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NOVEMBER 2016

Equity Market HIGHLIGHTS Global equity markets displayed mixed performance in October. In the earlier part of the month, equity markets were volatile as US Fed's September meeting minutes showed support for an interest rate hike in the near term. Brazilian equity market was among the top gainers. There was optimism on the political front wherein the new administration was seen to be making progress in dealing with the country's fiscal woes. Further, interest rate cut by Brazil's Central Bank, augured well for its equity market. Indian equity markets were flat in October following subdued quarterly results for 2QFY17 coupled with tapering FPI flows. Consequently, S&P BSE Sensex and Nifty 50 recorded marginal gains of 0.3%. Macroeconomic data points were mixed. While Consumer Price Index (CPI) inflation for September was benign, IIP for August was weak and trade deficit for September inched up. Mid and small cap indices continue to outperform their large cap peers. Among the sectoral indices, oil & gas and metals were among the top performers. Meanwhile, technology and auto were among the bottom performers. FPIs turned net sellers (after 7 months of inflows) in Indian equity market during the month, leading to net outflows of US $745.8 mn. (Data Source : Bloomberg, Reuters) OCTOBER 2016 KEY INDICES INDICES Close 1 Month 3 Months Percentage change 1 Year 3 Years 5 Years 10 Years S&P BSE Sensex 27941.51 0.27 0.39 4.82 9.70 9.55 7.98 NIFTY 50 8638.00 0.31 0.01 7.09 11.10 10.15 8.72 S&P BSE 100 8925.39 0.70 0.78 8.93 12.49 10.84 8.83 S&P BSE 200 3754.45 0.94 1.69 10.29 14.66 11.74 9.18 NIFTY 500 7494.10 1.34 2.24 11.01 15.97 12.19 9.18 NIFTY FREE FLOAT MIDCAP 100 15841.35 2.78 7.23 19.66 28.11 16.87 12.60 S&P BSE SmallCap 13454.03 5.27 9.29 18.90 31.65 14.04 7.73 S&P BSE Midcap 13408.27 1.83 5.90 22.18 26.67 16.31 9.53 NIFTY NEXT 50 23516.85 2.66 4.72 19.17 24.42 18.54 13.17 OCTOBER 2016 SECTORAL INDICES INDICES Close 1 Month 3 Months Percentage change 1 Year 3 Years 5 Years 10 Years S&P BSE Auto 22168.45 0.28 5.11 22.03 22.45 18.53 15.26 S&P BSE Bankex 22384.14 1.54 3.25 13.20 19.59 14.34 13.19 S&P BSE FMCG 8514.96 0.64 2.41 8.51 7.71 15.20 15.31 S&P BSE Healthcare 16374.08 1.19 0.46 9.37 19.44 21.69 16.22 S&P BSE Metal 10285.58 5.35 9.35 40.75 3.88 2.88 1.27 S&P BSE Oil & Gas 12296.39 8.08 16.06 35.63 11.23 6.47 7.36 S&P BSE Realty 1552.16 2.64 3.42 13.16 4.93 4.16 NA S&P BSE TECk 5505.47 2.23 7.49 9.97 4.57 1.13 1.33 NIFTY CONSUMPTION 3846.85 0.83 0.95 10.43 13.86 15.17 11.64 NIFTY INFRA 2869.75 2.73 3.26 1.27 6.24 1.36 0.18 NIFTY MEDIA 2942.70 0.91 4.53 22.34 18.77 18.78 7.02 NIFTY DIVIDEND OPPT 50 2155.80 2.17 3.69 14.06 10.63 7.59 NA *Returns are calculated on absolute basis for less than one year and on CAGR basis for one year or greater OCTOBER 2016 GLOBAL INDICES INDICES Close 1 Month 3 Months Percentage change 1 Year 3 Years 5 Years 10 Years All Ordinaries (Australia) 5402.44 2.22 4.28 2.15 0.11 4.38 0.09 Dow Jones Ind Avg (USA) 18142.42 0.91 1.57 2.71 5.28 8.70 4.15 FTSE 100 (UK) 6954.22 0.80 3.42 9.32 1.09 4.64 1.27 Hang Seng (Hong Kong) 22934.54 1.56 4.77 1.30 0.39 2.92 2.27 Nasdaq (USA) 5189.14 2.31 0.52 2.68 9.80 14.09 8.17 Nikkei 225 (Japan) 17425.02 5.93 5.16 8.69 6.74 14.16 0.61 S&P BSE Sensex 27941.51 0.27 0.39 4.82 9.70 9.55 7.98 Bovespa (Brazil) 64924.52 11.23 13.29 41.54 6.17 2.16 5.16 Jakarta Composite (Indonesia) 5422.54 1.08 3.96 21.71 6.33 7.42 13.11 KLSE Composite (Malaysia) 1672.46 1.20 1.16 0.41 2.54 2.31 5.40 PSE Composite (Phillippines) 7404.80 2.95 7.01 3.79 3.99 11.31 10.58 RTS Index (Russia) 988.74 0.19 6.53 17.35 12.59 8.48 4.78 Seoul Composite (S. Korea) 2008.19 1.73 0.40 1.05 0.36 1.02 3.94 SET (Thailand) Shanghai Composite (China) Straits Times (Singapore) Taiwan Weighted (Taiwan) 1495.72 3100.49 2813.87 9290.12 0.84 3.19 1.94 1.34 1.86 4.07 1.91 3.40 7.22 8.34 6.15 8.60 1.21 13.13 4.30 3.21 8.94 4.67 0.30 4.13 7.55 5.37 0.41 2.84 All figures are as of 31st October, 2016 INSTITUTIONAL ACTIVITY (NET INVESTMENT) R CR. October2016 01Jan16 To 31Oct16 Debt Equity Total Debt Equity Total FIIs Mutual Funds 5,999.96 24,637.20 4,306.26 9,128.50 10,306.22 33,765.70 3,558.50 301,423.10 46,986.90 22,892.30 43,428.40 324,315.40 *Source : SEBI 1

Debt Market HIGHLIGHTS Globally, the long term government bond yields hardened in October across most of the large economies. Bond yields in the US, UK and Euro region rose in the range of 23 to 50 bps during the month. A rise in inflation expectation and positive economic news flow in the US weighed on the bonds, strengthening expectation of a rate hike by the US Federal Reserve in November. This in turn pushed the US 10year bond yield to a 5month high of 1.82%. Domestic short term bonds rallied in October on improving liquidity, softer inflation reading, policy rate cut by the RBI in early October and the dovish policy stance maintained by the Indian central bank. However, strengthening of crude oil prices and uncertainty around rate hike by the US Federal Reserve, which hardened the US treasury yields, and weakness in Rupee capped gains for Indian bonds during the month. Systemic liquidity was positive in October, with the daily average liquidity standing at INR 269 bn compared to average liquidity of INR 393 bn in September. Call rates eased in October after the 25 bps Repo rate cut to hover around 6.25% 6.30%. DEBT MARKET INDICATORS Benchmarks 364 Day Tbill 91 Day Tbill 10year Benchmark (7.59% 2026) 3 Months Certificate Of Deposit (CD) 3 Months Commercial Paper (CP) AAA Corp Yields 1 Yr AAA Corp Yields 3 Yrs Bank Rate RBI LAFRepo rate RBI LAFReverse Repo rate Foreign Exchange Reserve($ bn) Brent Crude Oil ($/bbl) Gold ($/oz) US Fed Funds Rate US 10yr Gilt CRR As on 31Oct16 As on 30Sept16 As on 31July16 Change (Month) Change (Quarter) 6.45% 6.38% 6.91% 6.60% 7.05% 7.60% 7.78% 6.75% 6.25% 5.75% 367.16 50.50 1272.00 0.50% 1.82% 4.00% 6.58% 6.52% 6.97% 6.50% 6.60% 7.70% 7.77% 7.00% 6.50% 6.00% 371.99 48.93 1322.50 0.50% 1.59% 4.00% 6.72% 6.56% 7.17% 6.60% 7.15% 7.95% 8.10% 7.00% 6.50% 6.00% 365.75 42.69 1342.00 0.50% 1.49% 4.00% 0.13% 0.14% 0.06% 0.10% 0.45% 0.10% 0.01% % % % 4.83 1.57 50.50 0.00% 0.23% 0.00% 0.27% 0.18% 0.26% 0.00% 0.10% 0.35% 0.32% % % % 1.41 7.81 70.00 0.00% 0.33% 0.00% *Source : RBI, Reuters, Bloomberg. Forex HIGHLIGHTS The Indian rupee ended down against the US dollar in the month, with the exchange rate settling at Rs 66.79 per dollar on October 28, 2016. Increased expectation of the US Fed's rate hike induced broad strength in US dollar following release of the US FOMC meeting minutes. India's forex reserves rose up to USD 367.16 billion for the week ended October 28, according to the Reserve Bank data. The country's gold reserves reduced to $ 20.46 billion, while its special drawing rights (SDRs) increased to $ 1.48 billion. FOREX Currency 31Oct16 30Sept16 31July16 31Oct15 % Change (Month) % Change (Quarter) % Change (Year) 1 US$ 66.79 66.62 67.02 65.27 % 0.34% 2.28% 1 Euro 72.91 74.75 74.27 71.67 2.52% 1.87% 1.70% 100 Yen 63.44 66.05 64.69 53.92 4.11% 