Birla Top 100 Fund - Dividend
Objective
Birla Top 100 Fund seeks to provide medium to long-term capital appreciation, by investing predominantly in a diversified portfolio of equity and equity related securities of top 100 companies as measured by market capitalization. 
Scheme Performance (%) as on Mar 13 , 2007
14 days 1 month 3 months 1 year 3 yrs* Inception*
-3.86 -7.18 -3.07 8.36 NA 31.57
Top 10 Holdings as on   Feb 28, 2007  
Company Nature Value (Cr.) %
Bharati Tele - Ventures EQ 36.3 8.25
Bharat Heavy Electricals Ltd EQ 28.02 6.37
ICICI BANK LTD. EQ 25.04 5.69
Infosys Technologies Ltd EQ 24.9 5.66
ITC Ltd EQ 24.06 5.47
Reliance Industries Ltd EQ 19.37 4.4
Tata Motors Ltd EQ 17.64 4.01
United Phosphorus Limited (New) EQ 16.73 3.8
Larsen & Toubro Limited EQ 15.9 3.61
Hindustan Lever Ltd EQ 12.68 2.88
Mutual Fund
Birla Mutual Fund 
Ahura Centre , 2nd Floor, A. 96/A-D, 
Mahakali Caves Road, Andheri (E) 
Mumbai 
Tel.-56928000, ,  
Asset Management Company
Birla Sunlife Asset Management Company Ltd. 
2nd Floor, Tower B Ahura Centre, 96 A D, 
Mahakali Caves Road, Andheri(E) 
Mumbai - 400093
Tel.- 56928000,
Registrar
NA  
*Returns are annualized
   
Email Address bmfmail@birlasunlife.com
Net Asset Value (Rs/Unit) 13.4056 As On Mar 13, 2007
Fund Information
Type of Scheme Open Ended
Nature of Scheme Equity
Inception Date Sep 28, 2005 
Face Value(Rs/Unit) 10
Fund Size (Rs. in crores) 440.004  on Feb 28, 2007
Increase/Decrease since  Jan 31, 2007 (Rs. in crores) -42.661
Minimum Investment (Rs) 5000
Purchase Redemptions Daily
NAV Calculation Daily
Entry Load Amount Bet. 0 to 49999999 then Entry load is 2.25%. and Amount greater than 50000000 then Entry load is 0%.
Exit Load Exit Load is 0%.
Last Dividend Declared
  15 % On   Jan 15, 2007 
Top Industry Allocation as on    Feb 28, 2007
Diversified 13.2613%
Banks 11.8525%
Computers - Software & Education 11.3181%
Telecom 10.1012%
Electricals & Electrical Equipments 6.3686%
Oil & Gas, Petroleum & Refinery 6.1795%
Auto & Auto ancilliaries 5.6107%
Tobacco & Pan Masala 5.4679%
Chemicals 3.8023%
Hotels & Resorts 2.9991%
Asset Allocation as on   Feb 28, 2007 
Equity Debt Money Market
90.98 0 9.02


Change in Portfolio(Sector-Wise)(%age)
  -
  -
  -
  -
13
   
15
   
  
12
   
16
   
  
11
   
11
   
  
10
   
8
   
  
6
   
6
   
  
6
   
8
   
  
6
   
5
   
  
 
      Feb 28, 2007
   Jan 31, 2007
 
A Diversified
B Banks
C Computers - Software & Education
D Telecom
E Electricals & Electrical Equipments
F Oil & Gas, Petroleum & Refinery
G Auto & Auto ancilliaries
A B C D E F G


Compare Performance Portfolio AMC Snapshot Dividend History News Historical NAV

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