio – Top 10 Holdings

Banks 13.72Industrial Products 11.68Software 7.59Auto Ancillaries 6.51Pharmaceuticals 6.10Construction Project 4.45Consumer Non Durables 3.39Pesticides 3.36Finance 3.10Auto 1.98

Telecom - Services 1.49Industrial Capital Goods 1.45Petroleum Products 1.42Media And Entertainment 1.40Transportation 0.90Construction 0.71Consumer Durables 0.67Ferrous Metals 0.67Power 0.41Fertilisers 0.30

Industry Allocation of Equity Holding (% of Net Assets)

CCoommppaannyy // IIssssuueerr IInndduussttrryy++ // RRaattiinngg %% ttoo NNAAVV

EEQQUUIITTYY && EEQQUUIITTYY RREELLAATTEEDDICICI Bank Ltd. Banks 4.02Motherson Sumi Systems Ltd. Auto Ancillaries 3.81Larsen & Toubro Ltd. Construction Project 3.28Infosys Ltd. Software 3.27State Bank of India Banks 2.96Fag Bearings India Ltd. Industrial Products 2.70Axis Bank Ltd. Banks 2.66Britannia Industries Ltd. Consumer Non Durables 2.62HDFC Bank Ltd. Banks 2.53Bajaj Finance Ltd. Finance 2.32 TToottaall ooff TToopp TTeenn HHoollddiinnggss 3300..1177TToottaall EEqquuiittyy && EEqquuiittyy RReellaatteedd HHoollddiinnggss 7711..3300GG-SSEECC,, CCRREEDDIITT EEXXPPOOSSUURREEGovernment Securities Sovereign 18.57Tata Sons Ltd. CRISIL - AAA 3.79Vedanta Ltd. CRISIL - AA+ 0.59TToottaall GG-SSeecc,, CCrreeddiitt EExxppoossuurree 2222..9955 Cash, Cash Equivalents and Net Current Assets 5.75GGrraanndd TToottaall 110000..0000

AAvveerraaggee AAUUMM ffoorr tthhee qquuaarrtteerr eennddeedd JJuunnee 3300,, 22001155 ((`̀ IInn LLaakkhhss)) 8811,,661122..9988

HDFC Prudence FundAn open-ended balanced scheme

NAV NAV per Unit (`)

Growth Option 368.326Dividend Option 31.361Direct Plan - Growth Option 373.846Direct Plan - Dividend Option 34.581

CCoommppaannyy // IIssssuueerr IInndduussttrryy++ // RRaattiinngg %% ttoo NNAAVV

EEQQUUIITTYY && EEQQUUIITTYY RREELLAATTEEDDICICI Bank Ltd. Banks 5.57State Bank of India Banks 5.38Infosys Ltd. Software 5.26Larsen & Toubro Ltd. Construction Project 5.13Maruti Suzuki India Ltd. Auto 3.05Aurobindo Pharma Ltd. Pharmaceuticals 2.68Aarti Industries Ltd. Chemicals 2.61Bharti Airtel Ltd. Telecom - Services 2.49Tata Motors Ltd. DVR Auto 1.80Bank of Baroda Banks 1.79 TToottaall ooff TToopp TTeenn HHoollddiinnggss 3355..7766TToottaall EEqquuiittyy && EEqquuiittyy RReellaatteedd HHoollddiinnggss 7744..8822 GG-SSEECC,, CCRREEDDIITT EEXXPPOOSSUURREE Government Securities Sovereign 18.55IDBI Bank Ltd. CRISIL - AA- 2.10Bank of India BRICKWORKS - AAA 0.94Andhra Pradesh Expressway Ltd. (NHAI Annuity) ICRA - AAA(SO) 0.72Tata Power Co. Ltd. CRISIL - AA- 0.63Punjab National Bank CRISIL - AAA 0.24State Bank of Indore CRISIL - AAA 0.18State Bank of Bikaner & Jaipur CRISIL - AAA 0.12ICICI Bank Ltd. CRISIL - AAA 0.09Power Finance Corporation Ltd. CRISIL - AAA 0.03 TToottaall GG-SSeecc,, CCrreeddiitt EExxppoossuurree 2233..6600Cash margin / Earmarked cash for Futures & Options 0.05Other Cash, Cash Equivalents and Net Current Assets 1.53 GGrraanndd TToottaall 110000..0000

AAvveerraaggee AAUUMM ffoorr tthhee qquuaarrtteerr eennddeedd JJuunnee 3300,, 22001155 ((`̀ IInn LLaakkhhss)) 883399,,669911..3300

Portfolio – Top 10 Holdings

Banks 17.72Software 9.24Construction Project 7.05Industrial Capital Goods 5.92Auto 5.78Pharmaceuticals 3.15Petroleum Products 3.11Consumer Non Durables 2.88Chemicals 2.86Telecom - Services 2.49Cement 2.25Auto Ancillaries 2.01Ferrous Metals 1.11

Power 1.08Transportation 1.06Consumer Durables 1.05Industrial Products 0.91Pesticides 0.88Paper 0.80Construction 0.79Finance 0.76Media And Entertainment 0.67Oil 0.53Telecom - Equipment & Accessories 0.52Textile - Synthetic 0.20

Industry Allocation of Equity Holding (% of Net Assets)

YYiieelldd ttoo MMaattuurriittyy ** 88..5533%%

MMooddiiffiieedd DDuurraattiioonn ** 77..8800 yyeeaarrss

AAvveerraaggee MMaattuurriittyy ** 1177..2255 yyeeaarrss

PPoorrttffoolliioo TTuurrnnoovveerr RRaattiioo ((LLaasstt 11 YYeeaarr)) 3355..9988%%

YYiieelldd ttoo MMaattuurriittyy ** 88..0088%%

MMooddiiffiieedd DDuurraattiioonn ** 55..7733 yyeeaarrss

AAvveerraaggee MMaattuurriittyy ** 1100..9977 yyeeaarrss

PPoorrttffoolliioo TTuurrnnoovveerr RRaattiioo ((LLaasstt 11 YYeeaarr)) 77..9933%%

* Computed on the invested amount for debt portfolio * Computed on the invested amount for debt portfolio

26 June 2015 Intouchmutually

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CCoommppaannyy // IIssssuueerr IInndduussttrryy++ // RRaattiinngg %% ttoo NNAAVV

EEQQUUIITTYY && EEQQUUIITTYY RREELLAATTEEDDSolar Industries India Ltd. Chemicals 1.72ICICI Bank Ltd. Banks 1.52State Bank of India Banks 1.29Bank of Baroda Banks 1.18Century Textiles & Industries Ltd. Cement 1.02NHPC Ltd. Power 0.97Larsen & Toubro Ltd. Construction Project 0.85KEC International Ltd. Construction Project 0.77Oil India Ltd. Oil 0.68Zuari Agro Chemicals Ltd. Fertilisers 0.52TToottaall ooff TToopp TTeenn HHoollddiinnggss 1100..5522 TToottaall EEqquuiittyy && EEqquuiittyy RReellaatteedd HHoollddiinnggss 1177..6688GG-SSEECC // SSDDLL,, CCRREEDDIITT EEXXPPOOSSUURREEGovernment Securities Sovereign 25.15Rural Electrification Corporation Ltd. CRISIL - AAA 10.14State Bank of India CRISIL - AAA 9.93Hindalco Industries Ltd. CRISIL - AA 4.91Infiniti Retail Ltd. (Subsidiary of Tata Sons) CARE - A+ 4.79Shriram City Union Finance Ltd. CRISIL - AA- 3.63BMW India Financial Services Pvt. Ltd. CRISIL - AAA 3.32LIC Housing Finance Ltd. CARE - AAA / CRISIL - AAA 2.20Tata Steel Ltd. CARE - AA 1.77India Infoline Housing Finance Ltd. CRISIL - AA- 1.72TToottaall ooff TToopp TTeenn HHoollddiinnggss 6677..5566TToottaall GG-SSeecc // SSDDLL,, CCrreeddiitt EExxppoossuurree 7799..5544Cash, Cash Equivalents and Net Current Assets 2.78GGrraanndd TToottaall 110000..0000

AAvveerraaggee AAUUMM ffoorr tthhee qquuaarrtteerr eennddeedd JJuunnee 3300,, 22001155 ((`̀ IInn LLaakkhhss)) 3300,,777766..7700

Portfolio – Top 10 Holdings

YYiieelldd ttoo MMaattuurriittyy ** 88..6677%%* Computed on the invested amount for debt portfolio

MMooddiiffiieedd DDuurraattiioonn ** 33..5588 yyeeaarrss

AAvveerraaggee MMaattuurriittyy ** 55..4444 yyeeaarrss

NAV NAV per Unit (`)Growth Option 24.6255Monthly Dividend Option 11.7905Quarterly Dividend Option 12.1108Direct Plan - Growth Option 24.9024Direct Plan - Monthly Dividend Option 11.9354Direct Plan - Quarterly Dividend Option 12.2605

HDFC MF MIP - Short Term PlanAn open-ended income scheme. Monthly income is not

assured and is subject to availability of distributable surplus

June 2015 27Intouchmutually

CD - Certificate of Deposit; CP - Commercial Papers

Face Value per Unit: ` 10 unless otherwise specified + Industry Classification as recommended by AMFI Data is as of June 30, 2015 unless otherwise specified.

HDFC Children’s Gift FundAn open-ended balanced scheme

Savings Plan

NAV NAV per Unit (`)

Savings Plan 35.2826Savings Plan - Direct Plan 35.9969

YYiieelldd ttoo MMaattuurriittyy ** 88..2277%%

MMooddiiffiieedd DDuurraattiioonn ** 44..8888 yyeeaarrss

AAvveerraaggee MMaattuurriittyy ** 88..2277 yyeeaarrss

* Computed on the invested amount for debt portfolio

CCoommppaannyy // IIssssuueerr IInndduussttrryy++ // RRaattiinngg %% ttoo NNAAVV

EEQQUUIITTYY && EEQQUUIITTYY RREELLAATTEEDD

Infosys Ltd. Software 1.42

Axis Bank Ltd. Banks 1.24

ICICI Bank Ltd. Banks 1.19

Bajaj Finance Ltd. Finance 0.96

State Bank of India Banks 0.87

Grindwell Norton Ltd. Industrial Products 0.74

Torrent Pharmaceuticals Ltd. Pharmaceuticals 0.72

Balkrishna Industries Ltd. Auto Ancillaries 0.66

Suprajit Engineering Ltd. Auto Ancillaries 0.65

AIA Engineering Ltd. Industrial Products 0.64TToottaall ooff TToopp TTeenn HHoollddiinnggss 99..0099 TToottaall EEqquuiittyy && EEqquuiittyy RReellaatteedd HHoollddiinnggss 1188..6644

GG-SSEECC,, CCRREEDDIITT EEXXPPOOSSUURREE

Government Securities Sovereign 50.91

Power Finance Corporation Ltd. CRISIL - AAA 7.43

Tata Sons Ltd. CRISIL - AAA 5.90

LIC Housing Finance Ltd. CRISIL - AAA 5.59

Vedanta Ltd. CRISIL - AA+ 3.31

State Bank of India CRISIL - AAA 2.86TToottaall ooff GG-SSeecc,, CCrreeddiitt EExxppoossuurree 7766..0000

Cash, Cash Equivalents and Net Current Assets 5.36GGrraanndd TToottaall 110000..0000

AAvveerraaggee AAUUMM ffoorr tthhee qquuaarrtteerr eennddeedd JJuunnee 3300,, 22001155 ((`̀ IInn LLaakkhhss)) 99,,119944..5500

Portfolio – Top 10 Holdings

Page 28: Vol. No. 12 Issue No. 12 June 2015 - hdfcfund.com · Vol. No. 12 Issue No. 12 June 2015. 2 June 2015 Intouchmutually PAGE NO. MARKET REVIEW 3 EDITORIAL 4 FEATURES OF OUR SELECT SCHEMES

CCoommppaannyy // IIssssuueerr IInndduussttrryy++ // RRaattiinngg %% ttoo NNAAVV

EEQQUUIITTYY && EEQQUUIITTYY RREELLAATTEEDDICICI Bank Ltd. Banks 2.18State Bank of India Banks 1.83Infosys Ltd. Software 1.62Maruti Suzuki India Ltd. Auto 1.46Larsen & Toubro Ltd. Construction Project 1.41Bharat Petroleum Corporation Ltd. Petroleum Products 1.00KEC International Ltd. Construction Project 0.93Tamil Nadu Newsprint & Papers Ltd. Paper 0.92Aurobindo Pharma Ltd. Pharmaceuticals 0.92CMC Ltd. Software 0.89TToottaall ooff TToopp TTeenn HHoollddiinnggss 1133..1166 TToottaall EEqquuiittyy && EEqquuiittyy RReellaatteedd HHoollddiinnggss 2244..8866GG-SSEECC // SSDDLL,, CCRREEDDIITT EEXXPPOOSSUURREEGovernment Securities Sovereign 39.21IDBI Bank Ltd. CRISIL - AA- 4.51Bank of Baroda CARE - AA+ 4.32Tata Power Co. Ltd. CRISIL - AA- 3.47Hindalco Industries Ltd. CRISIL - AA 3.27Bank of India BRICKWORKS - AAA 2.77Power Grid Corporation of India Ltd. CRISIL - AAA 2.58State Bank of India CRISIL - AAA 2.12Power Finance Corporation Ltd. CRISIL - AAA 1.47Union Bank of India CRISIL - AAA 1.33TToottaall ooff TToopp TTeenn HHoollddiinnggss 6655..0055TToottaall GG-SSeecc // SSDDLL,, CCrreeddiitt EExxppoossuurree 7722..2233Cash, Cash Equivalents and Net Current Assets 2.91 GGrraanndd TToottaall 110000..0000

AAvveerraaggee AAUUMM ffoorr tthhee qquuaarrtteerr eennddeedd JJuunnee 3300,, 22001155 ((`̀ IInn LLaakkhhss)) 338833,,447744..4466

Portfolio – Top 10 Holdings

* Computed on the invested amount for debt portfolio

$ Co-sponsor

MMooddiiffiieedd DDuurraattiioonn ** 66..4455 yyeeaarrss

YYiieelldd ttoo MMaattuurriittyy ** 88..7766%%

AAvveerraaggee MMaattuurriittyy ** 1111..7733 yyeeaarrss

NAV NAV per Unit (`)Growth Option 34.5347Monthly Dividend Option 14.2094Quarterly Dividend Option 14.6468Direct Plan - Growth Option 34.9079Direct Plan - Monthly Dividend Option 14.3794Direct Plan - Quarterly Dividend Option 14.8259

HDFC Multiple Yield FundAn open-ended income scheme

* Computed on the invested amount for debt portfolio

NAV NAV per Unit (`)Growth Option 26.1646Dividend Option 11.2228Direct Plan - Growth Option 26.4414Direct Plan - Dividend Option 11.3535

MMooddiiffiieedd DDuurraattiioonn ** 113366 ddaayyss

AAvveerraaggee MMaattuurriittyy ** 114466 ddaayyss

HDFC MF MIP - Long Term PlanAn open-ended income scheme. Monthly income is not

assured and is subject to availability of distributable surplus

CCoommppaannyy // IIssssuueerr IInndduussttrryy++ // RRaattiinngg %% ttoo NNAAVV

EEQQUUIITTYY && EEQQUUIITTYY RREELLAATTEEDD

Bharat Petroleum Corporation Ltd. Petroleum Products 2.51

Power Finance Corporation Ltd. Finance 2.19

Britannia Industries Ltd. Consumer Non Durables 1.93

Gujarat State Petronet Ltd. Gas 1.59

Tata Motors Ltd. DVR Auto 1.57

Power Grid Corporation of India Ltd. Power 1.48

Federal Bank Ltd. Banks 1.47

ICICI Bank Ltd. Banks 1.32

GAIL (India) Ltd. Gas 1.12

Tata Steel Ltd. Ferrous Metals 1.08 TToottaall ooff TToopp TTeenn HHoollddiinnggss 1166..2266

TToottaall EEqquuiittyy && EEqquuiittyy RReellaatteedd HHoollddiinnggss 2233..4499

CCDD//CCPP,, CCRREEDDIITT EEXXPPOOSSUURREE

Export - Import Bank of India ICRA - A1+ 27.63

Canara Bank CRISIL - A1+ 20.25

Tata Sons Ltd. CRISIL - AAA 14.27

Housing Development Finance Corporation Ltd. $ CRISIL - AAA 9.99

NHPC Ltd. CARE - AAA 2.14TToottaall CCDD//CCPP,, CCrreeddiitt EExxppoossuurree 7744..2288

Cash, Cash Equivalents and Net Current Assets 2.23GGrraanndd TToottaall 110000..0000

AAvveerraaggee AAUUMM ffoorr tthhee qquuaarrtteerr eennddeedd JJuunnee 3300,, 22001155 ((`̀ IInn LLaakkhhss)) 77,,220022..7711

Portfolio – Top 10 Holdings

Intouchmutually28 June 2015

CD - Certificate of Deposit; CP - Commercial Papers

Face Value per Unit: ` 10 unless otherwise specified + Industry Classification as recommended by AMFI Data is as of June 30, 2015 unless otherwise specified.

YYiieelldd ttoo MMaattuurriittyy ** 88..0000%%

Page 29: Vol. No. 12 Issue No. 12 June 2015 - hdfcfund.com · Vol. No. 12 Issue No. 12 June 2015. 2 June 2015 Intouchmutually PAGE NO. MARKET REVIEW 3 EDITORIAL 4 FEATURES OF OUR SELECT SCHEMES

NAV NAV per Unit (`)Growth Option 31.6547Quarterly Dividend Option 10.8449Normal Dividend Option 9.9819Direct Plan - Growth Option 32.3068Direct Plan - Quarterly Dividend Option 11.1013Direct Plan - Normal Dividend Option 10.2207

HDFC Income FundAn open-ended income scheme

MMooddiiffiieedd DDuurraattiioonn ** 77..8866 yyeeaarrss

AAvveerraaggee MMaattuurriittyy ** 1155..9966 yyeeaarrss

IIssssuueerr RRaattiinngg %% ttoo NNAAVV

GG-SSEECC,, CCRREEDDIITT EEXXPPOOSSUURREE

Government Securities Sovereign 78.73

Power Finance Corporation Ltd. CRISIL - AAA 2.53

Tata Power Co. Ltd. CRISIL - AA- 1.59

Hindalco Industries Ltd. CRISIL - AA 1.51

Mahanagar Telephone Nigam Ltd. CARE - AAA(SO) 1.47

NTPC Ltd. CRISIL - AAA 1.42

Food Corporation of India CRISIL - AAA(SO) 1.41

State Bank of India CRISIL - AAA 1.38

Bank of Baroda CARE - AA+ / CRISIL - AAA 1.24

Tata Steel Ltd. CARE - AA 0.88

TToottaall ooff TToopp TTeenn HHoollddiinnggss 9922..1166

TToottaall GG-SSeecc,, CCrreeddiitt EExxppoossuurree 9966..0000

Cash, Cash Equivalents and Net Current Assets 4.00

GGrraanndd TToottaall 110000..0000

AAvveerraaggee AAUUMM ffoorr tthhee qquuaarrtteerr eennddeedd JJuunnee 3300,, 22001155 ((`̀ IInn LLaakkhhss)) 337700,,001122..0000

Portfolio – Top 10 Holdings

* Computed on the invested amount

Intouchmutually June 2015 29

CD - Certificate of Deposit; CP - Commercial Papers

Face Value per Unit: ` 10 unless otherwise specified + Industry Classification as recommended by AMFI Data is as of June 30, 2015 unless otherwise specified.

YYiieelldd ttoo MMaattuurriittyy ** 88..3300%%

* Computed on the invested amount for debt portfolio

NAV NAV per Unit (`)Growth Option 24.8201Dividend Option 11.6550Direct Plan - Growth Option 25.1891Direct Plan - Dividend Option 12.2479

HDFC Multiple Yield Fund - Plan 2005An open-ended income scheme

AAvveerraaggee MMaattuurriittyy ** 112211 ddaayyss

CCoommppaannyy // IIssssuueerr IInndduussttrryy++ // RRaattiinngg %% ttoo NNAAVV

EEQQUUIITTYY && EEQQUUIITTYY RREELLAATTEEDDTata Motors Ltd. DVR Auto 1.15State Bank of India Banks 1.11Bajaj Finance Ltd. Finance 0.85IDFC Ltd. Finance 0.81Rural Electrification Corporation Ltd. Finance 0.79Torrent Pharmaceuticals Ltd. Pharmaceuticals 0.78Grindwell Norton Ltd. Industrial Products 0.78Carborundum Universal Ltd. Industrial Products 0.68Navneet Education Ltd. Media And Entertainment 0.67Vesuvius India Ltd. Industrial Products 0.65TToottaall ooff TToopp TTeenn HHoollddiinnggss 88..2277TToottaall EEqquuiittyy && EEqquuiittyy RReellaatteedd HHoollddiinnggss 1177..1188CCDD//CCPP,, CCRREEDDIITT EEXXPPOOSSUURREECorporation Bank CRISIL - A1+ 15.16Tata Motors Ltd. CARE - AA 13.10Tata Sons Ltd. CRISIL - AAA 13.10Andhra Bank FITCH - A1+ 12.65Housing Development Finance Corporation Ltd. $ CRISIL - AAA 12.06Export - Import Bank of India ICRA - A1+ 4.57Bharat Petroleum Corporation Ltd. CRISIL - AAA 2.62Cholamandalam Investment and Finance Co. Ltd. ICRA - AA 2.36Canara Bank CRISIL - A1+ 1.49TToottaall CCDD//CCPP,, CCrreeddiitt EExxppoossuurree 7777..1111Cash, Cash Equivalents and Net Current Assets 5.71 GGrraanndd TToottaall 110000..0000

AAvveerraaggee AAUUMM ffoorr tthhee qquuaarrtteerr eennddeedd JJuunnee 3300,, 22001155 ((`̀ IInn LLaakkhhss)) 1188,,998866..4433

Portfolio – Top 10 Holdings

MMooddiiffiieedd DDuurraattiioonn ** 111122 ddaayyss

YYiieelldd ttoo MMaattuurriittyy ** 88..0044%%

$ Co-sponsor

Page 30: Vol. No. 12 Issue No. 12 June 2015 - hdfcfund.com · Vol. No. 12 Issue No. 12 June 2015. 2 June 2015 Intouchmutually PAGE NO. MARKET REVIEW 3 EDITORIAL 4 FEATURES OF OUR SELECT SCHEMES

NAV NAV per Unit (`)Growth Option 27.8655Dividend Option 10.5727Fortnightly Dividend Option 10.5794Direct Plan - Growth Option 28.1912Direct Plan - Dividend Option 10.5546Direct Plan - Fortnightly Dividend Option 10.5802

NAV NAV per Unit (`)Growth Option 47.6404Quarterly Dividend Option 11.5578Half-Yearly Dividend Option 11.2268Yearly Dividend Option 12.1880Normal Dividend Option 10.2062Direct Plan - Growth Option 48.6279Direct Plan - Quarterly Dividend Option 11.8210Direct Plan - Half-Yearly Dividend Option 11.7911Direct Plan - Yearly Dividend Option 12.4767Direct Plan - Normal Dividend Option 10.2368

AAvveerraaggee MMaattuurriittyy ** 1166..7788 yyeeaarrss

HDFC High Interest Fund - Dynamic PlanAn open-ended income scheme

HDFC High Interest Fund - Short Term PlanAn open-ended income scheme

MMooddiiffiieedd DDuurraattiioonn ** 88..1144 yyeeaarrssMMooddiiffiieedd DDuurraattiioonn ** 33..0055 yyeeaarrss

AAvveerraaggee MMaattuurriittyy ** 44..7722 yyeeaarrss

IIssssuueerr RRaattiinngg %% ttoo NNAAVV

GG-SSEECC // SSDDLL,, CCRREEDDIITT EEXXPPOOSSUURREEGovernment Securities Sovereign 84.26Rural Electrification Corporation Ltd. CRISIL - AAA 3.39Power Finance Corporation Ltd. CRISIL - AAA 2.95Hindalco Industries Ltd. CRISIL - AA 1.61Mahanagar Telephone Nigam Ltd. CARE - AAA(SO) 1.24Steel Authority of India Ltd. CARE - AAA 0.95National Bank for Agriculture & Rural Development CRISIL - AAA 0.87Bank of Baroda CARE - AA+ 0.69Food Corporation of India CRISIL - AAA(SO) 0.50State Government of Gujarat Sovereign 0.24

TToottaall ooff TToopp TTeenn HHoollddiinnggss 9966..7700 TToottaall GG-SSeecc // SSDDLL,, CCrreeddiitt EExxppoossuurree 9977..2277 Cash, Cash Equivalents and Net Current Assets 2.73 GGrraanndd TToottaall 110000..0000

AAvveerraaggee AAUUMM ffoorr tthhee qquuaarrtteerr eennddeedd JJuunnee 3300,, 22001155 ((`̀ IInn LLaakkhhss)) 221166,,228855..3300

Portfolio – Top 10 HoldingsIIssssuueerr RRaattiinngg %% ttoo NNAAVV

GG-SSEECC // SSDDLL,, CCDD//CCPP,, CCRREEDDIITT EEXXPPOOSSUURREE

Government Securities Sovereign 28.98

LIC Housing Finance Ltd. CARE - AAA / CRISIL - AAA 7.99

Tube Investments of India Ltd. CRISIL - AA 4.26

Vedanta Ltd. CRISIL - AA+ 4.19

Housing Development Finance Corporation Ltd. $ CRISIL - AAA 3.54

Cholamandalam Investment and Finance Co. Ltd. ICRA - AA 3.51

ICICI Bank Ltd. CARE - A1+ 2.58

Rural Electrification Corporation Ltd. CRISIL - AAA 2.46

Volkswagen Finance Private Limited FITCH - AAA 2.28

Andhra Pradesh Expressway Ltd.(NHAI Annuity) ICRA - AAA(SO) 2.18oottaall ooff TToopp TTeenn HHoollddiinnggss 6611..9977 TToottaall GG-SSeecc // SSDDLL,, CCDD//CCPP,, CCrreeddiitt EExxppoossuurree 9955..4422

Cash, Cash Equivalents and Net Current Assets 4.58 GGrraanndd TToottaall 110000..0000

AAvveerraaggee AAUUMM ffoorr tthhee qquuaarrtteerr eennddeedd JJuunnee 3300,, 22001155 ((`̀ IInn LLaakkhhss)) 229944,,550022..8800

Portfolio – Top 10 Holdings

* Computed on the invested amount * Computed on the invested amount

Intouchmutually30 June 2015

CD - Certificate of Deposit; CP - Commercial Papers

Face Value per Unit: ` 10 unless otherwise specified Data is as of June 30, 2015 unless otherwise specified.

YYiieelldd ttoo MMaattuurriittyy ** 88..2222%% YYiieelldd ttoo MMaattuurriittyy ** 88..6666%%

$ Co-sponsor

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Intouchmutually June 2015 31

Portfolio – Top 10 HoldingsIIssssuueerr RRaattiinngg %% ttoo NNAAVV

HDFC Short Term Opportunities FundAn open-ended income scheme

$ Co-sponsor

AAvveerraaggee MMaattuurriittyy ** 11..7733 yyeeaarrss

MMooddiiffiieedd DDuurraattiioonn ** 11..4455 yyeeaarrss

NAV NAV per Unit (`)Growth Option 15.5339Fortnightly Dividend Option 10.1111Normal Dividend Option 10.4444Direct Plan - Growth Option 15.5854Direct Plan - Fortnightly Dividend Option 10.1707Direct Plan - Normal Dividend Option 10.4190

GG-SSEECC // SSDDLL,, CCDD//CCPP,, CCRREEDDIITT EEXXPPOOSSUURREE

Power Finance Corporation Ltd. CRISIL - AAA 11.75

LIC Housing Finance Ltd. CARE - AAA / CRISIL - AAA 9.81

Housing Development Finance Corporation Ltd. $ CRISIL - AAA 7.20

Steel Authority of India Ltd. CARE - AAA 6.44

Government Securities Sovereign 4.01

National Bank for Agriculture & Rural Development CRISIL - A1+, AAA 3.88

ICICI Home Finance Ltd. ICRA - AAA 3.85

Corporation Bank CRISIL - A1+ 3.69

Small Industries Development Bank of India [SIDBI] CARE - A1+, AAA 3.52

Vedanta Ltd. CRISIL - AA+ 2.61TToottaall ooff TToopp TTeenn HHoollddiinnggss 5566..7766

TToottaall GG-SSeecc // SSDDLL,, CCDD//CCPP,, CCrreeddiitt EExxppoossuurree 9922..0077

Cash, Cash Equivalents and Net Current Assets 7.93 GGrraanndd TToottaall 110000..0000

AAvveerraaggee AAUUMM ffoorr tthhee qquuaarrtteerr eennddeedd JJuunnee 3300,, 22001155 ((`̀ IInn LLaakkhhss)) 442299,,999988..0000

CD - Certificate of Deposit; CP - Commercial Papers

* Computed on the invested amount

Face Value per Unit: ` 10 unless otherwise specified Data is as of June 30, 2015 unless otherwise specified.

YYiieelldd ttoo MMaattuurriittyy ** 88..4477%%

NAV NAV per Unit (`)Growth Option 27.5925Dividend Option 10.6717Monthly Dividend Option 10.3253Direct Plan - Growth Option 27.7811Direct Plan - Dividend Option 10.5827Direct Plan - Monthly Dividend Option 10.3261

HDFC Short Term PlanAn open-ended income scheme

MMooddiiffiieedd DDuurraattiioonn ** 11..7722 yyeeaarrss

AAvveerraaggee MMaattuurriittyy ** 22..2200 yyeeaarrss

Portfolio – Top 10 HoldingsIIssssuueerr RRaattiinngg %% ttoo NNAAVV

GG-SSEECC,, CCDD//CCPP,, CCRREEDDIITT EEXXPPOOSSUURREEAditya Birla Retail Ltd. CRISIL - A- 4.41Indiabulls Housing Finance Ltd. CARE - AA+ 3.86Vedanta Ltd. CRISIL - AA+ 3.70Sadbhav Infrastructure Project Ltd CARE - A+(SO) 3.67Samvardhana Motherson International Ltd. (Secured with shares of Motherson Sumi Systems Ltd) BWR - A+(SO) 3.61Writers and Publishers Private Ltd. (Secured with shares of DB Corp Ltd.) BRICKWORKS - AA-(SO) 3.59Adani Power Ltd. (Secured by Shares of Adani Port & SEZ Ltd.) BRICKWORKS - AA-(SO) 3.43Prime Publishing Private Limited (Secured with shares of ZEE Entertainment Enterprise Ltd.) Unrated 3.18Power Finance Corporation Ltd. CRISIL - AAA 3.13Aarti Industries Ltd. CRISIL - A+ 3.11TToottaall ooff TToopp TTeenn HHoollddiinnggss 3355..6699 TToottaall GG-SSeecc,, CCDD//CCPP,, CCrreeddiitt EExxppoossuurree 9933..5566 Cash, Cash Equivalents and Net Current Assets 6.44 GGrraanndd TToottaall 110000..0000

AAvveerraaggee AAUUMM ffoorr tthhee qquuaarrtteerr eennddeedd JJuunnee 3300,, 22001155 ((`̀ IInn LLaakkhhss)) 225522,,882277..4455

* Computed on the invested amount

YYiieelldd ttoo MMaattuurriittyy ** 1100..1100%%

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Long Term Plan

MMooddiiffiieedd DDuurraattiioonn ** 99..1199 yyeeaarrss

AAvveerraaggee MMaattuurriittyy ** 2200..7755 yyeeaarrss

IIssssuueerr RRaattiinngg %% ttoo NNAAVV

GG-SSEECC

8.30 GOI 2040 Sovereign 21.28

8.32 GOI 2032 Sovereign 15.58

8.28 GOI 2027 Sovereign 14.38

8.30 GOI 2042 Sovereign 13.94

8.24 GOI 2033 Sovereign 9.72

8.17 GOI 2044 Sovereign 7.81

8.33 GOI 2036 Sovereign 3.57

8.15 GOI 2026 Sovereign 2.23

8.40 GOI 2024 Sovereign 2.09

8.83 GOI 2041 Sovereign 1.58TToottaall ooff TToopp TTeenn HHoollddiinnggss 9922..1188

TToottaall GG-SSeecc 9966..7722

Cash, Cash Equivalents and Net Current Assets 3.28

GGrraanndd TToottaall 110000..0000

AAvveerraaggee AAUUMM ffoorr tthhee qquuaarrtteerr eennddeedd JJuunnee 3300,, 22001155 ((`̀ IInn LLaakkhhss)) 226622,,665555..5500

Portfolio – Top 10 Holdings

Intouchmutually32 June 2015

Face Value per Unit: ` 10 unless otherwise specified Data is as of June 30, 2015 unless otherwise specified.

An open-ended income scheme

HDFC Medium Term Opportunities FundAn open-ended income scheme

HDFC Gilt Fund

* Computed on the invested amount

$ Co-sponsor

AAvveerraaggee MMaattuurriittyy ** 11..9900 yyeeaarrss

MMooddiiffiieedd DDuurraattiioonn ** 11..5533 yyeeaarrss

Portfolio – Top 10 HoldingsIIssssuueerr RRaattiinngg %% ttoo NNAAVV

NAV NAV per Unit (`)Growth Option 15.4676Dividend Option 10.5205Quarterly Dividend Option 10.1384Direct Plan - Growth Option 15.5026Direct Plan - Dividend Option 10.6392Direct Plan - Quarterly Dividend Option 10.2111

NAV NAV per Unit (`)

Growth Option 28.0605Dividend Option 10.7655Direct Plan - Growth Option 28.2991Direct Plan - Dividend Option 10.9709

GG-SSEECC,, CCDD//CCPP,, CCRREEDDIITT EEXXPPOOSSUURREE

LIC Housing Finance Ltd. CARE - AAA / CRISIL - AAA 11.88

Rural Electrification Corporation Ltd. CRISIL - AAA 11.50

Power Finance Corporation Ltd. CRISIL - AAA 10.53

Housing Development Finance Corporation Ltd. $ CRISIL - AAA 9.98

Export - Import Bank of India CRISIL - AAA 7.44

National Bank for Agriculture & Rural Development CRISIL - A1+, AAA 6.05

Vedanta Ltd. CRISIL - AA+ 3.84

Tata Sons Ltd. CRISIL - AAA 3.77

Petronet LNG Ltd. CRISIL - AA+ 2.77

Tata Motors Ltd. CARE - AA+ 2.76

TToottaall ooff TToopp TTeenn HHoollddiinnggss 7700..5522

TToottaall GG-SSeecc,, CCDD//CCPP,, CCrreeddiitt EExxppoossuurree 9922..0099

Cash, Cash Equivalents and Net Current Assets 7.91

GGrraanndd TToottaall 110000..0000

AAvveerraaggee AAUUMM ffoorr tthhee qquuaarrtteerr eennddeedd JJuunnee 3300,, 22001155 ((`̀ IInn LLaakkhhss)) 335500,,220099..6611

* Computed on the invested amount

YYiieelldd ttoo MMaattuurriittyy ** 88..5511%% YYiieelldd ttoo MMaattuurriittyy ** 88..1155%%

CD - Certificate of Deposit; CP - Commercial Papers

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MMooddiiffiieedd DDuurraattiioonn ** 119955 ddaayyss

YYiieelldd ttoo MMaattuurriittyy ** 88..3322%%

Short Term Plan

TT-BBIILLLLSS,, CCDD//CCPP,, CCRREEDDIITT EEXXPPOOSSUURREECanara Bank CRISIL - A1+ 6.71Housing Development Finance Corporation Ltd. $ CRISIL - AAA 5.62National Bank for Agriculture & Rural Development CRISIL - A1+, AAA 4.76Government Securities Sovereign 4.54Small Industries Development Bank of India [SIDBI] CARE - AAA 3.08Tata Capital Financial Services Ltd. CRISIL - AA+ /

ICRA - A1+, AA+ 3.07ICICI Bank Ltd. CARE - A1+ 3.02Rural Electrification Corporation Ltd. CARE - A1+ 2.96Oriental Bank of Commerce CRISIL - A1+ 2.64Piramal Enterprises Ltd. ICRA - A1+, AA 2.44TToottaall ooff TToopp TTeenn HHoollddiinnggss 3388..8844TToottaall TT-BBiillllss,, CCDD//CCPP,, CCrreeddiitt EExxppoossuurree 9944..8899Cash, Cash Equivalents and Net Current Assets 5.11GGrraanndd TToottaall 110000..0000

AAvveerraaggee AAUUMM ffoorr tthhee qquuaarrtteerr eennddeedd JJuunnee 3300,, 22001155 ((`̀ IInn LLaakkhhss)) 775511,,225599..3366

Portfolio – Top 10 HoldingsIIssssuueerr RRaattiinngg %% ttoo NNAAVV

GG-SSEECC,, TT-BBIILLLLSS,, CCDD//CCPP,, CCRREEDDIITT EEXXPPOOSSUURREE

Government Securities Sovereign 29.34

Bank of India CRISIL - A1+ 10.43

Canara Bank CRISIL - A1+ 9.98

Corporation Bank CRISIL - A1+ 7.49

Oriental Bank of Commerce CRISIL - A1+ 7.49

National Bank for Agriculture & Rural Development CRISIL - A1+ 7.48

IDBI Bank Ltd. CRISIL - A1+ / ICRA - A1+ 5.24

Andhra Bank FITCH - A1+ 4.71

Indian Bank FITCH - A1+ 3.75

Bank of Maharashtra CRISIL - A1+ 3.74

TToottaall ooff TToopp TTeenn HHoollddiinnggss 8899..6655

TToottaall GG-SSeecc,, TT-BBiillllss,, CCDD//CCPP,, CCrreeddiitt EExxppoossuurree 9933..3322

Cash, Cash Equivalents and Net Current Assets 6.68

GGrraanndd TToottaall 110000..0000

AAvveerraaggee AAUUMM ffoorr tthhee qquuaarrtteerr eennddeedd JJuunnee 3300,, 22001155 ((`̀ IInn LLaakkhhss)) 118877,,559900..1111

Portfolio – Top 10 HoldingsIIssssuueerr RRaattiinngg %% ttoo NNAAVV

HDFC Floating Rate Income FundAn open-ended income scheme

HDFC Floating Rate Income FundAn open-ended income scheme

Long Term Plan

MMooddiiffiieedd DDuurraattiioonn ** 11..9977 yyeeaarrss

YYiieelldd ttoo MMaattuurriittyy ** 88..0044%%

AAvveerraaggee MMaattuurriittyy ** 223311 ddaayyss

AAvveerraaggee MMaattuurriittyy ** 33..0000 yyeeaarrss

NAV NAV per Unit (`)RReettaaiill OOppttiioonnGrowth Option 23.8555Daily Dividend Reinvestment Option 10.0809Weekly Dividend Option 10.1389Monthly Dividend Option 10.1476WWhhoolleessaallee OOppttiioonnGrowth Option 24.4704Daily Dividend Reinvestment Option 10.0809Weekly Dividend Option 10.1390Monthly Dividend Option 10.1477Direct Plan - Growth Option 24.5048Direct Plan - Daily Dividend Reinvestment Option 10.0809Direct Plan - Weekly Dividend Option 10.1390Direct Plan - Monthly Dividend Option 10.1477

NAV NAV per Unit (`)Growth Option 24.6805Weekly Dividend Reinvestment Option 10.2261Normal Dividend Option 10.1650Direct Plan - Growth Option 24.7142Direct Plan - Weekly Dividend Reinvestment Option 10.2261Direct Plan - Normal Dividend Option 10.0872

CD - Certificate of Deposit; CP - Commercial Papers

* Computed on the invested amount

* Computed on the invested amount

Face Value per Unit: ` 10 unless otherwise specified Data is as of June 30, 2015 unless otherwise specified.

$ Co-sponsor

Intouchmutually June 2015 33

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Savings PlanAn open-ended high liquidity income scheme

Portfolio – Top 10 HoldingsIIssssuueerr RRaattiinngg %% ttoo NNAAVV

HDFC Liquid FundAn open-ended liquid income scheme

HDFC Cash Management Fund

* Computed on the invested amount

* Computed on the invested amount

AAvveerraaggee MMaattuurriittyy ** 4455 ddaayyss

AAvveerraaggee MMaattuurriittyy ** 4466 ddaayyss

MMooddiiffiieedd DDuurraattiioonn ** 4433 ddaayyss

MMooddiiffiieedd DDuurraattiioonn ** 4422 ddaayyss

Portfolio – Top 10 HoldingsIIssssuueerr RRaattiinngg %% ttoo NNAAVV

NAV NAV per Unit (`)Growth Option 29.7967Daily Dividend Reinvestment Option 10.6364Weekly Dividend Option 10.6344Direct Plan - Growth Option 29.8396Direct Plan - Daily Dividend Reinvestment Option 10.6364Direct Plan - Weekly Dividend Option 10.6345

NAV NAV per Unit (`)

HHDDFFCC LLiiqquuiidd FFuunnddGrowth Option 28.1575Daily Dividend Reinvestment Option 10.1982Weekly Dividend Option 10.3130Monthly Dividend Option 10.2656Direct Plan - Growth Option 28.1985Direct Plan - Daily Dividend Reinvestment Option 10.1982Direct Plan - Weekly Dividend Option 10.3130Direct Plan - Monthly Dividend Option 10.2656HHDDFFCC LLiiqquuiidd FFuunndd - PPrreemmiiuumm PPllaannGrowth Option 28.6387Daily Dividend Reinvestment Option 12.2598 TT-BBIILLLLSS,, CCDD//CCPP,, CCRREEDDIITT EEXXPPOOSSUURREE

Government Securities Sovereign 7.97

IDBI Bank Ltd. CRISIL - A1+ / ICRA - A1+ 5.88

Sundaram Finance Ltd. ICRA - A1+ 4.03

IDFC Ltd. ICRA - A1+, AAA 3.23

ICICI Bank Ltd. CARE - A1+ 3.16

Bajaj Finance Ltd. ICRA - A1+ 2.94

Bank of India CRISIL - A1+ 2.94

Aditya Birla Nuvo Ltd. ICRA - A1+ 2.94

Reliance Jio Infocomm Limited CARE - A1+ 2.93

Tata Capital Financial Services Ltd. ICRA - A1+ 2.93

TToottaall ooff TToopp TTeenn HHoollddiinnggss 3388..9955

TToottaall TT-bbiillllss,, CCDD//CCPP,, CCrreeddiitt EExxppoossuurree 110044..6622

Cash, Cash Equivalents and Net Current Assets (4.62)

GGrraanndd TToottaall 110000..0000

AAvveerraaggee AAUUMM ffoorr tthhee qquuaarrtteerr eennddeedd JJuunnee 3300,, 22001155 ((`̀ IInn LLaakkhhss)) 881188,,221133..7755

TT-BBIILLLLSS,, CCDD//CCPP,, CCRREEDDIITT EEXXPPOOSSUURREE

Government Securities Sovereign 10.95

ICICI Bank Ltd. CARE - A1+ 6.49

Reliance Jio Infocomm Limited CARE - A1+ 4.16

Mahindra & Mahindra Financial Services Ltd. CRISIL - A1+ 3.71

L&T Infrastructure Finance Co. Ltd. CARE - A1+ 3.15

Bank of India CRISIL - A1+ 3.15

Aditya Birla Finance Ltd. ICRA - A1+ 2.92

Central Bank of India CARE - A1+ 2.60

Tata Power Co. Ltd. ICRA - A1+ 2.35

Tata Motors Finance Ltd. ICRA - A1+ 2.09TToottaall ooff TToopp TTeenn HHoollddiinnggss 4411..5577

TToottaall TT-bbiillllss,, CCDD//CCPP,, CCrreeddiitt EExxppoossuurree 9955..1199

Cash, Cash Equivalents and Net Current Assets 4.81GGrraanndd TToottaall 110000..0000

AAvveerraaggee AAUUMM ffoorr tthhee qquuaarrtteerr eennddeedd JJuunnee 3300,, 22001155 ((`̀ IInn LLaakkhhss)) 11,,997755,,444400..2222

Portfolio Classification by Asset Class (%)T-bills 7.97CD/CP 93.40Credit Exposure 3.25Cash, Cash Equivalents and Net Current Assets (4.62)

Portfolio Classification by Rating Class (%)Sovereign 7.97AAA/AAA(SO)/A1+/A1+(SO) & Equivalent 95.79AA+ & Below 0.86Cash, Cash Equivalents and Net Current Assets (4.62)

CD - Certificate of Deposit; CP - Commercial Papers

Face Value per Unit: ` 10 unless otherwise specified Data is as of June 30, 2015 unless otherwise specified.