1.97% 15.01% 1 Pound 81.30 86.42 88.30 99.93 6.30% 8.61% 22.92% *Source : RBI MF INDUSTRY AUM COMPARISON Mutual Fund Name Avg. AUM JulSep 2016 Avg. AUM AprJun 2016 Absolute change over a quarter % Change over a quarter Avg. AUM JulSep 2015 Absolute change over a year % Change over a year Axis Mutual Fund Baroda Pioneer Mutual Fund Birla Sun Life Mutual Fund BNP Paribas Mutual Fund BOI AXA Mutual Fund Canara Robeco Mutual Fund DHFL Pramerica Mutual Fund DSP BlackRock Mutual Fund Edelweiss Mutual Fund Escorts Mutual Fund Franklin Templeton Mutual Fund Goldman Sachs Mutual Fund HDFC Mutual Fund HSBC Mutual Fund ICICI Prudential Mutual Fund IDBI Mutual Fund IDFC Mutual Fund IIFCL Mutual Fund (IDF) IIFL Mutual Fund IL&FS Mutual Fund (IDF) Indiabulls Mutual Fund 47,179.23 11,702.62 168,880.81 6,068.72 3,635.89 9,319.82 24,472.92 49,851.54 2,255.63 294.90 73,666.13 7,098.66 213,086.14 8,502.74 215,985.85 8,128.36 56,656.26 388.37 370.36 970.15 6,731.29 40,867.93 9,116.60 149,092.70 5,411.16 2,753.99 8,099.17 21,739.91 41,415.65 2,032.38 290.58 67,592.81 6,500.48 192,776.48 7,839.05 193,295.97 6,718.84 54,091.38 379.15 395.12 946.88 6,231.01 6,311.30 2,586.02 19,788.11 657.56 881.90 1,220.65 2,733.01 8,435.89 223.25 4.32 6,073.32 598.18 20,309.66 663.69 22,689.88 1,409.52 2,564.88 9.22 24.76 23.27 500.28 15.44 28.37 13.27 12.15 32.02 15.07 12.57 20.37 10.98 1.49 8.99 9.20 10.54 8.47 11.74 20.98 4.74 2.43 6.27 2.46 8.03 31,789.34 9,531.79 133,403.82 4,637.59 2,880.77 7,212.80 27,694.56 37,338.94 1,572.53 300.15 77,328.24 7,132.06 170,837.65 7,842.51 164,628.50 7,016.16 56,773.69 350.06 411.96 878.12 5,195.63 15,389.89 2,170.83 35,476.99 1,431.13 755.12 2,107.02 3,221.64 12,512.60 683.10 5.25 3,662.11 33.40 42,248.49 660.23 51,357.35 1,112.20 117.43 38.31 41.60 92.03 1,535.66 48.41 22.77 26.59 30.86 26.21 29.21 11.63 33.51 43.44 1.75 4.74 0.47 24.73 8.42 31.20 15.85 0.21 10.94 10.10 10.48 29.56 2

MF INDUSTRY AUM COMPARISON Mutual Fund Name Avg. AUM JulSep 2016 Avg. AUM AprJun 2016 Absolute change over a quarter % Change over a quarter Avg. AUM JulSep 2015 Absolute change over a year % Change over a year Invesco Mutual Fund JM Financial Mutual Fund JPMorgan Mutual Fund Kotak Mahindra Mutual Fund L&T Mutual Fund LIC Mutual Fund Mahindra Mutual Fund Mirae Asset Mutual Fund Motilal Oswal Mutual Fund Peerless Mutual Fund PPFAS Mutual Fund Principal Mutual Fund Quantum Mutual Fund Reliance Mutual Fund Sahara Mutual Fund SBI Mutual Fund Shriram Mutual Fund Sundaram Mutual Fund Tata Mutual Fund Taurus Mutual Fund Union KBC Mutual Fund UTI Mutual Fund Total 22,560.37 13,612.13 5,064.81 70,387.06 32,666.65 16,452.71 949.88 5,235.45 6,392.95 970.88 667.67 5,136.17 805.66 183,128.86 79.51 131,554.42 43.15 26,699.88 39,691.09 2,663.42 3,386.50 127,333.21 1,610,728.82 19,039.35 12,756.00 5,584.24 62,874.20 28,403.80 13,040.12 NA 3,976.80 5,420.52 927.40 663.30 4,666.18 703.25 167,009.17 101.34 119,878.20 40.38 24,535.61 35,331.70 3,195.98 3,123.63 112,168.55 1,441,026.96 3,521.02 856.13 519.43 7,512.86 4,262.85 3,412.59 NA 1,258.65 972.43 43.48 4.37 469.99 102.41 16,119.69 21.83 11,676.22 2.77 2,164.27 4,359.39 532.56 262.87 15,164.66 169,701.86 18.49 6.71 9.30 11.95 15.01 26.17 NA 31.65 17.94 4.69 0.66 10.07 14.56 9.65 21.54 9.74 6.86 8.82 12.34 16.66 8.42 13.52 11.78 21,593.51 15,858.15 12,455.17 56,510.78 24,280.06 11,156.65 NA 2,427.06 3,928.27 860.30 604.21 6,623.70 612.38 152,919.42 124.00 88,627.99 34.80 22,123.82 28,857.19 4,655.99 2,672.23 104,077.40 1,315,759.95 966.86 2,246.02 7,390.36 13,876.28 8,386.59 5,296.06 NA 2,808.39 2,464.68 110.58 63.46 1,487.53 193.28 30,209.44 44.49 42,926.43 8.35 4,576.06 10,833.90 1,992.57 714.27 23,255.81 294,968.87 4.48 14.16 59.34 24.56 34.54 47.47 NA 115.71 62.74 12.85 10.50 22.46 31.56 19.76 35.88 48.43 23.99 20.68 37.54 42.80 26.73 22.34 22.42 st CATEGORYWISE AUM AS ON 31 OCTOBER 2016 TOP 5 AMCS BASED ON ABS. AAUM GROWTH (S CRS) FOR QUARTER JULY SEPT 2016 Gold / Other ETFs 1.84% Gilt 1.03% Equity 26.54% ICICI Prudential 22,690 Liquid / Money Market 17.06% HDFC 20,310 BIRLA 19,788 FOF Overseas 0.11% Infra Debt Fund 0.11% Income 46.33% RELIANCE 16,120 Balanced 3.75% ELSS 3.22% UTI 15,165 MF CATEGORYWISE SALES MF Category Sales Redemptions Net Sales Oct 2016 Sales Redemptions Net Sales Apr Oct 2016 31Oct16 Category AUM 31Sept16 Monthly Change (%) Income 104,791 52,666 52,125 485,923 333,619 152,304 754,662 698,418 8.05 Infrastructure Debt Fund 1,826 1,809 0.94 Equity 17,259 8,571 8,688 104,729 76,212 28,517 432,411 417,285 3.62 Balanced 4,192 807 3,385 22,203 6,990 15,213 61,107 56,816 7.55 Liquid/Money Market 1,230,051 1,264,864 34,813 9,184,340 9,120,428 63,912 277,981 308,688 9.95 Gilt 1,845 492 1,353 5,990 6,940 950 16,832 15,390 9.37 ELSS 1,004 298 706 5,646 2,536 3,110 52,391 50,737 3.26 Gold ETF 42 22 20 75 594 519 6,047 6,295 3.94 Other ETFs 1,790 850 940 13,591 7,993 5,598 23,943 22,740 5.29 FOF Investing Overseas 20 90 70 181 468 287 1,776 1,898 6.43 Total 1,360,994 1,328,660 32,334 9,822,678 9,555,780 266,898 1,628,976 1,580,076 3.09 ( ` In Crore) *Source : AMFI 3

NJ PMS NJ PMS 6 Months 1 Year 2 Years 3 Years 5 Years Since Inception Dynamic Asset Allocation Portfolio (DAAP) 11.78 16.49 12.72 20.10 14.32 11.86 Benchmark Nifty 500 13.74 11.01 5.89 16.00 12.20 8.85 Avg. Diversified Equity Funds 17.05 14.51 11.16 24.10 17.37 12.98 Universe 156 155 152 142 136 129 Returns are as on 31 Oct 2016 Inception date is 07 July 2010 Perf. more than a year is on CAGR basis and for less than year period is on absolute basis FD RATES (NON FINANCE COMPANIES) Company Minimum Amount Maximum Amount Multiple Amount Scheme Scheme Option 12 months 14 months Interest Rate 24 months 36 months 40 months 48 months Above Additional Rate % Senior Citizens Above 60 Yrs. Share Property holders owners 2000 50 lakhs Cumulative 8.25 8.60 8.50 8.60 8.65 8.65 2000 50 lakhs Monthly 7.90 8.25 8.15 8.25 8.30 8.30 Aashray DepositsII 2000 2000 50 lakhs 50 lakhs Quarterly Half Yearly 8.00 8.05 8.30 8.40 8.20 8.30 8.30 8.40 8.35 8.45 8.35 8.45 2000 50 lakhs Yearly 8.25 8.60 8.50 8.60 8.65 8.65 0 Monthly 7.72 7.81 7.95 8.14 0 Quarterly 7.77 7.86 8.00 8.20 Shriram Transport Finance Company Ltd 0 Half Yearly 7.85 7.94 8.08 8.28 0 Annually 8.00 8.10 8.25 8.45 5000 Cumulative 7.72 7.81 7.95 8.14 Note : 1) In Aashray DepositsII For Widows, Armed Forces Personnel and Existing Dhfl Home Loan Borrowers case eligible for additional rate0.50 2) On Shriram Transport Finance Company Ltd share holder and NCD holder case eligible for additional rate in 36,48 and 60 month FD RATES (FINANCE COMPANIES) Company Minimum Amount Maximum Amount Scheme Scheme Option 1223 Months 2435 Months Interest Rate 3647 Months 4860 Months Additional Rate % Senior Citizens Above 60 Yrs. 40000 20000000 Monthly 7.50 7.50 7.50 7.50 20000 20000000 Quarterly 7.55 7.55 7.55 7.55 HDFC DepositsRegular Deposits 20000 20000000 Half yearly 7.65 7.65 7.65 7.65 20000 20000000 Annual 7.80 7.80 7.80 20000 20000000 Cumulative 7.80 7.80 7.80 7.80 Company Minimum Amount Maximum Amount Scheme Scheme Option 15 Months Interest Rate Additional Rate % 22 Months 30 Months 44 