How much will your current lifestyle cost at 60?

Similar documents
How much will your current lifestyle cost at 60?

How much will your current lifestyle cost at 60?

How much will your current lifestyle cost at 60?

How much will your current lifestyle cost at 60?

How much will your current lifestyle cost at 60?

How much will your current lifestyle cost at 60?

Participate in one of the key drivers of Growth & Development in India

Invest in the spending power of a billion people.

Think Of Us Before You Invest

Participate in the Digital Transformation of India

You work hard to earn money. Invest it wisely

You work hard to earn money. Invest it wisely

You work hard to earn money. Invest it wisely

Aims to achieve the right blend of Growth and Tax Saving

Invest in the spending power of a billion people.

You work hard to earn money. Invest it wisely

Invest in the spending power of a billion people.

You work hard to earn money. Invest it wisely

Comparative Performance of all schemes as on May 31, 2018

You work hard to earn money. Invest it wisely

You work hard to earn money. Invest it wisely

Reliance Focused Large Cap Fund

WEARS THE CAP THAT SUITS THE OCCASION

Presenting. (An Open-Ended Balanced Scheme) August 2012

Equity Funds Ready Reckoner

Axis Dynamic Equity Fund. (An Open - Ended Dynamic Asset Allocation Fund)

Equity Funds Ready Reckoner

Riskometer. *Investors should consult their financial advisers if in doubt about whether the product is suitable for them.

Invesco India Dynamic Equity Fund (An open-ended equity scheme)

Axis Dynamic Equity Fund. (An open ended dynamic asset allocation fund)

SUMMARY OF SCHEME CATEGORIZATION

Balance your asset allocation Dynamically Franklin India Dynamic PE Ratio Fund of Funds

STRIVE FOR BALANCE BETWEEN GROWTH AND STABILITY.

Franklin India Prima Plus*

Scheme Features yrs. 13-Mar % Growth Dividend (Dividend Option will in turn have two Investment Options

Canara Robeco Emerging Equities. Type/Category: Open Ended Equity Scheme. (Indicative) (Indicative) Min Max Min Max Min Max Min Max Equity and

Religare Invesco Mid N Small Cap Fund

CANARA ROBECO BLUE CHIP EQUITY FUND

long term capital growth investment in equity and equity related instruments through a research based approach

Franklin India Flexi Cap Fund*

Why Small and Midcap Companies

CANARA ROBECO DYNAMIC BOND FUND JULY 2018

Equity Funds Ready Reckoner

Index Solutions AUGUST Let your investments mirror the market movements.

Invesco India Dynamic Equity Fund (An open-ended equity scheme)

CANARA ROBECO EMERGING EQUITIES. August 2018

Quantum Index Fund. Factsheet for the month of August, 2010

CANARA ROBECO LARGE CAP+ FUND FEBRUARY 2018

Equity Diversified Large Cap Reliance Vision Fund Reliance Top 200 Fund Reliance Quant Plus Fund Reliance NRI Equity Fund...

Have a Fine Balance in your portfolio. Franklin India Balanced Fund* November *Please refer Slide 12 for product label and riskometer

Mirae Asset Emerging Bluechip Fund (MAEBF)

CANARA ROBECO INFRASTRUCTURE OCTOBER 2018

Index Solutions. Let your investments mirror the market movements.

QUANTUM LONG TERM EQUITY VALUE FUND

Mirae Asset Emerging Bluechip Fund (MAEBF)

Motilal Oswal MidCap 100 ETF

fun Equity Diversified Large Cap Index Diversified Mid Cap & Small Cap Diversified Multi Cap Balanced Diversified Theme Based Sector Tax Saver

fun Equity Diversified Large Cap Index Diversified Mid Cap & Small Cap Diversified Multi Cap Balanced Sector Tax Saver Arbitrage ETF

CONTENTS. page no. MARKET REVIEW HDFC Equity Fund... 5 HDFC Top 200 Fund... 6

History Has Shown The Advantage Of True Diversification

CONTENTS. page no. MARKET REVIEW HDFC Equity Fund... 5 HDFC Top 200 Fund... 6

Sapne ek din mein sach nahin hotey! Start an SIP with as little as `500 per month, and aim to achieve your dreams in the long run.

