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Sundaram BNP Paribas Bond Saver - Inst (G)
Scheme Details
Asset Size (Cr.)
Fund Mngr
Launch Date
Min. Inv
Inc. Inv(Rs.)
80.85
K Ramkumar
Aug 19 2003
2500000
1000
Latest Navs
Latest NAV
Latest Dividend
27.118
0.00
1 Year NAV Chart
Chart.
Previous NAV
Date
NAV (Rs.)
08 May 2009
27.118
07 May 2009
27.2408
06 May 2009
27.3272
05 May 2009
27.1342
04 May 2009
27.0829
more..
Asset Allocation
Type
AssetValue
Equity
0
Debt
0
Others
0
Return Summary
Scheme Name
3MONTH
6MONTH
1YEAR
Nifty
1174.71
15.01
-28.75
Sensex
242.67
12.72
-30.47
Sundaram BNP Paribas Bond Saver - Inst (G)
10.71
51.48
25.74
Sectorial Allocation
No data available
Previous Dividend
No data available
Scheme Portfolio
Company
%ofInv
Inv Amt
GSEC
27.12
21.93
St Bk of India
18.52
14.9738
St Bk of Bikaner
18.52
14.9733
LIC Housing Fin
12.37
9.9977
Tata Sons
12.34
9.9734
more..
Contact Information
Address
Phone
Fax
Website
Sundaram Towers, 2nd Floor,46 White Road, Royapettah,Chennai 600 014
044-2858 3362 / 3367
044-2858 3156
www.sundarambnparibas.in
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Equities: Trading through Reliance Securities Limited | NSE SEBI Registration Number Capital Market :- INB 231234833 | BSE SEBI Registration Number Capital Market :- INB 011234839 | NSE SEBI Registration Number Derivatives :- INF 231234833 Commodities : Trading through Reliance Commodities Limited | MCX member code: 29030 | NCDEX member code: NCDEX-CO-05-00647| NMCE member code: CL0120 Mutual Funds : Reliance Securities Limited | AMFI ARN No.29889
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