Months Senior Citizens Above 60 Yrs. 40000 20000000 Monthly 7.60 7.65 7.60 7.65 20000 20000000 Quarterly 7.65 7.70 7.65 7.70 HDFC Premium Deposits 20000 20000000 Half yearly 7.75 7.80 7.75 7.80 20000 20000000 Annual 7.90 7.95 7.90 7.95 20000 20000000 Cumulative 7.90 7.95 7.90 7.95 Company Minimum Amount Maximum Amount Scheme Scheme Option 1217 Months Interest Rate Additional Rate % 1823 Months 2460 Months Senior Citizens Above 60 Yrs. And Bajaj Group Employee 50000 50000000 Monthly 7.95 7.95 7.95 50000 50000000 Quarterly 8.01 8.01 8.01 Bajaj Finance Ltd 50000 50000000 Half yearly 8.09 8.09 8.09 50000 50000000 Annual 8.25 8.25 8.25 50000 50000000 Cumulative 8.25 8.25 8.25 Note : 1) On HDFC FD Maximum Deposit Rs1 cr on card rate, anything above rs 1 Cr., rate needs to be confirmed from Treasury 2) On Bajaj FD Minimum Deposit Size Diff in location Wise BONDS RATES Company Minimum Amount Maximum Amount Multiple Amount Scheme Scheme Option Maturity period Interest Rate RBI Bond Cumulative Half Yearly 72 72 8.00 8.00 Note : Premature Redemption Not allowed for any of the Bond 4

SIP RETURN AS ON 31ST OCTOBER 2016 Starting November Month of 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2004 2001 Years 1 2 3 4 5 6 7 8 9 10 12 15 Invested Amount 120,000 240,000 360,000 480,000 600,000 720,000 840,000 960,000 1,080,000 1,200,000 1,440,000 1,800,000 Schemes (Diversified Equity Schemes) Returns % CAGR Axis Equity Fund Gr Axis Focused 25 Fund Gr Axis MidCap Fund Gr Baroda Pioneer Growth Fund Gr Birla Sun Life Advantage Fund Gr Birla Sun Life Dividend Yield Plus Growth Birla Sun Life Equity Fund Gr Birla Sun Life Frontline Equity Fund Gr Birla Sun Life India GenNext Fund Gr Birla Sun Life India Opportunities Fund Gr Birla Sun Life Midcap Fund Gr Birla Sun Life MNC Fund Gr Birla Sun Life Pure Value Fund Gr Birla Sun Life Small and Midcap Fund Gr Birla Sun Life Special Situations Fund Gr Birla Sun Life Top 100 Fund Gr BNP Paribas Dividend Yield Fund Gr BNP Paribas Equity Fund Gr BNP Paribas Midcap Fund Gr BOI AXA Equity Fund Regular Plan Gr Canara Robeco Emerging Equities Fund Gr Canara Robeco Equity Diversified Gr Canara Robeco F.O.R.C.E. Fund Regular Gr Canara Robeco Large Cap Plus Fund Gr DHFL Pramerica Large Cap Fund Gr DHFL Pramerica Midcap Opportunities Fund Gr DSP BlackRock Equity Fund Reg. Plan Div DSP BlackRock Focus 25 Fund Gr DSP BlackRock Micro Cap Fund Gr DSP BlackRock Opportunities Fund Gr DSP BlackRock Small and Mid Cap Reg Gr DSP BlackRock Top 100 Equity Fund Gr Edelweiss Div. Growth Equity Top 100 Fund Gr Edelweiss Emerging Leaders Fund Gr Edelweiss Prudent Advantage Fund Plan A Gr Escorts Growth Plan G Franklin India Bluechip Fund Gr Franklin India Flexi Cap Fund Gr Franklin India High Growth Companies Fund Gr Franklin India Opportunities FundGr Franklin India Prima Fund Gr Franklin India Prima Plus Gr Franklin India Smaller Companies Fund Gr Goldman Sachs India Equity Fund Gr HDFC Capital BuilderGr HDFC Core and Satellite Fund Gr HDFC Equity Fund Div HDFC Growth Fund Gr HDFC Large Cap Fund Gr HDFC Mid Cap Opportunities Fund Gr HDFC Premier MultiCap Fund Gr HDFC Small and Mid Cap Fund Gr HDFC Top 200 Fund Div HSBC Dividend Yield Equity Fund Gr HSBC Dynamic Fund Gr HSBC Equity Fund Gr HSBC India Opportunities Fund Gr HSBC Midcap Equity Fund Gr ICICI Prudential Dynamic Plan Gr ICICI Prudential Exports and Other Services Fund Gr ICICI Prudential Focused Bluechip Equity Fund Gr ICICI Prudential MidCap Fund Gr ICICI Prudential Multicap Fund Gr ICICI Prudential Select Large Cap Fund Retail Gr ICICI Prudential Top 100 Fund Gr 14.74 30.03 21.21 27.15 38.40 26.81 44.62 26.43 36.32 7.09 38.20 10.71 42.27 48.13 40.66 25.45 25.06 15.39 29.64 23.04 37.67 22.41 35.99 24.48 17.09 26.55 33.61 28.86 48.54 37.30 45.45 30.65 20.03 46.76 17.76 2 19.89 18.58 27.10 25.59 35.23 22.00 38.28 20.73 28.14 24.69 33.39 29.15 19.32 41.57 25.59 34.43 30.65 27.88 16.87 28.05 30.98 37.07 27.35 13.71 24.67 34.23 34.18 26.77 29.71 6.18 14.60 8.90 11.20 20.02 9.84 21.98 12.78 19.54 6.27 20.74 7.68 22.79 27.72 20.37 12.02 11.99 6.93 17.08 9.23 20.63 7.90 16.77 10.28 7.82 12.12 14.74 13.57 29.45 19.55 24.27 12.91 8.50 23.29 8.91 12.84 9.95 9.11 12.04 11.80 19.75 11.86 22.56 10.37 13.90 11.69 12.53 13.09 6.21 22.00 8.81 19.05 11.77 11.89 7.85 12.05 13.98 19.62 12.42 8.50 11.18 15.36 17.31 11.23 13.70 9.94 16.85 17.43 14.31 23.93 13.60 23.70 15.82 23.32 14.52 26.55 21.05 28.30 30.85 24.05 15.39 16.75 12.73 23.91 11.74 30.06 10.96 20.68 12.29 12.26 15.93 17.67 18.14 38.81 21.34 28.68 14.04 12.34 25.53 12.63 19.51 13.26 15.26 20.32 17.52 26.50 17.95 30.05 16.77 17.29 14.88 14.70 14.57 7.55 27.04 12.20 21.20 13.30 13.34 9.43 12.64 17.26 26.79 13.44 16.07 13.61 23.01 19.89 12.75 14.27 12.52 17.10 21.20 15.82 25.58 15.18 25.04 17.68 23.27 20.50 27.51 24.94 31.48 31.33 24.86 17.79 18.58 15.49 26.66 13.69 33.01 12.84 20.53 13.47 14.50 18.84 19.14 40.68 21.89 29.93 14.75 14.28 26.36 14.36 22.00 14.63 18.30 23.71 19.59 28.78 20.13 33.45 19.59 19.59 17.00 16.97 15.27 8.88 29.49 14.80 22.05 15.10 14.42 10.34 13.62 19.77 30.12 16.05 22.68 15.57 27.40 21.17 14.64 16.09 14.14 22.44 15.61 24.49 14.78 24.24 18.42 23.37 21.26 25.86 25.07 29.97 28.91 23.47 18.43 18.82 16.50 26.88 13.99 31.48 13.51 20.36 13.88 15.11 18.08 18.51 37.08 21.32 27.90 14.54 15.13 25.15 13.90 21.14 14.75 18.74 24.38 19.22 28.50 20.17 33.21 19.52 16.08 17.01 14.75 10.17 28.27 14.14 21.53 15.27 14.33 10.29 13.52 19.30 27.53 16.46 24.97 16.08 26.30 20.85 15.04 16.44 13.50 13.68 21.56 13.49 21.50 17.05 21.92 19.41 22.84 23.66 26.65 25.47 20.58 17.15 17.49 15.76 25.09 12.84 28.40 12.88 18.61 13.23 13.72 16.17 16.32 32.58 18.87 24.64 13.35 14.39 12.47 18.39 13.66 17.19 22.36 17.27 25.99 18.64 30.02 17.71 13.91 15.29 13.34 9.41 25.80 12.37 19.20 13.92 12.82 9.26 12.13 17.59 23.59 15.32 23.50 15.13 23.36 18.75 13.92 15.48 12.11 19.06 12.72 19.04 15.79 20.73 17.54 20.21 22.53 23.97 22.59 18.03 16.02 16.40 14.92 23.29 11.45 26.03 12.30 17.43 12.41 14.78 29.26 17.10 22.29 12.43 13.54 11.49 16.07 12.88 15.91 20.30 15.60 23.59 17.32 27.08 16.41 12.58 14.23 12.47 8.67 24.03 11.27 17.33 13.00 11.62 8.49 11.07 16.18 20.01 14.46 21.67 14.51 20.65 17.07 12.99 14.54 12.68 19.10 14.58 19.24 16.81 21.43 18.60 21.12 24.34 24.42 23.42 17.86 16.74 17.68 15.37 24.41 11.96 27.46 14.12 12.86 15.83 30.72 17.77 23.78 13.33 16.37 14.16 17.06 21.19 15.88 24.62 18.09 27.68 17.83 14.21 16.08 13.78 9.94 25.51 12.85 18.54 14.46 12.39 8.99 11.49 16.37 19.72 15.79 22.18 16.04 21.46 17.68 15.30 11.87 17.37 14.55 17.57 15.96 20.06 16.91 19.52 23.39 21.38 15.70 16.98 14.06 21.66 25.00 13.68 11.86 14.98 28.07 16.48 22.16 12.72 14.64 13.57 16.11 19.56 14.37 22.61 16.97 25.26 16.73 13.42 15.50 13.01 9.18 23.92 12.18 14.00 10.99 8.07 10.55 14.87 17.41 15.05 19.99 19.16 16.33 14.37 11.65 15.93 14.36 16.36 15.41 18.88 15.17 18.39 22.01 14.80 16.27 13.16 19.29 22.89 13.43 11.46 14.57 15.53 12.51 13.55 13.11 15.24 13.21 20.74 16.15 23.07 15.98 12.67 14.98 12.76 8.52 11.58 13.79 10.17 13.77 15.59 14.44 18.19 17.31 15.18 13.65 12.60 15.30 14.45 16.58 16.49 13.88 18.39 20.88 13.53 12.55 15.96 15.89 14.15 13.38 14.12 13.48 19.07 16.90 15.98 13.08 16.05 14.07 9.00 15.20 11.18 13.97 15.80 16.52 15.39 14.33 18.04 21.38 15.60 22.56 21.39 20.71 16.54 18.65 17.07 23.46 21.01 20.66 21.17 18.84 12.17 20.64 19.58 17.69 5

