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MF Project

The document contains a survey with 10 multiple choice questions regarding personal finance and investments. It collects information on demographics, income, investment habits, risk tolerance, investment horizon and objectives. It also provides tables listing the performance of various types of mutual funds including large cap, small cap, mid cap, multi cap, sector and balanced funds.

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dhiraj singh
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0% found this document useful (0 votes)
88 views

MF Project

The document contains a survey with 10 multiple choice questions regarding personal finance and investments. It collects information on demographics, income, investment habits, risk tolerance, investment horizon and objectives. It also provides tables listing the performance of various types of mutual funds including large cap, small cap, mid cap, multi cap, sector and balanced funds.

Uploaded by

dhiraj singh
Copyright
© Public Domain
We take content rights seriously. If you suspect this is your content, claim it here.
Available Formats
Download as DOCX, PDF, TXT or read online on Scribd
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Q1. What is your Age?

 18 – 30
 30 – 40
 40 and above

Q2. What is your Annual Income?

 50000 – 100000
 100000 – 300000
 300000 – 500000
 500000 and above

Q3. What percentage of income do you invest?

 0% - 10%
 11% - 20%
 21% - 30%
 30% above

Q4. How much would you rate your knowledge about mutual funds?

 Very Low
 Low
 Medium
 High
 Very High

Q5. You invest Rs. 1,00,000 in a share that goes down by 8% the next day.

 Sell all of the investments. You do not intend to take risk


 Sell a portion of your portfolio to cut your losses and reinvest
into more secure investment sectors
 Hold the investment and sell nothing, expecting performance to improve
 Invest more funds to lower your average investment price
Q6. What is your investment horizon and when do you plan to start
withdrawing your money from the portfolio?
 Within 1 year
 Between 1 -3 years
 Between 3 – 5 years
 Between 5 – 10 years

Q7. In which of the following options have you made the highest
investment till date?

 Liquid funds, FD, PPF


 Debt mutual funds, bonds
 Shares, Equity oriented funds
 Alternate Assets

Q8. What is your investment objective?

 Income and Capital preservation


 Long term growth
 Earn returns
 Future expenses

Q9. Suppose you had invested in equity stocks and equity markets fell
by 20%, How would you react?
 Panicked.
 Quite uneasy.
 A little concerned.
 Accepting possible highs and lows.
 Excited by potential gains.
Q10. What kind of investment would you prefer?

 High risk investment with possibility of excellent returns.


 Medium risk investment with possibility of good returns.
 Low risk investment with adequate return.
 Zero risk investment with very small return.
LARGE CAP FUNDS
Sr. No. Name CAGR % EXPENSE RATIO % NAV (Rs) AUM (CR)
1 HDFC TOP100 FUND GROWTH 11.34 2.08 475.102 16704.61
2 MIRAE ASSET LARGE CAP FUND 15.68 2.02 48.834 12314.96
3 RELIANCE LARGE CAP FUND 14.19 2.05 33.4315 12771.59
4 AXIS BLUECHIP FUND 12.37 1.86 27.72 5143.58
5 ICICI PRUDENTIAL BLUECHIP FUND 12 2.28 40.6 21846.44
UTI MASTERSHARE UNIT SCHEME 116.910
6 11.15 2.18 6003.38
7
ADITYA BIRLA SUNLIFE FRONTLINE
7 11.6 2.25 214.31 22023.44
EQUITY FUND
FRANKLIN INDIA BLUECHIP FUND 446.301
8 10.29 1.97 7793.13
5
9 SBI BLUECHIP FUND 13.33 1.82 37.6504 22216.66
10 EDELWEISS LARGE CAP FUNDS 12.15 1.6 34.11 159