YYiieelldd ttoo MMaattuurriittyy ** 77..9977%%

YYiieelldd ttoo MMaattuurriittyy ** 77..9988%%

Intouchmutually34 June 2015

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Portfolio – Top 10 Holdings

AAvveerraaggee MMaattuurriittyy ** 33..2266 yyeeaarrss

MMooddiiffiieedd DDuurraattiioonn ** 22..4433 yyeeaarrss

HDFC Cash Management Fund HDFC Corporate Debt Opportunities Fund

NNoottee ffoorr AAllll AAffoorreessaaiidd OOppeenn-EEnnddeedd SScchheemmeess ((aass aatt JJuunnee 3300,, 22001155))i) Total NPAs provided for and its percentage to NAV : Nilii) Investment in ADR/GDR/Foreign Securities :

HDFC Large Cap Fund (Investment in Foreign Securities) `̀ 7,489.49 lakhsTotal `̀ 77,,448899..4499 llaakkhhss

iii) Total outstanding exposure in derivative instruments (Gross Notional) a) Equity : Nil

b) Debt : Interest Rates Swaps / Forward Rate Agreement : Nil

Treasury Advantage PlanAn open-ended income scheme An open-ended income scheme

* Computed on the invested amount

* Computed on the invested amount

AAvveerraaggee MMaattuurriittyy ** 229922 ddaayyss

MMooddiiffiieedd DDuurraattiioonn ** 224444 ddaayyss

IIssssuueerr RRaattiinngg %% ttoo NNAAVV

NAV NAV per Unit (`)RReettaaiill OOppttiioonnGrowth Option 30.0549Daily Dividend Reinvestment Option 10.0315Weekly Dividend Option 10.0663Monthly Dividend Option 10.0537Direct Plan - Growth Option 30.5878Direct Plan - Daily Dividend Reinvestment Option 10.0315Direct Plan - Weekly Dividend Option 10.0775Direct Plan - Monthly Dividend Option 10.1465WWhhoolleessaallee OOppttiioonnGrowth Option 31.1645Daily Dividend Reinvestment Option 10.0330Weekly Dividend Option 10.0664Monthly Dividend Option 10.0539

NAV NAV per Unit (`)Growth Option 11.4333Dividend Option 10.5273Half-yearly Dividend Option 10.4373Direct Plan - Growth Option 11.5399Direct Plan - Dividend Option 10.1153Direct Plan - Half-yearly Dividend Option 10.4599

TT-BBIILLLLSS // SSDDLL,, CCDD//CCPP,, CCRREEDDIITT EEXXPPOOSSUURREECanara Bank CRISIL - A1+ 5.91Housing Development Finance Corporation Ltd. $ CRISIL - AAA 5.90ICICI Bank Ltd. CARE - A1+ 5.68Corporation Bank CRISIL - A1+ 4.80Tata Capital Financial Services Ltd. CRISIL - AA+ / ICRA - AA+ 4.78National Bank for Agriculture & Rural Development CRISIL - A1+, AAA 3.87LIC Housing Finance Ltd. CARE - AAA / CRISIL - AAA 3.46Government Securities Sovereign 3.31ING Vysya Bank Ltd. CRISIL - A1+ 3.29IDBI Bank Ltd. ICRA - A1+ 2.97 TToottaall ooff TToopp TTeenn HHoollddiinnggss 4433..9977 TToottaall TT-BBiillllss // SSDDLL,, CCDD//CCPP,, CCrreeddiitt EExxppoossuurree 9999..7744 Cash, Cash Equivalents and Net Current Assets 0.26 GGrraanndd TToottaall 110000..0000

AAvveerraaggee AAUUMM ffoorr tthhee qquuaarrtteerr eennddeedd JJuunnee 3300,, 22001155 ((`̀ IInn LLaakkhhss)) 991133,,006633..9988

Portfolio – Top 10 HoldingsIIssssuueerr RRaattiinngg %% ttoo NNAAVVCCDD//CCPP,, CCRREEDDIITT EEXXPPOOSSUURREEPower Finance Corporation Ltd. CRISIL - AAA 9.40Rural Electrification Corporation Ltd. CRISIL - AAA 5.98Adani Power Ltd. (Secured by Shares of Adani Port & SEZ Ltd.) BRICKWORKS - AA-(SO) 3.25Vedanta Ltd. CRISIL - AA+ 3.07SKS Microfinance Ltd. CARE - A+ 2.85Tata Sky Limited (Subsidiary of Tata Sons) CRISIL - A+ 2.47Writers and Publishers Private Ltd (Secured with shares of DB Corp Ltd.) BRICKWORKS - AA-(SO) 2.44Samvardhana Motherson International Ltd. (Secured with shares of Motherson Sumi Systems Ltd.) BWR - A+(SO) 2.43Aditya Birla Retail Ltd CRISIL - A- 2.22Cholamandalam Investment and Finance Co. Ltd. CRISIL - AA / ICRA - AA 2.08TToottaall ooff TToopp TTeenn HHoollddiinnggss 3366..1199 TToottaall CCDD//CCPP,, CCrreeddiitt EExxppoossuurree 9933..7700 Cash, Cash Equivalents and Net Current Assets 6.30 GGrraanndd TToottaall 110000..0000

AAvveerraaggee AAUUMM ffoorr tthhee qquuaarrtteerr eennddeedd JJuunnee 3300,, 22001155 ((`̀ IInn LLaakkhhss)) 556611,,884433..9922

CD - Certificate of Deposit; CP - Commercial Papers

Face Value per Unit: ` 10 unless otherwise specified Data is as of June 30, 2015 unless otherwise specified.

YYiieelldd ttoo MMaattuurriittyy ** 88..3388%%

YYiieelldd ttoo MMaattuurriittyy ** 1100..1100%%

$ Co-sponsor

Intouchmutually June 2015 35

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Benefits of Systematic Investment Plan (SIP) - SIP Performance of Select Schemes - Fund Manager-wise

PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. # S&P BSE 200##S&P BSE SENSEX Inception Date: September 17, 2004

SSIIPP IInnvveessttmmeennttss SSiinnccee 1100 yyeeaarr 55 YYeeaarr 33 YYeeaarr 11 YYeeaarrIInncceeppttiioonn SSIIPP SSIIPP SSIIPP SSIIPP SSIIPP

Total Amount Invested (` ‘000) 260.00 240.00 120.00 72.00 24.00Mkt Value as on Jun 30, 15 (` ‘000) 570.37 470.10 171.72 99.31 23.93 RReettuurrnnss ((AAnnnnuuaalliisseedd)) ((%%)) 1133..8800 1122..9911 1144..3333 2222..1111 -00..5522Benchmark Returns (Annualised) (%) # 1122..4466 1111..7777 1144..0055 1188..9977 55..0011Addl. Benchmark Ret. (Annualised) (%) ## 1122..2233 1111..2288 1122..9988 1166..5555 11..9988

HDFC CORE & SATELLITE FUND - GROWTH OPTION

PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. # CNX 500 Index ## CNX Nifty Index Inception Date: January 01, 1995

SSIIPP IInnvveessttmmeennttss SSiinnccee 1155 yyeeaarr 1100 yyeeaarr 55 YYeeaarr 33 YYeeaarr 11 YYeeaarrIInncceeppttiioonn SSIIPP SSIIPP SSIIPP SSIIPP SSIIPP SSIIPP

Total Amount Invested (` ‘000) 492.00 360.00 240.00 120.00 72.00 24.00Mkt Value as on Jun 30, 15 (` ‘000) 10,030.51 2,725.92 581.67 186.69 102.81 24.22 RReettuurrnnss ((AAnnnnuuaalliisseedd)) ((%%)) 2244..7700 2244..0011 1166..8888 1177..7744 2244..6644 11..7755Benchmark Returns (Annualised) (%) # 1144..1111 1155..8800 1111..6633 1144..4444 1199..6688 44..9922Addl. Benchmark Ret. (Annualised) (%) ## 1133..1166 1144..8866 1111..4411 1133..0055 1166..6699 22..2233

HDFC EQUITY FUND - GROWTH OPTION

PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. # S&P BSE 200##S&P BSE SENSEX Inception Date: October 11, 1996

SSIIPP IInnvveessttmmeennttss SSiinnccee 1155 yyeeaarr 1100 yyeeaarr 55 YYeeaarr 33 YYeeaarr 11 YYeeaarrIInncceeppttiioonn SSIIPP SSIIPP SSIIPP SSIIPP SSIIPP SSIIPP

Total Amount Invested (` ‘000) 450.00 360.00 240.00 120.00 72.00 24.00Mkt Value as on Jun 30, 15 (` ‘000) $$ 5,183.23 2,555.97 546.28 177.33 97.44 23.95 RReettuurrnnss ((AAnnnnuuaalliisseedd)) ((%%)) $$$$ 2222..4400 2233..2288 1155..7711 1155..6644 2200..7744 -00..3377Benchmark Returns (Annualised) (%) # 1144..9900 1155..9966 1111..7777 1144..0055 1188..9977 55..0011Addl. Benchmark Ret. (Annualised) (%) ## 1133..8866 1155..2277 1111..2288 1122..9988 1166..5555 11..9988

HDFC TOP 200 FUND - GROWTH OPTION

PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. # CNX 500 Index ##CNX Nifty Index Inception Date: March 10, 2008TThhee SScchheemmee iiss ccoo-mmaannaaggeedd bbyy PPrraasshhaanntt JJaaiinn aanndd SSrriinniivvaass RRaaoo RRaavvuurrii

SSIIPP IInnvveessttmmeennttss SSiinnccee IInncceeppttiioonn SSIIPP 55 YYeeaarr SSIIPP 33 YYeeaarr SSIIPP 11 YYeeaarr SSIIPP

Total Amount Invested (` ‘000) 176.00 120.00 72.00 24.00Mkt Value as on Jun 30, 15 (` ‘000) 284,37 173.66 104.14 23.75 RReettuurrnnss ((AAnnnnuuaalliisseedd)) ((%%)) 1122..8844 1144..7799 2255..5588 -11..9911Benchmark Returns (Annualised) (%) # 1133..3377 1144..4444 1199..6688 44..9922Addl. Benchmark Ret. (Annualised)(%) ## 1122..4488 1133..0055 1166..6699 22..2233

HDFC INFRASTRUCTURE FUND - GROWTH OPTION

PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. N.A. Not Available# CRISIL Balanced Fund Index ## CNX Nifty Index Inception Date: February 01, 1994

SSIIPP IInnvveessttmmeennttss SSiinnccee 1155 yyeeaarr 1100 yyeeaarr 55 YYeeaarr 33 YYeeaarr 11 YYeeaarrIInncceeppttiioonn SSIIPP SSIIPP SSIIPP SSIIPP SSIIPP SSIIPP

Total Amount Invested (` ‘000) 514.00 360.00 240.00 120.00 72.00 24.00Mkt Value as on Jun 30, 15 (` ‘000) $$ 8,114.24 2,259.51 581.36 184.80 100.37 24.19RReettuurrnnss ((AAnnnnuuaalliisseedd)) ((%%)) $$$$ 2211..6677 2211..8899 1166..8877 1177..3333 2222..8888 11..4455Benchmark Returns (Annualised) (%) # NN..AA.. NN..AA.. 1100..5577 1111..8800 1144..2288 44..7799Addl. Benchmark Ret. (Annualised) (%) ##^1122..7711 1144..8866 1111..4411 1133..0055 1166..6699 22..2233

HDFC PRUDENCE FUND - GROWTH OPTION

PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. # CNX 500 Index##CNX Nifty Index Inception Date: March 31, 1996

SSIIPP IInnvveessttmmeennttss SSiinnccee 1155 yyeeaarr 1100 yyeeaarr 55 YYeeaarr 33 YYeeaarr 11 YYeeaarrIInncceeppttiioonn SSIIPP SSIIPP SSIIPP SSIIPP SSIIPP SSIIPP

Total Amount Invested (` ‘000) 462.00 360.00 240.00 120.00 72.00 24.00Mkt Value as on Jun 30, 15 (` ‘000) $$ 9,798.39 2,560.51 533.72 185.88 102.67 24.00RReettuurrnnss ((AAnnnnuuaalliisseedd)) ((%%)) $$$$ 2266..8833 2233..3300 1155..2288 1177..5566 2244..5544 -00..0011Benchmark Returns (Annualised) (%) # 1144..6655 1155..8800 1111..6633 1144..4444 1199..6688 44..9922Addl. Benchmark Ret. (Annualised) (%) ## 1133..5588 1144..8866 1111..4411 1133..0055 1166..6699 22..2233

HDFC TAXSAVER - GROWTH OPTION

PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. # CRISIL MIP Blended Index## CRISIL 10 year Gilt Index Inception Date: December 26, 2003TThhee SScchheemmee iiss ccoo-mmaannaaggeedd bbyy PPrraasshhaanntt JJaaiinn ((EEqquuiittiieess)) aanndd SShhoobbhhiitt MMeehhrroottrraa ((DDeebbtt))

SSIIPP IInnvveessttmmeennttss SSiinnccee 1100 yyeeaarr 55 YYeeaarr 33 YYeeaarr 11 YYeeaarrIInncceeppttiioonn SSIIPP SSIIPP SSIIPP SSIIPP SSIIPP

Total Amount Invested (` ‘000) 278.00 240.00 120.00 72.00 24.00Mkt Value as on Jun 30, 15 (` ‘000) 547.84 424.85 159.07 87.36 24.76 RReettuurrnnss ((AAnnnnuuaalliisseedd)) ((%%)) 1111..1166 1111..0011 1111..2233 1133..0011 55..9944Benchmark Returns (Annualised) (%) # 88..3366 88..4477 99..5566 1100..5544 88..1100Addl. Benchmark Ret. (Annualised) (%) ##^ 66..0099 66..3333 77..0000 77..5500 88..9955

HDFC MF MIP - LONG TERM PLAN - GROWTH OPTION

PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. # CNX 500 Index ## CNX Nifty Index Inception Date: April 06, 2005

SSIIPP IInnvveessttmmeennttss SSiinnccee 1100 yyeeaarr 55 YYeeaarr 33 YYeeaarr 11 YYeeaarrIInncceeppttiioonn SSIIPP SSIIPP SSIIPP SSIIPP SSIIPP

Total Amount Invested (` ‘000) 246.00 240.00 120.00 72.00 24.00Mkt Value as on Jun 30, 15 (` ‘000) 497.13 471.69 173.62 100.34 24.12 RReettuurrnnss ((AAnnnnuuaalliisseedd)) ((%%)) 1133..1144 1122..9977 1144..7788 2222..8866 00..9944Benchmark Returns (Annualised) (%) # 1111..8822 1111..6633 1144..4444 1199..6688 44..9922Addl. Benchmark Ret. (Annualised) (%) ## 1111..6688 1111..4411 1133..0055 1166..6699 22..2233

HDFC PREMIER MULTI-CAP FUND - GROWTH OPTION

PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Inception Date: July 17, 2002# S&P BSE SENSEX (Total Returns Index) ## CNX Nifty Index

SSIIPP IInnvveessttmmeennttss SSiinnccee 1100 yyeeaarr 55 YYeeaarr 33 YYeeaarr 11 YYeeaarrIInncceeppttiioonn SSIIPP SSIIPP SSIIPP SSIIPP SSIIPP

Total Amount Invested (` ‘000) 312.00 240.00 120.00 72.00 24.00Mkt Value as on Jun 30, 15 (` ‘000) 822.75 422.02 169.33 93.18 24.41 RReettuurrnnss ((AAnnnnuuaalliisseedd)) ((%%)) 1133..9933 1100..8888 1133..7766 1177..5544 33..2244Benchmark Returns (Annualised) (%) # 1166..7799 1122..4433 1144..3311 1188..3388 33..6611Addl. Benchmark Ret. (Annualised) (%) ## 1144..7711 1111..4411 1133..0055 1166..6699 22..2233

HDFC INDEX FUND - SENSEX PLAN

PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Inception Date: July 17, 2002# CNX Nifty Index (Total Returns Index) ## S&P BSE SENSEX

SSIIPP IInnvveessttmmeennttss SSiinnccee 1100 yyeeaarr 55 YYeeaarr 33 YYeeaarr 11 YYeeaarrIInncceeppttiioonn SSIIPP SSIIPP SSIIPP SSIIPP SSIIPP

Total Amount Invested (` ‘000) 312.00 240.00 120.00 72.00 24.00Mkt Value as on Jun 30, 15 (` ‘000) 803.61 420.07 168.95 93.36 24.45 RReettuurrnnss ((AAnnnnuuaalliisseedd)) ((%%)) 1133..6600 1100..7799 1133..6677 1177..6688 33..5533Benchmark Returns (Annualised) (%) # 1166..2299 1122..7722 1144..3399 1188..0099 33..4433Addl. Benchmark Ret. (Annualised) (%) ## 1155..0044 1111..2288 1122..9988 1166..5555 11..9988

HDFC INDEX FUND - NIFTY PLAN

PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Inception Date: July 17, 2002# S&P BSE SENSEX (Total Returns Index) ##CNX Nifty Index

SSIIPP IInnvveessttmmeennttss SSiinnccee 1100 yyeeaarr 55 YYeeaarr 33 YYeeaarr 11 YYeeaarrIInncceeppttiioonn SSIIPP SSIIPP SSIIPP SSIIPP SSIIPP

Total Amount Invested (` ‘000) 312.00 240.00 120.00 72.00 24.00Mkt Value as on Jun 30, 15 (` ‘000) 1,068.39 488.42 173.23 94.47 24.43 RReettuurrnnss ((AAnnnnuuaalliisseedd)) ((%%)) 1177..4499 1133..6622 1144..6699 1188..5522 33..3399Benchmark Returns (Annualised) (%) # 1166..7799 1122..4433 1144..3311 1188..3388 33..6611Addl. Benchmark Ret. (Annualised)(%) ## 1144..7711 1111..4411 1133..0055 1166..6699 22..2233

HDFC INDEX FUND - SENSEX PLUS PLAN

The Fund offers flexible and convenient Systematic Investment Plan (SIP) facility. To illustrate the advantages of SIP investments, this is how your investments wouldhave grown if you had invested say ` 2,000 systematically on the first Business Dayof every month over a period of time.

PRASHANT JAIN

VINAY KULKARNI

PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. ## CNX Nifty Index# S&P BSE SENSEX Inception Date: February 18, 1994

SSIIPP IInnvveessttmmeennttss SSiinnccee IInncceeppttiioonn SSIIPP 55 YYeeaarr SSIIPP 33 YYeeaarr SSIIPP 11 YYeeaarr SSIIPP

Total Amount Invested (` ‘000) 172.00 120.00 72.00 24.00Mkt Value as on Jun 30, 15 (` ‘000) 270.70 164.44 91.08 24.53RReettuurrnnss ((AAnnnnuuaalliisseedd)) ((%%)) 1122..4433 1122..5588 1155..9933 44..1122Benchmark Returns (Annualised) (%) # 1122..7722 1133..0055 1166..6699 22..2233Addl. Benchmark Ret. (Annualised) (%) ## 1122..6688 1122..9988 1166..5555 11..9988

HDFC LARGE CAP FUND - GROWTH OPTION

PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. # CRISIL MIP Blended Index## CRISIL 10 year Gilt Index Inception Date: December 26, 2003TThhee SScchheemmee iiss ccoo-mmaannaaggeedd bbyy VViinnaayy KKuullkkaarrnnii ((EEqquuiittiieess)) aanndd SShhoobbhhiitt MMeehhrroottrraa ((DDeebbtt))

SSIIPP IInnvveessttmmeennttss SSiinnccee 1100 yyeeaarr 55 YYeeaarr 33 YYeeaarr 11 YYeeaarrIInncceeppttiioonn SSIIPP SSIIPP SSIIPP SSIIPP SSII

Total Amount Invested (` ‘000) 278.00 240.00 120.00 72.00 24.00Mkt Value as on Jun 30, 15 (` ‘000) 460.51 372.01 152.44 84.26 24.60 RReettuurrnnss ((AAnnnnuuaalliisseedd)) ((%%)) 88..3377 88..4499 99..5522 1100..5522 44..6688Benchmark Returns (Annualised) (%) # 88..3366 88..4477 99..5566 1100..5544 88..1100Addl. Benchmark Ret. (Annualised)(%) ##^ 66..0099 66..3333 77..0000 77..5500 88..9955

HDFC MF MIP - SHORT TERM PLAN - GROWTH OPTION

Intouchmutually36 June 2015

Page 37: Vol. No. 12 Issue No. 12 June 2015 - hdfcfund.com · Vol. No. 12 Issue No. 12 June 2015. 2 June 2015 Intouchmutually PAGE NO. MARKET REVIEW 3 EDITORIAL 4 FEATURES OF OUR SELECT SCHEMES

Benefits of Systematic Investment Plan (SIP) - SIP Performance of Select Schemes - Fund Manager-wise

PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. #CRISIL MIP Blended Index## CRISIL 1 year T-Bill Index Inception Date: September 17, 2004TThhee SScchheemmee iiss ccoo-mmaannaaggeedd bbyy VViinnaayy KKuullkkaarrnnii ((EEqquuiittiieess)) aanndd AAnniill BBaammbboollii ((DDeebbtt))

SSIIPP IInnvveessttmmeennttss SSiinnccee 1100 yyeeaarr 55 YYeeaarr 33 YYeeaarr 11 YYeeaarrIInncceeppttiioonn SSIIPP SSIIPP SSIIPP SSIIPP SSIIPP

Total Amount Invested (` ‘000) 260.00 240.00 120.00 72.00 24.00Mkt Value as on Jun 30, 15 (` ‘000) 443.88 393.47 151.96 83.20 24.43RReettuurrnnss ((AAnnnnuuaalliisseedd)) ((%%)) 99..5500 99..5566 99..3399 99..6655 33..3388Benchmark Returns (Annualised) (%) # 88..4444 88..4477 99..5566 1100..5544 88..1100Addl. Benchmark Ret. (Annualised)(%) ## 66..4411 66..5500 77..5555 77..8833 88..5522

HDFC MULTIPLE YIELD FUND - GROWTH OPTION

PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. #CRISIL MIP Blended Index## CRISIL 1 year T-Bill Index Inception Date: August 17, 2005TThhee SScchheemmee iiss ccoo-mmaannaaggeedd bbyy CChhiirraagg SSeettaallvvaadd ((EEqquuiittiieess)) aanndd AAnniill BBaammbboollii ((DDeebbtt))

SSIIPP IInnvveessttmmeennttss SSiinnccee IInncceeppttiioonn SSIIPP 55 YYeeaarr SSIIPP 33 YYeeaarr SSIIPP 11 YYeeaarr SSIIPP

Total Amount Invested (` ‘000) 238.00 120.00 72.00 24.00Mkt Value as on Jun 30, 15 (` ‘000) 404.94 157.59 85.98 24.68 RReettuurrnnss ((AAnnnnuuaalliisseedd)) ((%%)) 1100..3355 1100..8866 1111..9911 55..3355Benchmark Returns (Annualised) (%) # 88..4477 99..5566 1100..5544 88..1100Addl. Benchmark Ret. (Annualised)(%) ##^ 66..5511 77..5555 77..8833 88..5522

HDFC MULTIPLE YIELD FUND - PLAN 2005 - GROWTH OPTION

PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. # CNX Smallcap Index ## CNX Nifty Index Inception Date: April 3, 2008

SSIIPP IInnvveessttmmeennttss SSiinnccee IInncceeppttiioonn SSIIPP 55 YYeeaarr SSIIPP 33 YYeeaarr SSIIPP 11 YYeeaarr SSIIPP

Total Amount Invested (` ‘000) 174.00 120.00 72.00 24.00Mkt Value as on Jun 30, 15 (` ‘000) 340.30 189.65 103.64 25.22 RReettuurrnnss ((AAnnnnuuaalliisseedd)) ((%%)) 1188..1144 1188..3399 2255..2233 99..6633Benchmark Returns (Annualised) (%) # 1133..2244 1144..6633 2233..6600 -00..7777Addl. Benchmark Ret. (Annualised)(%) ## 1122..6600 1133..0055 1166..6699 22..2233

HDFC SMALL AND MID CAP FUND - GROWTH OPTION

PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. # S&P BSE SENSEX## CNX Nifty Index Inception Date: January 02, 2001

SSIIPP IInnvveessttmmeennttss SSiinnccee 1100 yyeeaarr 55 YYeeaarr 33 YYeeaarr 11 YYeeaarrIInncceeppttiioonn SSIIPP SSIIPP SSIIPP SSIIPP SSIIPP

Total Amount Invested (` ‘000) 348.00 240.00 120.00 72.00 24.00Mkt Value as on Jun 30, 15 (` ‘000) 2,147.50 518.13 185.56 100.35 24.39 RReettuurrnnss ((AAnnnnuuaalliisseedd)) ((%%)) 2222..5533 1144..7733 1177..4499 2222..8877 33..0033Benchmark Returns (Annualised) (%) # 1155..4477 1111..2288 1122..9988 1166..5555 11..9988Addl. Benchmark Ret. (Annualised)(%) ## 1155..0044 1111..4411 1133..0055 1166..6699 22..2233

HDFC LONG TERM ADVANTAGE FUND - GROWTH OPTION

PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. # CNX 500 Index ## CNX Nifty Index Inception Date: February 01, 1994TThhee SScchheemmee iiss ccoo-mmaannaaggeedd bbyy CChhiirraagg SSeettaallvvaadd && MMiitteenn LLaatthhiiaa

SSIIPP IInnvveessttmmeennttss SSiinnccee 1155 yyeeaarr 1100 yyeeaarr 55 YYeeaarr 33 YYeeaarr 11 YYeeaarrIInncceeppttiioonn SSIIPP SSIIPP SSIIPP SSIIPP SSIIPP SSIIPP

Total Amount Invested (` ‘000) 514.00 360.00 240.00 120.00 72.00 24.00Mkt Value as on Jun 30, 15 (` ‘000) 5,860.38 2,327.00 572.27 195.47 105.68 25.05 RReettuurrnnss ((AAnnnnuuaalliisseedd)) ((%%)) 1199..2299 2222..2233 1166..5588 1199..6633 2266..6666 88..2244Benchmark Returns (Annualised) (%) # 1133..5566 1155..8800 1111..6633 1144..4444 1199..6688 44..9922Addl. Benchmark Ret.(Annualised) (%) ## 1122..7711 1144..8866 1111..4411 1133..0055 1166..6699 22..2233

HDFC CAPITAL BUILDER FUND - GROWTH OPTION

PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. N.A. Not Available # CRISIL Balanced Fund Index ## CNX Nifty Index Inception Date: September 11, 2000

SSIIPP IInnvveessttmmeennttss SSiinnccee 1100 yyeeaarr 55 YYeeaarr 33 YYeeaarr 11 YYeeaarrIInncceeppttiioonn SSIIPP SSIIPP SSIIPP SSIIPP SSIIPP

Total Amount Invested (` ‘000) 356.00 240.00 120.00 72.00 24.00Mkt Value as on Jun 30, 15 (` ‘000) 1,655.66 609.50 198.66 105.50 25.32 RReettuurrnnss ((AAnnnnuuaalliisseedd)) ((%%)) 1188..7733 1177..7755 2200..3300 2266..5544 1100..4400Benchmark Returns (Annualised) (%) # NN..AA.. 1100..5577 1111..8800 1144..2288 44..7799Addl. Benchmark Ret. (Annualised)(%) ##^ 1144..9933 1111..4411 1133..0055 1166..6699 22..2233

HDFC BALANCED FUND - GROWTH OPTION

PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. N.A. Not Available# CRISIL Balanced Fund Index ## CNX Nifty Index Inception Date: March 02, 2001

SSIIPP IInnvveessttmmeennttss SSiinnccee 1100 yyeeaarr 55 YYeeaarr 33 YYeeaarr 11 YYeeaarrIInncceeppttiioonn SSIIPP SSIIPP SSIIPP SSIIPP SSIIPP

Total Amount Invested (` ‘000) 344.00 240.00 120.00 72.00 24.00Mkt Value as on Jun 30, 15 (` ‘000) $ 1,448.71 603.77 197.59 102.82 25.23 RReettuurrnnss ((AAnnnnuuaalliisseedd)) ((%%)) $$ 1188..2255 1177..5577 2200..0088 2244..6644 99..6688Benchmark Returns (Annualised) (%) # NN..AA.. 1100..5577 1111..8800 1144..2288 44..7799Addl. Benchmark Ret. (Annualised)(%) ##^ 1155..1100 1111..4411 1133..0055 1166..6699 22..2233

HDFC CHILDREN’S GIFT FUND - INVESTMENT PLAN

PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. # CRISIL MIP Blended Index## CRISIL 10 year Gilt Index N.A. Not Available Inception Date: March 02, 2001

SSIIPP IInnvveessttmmeennttss SSiinnccee 1100 yyeeaarr 55 YYeeaarr 33 YYeeaarr 11 YYeeaarrIInncceeppttiioonn SSIIPP SSIIPP SSIIPP SSIIPP SSIIPP

Total Amount Invested (` ‘000) 344.00 240.00 120.00 72.00 24.00Mkt Value as on Jun 30, 15 (` ‘000) $ 791.15 425.26 161.45 87.85 24.86RReettuurrnnss ((AAnnnnuuaalliisseedd)) ((%%)) $$ 1100..8877 1111..0022 1111..8833 1133..4400 66..7788Benchmark Returns (Annualised) (%) # NN..AA.. 88..4477 99..5566 1100..5544 88..1100Addl. Benchmark Ret. (Annualised)(%) ##^ NN..AA.. 66..3333 77..0000 77..5500 88..9955

HDFC CHILDREN’S GIFT FUND - SAVINGS PLAN

PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. # CNX Midcap Index ## CNX Nifty Index Inception Date: June 25, 2007

SSIIPP IInnvveessttmmeennttss SSiinnccee IInncceeppttiioonn SSIIPP 55 YYeeaarr SSIIPP 33 YYeeaarr SSIIPP 11 YYeeaarr SSIIPP

Total Amount Invested (` ‘000) 194.00 120.00 72.00 24.00Mkt Value as on Jun 30, 15 (` ‘000) 533.96 237.74 122.50 26.12 RReettuurrnnss ((AAnnnnuuaalliisseedd)) ((%%)) 2244..2299 2277..7788 3377..8877 1166..8899Benchmark Returns (Annualised) (%) # 1144..7766 1177..6611 2266..8855 1122..3355Addl. Benchmark Ret. (Annualised)(%) ## 1111..3388 1133..0055 1166..6699 22..2233

HDFC MID-CAP OPPORTUNITIES FUND - GROWTH OPTION

PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. # S&P BSE SENSEX ## CNX Nifty Index Inception Date: September 11, 2000

SSIIPP IInnvveessttmmeennttss SSiinnccee 1100 yyeeaarr 55 YYeeaarr 33 YYeeaarr 11 YYeeaarrIInncceeppttiioonn SSIIPP SSIIPP SSIIPP SSIIPP SSIIPP

Total Amount Invested (` ‘000) 356.00 240.00 120.00 72.00 24.00Mkt Value as on Jun 30, 15 (` ‘000) 1,959.09 501.56 169.95 94.97 24.38 RReettuurrnnss ((AAnnnnuuaalliisseedd)) ((%%)) 2200..6666 1144..1122 1133..9911 1188..8899 22..9966Benchmark Returns (Annualised) (%) # 1155..3355 1111..2288 1122..9988 1166..5555 11..9988Addl. Benchmark Ret. (Annualised) (%) ## 1144..9933 1111..4411 1133..0055 1166..6699 22..2233

HDFC GROWTH FUND - GROWTH OPTION

PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. # CNX 500 Index ## CNX Nifty Index Inception Date: March 10, 2008TThhee SScchheemmee iiss ccoo-mmaannaaggeedd bbyy PPrraasshhaanntt JJaaiinn aanndd SSrriinniivvaass RRaaoo RRaavvuurrii

SSIIPP IInnvveessttmmeennttss SSiinnccee IInncceeppttiioonn SSIIPP 55 YYeeaarr SSIIPP 33 YYeeaarr SSIIPP 11 YYeeaarr SSIIPP

Total Amount Invested (` ‘000) 176.00 120.00 72.00 24.00Mkt Value as on Jun 30, 15 (` ‘000) 284,37 173.66 104.14 23.75 RReettuurrnnss ((AAnnnnuuaalliisseedd)) ((%%)) 1122..8844 1144..7799 2255..5588 -11..9911Benchmark Returns (Annualised) (%) # 1133..3377 1144..4444 1199..6688 44..9922Addl. Benchmark Ret. (Annualised)(%) ## 1122..4488 1133..0055 1166..6699 22..2233

HDFC INFRASTRUCTURE FUND - GROWTH OPTION

$ Adjusted for Bonus units declared under the Scheme. ^ Scheme performance may not strictly be comparable with that of its Additional Benchmark in view of hybrid nature of the scheme$$ All dividends declared prior to the splitting of the Scheme into Dividend & Growth Options are assumed to be reinvested in the units of the Scheme at the then prevailing NAV (ex-dividend NAV).CAGR returns are computed after accounting for the cash flow by using XIRR method (investment internal rate of return). Load is not taken into consideration for computation of performance.IInnvveessttoorrss aarree aaddvviisseedd ttoo rreeffeerr ttoo tthhee ppeerrffoorrmmaannccee ssuummmmaarryy ttaabbllee oonn ppaaggee 3388-9944DDiissccllaaiimmeerr:: The above investment simulation is for illustrative purposes only and should not be construed as a promise on minimum returns and safeguard of capital. The AMC / Mutual Fund is not guaranteeing or promising or forecasting any returns. SIP does not assure a profit or guarantee protection against a loss in a declining market.PPlleeaassee rreeffeerr SSIIPP EEnnrroollmmeenntt FFoorrmm oorr ccoonnttaacctt nneeaarreesstt IISSCC ffoorr SSIIPP LLooaadd SSttrruuccttuurree aanndd ootthheerr ddeettaaiillss..

CHIRAG SETALVAD

PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. # CNX 500 Index ## CNX Nifty Index Inception Date: February 01, 1994TThhee SScchheemmee iiss ccoo-mmaannaaggeedd bbyy CChhiirraagg SSeettaallvvaadd && MMiitteenn LLaatthhiiaa

SSIIPP IInnvveessttmmeennttss SSiinnccee 1155 yyeeaarr 1100 yyeeaarr 55 YYeeaarr 33 YYeeaarr 11 YYeeaarrIInncceeppttiioonn SSIIPP SSIIPP SSIIPP SSIIPP SSIIPP SSIIPP

Total Amount Invested (` ‘000) 514.00 360.00 240.00 120.00 72.00 24.00Mkt Value as on Jun 30, 15 (` ‘000) 5,860.38 2,327.00 572.27 195.47 105.68 25.05 RReettuurrnnss ((AAnnnnuuaalliisseedd)) ((%%)) 1199..2299 2222..2233 1166..5588 1199..6633 2266..6666 88..2244Benchmark Returns (Annualised) (%) # 1133..5566 1155..8800 1111..6633 1144..4444 1199..6688 44..9922Addl. Benchmark Ret.(Annualised) (%) ## 1122..7711 1144..8866 1111..4411 1133..0055 1166..6699 22..2233

HDFC CAPITAL BUILDER FUND - GROWTH OPTION

MITEN LATHIA

SRINIVAS RAO RAVURI

Intouchmutually June 2015 37

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SCHEME PERFORMANCE - GROWTH OPTION (FUND MANAGER-WISE)

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) #(`) Benchmark##(%) (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CNX 500 Index ## CNX Nifty Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 423.663 9.60 11.71 9.95 10,960 11,171 10,995Jun 28, 13 Last 2 Years 268.408 31.43 23.58 19.63 17,299 15,290 14,324Jun 29, 12 Last 3 Years 257.763 21.65 18.24 16.58 18,013 16,537 15,853Jan 01, 95 Since Inception 10.000 20.58 10.02 N.A. 464,316 70,820 N.A.

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.60 11.71 9.95

Jun 28, 13 to Jun 30, 14 57.45 36.64 30.09

Jun 29, 12 to Jun 28, 13 4.13 8.16 10.67

HDFC EQUITY FUND NAV as at June 30, 2015 ` 464.316

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^$$ (%)# Returns (`) $$ #(`) Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # S&P BSE 200 ## S&P BSE SENSEX$$ All dividends declared prior to the splitting of the Scheme into Dividend & Growth Options are assumed to be reinvested in the units of the Scheme at the then prevailing NAV (ex-dividend NAV).

A. Cumulative performance

Jun 30, 14 Last 1 Year 313.916 7.35 12.01 9.31 10,735 11,201 10,931Jun 28, 13 Last 2 Years 210.742 26.37 22.65 19.62 15,990 15,059 14,323Jun 29, 12 Last 3 Years 199.564 19.06 17.83 16.79 16,886 16,367 15,939Oct 11, 96 Since Inception 10.000 21.94 13.75 12.31 410,877 111,609 87,900

Period Scheme Benchmark Additional ^$$ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 7.35 12.01 9.31Jun 28, 13 to Jun 30, 14 48.63 34.23 30.83Jun 29, 12 to Jun 28, 13 5.60 8.69 11.28

HDFC TOP 200 FUND NAV as at June 30, 2015 ` 336.976

PRASHANT JAIN

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) #(`) Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CNX 500 Index ## CNX Nifty Index The Scheme is co-mmanaged by Prashant Jain and Srinivas Rao Ravuri.

A. Cumulative performance

Jun 30, 14 Last 1 Year 14.889 6.50 11.71 9.95 10,650 11,171 10,995Jun 28, 13 Last 2 Years 8.672 35.11 23.58 19.63 18,285 15,290 14,324Jun 29, 12 Last 3 Years 9.865 17.12 18.24 16.58 16,074 16,537 15,853Mar 10, 08 Since Inception 10.000 6.51 8.01 7.90 15,857 17,560 17,433

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 6.50 11.71 9.95

Jun 28, 13 to Jun 30, 14 71.19 36.64 30.09

Jun 29, 12 to Jun 28, 13 -12.09 8.16 10.67

HDFC INFRASTRUCTURE FUND NAV as at June 30, 2015 ` 15.857

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^$$ (%)# Returns (`) $$ #(`) Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Balanced Fund Index ## CNX Nifty Index$$ All dividends declared prior to the splitting of the Scheme into Dividend & Growth Options are assumed to be reinvested in the units of the Scheme at the then prevailing NAV (ex-dividend NAV).Scheme performance may not strictly be comparable with that of its Additional Benchmark in view of balanced nature of the scheme where a portion of scheme's investments are made in debt instruments

A. Cumulative performance

Jun 30, 14 Last 1 Year 338.093 8.94 8.78 9.95 10,894 10,878 10,995Jun 28, 13 Last 2 Years 222.825 28.48 14.69 19.63 16,530 13,163 14,324Jun 29, 12 Last 3 Years 213.804 19.86 13.43 16.58 17,227 14,598 15,853Feb 01, 94 Since Inception 10.000 19.76 N.A. 9.36 476,051 N.A. 68,040

Period Scheme Benchmark Additional ^$$ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.94 8.78 9.95

Jun 28, 13 to Jun 30, 14 51.39 20.88 30.09

Jun 29, 12 to Jun 28, 13 4.22 10.90 10.67

HDFC PRUDENCE FUND NAV as at June 30, 2015 ` 368.326

Performance of dividend option under the schemes for the investors would be net of distribution tax as applicable. Load is not taken into consideration for computation of performance. N.A.: Not Available@ shows the current value of ` 10,000/- invested at the beginning of a given period

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) #(`) Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL MIP Blended Index ## CRISIL 10 year Gilt IndexScheme performance may not strictly be comparable with that of its Additional Benchmark in view of hybrid nature of the scheme where a portion of scheme's investments are made in equity instruments.

The Scheme is co-mmanaged by Prashant Jain (Equities) and Shobhit Mehrotra (Debt).

A. Cumulative performance

Jun 30, 14 Last 1 Year 31.5788 9.36 11.05 11.76 10,936 11,105 11,176Jun 28, 13 Last 2 Years 26.7025 13.68 9.63 4.39 12,933 12,025 10,900Jun 29, 12 Last 3 Years 24.5544 12.03 10.04 6.90 14,065 13,328 12,219Dec 26, 03 Since Inception 10.0000 11.36 7.70 4.92 34,535 23,501 17,386

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.36 11.05 11.76

Jun 28, 13 to Jun 30, 14 18.15 8.24 -2.46

Jun 29, 12 to Jun 28, 13 8.75 10.83 12.10

HDFC MF MIP LONG TERM PLAN NAV as at June 30, 2015 ` 34.5347

Intouchmutually38 June 2015

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VINAY KULKARNI

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CNX 500 Index ## CNX Nifty Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 39.528 8.21 11.71 9.95 10,821 11,171 10,995Jun 28, 13 Last 2 Years 24.316 32.53 23.58 19.63 17,590 15,290 14,324Jun 29, 12 Last 3 Years 26.008 18.02 18.24 16.58 16,446 16,537 15,853Apr 06, 05 Since Inception 10.000 15.25 13.98 14.62 42,773 38,169 40,441

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.21 11.71 9.95

Jun 28, 13 to Jun 30, 14 62.13 36.64 30.09

Jun 29, 12 to Jun 28, 13 -6.51 8.16 10.67

HDFC PREMIER MULTI-CCAP FUND NAV as at June 30, 2015 ` 42.773

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # S&P BSE 200 ## S&P BSE SENSEX

A. Cumulative performance

Jun 30, 14 Last 1 Year 55.426 4.40 12.01 9.31 10,440 11,201 10,931Jun 28, 13 Last 2 Years 33.528 31.28 22.65 19.62 17,259 15,059 14,323Jun 29, 12 Last 3 Years 35.593 17.57 17.83 16.79 16,258 16,367 15,939Sep 17, 04 Since Inception 10.000 17.67 15.71 16.08 57,867 48,284 49,955

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 4.40 12.01 9.31

Jun 28, 13 to Jun 30, 14 64.86 34.23 30.83

Jun 29, 12 to Jun 28, 13 -5.80 8.69 11.28

HDFC CORE & SATELLITE FUND NAV as at June 30, 2015 ` 57.867

SCHEME PERFORMANCE - GROWTH OPTION (FUND MANAGER-WISE)

Performance of dividend option under the schemes for the investors would be net of distribution tax as applicable. Load is not taken into consideration for computation of performance. N.A.: Not Available@ shows the current value of ` 10,000/- invested at the beginning of a given period

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^$$ (%)# Returns (`)$$ (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CNX Nifty Index ## S&P BSE SENSEX $$ Performance of the fund has been calculated based on the assumption that all dividends during the period have been reinvested in the scheme at the then prevailing NAV.