SIP VALUE AS ON 31ST OCTOBER 2016 Starting November Month of 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2004 2001 Years 1 2 3 4 5 6 7 8 9 10 12 15 Invested Amount 120,000 240,000 360,000 480,000 Schemes (Diversified Equity Schemes) Axis Equity Fund Gr Axis Focused 25 Fund Gr Axis MidCap Fund Gr Baroda Pioneer Growth Fund Gr Birla Sun Life Advantage Fund Gr Birla Sun Life Dividend Yield Plus Growth Birla Sun Life Equity Fund Gr Birla Sun Life Frontline Equity Fund Gr Birla Sun Life India GenNext Fund Gr Birla Sun Life India Opportunities Fund Gr Birla Sun Life Midcap Fund Gr Birla Sun Life MNC Fund Gr Birla Sun Life Pure Value Fund Gr Birla Sun Life Small and Midcap Fund Gr Birla Sun Life Special Situations Fund Gr Birla Sun Life Top 100 Fund Gr BNP Paribas Dividend Yield Fund Gr BNP Paribas Equity Fund Gr BNP Paribas Midcap Fund Gr BOI AXA Equity Fund Regular Plan Gr Canara Robeco Emerging Equities Fund Gr Canara Robeco Equity Diversified Gr Canara Robeco F.O.R.C.E. Fund Regular Gr Canara Robeco Large Cap Plus Fund Gr DHFL Pramerica Large Cap Fund Gr DHFL Pramerica Midcap Opportunities Fund Gr DSP BlackRock Equity Fund Reg. Plan Div DSP BlackRock Focus 25 Fund Gr DSP BlackRock Micro Cap Fund Gr DSP BlackRock Opportunities Fund Gr DSP BlackRock Small and Mid Cap Reg Gr DSP BlackRock Top 100 Equity Fund Gr Edelweiss Div. Growth Equity Top 100 Fund Gr Edelweiss Emerging Leaders Fund Gr Edelweiss Prudent Advantage Fund Plan A Gr Escorts Growth Plan G Franklin India Bluechip Fund Gr Franklin India Flexi Cap Fund Gr Franklin India High Growth Companies Fund Gr Franklin India Opportunities FundGr Franklin India Prima Fund Gr Franklin India Prima Plus Gr Franklin India Smaller Companies Fund Gr Goldman Sachs India Equity Fund Gr HDFC Capital BuilderGr HDFC Core and Satellite Fund Gr HDFC Equity Fund Div HDFC Growth Fund Gr HDFC Large Cap Fund Gr HDFC Mid Cap Opportunities Fund Gr HDFC Premier MultiCap Fund Gr HDFC Small and Mid Cap Fund Gr HDFC Top 200 Fund Div HSBC Dividend Yield Equity Fund Gr HSBC Dynamic Fund Gr HSBC Equity Fund Gr HSBC India Opportunities Fund Gr HSBC Midcap Equity Fund Gr ICICI Prudential Dynamic Plan Gr ICICI Prudential Exports and Other Services Fund Gr ICICI Prudential Focused Bluechip Equity Fund Gr ICICI Prudential MidCap Fund Gr ICICI Prudential Multicap Fund Gr ICICI Prudential Select Large Cap Fund Retail Gr ICICI Prudential Top 100 Fund Gr 128,774 137,503 132,508 135,884 142,139 135,693 145,534 135,475 140,995 124,271 142,033 126,416 144,256 147,426 143,380 134,923 134,705 129,154 137,286 133,553 141,742 133,193 140,817 134,374 130,139 135,547 139,499 136,844 147,645 141,536 145,984 137,850 131,832 146,691 130,525 131,958 131,751 131,000 135,856 135,004 140,394 132,963 142,077 132,234 136,442 134,491 139,376 137,011 131,427 143,873 135,001 139,951 137,850 136,297 130,010 136,389 138,030 141,413 135,997 128,176 134,483 139,839 139,814 135,670 137,323 255,108 276,223 261,868 267,633 290,101 264,218 295,182 271,597 288,857 255,347 291,961 258,840 297,283 310,243 290,994 269,676 269,600 256,962 282,542 262,688 291,689 259,377 281,731 265,317 259,169 269,943 276,571 273,602 314,826 288,886 301,167 271,919 260,874 298,585 261,890 271,751 264,486 262,393 269,743 269,123 289,414 269,276 296,692 265,530 274,424 268,858 270,978 272,373 255,200 295,219 261,633 287,606 269,065 269,353 259,244 269,761 274,635 289,072 270,700 260,859 267,570 278,146 283,119 267,686 273,937 416,723 459,521 463,215 443,441 506,236 439,057 504,713 452,961 502,120 444,794 524,327 486,893 536,653 554,918 507,057 450,253 458,868 433,652 506,135 427,611 549,169 422,882 484,408 430,947 430,768 453,422 464,767 467,778 614,610 488,829 539,352 441,783 431,283 517,250 433,070 476,725 436,910 449,415 482,030 463,768 523,999 466,546 549,108 458,966 462,301 447,000 445,921 445,100 402,599 527,767 430,433 487,837 437,213 437,447 413,680 433,108 462,141 525,978 438,065 454,546 439,124 500,012 479,182 433,822 443,189 614,009 670,139 723,853 654,035 785,075 646,076 777,265 677,511 752,300 714,496 813,337 775,772 873,974 871,586 774,672 678,948 689,069 649,895 800,678 627,966 898,319 617,854 714,780 625,286 637,816 692,521 696,469 1,028,527 733,226 849,791 640,796 635,098 796,374 636,136 734,672 639,351 685,528 758,474 702,332 832,287 709,541 905,433 702,258 702,299 668,920 668,524 647,267 572,185 843,155 641,395 735,366 645,170 636,866 588,676 627,074 704,729 852,723 656,855 744,066 650,981 811,667 723,458 639,522 657,441 600,000 720,000 840,000 Investment Value 851,486 1,040,394 882,471 1,092,236 864,909 1,085,806 944,572 1,063,536 1,011,326 1,128,353 1,107,588 1,242,913 1,212,624 1,066,247 944,848 953,797 901,762 1,156,004 848,395 1,287,500 838,442 989,844 845,988 871,728 936,934 946,547 1,465,371 1,012,788 1,184,092 859,702 872,279 1,109,677 846,377 1,008,395 864,132 951,998 1,089,575 963,043 1,200,781 985,250 1,340,464 970,034 892,640 912,881 864,120 772,605 1,194,323 851,528 1,017,830 875,303 855,461 774,830 838,641 964,840 1,173,782 900,753 1,104,989 892,548 1,140,213 1,001,455 870,320 900,483 1,079,684 1,085,449 1,371,342 1,079,294 1,368,707 1,200,067 1,385,661 1,286,901 1,424,001 1,458,673 1,592,082 1,538,233 1,332,086 1,203,455 1,215,604 1,154,804 1,521,238 1,058,379 1,675,491 1,059,925 1,256,779 1,070,815 1,086,851 1,169,126 1,174,109 1,890,539 1,266,487 1,501,132 1,074,735 1,108,560 1,046,944 1,248,567 1,084,679 1,204,847 1,403,917 1,207,692 1,561,848 1,257,780 1,756,022 1,223,734 1,092,875 1,138,601 1,074,391 955,288 1,553,146 1,043,674 1,279,029 1,093,064 1,057,764 950,921 1,036,258 1,219,468 1,455,566 1,139,894 1,451,887 1,133,260 1,445,641 1,261,789 1,093,266 1,145,272 1,288,223 1,647,882 1,316,629 1,646,443 1,467,771 1,747,900 1,561,482 1,715,815 1,862,245 1,958,910 1,866,188 1,588,775 1,479,820 1,500,101 1,423,306 1,912,619 1,258,865 2,105,724 1,297,055 1,555,288 1,302,064 1,416,406 2,356,870 1,537,187 1,846,780 1,303,090 1,355,362 1,260,276 1,482,372 1,323,973 1,473,905 1,721,280 1,457,951 1,932,762 1,549,387 2,184,651 1,500,425 1,309,896 1,388,756 1,305,024 1,140,466 1,963,419 1,250,581 1,550,184 1,329,877 1,266,190 1,133,399 1,242,004 1,488,094 1,703,831 1,400,429 1,806,745 1,402,995 1,743,059 1,536,004 1,329,460 1,404,185 960,000 1,609,281 2,096,645 1,739,902 2,108,951 1,907,635 2,308,494 2,053,478 2,278,807 2,601,820 2,611,158 2,505,271 1,992,125 1,901,965 1,977,027 1,798,010 2,609,275 1,562,146 2,958,049 1,707,529 1,620,770 1,832,119 3,379,618 1,984,589 2,543,222 1,652,845 1,873,385 1,710,312 1,927,600 2,285,202 1,835,891 2,632,358 2,011,093 2,985,493 1,989,424 1,713,671 1,851,389 1,683,699 1,437,699 2,730,471 1,620,301 2,048,809 1,731,415 1,589,734 1,382,821 1,532,452 1,873,275 2,151,007 1,828,908 2,380,866 1,848,038 2,311,224 1,977,457 1,792,230 1,080,000 1,200,000 1,440,000 1,800,000 1,868,004 2,421,377 2,119,254 2,445,381 2,265,976 2,751,212 2,369,380 2,681,326 3,222,067 2,929,392 2,238,059 2,377,512 2,071,052 