SMALL CAP FUNDS


Sr. No. Name CAGR % EXPENSE RATIO % NAV (Rs) AUM (CR)
1 KOTAK SMALL CAP FUND 15.3 2.12 67.03 1165.23
ADITYA BIRLA SUNLIFE SMALL CAP
2 14.91 2.02 32.55 2374.32
FUND
3 HSBC SMALL CAP EQUITY FUNDS 13.5 2.2 46.14 761.05
4 SUNDARAM SMALL CAP FUNDS 14.13 2.26 77.32 1152.71
5 UNION SMALL CAP FUND N/A 2.72 13.1 327.62
6 HDFC SMALL CAP FUND 16.46 2.06 40.99 7660.38
7 L&T EMERGING BUSINESS FUND 18.17 2.05 23.06 5989.09
FRANKLIN INDIA SMALLER
8 16.95 2.2 51.38 7403.4
COMPANIES FUND
9 RELIANCE SMALL CAP FUNDS 21.24 2.05 38.06 8050.12
10 DSP SMALL CAP FUNDS 18.92 4.96 52.4 5089.91
MID CAP FUNDS
Sr. No. Name CAGR % EXPENSE RATIO % NAV (Rs) AUM (CR)
1 AXIS MID CAP FUND 16.18 2.28 34.64 2281.52
2 INVESTCO INDIA MID CAP FUND 15.91 2.47 45.79 368.86
3 TATA MIDCAP GROWTH 16.81 2.53 130.79 665.42
4 RELIANCE GROWTH 13.93 1.99 1066.78 661.75
5 FRANKLIN INDIA PRIME 16.44 2.08 905.92 6888.16
6 DSP MID CAP REGULAR 17.61 2.01 51.73 6073.64
7 KOTAK EMERGING EQUITY 19.04 2.29 36.34 4027.92
HDFC MIDCAP OPPORTUNITY
8 16.42 2.17 52.04 22243.59
FUNDS
9 ICICI PRUDENTIAL MIDCAP 15.64 2.41 96.47 1683.32
10 L&T MIDCAP 18.73 2.13 125.39 4503.02

MULTI CAP FUND


Sr. No. Name CAGR % EXPENSE RATIO % NAV (Rs) AUM (CR)
MOTILAL OSWAL MULTICAP 35
1 19.21% 1.95 24.92 13247
FUND
2 SBI FOCUSED EQUITY FUND 17.22% 2.03 137.996 4234
3 RELIANCE FOCUSED EQUITY FUND 17.03% 2.06 45.44 4458
4 FRANKLIN FOCUSED EQUITY FUND 16.56% 2.05 39.28 8264
5 SBI MAGNUM MULTI CAP FUND 16.03% 1.98 46.78 7228
6 KOTAK STANDARD MULTI CAP FUND 16.02% 1.8 33.98 24297
7 QUANT ACTIVE FUND 15.33% 2.48 171.63 7
8 TATA RETIREMENT SAVINGS FUND 15.16% 2.6 27.62 619
9 ADITYA BIRLA SUN LIFE 14.77% 2.24 693.22 11102
10 AXIS FOCUSED 25-FUND 14.66% 2.05 26.39 7584
SECTOR FUNDS
SECTOR FUND-BANKING
Sr. No. Name CAGR % EXPENSE RATIO % NAV (Rs) AUM (CR)
1 ADITYA BIRLA SUN LIFE- MNC FUND 18.71 2.04 734.7 3690.43
ICICI PRUDENTIAL (BANKING &
2 18.56 2.31 62.7 3068.44
FINANCIAL SERVICE FUND)
3 UTI BANKING & FINANCIAL SF 12.86 2.57 94.83 660.22
INVESCO INDIA FINANCIAL SERVICE
4 15.87 2.86 54.46 140
FUND

SECTOR FUND-INFRASTRUCTURE
Sr. No. Name CAGR % EXPENSE RATIO % NAV (Rs) AUM (CR)
1 FRANKLIN BUILD INDIA FUND 18.68 2.28 40.331 1255.87
2 L & T INFRA 14.12 2.18 14.95 1868
3 KOTAK INFRA 13.41 2.78 18.95 379
4 INVESCO INDIA 11.74 2.6 15.89 39

SECTOR FUND-PHARMA
Sr. No. Name CAGR % EXPENSE RATIO % NAV (Rs) AUM (CR)
1 RELIANCE PHARMA 9.98 2.1 142.89 2711
SBI HEALTH CARE OPPORTUNITY
2 7.11 2.24 113.88 1032
FUND
3 UTI HEALTH CARE FUND 5.73 2.78 80.92 437

