Analysis of Mutual Funds BY Group No. 1 Amit Kumar Yadav Ankit Bothra Prateek Mishra Stuti Kapoor Sushma Vegesna
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Analysis of Mutual Funds
BY
Group No. 1
Amit Kumar YadavAnkit Bothra
Prateek Mishra
Stuti Kapoor Sushma Vegesna
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Mutual Fund
� Mutual funds are funds that pool the moneyof several investors to invest in equity or debt
markets. Mutual Funds could be Equity funds,Debt funds or balanced funds. Funds areselected on quantitative parameters likevolatility, FAMA Model, risk adjusted returns,
rolling return coupled with a qualitativeanalysis of fund performance and investmentstyles through regular interactions / duediligence processes with fund managers.
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Types of Mutual Fund
� Equity fund
� Debt fund
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Advantages of Investing into a
Mutual Fund� Flexibility
� Affordability
� Liquidity� Diversification� Professional Management
� Potential of return� Low Costs
� Regulated for investor protection
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HDFC Mutual Fund
� Name :HDFC Equity Fund (Growth & Dividend)
� Date of inception : 24/12/1994
� Fund manager : Mr. Anand Laddha & Mr. Prasant Jain.
� Fund Size in Rs. Cr. : 8946.62 as on Mar 31, 2011
� Face value : Rs.10
� Minimum investment amount : Rs. 5,000/-
� Benchmark Index - CNX500
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NET Asset Value
� Latest NAV : 286.24 as on Apr 8, 2011.
� 52 ²Week High : 315.35 as on Nov 10,2010.
� 52 - Week Low : 230.43 as on May 25,2010.
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� Type of scheme : Open Ended EquityFund
� Investment objective : Aims at providingcapital appreciation through investmentspredominantly in equity oriented
securities.
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Investment Sectors
� Banks
� Petroleum and petrochemical products.
� Software and consultancies.
� Automobiles
� Consumer durables & electronics.
� Media & entertainment.
� Pharmaceuticals & biotechnology.
� Mining and minerals.� Engineering and capital goods.
� Steel and ferrous metal.
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Beta 0.87
Standard Deviation (Annual) 5.28
Top Holdings As on 31 Mar
Name of Holding % Net Assets
State Bank of India 7.99
ICICI Bank 6.76
Tata Consultancy Services 4.59
Titan Industries 4.57
Infosys Technologies 4.47
Volatility Measures
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Fund Performance vs.B
enchmark Trailing Returns
As of 08 Apr 2011 Fund Return (in %)Category Return (in
%)
1- Week 1.27 1.21
1- Month 6.72 6.38
3- Month -0.34 -2.25
1- Year 18.80 8.6
2- Year 56.10 40.9
3- Year 20.03 10.23
5- Year 17.05 10.99
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HDFC MUTUAL FUND (Dividend)
Year Investment-return/
Unit
Total Discounted CF. @10%
Discounted CF.@ 32%
2006 (36.28) (9977) (9977) (9977)
2006 5 1375 1375 1375
2007 5 1375 1249.87 1042.25
2008 5.2 1512.5 1249.32 868.17
2009 3 825.0 619.57 358.87
2010 4 1100 751.3 361.9
2011 4 1100 683.1 275
2011 48.35 13296.25 8256.97 3324
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� Assuming that you have invested in thisdividend scheme on 1/1/2006 at an
NAV of 36.28 your IRR will be 24.069%
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HDFC Mutual Fund(Growth)
Year Investment-
return/Unit
Total Discounted
CF. @ 10%Discounted
CF. @ 32%
2006 107.009 (9951.83) (9951.83) (9951.83)
2011 286.24 26620.32 16531.21 6655.08
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� Assuming that you have invested in thisgrowth scheme on 1/1/2006 at an NAV
of 107.009 your IRR will be 24.65%
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Templeton India short term-
income Ret� Name: Franklin Templeton Asset Management
India Pvt. Ltd.
� Date of inception: January 2002
� Minimum investment: 5000
� Entry load: Nil.
� Exit load: 0.5% for redemption within 270 days
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Objective & strategy
� To generate stable returns by investingin fixed income securities with maturity
periods likely to be less than 3 years.
�The average maturity of the portfolioof the scheme is likely to be between 4
months and 12 months.
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Top Holdings
Company % Asset
Reliance utilities & power 13.07
Mudra Port & SEZ 8.45
Reliance Capital 5.67
ECL Finance 5.37
KAL Airways 4.59
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Net Asset Value
2008 2009 2010 2011
NAV (Rs) 1622.94 1816.9 1918.26 1959.59
Total return (%) 9.26 11.95 5.58 2.15
52 week high(Rs)
1622.94 1816.9 1918.26 ----
52 week low(Rs)
1488.42 1623.68 1818.07 ----
Net Asset (Rscr.)
400.47 4653.84 5509.61 ----
Expense ratio 0.9 1.2 1.3 ----
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Fund Performance
------- Fund
----- NSE T -BILL
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Volatility Measurement
� Standard deviation : 0.7
� Sharpe ratio : 3.25
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Thank you