Traditional Life Cycle of a company. Growth Phase

FIXED INCOME UPDATE 1

A healthy investment is a must in today s markets. HDFC MF Systematic Investment Plan

RELIANCE RETIREMENT FUND

Canara Robeco Short Term Fund Open Ended Debt Scheme

Sharekhan Top SIP Fund Picks February 14, 2018

QUANTUM LONG TERM EQUITY VALUE FUND

FUND ASSURE Investment Report, February 2019

This product is suitable for investors who are seeking*

QUANTUM LONG TERM EQUITY VALUE FUND

Axis Dynamic Equity Fund. (An Open - ended Equity Scheme)

HDFC Prudence Fund (An Open Ended Balanced Scheme)

Explore the Investment potential of your Savings. November 2017

IIFL INDIA GROWTH FUND. (An open ended equity Scheme)

QUANTUM TAX SAVING FUND

Reliance ETF Sensex An Open Ended Index Exchange Traded Fund [Rajiv Gandhi Equity Savings Scheme (RGESS) Qualified Scheme]

Product Labeling This product is suitable for investors who are seeking*: Riskometer

QUANTUM TAX SAVING FUND

IIFL INDIA GROWTH FUND. (An open ended equity Scheme)

Flexibility that endeavours to give you the best of both Short Term and Long Term

Scheme Features. 10 yrs. 13-Mar Mar % 1.25% 1.25% Facility) Purchase : ` 500/- and in multiples of ` 1/- thereafter.

There is a high dispersion in long term stock performance

Managing your money using

Long Term Equity Fund ( An open-ended equity linked saving scheme with a statutory lock in of 3 years and tax benefit)

*Investors should consult their financial advisers if in doubt about whether the product is suitable for them.

Fund Assure. Inv estment Report, November 2017

Managing your money using

Fund Assure. Investment Report, August 2017 ` `

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

Good year for the fund despite volatile market scenario

Kotak Select Focus Fund

Kotak Mahindra Mutual Fund

Fund Assure. Inv estment Report, April 2018

NJ PMS Monthly Updates February 29, 2016

QUANTUM TAX SAVING FUND

FUND ASSURE Investment Report, March 2019

Fund Assure. Inv estment Report, July 2018

Reliance ETF Sensex An Open Ended Index Exchange Traded Fund [Rajiv Gandhi Equity Savings Scheme (RGESS) Qualified Scheme]

Transcription:

(MODERATE PLAN) How much will your current lifestyle cost at 60? DATE OF ALLOTMENT November 01,2011 BENCHMARK CRISIL Hybrid 25+75 - Aggressive Index (WEF From 1st February 2018) FUND SIZE: Rs.772.12 (Rs. in Cr.) MONTHLY AVERAGE AUM: Rs.752.49 (Rs. in Cr.) EXIT LOAD: (A) If redeemed / switched-out on or after attainment of retirement age i.e. 60 years of age: Nil. (B) In case of Auto switch-out of units on occurrence of Auto-switch trigger event : NIL (C) If redeemed before 60 years of age: 1%. EXPENSE RATIO Direct 1.34 Regular 2.59 VOLATILITY MEASURES Std. Dev (Annualised) 12.23 Sharpe Ratio 0.16 Portfolio Beta 1.07 PORTFOLIO TURN OVER INFO Portfolio Turnover (Equity Component) 25.22% Minimum Investment Rs. 5,000/- and in multiples of Re. 1/- thereafter WHY TATA RETIREMENT SAVINGS FUND - MODERATE PLAN? Focus on long term Wealth creation through a prudent combination of Equity and Debt Diversified equity portfolio of fundamentally strong companies across market cap and sectors Debt Portfolio to generate stable income reducing the overall volatility of the Fund Predominantly a equity and debt. oriented savings scheme which provides tool for retirement planning to individual investors. SCHEME PERFORMANCE - SIP INVESTMENTS Period Total Amount Invested (Rs.) in '000s Total Value in '000s Scheme Total Value in '000s Benchmark Returns Scheme (%) As on 30th June 2018 Returns Benchmark (%) 1 Year 120 123 123 4.05% 4.33% 3 Year 360 450 430 15.08% 11.97% 5 Year 600 933 820 17.74% 12.47% 7 Year NA NA NA NA NA 10 Year NA NA NA NA NA Since Inception 790 1,441 1,217 18.05% 12.97% Returns as on 30th June 2018. Past performance may or may not be sustained in the future. Returns greater than 1 year period are compounded annualized. Dividends are assumed to be reinvested and bonus is adjusted. Load is not taken in to consideration. For SIP returns, monthly investment of equal amounts invested on the 1st day of every month has been considered. First Installment date: 01-Dec-11 SCHEME PERFORMANCE - INVESTMENTS OF RS. 10,000/- 34,000 29,000 24,000 19,000 Rs.29,509 Rs.22,335 Rs.22,125 14,000 This product is suitable for investors who are seeking*: Long Term Capital Appreciation & Current Income. An equity oriented (between 65%-85%) savings scheme which provides tool for retirement planning to individual investors. *Investors should consult their financial advisors if in doubt about whether the product is suitable for them. 9,000 Jun-12 Oct-12 Feb-13 Jun-13 Oct-13 Feb-14 Jun-14 Oct-14 Feb-15 Jun-15 Returns as on 30th June 2018. Past performance may or may not be sustained in future. Above performance is for Regular Growth option. For Performance in SEBI prescribed format, please refer annexure. Oct-15 Feb-16 -M oderate Plan CRISIL Hybrid 25+75 -A ggressive Index S&P BSE Sensex TRI Jun-16 Oct-16 Feb-17 Jun-17 Oct-17 Feb-18 Jun-18