2,968,550 3,477,097 2,034,555 1,867,136 2,162,926 4,018,387 2,322,386 3,039,831 1,944,303 2,128,346 2,023,704 2,281,166 2,687,105 2,101,505 3,105,084 2,376,915 3,519,984 2,350,149 2,010,037 2,217,005 1,971,440 1,647,281 3,304,467 1,895,582 2,065,036 1,792,282 1,564,354 1,756,442 2,152,001 2,426,617 2,170,052 2,741,599 2,635,892 2,305,323 2,101,879 2,191,268 2,752,814 2,531,385 2,816,523 2,677,287 3,224,041 2,642,469 3,141,129 3,815,158 2,591,606 2,802,802 2,373,893 3,296,346 3,999,689 2,408,549 2,170,094 2,559,892 2,694,330 2,294,316 2,424,444 2,367,963 2,652,268 2,381,179 3,563,386 2,784,409 4,040,100 2,759,859 2,313,048 2,615,978 2,324,680 1,858,137 2,183,322 2,455,968 2,027,336 2,453,389 2,703,670 2,542,420 3,107,538 2,964,111 2,644,323 2,437,487 3,193,040 3,816,997 3,607,900 4,154,974 4,131,342 3,473,899 4,687,836 5,538,286 3,396,231 3,183,139 3,987,976 3,969,429 3,537,968 3,361,756 3,530,921 3,384,607 4,907,384 4,245,961 3,994,128 3,295,383 4,010,767 3,519,349 2,525,956 3,790,835 2,910,778 3,495,965 3,944,595 4,139,464 3,840,032 3,579,775 7,999,663 10,741,271 6,468,248 11,919,801 10,748,005 10,124,905 7,019,123 8,446,246 7,349,377 12,906,203 10,392,199 10,079,756 10,538,383 8,582,991 4,811,752 10,055,652 9,165,917 7,761,460 6

SIP RETURN AS ON 31ST OCTOBER 2016 Starting November Month of 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2004 2001 Years 1 2 3 4 5 6 7 8 9 10 12 15 Invested Amount 120,000 240,000 360,000 480,000 600,000 720,000 840,000 960,000 1,080,000 1,200,000 1,440,000 1,800,000 Schemes (Diversified Equity Schemes) Returns % CAGR ICICI Prudential Value Discovery Fund Gr IDFC Classic Equity Fund Regular Plan Gr IDFC Equity Fund Regular Plan Gr IDFC Imperial Equity Fund Regular Plan Gr IDFC Premier Equity Fund Regular Plan Gr IDFC Sterling Equity Fund Regular Gr Indiabulls Blue Chip Fund Gr Invesco India Business Leaders Fund Gr Invesco India Contra Fund Gr Invesco India Dynamic Equity Fund Gr Invesco India Growth Fund Gr Invesco India Mid N Small Cap Fund Gr Invesco India Midcap Fund Gr JM Equity Fund Growth Option JM Multi Strategy Fund Growth Option JP Morgan India Equity Fund Gr JP Morgan India Mid and Small Cap Fund Gr Kotak 50 Equity Scheme Div Kotak Classic Equity Fund Gr Kotak Emerging Equity Scheme Gr Kotak Midcap Gr Kotak Opportunities Fund Gr Kotak Select Focus Fund Gr L&T Business Cycles Fund Gr L&T Emerging Businesses Fund Gr L&T Equity Fund Gr L&T India Large Cap Fund Gr L&T India Special Situations Fund Gr L&T India Value Fund Gr L&T Midcap Fund Gr LIC MF Equity Fund Gr LIC MF Growth Fund Gr Mirae Asset Emerging Bluechip Fund Gr Mirae Asset India Opportunities Fund Gr Motilal Oswal MOSt Focused 25 Fund Gr Motilal Oswal Most Focused Midcap 30 Fund Gr Motilal Oswal MOSt Focused Multicap 35 Fund Gr Principal Dividend Yield Fund Gr Principal Emerging Bluechip Fund Gr Principal Growth Fund Gr Principal Large Cap Fund Gr Principal SMART Equity Fund Gr Quantum Long Term Equity Fund Gr Reliance Equity Opportunities Fund Gr Reliance Focused Large Cap Fund Gr Reliance Growth Fund Gr Reliance Mid & Small Cap Fund Gr Reliance Quant Plus Fund Gr Reliance Regular Savings Fund Equity Plan Gr Reliance Small Cap Fund Gr Reliance Top 200 Fund Gr Reliance Vision Fund Gr SBI Blue Chip Fund Gr SBI Contra Fund Regular Div SBI Emerging Businesses Fund Regular Plan Gr SBI Magnum Equity Fund Div SBI Magnum Global Fund Div SBI Magnum MidCap Fund Gr SBI Magnum Multicap Fund Gr SBI Magnum Multiplier Fund Div SBI Small & Midcap Fund Gr Sundaram Equity Multiplier Fund Gr Sundaram Rural India Fund Gr Sundaram S.M.I.L.E. Fund Gr Sundaram Select Focus Gr 21.58 32.92 21.20 20.77 21.10 33.76 28.19 19.26 28.02 18.36 21.46 28.95 30.13 13.12 39.14 20.84 32.15 18.66 24.13 41.83 39.82 33.53 31.68 33.29 50.61 24.49 21.28 26.73 38.30 42.08 18.01 21.25 46.26 31.17 28.16 36.16 36.92 35.44 42.68 36.90 27.27 14.02 30.33 14.81 25.72 35.72 40.15 18.76 24.40 43.79 23.80 20.68 24.03 26.95 26.06 24.61 21.61 33.65 28.55 25.77 38.45 29.24 54.06 38.51 14.50 11.01 15.77 7.31 6.41 10.79 14.48 13.48 9.55 14.21 8.84 9.78 14.42 14.98 4.20 16.41 9.56 16.56 9.19 9.70 23.09 22.16 16.15 16.13 14.36 27.56 10.43 8.63 11.46 21.22 22.30 4.23 7.76 26.65 15.40 12.27 20.56 20.61 14.88 21.65 17.38 12.09 7.92 17.11 4.30 1 16.42 20.02 5.75 11.36 24.93 9.61 7.47 13.97 12.32 15.13 12.50 11.45 21.31 16.80 14.18 24.73 14.21 30.60 19.35 4.65 18.93 16.09 8.54 8.29 17.72 18.66 14.06 13.59 19.87 11.41 14.27 21.59 22.52 9.49 19.14 13.74 25.41 13.65 11.95 30.86 27.82 19.49 20.47 14.69 12.57 15.74 27.29 28.95 7.57 11.46 32.64 18.78 16.36 15.57 27.84 19.00 14.22 10.46 17.32 11.30 12.83 20.34 26.39 7.47 16.67 32.63 14.70 13.55 18.32 15.71 19.94 15.49 19.53 28.29 21.77 18.85 35.71 17.77 29.38 29.87 7.53 23.20 15.98 10.14 9.81 20.75 20.15 14.17 15.35 22.57 13.65 16.63 25.23 25.78 11.87 20.11 15.64 28.48 15.21 13.62 31.69 28.41 20.36 22.03 16.79 14.70 17.74 28.90 31.13 10.08 13.47 34.79 20.88 15.84 29.78 20.80 15.86 12.61 18.29 14.93 14.99 21.43 28.81 9.36 18.25 36.88 17.09 16.40 19.88 16.38 20.33 16.60 22.82 31.69 23.02 21.19 37.48 18.85 27.37 32.36 9.75 23.61 16.02 11.02 10.14 21.19 19.96 15.76 21.89 14.88 17.12 25.53 25.53 12.51 19.35 15.83 28.10 15.48 14.33 29.59 26.72 19.91 21.86 16.77 14.94 18.20 27.94 29.40 10.98 13.94 33.36 20.93 15.37 29.41 21.04 16.05 13.32 18.20 16.18 15.89 20.46 27.35 10.18 18.28 34.66 17.57 15.99 20.42 16.18 20.43 16.68 23.26 31.35 22.49 21.05 35.43 17.96 25.09 29.84 10.39 21.97 14.38 10.37 9.18 19.91 18.37 14.46 19.61 13.93 15.71 23.64 23.46 11.27 16.77 14.47 25.49 14.20 13.55 26.39 23.83 18.00 19.91 15.31 13.72 16.97 25.02 25.97 10.11 12.68 30.43 19.28 13.84 26.33 19.13 14.58 16.84 15.66 14.60 18.18 24.28 9.50 16.42 30.67 16.20 14.20 18.87 14.25 19.81 15.39 21.66 28.31 20.07 19.13 31.37 15.82 22.05 26.01 9.47 20.46 12.87 9.79 8.47 18.84 17.13 13.33 17.68 12.97 14.65 22.22 21.77 10.01 14.24 13.52 23.31 13.10 12.43 23.47 21.53 16.31 18.20 14.32 12.92 15.86 23.10 9.28 11.58 17.99 12.72 23.32 17.11 13.39 15.91 15.18 12.79 16.18 21.79 9.17 14.80 15.03 12.74 17.13 12.48 19.24 14.23 20.03 25.35 17.72 17.25 28.09 14.10 19.80 22.63 8.60 22.87 13.20 10.81 9.33 20.84 18.98 18.61 13.96 15.42 24.28 23.61 10.39 13.95 14.54 24.30 13.75 13.46 23.60 22.34 16.94 15.63 14.43 17.19 23.85 10.08 12.38 19.72 13.91 17.24 14.79 17.65 17.85 12.55 17.00 22.11 10.46 16.02 15.60 13.51 17.51 12.80 21.95 15.30 21.63 25.53 17.62 17.75 14.42 20.00 22.87 9.35 21.97 11.95 10.02 8.98 19.84 17.63 13.20 14.39 21.65 9.02 13.40 12.70 12.70 21.13 20.30 15.53 14.85 13.80 16.02 21.83 9.21 11.49 12.95 15.34 13.93 16.99 17.16 11.38 15.80 20.32 15.08 14.52 12.58 16.13 11.74 20.15 14.30 19.73 22.63 15.87 16.41 13.14 17.91 20.98 8.56 20.78 11.22 9.57 8.98 19.71 8.00 12.21 12.13 18.48 14.85 14.23 15.05 20.23 8.72 10.64 12.31 13.85 13.38 16.40 16.32 10.66 15.15 14.91 11.92 14.95 11.13 18.59 13.66 18.07 20.30 14.47 15.46 16.54 19.85 8.42 20.16 8.01 13.29 15.70 19.02 8.93 10.37 11.63 12.92 16.21 12.82 12.53 17.86 14.70 17.90 16.30 10.15 11.69 18.05 11.36 15.87 23.76 19.00 20.10 17.83 23.78 21.49 7

