Reliance Monthly Income Plan (G)

Reliance Monthly Income Plan (G)

Summary Info
Fund Name : Reliance Mutual Fund
Scheme Name : Reliance Monthly Income Plan (G)
AMC : Reliance Mutual Fund
Type : Open
Category : Monthly Income Plans - Long Term
Launch Date : 10-Dec-03
Fund Manager : Amit Tripathy
Net Assets (Rs. cr) : 3,410.42

NAV Details

NAV Date : 24-May-13
NAV [Rs.] : 26.5
Buy/Resale Price [Rs.] : 26.20
Sell/Repurchase Price [Rs.] : 26.46
Entry Load % : NIL
Exit Load % : <_25 lakh - 0.75% within 3 months, 0.60% within 3-6 months, 0.50% within 6-9 months, 0.25% within 9-12 months; >25 lakh - 0.10% within 0-7 days

NAV Chart

Graph: 1m |   3m |   6m |   1y |   3y

Performance(%)

* returns above 1 yr. are annualized

  1w 1m 3m 6m 1y 3y 5y Since INC
Scheme Returns [0.5] 2.7 4.4 7.0 13.6 9.1 12.8 10.9
Category Avg 33.2 14.9 [1.0] 1.9 [1.4] 4.9 6.7 6.2
Category Best 440.8 125.6 36.2 20.6 15.5 10.7 11.6 9.8
Category Worst [76.8] [35.2] [31.9] [23.4] [20.3] 0.8 0.7 1.0

Latest Payouts

  Dividends Bonus
Ratio NA NA
Date NA NA

Investment Details

Tax Benefits : 54EA 
Min. Investment(Rs.) : 5,000.00
Increm.Investment(Rs.) : 1.00

In & Out

In
Name of the Company No of shares
No fresh investments made in
Out
Name of the Company No of shares
Axis Bank 70,000
Wheels India 128,776
Orient Green 5,087,447

