Mutual Funds »Funds»Fund House Snapshot
Reliance Mutual Fund - Fund House Snapshot

Fund Details

Total Asset Size (Rs cr):
96,850.91
 Total Schemes : 128
Asset as on 31 Mar 13
Categories and No. of Schemes
Fixed Maturity Plans  :65
Interval Income Funds  :13
Equity - Diversified  :10
Income Funds  :4
Others  :36

Fund Performance

Arbitrage Funds

Scheme NameLaunched NAVReturn (%)Asset size
  (Rs)1yrInception(Rs cr)
Reliance Arbitrage Advantage Fund (G)24 Sep 1012.54229.459.133.72

Equity - Banking

Scheme NameLaunched NAVReturn (%)Asset size
  (Rs)1yrInception(Rs cr)
Reliance Banking Fund - (G)08 May 03120.044241.2828.211,807.52

Equity - Diversified

Scheme NameLaunched NAVReturn (%)Asset size
  (Rs)1yrInception(Rs cr)
Reliance Small Cap Fund (G)26 Aug 109.753712.65-0.93323.87
Reliance Growth Fund - (G)25 Sep 95472.393417.8724.464,705.96
Reliance Vision Fund - (G)25 Sep 95272.663316.1920.641,645.64
Reliance NRI Equity Fund (G)16 Oct 0445.631230.9119.5487.00
Reliance Equity Opportunities Fund (G)14 Feb 0543.812125.2219.895,105.30
Reliance Regular Savings Fund - Equity (G)10 Jun 0532.414025.4215.952,524.13
Reliance Equity Fund (G)06 Feb 0615.347131.346.181,005.15
Reliance Long-Term Equity Fund (G)14 Nov 0615.940213.737.56852.65
Reliance Top 200 Fund (G)12 Jun 0714.614625.286.79778.29
Reliance Quant Plus Fund (G)18 Apr 0814.663224.147.8254.66

Equity - Index

Scheme NameLaunched NAVReturn (%)Asset size
  (Rs)1yrInception(Rs cr)
Reliance Index Fund - Nifty (G)09 Sep 1010.233628.260.8842.93
Reliance Index Fund - Sensex (G)09 Sep 109.950027.63-0.193.26

Equity - Media

Scheme NameLaunched NAVReturn (%)Asset size
  (Rs)1yrInception(Rs cr)
Reliance Media & Entertainment Fund (G)16 Sep 0437.908441.4216.69105.47

Equity - Pharma

Scheme NameLaunched NAVReturn (%)Asset size
  (Rs)1yrInception(Rs cr)
Reliance Pharma Fund (G)10 May 0473.369930.1324.93684.75

Equity - Tax Planning

Scheme NameLaunched NAVReturn (%)Asset size
  (Rs)1yrInception(Rs cr)
Reliance Tax Saver (ELSS) Fund - (G)25 Jul 0524.393520.7212.351,996.83
Reliance Equity Linked Saving Fund - Sr.I (G)18 Dec 0716.462618.6010.20116.29

Equity Theme - Infrastructure

Scheme NameLaunched NAVReturn (%)Asset size
  (Rs)1yrInception(Rs cr)
Reliance Infrastructure Fund (G)25 May 096.1585-4.59-11.87459.24
Reliance Diversified Power Sector (G)29 Mar 0451.95224.1420.021,603.22

Equity Theme - Natural Resources

Scheme NameLaunched NAVReturn (%)Asset size
  (Rs)1yrInception(Rs cr)
Reliance Natural Resources Fund (G)01 Jan 089.37560.25-1.231,226.01

Exchange Traded Funds (ETFs)

Scheme NameLaunched NAVReturn (%)Asset size
  (Rs)1yrInception(Rs cr)
R* Shares Banking ETF12 May 081,391.667146.5718.8311.39

FOF

Scheme NameLaunched NAVReturn (%)Asset size
  (Rs)1yrInception(Rs cr)
Reliance Gold Savings Fund (G)14 Feb 1112.2711-7.219.761,984.77

