Religare PSU Equity Fund(Inception Date : Nov 18, 2009)
9.79
-10.68%
7.45%
NA
-
-
BSE PSU Index
-
-18.40%
-0.87%
NA
-
-
¹S&P CNX NIFTY
-
-9.23%
11.14%
NA
-
-
Fund Manager: Vetri Subramaniam#
Religare Business Leaders Fund(Inception Date : Aug 21, 2009)
11.64
-7.62%
9.00%
NA
-
-
S&P CNX NIFTY
-
-9.23%
11.14%
NA
-
-
¹BSE Sensex
-
-10.50%
10.94%
NA
-
-
Fund Manager: Amit Ganatra
Religare Banking Fund(Inception Date : July 14, 2008)
18.84
-10.80%
23.87%
117.20%
18.59%
18,840
CNX Bank Index
-
-12.75%
23.74%
128.87%
19.88%
19,611
¹S&P CNX NIFTY
-
-9.23%
11.14%
73.76%
7.56%
13,109
Fund Manager: Vinay Paharia
Religare Mid N Small Cap Fund(Inception Date : Mar 17, 2008)
14.66
5.92%
12.34%
133.78%
9.93%
14,660
CNX Midcap Index
-
-4.09%
4.35%
126.12%
6.82%
13,053
¹S&P CNX NIFTY
-
-9.23%
11.14%
73.76%
4.09%
11,760
Fund Manager: Pranav Gokhale#
Religare AGILE Tax Fund(Inception Date : Mar 10, 2008)
7.40
-4.76%
8.37%
35.28%
-7.15%
7,400
S&P CNX NIFTY
-
-9.23%
11.14%
73.76%
2.45%
11,031
¹BSE Sensex
-
-10.50%
10.94%
80.54%
2.21%
10,930
Fund Manager: Pranav Gokhale#
Religare AGILE Fund(Inception Date : Dec 19, 2007)
6.63
-3.91%
10.22%
40.67%
-9.15%
6,630
S&P CNX NIFTY
-
-9.23%
11.14%
73.76%
-1.91%
9,208
¹BSE Sensex
-
-10.50%
10.94%
80.54%
-2.14%
9,116
Fund Manager: Amit Ganatra
Religare Infrastructure Fund(Inception Date : Nov 21, 2007)
7.20
-11.55%
-0.37%
72.00%
-7.26%
7,200
CNX Infrastructure Index
-
-18.45%
-10.11%
44.46%
-16.13%
4,644
¹S&P CNX NIFTY
-
-9.23%
11.14%
73.76%
-1.12%
9,523
Fund Manager: Vetri Subramaniam#
Religare Equity Fund(Inception Date : Oct 4, 2007)
11.66
-8.19%
7.17%
79.27%
3.48%
11,660
BSE 100
-
-9.23%
8.55%
88.17%
-0.19%
9,913
¹S&P CNX NIFTY
-
-9.23%
11.14%
73.76%
0.37%
10,167
Fund Manager: Pranav Gokhale#
4Religare Arbitrage Fund(Inception Date : April 30, 2007)
13.8769
7.79%
6.69%
3.70%
6.88%
13,877
CRISIL Liquid Fund Index
-
8.44%
6.21%
3.69%
6.80%
13,825
¹S&P CNX NIFTY
-
-9.23%
11.14%
73.76%
5.40%
12,954
Fund Manager: Vetri Subramaniam# & Vinay Paharia
Religare Growth Fund(Inception Date : Aug 9, 2007)
12.31
-6.67%
14.80%
72.26%
4.57%
12,310
BSE 100
-
-9.23%
8.55%
88.17%
3.59%
11,780
¹S&P CNX NIFTY
-
-9.23%
11.14%
73.76%
4.05%
12,027
Fund Manager: Vinay Paharia
Religare Mid Cap Fund(Inception Date : April 19, 2007)
14.55
5.36%
9.00%
133.33%
7.86%
14,550
CNX Midcap Index
-
-4.09%
4.35%
126.12%
8.65%
15,083
¹S&P CNX NIFTY
-
-9.23%
11.14%
73.76%
5.84%
13,247
Fund Manager: Vetri Subramaniam#
Religare Contra Fund(Inception Date : April 11, 2007)
15.37
-5.59%
7.81%
107.70%
9.02%
15,370
BSE 500
-
-9.11%
7.48%
96.38%
6.12%
13,441
¹S&P CNX NIFTY
-
-9.23%
11.14%
73.76%
6.55%
13,710
Fund Manager: Vetri Subramaniam# & Vinay Paharia
Religare Tax Plan(Inception Date : Dec 29, 2006)
17.26
-1.15%
10.93%
98.24%
10.94%
17,260
BSE 100
-
-9.23%
8.55%
88.17%
5.31%
13,124
¹S&P CNX NIFTY
-
-9.23%
11.14%
73.76%
5.65%
13,351
Past performance may or may not be sustained in future. Returns are of Growth Option.
1Additional Benchmark.
4Religare Arbitrage Fund 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.
*Please refer to Hybrid category for performance of Religare Monthly Income Plus Plan and Religare Monthly Income Plan which are co-managed by Vetri Subramaniam and Sujoy Das.
#Please refer to Hybrid category for performance of Religare Capital Protection Oriented Fund – Series 1, which is co-managed by Pranav Gokhale & Sujoy Das.
Religare Nifty Exchange Traded Fund and Religare Capital Protection Oriented Fund – Series I have not completed one year since inception, hence, performance data is not provided. Since, inception returns are given only in respect of schemes which have completed 3 years.
Risk Factors: All mutual funds and securities investments are subject to market risks and there can be no assurance that the objective of Scheme will be achieved. Investment in mutual fund units involve investment risks such as trading volumes, settlement risk, liquidity risk, default risk including the possible loss of capital. As with any investment in securities, the NAV of the units issued under scheme may go up or down depending upon the factors and forces affecting the securities markets. Past performance of the Sponsor and its affiliates / AMC / Mutual Fund and its Scheme(s) do not indicate the future performance of the Scheme of the Mutual Fund. The names of the Schemes do not in any manner indicate either the quality of the Schemes, their future prospects and returns. Please read the Scheme Information Document and Statement of Additional Information carefully before investing. Statutory Details: Religare Mutual Fund has been set up as a trust sponsored by Religare Securities Ltd. (liability restricted to Rs. 1,50,000) with Religare Trustee Company Ltd. as the Trustee (Trustee under the Indian Trusts Act, 1882) and with Religare Asset Management Company Ltd. as the Investment Manager.