Fund Holdings

As on 31-Mar-2013

Asset TypeInstrument NameIndustryNet Assets
(%)
No of SharesMkt Value
(Cr.)
Equity & Equity related Investments
Equityicici bank ltdBanks1.8564,81759.0
Equityhdfc bank ltdBanks1.3700,00043.8
Equitysanofi india ltdPharmaceuticals0.9122,42131.8
Equityinfosys ltdIT - Software0.9102,70029.7
Equityskf india ltdAuto Ancillaries0.9523,30028.8
Equityfederal-mogul goetze (india) ltd.Auto Ancillaries0.91,445,10728.9
Equitydivi's laboratories ltdPharmaceuticals0.9290,00028.6
Equityoil india ltdCrude Oil & Natural Gas0.8540,60027.6
Equityhindustan zinc ltdNon Ferrous Metals0.72,029,03924.6
Equityhindustan media ventures ltdMedia - Print/Television/Radio0.71,664,14324.1
Equitycairn india ltdCrude Oil & Natural Gas0.7800,00021.8
Equitybank of barodaBanks0.6303,02620.5
Equityalstom t&d india ltdCapital Goods - Electrical Equipment0.61,274,32618.7
Equitytree house education & accessories ltdMiscellaneous0.5796,12018.3
Equityonmobile global ltdTelecomm-Service0.54,891,00017.4
Equitybharat forge ltdCastings, Forgings & Fastners0.5850,00017.6
Equitytata motors ltdAutomobile0.51,093,00016.7
Equityeicher motors ltdAutomobile0.452,77513.5
Equitytalwalkars better value fitness ltdMiscellaneous0.4933,81613.3
Equitysiemens ltdCapital Goods - Electrical Equipment0.4224,48512.3
Equityhousing development finance corporation ltdFinance0.4149,90012.4
Equitythe jammu & kashmir bank ltdBanks0.396,46611.5
Equitymaruti suzuki india ltdAutomobile0.376,3009.8
Equityabb ltdCapital Goods - Electrical Equipment0.3196,4499.6
Equitysterlite industries ( india ) ltdNon Ferrous Metals0.31,000,0009.4
Equityaxis bank ltdBanks0.370,0009.1
Equitybharti airtel ltdTelecomm-Service0.3305,0008.9
Equitywheels india ltdAuto Ancillaries0.2128,7767.5
Equityorient green power company ltdPower Generation & Distribution0.25,087,4477.2
Equitylarsen & toubro ltdInfrastructure Developers & Operators0.250,0006.8
Equitytata global beverages ltdPlantation & Plantation Products0.2500,0006.4
Equitymanappuram finance ltdFinance0.23,000,0006.5
Equitytv18 broadcast ltdEntertainment0.22,110,5815.9
Equitybharat petroleum corporation ltdRefineries0.2157,0365.9
Equitycipla ltdPharmaceuticals0.2150,0005.7
Equitytvs motor company ltdAutomobile0.21,662,0005.4
Equityhindalco industries ltdNon Ferrous Metals0.2606,0005.6
Equityprestige estates projects ltdRealty0.1295,3494.8
Equityaditya birla nuvo ltdTextiles0.150,0004.9
Equitymahindra forgings ltdCastings, Forgings & Fastners0.11,038,1213.9
Equityinfrastructure development finance company ltdFinance0.1200,0002.9
Equitybalrampur chini mills ltdSugar0.1688,0003.0
Equityreliance power ltdPower Generation & Distribution0.0231,0091.4
Debt Investments
NCDreliance infrastructure ltdAA-5.217,500,000174.5
NCDhindalco industries ltdAA+3.511,500,000117.8
Floating Rate Instrumentsl&t finance ltdAA+3.010,000,000100.8
PTCtata teleservices ltdA+(SO)2.27575.2
NCDreliance utilities & power pvt ltdAAA1.96,500,00065.0
ZCBkotak mahindra prime ltdAA+1.65,690,00054.7
NCDtata motors ltdAA-1.55,000,00050.5
NCDjindal saw ltdAA-1.55,000,00050.6
NCDidea cellular ltdAA1.55,000,00050.1
NCDyes bank ltdAA1.55,000,00050.2
PTCshriram transport finance company ltdAA+ (SO)1.54848.9
NCDoriental bank of commerceAA+1.34,500,00045.2
NCDaditya birla finance ltdAA0.93,000,00030.5
NCDhpcl mittal energy ltdAA-0.82,500,00026.6
NCDstate bank of indiaAAA0.82,500,00026.1
NCDhpcl mittal pipelines ltdAA-0.62,000,00021.1
NCDhpcl mittal pipelines ltdAA-0.62,000,00021.2
NCDhpcl mittal pipelines ltdAA-0.62,000,00021.3
NCDtata motors finance ltdAA-0.62,000,00020.2
NCDhindalco industries ltdAA+0.51,500,00015.4
NCDpower grid corporation of india ltdAAA0.51,500,00015.4
NCDyes bank ltdAA0.51,500,00015.4
NCDpower grid corporation of india ltdAAA0.51,500,00015.5
NCDtata power company ltdAA0.41,500,00014.7
