NAV as on August 31, 2018:
|Performance of Reliance ETF Dividend Opportunities ETF as on 31/08/2018|
|Particulars||1 Year CAGR %||3 Year CAGR %||5 Year CAGR %||Since Inception|
|Reliance ETF Dividend Opportunities||16.17||17.10||N.A||14.77|
|B: Nifty Dividend Opportunities 50 (TRI)||16.49||17.23||N.A||14.90|
|AB: S&P BSE Sensex (TRI)||23.20||15.22||N.A||14.84|
|Reliance ETF Dividend Opportunities||11,617||16,062||N.A||18,284|
|B: Nifty Dividend Opportunities 50 (TRI)||11,649||16,116||N.A||18,377|
|AB: S&P BSE Sensex (TRI)||12,320||15,300||N.A||18,334|
Inception Date: Apr 15, 2014|
|B - Benchmark | AB - Additional Benchmark | TRI: Total Return Index|
|Fund Manager: Payal Wadhwa Kaipunjal (Since Jan 2017)|
|NA stands for schemes in existence for more than 1 year but less than 3 years or 5 years or instances where benchmark data for corresponding period is not available.|
PERFORMANCE OF OTHER OPEN ENDED SCHEMES MANAGED BY FUND MANAGER: Payal Wadhwa Kaipunjal
|Scheme Name/s||CAGR %|
|1 Year Return ||3 Years Return||5 Years Return|
|Scheme ||Benchmark ||Scheme ||Benchmark ||Scheme ||Benchmark |
|Reliance ETF NV20*||30.35||30.90||17.26||17.73||N.A.||N.A.|
|Reliance ETF Sensex*||23.06||23.20||15.12||15.22||N.A.||N.A.|
|Reliance Index Fund - Sensex Plan#||22.13||23.20||13.75||15.22||15.61||17.32|
|Reliance ETF PSU Bank BeES*||0.29||0.74||1.19||1.71||11.28||11.75|
|Reliance ETF Infra BeES*||-0.58||0.62||4.18||5.25||11.34||12.48|
a.Ms. Payal Wadhwa Kaipunjal manages 17 open-ended schemes of Reliance Mutual Fund .
b. In case the number of schemes managed by a fund manager is more than six, in the performance data of other schemes, the top 3 and bottom 3 schemes managed by fund manager has been provided herein are on the basis of 1 Year CAGR returns
c. Period for which scheme’s performance has been provided is computed basis last day of the month-end preceding the date of advertisement.
d. Different plans shall have a different expense structure.
TRI - Total Returns Index reflects the returns on the index arising from (a) constituent stock price movements and (b) dividend receipts from constituent index stocks, thereby showing a true picture of returns.
The performance of the equity scheme is benchmarked to the Total Return variant of the Index.
#The performance details provided herein are of Growth Plan (Regular Plan)
*The Scheme does not offer any Plans/Options. The performance details are provided at Scheme level using Dividend Reinvestment NAV's.
Ms. Payal Wadhwa Kaipunjal has been managing Reliance ETF Junior BeES since May 2008, Reliance ETF PSU Bank BeES since May 2008, CPSE ETF since Mar 2014, Reliance ETF Gold BeES since May 2014, Reliance ETF Bank BeES since May 2014, Reliance ETF Nifty BeES since May 2014, Reliance ETF Infra BeES since Nov 2016, Reliance ETF Shariah BeES since Nov 2016, Reliance Index Fund - Nifty Plan since Jan 2017, Reliance Index Fund - Sensex Plan since Jan 2017, Reliance ETF Dividend Opportunities since Jan 2017, Reliance ETF Consumption since Jan 2017, Reliance ETF Nifty 100 since Jan 2017, Reliance ETF Sensex since Jan 2017, Reliance Arbitrage Fund since Jan 2017, Reliance ETF NV20 since Jan 2017, Reliance Gold Savings Fund since Jan 2017
Past performance may or may not be sustained in future and the same may not necessarily provide the basis for comparison with other Investment. Dividends (if any) are assumed to be reinvested at the prevailing NAV. In case of LIQUIDBEES, returns are based on gross dividend per unit declared by the Fund. Bonus (if any) declared has been adjusted. Performance of dividend option would be Net of Dividend distribution tax, if any. Face value of scheme is
`10/- per unit. Face Value of Reliance Low Duration Fund is
`1000/- per unit. Face Value of Reliance Money Market Fund, Reliance Liquid Fund, Reliance Ultra Short Duration Fund is
`1000/- per unit w.e.f 5th Aug 2012. Face value of Reliance ETF Junior BeES is
`1.25/- per unit. Face value of Reliance ETF Liquid BeES is
`1000/- per unit. Face value of Reliance ETF Gold BeES is
`100/- per unit. In case, the start/end date of the concerned period is non-business day (NBD), the NAV of the previous date is considered for computation of returns. Schemes which have not completed one year, performance details for the same are not provided. Performance details of closed ended schemes are not provided since these are not comparable with other schemes.The Scheme does not offer any Plans/Options. The performance details are provided at Scheme level using Dividend Reinvestment NAV's.