Sahara Star Value-G    Plan:
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 Current Stats & Profile
Latest NAV   10.1457 (21/05/13)
52-Week High   12.4284 (08/01/13)
52-Week Low   9.5749 (26/03/13)
Fund Category   Equity: Mid & Small Cap
Type   Open End
Launch Date   August  2009
Risk Grade   Not Rated
Return Grade   Not Rated
Net Assets (Cr) *   1.28 (31/03/13) 
Benchmark   S&P BSE 200
* Quarterly Average
 
 Trailing Returns
As on 21 May 2013 Fund Category
Year to Date -14.41 -5.89
1-Month 0.76 4.41
3-Month -5.67 -0.10
1-Year -4.62 16.88
3-Year -3.35 5.63
5-Year -- 5.65
Return Since Launch 0.39 --
Returns upto 1 year are absolute and over 1 year are annualised.
 Relative Performance (Fund Vs Category Average)

 Portfolio Summary
 Top Holdings    As on 30 Apr
 Name of Holding   % Net Assets
Tata Global Beverages    6.40
Finolex Cables    5.37
Cox & Kings    5.05
CESC    4.97
MRPL    4.95

View additional holdings information
 
Top 5 Sectors % Net Asset
As on 30/04/2013
Construction   13.90
Energy   13.65
Financial   12.32
Chemicals   10.08
Textiles   9.68
   Indicates an increase or decrease or no change in holding since last portfolio
 Indicates a new holding since last portfolio.
 News and Analysis
Headline Date Story Type
Time for value funds?   07 Feb 2013   Fundwire
Lone Fighter   01 Jan 2013   Fund Family Update
10% dividend in Sahara Star Value   12 Aug 2010   Fund News
Alpha Generators   01 Jul 2010   Fundwire
Sahara AMC: Introduced of online transaction facility   10 Jun 2010   Fund News

View all news/stories related to this fund
Value Research Star Rating