NCDtata power company ltdAA0.41,500,00014.6
NCDtata power company ltdAA0.41,500,00014.6
NCDtata power company ltdAA0.41,500,00014.6
ZCBkotak mahindra prime ltdAA+0.41,500,00013.3
NCDpower grid corporation of india ltdAAA0.31,000,00010.0
NCDpower grid corporation of india ltdAAA0.31,000,00010.2
NCDpower grid corporation of india ltdAAA0.31,000,00010.2
NCDpower grid corporation of india ltdAAA0.31,000,00010.2
NCDpower grid corporation of india ltdAAA0.31,000,00010.3
NCDindia infoline finance ltdAA-0.3945,8809.7
NCDtata motors finance ltdAA-0.2800,0008.1
NCDsundaram bnp paribas home fina ltdAA0.2720,0007.2
NCDtata power company ltdAA0.2500,0004.9
NCDultratech cement ltdAAA0.2500,0004.9
NCDtata motors ltdAA-0.2500,0005.0
NCDpower grid corporation of india ltdAAA0.2500,0005.1
NCDpower grid corporation of india ltdAAA0.2500,0005.1
NCDpower grid corporation of india ltdAAA0.2500,0005.1
NCDpower grid corporation of india ltdAAA0.2500,0005.1
NCDpower grid corporation of india ltdAAA0.2500,0005.2
NCDpower grid corporation of india ltdAAA0.2500,0005.2
NCDpower grid corporation of india ltdAAA0.2500,0005.2
NCDpower grid corporation of india ltdAAA0.2500,0005.2
NCDpower grid corporation of india ltdAAA0.2500,0005.2
NCDtrent ltdAA-0.1500,0004.9
PTCjet airways (india) ltdAAA0.11,164,9502.2
PTCjet airways (india) ltdAAA0.0930,0001.3
NCDlic housing finance ltdAAA0.0100,0001.0
NCDreliance gas transportation infrastructure ltdAAA0.050,0000.5
ZCBnational housing bankAAA0.090,0000.8
NCDkotak mahindra prime ltdAA+0.010,0000.1
NCDhousing development finance corporation ltdAAA0.010,0000.1
Government Securities
Govt. Securities8.2% government of indiaSovereign10.635,500,000358.5
Govt. Securities8.33% government of indiaSovereign8.628,500,000290.8
Govt. Securities8.97% government of indiaSovereign5.718,000,000192.0
Govt. Securities8.84% state governement securitiesSovereign3.010,000,000101.7
Govt. Securities8.3% government of indiaSovereign1.55,068,80051.1
Govt. Securities9.15% government of indiaSovereign1.34,201,30045.2
Govt. Securities8.8% state governement securitiesSovereign1.24,073,30041.3
Govt. Securities8.9% state governement securitiesSovereign0.93,096,80031.6
Govt. Securities9.19% state governement securitiesSovereign0.93,000,00031.0
Govt. Securities8.86% state governement securitiesSovereign0.72,236,60022.8
Govt. Securities9.12% state governement securitiesSovereign0.62,000,00020.7
Govt. Securities9.17% state governement securitiesSovereign0.2500,0005.2
Govt. Securities9.25% state governement securitiesSovereign0.2500,0005.2
Govt. Securities7.17% government of indiaSovereign0.1456,1004.5
Govt. Securities8.08% government of indiaSovereign0.0119,6001.2
Derivative Investments
Derivativesinterest rate swaps (27/05/2013)-/-[0.0]750,000,000[0.2]
Money Market Investments
Certificate of Depositsaxis bank ltdA1+0.0100,0001.0
Cash & Cash Equivalent
Net CA & Othersnet current assets-/-3.8NA130.0
CBLOcbloUR / N.A.1.5NA51.7
Net CA & Otherscash margin - derivatives-/-0.0NA1.0
Net CA & Otherscash margin - ccil-/-0.0NA1.0

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Key Information

Fund House: Reliance Mutual Fund
Incorporation Date : 24-Feb-1995
Total Assets Managed (Cr.) : 26,420.11
Trustee/s : S Santhanakrishnan
Chairman : N/A
CEO / MD : Mr. Sundeep Sikka
CIO : N/A
President : N/A
Director/s : Sushil C. Tripathi
Compliance Officer/s : Mr. Muneesh Sud
Investor Service Officer/s : Mr. Bhalchandra Joshi
Fund Manager/s : Amit Tripathy

Other Information

Auditors :  N/A
Registered Office : 11th & 12th floor, One Indiabulls ,Centre, Tower 1, 841, Senapati ,Bapat Marg,Elphinstone Road,Mumbai-13
Contact Nos : 022 - 3099 4600
Fax : 022 - 3099 4699
Email : customer_care@reliancemutual.com
Website :  www.reliancemutual.com

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