PRIME AMC DATABASE (

Similar documents
Mutual Funds in India a Perspective. Industry Trends Copyright 2018 Association of Mutual Funds in India

Mutual Fund Screener For the quarter ended Dec-17

Reliance Nippon Life Asset Management Ltd.

Mutual Fund Screener For the quarter ended Sep-17

Mutual Fund Monthly Newsletter

Mutual Fund Monthly Newsletter

ASSOCIATION OF MUTUAL FUNDS IN INDIA

Mutual Fund Screener For the quarter ended Mar-18

Mutual Fund Screener For the quarter ended Jun -18

Mutual Funds. Pvijaykumar1978.wordpress.com. Test Paper. 1. Units of must be listed on the stock exchange.

Contents. Foreword to the Second Edition 13. Foreword to the First Edition 15. Preface to the Fifth Edition 17. Acknowledgements 19

Learning Objectives In this session, you will learn about:

Gaurang Shah. The Indian Finance Sector, Portfolio Management, MF and Investment Advisors. Overview, Present and Future.

Mutual Funds. Fortune Equity Brokers (India) Ltd.

NISM-Series-V-A. Mutual Fund Distributors Certification Examination

Growth And Development Of Mutual Fund Schemes In India

SEBI Investor Programme Guide for Mutual Fund Investors

Mutual Fund Monthly Newsletter

SUBSCRIBE. IPO Report HDFC ASSET MANAGEMENT COMPANY LTD. IPO Details. Research Analyst : Astha Jain

From the Chairman s Desk

HDFC Retirement Savings Fund: FAQs

KEY INFORMATION MEMORANDUM (KIM) Motilal Oswal MOSt Shares M50 ETF (MOSt Shares M50) (An open ended Exchange Traded Fund)

Mutual Fund Monthly Newsletter

ASSOCIATION OF MUTUAL FUNDS IN INDIA

Frequently Asked Questions on Further Fund Offer (FFO) BHARAT 22 ETF. An open-ended Exchange Traded Fund investing in S&P BSE Bharat 22 Index

Accounts Across Investor Types

Accounts Across Investor Types

Accounts Across Investor Types

Further, the Dividend income is tax free, if the company is liable to dividend distribution tax.

COMMISSION STRUCTURE COMMISSION STRUCTURE AUGUST 1, 2015 TO AUGUST 31, 2015

Regular income for short term Investment in Government securities

Certified Mutual Funds Advisor VS-1095

Indian Mutual Fund Industry

COMBINED SCHEME INFORMATION DOCUMENT [OPEN ENDED EQUITY-ORIENTED AND FUND OF FUNDS SCHEMES]

MUTUAL FUND DATA FOR THE QUARTER JULY - SEPTEMBER 2016 TABLE - 1 SALES - ALL SCHEMES. From Existing Schemes. Total for the Quarter

Review Report HDFC AMC - IPO Note. Our View: Subscribe. IPO Financials and Key Detail:

¼ããÀ ããè¾ã ¹ãÆãä ã¼ãîãä ã ããõà ãäìããä ã½ã¾ã ºããñ Ã

Reliance Nippon Life Asset Management Limited

2013 IIFA Annual Conference. October 21 October 23, New Orleans, USA COUNTRY REPORT - INDIA ASSOCIATION OF MUTUAL FUNDS IN INDIA

SEBI Board Meeting. The SEBI Board met in New Delhi today and inter-alia took the following important decisions:

Regular income for short term Investment in Government securities

The fourth quarter update also provides data for the year

MARKET PENETRATION AND INVESTMENT PATTERN OF MUTUAL FUND INDUSTRY IN INDIA

ASSOCIATION OF MUTUAL FUNDS IN INDIA

Operating Instructions And Process Manual for Systematic Investment Plan (SIP) On BSE StAR MF

Mutual Funds and PMS. WIRC Sept 17, Suresh Soni Chief Executive Officer DHFL Pramerica Asset Managers. Page 1

GST for Mutual Fund Distributor Commission - FAQs

Background Salient Features of Section 80C of the Income tax Act, 1961

3. Collective Investment Vehicles

Reliance Nippon Life Asset Management Ltd

Annexure I Operating Guidelines. Transaction Submission and Settlement I. TRANSACTION SUBMISSION : A. SUBSCRIPTION SUBMISSION :

Mutual Funds in India

Association of Mutual Funds in India

CONSOLIDATED SCHEME INFORMATION DOCUMENT OF VARIOUS SCHEMES OF ICICI PRUDENTIAL MUTUAL FUND:

Central Depository Services (India) Limited

GROWTH OF RESOURCE MOBILISATION BY INDIAN MUTUAL FUND INDUSTRY: AN EMPIRICALANALYSIS

KEY INFORMATION MEMORANDUM. Product Labelling. This product is suitable for investors who are seeking*:

Accounts Across Investor Types

QUANTUM GOLD SAVINGS FUND

A Primer Quick Reference User Manual

MUTUAL FUNDS AN AVENUE TO INVESTORS

UNIT 6 : AUDIT OF MUTUAL FUNDS

Reliance Nippon Life Asset Management

Scheme Features. Purchase : ` 500/- and in multiples of ` 1/- thereafter. Additional Purchase: ` 500/- and in multiples of ` 1/- thereafter / 50 units

From the Chairman s Desk

Then you choose the variable(s) you want to see forecasts of: most data is available for Earnings per Share.