A. Cumulative performance

Jun 30, 14 Last 1 Year 81.758 10.25 9.95 9.31 11,025 10,995 10,931Jun 28, 13 Last 2 Years 65.536 17.23 19.63 19.62 13,754 14,324 14,323Jun 29, 12 Last 3 Years 55.372 17.62 16.58 16.79 16,278 15,853 15,939Feb 18, 94 Since Inception 10.000 11.46 9.38 9.60 101,675 67,917 70,959

Period Scheme Benchmark Additional ^$$ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 10.25 9.95 9.31Jun 28, 13 to Jun 30, 14 24.60 30.09 30.83Jun 29, 12 to Jun 28, 13 18.36 10.67 11.28

HDFC LARGE CAP FUND NAV as at June 30, 2015 ` 90.137

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL MIP Blended Index ## CRISIL 1 year T-Bill IndexScheme performance may not strictly be comparable with that of its Additional Benchmark in view of hybrid nature of the scheme where a portion of scheme's investments are made in equity instruments. The Scheme is co-mmanaged by Vinay Kulkarni (Equities) and Anil Bamboli (Debt).

A. Cumulative performance

Jun 30, 14 Last 1 Year 25.0464 4.46 11.05 8.54 10,446 11,105 10,854Jun 28, 13 Last 2 Years 21.0155 11.55 9.63 7.21 12,450 12,025 11,498Jun 29, 12 Last 3 Years 19.9122 9.52 10.04 7.53 13,140 13,328 12,437Sep 17, 04 Since Inception 10.0000 9.32 8.31 5.92 26,165 23,650 18,596

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 4.46 11.05 8.54

Jun 28, 13 to Jun 30, 14 19.07 8.24 5.89

Jun 29, 12 to Jun 28, 13 5.54 10.83 8.17

HDFC MULTIPLE YIELD FUND NAV as at June 30, 2015 ` 26.1646

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # S&P BSE SENSEX (Total Returns Index) ## CNX Nifty IndexSince inception returns are calculated on ` 32.1610 ( allotment price)

A. Cumulative performance

Jun 30, 14 Last 1 Year 214.7879 10.41 10.96 9.95 11,041 11,096 10,995Jun 28, 13 Last 2 Years 162.9871 20.56 21.36 19.63 14,551 14,744 14,324Jun 29, 12 Last 3 Years 145.6168 17.64 18.58 16.58 16,286 16,682 15,853Jul 17, 02 Since Inception 32.1610 16.67 20.11 17.52 73,741 107,563 81,047

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 10.41 10.96 9.95

Jun 28, 13 to Jun 30, 14 31.58 32.67 30.09

Jun 29, 12 to Jun 28, 13 11.93 13.15 10.67

HDFC INDEX FUND - SENSEX PLAN NAV as at June 30, 2015 ` 237.1579

Intouchmutually June 2015 39

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Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^$$ (%)# Returns (`) $$ (`)# Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CNX 500 Index ## CNX Nifty Index$$ All dividends declared prior to the splitting of the Scheme into Dividend & Growth Options are assumed to be reinvested in the units of the Scheme at the then prevailing NAV (ex-dividend NAV).

A. Cumulative performance

Jun 30, 14 Last 1 Year 358.939 8.44 11.71 9.95 10,844 11,171 10,995Jun 28, 13 Last 2 Years 220.988 32.61 23.58 19.63 17,613 15,290 14,324Jun 29, 12 Last 3 Years 216.522 21.57 18.24 16.58 17,976 16,537 15,853Mar 31, 96 Since Inception 10.000 26.89 12.61 N.A. 981,865 98,513 N.A.

Period Scheme Benchmark Additional ^$$ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.44 11.71 9.95

Jun 28, 13 to Jun 30, 14 62.00 36.64 30.09

Jun 29, 12 to Jun 28, 13 2.06 8.16 10.67

HDFC TAXSAVER NAV as at June 30, 2015 ` 389.230

SCHEME PERFORMANCE - GROWTH OPTION (FUND MANAGER-WISE)

Performance of dividend option under the schemes for the investors would be net of distribution tax as applicable. Load is not taken into consideration for computation of performance. N.A.: Not Available@ shows the current value of ` 10,000/- invested at the beginning of a given period

VINAY KULKARNI...CONTINUED

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CNX Nifty Index (Total Returns Index) ## S&P BSE SENSEXSince inception returns are calculated on ` 10.3260 ( allotment price)

A. Cumulative performance

Jun 30, 14 Last 1 Year 66.3494 11.06 11.24 9.31 11,106 11,124 10,931Jun 28, 13 Last 2 Years 50.6218 20.59 21.00 19.62 14,556 14,657 14,323Jun 29, 12 Last 3 Years 45.5916 17.34 17.95 16.79 16,162 16,417 15,939Jul 17, 02 Since Inception 10.3260 16.37 19.24 18.10 71,359 97,897 86,381

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 11.06 11.24 9.31

Jun 28, 13 to Jun 30, 14 30.88 31.57 30.83

Jun 29, 12 to Jun 28, 13 11.03 12.00 11.28

HDFC INDEX FUND - NIFTY PLAN NAV as at June 30, 2015 ` 73.6858

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # S&P BSE SENSEX (Total Returns Index) ## CNX Nifty IndexSince inception returns are calculated on ` 32.1610 ( allotment price)

A. Cumulative performance

Jun 30, 14 Last 1 Year 329.5688 10.41 10.96 9.95 11,041 11,096 10,995Jun 28, 13 Last 2 Years 247.0139 21.31 21.36 19.63 14,731 14,744 14,324Jun 29, 12 Last 3 Years 222.7468 17.76 18.58 16.58 16,336 16,682 15,853Jul 17, 02 Since Inception 32.1610 20.58 20.11 17.52 113,140 107,563 81,047

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 10.41 10.96 9.95

Jun 28, 13 to Jun 30, 14 33.21 32.67 30.09

Jun 29, 12 to Jun 28, 13 10.89 13.15 10.67

HDFC INDEX FUND - SENSEX PLUS PLAN NAV as at June 30, 2015 ` 363.8700

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL MIP Blended Index ## CRISIL 10 year Gilt IndexScheme performance may not strictly be comparable with that of its Additional Benchmark in view of hybrid nature of the scheme where a portion of scheme's investments are made in equity instruments. The Scheme is co-mmanaged by Vinay Kulkarni (Equities) and Shobhit Mehrotra (Debt).

A. Cumulative performance

Jun 30, 14 Last 1 Year 23.1059 6.58 11.05 11.76 10,658 11,105 11,176Jun 28, 13 Last 2 Years 19.7823 11.54 9.63 4.39 12,448 12,025 10,900Jun 29, 12 Last 3 Years 18.4359 10.12 10.04 6.90 13,357 13,328 12,219Dec 26, 03 Since Inception 10.0000 8.14 7.70 4.92 24,626 23,501 17,386

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 6.58 11.05 11.76

Jun 28, 13 to Jun 30, 14 16.70 8.24 -2.46

Jun 29, 12 to Jun 28, 13 7.30 10.83 12.10

HDFC MF MIP SHORT TERM PLAN NAV as at June 30, 2015 ` 24.6255

Intouchmutually40 June 2015

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL MIP Blended Index. ## CRISIL 1 year T-Bill IndexPerformance of close-ended Scheme is not strictly comparable with that of open-ended schemes since the investment strategy for close ended schemes is primarily buy and hold whereas open ended schemes are activelymanaged. The Scheme is co-mmanaged by Vinay Kulkarni (Equities) and Anil Bamboli (Debt).

A. Cumulative performance

Jun 30, 14 Last 1 Year 11.2625 7.84 11.05 8.54 10,784 11,105 10,854Sep 06, 13 Since Inception 10.0000 11.31 13.14 8.54 12,145 12,509 11,602

HDFC CAPITAL PROTECTION ORIENTED FUND - SERIES I - 36M - AUGUST 2013 NAV as at June 30, 2015 ` 12.1454

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 7.84 11.05 8.54

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SCHEME PERFORMANCE - GROWTH OPTION (FUND MANAGER-WISE)

Performance of dividend option under the schemes for the investors would be net of distribution tax as applicable. Load is not taken into consideration for computation of performance. N.A.: Not Available@ shows the current value of ` 10,000/- invested at the beginning of a given periodPerformance of close-ended Scheme is not strictly comparable with that of open-ended schemes since the investment strategy for close ended schemes is primarily buy and hold whereas open ended schemes are actively managed. The above 6 Schemes are co-mmanaged by Vinay Kulkarni (Equities) and Anil Bamboli (Debt).

VINAY KULKARNI...CONTINUED

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL MIP Blended Index ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.9519 7.85 11.05 8.54 10,785 11,105 10,854Oct 08, 13 Since Inception 10.0000 10.13 12.42 8.22 11,811 12,240 11,461

HDFC CPO - I - 36M SEPTEMBER 2013 NAV as at June 30, 2015 ` 11.8114

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 7.85 11.05 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL MIP Blended Index ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.8705 8.07 11.05 8.54 10,807 11,105 10,854Nov 08, 13 Since Inception 10.0000 10.31 13.10 8.37 11,748 12,239 11,410

HDFC CPO - I - 36M OCTOBER 2013 NAV as at June 30, 2015 ` 11.7478

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.07 11.05 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL MIP Blended Index ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.7576 7.42 11.05 8.54 10,742 11,105 10,854Jan 29, 14 Since Inception 10.0000 10.74 13.85 8.58 11,555 12,017 11,237

HDFC CPO - II - 36M JANUARY 2014 NAV as at June 30, 2015 ` 11.5553

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 7.42 11.05 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL MIP Blended Index ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.5903 6.89 11.05 8.54 10,689 11,105 10,854Mar 06, 14 Since Inception 10.0000 9.86 14.01 8.68 11,320 11,886 11,160

HDFC CPO - II - 36M FEBRUARY 2014 NAV as at June 30, 2015 ` 11.3197

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 6.89 11.05 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL MIP Blended Index ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.0000 8.36 11.05 8.54 10,836 11,105 10,854Jun 30, 14 Since Inception 10.0000 8.36 11.05 8.54 10,836 11,105 10,854

HDFC CPO - II - 36M JUNE 2014 NAV as at June 30, 2015 ` 10.8356

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.36 11.05 8.54

Intouchmutually June 2015 41

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL MIP Blended Index ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.0595 7.69 11.05 8.54 10,769 11,105 10,854Jun 05, 14 Since Inception 10.0000 7.78 10.67 8.40 10,833 11,144 10,900

HDFC CPO - II - 36M MAY 2014 NAV as at June 30, 2015 ` 10.8333

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 7.69 11.05 8.54

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SCHEME PERFORMANCE - GROWTH OPTION (FUND MANAGER-WISE)

Performance of dividend option under the schemes for the investors would be net of distribution tax as applicable. Load is not taken into consideration for computation of performance. N.A.: Not Available@ shows the current value of ` 10,000/- invested at the beginning of a given period

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CNX Midcap Index ## CNX Nifty Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 29.228 26.72 17.24 9.95 12,672 11,724 10,995Jun 28, 13 Last 2 Years 17.183 46.66 33.01 19.63 21,555 17,719 14,324Jun 29, 12 Last 3 Years 16.104 31.97 20.93 16.58 22,999 17,696 15,853Jun 25, 07 Since Inception 10.000 17.74 10.53 8.79 37,038 22,326 19,647

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 26.72 17.24 9.95

Jun 28, 13 to Jun 30, 14 69.61 50.79 30.09

Jun 29, 12 to Jun 28, 13 6.70 -0.13 10.67

HDFC MID-CCAP OPPORTUNITIES FUND NAV as at June 30, 2015 ` 37.038

CHIRAG SETALVAD

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree. Returns greater than 1 year period are compounded annualized (CAGR). # CNX 500 Index ## CNX Nifty IndexThe Scheme is co-mmanaged by Chirag Setalvad & Miten Lathia

A. Cumulative performance

Jun 30, 14 Last 1 Year 168.606 17.97 11.71 9.95 11,797 11,171 10,995Jun 28, 13 Last 2 Years 113.376 32.35 23.58 19.63 17,544 15,290 14,324Jun 29, 12 Last 3 Years 105.226 23.62 18.24 16.58 18,903 16,537 15,853Feb 01, 94 Since Inception 10.000 14.98 9.12 9.36 198,905 64,896 68,040

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 17.97 11.71 9.95Jun 28, 13 to Jun 30, 14 48.39 36.64 30.09Jun 29, 12 to Jun 28, 13 7.75 8.16 10.67

HDFC CAPITAL BUILDER FUND NAV as at June 30, 2015 ` 198.905

MITEN LATHIA

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree. Returns greater than 1 year period are compounded annualized (CAGR). # CNX 500 Index ## CNX Nifty IndexThe Scheme is co-mmanaged by Chirag Setalvad & Miten Lathia

A. Cumulative performance

Jun 30, 14 Last 1 Year 168.606 17.97 11.71 9.95 11,797 11,171 10,995Jun 28, 13 Last 2 Years 113.376 32.35 23.58 19.63 17,544 15,290 14,324Jun 29, 12 Last 3 Years 105.226 23.62 18.24 16.58 18,903 16,537 15,853Feb 01, 94 Since Inception 10.000 14.98 9.12 9.36 198,905 64,896 68,040

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 17.97 11.71 9.95

Jun 28, 13 to Jun 30, 14 48.39 36.64 30.09

Jun 29, 12 to Jun 28, 13 7.75 8.16 10.67

HDFC CAPITAL BUILDER FUND NAV as at June 30, 2015 ` 198.905

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Balanced Fund Index ## CNX Nifty IndexScheme performance may not strictly be comparable with that of its Additional Benchmark in view of hybrid nature of the scheme where a portion of scheme's investments are made in equity instruments. The Scheme is co-mmanaged by Miten Lathia & Anil Bamboli

A. Cumulative performance

Jun 30, 14 Last 1 Year 12.2480 11.51 8.78 9.95 11,151 10,878 10,995Jun 28, 13 Last 2 Years 11.4586 9.15 14.69 19.63 11,919 13,163 14,324Jun 29, 12 Last 3 Years 10.3094 9.82 13.43 16.58 13,248 14,598 15,853Feb 06, 12 Since Inception 10.0000 9.61 11.83 14.00 13,658 14,619 15,608

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 11.51 8.78 9.95Jun 28, 13 to Jun 30, 14 6.85 20.88 30.09Jun 29, 12 to Jun 28, 13 11.15 10.90 10.67

HDFC DYNAMIC PE RATIO FUND OF FUNDS NAV as at June 30, 2015 ` 13.6579

Intouchmutually42 June 2015

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SCHEME PERFORMANCE - GROWTH OPTION (FUND MANAGER-WISE)

Performance of dividend option under the schemes for the investors would be net of distribution tax as applicable. Load is not taken into consideration for computation of performance. N.A.: Not Available@ shows the current value of ` 10,000/- invested at the beginning of a given period

CHIRAG SETALVAD...CONTINUED

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`) # Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). #S&P BSE SENSEX ## CNX Nifty Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 212.832 11.08 9.31 9.95 11,108 10,931 10,995Jun 28, 13 Last 2 Years 143.237 28.39 19.62 19.63 16,505 14,323 14,324Jun 29, 12 Last 3 Years 131.509 21.57 16.79 16.58 17,977 15,939 15,853Jan 02, 01 Since Inception 10.000 24.38 14.26 13.88 236,419 69,126 65,800

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 11.08 9.31 9.95

Jun 28, 13 to Jun 30, 14 48.27 30.83 30.09

Jun 29, 12 to Jun 28, 13 8.92 11.28 10.67

HDFC LONG TERM ADVANTAGE FUND NAV as at June 30, 2015 ` 236.419

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^$ (%)# Returns (`) $ (`)# Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Balanced Fund Index ## CNX Nifty Index$ Adjusted for bonus units declared under the schemeScheme performance may not strictly be comparable with that of its Additional Benchmark in view of balanced nature of the scheme where a portion of scheme's investments are made in debt instruments

A. Cumulative performance

Jun 30, 14 Last 1 Year 71.147 17.28 8.78 9.95 11,728 10,878 10,995Jun 28, 13 Last 2 Years 49.567 29.65 14.69 19.63 16,834 13,163 14,324Jun 29, 12 Last 3 Years 45.228 22.62 13.43 16.58 18,449 14,598 15,853Mar 02, 01 Since Inception 10.000 18.09 N.A. 13.83 108,475 N.A. 64,060

Period Scheme Benchmark Additional ^$ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 17.28 8.78 9.95

Jun 28, 13 to Jun 30, 14 43.25 20.88 30.09

Jun 29, 12 to Jun 28, 13 9.59 10.90 10.67

HDFC CHILDREN’S GIFT FUND - INVESTMENT PLAN NAV as at June 30, 2015 ` 83.442

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^$ (%)# Returns (`) $ (`)# Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL MIP Blended Index ## CRISIL 10 year Gilt Index$ Adjusted for bonus units declared under the schemeScheme performance may not strictly be comparable with that of its Additional Benchmark in view of hybrid nature of the scheme where a portion of scheme's investments are made in equity instruments.

A. Cumulative performance

Jun 30, 14 Last 1 Year 31.6357 11.53 11.05 11.76 11,153 11,105 11,176Jun 28, 13 Last 2 Years 26.8282 14.64 9.63 4.39 13,151 12,025 10,900Jun 29, 12 Last 3 Years 25.1000 12.01 10.04 6.90 14,057 13,328 12,219Mar 02, 01 Since Inception 10.0000 11.21 N.A. N.A. 45,867 N.A. N.A.

Period Scheme Benchmark Additional ^$ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 11.53 11.05 11.76

Jun 28, 13 to Jun 30, 14 17.81 8.24 -2.46

Jun 29, 12 to Jun 28, 13 6.89 10.83 12.10

HDFC CHILDREN’S GIFT FUND - SAVINGS PLAN NAV as at June 30, 2015 ` 35.2826

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Balanced Fund Index ## CNX Nifty IndexScheme performance may not strictly be comparable with that of its Additional Benchmark in view of balanced nature of the scheme where a portion of scheme's investments are made in debt instruments

A. Cumulative performance

Jun 30, 14 Last 1 Year 90.771 18.07 8.78 9.95 11,807 10,878 10,995Jun 28, 13 Last 2 Years 60.677 32.80 14.69 19.63 17,663 13,163 14,324Jun 29, 12 Last 3 Years 58.211 22.54 13.43 16.58 18,411 14,598 15,853Sep 11, 00 Since Inception 10.000 17.37 N.A. 12.53 107,173 N.A. 57,462

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 18.07 8.78 9.95

Jun 28, 13 to Jun 30, 14 49.27 20.88 30.09

Jun 29, 12 to Jun 28, 13 4.24 10.90 10.67

HDFC BALANCED FUND NAV as at June 30, 2015 ` 107.173

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CNX Smallcap Index ## CNX Nifty Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 21.121 20.32 -1.21 9.95 12,032 9,879 10,995Jun 28, 13 Last 2 Years 15.024 29.96 35.22 19.63 16,915 18,315 14,324Jun 29, 12 Last 3 Years 13.452 23.60 16.67 16.58 18,892 15,888 15,853Apr 03, 08 Since Inception 10.000 13.74 5.19 8.06 25,413 14,426 17,538

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 20.32 -1.21 9.95

Jun 28, 13 to Jun 30, 14 40.32 84.78 30.09

Jun 29, 12 to Jun 28, 13 11.69 -13.25 10.67

HDFC SMALL AND MID CAP FUND NAV as at June 30, 2015 ` 25.413

Intouchmutually June 2015 43

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Performance of dividend option under the schemes for the investors would be net of distribution tax as applicable. Load is not taken into consideration for computation of performance. N.A.: Not Available@ shows the current value of ` 10,000/- invested at the beginning of a given period

SCHEME PERFORMANCE - GROWTH OPTION (FUND MANAGER-WISE)

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`) # Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CNX 500 Index ## CNX Nifty IndexThe Scheme is co-mmanaged by Prashant Jain and Srinivas Rao Ravuri.

A. Cumulative performance

Jun 30, 14 Last 1 Year 14.889 6.50 11.71 9.95 10,650 11,171 10,995Jun 28, 13 Last 2 Years 8.672 35.11 23.58 19.63 18,285 15,290 14,324Jun 29, 12 Last 3 Years 9.865 17.12 18.24 16.58 16,074 16,537 15,853Mar 10, 08 Since Inception 10.000 6.51 8.01 7.90 15,857 17,560 17,433

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 6.50 11.71 9.95

Jun 28, 13 to Jun 30, 14 71.19 36.64 30.09

Jun 29, 12 to Jun 28, 13 -12.09 8.16 10.67

HDFC INFRASTRUCTURE FUND NAV as at June 30, 2015 ` 15.857

SRINIVAS RAO RAVURI

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # S&P BSE SENSEX ## CNX Nifty Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 121.172 9.04 9.31 9.95 10,904 10,931 10,995Jun 28, 13 Last 2 Years 85.640 24.14 19.62 19.63 15,428 14,323 14,324Jun 29, 12 Last 3 Years 84.001 16.28 16.79 16.58 15,729 15,939 15,853Sep 11, 00 Since Inception 10.000 19.04 12.75 12.53 132,127 59,151 57,462

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.04 9.31 9.95

Jun 28, 13 to Jun 30, 14 41.22 30.83 30.09

Jun 29, 12 to Jun 28, 13 1.95 11.28 10.67

HDFC GROWTH FUND NAV as at June 30, 2015 ` 132.127

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^Past performance may or may not be sustained in the future. Returns greater than 1 year period are compounded annualized (CAGR). # S&P BSE 100 ## S&P BSE SENSEX

Jun 30, 14 Last 1 Year 14.373 7.72 9.32 9.31 10,772 10,932 10,931Jun 28, 13 Last 2 Years 10.138 23.51 20.72 19.62 15,271 14,587 14,323Mar 22, 13 Since Inception 10.000 21.19 19.53 18.91 15,482 15,003 14,828

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 7.72 9.32 9.31Jun 28, 13 to Jun 30, 14 41.50 33.23 30.83

HDFC RAJIV GANDHI EQUITY SAVINGS SCHEME - SERIES I - FEBRUARY 2013NAV as at June 30, 2015 ` 15.482A. Cumulative performance

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^Past performance may or may not be sustained in the future. Returns greater than 1 year period are compounded annualized (CAGR). # S&P BSE 100 ## S&P BSE SENSEX

Jun 30, 14 Last 1 Year 12.752 8.33 9.32 9.31 10,833 10,932 10,931Mar 14, 14 Since Inception 10.000 28.32 23.08 20.53 13,814 13,087 12,738

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.33 9.32 9.31

HDFC RAJIV GANDHI EQUITY SAVINGS SCHEME - SERIES IINAV as at June 30, 2015 ` 13.814A. Cumulative performance

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL MIP Blended Index ## CRISIL 1 year T-Bill IndexScheme performance may not strictly be comparable with that of its Additional Benchmark in view of hybrid nature of the scheme where a portion of scheme's investments are made in equity instruments. The Scheme is co-mmanaged by Chirag Setalvad (Equities) and Anil Bamboli (Debt).

A. Cumulative performance

Jun 30, 14 Last 1 Year 23.0698 7.59 11.05 8.54 10,759 11,105 10,854Jun 28, 13 Last 2 Years 19.1310 13.86 9.63 7.21 12,974 12,025 11,498Jun 29, 12 Last 3 Years 18.0659 11.16 10.04 7.53 13,739 13,328 12,437Aug 17, 05 Since Inception 10.0000 9.64 8.19 6.01 24,820 21,761 17,800

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 7.59 11.05 8.54

Jun 28, 13 to Jun 30, 14 20.47 8.24 5.89

Jun 29, 12 to Jun 28, 13 5.90 10.83 8.17

HDFC MULTIPLE YIELD FUND - PLAN 2005 NAV as at June 30, 2015 ` 24.8201

CHIRAG SETALVAD...CONTINUED

Intouchmutually44 June 2015

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Performance of dividend option under the schemes for the investors would be net of distribution tax as applicable. Load is not taken into consideration for computation of performance. N.A.: Not Available@ shows the current value of ` 10,000/- invested at the beginning of a given period

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Liquid Fund Index ## CRISIL 1 year T-Bill IndexSince inception returns are calculated on ` 13.1821 ( allotment price)

A. Cumulative performance

Jun 30, 14 Last 1 Year 22.4094 9.20 8.77 8.54 10,920 10,877 10,854Jun 28, 13 Last 2 Years 20.4660 9.32 9.20 7.21 11,957 11,930 11,498Jun 29, 12 Last 3 Years 18.7725 9.23 8.85 7.53 13,035 12,899 12,437Oct 23, 07 Since Inception 13.1821 8.38 7.64 6.26 18,563 17,619 15,954

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.20 8.77 8.54Jun 28, 13 to Jun 30, 14 9.44 9.63 5.89Jun 29, 12 to Jun 28, 13 9.02 8.12 8.17

HDFC FLOATING RATE INCOME FUND - STP - WHOLESALE OPTION NAV as at June 30, 2015 ` 24.4704

SCHEME PERFORMANCE - GROWTH OPTION (FUND MANAGER-WISE)

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Composite Bond Fund Index ## CRISIL 10 year Gilt Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 28.5980 10.69 11.10 11.76 11,069 11,110 11,176Jun 28, 13 Last 2 Years 27.9452 6.41 7.78 4.39 11,327 11,621 10,900Jun 29, 12 Last 3 Years 25.0025 8.17 8.76 6.90 12,661 12,867 12,219Sep 11, 00 Since Inception 10.0000 8.09 N.A. N.A. 31,655 N.A. N.A.

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 10.69 11.10 11.76Jun 28, 13 to Jun 30, 14 2.32 4.57 -2.46Jun 29, 12 to Jun 28, 13 11.77 10.72 12.10

HDFC INCOME FUND NAV as at June 30, 2015 ` 31.6547

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^Past performance may or may not be sustained in the future. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 25.5628 9.01 9.56 8.54 10,901 10,956 10,854Jun 28, 13 Last 2 Years 23.6823 8.45 9.16 7.21 11,766 11,921 11,498Jun 29, 12 Last 3 Years 21.5429 8.95 9.21 7.53 12,935 13,030 12,437Feb 06, 02 Since Inception 10.0000 7.95 N.A. 5.81 27,866 N.A. 21,313

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.01 9.56 8.54Jun 28, 13 to Jun 30, 14 7.90 8.76 5.89Jun 29, 12 to Jun 28, 13 9.93 9.30 8.17

HDFC HIGH INTEREST FUND - STP NAV as at June 30, 2015 ` 27.8655

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL MIP Blended Index ## CRISIL 10 year Gilt IndexScheme performance may not strictly be comparable with that of its Additional Benchmark in view of hybrid nature of the scheme where a portion of scheme's investments are made in equity instruments.

The Scheme is co-mmanaged by Prashant Jain (Equities) and Shobhit Mehrotra (Debt).

A. Cumulative performance

Jun 30, 14 Last 1 Year 31.5788 9.36 11.05 11.76 10,936 11,105 11,176Jun 28, 13 Last 2 Years 26.7025 13.68 9.63 4.39 12,933 12,025 10,900Jun 29, 12 Last 3 Years 24.5544 12.03 10.04 6.90 14,065 13,328 12,219Dec 26, 03 Since Inception 10.0000 11.36 7.70 4.92 34,535 23,501 17,386

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.36 11.05 11.76Jun 28, 13 to Jun 30, 14 18.15 8.24 -2.46Jun 29, 12 to Jun 28, 13 8.75 10.83 12.10

HDFC MF MIP LONG TERM PLAN NAV as at June 30, 2015 ` 34.5347

SHOBHIT MEHROTRA

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL MIP Blended Index ## CRISIL 10 year Gilt IndexScheme performance may not strictly be comparable with that of its Additional Benchmark in view of hybrid nature of the scheme where a portion of scheme's investments are made in equity instruments.

The Scheme is co-mmanaged by Vinay Kulkarni (Equities) and Shobhit Mehrotra (Debt).

A. Cumulative performance

Jun 30, 14 Last 1 Year 23.1059 6.58 11.05 11.76 10,658 11,105 11,176Jun 28, 13 Last 2 Years 19.7823 11.54 9.63 4.39 12,448 12,025 10,900Jun 29, 12 Last 3 Years 18.4359 10.12 10.04 6.90 13,357 13,328 12,219Dec 26, 03 Since Inception 10.0000 8.14 7.70 4.92 24,626 23,501 17,386

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 6.58 11.05 11.76

Jun 28, 13 to Jun 30, 14 16.70 8.24 -2.46

Jun 29, 12 to Jun 28, 13 7.30 10.83 12.10

HDFC MF MIP SHORT TERM PLAN NAV as at June 30, 2015 ` 24.6255

Intouchmutually June 2015 45

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Performance of dividend option under the schemes for the investors would be net of distribution tax as applicable. Load is not taken into consideration for computation of performance. N.A.: Not Available@ shows the current value of ` 10,000/- invested at the beginning of a given period

SHOBHIT MEHROTRA...CONTINUED

SCHEME PERFORMANCE - GROWTH OPTION (FUND MANAGER-WISE)

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Composite Bond Fund Index. ## CRISIL 10 year Gilt Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 14.0930 9.75 11.10 11.76 10,975 11,110 11,176Jun 28, 13 Last 2 Years 13.0473 8.86 7.78 4.39 11,855 11,621 10,900Jun 29, 12 Last 3 Years 11.7346 9.63 8.76 6.90 13,181 12,867 12,219Jun 29, 10 Since Inception 10.0000 9.10 7.90 5.93 15,468 14,629 13,341

HDFC MEDIUM TERM OPPORTUNITIES FUND NAV as at June 30, 2015 ` 15.4676

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.75 11.10 11.76Jun 28, 13 to Jun 30, 14 7.97 4.57 -2.46Jun 29, 12 to Jun 28, 13 11.19 10.72 12.10

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Liquid Fund Index ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 23, 15 Last 7 days 28.1136 0.16 0.15 0.15 10,016 10,015 10,015Jun 15, 15 Last 15 days 28.0643 0.33 0.33 0.33 10,033 10,033 10,033May 31, 15 Last 1 Month 27.9708 0.67 0.66 0.62 10,067 10,066 10,062Jun 30, 14 Last 1 Year 25.8737 8.83 8.77 8.54 10,883 10,877 10,854Jun 28, 13 Last 2 Years 23.6165 9.17 9.20 7.21 11,923 11,930 11,498Jun 29, 12 Last 3 Years 21.6884 9.08 8.85 7.53 12,983 12,899 12,437Oct 17, 00 Since Inception 10.0000 7.29 N.A. 6.27 28,158 N.A. 24,449

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.83 8.77 8.54

Jun 28, 13 to Jun 30, 14 9.50 9.63 5.89

Jun 29, 12 to Jun 28, 13 8.89 8.12 8.17

HDFC LIQUID FUND NAV as at June 30, 2015 ` 28.1575

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Liquid Fund Index ## CRISIL 1 year T-Bill IndexSince inception returns are calculated on ` 10.0104 ( allotment price)

A. Cumulative performance

Jun 30, 14 Last 1 Year 22.8303 8.10 8.77 8.54 10,810 10,877 10,854Jun 28, 13 Last 2 Years 20.9829 8.43 9.20 7.21 11,762 11,930 11,498Jun 29, 12 Last 3 Years 19.1245 8.86 8.85 7.53 12,905 12,899 12,437Jan 16, 03 Since Inception 10.0104 7.51 6.74 5.74 24,655 22,538 20,055

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.10 8.77 8.54Jun 28, 13 to Jun 30, 14 8.75 9.63 5.89Jun 29, 12 to Jun 28, 13 9.72 8.12 8.17

HDFC FLOATING RATE INCOME FUND - LTP NAV as at June 30, 2015 ` 24.6805

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill IndexPerformance of FMP schemes, being close-ended in nature, is not strictly comparable with that of open-ended schemes since the investment strategy for FMP schemes is primarily buy-and-hold whereas open-ended schemes are actively managed.

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.7946 9.86 9.56 8.54 10,986 10,956 10,854Sep 19, 13 Since Inception 10.0000 10.07 9.85 8.53 11,859 11,818 11,567

HDFC FMP 370D SEPTEMBER 2013 (4) NAV as at June 30, 2015 ` 11.8593

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.86 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 10 year Gilt Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.3358 10.62 9.56 11.76 11,062 10,956 11,176Mar 25, 14 Since Inception 10.0000 11.16 9.77 11.37 11,433 11,252 11,460

HDFC CORPORATE DEBT OPPORTUNITIES FUND NAV as at June 30, 2015 ` 11.4333

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 10.62 9.56 11.76

Intouchmutually46 June 2015

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SHOBHIT MEHROTRA...CONTINUED

SCHEME PERFORMANCE - GROWTH OPTION (FUND MANAGER-WISE)

Performance of dividend option under the schemes for the investors would be net of distribution tax as applicable. Load is not taken into consideration for computation of performance. N.A.: Not Available@ shows the current value of ` 10,000/- invested at the beginning of a given periodPerformance of FMP schemes, being close-ended in nature, is not strictly comparable with that of open-ended schemes since the investment strategy for FMP schemes is primarily buy-and-hold whereas open-ended schemes are actively managed.

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.6997 9.63 9.56 8.54 10,963 10,956 10,854Oct 04, 13 Since Inception 10.0000 9.62 9.78 8.37 11,730 11,760 11,498

HDFC FMP 370D OCTOBER 2013 (1) NAV as at June 30, 2015 ` 11.7304

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 tTo Jun 30, 15 9.63 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.6417 9.20 9.56 8.54 10,920 10,956 10,854Oct 09, 13 Since Inception 10.0000 9.11 9.60 8.22 11,621 11,712 11,459

HDFC FMP 370D OCTOBER 2013 (2) NAV as at June 30, 2015 ` 11.6206

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.20 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.6238 9.19 9.56 8.54 10,919 10,956 10,854Oct 23, 13 Since Inception 10.0000 9.21 9.69 8.31 11,601 11,686 11,440

HDFC FMP 370D OCTOBER 2013 (3) NAV as at June 30, 2015 ` 11.6005

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.19 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.6089 9.16 9.56 8.54 10,916 10,956 10,854Oct 25, 13 Since Inception 10.0000 9.13 9.69 8.31 11,581 11,681 11,435

HDFC FMP 370D OCTOBER 2013 (4) NAV as at June 30, 2015 ` 11.5805

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.16 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.5925 8.68 9.56 8.54 10,868 10,956 10,854Oct 31, 13 Since Inception 10.0000 8.84 9.67 8.32 11,512 11,659 11,421

HDFC FMP 370D OCTOBER 2013 (5) NAV as at June 30, 2015 ` 11.5120

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.68 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.5464 8.47 9.56 8.54 10,847 10,956 10,854Nov 27, 13 Since Inception 10.0000 8.83 9.82 8.46 11,440 11,606 11,377

HDFC FMP 370D NOVEMBER 2013 (1) NAV as at June 30, 2015 ` 11.4396

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.47 9.56 8.54

Intouchmutually June 2015 47

Page 48: Vol. No. 12 Issue No. 12 June 2015 - hdfcfund.com · Vol. No. 12 Issue No. 12 June 2015. 2 June 2015 Intouchmutually PAGE NO. MARKET REVIEW 3 EDITORIAL 4 FEATURES OF OUR SELECT SCHEMES

SHOBHIT MEHROTRA...CONTINUED

Performance of dividend option under the schemes for the investors would be net of distribution tax as applicable. Load is not taken into consideration for computation of performance. N.A.: Not Available@ shows the current value of ` 10,000/- invested at the beginning of a given periodPerformance of FMP schemes, being close-ended in nature, is not strictly comparable with that of open-ended schemes since the investment strategy for FMP schemes is primarily buy-and-hold whereas open-ended schemes are actively managed.

SCHEME PERFORMANCE - GROWTH OPTION (FUND MANAGER-WISE)

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.5873 8.44 9.56 8.54 10,844 10,956 10,854Nov 06, 13 Since Inception 10.0000 8.75 9.70 8.33 11,481 11,647 11,408

HDFC FMP 371D NOVEMBER 2013 (1) NAV as at June 30, 2015 ` 11.4813

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.44 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.5748 8.63 9.56 8.54 10,863 10,956 10,854Nov 13, 13 Since Inception 10.0000 8.89 9.89 8.49 11,487 11,658 11,418

HDFC FMP 371D NOVEMBER 2013 (2) NAV as at June 30, 2015 ` 11.4872

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.63 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.5268 8.67 9.56 8.54 10,867 10,956 10,854Dec 04, 13 Since Inception 10.0000 8.95 9.81 8.39 11,440 11,583 11,348

HDFC FMP 371D DECEMBER 2013 (1) NAV as at June 30, 2015 ` 11.4397

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.67 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.6494 9.05 9.56 8.54 10,905 10,956 10,854Oct 15, 13 Since Inception 10.0000 9.16 9.71 8.37 11,613 11,714 11,470

HDFC FMP 372D OCTOBER 2013 (1) NAV as at June 30, 2015 ` 11.6128

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.05 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.5787 8.15 9.56 8.54 10,815 10,956 10,854Nov 28, 13 Since Inception 10.0000 8.86 9.82 8.46 11,441 11,602 11,375

HDFC FMP 538D NOVEMBER 2013 (1) NAV as at June 30, 2015 ` 11.4408

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.15 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.5494 8.09 9.56 8.54 10,809 10,956 10,854Dec 10, 13 Since Inception 10.0000 8.82 9.86 8.44 11,403 11,572 11,341

HDFC FMP 540D DECEMBER 2013 (1) NAV as at June 30, 2015 ` 11.4030

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.09 9.56 8.54

Intouchmutually48 June 2015

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SHOBHIT MEHROTRA...CONTINUED

SCHEME PERFORMANCE - GROWTH OPTION (FUND MANAGER-WISE)

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.6390 7.83 9.56 8.54 10,783 10,956 10,854Nov 12, 13 Since Inception 10.0000 8.79 9.89 8.44 11,472 11,662 11,413

HDFC FMP 554D NOVEMBER 2013 (1) NAV as at June 30, 2015 ` 11.4723

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 7.83 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.6671 8.15 9.56 8.54 10,815 10,956 10,854Oct 18, 13 Since Inception 10.0000 8.78 9.67 8.35 11,537 11,698 11,460

HDFC FMP 572D OCTOBER 2013 (1) NAV as at June 30, 2015 ` 11.5369

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.15 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.6917 8.65 9.56 8.54 10,865 10,956 10,854Oct 15, 13 Since Inception 10.0000 9.18 9.71 8.37 11,617 11,714 11,470

HDFC FMP 737D OCTOBER 2013 (1) NAV as at June 30, 2015 ` 11.6165

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.65 9.56 8.54

Performance of dividend option under the schemes for the investors would be net of distribution tax as applicable. Load is not taken into consideration for computation of performance. N.A.: Not Available@ shows the current value of ` 10,000/- invested at the beginning of a given periodPerformance of FMP schemes, being close-ended in nature, is not strictly comparable with that of open-ended schemes since the investment strategy for FMP schemes is primarily buy-and-hold whereas open-ended schemes are actively managed.

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.8164 8.89 9.56 8.54 10,889 10,956 10,854Sep 25, 13 Since Inception 10.0000 9.74 9.99 8.58 11,778 11,827 11,560

HDFC FMP 742D SEPTEMBER 2013 (1) NAV as at June 30, 2015 ` 11.7783

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.89 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Composite Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.8468 9.51 11.10 8.54 10,951 11,110 10,854Jun 28, 13 Last 2 Years 9.9808 9.07 7.78 7.21 11,902 11,621 11,498May 23, 13 Since Inception 10.0000 8.53 6.76 7.08 11,879 11,475 11,548

HDFC FMP 1107D MAY 2013 (1) NAV as at June 30, 2015 ` 11.8787

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.51 11.10 8.54

Jun 28, 13 to Jun 30, 14 8.63 4.57 5.89

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.6316 8.89 9.56 8.54 10,889 10,956 10,854Nov 21, 13 Since Inception 10.0000 9.55 9.88 8.49 11,577 11,632 11,398

HDFC FMP 923D NOVEMBER 2013 (1) NAV as at June 30, 2015 ` 11.5769

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.89 9.56 8.54

Intouchmutually June 2015 49

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SHOBHIT MEHROTRA...CONTINUED

SCHEME PERFORMANCE - GROWTH OPTION (FUND MANAGER-WISE)

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Composite Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 11.9422 8.08 11.10 8.54 10,808 11,110 10,854Jun 28, 13 Last 2 Years 11.0821 7.90 7.78 7.21 11,647 11,621 11,498Jun 29, 12 Last 3 Years 10.0294 8.76 8.76 7.53 12,869 12,867 12,437Jun 20, 12 Since Inception 10.0000 8.79 8.76 7.52 12,907 12,893 12,456

HDFC FMP 1120D JUNE 2012 (1) NAV as at June 30, 2015 ` 12.9069

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.08 11.10 8.54Jun 28, 13 to Jun 30, 14 7.72 4.57 5.89Jun 29, 12 to Jun 28, 13 10.50 10.72 8.17

Performance of dividend option under the schemes for the investors would be net of distribution tax as applicable. Load is not taken into consideration for computation of performance. N.A.: Not Available@ shows the current value of ` 10,000/- invested at the beginning of a given periodPerformance of FMP schemes, being close-ended in nature, is not strictly comparable with that of open-ended schemes since the investment strategy for FMP schemes is primarily buy-and-hold whereas open-ended schemes are actively managed.