TOP 10 EQUITY HOLDINGS Issuer Name % to NAV HDFC Bank Ltd. 4.23 Yes Bank Ltd. 3.85 Kotak Mahindra Bank 3.82 HDFC Ltd. 3.35 Larsen & Toubro Ltd. 3.18 ITC Ltd. 3.01 Hindustan Unilever Ltd. 2.98 Maruti Suzuki India Ltd. 2.60 Bata India Ltd. 2.33 Power Grid Corporation Of India Ltd. 2.16 TOP 5 SECTORS 13.20% Consumer Non Durables 11.91% Banks 11.12% Finance 5.61% Auto 5.14% Construction Project PORTFOLIO COMPOSITION Cash & Cash Equivalents 9.72% MARKET CAPITALIZATION WISE EXPOSURE 100 80 44 40 39 40 41 38 37 36 31 31 21 18 Debt 14.5 0% 60 40 20 Equity 75.7 8% 0 Jul-17 Aug-17 Sep-17 Oct-17 Nov-17 Dec-17 Jan-18 Feb-18 Large Cap Mid Cap Small Cap Mar-18 Apr-18 May-18 Jun-18 OUR APPROACH TO EQUITY INVESTMENTS Last 12 months Market cap history. For details please see disclaimer DISCLAIMERS AND OTHER STATUTORY DISCLOSURES Till April 2018 Market Capitalization wise Portfolio classification was done on the basis of top 125 stocks by market capitalization on S&P BSE 500 Index as Large Cap Companies and Mid Cap stocks as those between 126 to 499 stocks by market capitalization and 500 & above being classified as Small cap, From May 2018 Market Capitalisation Classification is as per list provided by AMFI. Only domestic listed Equity exposure in BSE is considered for classification. For Performance in SEBI prescribed format, please refer annexure FUND MANAGERS Sonam Udasi (Fund Manager) Managing Since 1st April 2016 and overall experience of 20 years (for equity portfolio) Murthy Nagarajan (Fund Manager) Managing Since 1st April 2017 and overall experience of 21 years (Debt Portfolio) Distributed by: Ennette Fernandes (Assistant Fund Manager) Managing Since 18th June 2018 and overall experience of 9 years

Performance of the scheme Tata Retirement Savings Fund - Moderate Plan CRISIL Hybrid 25+75 - Aggressive Index S&P BSE Sensex TRI# 1 Year 12.13% 11,210 9.71% 10,968 16.00% 11,596 3 Year 12.88% 14,381 10.37% 13,444 9.90% 13,275 5 Year 20.64% 25,578 14.23% 19,459 14.36% 19,572 Since Inception 17.63% 29,509 12.66% 22,125 12.82% 22,335 Inception Date 01-Nov-11 Managing Since 01-Apr-16 SIP Performance of the scheme Tata Retirement Savings Fund - Moderate Plan CRISIL Hybrid 25+75 - Aggressive Index S&P BSE Sensex TRI# 1 Year 1,20,000 4.05% 1,22,573 4.33% 1,22,751 13.24% 1,28,304 3 Year 3,60,000 15.08% 4,49,834 11.97% 4,30,241 15.13% 4,50,169 5 Year 6,00,000 17.74% 9,32,956 12.47% 8,19,813 12.98% 8,30,167 Since Inception 7,90,000 18.05% 14,41,320 12.97% 12,17,364 13.48% 12,38,369 Inception Date 01-Nov-11 First Installment date 01-Dec-11 Managing since 01-Apr-16 Fund Manager/s of Tata Retirement Savings Fund - Moderate Plan 1. Sonam Udasi (Fund Manager) (Managing Since 1st April 2016) 2. Murthy Nagarajan (Fund Manager) (Managing Since 1st April 2017) 3. Ennette Fernandes (Assistant Fund Manager) (Managing Since 18th June 2018) Performance of other schemes managed by Sonam Udasi Tata Banking And Financial Services Fund Nifty Financial Services TRI* Nifty 50 TRI# 1 Year 9.10% 10,907 16.75% 11,670 14.13% 11,409 3 Year NA NA NA NA NA NA 5 Year NA NA NA NA NA NA Since Inception 25.24% 17,570 20.83% 16,062 14.34% 13,988 Inception Date 28-Dec-15 Managing Since 01-Apr-16 Tata Equity P/E Fund 1 Year 10.33% 11,030 16.00% 11,596 3 Year 15.92% 15,578 9.90% 13,275 5 Year 25.18% 30,777 14.36% 19,572 Since Inception 20.44% 1,35,352 16.58% 85,762 Inception Date 29-Jun-04 Managing Since 01-Apr-16 Tata Index Fund - Nifty Plan Nifty 50 TRI* 1 Year 13.19% 11,315 14.13% 11,409 3 Year 8.90% 12,916 10.00% 13,309 5 Year 12.88% 18,336 14.28% 19,507 Since Inception 16.50% 1,04,318 17.95% 1,26,098 Inception Date 25-Feb-03 Managing Since 01-Apr-16

