Sundaram Sel Mid Cap Instl Gr

To achieve capital appreciation

Key stats

Management firm  Sundaram Asset Management Company Ltd
Domicile  India
Fund Administrator  Sundaram BNP Paribas Mutual Fund
Global Branding Name  Sundaram
Fund currency  INR
Net Assets Date  2014-11-30
Net Assets  ₨4,294,967,295
Launch Date  2009-05-20
ISIN  INF903J01207
Manager 1 Name  S Krishnakumar
Fund Strategy  Small/Mid-Cap
Benchmark  S&P BSE Midcap INR
Fund Structure  Open Ended Investment Company
UCITS 3 compliant  no

Performance/Volatility

Return Date  2014-11-30
Return - 1 Month  5.72%
Return - 2 Months  8.66 %
Return - 3 Months  14.66%
Return - 6 Months  32.57 %
Return - 9 months  74.84 %
Return - 12 Months  84.34%
Annualized return 24 months  34.86 %
Annualized return 36 months  31.83 %
Annualized return 48 months  18.33 %
Annualized return 60 months  19.92 %
Return 120 months  0.00 %
Annualized return since Inception  0.00%
Return YTD  70.95%

Ratings

Morning Star Rating Date   2014-11-30
Morning Star Rating - 36 Months  fund has a 3 star rating fund has a 3 star rating fund has a 3 star rating
Morning Star Rating - 60 Months  fund has a 3 star rating fund has a 3 star rating fund has a 3 star rating
Morning Star Rating - Overall  fund has a 3 star rating fund has a 3 star rating fund has a 3 star rating

Charges

Initial  0.00 %
Minimum Investment  ₨10,000,000
Maximum Managment Charge  1.25 %
Exit charge  0.00 %
Performance Fee  0.00 %

Contact

Contact Address  Sundaram Asset Management Company Limited
Contact Address 2  Sundaram Towers,
Contact Address 3  2nd Floor, 46 Whites Road,
Contact city  Chennai
Contact country  India
Fund Admin Group  Sundaram Asset Management Company Ltd
Web Address  www.sundarammutual.com
Email contact  rahulm@sundarammutual.com
Custodian  HDFC Bank Ltd
Phone  +91 44 28583362/3367

Price

Last Price Date  2014-12-24
Pre-tax nav  316.96
Pre-tax offer  0.00
Pre-tax bid  0.00
Pre-tax mid  0.00
Post-tax nav  0.00
Post-tax offer  0.00
Post-tax bid  0.00
Price change  ₨0.20
Price change (percentage)  0.06 %
Guaranteed NAV  0.00000
Close Price  0.00

Funds Disclaimer

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Ratings Disclaimer

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