SIP VALUE AS ON 31ST OCTOBER 2016 Starting November Month of 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2004 2001 Years 1 2 3 4 5 6 7 8 9 10 12 15 Invested Amount 120,000 240,000 360,000 480,000 600,000 720,000 840,000 960,000 1,080,000 1,200,000 1,440,000 1,800,000 Schemes (Diversified Equity Schemes) Investment Value ICICI Prudential Value Discovery Fund Gr IDFC Classic Equity Fund Regular Plan Gr IDFC Equity Fund Regular Plan Gr IDFC Imperial Equity Fund Regular Plan Gr IDFC Premier Equity Fund Regular Plan Gr IDFC Sterling Equity Fund Regular Gr Indiabulls Blue Chip Fund Gr Invesco India Business Leaders Fund Gr Invesco India Contra Fund Gr Invesco India Dynamic Equity Fund Gr Invesco India Growth Fund Gr Invesco India Mid N Small Cap Fund Gr Invesco India Midcap Fund Gr JM Equity Fund Growth Option JM Multi Strategy Fund Growth Option JP Morgan India Equity Fund Gr JP Morgan India Mid and Small Cap Fund Gr Kotak 50 Equity Scheme Div Kotak Classic Equity Fund Gr Kotak Emerging Equity Scheme Gr Kotak Midcap Gr Kotak Opportunities Fund Gr Kotak Select Focus Fund Gr L&T Business Cycles Fund Gr L&T Emerging Businesses Fund Gr L&T Equity Fund Gr L&T India Large Cap Fund Gr L&T India Special Situations Fund Gr L&T India Value Fund Gr L&T Midcap Fund Gr LIC MF Equity Fund Gr LIC MF Growth Fund Gr Mirae Asset Emerging Bluechip Fund Gr Mirae Asset India Opportunities Fund Gr Motilal Oswal MOSt Focused 25 Fund Gr Motilal Oswal Most Focused Midcap 30 Fund Gr Motilal Oswal MOSt Focused Multicap 35 Fund Gr Principal Dividend Yield Fund Gr Principal Emerging Bluechip Fund Gr Principal Growth Fund Gr Principal Large Cap Fund Gr Principal SMART Equity Fund Gr Quantum Long Term Equity Fund Gr Reliance Equity Opportunities Fund Gr Reliance Focused Large Cap Fund Gr Reliance Growth Fund Gr Reliance Mid & Small Cap Fund Gr Reliance Quant Plus Fund Gr Reliance Regular Savings Fund Equity Plan Gr Reliance Small Cap Fund Gr Reliance Top 200 Fund Gr Reliance Vision Fund Gr SBI Blue Chip Fund Gr SBI Contra Fund Regular Div SBI Emerging Businesses Fund Regular Plan Gr SBI Magnum Equity Fund Div SBI Magnum Global Fund Div SBI Magnum MidCap Fund Gr SBI Magnum Multicap Fund Gr SBI Magnum Multiplier Fund Div SBI Small & Midcap Fund Gr Sundaram Equity Multiplier Fund Gr Sundaram Rural India Fund Gr Sundaram S.M.I.L.E. Fund Gr Sundaram Select Focus Gr 132,723 139,113 132,505 132,259 132,444 139,579 136,469 131,391 136,374 130,873 132,651 136,895 137,557 127,830 142,549 132,300 138,683 131,045 134,173 144,017 142,922 139,453 138,424 139,322 148,759 134,382 132,547 135,646 142,089 144,156 130,672 132,531 146,419 138,141 136,453 140,910 141,325 140,510 144,482 141,319 135,954 128,357 137,670 128,816 135,074 140,665 143,102 131,105 134,327 145,085 133,988 132,207 134,118 135,772 135,271 134,446 132,737 139,519 136,674 135,104 142,167 137,059 150,597 142,200 128,633 267,147 279,183 257,909 255,684 266,605 275,916 273,381 263,479 275,233 261,725 264,067 275,766 277,170 250,230 280,822 263,506 281,202 262,600 263,867 298,083 295,645 280,150 280,095 275,595 309,820 265,684 261,202 268,286 293,211 296,013 250,317 259,022 307,409 278,258 270,320 291,506 291,636 276,918 294,319 283,304 269,857 259,429 282,607 250,485 265,230 280,839 290,111 254,064 268,031 302,894 263,636 258,313 274,618 270,440 277,564 270,900 268,257 293,447 281,825 275,153 302,352 275,225 317,900 288,375 251,337 472,895 454,661 408,427 406,948 465,093 471,183 441,908 438,996 479,078 425,593 443,194 490,489 496,668 414,045 474,308 439,886 516,423 439,339 428,912 554,974 533,262 476,564 483,062 445,846 432,710 452,418 529,532 541,230 402,692 425,913 567,981 471,969 456,350 451,356 533,376 473,387 442,883 419,831 462,487 424,959 434,268 482,201 523,221 402,112 458,326 567,861 445,889 438,725 468,950 452,224 479,530 450,839 476,864 536,562 491,695 472,407 590,868 465,386 544,310 547,824 402,443 751,286 655,978 586,457 582,625 717,807 709,783 633,746 648,172 742,504 627,438 664,163 780,013 787,880 606,395 709,190 651,863 827,758 646,434 627,099 877,287 826,801 712,536 735,157 666,253 640,283 678,251 834,070 868,465 585,781 625,328 927,267 719,551 654,331 847,590 718,430 654,555 615,065 685,340 643,041 643,769 726,930 832,712 577,635 684,796 962,303 670,048 661,340 706,213 660,981 712,149 663,807 746,004 877,340 748,825 723,733 972,605 692,650 811,207 887,876 581,934 1,069,801 891,342 788,922 772,065 1,009,543 980,198 885,693 1,026,674 866,892 915,465 1,119,500 1,119,714 818,177 966,008 887,189 1,189,622 879,648 855,440 1,231,939 1,151,564 979,180 1,025,983 907,730 868,295 939,615 1,185,109 1,226,447 788,165 847,219 1,344,994 1,003,287 877,417 1,226,717 1,006,077 892,034 834,534 939,537 894,853 888,570 992,110 1,168,712 772,668 941,504 1,386,061 925,386 890,704 991,098 894,719 991,504 905,737 1,060,903 1,283,641 1,041,593 1,006,272 1,411,058 934,054 1,108,116 1,239,341 776,773 1,387,888 1,108,340 983,246 948,871 1,305,938 1,247,914 1,111,029 1,294,419 1,093,547 1,152,995 1,457,812 1,450,028 1,010,070 1,190,013 1,111,387 1,538,956 1,102,509 1,081,182 1,580,087 1,465,912 1,234,286 1,305,989 1,139,581 1,086,629 1,197,231 1,518,111 1,560,551 975,472 1,053,533 1,776,987 1,282,077 1,090,579 1,577,367 1,276,427 1,115,067 1,192,403 1,151,331 1,115,628 1,240,666 1,485,462 957,765 1,177,804 1,789,094 1,170,165 1,102,214 1,266,513 1,104,151 1,302,156 1,142,274 1,375,437 1,671,063 1,312,394 1,276,203 1,825,802 1,156,948 1,391,013 1,562,695 956,957 1,731,361 1,323,382 1,186,963 1,132,586 1,634,794 1,538,922 1,345,232 1,569,321 1,328,498 1,409,591 1,841,853 1,813,389 1,195,905 1,389,440 1,354,474 1,913,967 1,334,430 1,303,128 1,924,926 1,798,094 1,495,299 1,598,628 1,393,577 1,326,035 1,471,232 1,899,741 1,165,647 1,264,470 1,586,696 1,316,656 1,914,901 1,538,165 1,348,082 1,473,960 1,436,629 1,319,626 1,488,336 1,814,394 1,160,983 1,417,455 1,428,736 1,317,603 1,539,263 1,305,352 1,658,067 1,388,897 1,705,351 2,056,508 1,571,340 1,545,885 2,263,383 1,382,565 1,691,308 1,868,609 1,137,882 2,449,319 1,643,659 1,489,874 1,402,107 2,252,945 2,086,209 2,054,615 1,696,036 1,801,280 2,595,672 2,524,858 1,464,547 1,695,134 1,737,238 2,597,628 1,681,219 1,661,535 2,523,695 2,396,347 1,917,910 1,817,208 1,729,125 1,937,874 2,550,735 1,445,883 1,589,018 2,150,634 1,692,494 1,942,178 1,755,448 1,975,149 1,990,952 1,600,339 1,922,463 2,373,441 1,468,470 1,846,545 1,814,937 1,665,331 1,963,851 1,617,244 2,358,628 1,792,130 2,327,764 2,732,911 1,972,541 1,983,262 1,728,581 2,176,270 2,449,625 1,403,308 3,011,327 1,875,757 1,712,448 1,631,530 2,722,238 2,452,285 1,988,750 2,103,569 2,967,223 1,635,183 2,007,993 1,942,201 1,942,760 2,893,913 2,782,563 2,220,017 2,149,559 2,045,705 2,272,134 2,991,935 1,649,634 1,835,595 1,965,678 2,199,730 2,058,680 2,378,233 2,397,903 1,825,555 2,248,198 2,785,016 2,173,416 2,116,504 1,931,547 2,283,703 1,856,880 2,762,678 2,094,307 2,708,489 3,107,226 2,255,693 2,314,458 1,983,693 2,484,873 2,873,434 1,600,300 3,571,661 2,142,369 1,963,446 1,903,429 3,370,823 1,808,709 2,257,199 2,248,051 3,155,823 2,598,280 2,513,121 2,626,437 3,466,768 1,877,700 2,077,688 2,269,390 2,463,238 2,402,188 2,822,476 2,810,632 2,079,377 2,640,773 2,606,455 2,222,650 2,612,538 2,132,299 3,175,090 2,438,474 3,086,240 3,480,049 2,546,225 2,684,727 2,843,226 3,395,915 1,848,993 5,280,209 2,371,377 3,341,836 3,920,684 4,891,892 2,516,110 2,760,717 2,996,975 3,262,125 4,053,827 3,240,015 3,179,976 4,524,779 3,668,406 4,537,924 4,079,802 2,721,068 4,622,245 8,008,525 4,491,045 6,622,813 13,252,843 8,707,379 9,590,145 7,855,109 13,277,459 10,847,895 8