Tata Index Fund - Sensex Plan 1 Year 15.12% 11,507 16.00% 11,596 3 Year 8.86% 12,901 9.90% 13,275 5 Year 12.88% 18,337 14.36% 19,572 Since Inception 16.28% 1,01,272 17.98% 1,26,512 Inception Date 25-Feb-03 Managing Since 01-Apr-16 Tata India Consumer Fund Nifty India Consumption TRI* Nifty 50 TRI# 1 Year 26.98% 12,690 17.02% 11,697 14.13% 11,409 3 Year NA NA NA NA NA NA 5 Year NA NA NA NA NA NA Since Inception 26.44% 17,994 15.91% 14,474 14.34% 13,988 Inception Date 28-Dec-15 Managing Since 01-Apr-16 Tata Retirement Savings Fund - Progressive Plan 1 Year 14.57% 11,452 16.00% 11,596 3 Year 15.89% 15,564 9.90% 13,275 5 Year 20.33% 25,249 14.36% 19,572 Since Inception 17.21% 28,802 12.82% 22,335 Inception Date 01-Nov-11 Managing Since 01-Apr-16 Tata Retirement Savings Fund - Conservative Plan CRISIL Short Term Debt Hybrid 75+25 Fund Index* Crisil 10 Yr Gilt Index# 1 Year 4.47% 10,445 6.67% 10,665-3.56% 9,645 3 Year 8.32% 12,709 8.53% 12,784 5.83% 11,854 5 Year 10.88% 16,770 10.31% 16,340 5.25% 12,921 Since Inception 10.08% 18,960 9.95% 18,817 6.99% 15,690 Inception Date 01-Nov-11 Managing Since 01-Apr-16 Tata Young Citizens Fund CRISIL Hybrid 25+75 - Aggressive Index Crisil 10 Yr Gilt Index# 1 Year 4.46% 10,445 9.71% 10,968-3.56% 9,645 3 Year 7.37% 12,377 10.37% 13,444 5.83% 11,854 5 Year 11.59% 17,315 14.23% 19,459 5.25% 12,921 Since Inception 12.82% 1,54,869 NA NA NA NA Inception Date 14-Oct-95 Managing Since 01-Apr-16 SIP Performance of other schemes managed by Sonam Udasi Tata Banking And Financial Services Fund Nifty Financial Services TRI* Nifty 50 TRI# 1 Year 1,20,000 4.70% 1,22,983 12.45% 1,27,816 9.41% 1,25,932 3 Year NA NA NA NA NA NA NA 5 Year NA NA NA NA NA NA NA Since Inception 3,00,000 20.83% 3,86,034 22.62% 3,93,968 15.25% 3,61,816 Inception Date 28-Dec-15 First Installment date 01-Jan-16 Managing since 01-Apr-16