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Composite Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performanceHDFC FMP 1198D FEBRUARY 2013 (1) NAV as at June 30, 2015 ` 12.1908

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.99 11.10 8.54Jun 28, 13 to Jun 30, 14 7.78 4.57 5.89Jun 30, 14 Last 1 Year 11.1853 8.99 11.10 8.54 10,899 11,110 10,854

Jun 28, 13 Last 2 Years 10.3738 8.38 7.78 7.21 11,752 11,621 11,498Feb 13, 13 Since Inception 10.0000 8.70 8.40 7.35 12,191 12,111 11,834

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Composite Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 11.2302 10.74 11.10 8.54 11,074 11,110 10,854Jun 28, 13 Last 2 Years 10.4506 9.06 7.78 7.21 11,900 11,621 11,498Jan 08, 13 Since Inception 10.0000 9.21 8.35 7.39 12,436 12,194 11,928

HDFC FMP 1919D JANUARY 2013 (1) NAV as at June 30, 2015 ` 12.4359

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 10.74 11.10 8.54Jun 28, 13 to Jun 30, 14 7.42 4.57 5.89

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Composite Bond Fund Index. ## CRISIL 10 year Gilt Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.0659 -0.31 11.10 11.76 9,969 11,110 11,176Mar 26, 14 Since Inception 10.0000 0.27 12.06 11.35 10,035 11,547 11,454

HDFC FMP 3360D MARCH 2014 (1) NAV as at June 30, 2015 ` 10.0345

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 -0.31 11.10 11.76

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.2514 8.60 9.56 8.54 10,860 10,956 10,854Mar 26, 14 Since Inception 10.0000 8.87 9.78 8.57 11,134 11,251 11,095

HDFC FMP 366D MARCH 2014 (2) NAV as at June 30, 2015 ` 11.1335

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.60 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.2416 8.17 9.56 8.54 10,817 10,956 10,854Mar 27, 14 Since Inception 10.0000 8.46 9.78 8.57 11,078 11,248 11,092

HDFC FMP 377D MARCH 2014 (1) NAV as at June 30, 2015 ` 11.0779

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.17 9.56 8.54

Intouchmutually50 June 2015

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SHOBHIT MEHROTRA...CONTINUED

SCHEME PERFORMANCE - GROWTH OPTION (FUND MANAGER-WISE)

Intouchmutually June 2015 51

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.0601 8.80 9.56 8.54 10,880 10,956 10,854Jun 03, 14 Since Inception 10.0000 8.77 9.45 8.42 10,945 11,019 10,907

HDFC FMP 366D MAY 2014 (2) NAV as at June 30, 2015 ` 10.9450

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.80 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.0506 8.73 9.56 8.54 10,873 10,956 10,854Jun 05, 14 Since Inception 10.0000 8.66 9.35 8.40 10,928 11,002 10,900

HDFC FMP 370D JUNE 2014 (1) NAV as at June 30, 2015 ` 10.9284

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.73 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.0142 9.56 9.56 8.54 10,956 10,956 10,854Jun 12, 14 Since Inception 10.0000 9.24 9.37 8.43 10,972 10,986 10,887

HDFC FMP 747D JUNE 2014 (1) NAV as at June 30, 2015 ` 10.9720

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.56 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.0389 8.74 9.56 8.54 10,874 10,956 10,854Jun 11, 14 Since Inception 10.0000 8.69 9.37 8.43 10,917 10,988 10,889

HDFC FMP 371D JUNE 2014 (1) NAV as at June 30, 2015 ` 10.9165

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.74 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.0270 8.90 9.56 8.54 10,890 10,956 10,854Jun 18, 14 Since Inception 10.0000 8.89 9.47 8.51 10,919 10,980 10,880

HDFC FMP 371D JUNE 2014 (2) NAV as at June 30, 2015 ` 10.9192

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.90 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.0118 8.87 9.56 8.54 10,887 10,956 10,854Jun 25, 14 Since Inception 10.0000 8.87 9.55 8.54 10,900 10,969 10,867

HDFC FMP 370D JUNE 2014 (2) NAV as at June 30, 2015 ` 10.9001

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.87 9.56 8.54

Performance of dividend option under the schemes for the investors would be net of distribution tax as applicable. Load is not taken into consideration for computation of performance. N.A.: Not Available@ shows the current value of ` 10,000/- invested at the beginning of a given periodPerformance of FMP schemes, being close-ended in nature, is not strictly comparable with that of open-ended schemes since the investment strategy for FMP schemes is primarily buy-and-hold whereas open-ended schemes are actively managed.

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SCHEME PERFORMANCE - GROWTH OPTION (FUND MANAGER-WISE)

Intouchmutually52 June 2015

Performance of dividend option under the schemes for the investors would be net of distribution tax as applicable. Load is not taken into consideration for computation of performance. N.A.: Not Available@ shows the current value of ` 10,000/- invested at the beginning of a given period

ANIL BAMBOLI

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Liquid Fund Index ## CNX Nifty IndexScheme performance is not strictly comparable with that of its Additional Benchmark since the scheme does not take directional call in equity markets but is limited to availing arbitrage opportunities, etc.

A. Cumulative performance

Jun 30, 14 Last 1 Year 16.349 7.92 8.77 9.95 10,792 10,877 10,995Jun 28, 13 Last 2 Years 15.047 8.26 9.20 19.63 11,726 11,930 14,324Jun 29, 12 Last 3 Years 13.929 8.19 8.85 16.58 12,667 12,899 15,853Oct 23, 07 Since Inception 10.000 7.66 7.64 5.68 17,644 17,619 15,289

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 7.92 8.77 9.95

Jun 28, 13 to Jun 30, 14 8.60 9.63 30.09

Jun 29, 12 to Jun 28, 13 8.03 8.12 10.67

HDFC ARBITRAGE FUND - WHOLESALE PLAN NAV as at June 30, 2015 ` 17.644

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL MIP Blended Index ## CRISIL 1 year T-Bill IndexScheme performance may not strictly be comparable with that of its Additional Benchmark in view of hybrid nature of the scheme where a portion of scheme's investments are made in equity instruments. The Scheme is co-mmanaged by Vinay Kulkarni (Equities) and Anil Bamboli (Debt).

A. Cumulative performance

Jun 30, 14 Last 1 Year 25.0464 4.46 11.05 8.54 10,446 11,105 10,854Jun 28, 13 Last 2 Years 21.0155 11.55 9.63 7.21 12,450 12,025 11,498Jun 29, 12 Last 3 Years 19.9122 9.52 10.04 7.53 13,140 13,328 12,437Sep 17, 04 Since Inception 10.0000 9.32 8.31 5.92 26,165 23,650 18,596

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 4.46 11.05 8.54Jun 28, 13 to Jun 30, 14 19.07 8.24 5.89Jun 29, 12 to Jun 28, 13 5.54 10.83 8.17

HDFC MULTIPLE YIELD FUND NAV as at June 30, 2015 ` 26.1646

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL MIP Blended Index ## CRISIL 1 year T-Bill IndexScheme performance may not strictly be comparable with that of its Additional Benchmark in view of hybrid nature of the scheme where a portion of scheme's investments are made in equity instruments. The Scheme is co-mmanaged by Chirag Setalvad (Equities) and Anil Bamboli (Debt).

A. Cumulative performance

Jun 30, 14 Last 1 Year 23.0698 7.59 11.05 8.54 10,759 11,105 10,854Jun 28, 13 Last 2 Years 19.1310 13.86 9.63 7.21 12,974 12,025 11,498Jun 29, 12 Last 3 Years 18.0659 11.16 10.04 7.53 13,739 13,328 12,437Aug 17, 05 Since Inception 10.0000 9.64 8.19 6.01 24,820 21,761 17,800

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 7.59 11.05 8.54

Jun 28, 13 to Jun 30, 14 20.47 8.24 5.89

Jun 29, 12 to Jun 28, 13 5.90 10.83 8.17

HDFC MULTIPLE YIELD FUND - PLAN 2005 NAV as at June 30, 2015 ` 24.8201

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Composite Bond Fund Index ## CRISIL 10 year Gilt Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 42.8443 11.19 11.10 11.76 11,119 11,110 11,176Jun 28, 13 Last 2 Years 40.8565 7.96 7.78 4.39 11,660 11,621 10,900Jun 29, 12 Last 3 Years 36.3679 9.41 8.76 6.90 13,100 12,867 12,219Apr 28, 97 Since Inception 10.0000 8.96 N.A. N.A. 47,640 N.A. N.A.

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 11.19 11.10 11.76

Jun 28, 13 to Jun 30, 14 4.84 4.57 -2.46

Jun 29, 12 to Jun 28, 13 12.34 10.72 12.10

HDFC HIGH INTEREST FUND - DYNAMIC PLAN NAV as at June 30, 2015 ` 47.6404

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SCHEME PERFORMANCE - GROWTH OPTION (FUND MANAGER-WISE) ANIL BAMBOLI...CONTINUED

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 25.0251 10.26 9.56 8.54 11,026 10,956 10,854Jun 28, 13 Last 2 Years 23.1375 9.18 9.16 7.21 11,925 11,921 11,498Jun 29, 12 Last 3 Years 21.1038 9.34 9.21 7.53 13,075 13,030 12,437Feb 28, 02 Since Inception 10.0000 7.90 N.A. 5.80 27,593 N.A. 21,229

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 10.26 9.56 8.54

Jun 28, 13 to Jun 30, 14 8.11 8.76 5.89

Jun 29, 12 to Jun 28, 13 9.64 9.30 8.17

HDFC SHORT TERM PLAN NAV as at June 30, 2015 ` 27.5925

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.59 9.56 8.54Jun 28, 13 to Jun 30, 14 8.87 8.76 5.89Jun 29, 12 to Jun 28, 13 9.63 9.30 8.17

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short-Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 14.1751 9.59 9.56 8.54 10,959 10,956 10,854Jun 28, 13 Last 2 Years 13.0146 9.22 9.16 7.21 11,936 11,921 11,498Jun 29, 12 Last 3 Years 11.8710 9.37 9.21 7.53 13,086 13,030 12,437Jun 25, 10 Since Inception 10.0000 9.18 8.39 6.90 15,534 14,982 13,974

HDFC SHORT TERM OPPORTUNITIES FUND NAV as at June 30, 2015 ` 15.5339

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # I-Sec Si-Bex ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 21.1427 9.05 9.16 8.54 10,905 10,916 10,854Jun 28, 13 Last 2 Years 20.1131 7.04 7.97 7.21 11,463 11,663 11,498Jun 29, 12 Last 3 Years 18.2263 8.14 8.49 7.53 12,650 12,771 12,437Jul 25, 01 Since Inception 10.0000 6.18 N.A. 5.95 23,055 N.A. 22,393

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.05 9.16 8.54

Jun 28, 13 to Jun 30, 14 5.09 6.80 5.89

Jun 29, 12 to Jun 28, 13 10.35 9.51 8.17

HDFC GILT FUND - SHORT TERM PLAN NAV as at June 30, 2015 ` 23.0554

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # I-Sec Li-Bex ## CRISIL 10 year Gilt Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 24.7123 13.55 13.34 11.76 11,355 11,334 11,176Jun 28, 13 Last 2 Years 24.4948 7.01 7.35 4.39 11,456 11,528 10,900Jun 29, 12 Last 3 Years 21.6419 9.03 9.68 6.90 12,966 13,198 12,219Jul 25, 01 Since Inception 10.0000 7.68 N.A. N.A. 28,061 N.A. N.A.

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 13.55 13.34 11.76

Jun 28, 13 to Jun 30, 14 0.88 1.70 -2.46

Jun 29, 12 to Jun 28, 13 13.18 14.49 12.10

HDFC GILT FUND - LONG TERM PLAN NAV as at June 30, 2015 ` 28.0605

Performance of dividend option under the schemes for the investors would be net of distribution tax as applicable. Load is not taken into consideration for computation of performance. N.A.: Not Available@ shows the current value of ` 10,000/- invested at the beginning of a given period

Intouchmutually June 2015 53

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # I-Sec Composite Index ## CRISIL 10 year Gilt Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.7058 0.86 11.70 11.76 10,086 11,170 11,176Jun 28, 13 Last 2 Years 10.5566 1.13 7.82 4.39 10,229 11,629 10,900Mar 04, 13 Since Inception 10.0000 3.36 8.53 5.64 10,798 12,094 11,359

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 0.86 11.70 11.76Jun 28, 13 to Jun 30, 14 1.41 4.09 -2.46

HDFC INFLATION INDEXED BOND FUND NAV as at June 30, 2015 ` 10.7980

Page 54: Vol. No. 12 Issue No. 12 June 2015 - hdfcfund.com · Vol. No. 12 Issue No. 12 June 2015. 2 June 2015 Intouchmutually PAGE NO. MARKET REVIEW 3 EDITORIAL 4 FEATURES OF OUR SELECT SCHEMES

Performance of dividend option under the schemes for the investors would be net of distribution tax as applicable. Load is not taken into consideration for computation of performance. N.A.: Not Available@ shows the current value of ` 10,000/- invested at the beginning of a given period

ANIL BAMBOLI...CONTINUED

SCHEME PERFORMANCE - GROWTH OPTION (FUND MANAGER-WISE)

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^$$ (%)# Returns (`) $$ (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Liquid Fund Index ## CRISIL 1 year T-Bill Index$$ All dividends declared prior to the splitting of the Scheme into Dividend & Growth Options are assumed to be reinvested in the units of the Scheme at the then prevailing NAV (ex-dividend NAV).

A. Cumulative performance

Jun 23, 15 Last 7 days 29.7501 0.16 0.15 0.15 10,016 10,015 10,015Jun 15, 15 Last 15 days 29.6985 0.33 0.33 0.33 10,033 10,033 10,033May 31, 15 Last 1 Month 29.5998 0.67 0.66 0.62 10,067 10,066 10,062Jun 30, 14 Last 1 Year 27.3830 8.81 8.77 8.54 10,881 10,877 10,854Jun 28, 13 Last 2 Years 25.0174 9.11 9.20 7.21 11,910 11,930 11,498Jun 29, 12 Last 3 Years 22.9656 9.06 8.85 7.53 12,974 12,899 12,437Nov 18, 99 Since Inception 10.0000 7.24 N.A. 6.39 29,797 N.A. 26,312

Period Scheme Benchmark Additional ^$$ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.81 8.77 8.54

Jun 28, 13 to Jun 30, 14 9.40 9.63 5.89

Jun 29, 12 to Jun 28, 13 8.93 8.12 8.17

HDFC CASH MANAGEMENT FUND - SAVINGS PLAN NAV as at June 30, 2015 ` 29.7967

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Liquid Fund Index ## CRISIL 1 year T-Bill Index

Jun 30, 14 Last 1 Year 27.8035 8.10 8.77 8.54 10,810 10,877 10,854Jun 28, 13 Last 2 Years 25.6320 8.26 9.20 7.21 11,726 11,930 11,498Jun 29, 12 Last 3 Years 23.6915 8.25 8.85 7.53 12,686 12,899 12,437Nov 18, 99 Since Inception 10.0000 7.30 N.A. 6.39 30,055 N.A. 26,312

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.10 8.77 8.54Jun 28, 13 to Jun 30, 14 8.42 9.63 5.89Jun 29, 12 to Jun 28, 13 8.19 8.12 8.17

HDFC CASH MANAGEMENT FUND - TREASURY ADVANTAGE PLAN - RETAIL OPTIONNAV as at June 30, 2015 ` 30.0549

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Balanced Fund Index ## CNX Nifty IndexScheme performance may not strictly be comparable with that of its Additional Benchmark in view of hybrid nature of the scheme where a portion of scheme's investments are made in equity instruments. The Scheme is co-mmanaged by Miten Lathia & Anil Bamboli

A. Cumulative performance

Jun 30, 14 Last 1 Year 12.2480 11.51 8.78 9.95 11,151 10,878 10,995Jun 28, 13 Last 2 Years 11.4586 9.15 14.69 19.63 11,919 13,163 14,324Jun 29, 12 Last 3 Years 10.3094 9.82 13.43 16.58 13,248 14,598 15,853Feb 06, 12 Since Inception 10.0000 9.61 11.83 14.00 13,658 14,619 15,608

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 11.51 8.78 9.95Jun 28, 13 to Jun 30, 14 6.85 20.88 30.09Jun 29, 12 to Jun 28, 13 11.15 10.90 10.6

HDFC DYNAMIC PE RATIO FUND OF FUNDS NAV as at June 30, 2015 ` 13.6579

A. Cumulative performance

Intouchmutually54 June 2015

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Liquid Fund Index ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 23, 15 Last 7 days 22.3643 0.13 0.15 0.15 10,013 10,015 10,015Jun 15, 15 Last 15 days 22.3306 0.28 0.33 0.33 10,028 10,033 10,033May 31, 15 Last 1 Month 22.2681 0.56 0.66 0.62 10,056 10,066 10,062Jun 30, 14 Last 1 Year 20.7600 7.87 8.77 8.54 10,787 10,877 10,854Jun 28, 13 Last 2 Year 19.1247 8.19 9.20 7.21 11,709 11,930 11,498Jun 29, 12 Last 3 Years 17.7442 8.06 8.85 7.53 12,620 12,899 12,437Feb 06, 02 Since Inception 10.0000 6.20 N.A. 5.81 22,394 N.A. 21,313

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 7.87 8.77 8.54

Jun 28, 13 to Jun 30, 14 8.50 9.63 5.89

Jun 29, 12 to Jun 28, 13 7.78 8.12 8.17

HDFC CASH MANAGEMENT FUND - CALL PLAN NAV as at June 30, 2015 ` 22.3936

Page 55: Vol. No. 12 Issue No. 12 June 2015 - hdfcfund.com · Vol. No. 12 Issue No. 12 June 2015. 2 June 2015 Intouchmutually PAGE NO. MARKET REVIEW 3 EDITORIAL 4 FEATURES OF OUR SELECT SCHEMES

Performance of dividend option under the schemes for the investors would be net of distribution tax as applicable. Load is not taken into consideration for computation of performance. N.A.: Not Available@ shows the current value of ` 10,000/- invested at the beginning of a given period

ANIL BAMBOLI...CONTINUED

SCHEME PERFORMANCE - GROWTH OPTION (FUND MANAGER-WISE)

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Liquid Fund Index ## CRISIL 1 year T-Bill IndexScheme performance may not strictly be comparable with that of its Additional Benchmark as the Scheme can invest only in instruments having maturity upto the opening of the immediately following specified transaction period, which is at quarterly intervals.

Jun 30, 14 Last 1 Year 18.3252 8.77 8.77 8.54 10,877 10,877 10,854Jun 28, 13 Last 2 Years 16.7179 9.17 9.20 7.21 11,923 11,930 11,498Jun 29, 12 Last 3 Years 15.3792 9.02 8.85 7.53 12,961 12,899 12,437Mar 30, 07 Since Inception 10.0000 8.71 7.67 6.33 19,933 18,412 16,604

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.77 8.77 8.54

Jun 28, 13 to Jun 30, 14 9.56 9.63 5.89

Jun 29, 12 to Jun 28, 13 8.70 8.12 8.17

HDFC QUARTERLY INTERVAL FUND - PLAN A - RETAIL PLAN NAV as at June 30, 2015 ` 19.9326A. Cumulative performance

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Liquid Fund Index ## CRISIL 1 year T-Bill IndexScheme performance may not strictly be comparable with that of its Additional Benchmark as the Scheme can invest only in instruments having maturity upto the opening of the immediately following specified transaction period, which is at quarterly intervals.

A. Cumulative performance

Jun 30, 14 Last 1 Year 17.8316 8.87 8.77 8.54 10,887 10,877 10,854Jun 28, 13 Last 2 Years 16.3084 9.08 9.20 7.21 11,904 11,930 11,498Jun 29, 12 Last 3 Years 15.0042 8.96 8.85 7.53 12,939 12,899 12,437Apr 18, 07 Since Inception 10.0000 8.42 7.62 6.27 19,413 18,268 16,469

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.87 8.77 8.54

Jun 28, 13 to Jun 30, 14 9.29 9.63 5.89

Jun 29, 12 to Jun 28, 13 8.69 8.12 8.17

HDFC QUARTERLY INTERVAL FUND - PLAN B - RETAIL PLAN NAV as at June 30, 2015 ` 19.4134

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Liquid Fund Index ## CRISIL 1 year T-Bill IndexScheme performance may not strictly be comparable with that of its Additional Benchmark as the Scheme can invest only in instruments having maturity upto the opening of the immediately following specified transaction period, which is at quarterly intervals.

Jun 30, 14 Last 1 Year 17.8833 8.82 8.77 8.54 10,882 10,877 10,854Jun 28, 13 Last 2 Years 16.2619 9.37 9.20 7.21 11,968 11,930 11,498Jun 29, 12 Last 3 Years 14.9693 9.13 8.85 7.53 13,001 12,899 12,437May 15, 07 Since Inception 10.0000 8.53 7.60 6.28 19,462 18,146 16,404

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.82 8.77 8.54Jun 28, 13 to Jun 30, 14 9.91 9.63 5.89Jun 29, 12 to Jun 28, 13 8.64 8.12 8.17

HDFC QUARTERLY INTERVAL FUND - PLAN C - RETAIL PLAN NAV as at June 30, 2015 ` 19.4615

A. Cumulative performance

Intouchmutually June 2015 55

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short-Term Bond Fund Index ## CRISIL 1 year T-Bill Index.Performance of close-ended Scheme is not strictly comparable with that of open-ended schemes since the investment strategy for close ended schemes is primarily buy and hold whereas open ended schemes are actively managed. Returns of HDFC Debt Fund For Cancer Cure - 2014 are computed based on NAV of Dividend Option and all dividends (after statutory levy) are assumed to be reinvested in the units of the scheme atthe then prevailing NAV (ex-dividend NAV).

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.3645 9.95 9.56 8.54 10,995 10,956 10,854Mar 18, 14 Since Inception 10.0000 10.70 9.87 8.63 11,396 11,286 11,123

HDFC DEBT FUND FOR CANCER CURE - 22014 NAV as at June 30, 2015 ` 10.4033

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.95 9.56 8.54

Page 56: Vol. No. 12 Issue No. 12 June 2015 - hdfcfund.com · Vol. No. 12 Issue No. 12 June 2015. 2 June 2015 Intouchmutually PAGE NO. MARKET REVIEW 3 EDITORIAL 4 FEATURES OF OUR SELECT SCHEMES

Performance of dividend option under the schemes for the investors would be net of distribution tax as applicable. Load is not taken into consideration for computation of performance. N.A.: Not Available@ shows the current value of ` 10,000/- invested at the beginning of a given period

ANIL BAMBOLI...CONTINUED

SCHEME PERFORMANCE - GROWTH OPTION (FUND MANAGER-WISE)

Period Scheme Benchmark^ #

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 -6.81 -4.58Jun 28, 13 to Jun 30, 14 8.00 10.98Jun 29, 12 to Jun 28, 13 -14.96 -15.09

Date Period NAV Scheme Benchmark Value of investment of ` 10,000@ per Unit Returns Returns Scheme Benchmark

(`) (%)^ (%)# (`) (`)#

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # Domestic Price of Physical Gold

A. Cumulative performance

Jun 30, 14 Last 1 Year 9.7446 -6.81 -4.58 9,319 9,542Jun 28, 13 Last 2 Years 9.0188 0.34 2.93 10,069 10,596Jun 29, 12 Last 3 Years 10.6058 -5.04 -3.46 8,563 8,997Nov 01, 11 Since Inception 10.0000 -2.60 -0.51 9,081 9,815

HDFC GOLD FUND NAV as at June 30, 2015 ` 9.0813

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) #(`) Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill IndexScheme performance may not strictly be comparable with that of its Additional Benchmark as the Scheme can invest only in instruments having maturity upto the opening of the immediately following specified transaction period, which is at annual intervals.

A. Cumulative performance

Jun 30, 14 Last 1 Year 11.2905 9.08 9.56 8.54 10,908 10,956 10,854Jun 28, 13 Last 2 Years 10.3480 9.07 9.16 7.21 11,902 11,921 11,498Mar 06, 13 Since Inception 10.0000 9.40 9.34 7.37 12,316 12,298 11,792

HDFC ANNUAL INTERVAL FUND - SERIES I - PLAN A NAV as at June 30, 2015 ` 12.3162

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.08 9.56 8.54Jun 28, 13 to Jun 30, 14 9.06 8.76 5.89

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) #(`) Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill IndexScheme performance may not strictly be comparable with that of its Additional Benchmark as the Scheme can invest only in instruments having maturity upto the opening of the immediately following specified transaction period, which is at annual intervals.

A. Cumulative performance

Jun 30, 14 Last 1 Year 11.2238 9.07 9.56 8.54 10,907 10,956 10,854Jun 28, 13 Last 2 Years 10.3054 8.97 9.16 7.21 11,879 11,921 11,498Mar 14, 13 Since Inception 10.0000 9.21 9.29 7.36 12,242 12,262 11,771

HDFC ANNUAL INTERVAL FUND - SERIES I - PLAN B NAV as at June 30, 2015 ` 12.2420

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.07 9.56 8.54Jun 28, 13 to Jun 30, 14 8.86 8.76 5.89

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL MIP Blended Index. ## CRISIL 1 year T-Bill IndexPerformance of close-ended Scheme is not strictly comparable with that of open-ended schemes since the investment strategy for close ended schemes is primarily buy and hold whereas open ended schemes areactively managed. The Scheme is co-mmanaged by Vinay Kulkarni (Equities) and Anil Bamboli (Debt).

A. Cumulative performance

Jun 30, 14 Last 1 Year 11.2625 7.84 11.05 8.54 10,784 11,105 10,854Sep 06, 13 Since Inception 10.0000 11.31 13.14 8.54 12,145 12,509 11,602

HDFC CAPITAL PROTECTION ORIENTED FUND - SERIES I - 36M - AUGUST 2013 NAV as at June 30, 2015 ` 12.1454

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 7.84 11.05 8.54

Period Scheme Benchmark^ #

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 -5.58 -4.58Jun 28, 13 to Jun 30, 14 9.81 10.98Jun 29, 12 to Jun 28, 13 -15.92 -15.09

Date Period NAV Scheme Benchmark Value of investment of ` 10,000@ per Unit Returns Returns Scheme Benchmark

(`) (%)^ (%)# (`) (`)#

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # Domestic Price of Physical GoldSince inception returns are calculated on ` 1800.3288 (allotment price) *Currently, there are no Options being offered under the Scheme.

A. Cumulative performance

Jun 30, 14 Last 1 Year 2678.3087 -5.58 -4.58 9,442 9,542Jun 28, 13 Last 2 Years 2437.6789 1.85 2.93 10,374 10,596Jun 29, 12 Last 3 Years 2899.1062 -4.45 -3.46 8,723 8,997Aug 13, 10 Since Inception 1800.3288 7.21 7.76 14,047 14,404

HDFC GOLD EXCHANGE TRADED FUND* NAV as at June 30, 2015 ` 2528.9331

Intouchmutually56 June 2015

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ANIL BAMBOLI...CONTINUED

SCHEME PERFORMANCE - GROWTH OPTION (FUND MANAGER-WISE)

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.8944 9.63 9.56 8.54 10,963 10,956 10,854Aug 08, 13 Since Inception 10.0000 9.83 10.07 8.48 11,943 11,991 11,665

HDFC FMP 370D AUGUST 2013 (1) NAV as at June 30, 2015 ` 11.9431

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.63 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.9227 9.65 9.56 8.54 10,965 10,956 10,854Aug 14, 13 Since Inception 10.0000 10.09 10.28 8.70 11,977 12,017 11,695

HDFC FMP 370D AUGUST 2013 (2) NAV as at June 30, 2015 ` 11.9770

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.65 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.5094 8.93 9.56 8.54 10,893 10,956 10,854Dec 17, 13 Since Inception 10.0000 9.21 9.87 8.52 11,448 11,554 11,336

HDFC FMP 369D DECEMBER 2013 (1) NAV as at June 30, 2015 ` 11.4477

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.93 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.9026 9.76 9.56 8.54 10,976 10,956 10,854Aug 22, 13 Since Inception 10.0000 10.17 10.36 8.56 11,967 12,007 11,645

HDFC FMP 370D AUGUST 2013 (3) NAV as at June 30, 2015 ` 11.9672

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.76 9.56 8.54

Performance of dividend option under the schemes for the investors would be net of distribution tax as applicable. Load is not taken into consideration for computation of performance. N.A.: Not Available@ shows the current value of ` 10,000/- invested at the beginning of a given periodPerformance of FMP schemes, being close-ended in nature, is not strictly comparable with that of open-ended schemes since the investment strategy for FMP schemes is primarily buy-and-hold whereas open-ended schemes are actively managed.

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.9037 9.76 9.56 8.54 10,976 10,956 10,854Jul 31, 13 Since Inception 10.0000 9.83 10.17 8.56 11,968 12,038 11,704

HDFC FMP 370D JULY 2013 (3) NAV as at June 30, 2015 ` 11.9678

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.76 9.56 8.54

Intouchmutually June 2015 57

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.9131 9.62 9.56 8.54 10,962 10,956 10,854Aug 29, 13 Since Inception 10.0000 10.26 10.62 8.68 11,963 12,035 11,651

HDFC FMP 370D AUGUST 2013 (4) NAV as at June 30, 2015 ` 11.9627

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.62 9.56 8.54

Page 58: Vol. No. 12 Issue No. 12 June 2015 - hdfcfund.com · Vol. No. 12 Issue No. 12 June 2015. 2 June 2015 Intouchmutually PAGE NO. MARKET REVIEW 3 EDITORIAL 4 FEATURES OF OUR SELECT SCHEMES

Performance of dividend option under the schemes for the investors would be net of distribution tax as applicable. Load is not taken into consideration for computation of performance. N.A.: Not Available@ shows the current value of ` 10,000/- invested at the beginning of a given periodPerformance of FMP schemes, being close-ended in nature, is not strictly comparable with that of open-ended schemes since the investment strategy for FMP schemes is primarily buy-and-hold whereas open-ended schemes are actively managed.

ANIL BAMBOLI...CONTINUED

SCHEME PERFORMANCE - GROWTH OPTION (FUND MANAGER-WISE)

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.8330 9.74 9.56 8.54 10,974 10,956 10,854Sep 13, 13 Since Inception 10.0000 10.12 10.12 8.50 11,888 11,888 11,577

HDFC FMP 370D SEPTEMBER 2013 (2) NAV as at June 30, 2015 ` 11.8884

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.74 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.7945 9.63 9.56 8.54 10,963 10,956 10,854Sep 18, 13 Since Inception 10.0000 9.92 10.04 8.53 11,834 11,857 11,569

HDFC FMP 370D SEPTEMBER 2013 (3) NAV as at June 30, 2015 ` 11.8342

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.63 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.8902 9.54 9.56 8.54 10,954 10,956 10,854Jul 24, 13 Since Inception 10.0000 9.55 10.19 8.53 11,930 12,065 11,715

HDFC FMP 371D JULY 2013 (1) NAV as at June 30, 2015 ` 11.9296

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.54 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.8754 9.67 9.56 8.54 10,967 10,956 10,854Sep 05, 13 Since Inception 10.0000 10.19 10.10 8.50 11,927 11,909 11,598

HDFC FMP 370D SEPTEMBER 2013 (1) NAV as at June 30, 2015 ` 11.9269

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.67 9.56 8.54

Intouchmutually58 June 2015

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.8902 9.34 9.56 8.54 10,934 10,956 10,854Aug 07, 13 Since Inception 10.0000 9.64 10.09 8.48 11,907 12,000 11,668

HDFC FMP 371D AUGUST 2013 (1) NAV as at June 30, 2015 ` 11.9073

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.34 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.5249 8.80 9.56 8.54 10,880 10,956 10,854Dec 11, 13 Since Inception 10.0000 9.13 9.85 8.46 11,451 11,568 11,343

HDFC FMP 371D DECEMBER 2013 (2) NAV as at June 30, 2015 ` 11.4511

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.80 9.56 8.54

Page 59: Vol. No. 12 Issue No. 12 June 2015 - hdfcfund.com · Vol. No. 12 Issue No. 12 June 2015. 2 June 2015 Intouchmutually PAGE NO. MARKET REVIEW 3 EDITORIAL 4 FEATURES OF OUR SELECT SCHEMES

Performance of dividend option under the schemes for the investors would be net of distribution tax as applicable. Load is not taken into consideration for computation of performance. N.A.: Not Available@ shows the current value of ` 10,000/- invested at the beginning of a given periodPerformance of FMP schemes, being close-ended in nature, is not strictly comparable with that of open-ended schemes since the investment strategy for FMP schemes is primarily buy-and-hold whereas open-ended schemes are actively managed.

ANIL BAMBOLI...CONTINUED

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.4874 8.86 9.56 8.54 10,886 10,956 10,854Dec 24, 13 Since Inception 10.0000 9.14 9.84 8.53 11,417 11,529 11,320

HDFC FMP 372D DECEMBER 2013 (1) NAV as at June 30, 2015 ` 11.4171

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.86 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.4716 8.85 9.56 8.54 10,885 10,956 10,854Dec 31, 13 Since Inception 10.0000 9.14 9.85 8.52 11,398 11,509 11,301

HDFC FMP 372D DECEMBER 2013 (2) NAV as at June 30, 2015 ` 11.3981

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.85 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.5014 8.25 9.56 8.54 10,825 10,956 10,854Dec 27, 13 Since Inception 10.0000 8.88 9.86 8.50 11,368 11,522 11,307

HDFC FMP 504D DECEMBER 2013 (1) NAV as at June 30, 2015 ` 11.3677

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.25 9.56 8.54

Intouchmutually June 2015 59

SCHEME PERFORMANCE - GROWTH OPTION (FUND MANAGER-WISE)

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.5180 8.35 9.56 8.54 10,835 10,956 10,854Dec 20, 13 Since Inception 10.0000 8.94 9.82 8.45 11,396 11,537 11,318

HDFC FMP 531D DECEMBER 2013 (1) NAV as at June 30, 2015 ` 11.3963

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.35 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Composite Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.9975 9.42 11.10 8.54 10,942 11,110 10,854Aug 06, 13 Since Inception 10.0000 10.24 10.54 8.48 12,034 12,095 11,671

HDFC FMP 1143D JULY 2013 (1) NAV as at June 30, 2015 ` 12.0340

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.42 11.10 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 11.0364 8.96 9.56 8.54 10,896 10,956 10,854Aug 21, 13 Since Inception 10.0000 10.44 10.35 8.56 12,026 12,007 11,648

HDFC FMP 1001D AUGUST 2013 (1) NAV as at June 30, 2015 ` 12.0256

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.96 9.56 8.54

Page 60: Vol. No. 12 Issue No. 12 June 2015 - hdfcfund.com · Vol. No. 12 Issue No. 12 June 2015. 2 June 2015 Intouchmutually PAGE NO. MARKET REVIEW 3 EDITORIAL 4 FEATURES OF OUR SELECT SCHEMES

SCHEME PERFORMANCE - GROWTH OPTION (FUND MANAGER-WISE) ANIL BAMBOLI...CONTINUED

Performance of dividend option under the schemes for the investors would be net of distribution tax as applicable. Load is not taken into consideration for computation of performance. N.A.: Not Available@ shows the current value of ` 10,000/- invested at the beginning of a given periodPerformance of FMP schemes, being close-ended in nature, is not strictly comparable with that of open-ended schemes since the investment strategy for FMP schemes is primarily buy-and-hold whereas open-ended schemes are actively managed.

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Composite Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 11.0990 9.90 11.10 8.54 10,990 11,110 10,854Aug 14, 13 Since Inception 10.0000 11.17 11.44 8.70 12,198 12,254 11,695

HDFC FMP 1846D AUGUST 2013 (1) NAV as at June 30, 2015 ` 12.1983

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.90 11.10 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Composite Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 11.0105 10.53 11.10 8.54 11,053 11,110 10,854Sep 04, 13 Since Inception 10.0000 11.40 11.14 8.50 12,170 12,119 11,600

HDFC FMP 1875D AUGUST 2013 (1) NAV as at June 30, 2015 ` 12.1703

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 10.53 11.10 8.54

Intouchmutually60 June 2015

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short-Term Bond Fund Index ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.2738 11.03 9.56 8.54 11,103 10,956 10,854Mar 26, 14 Since Inception 10.0000 10.99 9.78 8.57 11,407 11,251 11,095

HDFC FMP 1095D MARCH 2014 (1) NAV as at June 30, 2015 ` 11.4072

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 11.03 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Composite Bond Fund Index ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.3392 11.97 11.10 8.54 11,197 11,110 10,854Mar 25, 14 Since Inception 10.0000 12.26 12.09 8.58 11,576 11,554 11,098

HDFC FMP 1127D MARCH 2014 (1) NAV as at June 30, 2015 ` 11.5764

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 11.97 11.10 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Composite Bond Fund Index ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.5185 11.90 11.10 8.54 11,190 11,110 10,854Feb 05, 14 Since Inception 10.0000 12.37 11.87 8.65 11,771 11,696 11,230

HDFC FMP 1175D JANUARY 2014 (1) NAV as at June 30, 2015 ` 11.7706

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 11.90 11.10 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short-Term Bond Fund Index ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.2893 8.76 9.56 8.54 10,876 10,956 10,854Mar 19, 14 Since Inception 10.0000 9.17 9.86 8.59 11,191 11,281 11,115

HDFC FMP 366D MARCH 2014 (1) NAV as at June 30, 2015 ` 11.1908

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.76 9.56 8.54

Page 61: Vol. No. 12 Issue No. 12 June 2015 - hdfcfund.com · Vol. No. 12 Issue No. 12 June 2015. 2 June 2015 Intouchmutually PAGE NO. MARKET REVIEW 3 EDITORIAL 4 FEATURES OF OUR SELECT SCHEMES

Intouchmutually June 2015 61

SCHEME PERFORMANCE - GROWTH OPTION (FUND MANAGER-WISE) ANIL BAMBOLI...CONTINUED

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short-Term Bond Fund Index ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.3834 8.68 9.56 8.54 10,868 10,956 10,854Feb 21, 14 Since Inception 10.0000 9.34 10.02 8.61 11,284 11,379 11,183

HDFC FMP 369D FEBRUARY 2014 (2) NAV as at June 30, 2015 ` 11.2844

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.68 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short-Term Bond Fund Index ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.4345 8.62 9.56 8.54 10,862 10,956 10,854Jan 16, 14 Since Inception 10.0000 9.01 9.78 8.33 11,334 11,451 11,232

HDFC FMP 369D JANUARY 2014 (1) NAV as at June 30, 2015 ` 11.3344

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.62 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short-Term Bond Fund Index ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.3397 8.74 9.56 8.54 10,874 10,956 10,854Mar 07, 14 Since Inception 10.0000 9.32 9.97 8.67 11,243 11,331 11,155

HDFC FMP 369D MARCH 2014 (1) NAV as at June 30, 2015 ` 11.2433

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.74 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short-Term Bond Fund Index ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.3136 8.73 9.56 8.54 10,873 10,956 10,854Mar 13, 14 Since Inception 10.0000 9.22 9.89 8.65 11,214 11,303 11,138

HDFC FMP 369D MARCH 2014 (2) NAV as at June 30, 2015 ` 11.2140

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.73 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short-Term Bond Fund Index ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.2726 8.76 9.56 8.54 10,876 10,956 10,854Mar 21, 14 Since Inception 10.0000 9.07 9.79 8.57 11,172 11,267 11,107

HDFC FMP 369D MARCH 2014 (3) NAV as at June 30, 2015 ` 11.1720

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.76 9.56 8.54

Performance of dividend option under the schemes for the investors would be net of distribution tax as applicable. Load is not taken into consideration for computation of performance. N.A.: Not Available@ shows the current value of ` 10,000/- invested at the beginning of a given periodPerformance of FMP schemes, being close-ended in nature, is not strictly comparable with that of open-ended schemes since the investment strategy for FMP schemes is primarily buy-and-hold whereas open-ended schemes are actively managed.

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short-Term Bond Fund Index ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.4002 8.93 9.56 8.54 10,893 10,956 10,854Feb 07, 14 Since Inception 10.0000 9.38 9.92 8.64 11,329 11,407 11,222

HDFC FMP 369D FEBRUARY 2014 (1) NAV as at June 30, 2015 ` 11.3290

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.93 9.56 8.54

Page 62: Vol. No. 12 Issue No. 12 June 2015 - hdfcfund.com · Vol. No. 12 Issue No. 12 June 2015. 2 June 2015 Intouchmutually PAGE NO. MARKET REVIEW 3 EDITORIAL 4 FEATURES OF OUR SELECT SCHEMES

ANIL BAMBOLI...CONTINUED

SCHEME PERFORMANCE - GROWTH OPTION (FUND MANAGER-WISE)

Intouchmutually62 June 2015

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short-Term Bond Fund Index ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.3976 8.78 9.56 8.54 10,878 10,956 10,854Feb 14, 14 Since Inception 10.0000 9.39 10.01 8.68 11,310 11,399 11,211

HDFC FMP 370D FEBRUARY 2014 (1) NAV as at June 30, 2015 ` 11.3103

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.78 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short-Term Bond Fund Index ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.4154 8.55 9.56 8.54 10,855 10,956 10,854Jan 24, 14 Since Inception 10.0000 8.96 9.82 8.46 11,305 11,433 11,231

HDFC FMP 370D JANUARY 2014 (1) NAV as at June 30, 2015 ` 11.3054

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.55 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short-Term Bond Fund Index ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.3592 8.78 9.56 8.54 10,878 10,956 10,854Mar 05, 14 Since Inception 10.0000 9.47 10.02 8.68 11,269 11,343 11,162

HDFC FMP 370D MARCH 2014 (1) NAV as at June 30, 2015 ` 11.2691

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.78 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short-Term Bond Fund Index ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.3980 8.80 9.56 8.54 10,880 10,956 10,854Feb 12, 14 Since Inception 10.0000 9.37 9.97 8.69 11,313 11,399 11,217

HDFC FMP 371D FEBRUARY 2014 (1) NAV as at June 30, 2015 ` 11.3132

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.80 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short-Term Bond Fund Index ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.3704 8.67 9.56 8.54 10,867 10,956 10,854Feb 26, 14 Since Inception 10.0000 9.33 10.04 8.65 11,270 11,368 11,176

HDFC FMP 371D FEBRUARY 2014 (2) NAV as at June 30, 2015 ` 11.2695

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.67 9.56 8.54

Performance of dividend option under the schemes for the investors would be net of distribution tax as applicable. Load is not taken into consideration for computation of performance. N.A.: Not Available@ shows the current value of ` 10,000/- invested at the beginning of a given periodPerformance of FMP schemes, being close-ended in nature, is not strictly comparable with that of open-ended schemes since the investment strategy for FMP schemes is primarily buy-and-hold whereas open-ended schemes are actively managed.

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short-Term Bond Fund Index ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.4544 8.66 9.56 8.54 10,866 10,956 10,854Jan 08, 14 Since Inception 10.0000 9.04 9.85 8.47 11,360 11,485 11,273

HDFC FMP 371D JANUARY 2014 (1) NAV as at June 30, 2015 ` 11.3602

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.66 9.56 8.54

Page 63: Vol. No. 12 Issue No. 12 June 2015 - hdfcfund.com · Vol. No. 12 Issue No. 12 June 2015. 2 June 2015 Intouchmutually PAGE NO. MARKET REVIEW 3 EDITORIAL 4 FEATURES OF OUR SELECT SCHEMES

Intouchmutually June 2015 63

SCHEME PERFORMANCE - GROWTH OPTION (FUND MANAGER-WISE) ANIL BAMBOLI...CONTINUED

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short-Term Bond Fund Index ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.4240 8.83 9.56 8.54 10,883 10,956 10,854Jan 29, 14 Since Inception 10.0000 9.32 9.90 8.58 11,345 11,431 11,237

HDFC FMP 371D JANUARY 2014 (2) NAV as at June 30, 2015 ` 11.3447

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.83 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short-Term Bond Fund Index ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.4103 8.93 9.56 8.54 10,893 10,956 10,854Feb 04, 14 Since Inception 10.0000 9.40 9.92 8.63 11,340 11,416 11,229

HDFC FMP 372D FEBRUARY 2014 (1) NAV as at June 30, 2015 ` 11.3400

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.93 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short-Term Bond Fund Index ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.4180 8.55 9.56 8.54 10,855 10,956 10,854Jan 21, 14 Since Inception 10.0000 8.93 9.75 8.27 11,309 11,432 11,210

HDFC FMP 372D JANUARY 2014 (1) NAV as at June 30, 2015 ` 11.3089

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.55 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short-Term Bond Fund Index ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.2457 8.16 9.56 8.54 10,816 10,956 10,854Mar 26, 14 Since Inception 10.0000 8.48 9.78 8.57 11,082 11,251 11,095

HDFC FMP 378D MARCH 2014 (1) NAV as at June 30, 2015 ` 11.0821

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.16 9.56 8.54

Performance of dividend option under the schemes for the investors would be net of distribution tax as applicable. Load is not taken into consideration for computation of performance. N.A.: Not Available@ shows the current value of ` 10,000/- invested at the beginning of a given periodPerformance of FMP schemes, being close-ended in nature, is not strictly comparable with that of open-ended schemes since the investment strategy for FMP schemes is primarily buy-and-hold whereas open-ended schemes are actively managed.