SIP RETURN AS ON 31ST OCTOBER 2016 Starting November Month of 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2004 2001 Years 1 2 3 4 5 6 7 8 9 10 12 15 Invested Amount 120,000 240,000 360,000 480,000 600,000 Schemes (Diversified Equity Schemes) Sundaram Select MidCap Gr Tata Dividend Yield Fund Gr Tata Equity Opportunities Fund Gr Tata Equity P/E Fund Gr Tata Ethical Fund Gr Tata Large Cap Fund Gr Tata Mid Cap Growth Fund Gr Taurus Bonanza Fund Gr Taurus Discovery Fund Gr Taurus Ethical Fund Gr Taurus Starshare Growth Templeton India Growth Fund Gr Union KBC Equity Fund Gr UTI Bluechip Flexicap Fund Gr UTI Dividend Yield Fund. Gr UTI Equity Fund Div UTI India Lifestyle Fund Gr UTI Master Share Div UTI Mid Cap Fund Gr UTI MNC Fund Gr UTI Opportunities Fund Gr UTI Top 100 Fund Gr Average Return of Above Funds Maximum Return Minimum Return Universe ELSS / Tax Savings Schemes Axis Long Term Equity Fund Gr Baroda Pioneer Elss 96 Div Birla Sun Life Tax Plan Div Birla Sun Life Tax Relief 96 Fund Div BNP Paribas Long Term Equity Fund Gr BOI AXA Tax Advantage Fund Regular Growth Canara Robeco Equity Tax Saver Fund Div DHFL Pramerica Tax Plan Gr DSP BlackRock Tax Saver Fund Gr Edelweiss ELSS Fund Gr Franklin India Taxshield Gr HDFC Long Term Advantage Fund Gr HDFC Taxsaver Div HSBC Tax Saver Equity Fund Gr ICICI Prudential Long Term Equity Fund Regular Gr IDFC Tax Advantage (ELSS) Fund Regular Gr Invesco India Tax Plan Gr JM Tax Gain Fund Growth Option JP Morgan India Tax Advantage Fund Gr Kotak Tax Saver Gr L&T Tax Advantage Fund Gr LIC MF Tax Plan Gr Principal Personal Tax Saver Gr Principal Tax Savings Fund Quantum Tax Saving Fund Gr Plan Reliance Tax Saver Fund Gr SBI Magnum Tax Gain Fund Div Sundaram Tax Saver Div Tata India Tax Savings Fund Regular Plan Div Taurus Tax Shield Gr Union KBC Tax Saver Scheme Gr UTI Long Term Equity Fund (Tax Saving) Div Average Return of Above Funds Maximum Return Minimum Return Universe S&P BSE SENSEX NIFTY 50 46.28 20.98 23.58 44.89 10.51 19.57 27.82 18.74 36.23 17.12 22.42 39.41 24.21 20.08 23.96 19.01 20.26 19.18 33.54 12.55 21.46 21.91 28.36 54.06 7.09 152 21.38 29.94 24.72 25.72 16.48 26.10 21.31 25.54 37.02 21.93 21.22 34.83 31.45 30.23 27.74 24.72 23.88 31.01 19.35 33.32 31.85 24.90 27.30 37.04 30.58 28.82 20.72 32.60 27.45 25.69 17.56 19.93 26.64 37.04 16.48 32 14.71 17.12 24.98 10.84 12.36 21.00 5.32 8.90 13.59 6.78 17.23 6.51 7.62 17.80 7.31 8.00 9.19 8.69 7.55 7.51 17.45 7.23 7.10 9.19 13.72 30.60 4.20 152 10.89 12.23 13.33 14.08 7.85 10.99 8.36 12.57 19.29 10.23 11.27 16.08 11.35 13.73 13.84 10.99 12.07 13.20 8.85 14.87 15.49 8.91 12.05 17.43 17.02 11.44 9.03 15.87 16.52 11.01 5.02 8.41 12.32 19.29 5.02 32 4.15 5.82 30.39 14.93 16.68 24.14 11.47 11.83 22.91 10.75 22.73 11.62 10.87 19.10 9.22 10.79 11.34 13.18 9.85 11.55 26.22 18.13 9.99 12.98 17.91 38.81 7.47 148 18.47 15.00 19.22 20.15 14.41 14.31 12.21 15.73 21.80 14.70 17.41 16.65 14.02 16.64 17.16 15.80 17.65 17.16 13.50 19.52 17.89 13.52 14.21 19.03 17.29 18.93 13.90 18.25 20.63 13.09 9.19 11.88 16.23 21.80 9.19 32 6.22 7.84 31.55 16.63 18.51 25.32 14.95 13.53 26.49 12.30 24.31 15.23 12.82 19.29 11.19 12.73 12.51 15.57 11.38 13.50 30.68 21.67 12.09 14.75 19.91 40.68 8.88 146 22.64 16.70 21.39 22.35 17.42 16.45 14.28 17.33 22.85 16.72 19.72 18.35 16.68 18.40 19.95 18.47 20.24 18.99 15.51 19.74 18.97 15.73 15.90 20.84 18.25 22.71 16.74 18.64 21.72 14.12 11.78 13.65 18.23 22.85 11.78 32 8.45 9.70 29.67 16.38 18.72 23.65 16.26 14.13 25.88 12.38 24.13 15.50 13.37 18.53 12.04 13.62 12.37 16.26 12.24 13.87 29.75 21.78 12.82 15.00 19.81 37.08 10.14 143 23.45 16.62 21.39 22.28 18.29 16.63 14.82 17.51 22.63 17.21 19.75 18.29 16.60 18.80 20.18 19.21 20.38 18.83 15.61 18.75 18.51 15.92 16.14 21.14 18.17 22.61 17.31 18.15 21.17 14.07 14.03 18.53 23.45 14.03 31 9.65 10.61 720,000 840,000 960,000 1,080,000 1,200,000 1,440,000 1,800,000 Returns % CAGR 26.37 15.17 17.31 20.94 15.52 13.28 23.49 11.07 21.65 14.16 12.28 16.39 12.65 11.27 15.36 11.91 12.76 26.77 20.87 12.50 13.95 18.04 32.58 9.18 139 22.14 14.79 19.45 19.91 17.48 15.11 13.95 15.64 20.43 16.00 18.37 16.65 14.99 17.36 18.54 17.82 18.74 16.72 14.23 16.70 16.72 14.38 14.54 19.29 16.79 20.81 16.12 16.38 19.28 12.71 12.86 16.93 22.14 12.71 31 9.09 9.92 23.78 14.45 15.66 18.75 14.66 12.35 21.24 10.06 19.16 13.15 11.59 14.69 11.65 10.69 14.59 11.71 11.90 24.18 20.16 12.23 12.97 16.35 29.26 8.47 133 13.23 17.75 17.68 16.42 13.40 13.16 13.82 18.52 14.88 17.30 15.55 13.88 15.87 17.20 16.55 17.43 14.47 13.29 15.05 15.54 13.06 13.10 17.31 15.80 19.24 14.74 14.63 17.71 11.69 11.85 15.34 19.24 11.69 30 8.57 9.31 24.79 16.36 16.65 19.59 16.50 13.52 21.86 10.82 19.44 13.03 15.74 12.31 12.25 15.73 13.09 12.77 25.20 21.63 13.94 13.93 17.29 30.72 8.99 124 13.81 18.03 18.24 17.16 14.91 14.09 19.24 18.35 16.86 15.52 16.60 18.99 18.63 14.32 15.60 16.78 13.28 13.93 17.39 20.12 15.46 14.79 18.32 12.93 12.60 16.24 20.12 12.60 25 9.74 10.34 22.96 15.67 15.12 18.20 15.23 12.79 19.85 9.64 16.65 11.78 14.74 11.28 12.10 14.92 12.49 11.91 23.17 20.90 13.69 12.75 15.94 28.07 8.07 113 12.53 16.42 16.58 15.49 14.60 12.60 17.77 17.30 15.80 14.81 15.58 17.87 17.65 14.12 15.91 12.02 12.53 15.27 18.92 14.26 13.70 16.86 12.25 11.53 15.10 18.92 11.53 24 9.08 9.62 21.46 15.30 14.17 17.45 14.21 12.40 18.35 8.92 14.85 11.11 14.29 10.54 12.22 14.36 11.47 21.42 19.84 13.69 11.94 14.79 23.07 8.00 95 11.64 15.12 15.39 14.07 14.37 11.76 16.52 14.84 14.06 16.82 13.02 15.26 11.01 11.71 13.61 17.68 13.40 13.16 15.73 12.46 10.76 13.92 17.68 10.76 21 8.69 9.26 21.41 14.44 17.66 14.58 13.44 17.36 9.16 13.17 12.21 14.90 14.32 11.96 14.60 21.41 8.01 59 11.23 14.84 15.33 15.51 16.59 14.66 14.58 16.35 10.39 12.18 12.82 14.39 13.90 15.08 10.63 13.90 16.59 10.39 15 9.94 10.33 19.04 18.70 14.95 17.82 18.81 18.77 23.78 11.36 33 19.52 18.28 18.51 20.29 20.13 20.64 21.65 15.57 16.13 22.16 19.10 18.80 19.23 22.16 15.57 12 13.29 13.24 9