Fixed Maturity Plans

Scheme NameLaunched NAVReturn (%)Asset size
  (Rs)1yrInception(Rs cr)
Reliance Dual Advantage FTF - Plan A (G)04 May 1012.503111.137.79536.19
Reliance Dual Advantage FTF - Plan B (G)29 Sep 1011.871611.776.87211.94
Reliance Dual Advantage FTF - I - Plan I (G)10 Mar 1112.030012.069.0229.26
Reliance Dual Advantage FTF - I - Plan J (G)11 Apr 1112.077312.889.6374.62
Reliance Dual Advantage FTF - I - Plan K (G)10 May 1112.122012.6110.28117.99
Reliance Fixed Horizon - XIX - Sr.20 (G)25 May 1112.00589.829.94216.20
Reliance Dual Advantage FTF - I - Plan L (G)10 Jun 1111.915812.759.7634.45
Reliance Fixed Horizon - XIX - Sr.21 (G)27 Jun 1111.87729.929.78179.91
Reliance Fixed Horizon - XIX - Sr.22 (G)14 Jul 1111.855710.159.7944.76
Reliance Fixed Horizon - XX - Sr.31 (G)06 Sep 1111.689410.189.81202.05
Reliance Fixed Horizon - XX - Sr.32 (G)03 Oct 1111.649510.1610.07122.92
Reliance Fixed Horizon - XX - Sr.33 (G)28 Oct 1111.638510.7610.55125.43
Reliance Fixed Horizon - XXI - Sr.25 (G)11 Nov 1111.41279.489.36214.51
Reliance Fixed Horizon - XXI - Sr.29 (G)01 Dec 1111.567811.8210.7990.48
Reliance Fixed Horizon - XXI - Sr.20 (G)12 Dec 1111.35609.949.4994.23
Reliance Fixed Horizon - XXI - Sr.30 (G)14 Feb 1211.368812.0711.23101.54
Reliance Dual Advantage FTF - II - Plan A (G)15 Feb 1211.731019.0514.23170.15
Reliance Dual Advantage FTF - II - Plan B (G)16 Mar 1211.831019.5416.54376.36
Reliance Dual Advantage FTF - II - Plan C (G)16 Apr 1212.216920.1821.52164.83
Reliance Fixed Horizon - XXI - Sr.26 (G)16 Apr 1211.099910.6910.60156.17
Reliance Dual Advantage FTF - II - Plan G (G)11 May 1211.5050----15.05162.42
Reliance Fixed Horizon - XXII - Sr.8 (G)21 May 1210.8787----8.79133.08
Reliance Fixed Horizon - XXII - Sr.9 (G)25 May 1210.9477----9.4847.81
Reliance Fixed Horizon - XXII - Sr.10 (G)08 Jun 1210.9008----9.0187.87
Reliance Fixed Horizon - XXII - Sr.11 (G)11 Jun 1210.8653----8.6598.72
Reliance Dual Advantage FTF - II - Plan D (G)15 Jun 1211.6868----16.87200.39
Reliance Fixed Horizon - XXII - Sr.13 (G)26 Jun 1210.7802----7.8056.25
Reliance Fixed Horizon - XXII - Sr.14 (G)03 Jul 1210.8138----8.14157.31
Reliance Fixed Horizon - XXII - Sr.15 (G)06 Jul 1210.8020----8.02105.75
Reliance Dual Advantage FTF - II - Plan H (G)03 Jul 1211.1147----11.1584.75
Reliance Dual Advantage FTF - II - Plan E (G)17 Jul 1211.6518----16.52119.83
Reliance Fixed Horizon - XXII - Sr.16 (G)27 Jul 1210.7195----7.2021.82
Reliance Fixed Horizon - XXII - Sr.20 (G)03 Aug 1210.7089----7.0939.12
Reliance Fixed Horizon - XXII - Sr.17 (G)10 Aug 1210.6575----6.5826.91
Reliance Fixed Horizon - XXII - Sr.21 (G)10 Aug 1210.8043----8.04148.11
Reliance Fixed Horizon - XXII - Sr.22 (G)16 Aug 1210.7394----7.3931.09
Reliance Fixed Horizon - XXII - Sr.23 (G)16 Aug 1210.8339----8.3453.91
Reliance Fixed Horizon - XXII - Sr.24 (G)23 Aug 1211.0190----10.1956.10
Reliance Fixed Horizon - XXII - Sr.25 (G)31 Aug 1210.6280----6.2841.90
Reliance Fixed Horizon - XXII - Sr.26 (G)04 Sep 1210.7472----7.47147.40
Reliance Fixed Horizon - XXII - Sr.27 (G)20 Sep 1210.5822----5.82121.55
Reliance Fixed Horizon - XXII - Sr.28 (G)12 Oct 1210.5491----5.4921.67
Reliance Fixed Horizon - XXII - Sr.29 (G)12 Oct 1210.5865----5.8725.87
Reliance Fixed Horizon - XXII - Sr.30 (G)22 Oct 1210.7838----7.8436.87
Reliance Fixed Horizon - XXII - Sr.31 (G)26 Nov 1210.4125----4.01167.58
Reliance Fixed Horizon - XXII - Sr.32 (G)30 Nov 1210.6621----6.6221.45
Reliance Fixed Horizon - XXII - Sr.33 (G)05 Dec 1210.4494----4.49286.70
Reliance Fixed Horizon - XXII - Sr.34 (G)13 Dec 1210.5369----5.3726.24
Reliance Fixed Horizon - XXII - Sr.35 (G)21 Dec 1210.3646----3.65152.79
Reliance Fixed Horizon - XXII - Sr.36 (G)28 Dec 1210.3412----3.4132.84
Reliance Fixed Horizon - XXII - Sr.37 (G)28 Dec 1210.3705----3.71110.35
Reliance Fixed Horizon - XXII - Sr.38 (G)01 Jan 1310.3388----3.39104.60
Reliance Fixed Horizon - XXII - Sr.39 (G)10 Jan 1310.3234----3.23128.96
Reliance Fixed Horizon - XXIII - Sr.1 (G)06 Feb 1310.3046----3.05223.91
Reliance Fixed Horizon - XXIII - Sr.2 (G)14 Feb 1310.2967----2.97262.78
Reliance Dual Advantage FTF - III - Plan A (G)14 Feb 1311.0377----10.3899.11
Reliance Fixed Horizon - XXIII - Sr.3 (G)04 Mar 1310.2491----2.4943.37
Reliance Fixed Horizon - XXIII - Sr.4 (G)05 Mar 1310.2078----2.08195.70
Reliance Fixed Horizon - XXIII - Sr.5 (G)08 Mar 1310.2421----2.421,533.56
Reliance Fixed Horizon - XXIII - Sr.6 (G)21 Mar 1310.1742----1.74480.62
Reliance Fixed Horizon - XXIII - Sr.7 (G)20 Mar 1310.1881----1.88105.34
Reliance Fixed Horizon - XXIII - Sr.8 (G)19 Mar 1310.2655----2.66153.48
Reliance Fixed Horizon - XXIII - Sr.9 (G)25 Mar 1310.1718----1.41406.16
Reliance Dual Advantage FTF - III - Plan B (G)16 Apr 1310.0824----0.55----
Reliance Fixed Horizon - XXIII - Sr.10 (G)18 Apr 1310.1210----0.96----