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short-Term Bond Fund Index ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.2780 8.13 9.56 8.54 10,813 10,956 10,854Mar 20, 14 Since Inception 10.0000 8.60 9.84 8.59 11,113 11,275 11,112

HDFC FMP 384D MARCH 2014 (1) NAV as at June 30, 2015 ` 11.1134

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.13 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short-Term Bond Fund Index ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.2958 8.23 9.56 8.54 10,823 10,956 10,854Mar 14, 14 Since Inception 10.0000 8.71 9.89 8.63 11,143 11,300 11,132

HDFC FMP 390D MARCH 2014 (1) NAV as at June 30, 2015 ` 11.1433

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.23 9.56 8.54

Page 64: Vol. No. 12 Issue No. 12 June 2015 - hdfcfund.com · Vol. No. 12 Issue No. 12 June 2015. 2 June 2015 Intouchmutually PAGE NO. MARKET REVIEW 3 EDITORIAL 4 FEATURES OF OUR SELECT SCHEMES

ANIL BAMBOLI...CONTINUED

SCHEME PERFORMANCE - GROWTH OPTION (FUND MANAGER-WISE)

Intouchmutually64 June 2015

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short-Term Bond Fund Index ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.3127 8.20 9.56 8.54 10,820 10,956 10,854Mar 11, 14 Since Inception 10.0000 8.77 9.90 8.67 11,158 11,310 11,145

HDFC FMP 400D MARCH 2014 (1) NAV as at June 30, 2015 ` 11.1584

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.20 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short-Term Bond Fund Index ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.3545 8.58 9.56 8.54 10,858 10,956 10,854Feb 25, 14 Since Inception 10.0000 9.12 10.04 8.64 11,243 11,370 11,177

HDFC FMP 434D FEBRUARY 2014 (1) NAV as at June 30, 2015 ` 11.2432

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.58 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short-Term Bond Fund Index ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.3315 8.65 9.56 8.54 10,865 10,956 10,854Mar 06, 14 Since Inception 10.0000 9.17 10.02 8.68 11,226 11,341 11,160

HDFC FMP 435D MARCH 2014 (1) NAV as at June 30, 2015 ` 11.2256

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.65 9.56 8.54

Performance of dividend option under the schemes for the investors would be net of distribution tax as applicable. Load is not taken into consideration for computation of performance. N.A.: Not Available@ shows the current value of ` 10,000/- invested at the beginning of a given periodPerformance of FMP schemes, being close-ended in nature, is not strictly comparable with that of open-ended schemes since the investment strategy for FMP schemes is primarily buy-and-hold whereas open-ended schemes are actively managed.

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short-Term Bond Fund Index ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.3739 8.62 9.56 8.54 10,862 10,956 10,854Feb 18, 14 Since Inception 10.0000 9.16 10.00 8.69 11,268 11,386 11,201

HDFC FMP 441D FEBRUARY 2014 (1) NAV as at June 30, 2015 ` 11.2679

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.62 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short-Term Bond Fund Index ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.3846 8.49 9.56 8.54 10,849 10,956 10,854Feb 12, 14 Since Inception 10.0000 9.04 9.97 8.69 11,267 11,399 11,217

HDFC FMP 447D FEBRUARY 2014 (1) NAV as at June 30, 2015 ` 11.2665

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.49 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short-Term Bond Fund Index ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.3906 8.57 9.56 8.54 10,857 10,956 10,854Feb 06, 14 Since Inception 10.0000 9.03 9.90 8.65 11,281 11,408 11,227

HDFC FMP 453D FEBRUARY 2014 (1) NAV as at June 30, 2015 ` 11.2814

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.57 9.56 8.54

Page 65: Vol. No. 12 Issue No. 12 June 2015 - hdfcfund.com · Vol. No. 12 Issue No. 12 June 2015. 2 June 2015 Intouchmutually PAGE NO. MARKET REVIEW 3 EDITORIAL 4 FEATURES OF OUR SELECT SCHEMES

Intouchmutually June 2015 65

SCHEME PERFORMANCE - GROWTH OPTION (FUND MANAGER-WISE) ANIL BAMBOLI...CONTINUED

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short-Term Bond Fund Index ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.4104 8.36 9.56 8.54 10,836 10,956 10,854Jan 28, 14 Since Inception 10.0000 8.87 9.89 8.54 11,281 11,433 11,233

HDFC FMP 472D JANUARY 2014 (1) NAV as at June 30, 2015 ` 11.2811

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.36 9.56 8.54

Performance of dividend option under the schemes for the investors would be net of distribution tax as applicable. Load is not taken into consideration for computation of performance. N.A.: Not Available@ shows the current value of ` 10,000/- invested at the beginning of a given periodPerformance of FMP schemes, being close-ended in nature, is not strictly comparable with that of open-ended schemes since the investment strategy for FMP schemes is primarily buy-and-hold whereas open-ended schemes are actively managed.

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short-Term Bond Fund Index ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.4142 8.50 9.56 8.54 10,850 10,956 10,854Jan 24, 14 Since Inception 10.0000 8.91 9.82 8.46 11,299 11,433 11,231

HDFC FMP 478D JANUARY 2014 (1) NAV as at June 30, 2015 ` 11.2989

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.50 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short-Term Bond Fund Index ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.4598 8.38 9.56 8.54 10,838 10,956 10,854Jan 09, 14 Since Inception 10.0000 8.90 9.85 8.47 11,336 11,482 11,270

HDFC FMP 491D JANUARY 2014 (1) NAV as at June 30, 2015 ` 11.3361

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.38 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short-Term Bond Fund Index ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.3697 11.57 9.56 8.54 11,157 10,956 10,854Feb 26, 14 Since Inception 10.0000 11.49 10.04 8.65 11,569 11,368 11,176

HDFC FMP 793D FEBRUARY 2014 (1) NAV as at June 30, 2015 ` 11.5690

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 11.57 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short-Term Bond Fund Index ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.4548 9.70 9.56 8.54 10,970 10,956 10,854Feb 06, 14 Since Inception 10.0000 10.33 9.90 8.65 11,469 11,408 11,227

HDFC FMP 840D JANUARY 2014 (1) NAV as at June 30, 2015 ` 11.4688

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.70 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short-Term Bond Fund Index ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.2503 9.73 9.56 8.54 10,973 10,956 10,854Mar 26, 14 Since Inception 10.0000 9.76 9.78 8.57 11,248 11,251 11,095

HDFC BANKING AND PSU DEBT FUND NAV as at June 30, 2015 ` 11.2481

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.73 9.56 8.54

Page 66: Vol. No. 12 Issue No. 12 June 2015 - hdfcfund.com · Vol. No. 12 Issue No. 12 June 2015. 2 June 2015 Intouchmutually PAGE NO. MARKET REVIEW 3 EDITORIAL 4 FEATURES OF OUR SELECT SCHEMES

ANIL BAMBOLI...CONTINUED

SCHEME PERFORMANCE - GROWTH OPTION (FUND MANAGER-WISE)

Intouchmutually66 June 2015

Performance of dividend option under the schemes for the investors would be net of distribution tax as applicable. Load is not taken into consideration for computation of performance. N.A.: Not Available@ shows the current value of ` 10,000/- invested at the beginning of a given period.Performance of close-ended Scheme is not strictly comparable with that of open-ended schemes since the investment strategy for close ended schemes is primarily buy and hold whereas open ended schemes are actively managed. The above 6 Schemes are co-mmanaged by Vinay Kulkarni (Equities) and Anil Bamboli (Debt).

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL MIP Blended Index ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.9519 7.85 11.05 8.54 10,785 11,105 10,854Oct 08, 13 Since Inception 10.0000 10.13 12.42 8.22 11,811 12,240 11,461

HDFC CPO - I - 36M SEPTEMBER 2013 NAV as at June 30, 2015 ` 11.8114

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 7.85 11.05 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL MIP Blended Index ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.8705 8.07 11.05 8.54 10,807 11,105 10,854Nov 08, 13 Since Inception 10.0000 10.31 13.10 8.37 11,748 12,239 11,410

HDFC CPO - I - 36M OCTOBER 2013 NAV as at June 30, 2015 ` 11.7478

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.07 11.05 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL MIP Blended Index ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.7576 7.42 11.05 8.54 10,742 11,105 10,854Jan 29, 14 Since Inception 10.0000 10.74 13.85 8.58 11,555 12,017 11,237

HDFC CPO - II - 36M JANUARY 2014 NAV as at June 30, 2015 ` 11.5553

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 7.42 11.05 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL MIP Blended Index ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.5903 6.89 11.05 8.54 10,689 11,105 10,854Mar 06, 14 Since Inception 10.0000 9.86 14.01 8.68 11,320 11,886 11,160

HDFC CPO - II - 36M FEBRUARY 2014 NAV as at June 30, 2015 ` 11.3197

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 6.89 11.05 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL MIP Blended Index ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.0000 8.36 11.05 8.54 10,836 11,105 10,854Jun 30, 14 Since Inception 10.0000 8.36 11.05 8.54 10,836 11,105 10,854

HDFC CPO - II - 36M JUNE 2014 NAV as at June 30, 2015 ` 10.8356

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.36 11.05 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL MIP Blended Index ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.0595 7.69 11.05 8.54 10,769 11,105 10,854Jun 05, 14 Since Inception 10.0000 7.78 10.67 8.40 10,833 11,144 10,900

HDFC CPO - II - 36M MAY 2014 NAV as at June 30, 2015 ` 10.8333

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 7.69 11.05 8.54

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SCHEME PERFORMANCE - DIRECT PLAN - GROWTH OPTION (FUND MANAGER-WISE)

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) #(`) Benchmark##(%) (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CNX 500 Index ## CNX Nifty Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 427.915 10.44 11.71 9.95 11,044 11,171 10,995Jun 28, 13 Last 2 Years 269.278 32.37 23.58 19.63 17,550 15,290 14,324Jan 01, 13 Since Inception 296.876 20.50 15.78 14.65 15,918 14,411 14,063

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 10.44 11.71 9.95Jun 28, 13 to Jun 30, 14 58.51 36.64 30.09

HDFC EQUITY FUND NAV as at June 30, 2015 ` 472.571

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) #(`) Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # S&P BSE 200 ## S&P BSE SENSEX

A. Cumulative performance

Jun 30, 14 Last 1 Year 316.552 8.00 12.01 9.31 10,800 11,201 10,931Jun 28, 13 Last 2 Years 211.331 27.11 22.65 19.62 16,178 15,059 14,323Jan 01, 13 Since Inception 228.943 17.45 15.44 15.06 14,933 14,305 14,188

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.00 12.01 9.31Jun 28, 13 to Jun 30, 14 49.46 34.23 30.83

HDFC TOP 200 FUND NAV as at June 30, 2015 ` 341.891

PRASHANT JAIN

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) #(`) Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CNX 500 Index ## CNX Nifty Index The Scheme is co-mmanaged by Prashant Jain and Srinivas Rao Ravuri.

A. Cumulative performance

Jun 30, 14 Last 1 Year 15.004 7.79 11.71 9.95 10,779 11,171 10,995Jun 28, 13 Last 2 Years 8.694 36.28 23.58 19.63 18,602 15,290 14,324Jan 01, 13 Since Inception 11.152 16.08 15.78 14.65 14,502 14,411 14,063

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 7.79 11.71 9.95Jun 28, 13 to Jun 30, 14 72.07 36.64 30.09

HDFC INFRASTRUCTURE FUND NAV as at June 30, 2015 ` 16.173

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) #(`) Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Balanced Fund Index ## CNX Nifty IndexScheme performance may not strictly be comparable with that of its Additional Benchmark in view of balanced nature of the scheme where a portion of scheme's investments are made in debt instruments

A. Cumulative performance

Jun 30, 14 Last 1 Year 340.956 9.65 8.78 9.95 10,965 10,878 10,995Jun 28, 13 Last 2 Years 223.449 29.26 14.69 19.63 16,731 13,163 14,324Jan 01, 13 Since Inception 243.322 18.80 12.00 14.65 15,364 13,264 14,063

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.65 8.78 9.95Jun 28, 13 to Jun 30, 14 52.24 20.88 30.09

HDFC PRUDENCE FUND NAV as at June 30, 2015 ` 373.846

Performance of dividend option under the schemes for the investors would be net of distribution tax as applicable. Load is not taken into consideration for computation of performance. N.A.: Not Available@ shows the current value of ` 10,000/- invested at the beginning of a given period

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) #(`) Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL MIP Blended Index ## CRISIL 10 year Gilt IndexScheme performance may not strictly be comparable with that of its Additional Benchmark in view of hybrid nature of the scheme where a portion of scheme's investments are made in equity instruments.

The Scheme is co-mmanaged by Prashant Jain (Equities) and Shobhit Mehrotra (Debt).

A. Cumulative performance

Jun 30, 14 Last 1 Year 31.7772 9.85 11.05 11.76 10,985 11,105 11,176Jun 28, 13 Last 2 Year 26.7598 14.17 9.63 4.39 13,045 12,025 10,900Jan 01, 13 Since Inception 26.4746 11.73 9.54 6.12 13,185 12,552 11,596

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.85 11.05 11.76Jun 28, 13 to Jun 30, 14 18.64 8.24 -2.46

HDFC MF MIP LONG TERM PLAN NAV as at June 30, 2015 ` 34.9079

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VINAY KULKARNI

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # S&P BSE SENSEX (Total Returns Index) ## CNX Nifty Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 215.8652 10.58 10.96 9.95 11,058 11,096 10,995Jun 28, 13 Last 2 Years 163.2244 20.87 21.36 19.63 14,624 14,744 14,324Jan 01, 13 Since Inception 163.6338 16.35 16.86 14.65 14,587 14,748 14,063

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 10.58 10.96 9.95Jun 28, 13 to Jun 30, 14 32.05 32.67 30.09

HDFC INDEX FUND - SENSEX PLAN NAV as at June 30, 2015 ` 238.6980

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CNX 500 Index ## CNX Nifty Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 39.834 8.89 11.71 9.95 10,889 11,171 10,995Jun 28, 13 Last 2 Years 24.378 33.29 23.58 19.63 17,793 15,290 14,324Jan 01, 13 Since Inception 28.957 17.60 15.78 14.65 14,979 14,411 14,063

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.89 11.71 9.95Jun 28, 13 to Jun 30, 14 62.96 36.64 30.09

HDFC PREMIER MULTI-CCAP FUND NAV as at June 30, 2015 ` 43.376

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # S&P BSE 200 ## S&P BSE SENSEX

A. Cumulative performance

Jun 30, 14 Last 1 Year 55.862 5.01 12.01 9.31 10,501 11,201 10,931Jun 28, 13 Last 2 Years 33.614 32.00 22.65 19.62 17,450 15,059 14,323Jan 01, 13 Since Inception 40.302 16.25 15.44 15.06 14,555 14,305 14,188

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 5.01 12.01 9.31Jun 28, 13 to Jun 30, 14 65.73 34.23 30.83

HDFC CORE & SATELLITE FUND NAV as at June 30, 2015 ` 58.658

SCHEME PERFORMANCE - DIRECT PLAN - GROWTH OPTION (FUND MANAGER-WISE)

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CNX Nifty Index ## S&P BSE SENSEX

A. Cumulative performance

Jun 30, 14 Last 1 Year 82.125 10.40 9.95 9.31 11,040 10,995 10,931Jun 28, 13 Last 2 Years 65.633 17.48 19.63 19.62 13,814 14,324 14,323Jan 01, 13 Since Inception 66.927 12.95 14.65 15.06 13,547 14,063 14,188

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 10.40 9.95 9.31Jun 28, 13 to Jun 30, 14 24.97 30.09 30.83

HDFC LARGE CAP FUND NAV as at June 30, 2015 ` 90.668

Performance of dividend option under the schemes for the investors would be net of distribution tax as applicable. Load is not taken into consideration for computation of performance. N.A.: Not Available@ shows the current value of ` 10,000/- invested at the beginning of a given period

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CNX Nifty Index (Total Returns Index) ## S&P BSE SENSEX

A. Cumulative performance

Jun 30, 14 Last 1 Year 66.5482 11.24 11.24 9.31 11,124 11,124 10,931Jun 28, 13 Last 2 Years 50.7075 20.76 21.00 19.62 14,599 14,657 14,323Jan 01, 13 Since Inception 51.3793 15.77 16.04 15.06 14,408 14,490 14,188

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 11.24 11.24 9.31Jun 28, 13 to Jun 30, 14 31.05 31.57 30.83

HDFC INDEX FUND - NIFTY PLAN NAV as at June 30, 2015 ` 74.0256

Intouchmutually68 June 2015

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Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CNX 500 Index ## CNX Nifty Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 362.399 8.90 11.71 9.95 10,890 11,171 10,995Jun 28, 13 Last 2 Years 221.710 33.31 23.58 19.63 17,801 15,290 14,324Jan 01, 13 Since Inception 246.413 20.80 15.78 14.65 16,016 14,411 14,063

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.90 11.71 9.95Jun 28, 13 to Jun 30, 14 63.02 36.64 30.09

HDFC TAXSAVER NAV as at June 30, 2015 ` 394.663

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL MIP Blended Index ## CRISIL 10 year Gilt IndexScheme performance may not strictly be comparable with that of its Additional Benchmark in view of hybrid nature of the scheme where a portion of scheme's investments are made in equity instruments. The Scheme is co-mmanaged by Vinay Kulkarni (Equities) and Shobhit Mehrotra (Debt).

A. Cumulative performance

Jun 30, 14 Last 1 Year 23.2115 7.28 11.05 11.76 10,728 11,105 11,176Jun 28, 13 Last 2 Years 19.8127 12.08 9.63 4.39 12,569 12,025 10,900Jan 01, 13 Since Inception 19.5587 10.17 9.54 6.12 12,732 12,552 11,596

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 7.28 11.05 11.76Jun 28, 13 to Jun 30, 14 17.05 8.24 -2.46

HDFC MF MIP SHORT TERM PLAN NAV as at June 30, 2015 ` 24.9024

SCHEME PERFORMANCE - DIRECT PLAN - GROWTH OPTION (FUND MANAGER-WISE)

Performance of dividend option under the schemes for the investors would be net of distribution tax as applicable. Load is not taken into consideration for computation of performance. N.A.: Not Available@ shows the current value of ` 10,000/- invested at the beginning of a given period

VINAY KULKARNI...CONTINUED

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL MIP Blended Index ## CRISIL 1 year T-Bill IndexPerformance of close-ended Scheme is not strictly comparable with that of open-ended schemes since the investment strategy for close ended schemes is primarily buy and hold whereas open ended schemes areactively managed. The Scheme is co-managed by Vinay Kulkarni (Equities) and Anil Bamboli (Debt).

A. Cumulative performance

Jun 30, 14 Last 1 Year 25.1739 5.03 11.05 8.54 10,503 11,105 10,854Jun 28, 13 Last 2 Years 21.0536 12.03 9.63 7.21 12,559 12,025 11,498Jan 01, 13 Since Inception 21.0517 9.57 9.54 7.44 12,560 12,552 11,958

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 5.03 11.05 8.54Jun 28, 13 to Jun 30, 14 19.45 8.24 5.89

HDFC MULTIPLE YIELD FUND NAV as at June 30, 2015 ` 26.4414

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # S&P BSE SENSEX (Total Returns Index) ## CNX Nifty Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 331.1526 10.75 10.96 9.95 11,075 11,096 10,995Jun 28, 13 Last 2 Years 247.4598 21.67 21.36 19.63 14,821 14,744 14,324Jan 01, 13 Since Inception 251.2631 16.38 16.86 14.65 14,596 14,748 14,063

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 10.75 10.96 9.95Jun 28, 13 to Jun 30, 14 33.61 32.67 30.09

HDFC INDEX FUND - SENSEX PLUS PLAN NAV as at June 30, 2015 ` 366.7478

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL MIP Blended Index. ## CRISIL 1 year T-Bill IndexPerformance of close-ended Scheme is not strictly comparable with that of open-ended schemes since the investment strategy for close ended schemes is primarily buy and hold whereas open ended schemes areactively managed. The Scheme is co-mmanaged by Vinay Kulkarni (Equities) and Anil Bamboli (Debt).

A. Cumulative performance

Jun 30, 14 Last 1 Year 11.3131 8.38 11.05 8.54 10,838 11,105 10,854Sep 06, 13 Since Inception 10.0000 11.89 13.14 8.54 12,261 12,509 11,602

HDFC CAPITAL PROTECTION ORIENTED FUND - SERIES I - 36M - AUGUST 2013 NAV as at June 30, 2015 ` 12.2610

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.38 11.05 8.54

Intouchmutually June 2015 69

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SCHEME PERFORMANCE - DIRECT PLAN - GROWTH OPTION (FUND MANAGER-WISE)

Performance of dividend option under the schemes for the investors would be net of distribution tax as applicable. Load is not taken into consideration for computation of performance. N.A.: Not Available@ shows the current value of ` 10,000/- invested at the beginning of a given period.Performance of close-ended Scheme is not strictly comparable with that of open-ended schemes since the investment strategy for close ended schemes is primarily buy and hold whereas open ended schemes are active-ly managed. The above 6 Schemes are co-mmanaged by Vinay Kulkarni (Equities) and Anil Bamboli (Debt).

VINAY KULKARNI...CONTINUED

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL MIP Blended Index ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.9060 8.61 11.05 8.54 10,861 11,105 10,854Nov 08, 13 Since Inception 10.0000 10.87 13.10 8.37 11,845 12,239 11,410

HDFC CPO - I - 36M OCTOBER 2013 NAV as at June 30, 2015 ` 11.8452

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.61 11.05 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL MIP Blended Index ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.7801 7.96 11.05 8.54 10,796 11,105 10,854Jan 29, 14 Since Inception 10.0000 11.31 13.85 8.58 11,639 12,017 11,237

HDFC CPO - II - 36M JANUARY 2014 NAV as at June 30, 2015 ` 11.6387

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 7.96 11.05 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL MIP Blended Index ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.6084 7.42 11.05 8.54 10,742 11,105 10,854Mar 06, 14 Since Inception 10.0000 10.42 14.01 8.68 11,396 11,886 11,160

HDFC CPO - II - 36M FEBRUARY 2014 NAV as at June 30, 2015 ` 11.3958

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 7.42 11.05 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL MIP Blended Index ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.9919 8.39 11.05 8.54 10,839 11,105 10,854Oct 08, 13 Since Inception 10.0000 10.68 12.42 8.22 11,914 12,240 11,461

HDFC CPO - I - 36M SEPTEMBER 2013 NAV as at June 30, 2015 ` 11.9139

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.39 11.05 8.54

Intouchmutually70 June 2015

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL MIP Blended Index ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.0618 8.23 11.05 8.54 10,823 11,105 10,854Jun 05, 14 Since Inception 10.0000 8.31 10.67 8.40 10,890 11,144 10,900

HDFC CPO - II - 36M MAY 2014 NAV as at June 30, 2015 ` 10.8901

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.23 11.05 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL MIP Blended Index ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.0000 8.90 11.05 8.54 10,890 11,105 10,854Jun 30, 14 Since Inception 10.0000 8.90 11.05 8.54 10,890 11,105 10,854

HDFC CPO - II - 36M JUNE 2014 NAV as at June 30, 2015 ` 10.8902

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.90 11.05 8.54

Page 71: Vol. No. 12 Issue No. 12 June 2015 - hdfcfund.com · Vol. No. 12 Issue No. 12 June 2015. 2 June 2015 Intouchmutually PAGE NO. MARKET REVIEW 3 EDITORIAL 4 FEATURES OF OUR SELECT SCHEMES

SCHEME PERFORMANCE - DIRECT PLAN - GROWTH OPTION (FUND MANAGER-WISE)

Performance of dividend option under the schemes for the investors would be net of distribution tax as applicable. Load is not taken into consideration for computation of performance. N.A.: Not Available@ shows the current value of ` 10,000/- invested at the beginning of a given period

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Balanced Fund Index ## CNX Nifty IndexScheme performance may not strictly be comparable with that of its Additional Benchmark in view of hybrid nature of the scheme where a portion of scheme's investments are made in equity instruments. The Scheme is co-mmanaged by Miten Lathia & Anil Bamboli

A. Cumulative performance

Jun 30, 14 Last 1 Year 12.3395 12.52 8.78 9.95 11,252 10,878 10,995Jun 28, 13 Last 2 Years 11.4865 9.92 14.69 19.63 12,088 13,163 14,324Jan 01, 13 Since Inception 10.8807 10.27 12.00 14.65 12,761 13,264 14,063

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 12.52 8.78 9.95Jun 28, 13 to Jun 30, 14 7.38 20.88 30.09

HDFC DYNAMIC PE RATIO FUND OF FUNDS NAV as at June 30, 2015 ` 13.8844

Intouchmutually June 2015 71

MITEN LATHIA

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree. Returns greater than 1 year period are compounded annualized (CAGR). # CNX 500 Index ## CNX Nifty IndexThe Scheme is co-mmanaged by Chirag Setalvad & Miten Lathia

A. Cumulative performance

Jun 30, 14 Last 1 Year 169.604 18.65 11.71 9.95 11,865 11,171 10,995Jun 28, 13 Last 2 Years 113.632 32.97 23.58 19.63 17,710 15,290 14,324Jan 01, 13 Since Inception 117.724 23.99 15.78 14.65 17,094 14,411 14,063

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 18.65 11.71 9.95Jun 28, 13 to Jun 30, 14 48.93 36.64 30.09

HDFC CAPITAL BUILDER FUND NAV as at June 30, 2015 ` 201.239

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CNX Midcap Index ## CNX Nifty Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 29.453 27.84 17.24 9.95 12,784 11,724 10,995Jun 28, 13 Last 2 Years 17.223 47.70 33.01 19.63 21,863 17,719 14,324Jan 01, 13 Since Inception 18.799 32.13 18.05 14.65 20,030 15,123 14,063

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 27.84 17.24 9.95Jun 28, 13 to Jun 30, 14 70.51 50.79 30.09

HDFC MID-CCAP OPPORTUNITIES FUND NAV as at June 30, 2015 ` 37.654

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CNX Smallcap Index ## CNX Nifty Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 21.278 21.70 -1.21 9.95 12,170 9,879 10,995Jun 28, 13 Last 2 Years 15.060 31.03 35.22 19.63 17,195 18,315 14,324Jan 01, 13 Since Inception 15.909 21.58 14.84 14.65 16,278 14,120 14,063

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 21.70 -1.21 9.95Jun 28, 13 to Jun 30, 14 41.02 84.78 30.09

HDFC SMALL AND MID CAP FUND NAV as at June 30, 2015 ` 25.896

CHIRAG SETALVAD

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree. Returns greater than 1 year period are compounded annualized (CAGR). # CNX 500 Index ## CNX Nifty IndexThe Scheme is co-mmanaged by Chirag Setalvad & Miten Lathia

A. Cumulative performance

Jun 30, 14 Last 1 Year 169.604 18.65 11.71 9.95 11,865 11,171 10,995Jun 28, 13 Last 2 Years 113.632 32.97 23.58 19.63 17,710 15,290 14,324Jan 01, 13 Since Inception 117.724 23.99 15.78 14.65 17,094 14,411 14,063

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 18.65 11.71 9.95Jun 28, 13 to Jun 30, 14 48.93 36.64 30.09

HDFC CAPITAL BUILDER FUND NAV as at June 30, 2015 ` 201.239

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SCHEME PERFORMANCE - DIRECT PLAN - GROWTH OPTION (FUND MANAGER-WISE) CHIRAG SETALVAD...CONTINUED

Performance of dividend option under the schemes for the investors would be net of distribution tax as applicable. Load is not taken into consideration for computation of performance.@ shows the current value of ` 10,000/- invested at the beginning of a given period

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). #S&P BSE SENSEX ## CNX Nifty Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 214.570 11.59 9.31 9.95 11,159 10,931 10,995Jun 28, 13 Last 2 Years 143.604 29.04 19.62 19.63 16,674 14,323 14,324Jan 01, 13 Since Inception 148.176 21.23 15.06 14.65 16,159 14,188 14,063

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 11.59 9.31 9.95Jun 28, 13 to Jun 30, 14 49.09 30.83 30.09

HDFC LONG TERM ADVANTAGE FUND NAV as at June 30, 2015 ` 239.440

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL MIP Blended Index ## CRISIL 1 year T-Bill IndexScheme performance may not strictly be comparable with that of its Additional Benchmark in view of hybrid nature of the scheme where a portion of scheme's investments are made in equity instruments. The Scheme is co-mmanaged by Chirag Setalvad (Equities) and Anil Bamboli (Debt).

A. Cumulative performance

Jun 30, 14 Last 1 Year 23.2781 8.21 11.05 8.54 10,821 11,105 10,854Jun 28, 13 Last 2 Years 19.1911 14.52 9.63 7.21 13,125 12,025 11,498Jan 01, 13 Since Inception 19.1492 11.62 9.54 7.44 13,154 12,552 11,958

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.21 11.05 8.54Jun 28, 13 to Jun 30, 14 21.17 8.24 5.8

HDFC MULTIPLE YIELD FUND - PLAN 2005 NAV as at June 30, 2015 ` 25.1891

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL MIP Blended Index ## CRISIL 10 year Gilt IndexScheme performance may not strictly be comparable with that of its Additional Benchmark in view of hybrid nature of the scheme where a portion of scheme's investments are made in equity instruments.

A. Cumulative performance

Jun 30, 14 Last 1 Year 32.0181 12.43 11.05 11.76 11,243 11,105 11,176Jun 28, 13 Last 2 Years 26.9340 15.56 9.63 4.39 13,365 12,025 10,900Jan 01, 13 Since Inception 26.4861 13.10 9.54 6.12 13,591 12,552 11,596

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 12.43 11.05 11.76Jun 28, 13 to Jun 30, 14 18.76 8.24 -2.46

HDFC CHILDREN’S GIFT FUND - SAVINGS PLAN NAV as at June 30, 2015 ` 35.9969

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Balanced Fund Index ## CNX Nifty IndexScheme performance may not strictly be comparable with that of its Additional Benchmark in view of balanced nature of the scheme where a portion of scheme's investments are made in debt instruments

A. Cumulative performance

Jun 30, 14 Last 1 Year 71.831 18.02 8.78 9.95 11,802 10,878 10,995Jun 28, 13 Last 2 Years 49.729 30.47 14.69 19.63 17,048 13,163 14,324Jan 01, 13 Since Inception 50.852 22.75 12.00 14.65 16,671 13,264 14,063

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 18.02 8.78 9.95Jun 28, 13 to Jun 30, 14 44.16 20.88 30.09

HDFC CHILDREN’S GIFT FUND - INVESTMENT PLAN NAV as at June 30, 2015 ` 84.777

Intouchmutually72 June 2015

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Balanced Fund Index ## CNX Nifty IndexScheme performance may not strictly be comparable with that of its Additional Benchmark in view of balanced nature of the scheme where a portion of scheme's investments are made in debt instruments

A. Cumulative performance

Jun 30, 14 Last 1 Year 91.486 19.05 8.78 9.95 11,905 10,878 10,995Jun 28, 13 Last 2 Years 60.825 33.71 14.69 19.63 17,907 13,163 14,324Jan 01, 13 Since Inception 64.365 23.49 12.00 14.65 16,922 13,264 14,063

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 19.05 8.78 9.95Jun 28, 13 to Jun 30, 14 50.07 20.88 30.09

HDFC BALANCED FUND NAV as at June 30, 2015 ` 108.918

Page 73: Vol. No. 12 Issue No. 12 June 2015 - hdfcfund.com · Vol. No. 12 Issue No. 12 June 2015. 2 June 2015 Intouchmutually PAGE NO. MARKET REVIEW 3 EDITORIAL 4 FEATURES OF OUR SELECT SCHEMES

SCHEME PERFORMANCE - DIRECT PLAN - GROWTH OPTION (FUND MANAGER-WISE)

Performance of dividend option under the schemes for the investors would be net of distribution tax as applicable. Load is not taken into consideration for computation of performance.@ shows the current value of ` 10,000/- invested at the beginning of a given period

SHOBHIT MEHROTRA

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL MIP Blended Index ## CRISIL 10 year Gilt IndexScheme performance may not strictly be comparable with that of its Additional Benchmark in view of hybrid nature of the scheme where a portion of scheme's investments are made in equity instruments.

The Scheme is co-mmanaged by Vinay Kulkarni (Equities) and Shobhit Mehrotra (Debt).

Jun 30, 14 Last 1 Year 23.2115 7.28 11.05 11.76 10,728 11,105 11,176Jun 28, 13 Last 2 Years 19.8127 12.08 9.63 4.39 12,569 12,025 10,900Jan 01, 13 Since Inception 19.5587 10.17 9.54 6.12 12,732 12,552 11,596

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 7.28 11.05 11.76Jun 28, 13 to Jun 30, 14 17.05 8.24 -2.46

HDFC MF MIP SHORT TERM PLAN NAV as at June 30, 2015 ` 24.9024

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`) # Benchmark(%)## (`) ##

^Past performance may or may not be sustained in the future. Returns greater than 1 year period are compounded annualized (CAGR). # S&P BSE 100 ## S&P BSE SENSEX

Jun 30, 14 Last 1 Year 14.464 8.25 9.32 9.31 10,825 10,932 10,931Jun 28, 13 Last 2 Years 10.151 24.12 20.72 19.62 15,425 14,587 14,323Mar 22, 13 Since Inception 10.000 21.80 19.53 18.91 15,658 15,003 14,828

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.25 9.32 9.31Jun 28, 13 to Jun 30, 14 42.21 33.23 30.83

HDFC RAJIV GANDHI EQUITY SAVINGS SCHEME - SERIES I - FEBRUARY 2013 NAV as at June 30, 2015 ` 15.658A. Cumulative performance

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`) # Benchmark(%)## (`) ##

^Past performance may or may not be sustained in the future. Returns greater than 1 year period are compounded annualized (CAGR). # S&P BSE 100 ## S&P BSE SENSEX

Jun 30, 14 Last 1 Year 12.771 8.87 9.32 9.31 10,887 10,932 10,931Mar 14, 14 Since Inception 10.000 28.96 23.08 20.53 13,904 13,087 12,738

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.87 9.32 9.31

HDFC RAJIV GANDHI EQUITY SAVINGS SCHEME - SERIES II NAV as at June 30, 2015 ` 13.904A. Cumulative performance

A. Cumulative performance

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`) # Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CNX 500 Index ## CNX Nifty IndexThe Scheme is co-mmanaged by Prashant Jain and Srinivas Rao Ravuri.

A. Cumulative performance

Jun 30, 14 Last 1 Year 15.004 7.79 11.71 9.95 10,779 11,171 10,995Jun 28, 13 Last 2 Years 8.694 36.28 23.58 19.63 18,602 15,290 14,324Jan 01, 13 Since Inception 11.152 16.08 15.78 14.65 14,502 14,411 14,063

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 7.79 11.71 9.95Jun 28, 13 to Jun 30, 14 72.07 36.64 30.09

HDFC INFRASTRUCTURE FUND NAV as at June 30, 2015 ` 16.173

Intouchmutually June 2015 73

SRINIVAS RAO RAVURI

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # S&P BSE SENSEX ## CNX Nifty Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 121.967 9.59 9.31 9.95 10,959 10,931 10,995Jun 28, 13 Last 2 Years 85.841 24.71 19.62 19.63 15,571 14,323 14,324Jan 01, 13 Since Inception 94.763 14.79 15.06 14.65 14,105 14,188 14,063

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.59 9.31 9.95Jun 28, 13 to Jun 30, 14 41.81 30.83 30.09

HDFC GROWTH FUND NAV as at June 30, 2015 ` 133.666

Page 74: Vol. No. 12 Issue No. 12 June 2015 - hdfcfund.com · Vol. No. 12 Issue No. 12 June 2015. 2 June 2015 Intouchmutually PAGE NO. MARKET REVIEW 3 EDITORIAL 4 FEATURES OF OUR SELECT SCHEMES

Performance of dividend option under the schemes for the investors would be net of distribution tax as applicable. Load is not taken into consideration for computation of performance. N.A.: Not Available@ shows the current value of ` 10,000/- invested at the beginning of a given period

SCHEME PERFORMANCE - DIRECT PLAN - GROWTH OPTION (FUND MANAGER-WISE)

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Liquid Fund Index ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 22.8501 8.16 8.77 8.54 10,816 10,877 10,854Jun 28, 13 Last 2 Years 20.9868 8.49 9.20 7.21 11,776 11,930 11,498Jan 01, 13 Since Inception 20.0689 8.71 9.04 7.44 12,315 12,408 11,958

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.16 8.77 8.54Jun 28, 13 to Jun 30, 14 8.83 9.63 5.89

HDFC FLOATING RATE INCOME FUND - LTP NAV as at June 30, 2015 ` 24.7142

SHOBHIT MEHROTRA...CONTINUED

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Liquid Fund Index ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 22.4267 9.27 8.77 8.54 10,927 10,877 10,854Jun 28, 13 Last 2 Years 20.4712 9.38 9.20 7.21 11,970 11,930 11,498Jan 01, 13 Since Inception 19.6301 9.30 9.04 7.44 12,483 12,408 11,958

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.27 8.77 8.54Jun 28, 13 to Jun 30, 14 9.50 9.63 5.89

HDFC FLOATING RATE INCOME FUND - STP - WHOLESALE OPTION NAV as at June 30, 2015 ` 24.5048

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^Past performance may or may not be sustained in the future. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index ## CRISIL 1 year T-Bill Index

Jun 30, 14 Last 1 Year 25.7325 9.55 9.56 8.54 10,955 10,956 10,854Jun 28, 13 Last 2 Years 23.7268 8.98 9.16 7.21 11,882 11,921 11,498Jan 01, 13 Since Inception 22.6787 9.12 9.21 7.44 12,431 12,456 11,958

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.55 9.56 8.54Jun 28, 13 to Jun 30, 14 8.41 8.76 5.89

HDFC HIGH INTEREST FUND - STP NAV as at June 30, 2015 ` 28.1912A. Cumulative performance

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Composite Bond Fund Index ## CRISIL 10 year Gilt Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 28.9252 11.69 11.10 11.76 11,169 11,110 11,176Jun 28, 13 Last 2 Years 28.0322 7.33 7.78 4.39 11,525 11,621 10,900Jan 01, 13 Since Inception 26.4718 8.32 8.49 6.12 12,204 12,253 11,596

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 11.69 11.10 11.76Jun 28, 13 to Jun 30, 14 3.17 4.57 -2.46

HDFC INCOME FUND NAV as at June 30, 2015 ` 32.3068

Intouchmutually74 June 2015

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL MIP Blended Index ## CRISIL 10 year Gilt IndexScheme performance may not strictly be comparable with that of its Additional Benchmark in view of hybrid nature of the scheme where a portion of scheme's investments are made in equity instruments.

The Scheme is co-mmanaged by Prashant Jain (Equities) and Shobhit Mehrotra (Debt).

A. Cumulative performance

Jun 30, 14 Last 1 Year 31.7772 9.85 11.05 11.76 10,985 11,105 11,176Jun 28, 13 Last 2 Years 26.7598 14.17 9.63 4.39 13,045 12,025 10,900Jan 01, 13 Since Inception 26.4746 11.73 9.54 6.12 13,185 12,552 11,596

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.85 11.05 11.76Jun 28, 13 to Jun 30, 14 18.64 8.24 -2.46

HDFC MF MIP LONG TERM PLAN NAV as at June 30, 2015 ` 34.9079

Page 75: Vol. No. 12 Issue No. 12 June 2015 - hdfcfund.com · Vol. No. 12 Issue No. 12 June 2015. 2 June 2015 Intouchmutually PAGE NO. MARKET REVIEW 3 EDITORIAL 4 FEATURES OF OUR SELECT SCHEMES

SCHEME PERFORMANCE - DIRECT PLAN - GROWTH OPTION (FUND MANAGER-WISE)

Performance of dividend option under the schemes for the investors would be net of distribution tax as applicable. Load is not taken into consideration for computation of performance. N.A.: Not Available@ shows the current value of ` 10,000/- invested at the beginning of a given periodPerformance of FMP schemes, being close-ended in nature, is not strictly comparable with that of open-ended schemes since the investment strategy for FMP schemes is primarily buy-and-hold whereas open-ended schemes are actively managed.

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.7988 9.96 9.56 8.54 10,996 10,956 10,854Sep 19, 13 Since Inception 10.0000 10.14 9.85 8.53 11,874 11,818 11,567

HDFC FMP 370D SEPTEMBER 2013 (4) NAV as at June 30, 2015 ` 11.8744

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.96 9.56 8.54

SHOBHIT MEHROTRA...CONTINUED

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.7037 9.73 9.56 8.54 10,973 10,956 10,854Oct 04, 13 Since Inception 10.0000 9.70 9.78 8.37 11,745 11,760 11,498

HDFC FMP 370D OCTOBER 2013 (1) NAV as at June 30, 2015 ` 11.7447

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.73 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Composite Bond Fund Index. ## CRISIL 10 year Gilt Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 14.1111 9.86 11.10 11.76 10,986 11,110 11,176Jun 28, 13 Last 2 Years 13.0520 8.96 7.78 4.39 11,878 11,621 10,900Jan 01, 13 Since Inception 12.4504 9.19 8.49 6.12 12,451 12,253 11,596

HDFC MEDIUM TERM OPPORTUNITIES FUND NAV as at June 30, 2015 ` 15.5026

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.86 11.10 11.76Jun 28, 13 to Jun 30, 14 8.07 4.57 -2.46

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 10 year Gilt Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.3481 11.52 9.56 11.76 11,152 10,956 11,176Mar 25, 14 Since Inception 10.0000 11.98 9.77 11.37 11,540 11,252 11,460

HDFC CORPORATE DEBT OPPORTUNITIES FUND NAV as at June 30, 2015 ` 11.5399

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 11.52 9.56 11.76

Intouchmutually June 2015 75

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Liquid Fund Index ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 23, 15 Last 7 days 28.1543 0.16 0.15 0.15 10,016 10,015 10,015Jun 15, 15 Last 15 days 28.1046 0.33 0.33 0.33 10,033 10,033 10,033May 31, 15 Last 1 Month 28.0104 0.67 0.66 0.62 10,067 10,066 10,062Jun 30, 14 Last 1 Year 25.8981 8.88 8.77 8.54 10,888 10,877 10,854Jun 28, 13 Last 2 Years 23.6268 9.22 9.20 7.21 11,935 11,930 11,498Dec 31, 12 Since Inception 22.6510 9.17 9.04 7.45 12,449 12,410 11,963

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.88 8.77 8.54

Jun 28, 13 to Jun 30, 14 9.56 9.63 5.89

HDFC LIQUID FUND NAV as at June 30, 2015 ` 28.1985

Page 76: Vol. No. 12 Issue No. 12 June 2015 - hdfcfund.com · Vol. No. 12 Issue No. 12 June 2015. 2 June 2015 Intouchmutually PAGE NO. MARKET REVIEW 3 EDITORIAL 4 FEATURES OF OUR SELECT SCHEMES

SCHEME PERFORMANCE - DIRECT PLAN - GROWTH OPTION (FUND MANAGER-WISE) SHOBHIT MEHROTRA...CONTINUED

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.5495 8.56 9.56 8.54 10,856 10,956 10,854Nov 27, 13 Since Inception 10.0000 8.91 9.82 8.46 11,452 11,606 11,377

HDFC FMP 370D NOVEMBER 2013 (1) NAV as at June 30, 2015 ` 11.4521

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.56 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.5960 8.77 9.56 8.54 10,877 10,956 10,854Oct 31, 13 Since Inception 10.0000 8.91 9.67 8.32 11,525 11,659 11,421

HDFC FMP 370D OCTOBER 2013 (5) NAV as at June 30, 2015 ` 11.5253

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.77 9.56 8.54

Performance of dividend option under the schemes for the investors would be net of distribution tax as applicable. Load is not taken into consideration for computation of performance. N.A.: Not Available@ shows the current value of ` 10,000/- invested at the beginning of a given periodPerformance of FMP schemes, being close-ended in nature, is not strictly comparable with that of open-ended schemes since the investment strategy for FMP schemes is primarily buy-and-hold whereas open-ended schemes are actively managed.