Tata Equity P/E Fund 1 Year 1,20,000-0.61% 1,19,610 13.24% 1,28,304 3 Year 3,60,000 17.17% 4,63,365 15.13% 4,50,169 5 Year 6,00,000 20.10% 9,88,059 12.98% 8,30,167 Since Inception 16,80,000 17.50% 64,09,753 12.78% 43,97,224 Inception Date 29-Jun-04 First Installment date 01-Jul-04 Managing since 01-Apr-16 Tata Index Fund - Nifty Plan Nifty 50 TRI* 1 Year 1,20,000 8.72% 1,25,506 9.41% 1,25,932 3 Year 3,60,000 13.08% 4,37,167 14.15% 4,43,929 5 Year 6,00,000 11.59% 8,02,208 12.79% 8,26,266 Since Inception 18,30,000 12.43% 51,12,723 13.81% 57,73,763 Inception Date 25-Feb-03 First Installment date 01-Apr-03 Managing since 01-Apr-16 Tata Index Fund - Sensex Plan 1 Year 1,20,000 12.63% 1,27,924 13.24% 1,28,304 3 Year 3,60,000 14.12% 4,43,713 15.13% 4,50,169 5 Year 6,00,000 11.77% 8,05,735 12.98% 8,30,167 Since Inception 18,30,000 12.09% 49,63,290 13.91% 58,22,022 Inception Date 25-Feb-03 First Installment date 01-Apr-03 Managing since 01-Apr-16 Tata India Consumer Fund Nifty India Consumption TRI* Nifty 50 TRI# 1 Year 1,20,000 15.91% 1,29,940 12.17% 1,27,640 9.41% 1,25,932 3 Year NA NA NA NA NA NA NA 5 Year NA NA NA NA NA NA NA Since Inception 3,00,000 29.59% 4,25,772 18.36% 3,75,212 15.25% 3,61,816 Inception Date 28-Dec-15 First Installment date 01-Jan-16 Managing since 01-Apr-16 Tata Retirement Savings Fund - Progressive Plan 1 Year 1,20,000 4.09% 1,22,598 13.24% 1,28,304 3 Year 3,60,000 17.52% 4,65,657 15.13% 4,50,169 5 Year 6,00,000 18.52% 9,50,948 12.98% 8,30,167 Since Inception 7,90,000 18.16% 14,46,611 13.48% 12,38,369 Inception Date 01-Nov-11 First Installment date 01-Dec-11 Managing since 01-Apr-16 Tata Retirement Savings Fund - Conservative Plan CRISIL Short Term Debt Hybrid 75+25 Fund Index* Crisil 10 Yr Gilt Index# 1 Year 1,20,000 0.88% 1,20,561 4.60% 1,22,915-3.58% 1,17,702 3 Year 3,60,000 7.88% 4,05,280 8.40% 4,08,390 2.54% 3,74,207 5 Year 6,00,000 9.47% 7,60,987 9.23% 7,56,600 5.33% 6,86,249 Since Inception 7,90,000 9.86% 10,97,259 9.68% 10,90,650 5.75% 9,56,759 Inception Date 01-Nov-11 First Installment date 01-Dec-11 Managing since 01-Apr-16

Tata Young Citizens Fund CRISIL Hybrid 25+75 - Aggressive Index Crisil 10 Yr Gilt Index# 1 Year 1,20,000-2.78% 1,18,214 4.33% 1,22,751-3.52% 1,17,737 3 Year 3,60,000 7.29% 4,01,795 11.97% 4,30,241 2.55% 3,74,286 5 Year 6,00,000 9.52% 7,62,039 12.47% 8,19,813 5.33% 6,86,296 Since Inception 26,90,000 12.48% 1,32,95,943 12.82% 1,39,33,824 5.94% 55,12,374 Inception Date 14-Oct-95 First Installment date 01-Feb-96 Managing since 01-Apr-16 Performance of other schemes managed by Murthy Nagarajan Tata Short Term Bond Fund Crisil Short Term Bond Fund Index* Crisil 1 Yr T-Bill Index# 1 Year 4.16% 10,415 4.65% 10,463 5.79% 10,578 3 Year 7.00% 12,249 7.46% 12,411 6.66% 12,133 5 Year 7.82% 14,580 8.14% 14,795 6.88% 13,951 Since Inception 7.68% 32,436 7.08% 29,688 5.94% 25,032 Inception Date 08-Aug-02 Managing Since 01-Apr-17 Tata Hybrid Equity Fund CRISIL Hybrid 25+75 - Aggressive Index S&P BSE Sensex TRI# 1 Year 2.90% 10,289 9.71% 10,968 16.00% 11,596 3 Year 6.45% 12,062 10.37% 13,444 9.90% 13,275 5 Year 16.08% 21,094 14.23% 19,459 14.36% 19,572 Since Inception 15.71% 2,75,946 NA NA 11.35% 1,15,387 Inception Date 08-Oct-95 Managing Since 01-Apr-17 Tata Equity Savings Fund Nifty 50 Index (35%),Nifty 50 Arbitrage Index (30%), Crisil Short Term Bond Fund Index (35%)* S&P BSE Sensex TRI# 1 Year 2.12% 10,212 11.31% 11,128 16.00% 11,596 3 Year 4.77% 11,499 8.71% 12,846 9.90% 13,275 5 Year 5.92% 13,334 10.37% 16,384 14.36% 19,572 Since Inception 7.15% 35,112 NA NA 12.76% 88,726 Inception Date 27-Apr-00 Managing Since 01-Apr-17 Tata Medium Term Fund Crisil Medium Term Debt Index* Crisil 10 Yr Gilt Index# 1 Year 2.27% 10,226 3.45% 10,344-3.56% 9,645 3 Year 6.89% 12,214 7.95% 12,579 5.83% 11,854 5 Year 7.13% 14,116 8.54% 15,068 5.25% 12,921 Since Inception 6.50% 26,788 NA NA 5.89% 24,459 Inception Date 11-Nov-02 Managing Since 01-Apr-17 Tata Retirement Savings Fund - Conservative Plan CRISIL Short Term Debt Hybrid 75+25 Fund Index* Crisil 10 Yr Gilt Index# 1 Year 4.47% 10,445 6.67% 10,665-3.56% 9,645 3 Year 8.32% 12,709 8.53% 12,784 5.83% 11,854 5 Year 10.88% 16,770 10.31% 16,340 5.25% 12,921 Since Inception 10.08% 18,960 9.95% 18,817 6.99% 15,690 Inception Date 01-Nov-11 Managing Since 01-Apr-17