Floating Rate Funds - Short Term

Scheme NameLaunched NAVReturn (%)Asset size
  (Rs)1yrInception(Rs cr)
Reliance Floating Rate Fund - STP (G)23 Aug 0418.868110.457.551,485.32

Gilt Funds - Short Term

Scheme NameLaunched NAVReturn (%)Asset size
  (Rs)1yrInception(Rs cr)
Reliance Gilt Sec Fund - (G)27 Jun 0315.610618.114.62311.80

Gold - ETFs

Scheme NameLaunched NAVReturn (%)Asset size
  (Rs)1yrInception(Rs cr)
R* Shares Gold ETF (Div-Payt)15 Oct 072,407.4850-8.5116.812,555.29

Hybrid - Equity Oriented

Scheme NameLaunched NAVReturn (%)Asset size
  (Rs)1yrInception(Rs cr)
Reliance Regular Savings Fund - Balanced (G)10 Jun 0525.544321.1512.53548.40

Income Funds

Scheme NameLaunched NAVReturn (%)Asset size
  (Rs)1yrInception(Rs cr)
Reliance Income Fund - (G)20 Dec 9740.743515.619.585,106.93
Reliance Dynamic Bond Fund (G)16 Oct 0416.536815.916.095,928.66
Reliance Regular Savings Fund - Debt (G)10 Jun 0516.162810.916.232,444.02
Reliance Medium Term Fund - (G)16 Aug 0024.74079.987.413,578.34

Index

Scheme NameLaunched NAVReturn (%)Asset size
  (Rs)1yrInception(Rs cr)
R* Shares CNX 100 Fund19 Feb 1360.9030----9.859.85

