Tata Infrastructure Fund - Dividend
Objective
To provide income distribution and / Or medium to long term capital gains by investing predominantly in equity / equity related instrument of companies in infrastructure sector.  
Scheme Performance (%) as on Mar 13 , 2007
14 days 1 month 3 months 1 year 3 yrs* Inception*
-5.6 -7.99 -5.52 10.12 NA 39.84
Top 10 Holdings as on   Feb 28, 2007  
Company Nature Value (Cr.) %
Reliance Industries Ltd EQ 65.02 5.47
Bharati Tele - Ventures EQ 50.42 4.24
Bharat Heavy Electricals Ltd EQ 47.46 4
Siemens Ltd EQ 46.76 3.94
Larsen & Toubro Limited EQ 44.23 3.72
Reliance Communication Ventures Ltd. EQ 43.74 3.68
ABB Ltd EQ 40.01 3.37
NTPC Limited. EQ 35.8 3.01
Crompton Greaves Ltd EQ 30.14 2.54
State Bank of India EQ 29.85 2.51
Mutual Fund
Tata Mutual Fund 
Mulla House, 4th Floor 
51 M. G. Road. 
Mumbai 
Tel.-56315191,56315192,56315193  
Asset Management Company
Tata Asset Management Private Limited 
Mulla House, Ground Floor, 
51, M. G. Road, Fort 
Mumbai - 400001
Tel.- 66315191,66315192
Registrar
NA  
*Returns are annualized
   
Email Address kiran@tatamutualfund.com
Net Asset Value (Rs/Unit) 17.4123 As On Mar 13, 2007
Fund Information
Type of Scheme Open Ended
Nature of Scheme Equity
Inception Date Dec 22, 2004 
Face Value(Rs/Unit) 10
Fund Size (Rs. in crores) 1187.9062  on Feb 28, 2007
Increase/Decrease since  Jan 31, 2007 (Rs. in crores) -18.537
Minimum Investment (Rs) 5000
Purchase Redemptions Daily
NAV Calculation Daily
Entry Load Amount Bet. 0 to 19999999 then Entry load is 2.25%. and Amount greater than 20000000 then Entry load is 0%.
Exit Load If redeemed bet. 0 Months to 6 Months; and Amount Bet. 0 to 19999999 then Exit load is 1%. and Amount greater than 20000000 then Exit load is 0%.
Last Dividend Declared
  20 % On   Mar 12, 2007 
Top Industry Allocation as on    Feb 28, 2007
Diversified 15.6352%
Electricals & Electrical Equipments 11.0634%
Power Generation, Transmission & Equip 9.1762%
Housing & Construction 9.1682%
Telecom 8.7938%
Engineering & Industrial Machinery 6.4164%
Banks 5.7224%
Cement 4.8489%
Electronics 4.8239%
Steel 4.4431%
Asset Allocation as on   Feb 28, 2007 
Equity Debt Money Market
87.46 1.62 10.92


Change in Portfolio(Sector-Wise)(%age)
  -
  -
  -
  -
16
   
17
   
  
11
   
10
   
  
9
   
8
   
  
9
   
15
   
  
9
   
8
   
  
6
   
6
   
  
6
   
6
   
  
 
      Feb 28, 2007
   Jan 31, 2007
 
A Diversified
B Electricals & Electrical Equipments
C Power Generation, Transmission & Equip
D Housing & Construction
E Telecom
F Engineering & Industrial Machinery
G Banks
A B C D E F G


Compare Performance Portfolio AMC Snapshot Dividend History News Historical NAV

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