Tata Retirement Savings Fund - Progressive Plan 1 Year 14.57% 11,452 16.00% 11,596 3 Year 15.89% 15,564 9.90% 13,275 5 Year 20.33% 25,249 14.36% 19,572 Since Inception 17.21% 28,802 12.82% 22,335 Inception Date 01-Nov-11 Managing Since 01-Apr-17 SIP Performance of other schemes managed by Murthy Nagarajan Tata Short Term Bond Fund Crisil Short Term Bond Fund Index* Crisil 1 Yr T-Bill Index# 1 Year 1,20,000 3.64% 1,22,312 4.18% 1,22,648 5.60% 1,23,542 3 Year 3,60,000 5.90% 3,93,574 6.42% 3,96,581 6.15% 3,94,998 5 Year 6,00,000 7.06% 7,16,683 7.50% 7,24,653 6.79% 7,11,890 Since Inception 19,00,000 7.89% 36,88,536 7.62% 36,03,410 6.32% 32,16,741 Inception Date 08-Aug-02 First Installment date 01-Sep-02 Managing since 01-Apr-17 Tata Hybrid Equity Fund CRISIL Hybrid 25+75 - Aggressive Index S&P BSE Sensex TRI# 1 Year 1,20,000-2.24% 1,18,560 4.33% 1,22,751 13.24% 1,28,304 3 Year 3,60,000 6.13% 3,94,945 11.97% 4,30,241 15.13% 4,50,169 5 Year 6,00,000 10.79% 7,86,412 12.47% 8,19,813 12.98% 8,30,167 Since Inception 26,90,000 16.92% 2,49,27,619 12.82% 1,39,33,824 13.68% 1,57,29,159 Inception Date 08-Oct-95 First Installment date 01-Feb-96 Managing since 01-Apr-17 Tata Equity Savings Fund Nifty 50 Index (35%),Nifty 50 Arbitrage Index (30%), Crisil Short Term Bond Fund Index (35%)* S&P BSE Sensex TRI# 1 Year 1,20,000 1.03% 1,20,656 9.98% 1,26,284 13.24% 1,28,304 3 Year 3,60,000 4.84% 3,87,408 10.37% 4,20,320 15.13% 4,50,169 5 Year 6,00,000 5.58% 6,90,702 9.83% 7,67,905 12.97% 8,29,928 Since Inception 21,80,000 6.48% 40,80,395 4.08% 32,09,532 14.88% 99,45,200 Inception Date 27-Apr-00 First Installment date 01-May-00 Managing since 01-Apr-17 Tata Medium Term Fund Crisil Medium Term Debt Index* Crisil 10 Yr Gilt Index# 1 Year 1,20,000 1.44% 1,20,919 2.02% 1,21,288-3.58% 1,17,702 3 Year 3,60,000 5.29% 3,90,004 6.24% 3,95,522 2.54% 3,74,207 5 Year 6,00,000 6.71% 7,10,410 7.92% 7,32,210 5.33% 6,86,249 Since Inception 18,60,000 6.88% 32,63,916 8.35% 37,02,995 5.85% 29,89,882 Inception Date 11-Nov-02 First Installment date 01-Jan-03 Managing since 01-Apr-17 Tata Retirement Savings Fund - Conservative Plan CRISIL Short Term Debt Hybrid 75+25 Fund Index* Crisil 10 Yr Gilt Index# 1 Year 1,20,000 0.88% 1,20,561 4.60% 1,22,915-3.58% 1,17,702 3 Year 3,60,000 7.88% 4,05,280 8.40% 4,08,390 2.54% 3,74,207 5 Year 6,00,000 9.47% 7,60,987 9.23% 7,56,600 5.33% 6,86,249 Since Inception 7,90,000 9.86% 10,97,259 9.68% 10,90,650 5.75% 9,56,759 Inception Date 01-Nov-11 First Installment date 01-Dec-11 Managing since 01-Apr-17