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.6124 9.25 9.56 8.54 10,925 10,956 10,854Oct 25, 13 Since Inception 10.0000 9.21 9.69 8.31 11,594 11,681 11,435

HDFC FMP 370D OCTOBER 2013 (4) NAV as at June 30, 2015 ` 11.5939

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.25 9.56 8.54

Intouchmutually76 June 2015

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.6455 9.29 9.56 8.54 10,929 10,956 10,854Oct 09, 13 Since Inception 10.0000 9.18 9.60 8.22 11,635 11,712 11,459

HDFC FMP 370D OCTOBER 2013 (2) NAV as at June 30, 2015 ` 11.6348

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 To Jun 30, 15 9.29 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.6281 9.29 9.56 8.54 10,929 10,956 10,854Oct 23, 13 Since Inception 10.0000 9.29 9.69 8.31 11,615 11,686 11,440

HDFC FMP 370D OCTOBER 2013 (3) NAV as at June 30, 2015 ` 11.6150

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.29 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.5907 8.53 9.56 8.54 10,853 10,956 10,854Nov 06, 13 Since Inception 10.0000 8.83 9.70 8.33 11,494 11,647 11,408

HDFC FMP 371D NOVEMBER 2013 (1) NAV as at June 30, 2015 ` 11.4942

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.53 9.56 8.54

Page 77: Vol. No. 12 Issue No. 12 June 2015 - hdfcfund.com · Vol. No. 12 Issue No. 12 June 2015. 2 June 2015 Intouchmutually PAGE NO. MARKET REVIEW 3 EDITORIAL 4 FEATURES OF OUR SELECT SCHEMES

SCHEME PERFORMANCE - DIRECT PLAN - GROWTH OPTION (FUND MANAGER-WISE) SHOBHIT MEHROTRA...CONTINUED

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.6006 8.50 9.56 8.54 10,850 10,956 10,854Nov 28, 13 Since Inception 10.0000 9.22 9.82 8.46 11,501 11,602 11,375

HDFC FMP 538D NOVEMBER 2013 (1) NAV as at June 30, 2015 ` 11.5013

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 To Jun 30, 15 8.50 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.5700 8.45 9.56 8.54 10,845 10,956 10,854Dec 10, 13 Since Inception 10.0000 9.19 9.86 8.44 11,463 11,572 11,341

HDFC FMP 540D DECEMBER 2013 (1) NAV as at June 30, 2015 ` 11.4631

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.45 9.56 8.54

Performance of dividend option under the schemes for the investors would be net of distribution tax as applicable. Load is not taken into consideration for computation of performance. N.A.: Not Available@ shows the current value of ` 10,000/- invested at the beginning of a given periodPerformance of FMP schemes, being close-ended in nature, is not strictly comparable with that of open-ended schemes since the investment strategy for FMP schemes is primarily buy-and-hold whereas open-ended schemes are actively managed.

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.6531 9.14 9.56 8.54 10,914 10,956 10,854Oct 15, 13 Since Inception 10.0000 9.23 9.71 8.37 11,627 11,714 11,470

HDFC FMP 372D OCTOBER 2013 (1) NAV as at June 30, 2015 ` 11.6266

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.14 9.56 8.54

Intouchmutually June 2015 77

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.5782 8.72 9.56 8.54 10,872 10,956 10,854Nov 13, 13 Since Inception 10.0000 8.97 9.89 8.49 11,500 11,658 11,418

HDFC FMP 371D NOVEMBER 2013 (2) NAV as at June 30, 2015 ` 11.5002

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.72 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.5298 8.76 9.56 8.54 10,876 10,956 10,854Dec 04, 13 Since Inception 10.0000 9.02 9.81 8.39 11,452 11,583 11,348

HDFC FMP 371D DECEMBER 2013 (1) NAV as at June 30, 2015 ` 11.4519

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.76 9.56 8.54

Page 78: Vol. No. 12 Issue No. 12 June 2015 - hdfcfund.com · Vol. No. 12 Issue No. 12 June 2015. 2 June 2015 Intouchmutually PAGE NO. MARKET REVIEW 3 EDITORIAL 4 FEATURES OF OUR SELECT SCHEMES

SCHEME PERFORMANCE - DIRECT PLAN - GROWTH OPTION (FUND MANAGER-WISE) SHOBHIT MEHROTRA...CONTINUED

Performance of dividend option under the schemes for the investors would be net of distribution tax as applicable. Load is not taken into consideration for computation of performance. N.A.: Not Available@ shows the current value of ` 10,000/- invested at the beginning of a given periodPerformance of FMP schemes, being close-ended in nature, is not strictly comparable with that of open-ended schemes since the investment strategy for FMP schemes is primarily buy-and-hold whereas open-ended schemes are actively managed.

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.6536 9.26 9.56 8.54 10,926 10,956 10,854Nov 21, 13 Since Inception 10.0000 9.92 9.88 8.49 11,640 11,632 11,398

HDFC FMP 923D NOVEMBER 2013 (1) NAV as at June 30, 2015 ` 11.6403

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.26 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.8366 9.17 9.56 8.54 10,917 10,956 10,854Sep 25, 13 Since Inception 10.0000 10.01 9.99 8.58 11,830 11,827 11,560

HDFC FMP 742D SEPTEMBER 2013 (1) NAV as at June 30, 2015 ` 11.8299

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.17 9.56 8.54

Intouchmutually78 June 2015

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.7227 9.09 9.56 8.54 10,909 10,956 10,854Oct 15, 13 Since Inception 10.0000 9.62 9.71 8.37 11,697 11,714 11,470

HDFC FMP 737D OCTOBER 2013 (1) NAV as at June 30, 2015 ` 11.6969

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.09 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.6971 8.54 9.56 8.54 10,854 10,956 10,854Oct 18, 13 Since Inception 10.0000 9.19 9.67 8.35 11,611 11,698 11,460

HDFC FMP 572D OCTOBER 2013 (1) NAV as at June 30, 2015 ` 11.6109

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.54 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.6618 8.18 9.56 8.54 10,818 10,956 10,854Nov 12, 13 Since Inception 10.0000 9.15 9.89 8.44 11,534 11,662 11,413

HDFC FMP 554D NOVEMBER 2013 (1) NAV as at June 30, 2015 ` 11.5338

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.18 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Composite Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.8708 9.73 11.10 8.54 10,973 11,110 10,854Jun 28, 13 Last 2 Years 9.9828 9.29 7.78 7.21 11,949 11,621 11,498May 23, 13 Since Inception 10.0000 8.74 6.76 7.08 11,929 11,475 11,548

HDFC FMP 1107D MAY 2013 (1) NAV as at June 30, 2015 ` 11.9288

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.73 11.10 8.54Jun 28, 13 To Jun 30, 14 8.84 4.57 5.89

Page 79: Vol. No. 12 Issue No. 12 June 2015 - hdfcfund.com · Vol. No. 12 Issue No. 12 June 2015. 2 June 2015 Intouchmutually PAGE NO. MARKET REVIEW 3 EDITORIAL 4 FEATURES OF OUR SELECT SCHEMES

SCHEME PERFORMANCE - DIRECT PLAN - GROWTH OPTION (FUND MANAGER-WISE)

Performance of dividend option under the schemes for the investors would be net of distribution tax as applicable. Load is not taken into consideration for computation of performance. N.A.: Not Available@ shows the current value of ` 10,000/- invested at the beginning of a given periodPerformance of FMP schemes, being close-ended in nature, is not strictly comparable with that of open-ended schemes since the investment strategy for FMP schemes is primarily buy-and-hold whereas open-ended schemes are actively managed.

Intouchmutually June 2015 79

SHOBHIT MEHROTRA...CONTINUED

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.2508 8.48 9.56 8.54 10,848 10,956 10,854Mar 27, 14 Since Inception 10.0000 8.79 9.78 8.57 11,120 11,248 11,092

HDFC FMP 377D MARCH 2014 (1) NAV as at June 30, 2015 ` 11.1204

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 To Jun 30, 15 8.48 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.2527 8.67 9.56 8.54 10,867 10,956 10,854Mar 26, 14 Since Inception 10.0000 8.94 9.78 8.57 11,142 11,251 11,095

HDFC FMP 366D MARCH 2014 (2) NAV as at June 30, 2015 ` 11.1418

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.67 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Composite Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 11.2302 10.74 11.10 8.54 11,074 11,110 10,854Jun 28, 13 Last 2 Years 10.4505 9.06 7.78 7.21 11,900 11,621 11,498Jan 08, 13 Since Inception 10.0000 9.21 8.35 7.39 12,436 12,194 11,928

HDFC FMP 1919D JANUARY 2013 (1) NAV as at June 30, 2015 ` 12.4359

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 10.74 11.10 8.54Jun 28, 13 to Jun 30, 14 7.42 4.57 5.89

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Composite Bond Fund Index. ## CRISIL 10 year Gilt Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.0686 -0.21 11.10 11.76 9,979 11,110 11,176Mar 26, 14 Since Inception 10.0000 0.37 12.06 11.35 10,047 11,547 11,454

HDFC FMP 3360D MARCH 2014 (1) NAV as at June 30, 2015 ` 10.0473

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 To Jun 30, 15 -0.21 11.10 11.76

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Composite Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 11.2401 9.26 11.10 8.54 10,926 11,110 10,854Jun 28, 13 Last 2 Years 10.3984 8.65 7.78 7.21 11,811 11,621 11,498Feb 13, 13 Since Inception 10.0000 9.04 8.40 7.35 12,281 12,111 11,834

HDFC FMP 1198D FEBRUARY 2013 (1) NAV as at June 30, 2015 ` 12.2811

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.26 11.10 8.54Jun 28, 13 to Jun 30, 14 8.05 4.57 5.89

Page 80: Vol. No. 12 Issue No. 12 June 2015 - hdfcfund.com · Vol. No. 12 Issue No. 12 June 2015. 2 June 2015 Intouchmutually PAGE NO. MARKET REVIEW 3 EDITORIAL 4 FEATURES OF OUR SELECT SCHEMES

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.0605 8.85 9.56 8.54 10,885 10,956 10,854Jun 03, 14 Since Inception 10.0000 8.83 9.45 8.42 10,951 11,019 10,907

HDFC FMP 366D MAY 2014 (2) NAV as at June 30, 2015 ` 10.9512

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.85 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.0525 8.79 9.56 8.54 10,879 10,956 10,854Jun 05, 14 Since Inception 10.0000 8.74 9.35 8.40 10,936 11,002 10,900

HDFC FMP 370D JUNE 2014 (1) NAV as at June 30, 2015 ` 10.9363

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.79 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.0160 9.90 9.56 8.54 10,990 10,956 10,854Jun 12, 14 Since Inception 10.0000 9.58 9.37 8.43 11,007 10,986 10,887

HDFC FMP 747D JUNE 2014 (1) NAV as at June 30, 2015 ` 11.0074

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.90 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.0393 8.80 9.56 8.54 10,880 10,956 10,854Jun 11, 14 Since Inception 10.0000 8.75 9.37 8.43 10,923 10,988 10,889

HDFC FMP 371D JUNE 2014 (1) NAV as at June 30, 2015 ` 10.9226

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.80 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.0272 8.95 9.56 8.54 10,895 10,956 10,854Jun 18, 14 Since Inception 10.0000 8.94 9.47 8.51 10,925 10,980 10,880

HDFC FMP 371D JUNE 2014 (2) NAV as at June 30, 2015 ` 10.9249

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.95 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.0119 8.93 9.56 8.54 10,893 10,956 10,854Jun 25, 14 Since Inception 10.0000 8.93 9.55 8.54 10,906 10,969 10,867

HDFC FMP 370D JUNE 2014 (2) NAV as at June 30, 2015 ` 10.9056

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.93 9.56 8.54

Performance of dividend option under the schemes for the investors would be net of distribution tax as applicable. Load is not taken into consideration for computation of performance. N.A.: Not Available@ shows the current value of ` 10,000/- invested at the beginning of a given periodPerformance of FMP schemes, being close-ended in nature, is not strictly comparable with that of open-ended schemes since the investment strategy for FMP schemes is primarily buy-and-hold whereas open-ended schemes are actively managed.

SCHEME PERFORMANCE - DIRECT PLAN - GROWTH OPTION (FUND MANAGER-WISE)

Intouchmutually80 June 2015

SHOBHIT MEHROTRA...CONTINUED

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Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL MIP Blended Index ## CRISIL 1 year T-Bill IndexScheme performance may not strictly be comparable with that of its Additional Benchmark in view of hybrid nature of the scheme where a portion of scheme's investments are made in equity instruments. The Scheme is co-mmanaged by Chirag Setalvad (Equities) and Anil Bamboli (Debt).

A. Cumulative performance

Jun 30, 14 Last 1 Year 23.2781 8.21 11.05 8.54 10,821 11,105 10,854Jun 28, 13 Last 2 Years 19.1911 14.52 9.63 7.21 13,125 12,025 11,498Jan 01, 13 Since Inception 19.1492 11.62 9.54 7.44 13,154 12,552 11,958

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.21 11.05 8.54

Jun 28, 13 to Jun 30, 14 21.17 8.24 5.89

HDFC MULTIPLE YIELD FUND - PLAN 2005 NAV as at June 30, 2015 ` 25.1891

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Balanced Fund Index ## CNX Nifty IndexScheme performance may not strictly be comparable with that of its Additional Benchmark in view of hybrid nature of the scheme where a portion of scheme's investments are made in equity instruments. The Scheme is co-mmanaged by Miten Lathia & Anil Bamboli

A. Cumulative performance

Jun 30, 14 Last 1 Year 12.3395 12.52 8.78 9.95 11,252 10,878 10,995Jun 28, 13 Last 2 Years 11.4865 9.92 14.69 19.63 12,088 13,163 14,324Jan 01, 13 Since Inception 10.8807 10.27 12.00 14.65 12,761 13,264 14,063

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 12.52 8.78 9.95Jun 28, 13 to Jun 30, 14 7.38 20.88 30.09

HDFC DYNAMIC PE RATIO FUND OF FUNDS NAV as at June 30, 2015 ` 13.8844

ANIL BAMBOLI

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL MIP Blended Index ## CRISIL 1 year T-Bill IndexScheme performance may not strictly be comparable with that of its Additional Benchmark in view of hybrid nature of the scheme where a portion of scheme's investments are made in equity instruments. The Scheme is co-mmanaged by Vinay Kulkarni (Equities) and Anil Bamboli (Debt).

A. Cumulative performance

Jun 30, 14 Last 1 Year 25.1739 5.03 11.05 8.54 10,503 11,105 10,854

Jun 28, 13 Last 2 Years 21.0536 12.03 9.63 7.21 12,559 12,025 11,498

Jan 01, 13 Since Inception 21.0517 9.57 9.54 7.44 12,560 12,552 11,958

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 5.03 11.05 8.54

Jun 28, 13 to Jun 30, 14 19.45 8.24 5.89

HDFC MULTIPLE YIELD FUND NAV as at June 30, 2015 ` 26.4414

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Liquid Fund Index ## CNX Nifty IndexScheme performance is not strictly comparable with that of its Additional Benchmark since the scheme does not take directional call in equity markets but is limited to availing arbitrage opportunities, etc.

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.200 8.08 8.77 9.95 10,808 10,877 10,995Apr 07, 14 Since Inception 10.000 8.25 8.88 19.89 11,024 11,103 12,500

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.08 8.77 9.95

HDFC ARBITRAGE FUND - WHOLESALE PLAN NAV as at June 30, 2015 ` 11.024

SCHEME PERFORMANCE - DIRECT PLAN - GROWTH OPTION (FUND MANAGER-WISE)

Intouchmutually June 2015 81

Performance of dividend option under the schemes for the investors would be net of distribution tax as applicable. Load is not taken into consideration for computation of performance. N.A.: Not Available@ shows the current value of ` 10,000/- invested at the beginning of a given periodPerformance of FMP schemes, being close-ended in nature, is not strictly comparable with that of open-ended schemes since the investment strategy for FMP schemes is primarily buy-and-hold whereas open-ended schemes are actively managed.

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL MIP Blended Index. ## CRISIL 1 year T-Bill IndexPerformance of close-ended Scheme is not strictly comparable with that of open-ended schemes since the investment strategy for close ended schemes is primarily buy and hold whereas open ended schemes are actively managed. The Scheme is co-mmanaged by Chirag Setalvad (Equities) and Anil Bamboli (Debt).

A. Cumulative performance

Jun 30, 14 Last 1 Year 11.3131 8.38 11.05 8.54 10,838 11,105 10,854Sep 06, 13 Since Inception 10.0000 11.89 13.14 8.54 12,261 12,509 11,602

HDFC CAPITAL PROTECTION ORIENTED FUND - SERIES I - 36M - AUGUST 2013 NAV as at June 30, 2015 ` 12.2610

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 To Jun 30, 15 8.38 11.05 8.54

Page 82: Vol. No. 12 Issue No. 12 June 2015 - hdfcfund.com · Vol. No. 12 Issue No. 12 June 2015. 2 June 2015 Intouchmutually PAGE NO. MARKET REVIEW 3 EDITORIAL 4 FEATURES OF OUR SELECT SCHEMES

ANIL BAMBOLI...CONTINUED

SCHEME PERFORMANCE - DIRECT PLAN - GROWTH OPTION (FUND MANAGER-WISE)

Performance of dividend option under the schemes for the investors would be net of distribution tax as applicable. Load is not taken into consideration for computation of performance. N.A.: Not Available@ shows the current value of ` 10,000/- invested at the beginning of a given period

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 25.1165 10.61 9.56 8.54 11,061 10,956 10,854Jun 28, 13 Last 2 Years 23.1640 9.49 9.16 7.21 11,993 11,921 11,498Jan 01, 13 Since Inception 22.1829 9.45 9.21 7.44 12,524 12,456 11,958

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 10.61 9.56 8.54Jun 28, 13 to Jun 30, 14 8.38 8.76 5.89

HDFC SHORT TERM PLAN NAV as at June 30, 2015 ` 27.7811

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # I-Sec Li-Bex ## CRISIL 10 year Gilt Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 24.8109 14.06 13.34 11.76 11,406 11,334 11,176Jun 28, 13 Last 2 Years 24.5221 7.40 7.35 4.39 11,540 11,528 10,900Jan 01, 13 Since Inception 22.9789 8.71 8.85 6.12 12,315 12,355 11,596

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 14.06 13.34 11.76Jun 28, 13 to Jun 30, 14 1.17 1.70 -2.46

HDFC GILT FUND - LONG TERM PLAN NAV as at June 30, 2015 ` 28.2991

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # I-Sec Si-Bex ## CRISIL 1 year T-Bill Index

Jun 30, 14 Last 1 Year 21.2303 9.37 9.16 8.54 10,937 10,916 10,854Jun 28, 13 Last 2 Years 20.1427 7.34 7.97 7.21 11,527 11,663 11,498Jan 01, 13 Since Inception 19.0767 8.20 8.35 7.44 12,171 12,212 11,958

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.37 9.16 8.54Jun 28, 13 to Jun 30, 14 5.37 6.80 5.89

HDFC GILT FUND - SHORT TERM PLAN NAV as at June 30, 2015 ` 23.2187A. Cumulative performance

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.78 9.56 8.54Jun 28, 13 to Jun 30, 14 8.98 8.76 5.89

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short-Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 14.1967 9.78 9.56 8.54 10,978 10,956 10,854Jun 28, 13 Last 2 Years 13.0210 9.38 9.16 7.21 11,969 11,921 11,498Jan 01, 13 Since Inception 12.4477 9.44 9.21 7.44 12,521 12,456 11,958

HDFC SHORT TERM OPPORTUNITIES FUND NAV as at June 30, 2015 ` 15.5854

Intouchmutually82 June 2015

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Composite Bond Fund Index ## CRISIL 10 year Gilt Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 43.3681 12.13 11.10 11.76 11,213 11,110 11,176Jun 28, 13 Last 2 Years 40.9705 8.92 7.78 4.39 11,869 11,621 10,900Jan 01, 13 Since Inception 38.4715 9.85 8.49 6.12 12,640 12,253 11,596

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 12.13 11.10 11.76Jun 28, 13 to Jun 30, 14 5.82 4.57 -2.46

HDFC HIGH INTEREST FUND - DYNAMIC PLAN NAV as at June 30, 2015 ` 48.6279

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SCHEME PERFORMANCE - DIRECT PLAN - GROWTH OPTION (FUND MANAGER-WISE)

Performance of dividend option under the schemes for the investors would be net of distribution tax as applicable. Load is not taken into consideration for computation of performance. N.A.: Not Available@ shows the current value of ` 10,000/- invested at the beginning of a given period

ANIL BAMBOLI...CONTINUED

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # I-Sec Composite Index ## CRISIL 10 year Gilt Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.7971 1.30 11.70 11.76 10,130 11,170 11,176Jun 28, 13 Last 2 Years 10.5821 1.66 7.82 4.39 10,336 11,629 10,900Mar 04, 13 Since Inception 10.0000 3.93 8.53 5.64 10,937 12,094 11,359

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 1.30 11.70 11.76Jun 28, 13 to Jun 30, 14 2.02 4.09 -2.46

HDFC INFLATION INDEXED BOND FUND NAV as at June 30, 2015 ` 10.9373

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Liquid Fund Index ## CRISIL 1 year T-Bill Index

Jun 30, 14 Last 1 Year 28.0832 8.92 8.77 8.54 10,892 10,877 10,854Jun 28, 13 Last 2 Years 25.7201 9.03 9.20 7.21 11,893 11,930 11,498Jan 01, 13 Since Inception 24.6535 9.04 9.04 7.44 12,407 12,408 11,958

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.92 8.77 8.54Jun 28, 13 to Jun 30, 14 9.14 9.63 5.89

HDFC CASH MANAGEMENT FUND - TREASURY ADVANTAGE PLAN - RETAIL OPTIONNAV as at June 30, 2015 ` 30.5878A. Cumulative performance

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Liquid Fund Index ## CRISIL 1 year T-Bill Index

Jun 23, 15 Last 7 days 22.3924 0.13 0.15 0.15 10,013 10,015 10,015Jun 15, 15 Last 15 days 22.3584 0.28 0.33 0.33 10,028 10,033 10,033May 31, 15 Last 1 Month 22.2954 0.57 0.66 0.62 10,057 10,066 10,062Jun 30, 14 Last 1 Year 20.7763 7.92 8.77 8.54 10,792 10,877 10,854Jun 28, 13 Last 2 Years 19.1295 8.24 9.20 7.21 11,721 11,930 11,498Dec 31, 12 Since Inception 18.4446 8.14 9.04 7.45 12,156 12410 11963

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 7.92 8.77 8.54Jun 28, 13 to Jun 30, 14 8.56 9.63 5.89

HDFC CASH MANAGEMENT FUND - CALL PLAN NAV as at June 30, 2015 ` 22.4219A. Cumulative performance

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Liquid Fund Index ## CRISIL 1 year T-Bill Index

Jun 23, 15 Last 7 days 29.7923 0.16 0.15 0.15 10,016 10,015 10,015Jun 15, 15 Last 15 days 29.7401 0.33 0.33 0.33 10,033 10,033 10,033May 31, 15 Last 1 Month 29.6400 0.67 0.66 0.62 10,067 10,066 10,062Jun 30, 14 Last 1 Year 27.4057 8.88 8.77 8.54 10,888 10,877 10,854Jun 28, 13 Last 2 Years 25.0257 9.17 9.20 7.21 11,924 11,930 11,498Dec 31, 12 Since Inception 23.9920 9.13 9.04 7.45 12,437 12,410 11,963

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.88 8.77 8.54Jun 28, 13 to Jun 30, 14 9.46 9.63 5.89

HDFC CASH MANAGEMENT FUND - SAVINGS PLAN NAV as at June 30, 2015 ` 29.8396A. Cumulative performance

Intouchmutually June 2015 83

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.2518 9.79 9.56 8.54 10,979 10,956 10,854Mar 26, 14 Since Inception 10.0000 9.81 9.78 8.57 11,255 11,251 11,095

HDFC BANKING AND PSU DEBT FUND NAV as at June 30, 2015 ` 11.255

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.79 9.56 8.54

Page 84: Vol. No. 12 Issue No. 12 June 2015 - hdfcfund.com · Vol. No. 12 Issue No. 12 June 2015. 2 June 2015 Intouchmutually PAGE NO. MARKET REVIEW 3 EDITORIAL 4 FEATURES OF OUR SELECT SCHEMES

SCHEME PERFORMANCE - DIRECT PLAN - GROWTH OPTION (FUND MANAGER-WISE) ANIL BAMBOLI...CONTINUED

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill IndexScheme performance may not strictly be comparable with that of its Additional Benchmark as the Scheme can invest only in instruments having maturity upto the opening of the immediately following specified transaction period, which is at annual intervals.

A. Cumulative performance

Jun 30, 14 Last 1 Year 11.2983 9.14 9.56 8.54 10,914 10,956 10,854Jun 28, 13 Last 2 Years 10.3496 9.13 9.16 7.21 11,914 11,921 11,498Mar 06, 13 Since Inception 10.0000 9.46 9.34 7.37 12,331 12,298 11,792

HDFC ANNUAL INTERVAL FUND - SERIES I - PLAN A NAV as at June 30, 2015 ` 12.3308

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.14 9.56 8.54Jun 28, 13 to Jun 30, 14 9.11 8.76 5.89

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill IndexScheme performance may not strictly be comparable with that of its Additional Benchmark as the Scheme can invest only in instruments having maturity upto the opening of the immediately following specified transaction period, which is at annual intervals.

A. Cumulative performance

Jun 30, 14 Last 1 Year 11.2347 9.13 9.56 8.54 10,913 10,956 10,854Jun 28, 13 Last 2 Years 10.3069 9.04 9.16 7.21 11,895 11,921 11,498Mar 14, 13 Since Inception 10.0000 9.28 9.29 7.36 12,260 12,262 11,771

HDFC ANNUAL INTERVAL FUND - SERIES I - PLAN B NAV as at June 30, 2015 ` 12.2601

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.13 9.56 8.54Jun 28, 13 to Jun 30, 14 8.95 8.76 5.89

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Liquid Fund Index ## CRISIL 1 year T-Bill IndexScheme performance may not strictly be comparable with that of its Additional Benchmark as the Scheme can invest only in instruments having maturity upto the opening of the immediately following specified transaction period, which is at quarterly intervals.

Jun 30, 14 Last 1 Year 18.3320 8.83 8.77 8.54 10,883 10,877 10,854Jun 28, 13 Last 2 Years 16.7199 9.21 9.20 7.21 11,932 11,930 11,498Mar 18, 13 Since Inception 16.3297 9.16 9.12 7.36 12,217 12,206 11,762

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.83 8.77 8.54Jun 28, 13 to Jun 30, 14 9.59 9.63 5.89

HDFC QUARTERLY INTERVAL FUND - PLAN A - RETAIL PLAN NAV as at June 30, 2015 ` 19.9499A. Cumulative performance

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`) ##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Liquid Fund Index ## CRISIL 1 year T-Bill IndexScheme performance may not strictly be comparable with that of its Additional Benchmark as the Scheme can invest only in instruments having maturity upto the opening of the immediately following specified transaction period, which is at quarterly intervals.

A. Cumulative performance

Jun 30, 14 Last 1 Year 17.8985 8.88 8.77 8.54 10,888 10,877 10,854Jun 28, 13 Last 2 Years 16.2676 9.42 9.20 7.21 11,979 11,930 11,498Feb 05, 13 Since Inception 15.7379 9.32 9.09 7.34 12,383 12,318 11,851

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.88 8.77 8.54Jun 28, 13 to Jun 30, 14 9.97 9.63 5.89

HDFC QUARTERLY INTERVAL FUND - PLAN C - RETAIL PLAN NAV as at June 30, 2015 ` 19.4875

Performance of dividend option under the schemes for the investors would be net of distribution tax as applicable. Load is not taken into consideration for computation of performance. N.A.: Not Available@ shows the current value of ` 10,000/- invested at the beginning of a given period

Period Scheme Benchmark^ #

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 -6.47 -4.58Jun 28, 13 to Jun 30, 14 8.24 10.98

Date Period NAV Scheme Benchmark Value of investment of ` 10,000@ per Unit Returns Returns Scheme Benchmark

(`) (%)^ (%)# (`) (`)#

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # Domestic Price of Physical Gold

A. Cumulative performance

Jun 30, 14 Last 1 Year 9.7740 -6.47 -4.58 9,353 9,542Jun 28, 13 Last 2 Years 9.0262 0.64 2.93 10,128 10,596Jan 01, 13 Since Inception 11.0586 -7.35 -5.33 8,267 8,723

HDFC GOLD FUND NAV as at June 30, 2015 ` 9.1417

Intouchmutually84 June 2015

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SCHEME PERFORMANCE - DIRECT PLAN - GROWTH OPTION (FUND MANAGER-WISE) ANIL BAMBOLI...CONTINUED

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL MIP Blended Index ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.9919 8.39 11.05 8.54 10,839 11,105 10,854Oct 08, 13 Since Inception 10.0000 10.68 12.42 8.22 11,914 12,240 11,461

HDFC CPO - I - 36M SEPTEMBER 2013 NAV as at June 30, 2015 ` 11.9139

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.39 11.05 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL MIP Blended Index ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.9060 8.61 11.05 8.54 10,861 11,105 10,854Nov 08, 13 Since Inception 10.0000 10.87 13.10 8.37 11,845 12,239 11,410

HDFC CPO - I - 36M OCTOBER 2013 NAV as at June 30, 2015 ` 11.8452

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.61 11.05 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL MIP Blended Index ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.7801 7.96 11.05 8.54 10,796 11,105 10,854Jan 29, 14 Since Inception 10.0000 11.31 13.85 8.58 11,639 12,017 11,237

HDFC CPO - II - 36M JANUARY 2014 NAV as at June 30, 2015 ` 11.6387

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 7.96 11.05 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL MIP Blended Index ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.6084 7.42 11.05 8.54 10,742 11,105 10,854Mar 06, 14 Since Inception 10.0000 10.42 14.01 8.68 11,396 11,886 11,160

HDFC CPO - II - 36M FEBRUARY 2014 NAV as at June 30, 2015 ` 11.3958

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 7.42 11.05 8.54

Performance of dividend option under the schemes for the investors would be net of distribution tax as applicable. Load is not taken into consideration for computation of performance. N.A.: Not Available@ shows the current value of ` 10,000/- invested at the beginning of a given periodPerformance of close-ended Scheme is not strictly comparable with that of open-ended schemes since the investment strategy for close ended schemes is primarily buy and hold whereas open ended schemes are actively managed. The above 6 Schemes are co-mmanaged by Vinay Kulkarni (Equities) and Anil Bamboli (Debt).

Intouchmutually June 2015 85

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL MIP Blended Index ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.0618 8.23 11.05 8.54 10,823 11,105 10,854Jun 05, 14 Since Inception 10.0000 8.31 10.67 8.40 10,890 11,144 10,900

HDFC CPO - II - 36M MAY 2014 NAV as at June 30, 2015 ` 10.8901

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.23 11.05 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL MIP Blended Index ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.0000 8.90 11.05 8.54 10,890 11,105 10,854Jun 30, 14 Since Inception 10.0000 8.90 11.05 8.54 10,890 11,105 10,854

HDFC CPO - II - 36M JUNE 2014 NAV as at June 30, 2015 ` 10.8902

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.90 11.05 8.54

Page 86: Vol. No. 12 Issue No. 12 June 2015 - hdfcfund.com · Vol. No. 12 Issue No. 12 June 2015. 2 June 2015 Intouchmutually PAGE NO. MARKET REVIEW 3 EDITORIAL 4 FEATURES OF OUR SELECT SCHEMES

SCHEME PERFORMANCE - DIRECT PLAN - GROWTH OPTION (FUND MANAGER-WISE) ANIL BAMBOLI...CONTINUED

Performance of dividend option under the schemes for the investors would be net of distribution tax as applicable. Load is not taken into consideration for computation of performance. N.A.: Not Available@ shows the current value of ` 10,000/- invested at the beginning of a given periodPerformance of FMP schemes, being close-ended in nature, is not strictly comparable with that of open-ended schemes since the investment strategy for FMP schemes is primarily buy-and-hold whereas open-ended schemes are actively managed.

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.9073 9.86 9.56 8.54 10,986 10,956 10,854Aug 22, 13 Since Inception 10.0000 10.25 10.36 8.56 11,983 12,007 11,645

HDFC FMP 370D AUGUST 2013 (3) NAV as at June 30, 2015 ` 11.9831

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.86 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.9274 9.75 9.56 8.54 10,975 10,956 10,854Aug 14, 13 Since Inception 10.0000 10.17 10.28 8.70 11,993 12,017 11,695

HDFC FMP 370D AUGUST 2013 (2) NAV as at June 30, 2015 ` 11.9933

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.75 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.9088 9.84 9.56 8.54 10,984 10,956 10,854Jul 31, 13 Since Inception 10.0000 9.90 10.17 8.56 11,983 12,038 11,704

HDFC FMP 370D JULY 2013 (3) NAV as at June 30, 2015 ` 11.9826

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.84 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.8991 9.73 9.56 8.54 10,973 10,956 10,854Aug 08, 13 Since Inception 10.0000 9.91 10.07 8.48 11,959 11,991 11,665

HDFC FMP 370D AUGUST 2013 (1) NAV as at June 30, 2015 ` 11.9591

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.73 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.5122 9.01 9.56 8.54 10,901 10,956 10,854Dec 17, 13 Since Inception 10.0000 9.29 9.87 8.52 11,459 11,554 11,336

HDFC FMP 369D DECEMBER 2013 (1) NAV as at June 30, 2015 ` 11.4594

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.01 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill IndexPerformance of close-ended Scheme is not strictly comparable with that of open-ended schemes since the investment strategy for close ended schemes is primarily buy and hold whereas open ended schemes are actively managed. Returns of HDFC Debt Fund For Cancer Cure - 2014 are computed based on NAV of Dividend Option and all dividends (after statutory levy) are assumed to be reinvested in the units of the scheme atthe then prevailing NAV (ex-dividend NAV).

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.3645 9.95 9.56 8.54 10,995 10,956 10,854Mar 18, 14 Since Inception 10.0000 10.70 9.87 8.63 11,396 11,286 11,123

HDFC DEBT FUND FOR CANCER CURE - 22014 NAV as at June 30, 2015 ` 10.4033

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.95 9.56 8.54

Intouchmutually86 June 2015

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SCHEME PERFORMANCE - DIRECT PLAN - GROWTH OPTION (FUND MANAGER-WISE) ANIL BAMBOLI...CONTINUED

Performance of dividend option under the schemes for the investors would be net of distribution tax as applicable. Load is not taken into consideration for computation of performance. N.A.: Not Available@ shows the current value of ` 10,000/- invested at the beginning of a given periodPerformance of FMP schemes, being close-ended in nature, is not strictly comparable with that of open-ended schemes since the investment strategy for FMP schemes is primarily buy-and-hold whereas open-ended schemes are actively managed.

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.8199 9.96 9.56 8.54 10,996 10,956 10,854Sep 18, 13 Since Inception 10.0000 10.25 10.04 8.53 11,898 11,857 11,569

HDFC FMP 370D SEPTEMBER 2013 (3) NAV as at June 30, 2015 ` 11.8976

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.96 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.9147 9.61 9.56 8.54 10,961 10,956 10,854Aug 07, 13 Since Inception 10.0000 9.92 10.09 8.48 11,964 12,000 11,668

HDFC FMP 371D AUGUST 2013 (1) NAV as at June 30, 2015 ` 11.9639

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.61 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.8953 9.63 9.56 8.54 10,963 10,956 10,854Jul 24, 13 Since Inception 10.0000 9.62 10.19 8.53 11,945 12,065 11,715

HDFC FMP 371D JULY 2013 (1) NAV as at June 30, 2015 ` 11.9446

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.63 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.8799 9.77 9.56 8.54 10,977 10,956 10,854Sep 05, 13 Since Inception 10.0000 10.27 10.10 8.50 11,943 11,909 11,598

HDFC FMP 370D SEPTEMBER 2013 (1) NAV as at June 30, 2015 ` 11.9425

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.77 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.8374 9.84 9.56 8.54 10,984 10,956 10,854Sep 13, 13 Since Inception 10.0000 10.20 10.12 8.50 11,904 11,888 11,577

HDFC FMP 370D SEPTEMBER 2013 (2) NAV as at June 30, 2015 ` 11.9040

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.84 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.9175 9.72 9.56 8.54 10,972 10,956 10,854Aug 29, 13 Since Inception 10.0000 10.33 10.62 8.68 11,978 12,035 11,651

HDFC FMP 370D AUGUST 2013 (4) NAV as at June 30, 2015 ` 11.9783

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.72 9.56 8.54

Intouchmutually June 2015 87

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Performance of dividend option under the schemes for the investors would be net of distribution tax as applicable. Load is not taken into consideration for computation of performance. N.A.: Not Available@ shows the current value of ` 10,000/- invested at the beginning of a given periodPerformance of FMP schemes, being close-ended in nature, is not strictly comparable with that of open-ended schemes since the investment strategy for FMP schemes is primarily buy-and-hold whereas open-ended schemes are actively managed.

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 11.0554 9.18 9.56 8.54 10,918 10,956 10,854Aug 21, 13 Since Inception 10.0000 10.66 10.35 8.56 12,070 12,007 11,648

HDFC FMP 1001D AUGUST 2013 (1) NAV as at June 30, 2015 ` 12.0704

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.18 9.56 8.54

SCHEME PERFORMANCE - DIRECT PLAN - GROWTH OPTION (FUND MANAGER-WISE)

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.4742 8.93 9.56 8.54 10,893 10,956 10,854Dec 31, 13 Since Inception 10.0000 9.21 9.85 8.52 11,409 11,509 11,301

HDFC FMP 372D DECEMBER 2013 (2) NAV as at June 30, 2015 ` 11.4094

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.93 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.5202 8.59 9.56 8.54 10,859 10,956 10,854Dec 27, 13 Since Inception 10.0000 9.24 9.86 8.50 11,424 11,522 11,307

HDFC FMP 504D DECEMBER 2013 (1) NAV as at June 30, 2015 ` 11.4242

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.59 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.5375 8.71 9.56 8.54 10,871 10,956 10,854Dec 20, 13 Since Inception 10.0000 9.31 9.82 8.45 11,455 11,537 11,318

HDFC FMP 531D DECEMBER 2013 (1) NAV as at June 30, 2015 ` 11.4553

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.71 9.56 8.54

ANIL BAMBOLI...CONTINUED

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.5278 8.88 9.56 8.54 10,888 10,956 10,854Dec 11, 13 Since Inception 10.0000 9.20 9.85 8.46 11,463 11,568 11,343

HDFC FMP 371D DECEMBER 2013 (2) NAV as at June 30, 2015 ` 11.4630

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.88 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.4901 8.95 9.56 8.54 10,895 10,956 10,854Dec 24, 13 Since Inception 10.0000 9.21 9.84 8.53 11,429 11,529 11,320

HDFC FMP 372D DECEMBER 2013 (1) NAV as at June 30, 2015 ` 11.4286

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.95 9.56 8.54

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Performance of dividend option under the schemes for the investors would be net of distribution tax as applicable. Load is not taken into consideration for computation of performance. N.A.: Not Available@ shows the current value of ` 10,000/- invested at the beginning of a given periodPerformance of FMP schemes, being close-ended in nature, is not strictly comparable with that of open-ended schemes since the investment strategy for FMP schemes is primarily buy-and-hold whereas open-ended schemes are actively managed.

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.2791 11.25 9.56 8.54 11,125 10,956 10,854Mar 26, 14 Since Inception 10.0000 11.21 9.78 8.57 11,436 11,251 11,095

HDFC FMP 1095D MARCH 2014 (1) NAV as at June 30, 2015 ` 11.4359

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 11.25 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.5243 12.07 11.10 8.54 11,207 11,110 10,854Feb 05, 14 Since Inception 10.0000 12.54 11.87 8.65 11,795 11,696 11,230

HDFC FMP 1175D JANUARY 2014 (1) NAV as at June 30, 2015 ` 11.7948

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 12.07 11.10 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Composite Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.3465 12.25 11.10 8.54 11,225 11,110 10,854Mar 25, 14 Since Inception 10.0000 12.55 12.09 8.58 11,614 11,554 11,098

HDFC FMP 1127D MARCH 2014 (1) NAV as at June 30, 2015 ` 11.6136

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 12.25 11.10 8.54

SCHEME PERFORMANCE - DIRECT PLAN - GROWTH OPTION (FUND MANAGER-WISE)

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Composite Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 11.0467 10.98 11.10 8.54 11,098 11,110 10,854Sep 04, 13 Since Inception 10.0000 11.85 11.14 8.50 12,259 12,119 11,600

HDFC FMP 1875D AUGUST 2013 (1) NAV as at June 30, 2015 ` 12.2592

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 10.98 11.10 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Composite Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 11.1283 10.23 11.10 8.54 11,023 11,110 10,854Aug 14, 13 Since Inception 10.0000 11.50 11.44 8.70 12,267 12,254 11,695

HDFC FMP 1846D AUGUST 2013 (1) NAV as at June 30, 2015 ` 12.2672

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 10.23 11.10 8.54

ANIL BAMBOLI...CONTINUED

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Composite Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 11.0173 9.64 11.10 8.54 10,964 11,110 10,854Aug 06, 13 Since Inception 10.0000 10.46 10.54 8.48 12,080 12,095 11,671

HDFC FMP 1143D JULY 2013 (1) NAV as at June 30, 2015 ` 12.0798

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.64 11.10 8.54

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SCHEME PERFORMANCE - DIRECT PLAN - GROWTH OPTION (FUND MANAGER-WISE) ANIL BAMBOLI...CONTINUED

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.4029 9.01 9.56 8.54 10,901 10,956 10,854Feb 07, 14 Since Inception 10.0000 9.45 9.92 8.64 11,340 11,407 11,222

HDFC FMP 369D FEBRUARY 2014 (1) NAV as at June 30, 2015 ` 11.3398

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.01 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.3852 8.75 9.56 8.54 10,875 10,956 10,854Feb 21, 14 Since Inception 10.0000 9.41 10.02 8.61 11,294 11,379 11,183

HDFC FMP 369D FEBRUARY 2014 (2) NAV as at June 30, 2015 ` 11.2939

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.75 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.4368 8.70 9.56 8.54 10,870 10,956 10,854Jan 16, 14 Since Inception 10.0000 9.08 9.78 8.33 11,345 11,451 11,232

HDFC FMP 369D JANUARY 2014 (1) NAV as at June 30, 2015 ` 11.3450

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.70 9.56 8.54

Performance of dividend option under the schemes for the investors would be net of distribution tax as applicable. Load is not taken into consideration for computation of performance. N.A.: Not Available@ shows the current value of ` 10,000/- invested at the beginning of a given periodPerformance of FMP schemes, being close-ended in nature, is not strictly comparable with that of open-ended schemes since the investment strategy for FMP schemes is primarily buy-and-hold whereas open-ended schemes are actively managed.