SECTOR FUND-TECHNOLOGY
Sr. No. Name CAGR % EXPENSE RATIO % NAV (Rs) AUM (CR)
1 ADITYA BIRLA SUNLIFE DIGITAL 14.24 2.81 52.02 491
2 ICICI PRUDENTIAL TECH 13.7 2.73 57.84 476
3 SBI TECH OPP. FUND 12.86 2.71 64.36 154
4 FRANKLIN INDIA TECH 11.97 2.49 159.87 260
Balanced & Hybrid Fund
Sr. no. Name CAGR % EXPENSE RATIO % NAV (Rs) AUM (CR)
ICICI PRUDENTIAL BALANCED
29,033.4
1 ADVANTAGE FUND - DIRECT PLAN - 12.11% 1.14% 38.85
5
GROWTH
HDFC BALANCED ADVANTAGE FUND 40,783.8
2 12.01% 1.78% 205.73
-GROWTH 0
ICICI PRUDENTIAL BALANCED 29,033.4
3 10.77% 1.77% 36.13
ADVANTAGE FUND - GROWTH 5
RELIANCE BALANCED ADVANTAGE
4 10.63% 2.44% 1,763.79 92.49
FUND - GROWTH
INVESCO INDIA DYNAMIC EQUITY
5 10.61% 2.26% 1,006.59 29.38
FUND - GROWTH
ADITYA BIRLA SUN LIFE BALANCED
6 9.87% 1.98% 2,835.57 53.77
ADVANTAGE FUND - GROWTH
L&T DYNAMIC EQUITY FUND -
7 9.85% 2.58% 552.02 24.55
GROWTH
EDELWEISS BALANCED ADVANTAGE
8 9.49% 2.22% 1,400.43 24.09
FUND - GROWTH
DSP DYNAMIC ASSET ALLOCATION
9 8.61% 0.70% 898.86 16.10
FUND -DIRECT PLAN -GROWTH
PRINCIPAL BALANCED ADVANTAGE
10 7.34% 2.43% 218.47 20.98
FUND - GROWTH
Foreign Fund
Sr. no. Name CAGR % EXPENSE RATIO % NAV (Rs) AUM (CR)
ICICI PRUDENTIAL US BLUE CHIP
1 11.40% 2.31 27.3 756.19
EQUITY FUND (GROWTH)
RELIANCE US EQUITY
2 15.22% 2.81 15.22 644.94
OPPORTUNITIES FUND (GROWTH)
FRANKLIN INDIA FEEDER – FRANKLIN
3 14.20% 1.88 31.33 852.8
US OPPORTUNITIES(GROWTH)
ADITYA BIRLA SUN LIFE
4 INTERNATIONAL EQUITY FUND 6.50% 3.01 21.007 120.03
(GROWTH)
DSP BLACK ROCK US FLEXIBLE
5 11% 2.1 24.61 230.5
EQUITY FUND (GROWTH)
DSP BLACK ROCK WORLD
6 2.50% 1.78 16.45 208.21
AGRICULTURE FUND (GROWTH)
ICICI PRUDENTIAL GLOBAL STABLE
7 7.30% 2.12 14.89 210.33
EQUITY (GROWTH
DSP BLACK ROCK GLOBAL
8 5.40% 2.12 12.15 634.98
ALLOCATION FUND (GROWTH)
KOTAK US EQUITY STANDARD
9 10.49% 0.25 16.15 135.13
(GROWTH)
HSBC MANAGED SOLUTIONS-
10 MODERATE US REGULAR PLAN 10.44% 0.17 16.53 100.23
(GROWTH)
FUNDS OF FUNDS
Sr. No. Name CAGR % EXPENSE RATIO % NAV (Rs) AUM (CR)
FRANKLIN INDIA FEEDER US
1 14.2 1.41% 31.493 852.8
SUPPORT GROWTH
2 ADITYA BIRLA SUNLIFE FINANCE 11.19 0.66% 21.86 120.03
3 HSBC MANAGERIAL 11.19 1.45% 17.39 100.23
4 DSP US FLEXIBLE EG FUND 11.11 2.26% 24.52 230.53
ICICI PRUDENTIAL ASSET
5 10.48 1.39% 54.8 765.19
ALLAOCATOR FUND
6 HSBC MANAGERIAL SOLUTION 10.44 1.34% 16.7 174.86
FRANKLIN INDIA DYNAMIC P/E
7 10.08 1.31% 82.99 962.99
RATIO
ICICI PRUDENTIAL DEBT
8 9.22 0.29% 29.4 210.33
MANAGEMENT FUND
HSBC MANAGERIAL SOLUTION
9 8.02 1.50% 14.82 165.22
CONSERVATION
10 IDFC ALL SEASON BOND 7.81 0.40% 28.87 144.46

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