Tata Retirement Savings Fund - Progressive Plan 1 Year 1,20,000 4.09% 1,22,598 13.24% 1,28,304 3 Year 3,60,000 17.52% 4,65,657 15.13% 4,50,169 5 Year 6,00,000 18.52% 9,50,948 12.98% 8,30,167 Since Inception 7,90,000 18.16% 14,46,611 13.48% 12,38,369 Inception Date 01-Nov-11 First Installment date 01-Dec-11 Managing since 01-Apr-17 Performance of other schemes managed by Ennette Fernandes Tata India Tax Savings Fund 1 Year 7.18% 10,716 16.00% 11,596 3 Year 13.07% 14,455 9.90% 13,275 5 Year 19.89% 24,793 14.36% 19,572 Since Inception 19.45% 5,23,038 11.94% 1,23,329 Inception Date 31-Mar-96 Managing Since 18-Jun-18 Tata Large Cap Fund 1 Year 6.49% 10,647 16.00% 11,596 3 Year 7.69% 12,489 9.90% 13,275 5 Year 14.07% 19,330 14.36% 19,572 Since Inception 20.78% 4,49,422 12.21% 1,02,020 Inception Date 07-May-98 Managing Since 18-Jun-18 Tata Mid Cap Growth Fund Nifty Midcap 100 TRI* Nifty 50 TRI# 1 Year 1.46% 10,146 3.58% 10,357 14.13% 11,409 3 Year 8.00% 12,598 13.13% 14,481 10.00% 13,309 5 Year 23.24% 28,460 21.29% 26,280 14.28% 19,507 Since Inception 12.07% 1,54,322 NA NA 10.52% 1,10,514 Inception Date 01-Jul-94 Managing Since 18-Jun-18 Tata Young Citizens Fund CRISIL Hybrid 25+75 - Aggressive Index Crisil 10 Yr Gilt Index# 1 Year 4.46% 10,445 9.71% 10,968-3.56% 9,645 3 Year 7.37% 12,377 10.37% 13,444 5.83% 11,854 5 Year 11.59% 17,315 14.23% 19,459 5.25% 12,921 Since Inception 12.82% 1,54,869 NA NA NA NA Inception Date 14-Oct-95 Managing Since 18-Jun-18 Tata India Consumer Fund Nifty India Consumption TRI* Nifty 50 TRI# 1 Year 26.98% 12,690 17.02% 11,697 14.13% 11,409 3 Year NA NA NA NA NA NA 5 Year NA NA NA NA NA NA Since Inception 26.44% 17,994 15.91% 14,474 14.34% 13,988 Inception Date 28-Dec-15 Managing Since 18-Jun-18

Tata Retirement Savings Fund - Conservative Plan CRISIL Short Term Debt Hybrid 75+25 Fund Index* Crisil 10 Yr Gilt Index# 1 Year 4.47% 10,445 6.67% 10,665-3.56% 9,645 3 Year 8.32% 12,709 8.53% 12,784 5.83% 11,854 5 Year 10.88% 16,770 10.31% 16,340 5.25% 12,921 Since Inception 10.08% 18,960 9.95% 18,817 6.99% 15,690 Inception Date 01-Nov-11 Managing Since 18-Jun-18 Tata Retirement Savings Fund - Progressive Plan 1 Year 14.57% 11,452 16.00% 11,596 3 Year 15.89% 15,564 9.90% 13,275 5 Year 20.33% 25,249 14.36% 19,572 Since Inception 17.21% 28,802 12.82% 22,335 Inception Date 01-Nov-11 Managing Since 18-Jun-18 SIP Performance of other schemes managed by Ennette Fernandes Tata India Tax Savings Fund 1 Year 1,20,000-4.96% 1,16,806 13.24% 1,28,304 3 Year 3,60,000 12.01% 4,30,492 15.13% 4,50,169 5 Year 6,00,000 16% 8,94,200 12.98% 8,30,167 Since Inception 26,40,000 19.71% 3,44,21,698 13.81% 1,51,18,904 Inception Date 31-Mar-96 First Installment date 01-Jul-96 Managing since 18-Jun-18 Tata Large Cap Fund 1 Year 1,20,000-0.71% 1,19,547 13.24% 1,28,304 3 Year 3,60,000 9.10% 4,12,597 15.13% 4,50,169 5 Year 6,00,000 10.72% 7,85,047 12.98% 8,30,167 Since Inception 24,10,000 18.50% 2,08,28,423 14.42% 1,24,99,452 Inception Date 07-May-98 First Installment date 01-Jun-98 Managing since 18-Jun-18 Tata Mid Cap Growth Fund Nifty Midcap 100 TRI* Nifty 50 TRI# 1 Year 1,20,000-13.68% 1,11,054-9.49% 1,13,838 9.41% 1,25,932 3 Year 3,60,000 7.09% 4,00,563 11.39% 4,26,622 14.15% 4,43,929 5 Year 6,00,000 15.27% 8,78,264 16.63% 9,08,083 12.79% 8,26,266 Since Inception 28,80,000 16.51% 1,89,19,045 16.93% 1,99,18,328 13.86% 1,37,13,072 Inception Date 01-Jul-94 First Installment date 01-Jul-94 Managing since 18-Jun-18 Tata Young Citizens Fund CRISIL Hybrid 25+75 - Aggressive Index Crisil 10 Yr Gilt Index# 1 Year 1,20,000-2.78% 1,18,214 4.33% 1,22,751-3.52% 1,17,737 3 Year 3,60,000 7.29% 4,01,795 11.97% 4,30,241 2.55% 3,74,286 5 Year 6,00,000 9.52% 7,62,039 12.47% 8,19,813 5.33% 6,86,296 Since Inception 26,90,000 12.48% 1,32,95,943 12.82% 1,39,33,824 5.94% 55,12,374 Inception Date 14-Oct-95 First Installment date 01-Feb-96 Managing since 18-Jun-18

