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Gainers & Losers : Equity Others
Absolute Returns (in %)  as on Nov 09, 2009
Listed below are the schemes in the selected category based on their 1 year return. Use the adjacent drop down menu to view the schemes based on their Absolute or Annualised Returns or Ranks.
View : Index Returns
Mutual Fund Scheme Rating Asset
(Rs. cr.)
NAV 1 wk 1 mth 3 mth 6 mth 1 yr 2 yr 3 yr 5 yr
Tata Life Sc & Tech Fund (G) Not Rated 49.96 61.33 8.4 6.0 17.4 81.3 112.2 21.8 36.5 186.7
UTI Transport & Logistics (G) Not Rated 46.62 21.19 5.8 0.6 25.6 71.4 102.0 24.3 11.6 104.3
Reliance Diver. Power - RP (G) Not Rated 5,991.29 75.46 7.2 -0.7 16.0 56.5 76.1 3.5 127.3 569.6
Birla Sun Life Buy India (G) Not Rated 50.19 33.80 7.5 -0.2 18.0 54.3 71.6 10.1 26.0 214.1
Birla SL Basic Industries (G) Not Rated 131.49 89.66 8.6 0.5 16.3 59.0 69.1 -14.6 33.7 176.6
UTI Services Industries (G) Not Rated 361.32 51.53 7.8 2.8 19.4 58.5 60.2 -20.9 11.4 107.5
Reliance Media & Entertain (G) Not Rated 129.70 23.69 8.1 -2.2 19.7 47.8 55.9 -24.6 10.6 133.8
UTI Energy Fund (G) Not Rated 718.46 10.48 6.0 -2.2 13.5 42.0 55.0 -24.8 0.7 48.9
Sundaram Energy Oppor. (G) Not Rated 2,021.92 8.16 8.0 -5.0 9.9 50.4 51.6 -- -- --
JM Basic Fund (G) Not Rated 671.10 17.52 7.7 -4.0 9.9 56.5 48.9 -47.1 -0.6 59.4
JM Telecom Sector Fund (G) Not Rated 5.57 7.54 5.2 -10.8 -12.6 10.0 11.0 -42.8 -24.6 --
JM Financial Services Fund (G) Not Rated 31.40 8.91 11.4 -3.2 11.3 36.3 3.9 -44.9 -10.9 --
Index 1 wk 1mth 3mth 6mth 1yr 2yr 3yr 5yr
Sensex 7.1 -0.9 9.9 41.2 56.6 -12.7 25.6 178.2
Nifty 7.3 -0.9 10.4 37.8 55.6 -13.5 29.0 163.5
BSE Auto 6.2 2.7 27.1 82.3 142.8 27.2 24.9 178.9
BANKEX 10.9 3.9 26.9 70.3 75.6 -0.6 54.4 245.4
BSE CD 6.4 -5.4 17.0 83.0 61.1 -32.6 7.5 163.7
BSE FMCG 3.2 2.7 14.0 36.4 43.1 40.8 36.4 197.3
BSE Healthcare 5.1 4.1 21.4 48.2 49.5 18.7 22.7 74.2
BSE IT 5.1 5.0 11.7 66.6 59.5 5.6 -7.4 80.0
BSE PSU 9.9 1.1 10.8 49.7 71.3 -8.7 49.7 137.3
BSE TECk 4.8 -1.3 1.5 33.2 31.8 -19.8 -12.2 82.3
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Note : Returns have been calculated based on NAV's as on Nov 09, 2009 & Index values as on Nov 09, 2009

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