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Group Superannuation Growth Fund

ULGF00423/01/07SANNGROWTH104-Superannuation Growth

Funds Overview as of December 31, 2014

Fund's Objective: The investment objective of the Growth Fund is to provide potentially higher returns to unit holders by investing primarily in Equities (to target growth in capital value of assets); however, the fund will also invest in Government securities, corporate bonds and money market instruments.


Inception Date Funds size Benchmarks Products Applicable Status

09 April 2009
NAV (p.u.):18.84

Rs. 0.05Cr.

  • NSE Nifty(55%)
  • I Sec Gilt Index (20%)
  • Crisil Bond Index (15%)
  • Crisil Liquid Index (10%)
  • Max Life Unit Linked Group Superannuation Plan- 104L033V01
  • Withdrawn
  • Funds Performance
  • Asset Allocation
Annualized Returns* Fund Benchmark returns
Since inception 11.7% 13.2%
Five Year Rolling Return 8.8% 9.4%
Three Year Rolling Return 15.8% 16.1%
One Year Rolling Return 20.3% 22.9%
YTD (Financial Year) 15.7% 17.5%
Last Quarter 3.2% 4.1%

* Returns less than one year are absolute returns.

Risk Attributes Fund Benchmark
Beta 0.8 1.0
Standard Deviation 10.5% 11.5%
Sharpe ratio 0.4 0.5
Treynor ratio 0.1 0.1
Risk Free Rate assumed 7%    
Fixed Income
Average Maturity in years 5.5
M- Duration 3.6
of the NON Equity Portfolio  
Approved Asset Allocation
G-sec 0-30%
Corporate Bonds 0-30%
Short Term investment 0-20%
Equity 20-60%
Industry Exposure (Top 10)
Central & State Government 44%
Financial And Insurance Activities** 20%
IT Services 8%
Manfr of Tobacco Products 7%
MFG of Motor vehicle 5%
Extraction of Crud Oil & Gas 4%
Manfr of pharmaceuticals 3%
Construction & Engineering 3%
Manfr OF petroleum products 3%
Telecommunications 3%

**Including CD & FD investments

Issuer / Company Exposure (Top 10) %
Central & State Government 44%
ITC Ltd 7%
Infosys Technologies Limited 6%
National Bank for Agriculture & Rural Development 6%
HDFC Bank Ltd 5%
Maruity Udyog Limited 5%
ICICI Bank Limited 4%
Infrastructure Leasing & Finance Services Limited 4%
Oil & Natural Gas Corporation Limited 4%
Sun Pharmaceutical Industries Limited 3%
Rating bucket %
AAA & equivalent 100%
AA & equivalent 0%
A & equivalent 0%
- -
Total 100%
Maturity bucket %
Less than 1year 35%
1 year to 3 years 19%
3 years to 7 years 11%
Over 7 years 34%
Total 100%

Of Rated Fixed Income

Did you Know?

Our aggregate Traditional portfolio witnessed a growth of 34.51%, and overall portfolio grew by 25% over the last one year till June 2014