Interval Income Funds

Scheme NameLaunched NAVReturn (%)Asset size
  (Rs)1yrInception(Rs cr)
Reliance Yearly Interval Fund - Sr.1 (G)15 Jan 1310.3025----3.031,211.02
Reliance Yearly Interval Fund - Sr.2 (G)01 Feb 1310.3086----3.091,266.48
Reliance Yearly Interval Fund - Sr.3 (G)21 Feb 1310.2899----2.90193.28
Reliance Yearly Interval Fund - Sr.4 (G)27 Feb 1310.2656----2.66220.28
Reliance Yearly Interval Fund - Sr.5 (G)15 Mar 1310.1909----1.91117.55
Reliance Yearly Interval Fund - Sr.6 (G)02 Apr 1310.1371----1.27----
Reliance Yearly Interval Fund - Sr.7 (G)15 Apr 1310.0831----0.69----
Reliance Interval Fund - Mthly - Sr.I (G)14 Mar 0715.88728.337.7821.20
Reliance Interval Fund - Mthly - Sr.II (G)28 Mar 0715.90248.437.82147.56
Reliance Interval Fund - Qrtly - Sr.I (G)03 Apr 0716.24018.918.2418.55
Reliance Interval Fund - Annual - Sr.I Retail (G)30 Apr 0716.28439.718.39720.20
Reliance Interval Fund - Qrtly - Sr.II (G)04 May 0716.09058.878.2029.42
Reliance Interval Fund - Qrtly - Sr.III (G)06 Jun 0716.07449.148.3062.60

Liquid Funds

Scheme NameLaunched NAVReturn (%)Asset size
  (Rs)1yrInception(Rs cr)
Reliance Liquid Fund - Treasury Retail (G)16 Mar 982,799.47768.367.029,723.74
Reliance Liquidity Fund (G)15 Jun 051,786.53359.127.606,838.08
Reliance Liquid Fund - Cash Plan (G)04 Dec 011,910.29898.595.811,388.03

Misc

Scheme NameLaunched NAVReturn (%)Asset size
  (Rs)1yrInception(Rs cr)
Reliance Fixed Horizon - XIX - Sr.19 (G)25 Apr 1112.0059------------
Reliance Fixed Horizon - XXI - Sr.19 (G)21 Nov 1111.4302------------
Reliance Fixed Horizon - XXI - Sr.21 (G)19 Dec 1111.2359------------
Reliance Fixed Horizon - XXI - Sr.17 (G)10 Jan 1211.1378------------
Reliance Fixed Horizon - XXI - Sr.11 (G)21 Mar 1211.0641------------
Reliance Fixed Horizon - XXI - Sr.18 (G)12 Mar 1211.1110------------
Reliance Fixed Horizon - XXII - Sr.2 (G)04 Apr 1210.9942------------
Reliance Fixed Horizon - XXII - Sr.4 (G)20 Apr 1210.8983------------
Reliance Fixed Horizon - XXII - Sr.7 (G)04 May 1210.9459------------
Reliance Fixed Horizon - XXII - Sr.6 (G)04 May 1210.9868------------
Reliance Fixed Horizon - XXIII - Sr.11 (G)09 May 13----------------
Reliance Dual Advantage FTF - III - Plan C (G)17 May 13----------------

Monthly Income Plans - Long Term

Scheme NameLaunched NAVReturn (%)Asset size
  (Rs)1yrInception(Rs cr)
Reliance Monthly Income Plan (G)10 Dec 0326.600114.6910.983,410.42

Short Term Income Funds

Scheme NameLaunched NAVReturn (%)Asset size
  (Rs)1yrInception(Rs cr)
Reliance Short Term Fund - (G)09 Dec 0222.464911.638.072,955.44

Ultra Short Term Funds

Scheme NameLaunched NAVReturn (%)Asset size
  (Rs)1yrInception(Rs cr)
Reliance Money Manager Fund - Retail (G)15 Mar 071,593.29798.937.859,052.20

Mutual Fund Details

Reliance Capital Asset Management Company
Registered Address
1st Floor, Grand Lingam Residency
No.104, Arni Main Road,
Sankarapalayam, Vellore - 632001
E-mail: customer_care@reliancemutual.comcustomer_care@reliancemutual.com
URL: www.reliancemutual.com

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