Updated:23 May 2012 03:40:00 PM(IST)
Mirae Asset Short Term Bond Fund - Regular - Growth (earlier called "Mirae Asset Short Term Bond Fund - Institutional - Growth") : 11.41 (NAV as on May 22, 2012)
52 Week High : 11.41 as on May 22, 2012 | 52 Week Low : 10.65 as on May 25, 2011 | Benchmark Index - CRISIL Short-Term Bond Fund Index : 1882.23 as on May 22, 2012
| Period | 1 month | 3 month | 6 month | 1 year | 3 year | 5 year | Since Inception |
| Returns (%) | 0.62 | 1.86 | 3.73 | 7.16 | NA | NA | 4.8 |
Portfolio Attributes
| Scheme Particulars |
| P/E | NA |
| P/B | NA |
| Dividend Yield | NA |
| Market Cap (Rs. in crores) | NA |
| Top 5 Holding (%) | 100.00 as on Mar - 2012 |
| No. of Stocks | 0 |
| Expense Ratio (%) | 0.89 |
Risk Analysis
| Risk ratios | Percent |
| Mean (?) | 0.08 |
| Standard Deviation (?) | 0.06 |
| Sharpe (?) | -0.42 |
| Beta (?) | 0.19 |
| Treynor (?) | -0.14 |
| Sortino (?) | -0.25 |
| Correlation (?) | 0.1 |
| Fama (?) | -0.04 |
Whats In No changes
Whats Out No changes
Fund Features | Scheme Particulars |
| Type | Open Ended |
| Nature | Debt (Equity: 0%, Debt: 0%, Cash: 100%) |
| Option | Growth |
| Inception Date | Aug 3, 2009 |
| Face Value | 10 |
| Fund Size (Rs.Crore) | 5.53 as on Mar 31, 2012 |
| Fund Manager | Yadnesh Chavan . |
| SIP | NA |
| STP | NA |
| SWP | NA |
| Expense ratio(%) | 0.89 |
| Portfolio Turnover Ratio(%) | NA |
| Last Divdend Declared | NA |
| Minimum Investment (Rs) | 5000 |
| Purchase Redemptions | Daily |
| NAV Calculation | Daily |
| Entry Load | Entry Load is 0%. |
| Exit Load | If redeemed bet. 0 Days to 15 Days; Exit load is 0.15%. |
Top Holdings
| Stock | Sector | P/E | % Assets | Qty | Value | 1 mth chng | LTP | %Chng | High | Low | Open | Tips |
| CBLO | Current Assets | NA | 88.97 | NA | 0.34 | NA | NA | NA | NA | NA | NA | |
| Net Receivables/(Payable) | Current Assets | NA | -0.75 | NA | -0.04 | NA | NA | NA | NA | NA | NA | |
| International Fund | Mutual Funds | NA | 95.83 | NA | 38.99 | 51.91 | NA | NA | NA | NA | NA | |
| Clearing Corporation of India Ltd. | Custodial, Depo.. | NA | 100.75 | NA | 5.57 | NA | NA | NA | NA | NA | NA | |
*Note: Value is in Rs. crores | 1 mth chng is the change in stock's volume as held in the scheme w.r.t. last month | LTP, %Chng, High, Low, Open depicts latest share price update
Sector Allocation (%)
| Sector | Funds |
| Custodial, Depository, Exchanges and rating agencies | 100.75 |
| Miscellaneous | -0.75 |
Scheme Facts
| Scheme Particulars |
| Increase/Decrease in Fund Size since Jun 30, 2009 (Rs. in crores) | 5.12 |
| Mutual Fund | Mirae Asset Mutual Fund
Unit No. 606, 6th Floor, Windsor Building
Off CST Road, Kalina, Santacruz (East)
Mumbai
Tel.-67800300
|
| Asset Management Company |
NA
|
| Registrar | Karvy Computershare Pvt. Ltd.
21, Avenue 4,
Street No 1, Banjara Hills
Hyderbad
|