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.2908 8.83 9.56 8.54 10,883 10,956 10,854Mar 19, 14 Since Inception 10.0000 9.23 9.86 8.59 11,199 11,281 11,115

HDFC FMP 366D MARCH 2014 (1) NAV as at June 30, 2015 ` 11.1991

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 To Jun 30, 15 8.83 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.3414 8.81 9.56 8.54 10,881 10,956 10,854Mar 07, 14 Since Inception 10.0000 9.39 9.97 8.67 11,252 11,331 11,155

HDFC FMP 369D MARCH 2014 (1) NAV as at June 30, 2015 ` 11.2524

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 To Jun 30, 15 8.81 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.3152 8.80 9.56 8.54 10,880 10,956 10,854Mar 13, 14 Since Inception 10.0000 9.29 9.89 8.65 11,223 11,303 11,138

HDFC FMP 369D MARCH 2014 (2) NAV as at June 30, 2015 ` 11.2230

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.80 9.56 8.54

Intouchmutually90 June 2015

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Performance of dividend option under the schemes for the investors would be net of distribution tax as applicable. Load is not taken into consideration for computation of performance. N.A.: Not Available@ shows the current value of ` 10,000/- invested at the beginning of a given periodPerformance of FMP schemes, being close-ended in nature, is not strictly comparable with that of open-ended schemes since the investment strategy for FMP schemes is primarily buy-and-hold whereas open-ended schemes are actively managed.

SCHEME PERFORMANCE - DIRECT PLAN - GROWTH OPTION (FUND MANAGER-WISE)

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.4568 8.74 9.56 8.54 10,874 10,956 10,854Jan 08, 14 Since Inception 10.0000 9.11 9.85 8.47 11,371 11,485 11,273

HDFC FMP 371D JANUARY 2014 (1) NAV as at June 30, 2015 ` 11.3712

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.74 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.4262 8.91 9.56 8.54 10,891 10,956 10,854Jan 29, 14 Since Inception 10.0000 9.39 9.90 8.58 11,355 11,431 11,237

HDFC FMP 371D JANUARY 2014 (2) NAV as at June 30, 2015 ` 11.3549

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.91 9.56 8.54

ANIL BAMBOLI...CONTINUED

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.2740 8.82 9.56 8.54 10,882 10,956 10,854Mar 21, 14 Since Inception 10.0000 9.13 9.79 8.57 11,181 11,267 11,107

HDFC FMP 369D MARCH 2014 (3) NAV as at June 30, 2015 ` 11.1806

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.82 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.3608 8.86 9.56 8.54 10,886 10,956 10,854Mar 05, 14 Since Inception 10.0000 9.54 10.02 8.68 11,278 11,343 11,162

HDFC FMP 370D MARCH 2014 (1) NAV as at June 30, 2015 ` 11.2783

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.86 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.4176 8.62 9.56 8.54 10,862 10,956 10,854Jan 24, 14 Since Inception 10.0000 9.03 9.82 8.46 11,316 11,433 11,231

HDFC FMP 370D JANUARY 2014 (1) NAV as at June 30, 2015 ` 11.3158

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.62 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.3995 8.85 9.56 8.54 10,885 10,956 10,854Feb 14, 14 Since Inception 10.0000 9.45 10.01 8.68 11,320 11,399 11,211

HDFC FMP 370D FEBRUARY 2014 (1) NAV as at June 30, 2015 ` 11.3201

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.85 9.56 8.54

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Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.2888 8.44 9.56 8.54 10,844 10,956 10,854Mar 20, 14 Since Inception 10.0000 8.94 9.84 8.59 11,158 11,275 11,112

HDFC FMP 384D MARCH 2014 (1) NAV as at June 30, 2015 ` 11.1575

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.44 9.56 8.54

Performance of dividend option under the schemes for the investors would be net of distribution tax as applicable. Load is not taken into consideration for computation of performance. N.A.: Not Available@ shows the current value of ` 10,000/- invested at the beginning of a given periodPerformance of FMP schemes, being close-ended in nature, is not strictly comparable with that of open-ended schemes since the investment strategy for FMP schemes is primarily buy-and-hold whereas open-ended schemes are actively managed.

SCHEME PERFORMANCE - DIRECT PLAN - GROWTH OPTION (FUND MANAGER-WISE)

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.4124 9.01 9.56 8.54 10,901 10,956 10,854Feb 04, 14 Since Inception 10.0000 9.47 9.92 8.63 11,350 11,416 11,229

HDFC FMP 372D FEBRUARY 2014 (1) NAV as at June 30, 2015 ` 11.3502

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.01 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.2552 8.48 9.56 8.54 10,848 10,956 10,854Mar 26, 14 Since Inception 10.0000 8.81 9.78 8.57 11,125 11,251 11,095

HDFC FMP 378D MARCH 2014 (1) NAV as at June 30, 2015 ` 11.1249

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.48 9.56 8.54

ANIL BAMBOLI...CONTINUED

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.4000 8.88 9.56 8.54 10,888 10,956 10,854Feb 12, 14 Since Inception 10.0000 9.44 9.97 8.69 11,323 11,399 11,217

HDFC FMP 371D FEBRUARY 2014 (1) NAV as at June 30, 2015 ` 11.3231

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.88 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.3722 8.74 9.56 8.54 10,874 10,956 10,854Feb 26, 14 Since Inception 10.0000 9.40 10.04 8.65 11,279 11,368 11,176

HDFC FMP 371D FEBRUARY 2014 (2) NAV as at June 30, 2015 ` 11.2789

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.74 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.4203 8.63 9.56 8.54 10,863 10,956 10,854Jan 21, 14 Since Inception 10.0000 9.00 9.75 8.27 11,320 11,432 11,210

HDFC FMP 372D JANUARY 2014 (1) NAV as at June 30, 2015 ` 11.3195

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.63 9.56 8.54

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Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.3871 8.96 9.56 8.54 10,896 10,956 10,854Feb 18, 14 Since Inception 10.0000 9.52 10.00 8.69 11,318 11,386 11,201

HDFC FMP 441D FEBRUARY 2014 (1) NAV as at June 30, 2015 ` 11.3175

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.96 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.3985 8.83 9.56 8.54 10,883 10,956 10,854Feb 12, 14 Since Inception 10.0000 9.39 9.97 8.69 11,317 11,399 11,217

HDFC FMP 447D FEBRUARY 2014 (1) NAV as at June 30, 2015 ` 11.3167

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.83 9.56 8.54

SCHEME PERFORMANCE - DIRECT PLAN - GROWTH OPTION (FUND MANAGER-WISE)

Performance of dividend option under the schemes for the investors would be net of distribution tax as applicable. Load is not taken into consideration for computation of performance. N.A.: Not Available@ shows the current value of ` 10,000/- invested at the beginning of a given periodPerformance of FMP schemes, being close-ended in nature, is not strictly comparable with that of open-ended schemes since the investment strategy for FMP schemes is primarily buy-and-hold whereas open-ended schemes are actively managed.

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.3670 8.92 9.56 8.54 10,892 10,956 10,854Feb 25, 14 Since Inception 10.0000 9.47 10.04 8.64 11,292 11,370 11,177

HDFC FMP 434D FEBRUARY 2014 (1) NAV as at June 30, 2015 ` 11.2919

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.92 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.3431 9.00 9.56 8.54 10,900 10,956 10,854Mar 06, 14 Since Inception 10.0000 9.53 10.02 8.68 11,274 11,341 11,160

HDFC FMP 435D MARCH 2014 (1) NAV as at June 30, 2015 ` 11.2740

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 9.00 9.56 8.54

ANIL BAMBOLI...CONTINUED

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.3064 8.55 9.56 8.54 10,855 10,956 10,854Mar 14, 14 Since Inception 10.0000 9.05 9.89 8.63 11,188 11,300 11,132

HDFC FMP 390D MARCH 2014 (1) NAV as at June 30, 2015 ` 11.1876

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.55 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.3238 8.52 9.56 8.54 10,852 10,956 10,854Mar 11, 14 Since Inception 10.0000 9.11 9.90 8.67 11,204 11,310 11,145

HDFC FMP 400D MARCH 2014 (1) NAV as at June 30, 2015 ` 11.2037

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.52 9.56 8.54

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Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.4771 8.72 9.56 8.54 10,872 10,956 10,854Jan 09, 14 Since Inception 10.0000 9.26 9.85 8.47 11,391 11,482 11,270

HDFC FMP 491D JANUARY 2014 (1) NAV as at June 30, 2015 ` 11.3910

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.72 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.3751 11.73 9.56 8.54 11,173 10,956 10,854Feb 26, 14 Since Inception 10.0000 11.66 10.04 8.65 11,592 11,368 11,176

HDFC FMP 793D FEBRUARY 2014 (1) NAV as at June 30, 2015 ` 11.5923

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 11.73 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.4694 10.08 9.56 8.54 11,008 10,956 10,854Feb 06, 14 Since Inception 10.0000 10.71 9.90 8.65 11,525 11,408 11,227

HDFC FMP 840D JANUARY 2014 (1) NAV as at June 30, 2015 ` 11.5250

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 10.08 9.56 8.54

Performance of dividend option under the schemes for the investors would be net of distribution tax as applicable. Load is not taken into consideration for computation of performance. N.A.: Not Available@ shows the current value of ` 10,000/- invested at the beginning of a given periodPerformance of FMP schemes, being close-ended in nature, is not strictly comparable with that of open-ended schemes since the investment strategy for FMP schemes is primarily buy-and-hold whereas open-ended schemes are actively managed.

SCHEME PERFORMANCE - DIRECT PLAN - GROWTH OPTION (FUND MANAGER-WISE)

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.4258 8.71 9.56 8.54 10,871 10,956 10,854Jan 28, 14 Since Inception 10.0000 9.22 9.89 8.54 11,334 11,433 11,233

HDFC FMP 472D JANUARY 2014 (1) NAV as at June 30, 2015 ` 11.3338

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.71 9.56 8.54

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.4300 8.84 9.56 8.54 10,884 10,956 10,854Jan 24, 14 Since Inception 10.0000 9.27 9.82 8.46 11,352 11,433 11,231

HDFC FMP 478D JANUARY 2014 (1) NAV as at June 30, 2015 ` 11.3523

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.84 9.56 8.54

ANIL BAMBOLI...CONTINUED

Date Period NAV Scheme Benchmark Additional Value of investment of ` 10,000@ per Unit Returns Returns Benchmark Scheme Benchmark Additional

(`) (%)^ (%)# Returns (`) (`)# Benchmark(%)## (`)##

^̂PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. Returns greater than 1 year period are compounded annualized (CAGR). # CRISIL Short Term Bond Fund Index. ## CRISIL 1 year T-Bill Index

A. Cumulative performance

Jun 30, 14 Last 1 Year 10.4050 8.91 9.56 8.54 10,891 10,956 10,854Feb 06, 14 Since Inception 10.0000 9.38 9.90 8.65 11,332 11,408 11,227

HDFC FMP 453D FEBRUARY 2014 (1) NAV as at June 30, 2015 ` 11.3322

Period Scheme Benchmark Additional ^ # Benchmark

##

B. Discrete 12 month returns (%)

Jun 30, 14 to Jun 30, 15 8.91 9.56 8.54

Intouchmutually94 June 2015

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Mar 21, 13 41.388 4.00 4.00Mar 20, 14 43.809 4.00 4.00Mar 19, 15 59.842 5.50 5.50

DDiirreecctt PPllaannMar 21, 13 41.447 4.00 4.00Mar 20, 14 44.172 4.00 4.00Mar 19, 15 60.828 5.50 5.50

RReeccoorrdd CCuumm DDiivv DDiivviiddeenndd PPeerr uunniitt ((`̀)) FFoorr DDaattee NNAAVV ((`̀)) IInnddiivviidduuaallss && HHUUFF OOtthheerrss

RReeccoorrdd CCuumm DDiivv DDiivviiddeenndd PPeerr uunniitt ((`̀)) FFoorr DDaattee NNAAVV ((`̀)) IInnddiivviidduuaallss && HHUUFF OOtthheerrss

HDFC Equity Fund (Past 3 years)

Mar 07, 13 43.247 4.00 4.00Mar 06, 14 42.484 4.00 4.00Mar 05, 15 58.076 5.00 5.00

DDiirreecctt PPllaannMar 07, 13 43.293 4.00 4.00Mar 06, 14 42.768 4.00 4.00Mar 05, 15 58.852 5.00 5.00

RReeccoorrdd CCuumm DDiivv DDiivviiddeenndd PPeerr uunniitt ((`̀)) FFoorr DDaattee NNAAVV ((`̀)) IInnddiivviidduuaallss && HHUUFF OOtthheerrss

RReeccoorrdd CCuumm DDiivv DDiivviiddeenndd PPeerr uunniitt ((`̀)) FFoorr DDaattee NNAAVV ((`̀)) IInnddiivviidduuaallss && HHUUFF OOtthheerrss

HDFC Top 200 Fund (Past 3 years)

Feb 21, 13 22.391 2.50 2.50Feb 20, 14 21.788 2.50 2.50Feb 19, 15 31.424 3.00 3.00

RReeccoorrdd CCuumm DDiivv DDiivviiddeenndd PPeerr uunniitt ((`̀)) FFoorr DDaattee NNAAVV ((`̀)) IInnddiivviidduuaallss && HHUUFF OOtthheerrss

HDFC Capital Builder Fund (Past 3 years)

Feb 21, 13 29.331 3.00 3.00Feb 13, 14 25.019 3.00 3.00Feb 12, 15 33.959 3.50 3.50

DDiirreecctt PPllaannFeb 21, 13 29.352 3.00 3.00Feb 13, 14 25.143 3.00 3.00Feb 12, 15 34.313 3.50 3.50

RReeccoorrdd CCuumm DDiivv DDiivviiddeenndd PPeerr uunniitt ((`̀)) FFoorr DDaattee NNAAVV ((`̀)) IInnddiivviidduuaallss && HHUUFF OOtthheerrss

HDFC Growth Fund

RReeccoorrdd CCuumm DDiivv DDiivviiddeenndd PPeerr uunniitt ((`̀)) FFoorr DDaattee NNAAVV ((`̀)) IInnddiivviidduuaallss && HHUUFF OOtthheerrss

DDiirreecctt PPllaannFeb 21, 13 22.408 2.50 2.50Feb 20, 14 21.897 2.50 2.50Feb 19, 15 31.766 3.00 3.00

HDFC Balanced Fund (Past 3 years)

RReeccoorrdd CCuumm DDiivv DDiivviiddeenndd PPeerr uunniitt ((`̀)) FFoorr DDaattee NNAAVV ((`̀)) IInnddiivviidduuaallss && HHUUFF OOtthheerrss

Feb 27, 13 19.322 1.25 1.25Feb 26, 14 20.682 1.25 1.25Mar 24, 15 29.333 2.00 2.00

RReeccoorrdd CCuumm DDiivv DDiivviiddeenndd PPeerr uunniitt ((`̀)) FFoorr DDaattee NNAAVV ((`̀)) IInnddiivviidduuaallss && HHUUFF OOtthheerrss

DDiirreecctt PPllaannFeb 27, 13 19.339 1.25 1.25Mar 24, 15 31.654 2.50 2.50

Feb 27, 13 27.526 3.00 3.00Feb 26, 14 25.965 3.00 3.00Feb 26, 15 35.366 3.50 3.50

DDiirreecctt PPllaannFeb 27, 13 27.552 3.00 3.00Feb 26, 14 26.141 1.25 1.25Feb 26, 15 38.565 3.50 3.50

RReeccoorrdd CCuumm DDiivv DDiivviiddeenndd PPeerr uunniitt ((`̀)) FFoorr DDaattee NNAAVV ((`̀)) IInnddiivviidduuaallss && HHUUFF OOtthheerrss

RReeccoorrdd CCuumm DDiivv DDiivviiddeenndd PPeerr uunniitt ((`̀)) FFoorr DDaattee NNAAVV ((`̀)) IInnddiivviidduuaallss && HHUUFF OOtthheerrss

HDFC Prudence Fund (Past 3 years)

RReeccoorrdd CCuumm DDiivv DDiivviiddeenndd PPeerr uunniitt ((`̀)) FFoorr DDaattee NNAAVV ((`̀)) IInnddiivviidduuaallss && HHUUFF OOtthheerrss

Dividend Option

Dividend Option

Dividend Option

Dividend Option

Feb 14, 13 17.613 2.00 2.00Feb 20, 14 15.197 1.50 1.50Feb 19, 15 22.392 2.00 2.00

RReeccoorrdd CCuumm DDiivv DDiivviiddeenndd PPeerr uunniitt ((`̀)) FFoorr DDaattee NNAAVV ((`̀)) IInnddiivviidduuaallss && HHUUFF OOtthheerrss

HDFC Core & Satellite Fund (Past 3 years)

RReeccoorrdd CCuumm DDiivv DDiivviiddeenndd PPeerr uunniitt ((`̀)) FFoorr DDaattee NNAAVV ((`̀)) IInnddiivviidduuaallss && HHUUFF OOtthheerrss

DDiirreecctt PPllaannFeb 14, 13 17.602 2.00 2.00Feb 20, 14 15.327 1.50 1.50Feb 19, 15 22.738 2.00 2.00

Dividend Option

Feb 07, 13 12.762 1.50 1.50Feb 06, 14 10.783 0.60 0.60Feb 05, 15 16.770 1.50 1.50

RReeccoorrdd CCuumm DDiivv DDiivviiddeenndd PPeerr uunniitt ((`̀)) FFoorr DDaattee NNAAVV ((`̀)) IInnddiivviidduuaallss && HHUUFF OOtthheerrss

HDFC Premier Multi-Cap Fund (Past 3 years)

RReeccoorrdd CCuumm DDiivv DDiivviiddeenndd PPeerr uunniitt ((`̀)) FFoorr DDaattee NNAAVV ((`̀)) IInnddiivviidduuaallss && HHUUFF OOtthheerrss

DDiirreecctt PPllaannFeb 07, 13 12.769 1.50 1.50Feb 06, 14 10.854 0.60 0.60Feb 05, 15 16.981 1.50 1.50

Dividend Option

Dividend Option

Dividend Option

(Past 3 years)

Feb 07, 13 34.167 4.00 4.00Feb 06, 14 32.125 3.50 3.50Feb 05, 15 43.781 4.00 4.00

DDiirreecctt PPllaannFeb 07, 13 34.186 4.00 4.00Feb 06, 14 32.304 3.50 3.50Feb 05, 15 44.279 4.00 4.00

RReeccoorrdd CCuumm DDiivv DDiivviiddeenndd PPeerr uunniitt ((`̀)) FFoorr DDaattee NNAAVV ((`̀)) IInnddiivviidduuaallss && HHUUFF OOtthheerrss

HDFC Long Term Advantage Fund (Past 3 years)

(An open-ended equity linked savings scheme with a lock-in period of 3 years)

RReeccoorrdd CCuumm DDiivv DDiivviiddeenndd PPeerr uunniitt ((`̀)) FFoorr DDaattee NNAAVV ((`̀)) IInnddiivviidduuaallss && HHUUFF OOtthheerrss

Dividend Option

Mar 14, 13 53.602 6.00 6.00Mar 13, 14 52.658 6.00 6.00Mar 12, 15 73.673 7.00 7.00

DDiirreecctt PPllaannMar 14, 13 53.675 6.00 6.00Mar 13, 14 53.067 6.00 6.00Mar 12, 15 74.679 7.00 7.00

RReeccoorrdd CCuumm DDiivv DDiivviiddeenndd PPeerr uunniitt ((`̀)) FFoorr DDaattee NNAAVV ((`̀)) IInnddiivviidduuaallss && HHUUFF OOtthheerrss

RReeccoorrdd CCuumm DDiivv DDiivviiddeenndd PPeerr uunniitt ((`̀)) FFoorr DDaattee NNAAVV ((`̀)) IInnddiivviidduuaallss && HHUUFF OOtthheerrss

HDFC TaxSaver (Past 3 years)

(An open-ended equity linked savings scheme with a lock-in period of 3 years)Dividend Option

WWhhoolleessaallee PPllaann DDiirreecctt PPllaannDec 26, 14 10.4640 0.184 0.184

RReeccoorrdd CCuumm DDiivv DDiivviiddeenndd PPeerr uunniitt ((`̀)) FFoorr DDaattee NNAAVV ((`̀)) IInnddiivviidduuaallss && HHUUFF OOtthheerrss

RReeccoorrdd CCuumm DDiivv DDiivviiddeenndd PPeerr uunniitt ((`̀)) FFoorr DDaattee NNAAVV ((`̀)) IInnddiivviidduuaallss && HHUUFF OOtthheerrss

Quarterly (Dividend Option) (Past 3 quarters)

HDFC Arbitrage Fund

WWhhoolleessaallee PPllaannApr 27, 15 10.448 0.040 0.040May 25, 15 10.782 0.073 0.073Jun 25, 15 10.773 0.064 0.064

WWhhoolleessaallee PPllaann - DDiirreecctt PPllaannApr 27, 15 10.569 0.040 0.040May 25, 15 10.418 0.086 0.086Jun 25, 15 10.395 0.063 0.063

RReeccoorrdd CCuumm DDiivv DDiivviiddeenndd PPeerr uunniitt ((`̀)) FFoorr DDaattee NNAAVV ((`̀)) IInnddiivviidduuaallss && HHUUFF OOtthheerrss

RReeccoorrdd CCuumm DDiivv DDiivviiddeenndd PPeerr uunniitt ((`̀)) FFoorr DDaattee NNAAVV ((`̀)) IInnddiivviidduuaallss && HHUUFF OOtthheerrss

Dividend Option (erstwhile Monthly Dividend Option) (Past 3 months)

Dividend History ^

Feb 27, 13 15.980 1.15 1.15Feb 26, 14 17.588 1.75 1.75Mar 24, 15 27.636 2.00 2.00

DDiirreecctt PPllaannFeb 27, 13 15.994 1.15 1.15Mar 24, 15 31.131 2.25 2.25

RReeccoorrdd CCuumm DDiivv DDiivviiddeenndd PPeerr uunniitt ((`̀)) FFoorr DDaattee NNAAVV ((`̀)) IInnddiivviidduuaallss && HHUUFF OOtthheerrss

RReeccoorrdd CCuumm DDiivv DDiivviiddeenndd PPeerr uunniitt ((`̀)) FFoorr DDaattee NNAAVV ((`̀)) IInnddiivviidduuaallss && HHUUFF OOtthheerrss

HDFC Mid-Cap Opportunities Fund (Past 3 years)Dividend Option

Feb 26, 15 25.817 2.50 2.50DDiirreecctt PPllaannFeb 26, 15 26.048 2.50 2.50

RReeccoorrdd CCuumm DDiivv DDiivviiddeenndd PPeerr uunniitt ((`̀)) FFoorr DDaattee NNAAVV ((`̀)) IInnddiivviidduuaallss && HHUUFF OOtthheerrss

RReeccoorrdd CCuumm DDiivv DDiivviiddeenndd PPeerr uunniitt ((`̀)) FFoorr DDaattee NNAAVV ((`̀)) IInnddiivviidduuaallss && HHUUFF OOtthheerrss

HDFC Large Cap Fund (Past 3 years)Dividend Option

Feb 19, 15 22.769 2.00 2.00DDiirreecctt PPllaannFeb 19, 15 23.165 2.00 2.00

RReeccoorrdd CCuumm DDiivv DDiivviiddeenndd PPeerr uunniitt ((`̀)) FFoorr DDaattee NNAAVV ((`̀)) IInnddiivviidduuaallss && HHUUFF OOtthheerrss

RReeccoorrdd CCuumm DDiivv DDiivviiddeenndd PPeerr uunniitt ((`̀)) FFoorr DDaattee NNAAVV ((`̀)) IInnddiivviidduuaallss && HHUUFF OOtthheerrss

HDFC Small & Mid Cap Fund (Past 3 years)Dividend Option

^̂ PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. There is no assurance or guarantee to Unit holders as to rate/quantum of dividend distribution northat the dividends will be paid regularly. All dividends are on face value of `̀ 10 per Unit. After payment of the dividend, the per Unit NAV fallsto the extent of the payout and statutory levy, if any.* Please log on to www.hdfcfund.com for Record Date-wise listing of dividends declared

June 2015 95Intouchmutually

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^̂ PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. There is no assurance or guarantee to Unit holders as to rate/quantum of dividend distribution northat the dividends will be paid regularly. All dividends are on face value of `̀ 10 per Unit. After payment of the dividend, the per Unit NAV fallsto the extent of the payout and statutory levy, if any.* Please log on to www.hdfcfund.com for Record Date-wise listing of dividends declared

Monthly Dividend Option(Past 3 months)

RReeccoorrdd CCuumm DDiivv DDiivviiddeenndd PPeerr uunniitt ((`̀)) FFoorr DDaattee NNAAVV ((`̀)) IInnddiivviidduuaallss && HHUUFF OOtthheerrss

Apr 27, 15 12.0289 0.0700 0.0649May 25, 15 11.9873 0.0700 0.0649Jun 25, 15 11.9049 0.0700 0.0648

DDiirreecctt PPllaann Apr 27, 15 12.1531 0.0700 0.0649May 25, 15 12.1202 0.0700 0.0649Jun 25, 15 12.0483 0.0700 0.0648

Quarterly Dividend Option(Past 3 quarters)

RReeccoorrdd CCuumm DDiivv DDiivviiddeenndd PPeerr uunniitt ((`̀)) FFoorr DDaattee NNAAVV ((`̀)) IInnddiivviidduuaallss && HHUUFF OOtthheerrss

Dec 26, 14 12.7380 0.1800 0.1669Mar 25, 15 12.5971 0.2100 0.1947Jun 25, 15 12.4195 0.2100 0.1946

DDiirreecctt PPllaann Dec 26, 14 12.8268 0.1800 0.1669Mar 25, 15 12.7156 0.2100 0.1947Jun 25, 15 12.5677 0.2100 0.1946

HDFC High Interest Fund - Dynamic Plan

Dec 26, 14 12.0761 0.3000 0.2782Mar 25, 15 12.0298 0.2000 0.1855Jun 25, 15 11.6672 0.0750 0.0695

DDiirreecctt PPllaannDec 26, 14 12.2829 0.3000 0.2782Mar 25, 15 12.2669 0.2000 0.1855Jun 25, 15 11.9291 0.0750 0.0695

Sep 25, 13 11.1219 0.2704 0.2589Mar 25, 14 11.2992 0.4000 0.3831Sep 25, 14 11.4586 0.4000 0.3831Mar 25, 15 12.0057 0.5000 0.4637

DDiirreecctt PPllaannSep 25, 13 11.1749 0.0787 0.0753Mar 25, 14 11.6682 0.4000 0.3831Sep 25, 14 11.9061 0.4000 0.3831Mar 25, 15 12.5462 0.5000 0.4637

RReeccoorrdd CCuumm DDiivv DDiivviiddeenndd PPeerr uunniitt ((`̀)) FFoorr DDaattee NNAAVV ((`̀)) IInnddiivviidduuaallss && HHUUFF OOtthheerrss

RReeccoorrdd CCuumm DDiivv DDiivviiddeenndd PPeerr uunniitt ((`̀)) FFoorr DDaattee NNAAVV ((`̀)) IInnddiivviidduuaallss && HHUUFF OOtthheerrss

Quarterly (Dividend Option)(Past 3 quarters)

Half-yearly (Dividend Option)(Past 2 years)

Yearly (Dividend Option) (Past 3 years)

Dec 26, 14 10.3857 0.3000 0.2782Mar 25, 15 11.3123 0.2000 0.1855Jun 25, 15 10.9537 0.0750 0.0695

DDiirreecctt PPllaannDec 26, 14 11.5828 0.3000 0.2782Mar 25, 15 11.5413 0.2000 0.1855Jun 25, 15 11.2086 0.0750 0.0695

RReeccoorrdd DDaattee CCuumm DDiivviiddeenndd NNAAVV ((`̀)) DDiivviiddeenndd PPeerr uunniitt ((`̀)) FFoorr IInnddiivviidduuaallss && HHUUFF OOtthheerrss

Quarterly Dividend Option (Past 3 quarters)

Mar 25, 13 12.9081 0.9500 0.8142Mar 25, 14 12.4424 0.6500 0.6225Mar 25, 15 13.5259 0.9000 0.8346

DDiirreecctt PPllaannMar 25, 13 12.9251 0.9500 0.8142Mar 25, 14 12.5647 0.6500 0.6225Mar 25, 15 13.7872 0.9000 0.8346

RReeccoorrdd DDaattee CCuumm DDiivviiddeenndd NNAAVV ((`̀)) DDiivviiddeenndd PPeerr uunniitt ((`̀)) FFoorr IInnddiivviidduuaallss && HHUUFF OOtthheerrss

HDFC Income Fund

Short Term Plan (Dividend Option)

Dividend History ^

HDFC MF Monthly Income Plan (MIP)(An open-ended income scheme. Monthly income is not assured and is subject to availability of distributable surplus)

Long Term Plan (Dividend Option)

Monthly Dividend Option(Past 3 months)

RReeccoorrdd CCuumm DDiivv DDiivviiddeenndd PPeerr uunniitt ((`̀)) FFoorr DDaattee NNAAVV ((`̀)) IInnddiivviidduuaallss && HHUUFF OOtthheerrss

Apr 27, 15 14.4700 0.0800 0.0742May 25, 15 14.4434 0.0800 0.0742Jun 25, 15 14.3496 0.0800 0.0741

DDiirreecctt PPllaannApr 27, 15 14.6269 0.0800 0.0742May 25, 15 14.6071 0.0800 0.0742Jun 25, 15 14.5191 0.0800 0.0741

Quarterly Dividend Option(Past 3 quarters)

RReeccoorrdd CCuumm DDiivv DDiivviiddeenndd PPeerr uunniitt ((`̀)) FFoorr DDaattee NNAAVV ((`̀)) IInnddiivviidduuaallss && HHUUFF OOtthheerrss

Dec 26, 14 15.2977 0.2100 0.1947Mar 25, 15 15.2467 0.2400 0.2226Jun 25, 15 15.0095 0.2400 0.2224

DDiirreecctt PPllaann Dec 26, 14 15.4356 0.2100 0.1947Mar 25, 15 15.4048 0.2400 0.2226Jun 25, 15 15.1881 0.2400 0.2224

HDFC Multiple Yield Fund (Past 3 years)

Feb 14, 13 11.6548 0.7500 0.6428Feb 13, 14 11.5427 0.7500 0.7183Feb 12, 15 12.2991 0.0871 0.8078

DDiirreecctt PPllaannFeb 14, 13 11.6602 0.7500 0.6428Feb 13, 14 11.5842 0.7500 0.7183Feb 12, 15 12.4059 0.0871 0.8078

RReeccoorrdd CCuumm DDiivv DDiivviiddeenndd PPeerr uunniitt ((`̀)) FFoorr DDaattee NNAAVV ((`̀)) IInnddiivviidduuaallss && HHUUFF OOtthheerrss

RReeccoorrdd CCuumm DDiivv DDiivviiddeenndd PPeerr uunniitt ((`̀)) FFoorr DDaattee NNAAVV ((`̀)) IInnddiivviidduuaallss && HHUUFF OOtthheerrss

(Dividend Option)

HDFC Multiple Yield Fund - Plan 2005 (Past 3 years)

Feb 14, 13 11.5963 0.7500 0.6428Feb 13, 14 11.4924 0.7500 0.7183Feb 12, 15 12.7502 0.0871 0.8078

DDiirreecctt PPllaannFeb 14, 13 11.6048 0.7500 0.6428Feb 13, 14 11.5689 0.5000 0.4788Feb 12, 15 13.3081 0.0871 0.8078

RReeccoorrdd CCuumm DDiivv DDiivviiddeenndd PPeerr uunniitt ((`̀)) FFoorr DDaattee NNAAVV ((`̀)) IInnddiivviidduuaallss && HHUUFF OOtthheerrss

RReeccoorrdd CCuumm DDiivv DDiivviiddeenndd PPeerr uunniitt ((`̀)) FFoorr DDaattee NNAAVV ((`̀)) IInnddiivviidduuaallss && HHUUFF OOtthheerrss

(Dividend Option)

HDFC Short Term PlanDDiivviiddeenndd OOppttiioonn - RReeiinnvveessttmmeenntt (Past 3 months)

RReeccoorrdd CCuumm DDiivv DDiivviiddeenndd PPeerr uunniitt ((`̀)) FFoorr DDaattee NNAAVV ((`̀)) IInnddiivviidduuaallss && HHUUFF OOtthheerrss

RReeccoorrdd CCuumm DDiivv DDiivviiddeenndd PPeerr uunniitt ((`̀)) FFoorr DDaattee NNAAVV ((`̀)) IInnddiivviidduuaallss && HHUUFF OOtthheerrss

Apr 27, 15 10.4195 0.0739 0.0685May 25, 15 10.3669 0.0359 0.0333Jun 25, 15 10.3922 0.0542 0.0502

Direct PlanApr 27, 15 10.4230 0.0764 0.0708May 25, 15 10.3703 0.0384 0.0355Jun 25, 15 10.3963 0.0571 0.0529

Apr 10, 15 10.1724 0.0498 0.0461Apr 27, 15 10.1298 0.0190 0.0176May 11, 15 10.1096 0.0044 0.0041May 25, 15 10.1462 0.0308 0.0286Jun 10, 15 10.1416 0.0275 0.0255Jun 25, 15 10.1358 0.0233 0.0216

DDiirreecctt PPllaannApr 10, 15 10.2337 0.0511 0.0473Apr 27, 15 10.1902 0.0196 0.0182May 11, 15 10.1697 0.0048 0.0045May 25, 15 10.2066 0.0315 0.0292Jun 10, 15 10.2019 0.0281 0.0260Jun 25, 15 10.1962 0.0240 0.0222

RReeccoorrdd CCuumm DDiivv DDiivviiddeenndd PPeerr uunniitt ((`̀)) FFoorr DDaattee NNAAVV ((`̀)) IInnddiivviidduuaallss && HHUUFF OOtthheerrss

RReeccoorrdd CCuumm DDiivv DDiivviiddeenndd PPeerr uunniitt ((`̀)) FFoorr DDaattee NNAAVV ((`̀)) IInnddiivviidduuaallss && HHUUFF OOtthheerrss

DDiivviiddeenndd OOppttiioonn - FFoorrttnniigghhttllyy (Past 3 months)HDFC Short Term Opportunities Fund

Dec 26, 14 10.3567 0.1654 0.1534Mar 25, 15 10.3636 0.1581 0.1466Jun 25, 15 10.3547 0.1599 0.1481

DDiirreecctt PPllaannDec 26, 14 10.4337 0.1688 0.1565Mar 25, 15 10.4401 0.1610 0.1493Jun 25, 15 10.4312 0.1627 0.1508

RReeccoorrdd CCuumm DDiivv DDiivviiddeenndd PPeerr uunniitt ((`̀)) FFoorr DDaattee NNAAVV ((`̀)) IInnddiivviidduuaallss && HHUUFF OOtthheerrss

RReeccoorrdd CCuumm DDiivv DDiivviiddeenndd PPeerr uunniitt ((`̀)) FFoorr DDaattee NNAAVV ((`̀)) IInnddiivviidduuaallss && HHUUFF OOtthheerrss

Quarterly Dividend Option - Reinvestment (Past 3 quarters)

HDFC Medium Term Opportunities Fund

May 25, 15 10.6098 0.0231 0.0214Jun 25, 15 10.6008 0.0166 0.0154

DDiirreecctt PPllaannMay 25,15 10.6143 0.0264 0.0244Jun 25, 15 10.6059 0.0203 0.0188

RReeccoorrdd CCuumm DDiivv DDiivviiddeenndd PPeerr uunniitt ((`̀)) FFoorr DDaattee NNAAVV ((`̀)) IInnddiivviidduuaallss && HHUUFF OOtthheerrss

RReeccoorrdd CCuumm DDiivv DDiivviiddeenndd PPeerr uunniitt ((`̀)) FFoorr DDaattee NNAAVV ((`̀)) IInnddiivviidduuaallss && HHUUFF OOtthheerrss

DDiivviiddeenndd OOppttiioonn - FFoorrttnniigghhttllyy (Past 2 months)HDFC High Interest Fund - Short Term Plan

96 June 2015 Intouchmutually

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Dividend History ^

WWeeeekkllyy DDiivviiddeenndd OOppttiioonn (Past 1 month)

RReeccoorrdd CCuumm DDiivv DDiivviiddeenndd PPeerr uunniitt ((`̀)) FFoorr RReeccoorrdd CCuumm DDiivv DDiivviiddeenndd PPeerr uunniitt ((`̀)) FFoorr DDaattee NNAAVV ((`̀)) IInnddiivviidduuaallss && HHUUFF OOtthheerrss DDaattee NNAAVV ((`̀)) IInnddiivviidduuaallss && HHUUFF OOtthheerrss

Jun 01, 15 10.3267 0.0118 0.0110Jun 08, 15 10.3264 0.0116 0.0108Jun 15, 15 10.3263 0.0116 0.0107Jun 22, 15 10.3261 0.0114 0.0106Jun 29, 15 10.3260 0.0113 0.0105

DDiirreecctt PPllaannJun 01, 15 10.3267 0.0118 0.0110Jun 08, 15 10.3265 0.0117 0.0108Jun 15, 15 10.3264 0.0116 0.0108Jun 22, 15 10.3262 0.0115 0.0106Jun 29, 15 10.3262 0.0115 0.0106

Apr 27, 15 10.3342 0.0514 0.0476May 25, 15 10.3291 0.0477 0.0442Jun 29, 15 10.3429 0.0577 0.0535

DDiirreecctt PPllaannApr 27, 15 10.3347 0.0518 0.0480May 25, 15 10.3294 0.0480 0.0444Jun 29, 15 10.3434 0.0581 0.0538

RReeccoorrdd DDaattee CCuumm DDiivviiddeenndd NNAAVV ((`̀)) DDiivviiddeenndd PPeerr uunniitt ((`̀)) FFoorr IInnddiivviidduuaallss && HHUUFF OOtthheerrss

MMoonntthhllyy DDiivviiddeenndd OOppttiioonn (Past 3 months)

April 2015 Daily 10.1982 0.0422 0.0392May 2015 Daily 10.1982 0.0453 0.0418June 2015 Daily 10.1982 0.0489 0.0453

DDiirreecctt PPllaannApril 2015 Daily 10.1982 0.0426 0.0395May 2015 Daily 10.1982 0.0455 0.0422June 2015 Daily 10.1982 0.0491 0.0456

MMoonntthh RReeccoorrdd DDaattee EExx-ddiivviiddeenndd NNAAVV ppeerr UUnniitt ((`̀)) AAggggrreeggaattee DDiivviiddeenndd PPeerr UUnniitt ((`̀)) ffoorr tthhee mmoonntthh IInnddiivviidduuaallss && HHUUFF OOtthheerrss

DDaaiillyy DDiivviiddeenndd RReeiinnvveessttmmeenntt OOppttiioonn** (Past 3 months)

HDFC Liquid Fund

WWhhoolleessaallee OOppttiioonnJun 01, 15 10.1566 0.0153 0.0142Jun 08, 15 10.1513 0.0115 0.0106Jun 15, 15 10.1503 0.0108 0.0100Jun 22, 15 10.1525 0.0124 0.0114Jun 29, 15 10.1494 0.0101 0.0094

WWhhoolleessaallee OOppttiioonn - DDiirreecctt PPllaannJun 01, 15 10.1569 0.0155 0.0144Jun 08, 15 10.1516 0.0117 0.0108Jun 15, 15 10.1506 0.0110 0.0102Jun 22, 15 10.1528 0.0126 0.0116Jun 29, 15 10.1498 0.0104 0.0096

RReeccoorrdd CCuumm DDiivv DDiivviiddeenndd PPeerr uunniitt ((`̀)) FFoorr DDaattee NNAAVV ((`̀)) IInnddiivviidduuaallss && HHUUFF OOtthheerrss

RReeccoorrdd CCuumm DDiivv DDiivviiddeenndd PPeerr uunniitt ((`̀)) FFoorr DDaattee NNAAVV ((`̀)) IInnddiivviidduuaallss && HHUUFF OOtthheerrss

(Weekly Dividend Option) (Past 1 month)

RReettaaiill OOppttiioonn

Jun 01, 15 10.2519 0.0151 0.0140

Jun 22, 15 10.2596 0.0207 0.0191

RReettaaiill OOppttiioonn - DDiirreecctt PPllaann

Jun 01, 15 10.2519 0.0151 0.0140

Jun 22, 15 10.2599 0.0209 0.0193

RReeccoorrdd CCuumm DDiivv DDiivviiddeenndd PPeerr uunniitt ((`̀)) FFoorr DDaattee NNAAVV ((`̀)) IInnddiivviidduuaallss && HHUUFF OOtthheerrss

RReeccoorrdd CCuumm DDiivv DDiivviiddeenndd PPeerr uunniitt ((`̀)) FFoorr DDaattee NNAAVV ((`̀)) IInnddiivviidduuaallss && HHUUFF OOtthheerrss

(Weekly Dividend Reinvestment Option) (Past 1 month)

HDFC Floating Rate Income Fund - Long Term Plan

WWhhoolleessaallee OOppttiioonnApr 27, 15 10.2240 0.0577 0.0535May 25, 15 10.2097 0.0474 0.0439Jun 29, 15 10.2277 0.0604 0.0559

WWhhoolleessaallee OOppttiioonn - DDiirreecctt PPllaannApr 27, 15 10.2243 0.0579 0.0537May 25, 15 10.2105 0.0480 0.0444Jun 29, 15 10.2291 0.0614 0.0569

RReeccoorrdd DDaattee CCuumm DDiivviiddeenndd NNAAVV ((`̀)) DDiivviiddeenndd PPeerr uunniitt ((`̀)) FFoorr IInnddiivviidduuaallss && HHUUFF OOtthheerrss

MMoonntthhllyy DDiivviiddeenndd OOppttiioonn (Past 3 months)

WWhhoolleessaallee OOppttiioonnApril 2015 Daily 10.0809 0.0377 0.0348May 2015 Daily 10.0809 0.0432 0.0400June 2015 Daily 10.0809 0.0496 0.0461

WWhhoolleessaallee OOppttiioonn - DDiirreecctt PPllaannApril 2015 Daily 10.0809 0.0379 0.0350May 2015 Daily 10.0809 0.0436 0.0406June 2015 Daily 10.0809 0.0503 0.0469

MMoonntthh RReeccoorrdd DDaattee EExx-ddiivviiddeenndd NNAAVV ppeerr UUnniitt ((`̀)) AAggggrreeggaattee DDiivviiddeenndd PPeerr UUnniitt ((`̀)) ffoorr tthhee mmoonntthh IInnddiivviidduuaallss && HHUUFF OOtthheerrss

DDaaiillyy DDiivviiddeenndd RReeiinnvveessttmmeenntt OOppttiioonn** (Past 3 months)

HDFC Floating Rate Income Fund - Short Term Plan

HDFC Gilt Fund (Past 3 quarters)

Dec 26, 14 11.2535 0.2000 0.1855Mar 25, 15 11.2165 0.1500 0.1391Jun 25, 15 11.1897 0.0750 0.0695

Direct PlanDec 26, 14 11.3210 0.2000 0.1855Mar 25, 15 11.2943 0.1500 0.1391Jun 25, 15 11.2778 0.0750 0.0695

Dec 26, 14 11.5381 0.4000 0.3709Mar 25, 15 11.3830 0.3000 0.2782Jun 25, 15 10.8697 0.0750 0.0695

Direct PlanDec 26, 14 11.6097 0.4000 0.3709Mar 25, 15 11.4696 0.3000 0.2782

RReeccoorrdd CCuumm DDiivv DDiivviiddeenndd PPeerr uunniitt ((`̀)) FFoorr DDaattee NNAAVV ((`̀)) IInnddiivviidduuaallss && HHUUFF OOtthheerrss

RReeccoorrdd CCuumm DDiivv DDiivviiddeenndd PPeerr uunniitt ((`̀)) FFoorr DDaattee NNAAVV ((`̀)) IInnddiivviidduuaallss && HHUUFF OOtthheerrss

Short Term Plan (Dividend Option) Long Term Plan (Dividend Option)

June 2015 97Intouchmutually

^̂ PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. There is no assurance or guarantee to Unit holders as to rate/quantum of dividend distribution northat the dividends will be paid regularly. All dividends are on face value of `̀ 10 per Unit. After payment of the dividend, the per Unit NAV fallsto the extent of the payout and statutory levy, if any.* Please log on to www.hdfcfund.com for Record Date-wise listing of dividends declared

Page 98: Vol. No. 12 Issue No. 12 June 2015 - hdfcfund.com · Vol. No. 12 Issue No. 12 June 2015. 2 June 2015 Intouchmutually PAGE NO. MARKET REVIEW 3 EDITORIAL 4 FEATURES OF OUR SELECT SCHEMES

Disclaimer:

The information contained herein should not be altered in any way, transmitted to, copiedor distributed, in part or in whole, to any other person or to the media or reproduced in anyform, without prior written consent of HDFC Asset Management Company Limited (HDFC AMC)or the relevant owner of the intellectual property, as the case may be. All Intellectual propertyand intellectual property rights belong to the relevant owner of the intellectual property, and“Intouch Mutually” is a trademark of HDFC AMC.