SIP VALUE AS ON 31ST OCTOBER 2016 Starting November Month of Years Invested Amount Schemes (Diversified Equity Schemes) 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2004 2001 1 2 3 4 5 6 7 8 9 10 12 15 120,000 240,000 360,000 480,000 600,000 720,000 840,000 960,000 1,080,000 1,200,000 1,440,000 1,800,000 Investment Value Sundaram Select MidCap Gr Tata Dividend Yield Fund Gr Tata Equity Opportunities Fund Gr Tata Equity P/E Fund Gr Tata Ethical Fund Gr Tata Large Cap Fund Gr Tata Mid Cap Growth Fund Gr Taurus Bonanza Fund Gr Taurus Discovery Fund Gr Taurus Ethical Fund Gr Taurus Starshare Growth Templeton India Growth Fund Gr Union KBC Equity Fund Gr UTI Bluechip Flexicap Fund Gr UTI Dividend Yield Fund. Gr UTI Equity Fund Div UTI India Lifestyle Fund Gr UTI Master Share Div UTI Mid Cap Fund Gr UTI MNC Fund Gr UTI Opportunities Fund Gr UTI Top 100 Fund Gr Average Value of Above Funds Maximum Value Minimum Value Universe ELSS / Tax Savings Schemes Axis Long Term Equity Fund Gr Baroda Pioneer Elss 96 Div Birla Sun Life Tax Plan Div Birla Sun Life Tax Relief 96 Fund Div BNP Paribas Long Term Equity Fund Gr BOI AXA Tax Advantage Fund Regular Growth Canara Robeco Equity Tax Saver Fund Div DHFL Pramerica Tax Plan Gr DSP BlackRock Tax Saver Fund Gr Edelweiss ELSS Fund Gr Franklin India Taxshield Gr HDFC Long Term Advantage Fund Gr HDFC Taxsaver Div HSBC Tax Saver Equity Fund Gr ICICI Prudential Long Term Equity Fund Regular Gr IDFC Tax Advantage (ELSS) Fund Regular Gr Invesco India Tax Plan Gr JM Tax Gain Fund Growth Option JP Morgan India Tax Advantage Fund Gr Kotak Tax Saver Gr L&T Tax Advantage Fund Gr LIC MF Tax Plan Gr Principal Personal Tax Saver Gr Principal Tax Savings Fund Quantum Tax Saving Fund Gr Plan Reliance Tax Saver Fund Gr SBI Magnum Tax Gain Fund Div Sundaram Tax Saver Div Tata India Tax Savings Fund Regular Plan Div Taurus Tax Shield Gr Union KBC Tax Saver Scheme Gr UTI Long Term Equity Fund (Tax Saving) Div Average Value of Above Funds Maximum Value Minimum Value Universe S&P BSE SENSEX NIFTY 50 146,431 132,380 133,864 145,681 126,293 131,567 136,262 131,275 141,309 130,327 133,421 142,696 134,222 131,862 134,076 131,250 131,965 131,347 139,458 127,493 132,654 132,912 136,510 150,597 124,271 152 132,605 137,450 134,507 135,077 129,783 135,291 132,568 134,972 141,384 132,919 132,515 140,171 138,294 137,617 136,215 134,512 134,032 138,049 131,444 139,339 138,519 134,611 135,971 141,396 137,812 136,821 132,228 138,938 136,052 135,315 130,412 131,775 135,581 141,396 129,783 32 128,759 130,158 303,008 266,711 270,538 292,626 252,984 261,872 273,644 256,745 283,300 256,071 258,831 284,381 257,916 259,623 262,593 261,332 258,516 258,419 283,485 257,702 257,386 262,585 274,117 317,900 250,230 152 266,848 270,210 272,987 274,881 259,247 267,094 260,532 271,081 288,219 265,189 267,800 279,982 267,995 274,014 274,276 267,088 269,812 272,652 261,737 276,891 278,467 261,885 269,748 283,439 282,377 268,228 262,194 279,436 281,100 267,378 252,263 260,633 270,490 288,219 252,263 32 250,117 254,234 551,541 447,312 458,390 507,692 425,948 428,144 499,346 421,976 498,949 427,261 422,710 474,018 412,463 421,822 425,151 436,443 416,176 426,437 522,021 467,754 417,027 435,197 467,639 614,610 402,112 148 469,956 447,759 474,788 480,899 444,062 443,484 430,459 452,402 491,842 445,919 463,060 458,212 441,636 458,171 461,456 452,825 464,609 461,463 438,408 476,782 466,151 438,570 442,866 473,553 462,346 472,899 440,919 468,484 484,119 436,322 412,279 428,469 455,787 491,842 412,279 32 394,838 404,273 875,034 664,140 688,255 781,237 643,319 626,082 798,188 612,035 768,182 647,528 618,172 698,345 598,467 616,482 613,940 650,964 600,657 625,674 861,533 730,164 608,953 640,791 711,280 1,028,527 572,185 146 743,514 665,117 726,400 739,461 674,220 661,974 635,068 673,084 746,479 665,334 704,091 686,209 664,772 686,819 707,087 687,657 710,909 694,513 650,241 704,356 694,236 652,863 655,088 718,982 684,874 744,428 665,592 689,943 730,950 633,806 605,293 627,533 685,340 746,479 605,293 32 567,434 581,389 1,234,313 899,125 951,357 1,070,797 896,426 851,266 1,128,814 816,453 1,085,051 881,181 836,472 947,168 808,813 840,775 815,345 896,540 812,746 845,801 1,236,600 1,024,120 824,483 869,514 986,266 1,465,371 772,065 143 1,065,602 904,266 1,014,610 1,036,228 941,552 904,551 865,702 924,123 1,045,050 917,285 975,310 941,629 903,921 953,226 985,384 962,818 990,233 953,896 882,372 952,243 946,569 889,157 893,807 1,008,446 938,924 1,044,455 919,487 938,522 1,009,235 850,929 849,218 948,669 1,065,602 849,218 31 762,688 780,953 1,578,902 1,134,702 1,209,072 1,346,347 1,146,412 1,072,481 1,451,518 1,004,784 1,377,117 1,102,400 1,041,993 1,176,456 1,052,518 1,009,963 1,141,090 1,029,674 1,055,958 1,597,712 1,343,628 1,047,911 1,094,056 1,250,792 1,890,539 948,871 139 1,394,731 1,121,946 1,288,286 1,306,133 1,215,464 1,132,590 1,094,210 1,150,689 1,326,426 1,163,208 1,248,018 1,185,789 1,128,542 1,210,968 1,254,075 1,227,505 1,261,589 1,188,045 1,103,356 1,187,482 1,188,173 1,108,157 1,113,536 1,282,461 1,190,822 1,341,075 1,167,222 1,176,433 1,281,742 1,055,570 1,059,242 1,198,500 1,394,731 1,055,570 31 946,113 969,896 1,946,185 1,399,842 1,461,079 1,629,934 1,410,074 1,299,235 1,779,360 1,199,063 1,655,972 1,338,069 1,266,060 1,411,992 1,267,512 1,225,294 1,406,688 1,270,474 1,278,861 1,973,362 1,713,284 1,293,994 1,328,528 1,517,419 2,356,870 1,132,586 133 1,340,420 1,573,158 1,569,142 1,500,654 1,348,839 1,337,256 1,368,998 1,616,708 1,421,354 1,548,398 1,455,223 1,371,944 1,471,716 1,542,788 1,508,002 1,555,236 1,400,864 1,343,228 1,429,671 1,454,814 1,332,641 1,334,469 1,549,136 1,468,473 1,658,320 1,414,401 1,408,861 1,571,108 1,270,633 1,276,443 1,448,097 1,658,320 1,270,633 30 1,136,679 1,166,667 2,650,680 1,872,597 1,894,773 2,139,644 1,883,256 1,665,598 2,348,993 1,492,004 2,129,779 1,633,863 1,825,531 1,584,771 1,580,951 1,824,576 1,636,282 1,614,825 2,696,123 2,327,151 1,694,512 1,694,346 1,981,559 3,379,618 1,382,821 124 1,685,658 2,006,414 2,023,169 1,935,595 1,764,169 1,705,521 2,108,731 2,032,941 1,911,449 1,808,547 1,891,257 2,086,789 2,056,771 1,721,246 1,814,497 1,905,653 1,649,300 1,694,250 1,953,535 2,187,220 1,804,533 1,755,026 2,030,495 1,627,016 1,603,545 1,870,533 2,187,220 1,603,545 25 1,425,666 1,461,637 3,157,040 2,235,167 2,177,284 2,518,792 2,188,683 1,950,874 2,724,381 1,684,209 2,344,083 1,862,379 2,138,593 1,817,379 1,888,321 2,156,512 1,923,659 1,871,457 3,188,344 2,862,358 2,035,435 1,947,562 2,308,314 4,018,387 1,564,354 113 1,927,170 2,315,212 2,332,551 2,215,951 2,124,196 1,933,839 2,468,677 2,413,538 2,248,089 2,145,381 2,225,496 2,479,688 2,453,663 2,077,241 2,260,346 1,881,871 1,928,618 2,192,680 2,606,454 2,090,866 2,035,954 2,364,639 1,903,430 1,838,474 2,186,001 2,606,454 1,838,474 24 1,639,345 1,681,596 3,705,007 2,661,856 2,505,748 2,986,076 2,510,401 2,280,218 3,134,415 1,898,720 2,601,114 2,131,420 2,521,259 2,066,865 2,258,913 2,530,937 2,170,325 3,696,311 3,395,693 2,442,975 2,225,678 2,636,368 4,040,100 1,808,709 95 2,190,469 2,636,032 2,674,116 2,492,104 2,533,140 2,204,088 2,840,159 2,596,887 2,491,607 2,887,050 2,357,053 2,655,713 2,118,920 2,200,680 2,432,624 3,023,860 2,405,017 2,375,118 2,723,007 2,290,105 2,091,307 2,486,622 3,023,860 2,091,307 21 1,875,103 1,932,509 5,741,855 3,604,386 4,466,160 3,640,146 8,737,573 3,376,338 8,480,961 4,376,626 2,554,953 3,319,407 6,120,164 3,116,217 7,859,789 3,716,808 8,565,234 3,576,697 3,063,411 3,712,837 8,853,034 5,741,855 13,277,459 2,371,377 4,491,045 59 33 2,919,367 3,702,238 9,117,398 3,825,123 8,170,503 3,869,008 8,338,068 4,157,878 9,752,209 3,658,383 9,616,454 3,638,607 10,062,800 4,091,883 10,993,472 2,764,431 3,109,050 6,457,312 3,241,344 6,770,393 3,592,743 11,503,895 3,479,704 8,784,900 3,760,318 8,554,950 2,808,092 3,507,878 9,010,196 4,157,878 11,503,895 2,764,431 6,457,312 15 12 2,684,736 5,298,477 2,753,516 5,275,307 10