Tata India Consumer Fund Nifty India Consumption TRI* Nifty 50 TRI# 1 Year 1,20,000 15.91% 1,29,940 12.17% 1,27,640 9.41% 1,25,932 3 Year NA NA NA NA NA NA NA 5 Year NA NA NA NA NA NA NA Since Inception 3,00,000 29.59% 4,25,772 18.36% 3,75,212 15.25% 3,61,816 Inception Date 28-Dec-15 First Installment date 01-Jan-16 Managing since 18-Jun-18 Tata Retirement Savings Fund - Conservative Plan CRISIL Short Term Debt Hybrid 75+25 Fund Index* Crisil 10 Yr Gilt Index# 1 Year 1,20,000 0.88% 1,20,561 4.60% 1,22,915-3.58% 1,17,702 3 Year 3,60,000 7.88% 4,05,280 8.40% 4,08,390 2.54% 3,74,207 5 Year 6,00,000 9.47% 7,60,987 9.23% 7,56,600 5.33% 6,86,249 Since Inception 7,90,000 9.86% 10,97,259 9.68% 10,90,650 5.75% 9,56,759 Inception Date 01-Nov-11 First Installment date 01-Dec-11 Managing since 18-Jun-18 Tata Retirement Savings Fund - Progressive Plan 1 Year 1,20,000 4.09% 1,22,598 13.24% 1,28,304 3 Year 3,60,000 17.52% 4,65,657 15.13% 4,50,169 5 Year 6,00,000 18.52% 9,50,948 12.98% 8,30,167 Since Inception 7,90,000 18.16% 14,46,611 13.48% 12,38,369 Inception Date 01-Nov-11 First Installment date 01-Dec-11 Managing since 18-Jun-18 Disclaimer: 1) Scheme returns in terms of CAGR are provided for past 1 year, 3 years, 5 years and since inception. 2) Point-to-point returns on a standard investment of Rs. 10,000/- are in addition to CAGR for the schemes. 3) Different plans shall have a different expense structure. The performance details provided herein are of regular plan growth option except for Tata Regular Saving Equity Fund where performance details given is for regular plan dividend option. 4) Period for which schemes performance has been provided is computed basis last day of the month - end preceding the date of advertisement. 5) Past performance may or may not be sustained in future. For computation of since inception returns the allotment NAV has been taken as Rs. 10.00 *All payouts during the period have been reinvested in the units of the scheme at the then prevailing NAV. Load is not considered for computation of returns. While calculating returns dividend distribution tax is excluded. Schemes in existence for less than 1 year, performance details for the same are not provided. 6) SIP Amount invested denotes value of standard investment of Rs. 10,000 per month. 7) *Scheme benchmark, #Additional benchmark. Disclosure for Composite CAGR Calculation Scheme Names / Plans / Options Index Name Remarks Tata Large Cap Fund S&P BSE Sensex TRI As TRI data is not available since Since Inception of the scheme, benchmark performance is calculated using composite CAGR of S&P BSE Sensex PRI values from date 06-May-1998 to date 31-May-2007 and TRI values since date 31-May-2007 TATA Equity Savings Fund S&P BSE Sensex TRI As TRI data is not available since Since Inception of the scheme, benchmark performance is calculated using composite CAGR of S&P BSE Sensex PRI values from date 27-Apr-2000 to date 31-May-2007 and TRI values since date 31-May-2007 Tata Index Fund - Sensex Plan S&P BSE Sensex TRI As TRI data is not available since Since Inception of the scheme, benchmark performance is calculated using composite CAGR of S&P BSE Sensex PRI values from date 25-Feb-2003 to date 31-May-2007 and TRI values since date 31-May-2007 Tata Equity P/E Fund S&P BSE Sensex TRI As TRI data is not available since Since Inception of the scheme, benchmark performance is calculated using composite CAGR of S&P BSE Sensex PRI values from date 29-Jun-2004 to date 31-May-2007 and TRI values since date 31-May-2007 Disclosure for Composite CAGR Calculation ( for additional Benchmark ) Scheme Names / Plans / Options Index Name Remarks TATA Hybrid Equity Fund S&P BSE Sensex TRI As TRI data is not available since Since Inception of the scheme, benchmark performance is calculated using composite CAGR of S&P BSE Sensex PRI values from date 06-Oct-1995 to date 31-May-2007 and TRI values since date 31-May-2007