CIR/ARN-01/02-03 January 15,2003 GUIDELINES FOR THE REGISTRATION OF INTERMEDIARIES. (For Implementing the code of conduct)

Account Management User Guide

Frequently Asked Questions on New Fund Offer of BHARAT 22 ETF

2017 CRISIL Ltd. All rights reserved. Debt s it! Why debt funds are as good a wealth-creation tool as any, and can also aid in nation building

Enclosed herewith is Invoice for payment of Membership Subscription for the year

MUTUAL FUND DATA FOR THE QUARTER APRIL - JUNE 2016 TABLE - 1 SALES - ALL SCHEMES. From New Schemes #

MERGERS AND ACQUISITIONS IN INFRASTRUCTURE AND REAL ESTATE 2017

KEY INFORMATION MEMORANDUM AND APPLICATION FORM

Using Budget Development in Banner Self-Service

MUTUAL FUND DATA FOR THE QUARTER JANUARY - MARCH 2017 TABLE - 1 SALES - ALL SCHEMES. From Existing Schemes. Total for the Quarter

SALES - ALL SCHEMES. From Existing Schemes. Total for the month

IS MUTUAL FUND A PREFERED AVENUE FOR INVESTMENTS

IPO VITAL SIGNS. Participant Training Guide

Common Scheme Information Document Debt Schemes

A world of investment opportunities from Religare Invesco Mutual Fund

Mutual Fund Industry in India. December 23, 2013 Sandesh Kirkire CEO Kotak Mutual Fund

Deutsche Mutual Fund

Is Retail finally an integral part of the Fund Industry?

¼ããÀ ããè¾ã ¹ãÆãä ã¼ãîãä ã ããõà ãäìããä ã½ã¾ã ºããñ à Securities and Exchange Board of India

Contents. Procedure to create new folio using Aadhaar based ekyc:... 2 Flow Chart Page 1

October 24, 2017 RELIANCE NIPPON LIFE ASSET MANAGEMENT LIMITED. SMC Ranking (3/5) About the Company. Issue Highlights. Shareholding Pattern (%)

We thank you for your investments in ICICI Prudential Advisor Series Conservative Fund (the Scheme).

Balanced Funds. Mix of stability and performance. Mutual Funds. Robust long term performance track record

Muthoot Finance Ltd. NCD Issue 12 th August, Key Highlights of the Company. Key Financials

ACCESS POINT MR. VIJAI MANTRI MANAGING DIRECTOR AND CHIEF EXECUTIVE OFFICER OF PRAMERICA ASSET MANAGERS PRIVATE LIMITED.

Total Retirement Service User Guide

REGISTRATION FORM FOR NEW CADRE OF DISTRIBUTORS

Yavapai College Self Service Banner Training Budget Development & Salary Planner

KEY INFORMATION MEMORANDUM

Listing Requirements Secondary Listing- Exclusively Listed on Regional Stock Exchange

Addendum. Unitholders are hereby informed about the introduction of JUST SMS Facility herein referred to as Facility

Question 2 Day to day management of the MF schemes is handled by the Trustees - True or False? (a) (b)

CIRCULARS ISSUED BY SEBI

Indian Association of Alternative Investment Funds (IAAIF)

Transcription:

PRIME AMC DATABASE (www.primemfdatabase.com) Database Coverage Monthly Average Assets under Management (MAAUM) data for all SEBI-registered AMCs since April 2014 Mutual Fund Distributor Commission from 2013-14 onwards Assets under Management Data Fields AMC-wise information on MAAUM for the following fields is available: 1. ASSET TYPE DEBT (INCOME ORIENTED SCHEMES) - LIQUID/ MONEY MARKET - GILT - FMP - DEBT (ASSURED RETURN) - INFRASTRUCTURE DEBT FUNDS - OTHER DEBT SCHEMES EQUITY (GROWTH ORIENTED SCHEMES) - ELSS - OTHERS BALANCED SCHEMES EXCHANGE TRADED FUND - GOLD ETF - OTHER ETFS FUND OF FUNDS INVESTING OVERSEAS FUND OF FUNDS SCHEME (DOMESTIC) 2. DISRIBUTION CHANNEL DIRECT PLAN ASSOCIATE DISTRIBUTORS NON-ASSOCIATE DISTRIBUTORS DIRECT AGENT 3. CONTRIBUTION BY SPONSOR AND ITS ASSOCIATES OTHER THAN SPONSOR AND ITS ASSOCIATES 4. GEOGRAPHY- STATE-WISE 5. GEOGRAPHY- CITIES TOP 15 CITIES OTHER THAN TOP 15 CITIES 6. INVESTOR CATEGORY RETAIL CORPORATES BANKs/FIs FIIs/FPIs HNIs 7. ASSET MANAGEMENT COMPANY TYPE (AS PER AMFI)