Any information herein contained does not constitute and shall be deemed not to consti-tute an advice, an offer to sell/ purchase or as an invitation or solicitation to do so for any secu-rities of any entity, and further, HDFC AMC / its subsidiaries / affiliates / sponsors / trustee (HDFCAMC Group) or their officers, employees, personnel, directors may be associated in a commer-cial, professional or personal capacity or may have a commercial interest including as propri-etary traders in or with the securities and/ or companies or issues or matters as contained in thispublication and such commercial capacity or interest whether or not differing with or conflictingwith this publication, shall not make or render (HDFC AMC Group) liable in any manner what-soever & (HDFC AMC Group) or any of their officers, employees, personnel, directors shall notbe liable for any loss, damage, liability whatsoever for any direct or indirect loss arising from theuse or access of any information that may be displayed in this publication from time to time.Recipients of the information contained herein should exercise due care and caution and readthe Scheme Information Document(s) and Statement of Additional Information (including if nec-essary, obtaining the advice of tax / legal / accounting / financial / other professionals) prior totaking of any decision, acting or omitting to act, on the basis of the information contained here-in. The printing and mailing cost of this newsletter is charged to the respective schemes subjectto Securities & Exchange Board of India (Mutual Funds) Regulations, 1996.

The author’s opinions, beliefs and viewpoints published in Intouch Mutually (Page No. 4)are his own views and not of HDFC AMC Group, or any of their officers, employees, personneland directors. HDFC AMC Group or any of their officers, employees, personnel, directors do notaccept responsibility for the author’s content and make no representation as to the accuracy,completeness or reliability of the author’s content and hereby disclaim any liability with regardto the same.

HDFC Index Fund – SENSEX Plan & SENSEX Plus Plan (“Schemes”) is based on the S&P BSESENSEX Index. S&P® is a registered trademark of S&P Financial Services Limited (S&P). BSE®and SENSEX® are registered trademarks of BSE Limited. The Schemes is not sponsored,endorsed marketed or promoted by S&P, BSE or their respective affiliates. Please refer to theScheme Information Document for disclaimers w.r.t. S&P BSE SENSEX Index.

MUTUAL FUND INVESTMENTS ARE SUBJECT TO MARKETRISKS, READ ALL SCHEME RELATED DOCUMENTS CAREFULLY.

HDFC Cash Management Fund - Treasury Advantage Plan

RReettaaiill OOppttiioonnJun 01, 15 10.0830 0.0148 0.0137Jun 08, 15 10.0746 0.0087 0.0081Jun 15, 15 10.0756 0.0095 0.0088Jun 22, 15 10.0782 0.0113 0.0105Jun 29, 15 10.0739 0.0082 0.0076

RReettaaiill OOppttiioonn - DDiirreecctt PPllaannJun 01, 15 10.0955 0.0159 0.0147Jun 08, 15 10.0872 0.0099 0.0092Jun 15, 15 10.0881 0.0105 0.0098Jun 22, 15 10.0908 0.0125 0.0116Jun 29, 15 10.0864 0.0093 0.0086

WWhhoolleessaallee OOppttiioonnJun 01, 15 10.0843 0.0157 0.0146Jun 08, 15 10.0761 0.0098 0.0091

Jun 15, 15 10.0769 0.0104 0.0096Jun 22, 15 10.0795 0.0123 0.0114Jun 29, 15 10.0752 0.0092 0.0085

RReeccoorrdd CCuumm DDiivv DDiivviiddeenndd PPeerr uunniitt ((`̀)) FFoorr DDaattee NNAAVV ((`̀)) IInnddiivviidduuaallss && HHUUFF OOtthheerrss

RReeccoorrdd CCuumm DDiivv DDiivviiddeenndd PPeerr uunniitt ((`̀)) FFoorr DDaattee NNAAVV ((`̀)) IInnddiivviidduuaallss && HHUUFF OOtthheerrss

WWeeeekkllyy DDiivviiddeenndd OOppttiioonn (Past 1 month)

MMoonntthhllyy DDiivviiddeenndd OOppttiioonn (Past 3 months)

DDaaiillyy DDiivviiddeenndd RReeiinnvveessttmmeenntt OOppttiioonn** (Past 3 months)

HDFC Cash Management Fund - Call Plan

MMoonntthh RReeccoorrdd DDaattee EExx-ddiivviiddeenndd NNAAVV ppeerr UUnniitt ((`̀)) AAggggrreeggaattee DDiivviiddeenndd PPeerr UUnniitt ((`̀)) ffoorr tthhee mmoonntthh IInnddiivviidduuaallss && HHUUFF OOtthheerrss

RReettaaiill OOppttiioonnApril 2015 Daily 10.0315 0.0301 0.0278May 2015 Daily 10.0315 0.0381 0.0352June 2015 Daily 10.0315 0.0429 0.0398

RReettaaiill OOppttiioonn - DDiirreecctt PPllaannApril 2015 Daily 10.0315 0.0336 0.0312May 2015 Daily 10.0315 0.0418 0.0388June 2015 Daily 10.0315 0.0476 0.0442

April 2015 Daily 10.4266 0.0378 0.0349May 2015 Daily 10.4266 0.0409 0.0378Jun 2015 Daily 10.4266 0.0422 0.0391

DDiirreecctt PPllaannApril 2015 Daily 10.4266 0.0380 0.0352May 2015 Daily 10.4266 0.0413 0.0381Jun 2015 Daily 10.4266 0.0425 0.0395

MMoonntthh RReeccoorrdd DDaattee EExx-ddiivviiddeenndd NNAAVV ppeerr UUnniitt ((`̀)) AAggggrreeggaattee DDiivviiddeenndd PPeerr UUnniitt ((`̀)) ffoorr tthhee mmoonntthh IInnddiivviidduuaallss && HHUUFF OOtthheerrss

RReeccoorrdd CCuumm DDiivv DDiivviiddeenndd PPeerr uunniitt ((`̀)) FFoorr DDaattee NNAAVV ((`̀)) IInnddiivviidduuaallss && HHUUFF OOtthheerrss

RReettaaiill OOppttiioonnApr 27, 15 10.1208 0.0511 0.0474May 25, 15 10.1046 0.0394 0.0365Jun 29, 15 10.1229 0.0527 0.0488

RReettaaiill OOppttiioonn - DDiirreecctt PPllaannApr 27, 15 10.2199 0.0559 0.0518May 25, 15 10.2036 0.0441 0.0409Jun 29, 15 10.2238 0.0587 0.0544

WWhhoolleessaallee OOppttiioonnApr 27, 15 10.1255 0.0545 0.0505May 25, 15 10.1096 0.0430 0.0399Jun 29, 15 10.1297 0.0576 0.0533

DDaaiillyy DDiivviiddeenndd RReeiinnvveessttmmeenntt OOppttiioonn** (Past 3 months)

Dividend History ^

^̂ PPaasstt ppeerrffoorrmmaannccee mmaayy oorr mmaayy nnoott bbee ssuussttaaiinneedd iinn tthhee ffuuttuurree.. There is no assurance or guarantee to Unit holders as to rate/quantum of dividend distribution northat the dividends will be paid regularly. All dividends are on face value of `̀ 10 per Unit. After payment of the dividend, the per Unit NAV fallsto the extent of the payout and statutory levy, if any.* Please log on to www.hdfcfund.com for Record Date-wise listing of dividends declared

HDFC Cash Management Fund - Savings PlanDDaaiillyy DDiivviiddeenndd RReeiinnvveessttmmeenntt OOppttiioonn** (Past 3 months)

MMoonntthh RReeccoorrdd DDaattee EExx-ddiivviiddeenndd NNAAVV ppeerr UUnniitt ((`̀)) AAggggrreeggaattee DDiivviiddeenndd PPeerr UUnniitt ((`̀)) ffoorr tthhee mmoonntthh IInnddiivviidduuaallss && HHUUFF OOtthheerrss

WWeeeekkllyy DDiivviiddeenndd OOppttiioonn (Past 1 month)

Jun 05, 15 10.6414 0.0121 0.0112Jun 12, 15 10.6411 0.0118 0.0110Jun 19, 15 10.6410 0.0118 0.0109Jun 26, 15 10.6408 0.0116 0.0108

DDiirreecctt PPllaannJun 05, 15 10.6415 0.0121 0.0112Jun 12, 15 10.6414 0.0121 0.0112Jun 19, 15 10.6411 0.0118 0.0110Jun 26, 15 10.6411 0.0118 0.0110

RReeccoorrdd CCuumm DDiivv DDiivviiddeenndd PPeerr uunniitt ((`̀)) FFoorr DDaattee NNAAVV ((`̀)) IInnddiivviidduuaallss && HHUUFF OOtthheerrss

RReeccoorrdd CCuumm DDiivv DDiivviiddeenndd PPeerr uunniitt ((`̀)) FFoorr DDaattee NNAAVV ((`̀)) IInnddiivviidduuaallss && HHUUFF OOtthheerrss

April 2015 Daily 10.6364 0.0443 0.0410May 2015 Daily 10.6364 0.0470 0.0435June 2015 Daily 10.6364 0.0510 0.0470

DDiirreecctt PPllaannApril 2015 Daily 10.6364 0.0445 0.0414May 2015 Daily 10.6364 0.0477 0.0440June 2015 Daily 10.6364 0.0512 0.0478

98 June 2015 Intouchmutually

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INVESTOR SERVICE CENTRES (ISCs)AANNDDHHRRAA PPRRAADDEESSHHHDFC AMC Ltd., 18-2-299/B, 1st Floor, Leela MahalCircle, Tirumala Bypass Road, TTiirruuppaattii - 517 507. Tel: (0877) 2222 871 / 872 / 873 / 874, Fax: (0877) 2222689. HDFC AMC Ltd., 2nd Floor, Above HDFC Bank, Near Benz Circle, M. G. Road, VViijjaayyaawwaaddaa - 520010. Tele Fax: (0866) 3988029.HDFC AMC Ltd., First Floor, Saigopal Arcade, WaltairMain Road, Siripuram, VViissaakkhhaappaattnnaamm - 530 003. Tel: (0891) 3263457, 6634001, Fax: (0891) 6634004. AASSSSAAMMHDFC AMC Ltd., Premises- 1C, 1st Floor, GanpatiEnclave, G.S.Road, GGuuwwaahhaattii - 781 007. Tel: (0361) 2464759/60. Fax: (0361) 2464758. BBIIHHAARRHDFC AMC Ltd., Ishwari Complex, 1st Floor, Dr. Rajendra Prasad Road, BBhhaaggaallppuurr - 812 002. Tel: (0641) 2300 390, Fax: (0641) 2300391. HDFC AMC Ltd., Ravi Market, 1st Floor, JawaharlalRoad, MMuuzzaaffffaarrppuurr – 842001.Tel: (0621) 2245036/37, Fax: (0621) 2245037. HDFC AMC Ltd., C/o Hera Enclave (Above TATADocomo Office), 1st Floor, New Dak Bunglow Road,PPaattnnaa - 800 001. Tel: (0612) 6457554/6457557/3201439, Telefax: (0612) 2200747. CCHHHHAATTTTIISSGGAARRHHHDFC AMC Ltd., Shop No 1, Ground Floor, Old Sada Office Block, Nehru Nagar East, BBhhiillaaii - 490020. Tel: (0788) 4092948, 4092846, Fax: (0788) 4092901. HDFC AMC Ltd., 2nd Floor, Rama Trade Centre,Opposite Rajiv Plaza, Near Bus stand, BBiillaassppuurr – 495 001. Tel: (07752) 400305/ 06. Fax: (07752) 400307. HDFC AMC Ltd., Ground Floor, Chawla Complex,Devendra Nagar, Sai Nagar Road, Near VanijyaBhawan, Near Indhira Gandhi Square, RRaaiippuurr - 492 001. Tel: (0771) 4020 167 / 168. DDEELLHHIIHDFC AMC Ltd., Ground Floor - 2 & 3 and First Floor,Prakashdeep Building, 7, Tolstoy Marg, ConnaughtPlace, NNeeww DDeellhhii - 110 001. Tel: (011) 6632 4000,Fax: (011) 23351317 /18. HDFC AMC Ltd. Unit Nos. 402, 404, 406, 4th floor, Mahatta Tower, 54 B-1 Block, Community Center , Janakpuri, NNeeww DDeellhhii – 110 058. Fax: (011) 41082131 HDFC AMC Ltd., 134/4 , Bhandari House, Lala Lajpat Rai Marg, Kailash Colony - Main Road,Near Kailash Colony Metro Station, South Delhi, NNeeww DDeellhhii – 110 048. Tel : 011-29244801/02. Fax : 011-29244805.GGOOAAHDFC AMC Ltd., Ground Floor, G3 & G4, Jivottam,Minguel Miranda Road, Off. Abade Faria Road,MMaarrggaaoo - 403 601. Salcete. Tel: (0832) 2737410 / 11.Fax: (0832) 2736477. HDFC AMC Ltd., S1, Second Floor, Above Axis Bank,Edcon Centre, Angod, MMaappuussaa - 403 507, Bardez, Goa. Tel: (0832) 2253 460 / 461, Fax: (0832) 2253465. HDFC AMC Ltd., A-3, First Floor, Krishna Building, Opp. Education Department, Behind SusheelaBuilding, G. P. Road, PPaannaajjii - 403 001. Tel: 0832 - 2425609, 2425610, Fax: 0832 - 2425614. HDFC AMC Ltd., 6, Ground Floor, Pereira Chambers,Padre Jose Vaz Road, VVaassccoo - 403 802, Mormugao. Tel: (0832) 2513 402 / 406, Fax: (0832) 2513448. GGUUJJAARRAATTHDFC AMC Ltd., 2nd Floor, Megha House, BesidesGRUH House, Mithakhali Six Roads, AAhhmmeeddaabbaadd - 380 009. Tel.: 079 – 40220099/00, Fax: 079 - 40050506. HDFC AMC Ltd., Maruti Sharanam, No.117, 1st Floor, Anand-Vidhyanagar Road, Opposite Nandbhumi PartyPlot, AAnnaanndd - 388 001. Tel: (02692) - 398200, Fax: (02692) - 398222. HDFC AMC Ltd., 3rd Floor, Shreemangalam Complex,Above IDBI Bank, Patel Society Road, Ward No. 1,Kasak Circle, BBhhaarruucchh - 392 012. Tel: (0264) 2227205, Fax: (0264) 2227206. HDFC AMC Ltd., 2nd Floor, Gangotri Plaza, OppositeDaxinamurty School, Waghawadi Road, BBhhaavvnnaaggaarr - 364 001. Tel: (0278) - 3988029, Fax: (0278) - 3984039. HDFC AMC Ltd., 1st Floor, B Wing, Katira Complex,RTO Circle, BBhhuujj - 370 001. Tel: (02832) 223 223, Fax: (02832) 251. 946. HDFC AMC Ltd., 2nd Floor, Keshav Complex,

P N Marg, Opposite Dhanvantry, JJaammnnaaggaarr - 361 001.Tel: (0288) - 3988029, 2555663, Fax: (0288) - 3982426. HDFC AMC Ltd., 1st Floor, Nos. 104 – 105, MaryGold-2 Complex, Opp. Bahhaudin College,College Road, JJuunnaaggaaddhh - 362001. Tel: (0285) 2670622/23, Fax: (0285) 2670624. HDFC AMC Ltd., F-2, First Floor, Sigma Oasis Complex,Near HDFC Bank, State Highway Road, MMeehhssaannaa - 384002, Tel: 02762-230121. HDFC AMC Ltd., 1st Floor, Nandini Complex, Above HDFC Bank, Opp. Daboo Hospital, Station Road, Navsari- 396445. Tel: (02637) 252681/82/83, Fax: (02637) 252684. HDFC AMC Ltd., 2nd Floor, Shiv Darshan, Dr. Radha Krishnan Road, 5, Jagnath, Plot Corner,RRaajjkkoott - 360 001. Tel: 0281- 6624881 / 82, Fax: 0281 - 6624883. HDFC AMC Ltd., U1 - U3, Jolly Plaza, Opp. AthwaGate Police Station, Athwa Gate, SSuurraatt - 395 001. Tel: 0261 – 2460082 / 83, Fax: 0261 - 2460091. HDFC AMC Ltd., Upper Ground Floor, Gokulesh, R. C. Dutt Road, VVaaddooddaarraa - 390 007. Tel: 0265 - 6621110 / 20, Fax: 0265 - 6621150. HDFC AMC Ltd., 5-B, 2nd Floor, Sapphire Building,Daulatnagar, Chala-Vapi Road, VVaappii - 396 191. Tel: (0260) 3983900, Fax: (0260) 3983908. HHAARRYYAANNAAHDFC AMC Ltd., 3rd Floor, Shanti Complex, JagadhriRoad, Opp.Civil Hospital, AAmmbbaallaa CCaanntttt - 133001. Tel: (0171) 2631995, Fax: (0171) 2631994. HDFC AMC Ltd., TA - 12A, 15-18, Third Floor, Crown Plaza, Sector 15A, Mathura Road, FFaarriiddaabbaadd - 121 001. Tel: (0124) 2221 338 / 339 /341 / 342 / 343, Fax: (0129) 2221340. HDFC AMC Ltd., Premises 105, 106 & 107, 1st Floor, Vipul Agora Building, MG Road, GGuurrggaaoonn - 122 002. Tel: (0124) 2560 450/ 51, Fax: (0124) 2560455. HDFC AMC Ltd., 1175 B Royal 1, 1st Floor, AdjoiningGurudawara, G.T Road, PPaanniippaatt - 132 103. Tel: (0180) 3985400/ 01, Fax: (0180) 3985403. HHIIMMAACCHHAALL PPRRAADDEESSHHHDFC AMC Ltd., 2nd Floor, Opposite Town Hall, 30,The Mall, SShhiimmllaa – 171 001. Tel: (0177) 2816861. JJAAMMMMUU && KKAASSHHMMIIRRHDFC AMC Ltd., Hall No-102 A/2, South Block, Bahu Plaza, Gandhi Nagar, JJaammmmuu - 180 012. Tel: (0191)-2477911/12/13 / (0191) 2474297/98/99. JJHHAARRKKHHAANNDDHDFC AMC Ltd., Vardhan Complex, 1st Floor, Opp. Woodland Showroom, Bank More, DDhhaannbbaadd - 826 001. Tel: (0326) 3205352, 2300552,Fax: (0326) 2301756. HDFC AMC Ltd., Gayatri Enclave, 2nd Floor, “K Road”, Bistupur, JJaammsshheeddppuurr - 831 001. Tel: (0657) 3021203/05, Telefax: (0657) 3021204. HDFC AMC Ltd., Pradhan Towers, 1st Floor, 5, Main Road, RRaanncchhii - 834 001. Tel: (0651) 6003358, 3242077. Fax: (0651) 3988029. KKAARRNNAATTAAKKAAHDFC AMC Ltd., Nitesh Broadway, No. 9/3, 1-A, Ground Floor, M. G. Road, Opposite Trinity Metro Station, BBaannggaalloorree – 560001. Tel: 080-66205300, Fax: 080-41125255. HDFC AMC Ltd., # 493, 1st Floor, 4th Cross, 2nd Main, Sampige Road, Malleshwaram, BBaannggaalloorree - 560 003. HDFC AMC Ltd., Garla Garnet No. 119/A/36, 9th Main, 4th Block, Jayanagar, BBaannggaalloorree – 560011. Tel No: (080) 41460260/61/62, Fax No: (080) 41460263. HDFC AMC Ltd., # 145, 1st Floor, 60 ft Road, 5th Block, Koramangala, BBaannggaalloorree - 560 034. HDFC AMC Ltd., Premises No. 4830 / B, First Floor, Dr. Ambedkar Road, Opp. Civil Medical College, BBeellggaauumm - 590 002. Tel: (0831) 4206 915 / 916 / 918,Fax: (0831) 4206918. HDFC AMC Ltd., Office No. 39 (Old No - 41), GroundFloor, Behind Maremma Temple, Opposite HDFC Bank,Kappagal Road, BBeellllaarryy – 583103. Tel: 08392-256577. Fax: 08392-256575. HDFC AMC Ltd., 190/3, 1st Floor, S.V.C. Plaza, Opposite Mothi Talkies, Gandhi Circle, DDaavvaannggeerree - 577 002. Tel: (08192) 250 240 / 241 /242, Fax: (08192) 250243. HDFC AMC Ltd., No. 1, First Floor, Revankar Comforts,Vivekanand Road, Court Circle, HHuubbllii - 580 029. Tel: (0836) 4252 294 / 95. Fax: (0836) 4252 290. HDFC AMC Ltd., UG-II, 6 & 7, Upper Ground Floor, Maximus Commercial Complex, Light House Hill Road,

Opp. KMC, MMaannggaalloorree - 575 001. Tel. 0824 – 6620667/668, Fax: 0824 – 6620666. HDFC AMC Ltd., No. 2918, CH 51 / 1 B, 1st Floor, Patel Mansion, Kantharaj Urs Road, Saraswathipuram, MMyyssoorree - 570 009. Tel: (0821) 4000 530, Fax: (0821) 4000 535. KKEERRAALLAAHDFC AMC Ltd., 3rd Floor, City Mall, Opposite YMCA, Kannur Road, CCaalliiccuutt - 673 001. Tel: (0495) - 4099222 / 333, 3982310, Fax: (0495) - 3982330. HDFC AMC Ltd., Ground Floor, Cinema cumCommercial Complex, Behind Ravipuram Bus Stop, M. G. Road, KKoocchhii - 682 016. Tel: 0484 - 2357707 /8, 3243058 / 59, Fax: 0484 - 2358462. HDFC AMC Ltd., 14/868, Ground Floor, Sri KrishnaComplex, Coimbatore Road, PPaallgghhaatt - 678 001. Tel: (0491) 2548300/302, 6452188, Fax: (0491) 2548303. HDFC AMC Ltd., 2nd Floor, E-Town Shopping, College Road, East Fort, TThhrriissssuurr - 680 005. Tel: (0487) 2441976. Telefax: (0487) 2422925. HDFC AMC Ltd., 1st Floor, Kaniamparambil Arcade, G S Junction, Shastri Road, KKoottttaayyaamm - 686 001. Tel: (0481) 3018392/93. Fax: (0481) 3018397. HDFC AMC Ltd., Ground Floor, Bhadra Tower, Cotton Hill Road, Vazhuthacaud, Thycaud P.O.,TTrriivvaannddrruumm – 695 014. Tel: (0471) 3983 730 / 731 /732 Fax: (0471) 3983738. MMAADDHHYYAA PPRRAADDEESSHHHDFC AMC Ltd., 1st Floor, Ranjeet Tower, 8, Zone-II, M. P. Nagar, BBhhooppaall - 462 011. Tel: 0755 - 4285385, 4246995, Fax: 0755 - 4058890. HDFC AMC Ltd., M1, M2 & M3, Mezzanine Floor, Sterling Arcade,15 / 3, Race Course Road, IInnddoorree - 452 001. Tel: 0731 - 4022241 / 42. Fax: 0731 - 4245436. HDFC AMC Ltd., First Floor, Muthye UdyogBhawan,1039, Wright Town, Opp. TelephoneExchange, JJaabbaallppuurr - 482 002. Tel: (0761) - 4049800,3988029 Fax: (0761) - 4068814. HDFC AMC Ltd., First Floor, Alakhnanda Towers, Shrimant Madhav Rao Scindia Marg, City Centre, GGwwaalliioorr - 474 001. Tel: (0751) - 4066060, 3988029 Fax: (0751) – 3982803. MMAAHHAARRAASSHHTTRRAAHDFC AMC Ltd., 1st Floor, Amar Arcade - 2, Opp. Rajapeth Police Station, Raja Peth, AAmmrraavvaattii - 444 601. Tel: (0721) 2562 112 / 113 Fax: (0721) 2564115. HDFC AMC Ltd., Near Samarth Cyber Cafe, 3419-Khist Galli, AAhhmmeeddnnaaggaarr - 414 001.Tel: (0241) 2345 800, Fax: (0241) 2345 801. HDFC AMC Ltd., 2nd Floor, Renuka CommercialComplex, Samarth Nagar, Nirala Bazar, NageshwarWadi Road, AAuurraannggaabbaadd - 431 001. Tel: (0240) 3988029, Fax: (0240) 3982068. HDFC AMC Ltd., 138, Ground Floor, Kavya RatnavaliChowk, Omkareshwar Road, JJaallggaaoonn – 425 002. Tel: (0257) 3982100/ 01. Fax: (0257) 3982114. HDFC AMC Ltd., Royal Prestige, C1/C9, 1st Floor, E - Ward, Sykes Extension, Rajarampuri Road,KKoollhhaappuurr - 416 008. Tel: (0231) - 3988029, Fax: (0231) - 3982060. HDFC AMC Ltd.**, Premises Nos.. F1, 2, 3 & 4, 1st Floor, “Center Square”, S.V. Road, Andheri (W),MMuummbbaaii – 400 058. Tel: (022) 26708239 / 26285389.Fax: (022) 26241131. HDFC AMC Ltd.** Shop # 7, Abhilasha Building,Punjabi Lane, Borivali (W), MMuummbbaaii - 400 092. Tel: (022) 28952702/ 28901497, Fax: (022) 28949392. HDFC AMC Ltd.,* HDFC House, 2nd floor, H.T. ParekhMarg, 165-166 Backbay Reclamation, Churchgate,MMuummbbaaii – 400 020 Tel: (022) 66316333, Fax: (022) 66580200. HDFC AMC Ltd., Ramon House, 1st Floor, H.T ParekhMarg, 169, Backbay Reclamation, Churchgate,MMuummbbaaii - 400 020. Fax: (022) 66146385. HDFC AMC Ltd.**, Shop No. 1 & 2, Ground Floor, Atlantic Tower, R B Mehta Road, Near Railway Station,Ghatkopar (East), MMuummbbaaii - 400 077. Tel: (022) 25011507, 25011664, Fax: (022) 25116805. HDFC AMC Ltd.**, Unit No. 101, 1st Floor, Landmark Building, 136 Hill Road,Opp. St. PetersChurch, Bandra (West), MMuummbbaaii - 400 050. Tel: (022) 2643 4760 / 762 / 763 / 764, Fax: (022) 2643 4768.

(Continued on next page)

June 2015 9999Intouchmutually

Page 100: Vol. No. 12 Issue No. 12 June 2015 - hdfcfund.com · Vol. No. 12 Issue No. 12 June 2015. 2 June 2015 Intouchmutually PAGE NO. MARKET REVIEW 3 EDITORIAL 4 FEATURES OF OUR SELECT SCHEMES

Registered Office: HDFC House, 2nd floor, H.T. Parekh Marg, 165-166 Backbay Reclamation, Churchgate, Mumbai – 400 020.

Published and printed by Shailendra Sharad Kalelkar for and on behalf of Business Standard Limited from H4, Paragon Condominium, Opposite Century Mills, P B Marg, Worli, Mumbai 400013, and printed at M. P. Printers (A Unit of D.B.Corp. Ltd.), B- 220, Industrial Area, Phase – II, Noida – 201305 ( U.P.) India. Editor: Rajiv Shirali.

HDFC AMC Ltd., Shop No 127, Bahirwade Chambers ,Opp. Hotel Hilton (erstwhile Panchshil), Telco Road,Chinchwad, PPuunnee - 411019. Tel: (020) 2747 7771 / 2,Fax: (020) 2747 7774.HDFC AMC Ltd.**, Shop no. 1 & 2, Ground floor,Gurangi Chambers, Opp. Damani Chambers, Near Teen Haath Naka, LBS Marg, TThhaannee (West) - 400 602. Tel: (022) 2538 5659, 2539 1125, 2538 6848, 6502 0205, 6536 5246,6536 5245, 6414 2389, Fax: (022) 25301125. HDFC AMC Ltd., 106-110, 2nd Floor, Shriram ShyamTowers, Near NIT Building, Kingsway, Sadar, NNaaggppuurr - 440 001. Tel: (0712) 663 0301/02/04, Fax: (0712) 663 0206. HDFC AMC Ltd. G- 1 & G-2, “Suyojit Heights”, Opp. Rajiv Gandhi Bhavan, Sharanpur Road, NNaasshhiikk - 422 002. Tel: (0253) 6611831 / 32. Fax: (0253) 6611836. HDFC AMC Ltd., 6, Chetana Apartment, 2423, East Street, Pune Camp, PPuunnee - 411 001. Tel.: (020) 41223301/02, Fax: (020) 41223310. HDFC AMC Ltd., Ground Floor, City Mall, University Circle, Ganeshkhind Road, PPuunnee - 411 007.Tel: (020) 66073301, Fax: (020) 66073310. HDFC AMC Ltd.,** Office No. 13, Shanti CenterPremises, Plot No. 8, Sector 17, Vashi, NNaavvii MMuummbbaaii - 400 703. Tel: (022) 27661121. Fax: (022) 39855612.HDFC AMC Ltd.**, 1st Floor, Anant Kuti (BibikarBldg.), Manpada Road, Opp. Muncipal CorporationBldg., Dombivli (East), MMuummbbaaii - 421 201. Tel: (0251) 2860 648 / 649 / 645 / 656, Fax: (0251) 2863953. OORRIISSSSAAHDFC AMC Ltd., Sri Jagannath Complex, 1st Floor, Opposite Hari - Omm Bhawan, BBaarrbbiill - 758 035. Tel: 09238106515 / 09238106525, Fax: (06767) 275565. HDFC AMC Ltd., Vinayak, 2nd Floor, 96, Janpath, BBhhuubbaanneesswwaarr - 751 001. Tel: (0674) 6450502 / 1502, Fax: 0674 - 2531483. HDFC AMC Ltd., 1st Floor, Plot No. 2690 (P),Bajrakabati Road, Ranihat, CCuuttttaacckk – 753 001. Tel: (0671) 2323724/ 725, Fax: (0671) 2324741. HDFC AMC Ltd., Praful Tower, 1st Floor, PanposhRoad, RRoouurrkkeellaa - 769 004. Tel: (0661) 3988029,3982060/70, Fax: (0661) 3982068. HDFC AMC Ltd., Kadambari Complex, 1st Floor, Unit - 4, Nayapara, Golbazar, SSaammbbaallppuurr - 768 001. Tel: (0663) 2400 323 / 339, Fax: (0663) 2400324. PPOONNDDIICCHHEERRRRYYHDFC AMC Ltd., No.17, I Floor, Sree VelayudhamComplex, Near Indhira Gandhi Square, Natesan Nagar, PPoonnddiicchheerrrryy - 605 005. Tel: (0413) 3043 293 / 500 /600. Fax: (0413) 2206776. PPUUNNJJAABBHDFC AMC Ltd., SCO-28, 1st Floor, Taneja Towers, District Shopping Complex, Ranjit Avenue, AAmmrriittssaarr -143 001. Tel: (0183) 3988028 /29/ 2570,Fax: (0183) 3982599. HDFC AMC Ltd., Ground Floor, Liberty Chowk, Corner Building, Municipal No. 83 - B, 3A, BBhhaattiinnddaa - 151 001. Tel.: (0164) 5001982, Fax: (0164) 5191283. HDFC AMC Ltd., 1st Floor, SCO- 2909- 2910, Sector - 22-C, Opp. Hotel J W Marriot, CChhaannddiiggaarrhh - 160 022. Tel: (0172) 5050888, Fax: (0172) 277 1219. HDFC AMC Ltd., Ground Floor , Eminent Mall, SutheriRoad, Near Indusind Bank, HHoosshhiiaarrppuurr – 146 001. Tel : 01882- 502029, Fax : 01882- 502078.HDFC AMC Ltd., Office No. 31, 1st Floor, City Square

Building, Civil Lines, GT Road, JJaallaannddhhaarr - 144001. Tel: (0181) 5004028, Fax: (0181) 5004029. HDFC AMC Ltd., SCO 122, Feroze Gandhi Market, LLuuddhhiiaannaa - 141 001. Tel.: (0161) 277 4321 / 5014321. Fax: (0161) 3013838. HDFC AMC Ltd., SCO no - 70 , Ground Floor, New Leela Bhawan Market, PPaattiiaallaa -147 001. Tel : 0175 - 5010082, Fax : 0175 - 5010084.RRAAJJAASSTTHHAANNHDFC AMC Ltd., 2nd Floor, Above ICICI Bank, IndiaHeights Building, India Motor Circle, AAjjmmeerr - 305 001. Tel: (0145) 2620660, Fax: (0145) 2420660. HDFC AMC Ltd., “Moondhra Bhavan”, 3-Ajmer Road, JJaaiippuurr - 302 001. Tel: (0141) 421 9000, Fax: (0141) 421 9004. HDFC AMC Ltd., Gulab Singh Bhavan, 11, Chopasni Road, JJooddhhppuurr - 342 003. Tel: (0291) 510 1927, 510 1937, Fax: (0291) 510 5919. HDFC AMC Ltd., 1st Floor, Gowardhan Plaza, 25, Trench Colony, Opposite Lok Kalamandal, UUddaaiippuurr - 313 001. Tel: (0294) 3988029, Fax: (0294) 3982000. TTAAMMIILL NNAADDUUHDFC AMC Ltd., ITC Centre, 1st Floor, 760, Anna Salai, CChheennnnaaii - 600 002. Tel: (044) 43979797 /43979716, Fax: (044) 28415855. HDFC AMC Ltd., 1371A, Ground Floor, Nadar Building, Trichy Road, CCooiimmbbaattoorree - 641 018. Tel: (0422) 4391861/62/63. Fax: (0422) 4391714. HDFC AMC Ltd., 127 C/3 East Veli Street, MMaadduurraaii - 625 001. TeleFax: (0452) 3988029. HDFC AMC Ltd., 1st Floor, No1 Bhimsena GardenStreet, Royapettah High Road, Mylapore, CChheennnnaaii – 600 004. Tel: (044) 30913060, Fax: (044) 30913082. HDFC AMC Ltd., 1st floor, Ram Complex, No. 454/3,Meyanoor Main Road, SSaalleemm - 636 009. Phone: (0427) 398 2680, Fax: (0427) 398 2700. HDFC AMC Ltd., 1st floor, No. 142/7, Sri Balaji Arcade, Opp. Alagar Jewellery, Trivandrum Road, Palayamkottai, TTiirruunneellvveellii - 627 002.Tel: (0462) 257 6174, Fax: (0462) 257 6173. HDFC AMC Ltd., No. 60, Sri Krishna Arcade, First Floor, Tennur High Road, Tennur, TTrriicchhyy - 620 017.Tel: (0431) 3982830, Fax: (0431) 3982835. HDFC AMC Ltd., Premises No.73, 1st Floor Door No. 73/19, Thiyagarjapuram Officer’sLine Officer’s Line, VVeelllloorree - 632 001, Tel: (0416) 2214670/2. Fax: (0416) 2214671. TTEELLAANNGGAANNAAHDFC AMC Ltd., 6-3-883/7, IInd Floor, Saphire Square, Somajiguda, HHyyddeerraabbaadd - 500 282.Tel.: (040) 6704 3657, Fax: (040) 23417407. HDFC AMC Ltd., 2-5-83/84, 1st Floor, MitralaxmiNarayana Arcade, Nakkala Gutta, Hanmakonda,WWaarraannggaall - 506 002. Tel: (0870) 2566 005 / 006 / 007 / 008/ 009, Fax: (0870) 2566010.UUTTTTAARRAAKKHHAANNDDHDFC AMC Ltd., 76, Rajpur Road, Near RTO, DDeehhrraadduunn - 248 001. Tel: (0135) 3988029 / 7434, Fax: (0135) 3987444. HDFC AMC Ltd., Plot No. 1, 1st Floor, Durga City Centre, Bhotia Parao, Nainital Road,HHaallddwwaannii - 263 139. Tel: (05946) 285286 Fax: (05946) 285290.HDFC AMC Ltd., 1st Floor, Kumar Complex, Chandracharya Chowk, HHaarriiddwwaarr - 249407 Tel: (01334) 222406/7 Fax: (01334) 222410. UUTTTTAARR PPRRAADDEESSHHHDFC AMC Ltd., B2, 1st Floor, 9/4, Shankar Point,Sanjay Place, AAggrraa - 282 002. Tel: (0562) 3984761-73, Fax: (0562) 3984777. HDFC AMC Ltd., 3/260-A, Arena Complex, Laxmibai Marg, Marris Road, AAlliiggaarrhh - 202 001.

Tel: (0571) 2740 770 / 771 / 772, Fax: (0571) 2740772. HDFC AMC Ltd., 3rd Floor, Agarwal Arcade, Hyundai Motors Showroom, 4 Sardar Patel Marg, Civil Lines, AAllllaahhaabbaadd - 211 001. Tel: (0532) 2561 035/036/038, Fax: (0532) 2561035. HDFC AMC Ltd., 146 Civil Lines, 1st Floor, Gupta Complex, Near Circuit House Chouraha, BBaarreeiillllyy - 243 001. Tel: (0581) 2510 749 / 759, Fax: (0581) 2510709. HDFC AMC Ltd., D-2, 1st Floor, Raj Nagar DistrictCentre, Raj Nagar, GGaazziiaabbaadd - 201 010. Tel: (0120)301 0635, Fax: (0120) 3010636. HDFC AMC Ltd., 4th Floor, A.D. Tower Compound,Bank Road, GGoorraakkhhppuurr -273 001, Tel. No: (0551) 6060011/2/3. HDFC AMC Ltd., 101 & 201, Sai Arcade, 16/34 Bhargava Estate, Civil Lines, KKaannppuurr - 208 001. Tel: (0512) 3935592/93/94, Fax: (0512) 3935596. HDFC AMC Ltd., 1st Floor, Narain Ford Building, 4 Shah Najaf Road, Hazratganj, LLuucckknnooww - 226 001. Tel: (0522) 4155500/ 01, Fax: (0522) 4155555. HDFC AMC Ltd., 143/145/1, Ganpati Plaza, GroundFloor, Magal Pandey Nagar, MMeeeerruutt - 250 005. Tel: (0121) 2602 380 / 2601 965, Fax: (0121) 2602380. HDFC AMC Ltd., Parsvnath Plaza-II, UGF Hall No.4,Delhi Road, MMoorraaddaabbaadd - 244 001. Tel: (0591) 3988029 / 3982131. Fax: (0591) 3982137. HDFC AMC Ltd., K-24/25, First Floor, Pearl Plaza Building, Sector-18, NNooiiddaa - 204 301. Tel: (0120) 432 5757/ 5959. Fax: (0120) 423 4349. HDFC AMC Ltd., D-64/127, 4th Floor, ArihantComplex, Sigra, VVaarraannaassii - 221 010. Tel: (0542) 6450711/ 6450712. WWEESSTT BBEENNGGAALLHDFC AMC Ltd., 2nd Floor, Chatterjee Plaza, 69/101,GT Road, Rambandhutala, AAssaannssooll - 713 303. Tel: (0341) 2221220, Fax: (0341) 2221219. HDFC AMC Ltd., City Plaza, City Centre, 1st Floor, DDuurrggaappuurr - 713 216. Tel: (0343) 3982150, Fax: (0343) 3982153. HDFC AMC Ltd., Krishna Enclave, 2nd Floor, 2/1, Bhajanlal Lohia Lane, Opposite Howrah A.C. Market, HHoowwrraahh - 711 101, Phone: (033) 33546150/163, Fax: (033) 33546157. HDFC AMC Ltd., Menaka Estate, 1st Floor, 3 Red Cross Place, KKoollkkaattaa - 700 001. Tel: (033) 22312875, 22312876, Fax: (033) 22439582. HDFC AMC Ltd., 2nd Floor, 209A, Sarat Bose Road, Besides Sarat Bose Road Post Office, KKoollkkaattaa - 700029. Tel: (033) 33541166/67/68/70/71,Fax: (033) 33541172.HDFC AMC Ltd., Gitanjali Complex, 2nd Floor, AboveCorporation Bank, Sevoke Road, SSiilliigguurrii - 734 001. Tel: (0353) 6453474. Fax: (0353) 2545270.

* This is not an Investor Service Centre for HDFCMutual Fund. However, this is an official point of acceptance for acceptance of all on-going transactions from Institutional Investors only, i.e.broadly covering all entities other than resident / non resident individuals. Institutional Investors are free to lodge their applications at any other officialpoints of acceptance also.

** Official points of acceptance of transactions forschemes of HDFC Mutual Fund except purchase transactions of Liquid Schemes / Plans viz. HDFC Liquid Fund, HDFC Liquid Fund - Premium Planand HDFC Cash Management Fund - Savings Plan &Call Plan.

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