Modules Under this database, 2 modules are available: a. League Tables b. Advanced Database Search League Tables Following types of League Tables of Asset Management Companies (AMCs) can be generated for a particular month or between two months: Based on Asset Type and Investor Category Based on Asset Type and Geography (State-wise or Top 15 cities/other than Top 15 cities) Based on Asset Type and Distribution Channel Based on Asset Type and Contribution by Sponsor and its associates/entities other than sponsor and its associates Based on multiple parameters (Asset Type, Investor Category, Distribution Channel, Contribution by, Geography etc.) An option to generate League Tables as per AMFI categories of AMCs viz. Bank Sponsored, Institutions, Private Sector has also been provided. Some sample League Tables which can be generated are as follows: Rankings of AMCs by MAAUM for Equity Schemes for Retail investors Rankings of AMCs by MAAUM for Debt Schemes for Corporate investors Rankings of AMCs by MAAUM for Equity Schemes distributed through Direct Plan Rankings of AMCs by MAAUM for Debt Schemes by Contribution from Top 15 cities Rankings of AMCs by MAAUM for Equity Schemes by Contribution from any State/Zone Rankings of AMCs by MAAUM for Equity Schemes by Contribution from Sponsor and its associates etc. etc. Each League Table also shows the MAAUM of the preceding 3 months along with selected month. MAAUM as a per cent of MAAUM of selected asset type as also as a per cent of total AuM of AMC is also provided. All league tables can be downloaded in Excel format.

Sample League Table A sample League Table for Equity funds for Retail for the month of September 2014 is as follows: Clicking on the overall MAAUM figure shall display the scheme-type and scheme-wise details as follows:

Sample League Table based on variation in MAAUM for Equity funds for Retail between April 2014 and September 2014 is as follows:

Advanced Database Search Search can be done on any one or a combination of the following 8 parameters: 1. Average AUM (as on a Month) or Average AUM (change between months) 2. AMC Name 3. Geography (State or Top 15 cities/other than top 15 cities) 4. Asset Type 5. Distribution Channel 6. Contribution By 7. Investor Category 8. Asset Management Company Type (as per AMFI) Through this module, following types of sample queries can be answered: MAAUM from different categories of schemes (equity schemes, d ebt schemes etc.) Contribution to MAAUM from B-15 cities (i.e. other than top 15 cities as identified by AMFI) and T-15 cities (Top 15 cities). Contribution to MAAUM from sponsor and its associates and from entities other than sponsor and its associates. Contribution to MAAUM from investors type (retail, corporate, etc.) in different scheme type (equity schemes, debt schemes, etc.). MAAUM garnered through sponsor group/non-sponsor group distributors. State-wise contribution to MAAUM. etc. etc.

Sample Search Result Clicking on any AMC name shall display the scheme-type and scheme-wise details as follows:

Distributor Commission League Tables Following 2 League Tables can be generated for financial year 2013-14 onwards: Based on commission earned by Mutual Fund Distributors Based on commission paid by Mutual Funds to Distributors League Table of Mutual Fund Distributors also shows Total commission earned, Total expense earned, Gross inflow, Net inflow, Average AuM and AuM as on last date of FY. League Table of Mutual Funds also shows Total commission paid and Total expense paid to distributors. Sample League Table A sample league table of Mutual Fund distributors for 2013-14 is as follows:

Clicking on the Distributor Name shall display the break-up of commission earned by the Distributor from different Mutual Funds, along with details of which distributor is an Associate, as follows: A sample league table of Mutual Funds for 2013-14 is as follows:

Clicking on the Mutual Fund name shall display the break-up of commission paid by the Mutual Fund to different distributors, along with details of which distributor is an Associate, as follows:

FPI, DII and Mutual Fund Flows This database also includes details of daily purchases/sales in equity & debt by FPIs and Mutual Funds since January, 2000 and daily purchases/sales in equity by DIIs since May,2007. Sample Report

Subscription Fee The subscription period is 1 year. Access to PRIME AMC Database would commence on the date of receipt of payment and will continue for 1 year. Subscription Fee: Rs. 1,00,000.00 (+15% Service Tax) Please send your payment by Cheque/Demand Draft drawn in favour of Praxis Consulting & Information Services Pvt.Ltd. payable at New Delhi at the following address: Praxis Consulting & Information Services Pvt.Ltd. 624,DLF Tower-B, District Centre, Jasola New Delhi-110044 Phone: +91-11-4100-8346/7/8, Fax: +91-11-26031792 Email:info@primemfdatabase.com Subscriber Authorization At the time of your order, you should provide us the names, designations and email ID of the persons whom you would like to provide access to the database. The User IDs assigned to your organization should be strictly used only by the authorized persons. Any misuse, including passing on the User ID to an outsider, may lead to cancellation of your subscription, without any refund. For details about PRIME Database Group, please visit www.primedatabasegroup.com.