chess board sip ad with smile growth may2010
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8/8/2019 Chess Board SIP Ad With SMILE Growth May2010
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U N E AR T H I N G O P P O R T U N I T I E S
Fidelis-SM- 0000
t h a t h e w a s n
o l o n g e r a b l e
t o f e e d h i s f
a m i l y. H e a r i n g t h a t t h e
k i n g g r e a t l y
e n c o u r a g e d
t a l e n t
a n d w a s f a m
e d f o r h i s g e
n e r o s i t y, t h e
p o e t s e t o f f
f o r t h e R o y a l P a l a c
e. W h e n b r o u g h t
b e f o r e
t h e k i n g , h e
b o w e d l o w a n d a
s k e d t h a t h e
m a y r e c i t e a
p o e m. O n
h e a r i n g h i s r e c i t a t i o n
, t h e
k i n g , w e l l p l e
a s e d, a s k e d
h i m t o n a m e h i
s r e w a r d.
T h e p o e t, p o
i n t i n g t o a f i
n e l y w r o u g h
t c h e s s b o a r d
b e f o r e t h e k i
n g s a i d “ Y o u
r h i g h n e s s, i
f y o u
p l a c e j u s t o n
e g r a i n o f r i c
e o n t h e f i r s
t s q u a r e o f t
h i s c h e s s b o
a r d, a n d d o u
b l e i t f o r e v
e r y
s q u a r e, I w i
l l c o n s i d e r
m y s e l f w e l l
r e w a r d e d. ”
“ A r e y o u s
u r e ? ” a s k e d
t h e k i n g , g
r e a t l y
s u r p r i s e d. “ J u s t g r a
i n s o f r i c e, n o
t g o l d ? ” “ Y e
s, y o u r h i g h n
e s s ” a f f i r m e d
t h e h u m b l e p
o e t.
“ S o i t s h a l l b
e ” o r d e r e d t h e k i n g a n d
h i s c o u r t i e r s
s t a r t e d p l a c
i n g t h e g r a i n
o n t h e c h e s
s b o a r d.
O n e g r a i n o
n t h e f i r s t s q
u a r e, 2 o n t h e s e c o n d,
4 o n t h e t h i
r d, 8 o n t h e
f o u r t h a n d s
o o n.
t h
B y t h e t i m e
t h e y c a m e t o
t h e 1 0 s q u a r
e t h e y h a d t o p l a c e 5 1
2 g r a i n s o f r
i c e. T h e n u
m b e r
t h
n d
s w e l l e d t o 5,
2 4, 2 8 8 g r a i n s
o n t h e 2 0 s q u a r
e. W h e n t h e y c a m e t o t h
e h a l f w a y m
a r k , t h e 3 2
_
s q u a r e, t h e g
r a i n c o u n t w a
s 2 1 4, 7 4, 8 3,
6 4 8 t h a t i s
o v e r 2 1 4 c r o
r e s ! S o o n t h e c o u n
t i n c r e a s e d
t o l a k h s o f c r
o r e s a n d e v e n
t u a l l y t h e h a
p l e s s k i n g h a
d t o h a n d o v
e r h i s e n t i r e
k i n g d o m t o t h e
c l e v e r p o e t.
A n d i t a l l b
e g a n w i t h j
u s t o n e g r a i
n o f r i c e !
M o r a l o f t h e s
t o r y : N e v e r
u n d e r e s t i m
a t e t h e p o w
e r o f c o m p o
u n d i n g . I f y
o u s t a y
i n v e s t e d
l o n g e n o u g
h, i t ' l l w o r k
f o r y o u. A s m a l l
s u m i n v e s t e d e v
e r y m o n t h f
r o m
t h e b e g i n n i n g o f y o u
r w o r k - l i f e c
a n l e a d t o a
v e r y i m p r e s
s i v e a m o u n t
a t t h e t i m e
o f y o u r r e t i r
e m e n t.
SMS: SFUND to 56767 Email: [email protected] www.sundarambnpparibas.in
Call Toll-free: 1800-425-1000
Two select funds for your SIP
GROWTH FUND
Sundaram BNP Paribas
An Open-End Equity Fund
. . . .S M I L E
Sundaram BNP Paribas Small and MediumIndian Leading Equities Fund An Open-End Equity Fund
*BSE 200 Index
Mutual Fund Investments are subject to market risks. Please read the Statement of Additional Information (SAI) and Scheme Information Document (SID) carefully before investing. Copy of the SAI, SID, key
information memorandum and app lication form may also be obtained from the offices/investor service centres of Sundaram BNP Paribas Asset Management, its distributors and at www.sundarambnpparibas.in. Fund Facts:
Name: Sundaram BNP Paribas Growth Fund; Investment Objective: To achieve capital appreciation by investing predominantly in equities and equity-related instruments. Asset Allocation: Equity and equity-related instruments: up
to 95%. Debt instruments including securitised Debt: up to 35%. Money market instruments up to 25%. Exposure in derivative shall not exceed 25% of the portfolio. The Scheme may invest up to 35% of the net assets in overseas
securities. Benchmark: BSE 200 Index. Fund Facts: Name: Sundaram BNP Paribas S.M.I.L.E Fund (Small and Medium Indian Leading Equities Fund). Investment Objective: To primarily achieve capital appreciation by investing
in diversified stocks that are generally termed as small and mid-caps and by investing in other equities. Asset Allocation: Equity instruments – small-cap and mid-cap stocks (including investments in ADRs and GDRs): At least 65%.
Other Equities (including investment in ADRs and GDRs): Not exceeding 35%. Equity Futures & Options including those of indices: No t exceeding 25%. Money market instruments: Not exceeding 15%. Exposure in derivative shall
not exceed 25% of the portfolio. The Scheme may invest up to 35% of the net assets in overseas securities. Benchmark: S & P CNX Mid-cap. Scheme-Specific Risk Factors: Small-cap stocks are generally more illiquid. Broad
features common to both funds: Fund Type: Open-end equity schemes. Terms of Offer: NAV.Plans: Regular & Institutional; Options: Dividend Payout, Dividend Reinvestment, Dividend Sweep & Growth. Minimum Investment
Amount: Rs 5,000 and multiples of Rs 1 and for additional purchase. Exit Load: 1% if redeemed within 12 months from date of allotment.. There is no entry/exit load for bonus units and dividend re-investment. NAV
publication/sale/redemption will be done on all business days. Risk Factors applicable to both funds: Change in Government policy in general and changes in tax benefits applicable to mutual funds may impact the returns to
Investors. Tax-free status for long-term capital gains and dividend will depend on the fund investing at least 65% in equity to qualify in accordance with p rovisions of the Income-Tax Act. If and to the extent, the portfolio includes
overseas stocks, investors will be exposed to country risk, currency risk, geo-political risk, legal restrictions and regulation changes in geography other than India. General Risk Factors: All mutual funds and securities
investments are subject to market risks, and there can be no assurance or guarantee that fund's objectives will be achieved. NAV may go up or down, depending on the factors and forces affecting the securities
market. Main types are market risk, liquidity risk, credit risk and systemic risks. At times, liquidity of investments may be impaired. There is uncertainty of dividend distribution and risk of capital loss. Past performance of the
Sponsor/Asset Management Company/Fund does no t indicate the future performance. Investors in the schemes are not being offe red any guaranteed or indicated returns. Sundaram BNP Paribas Growth Fund and Sundaram
BNP ParibasSmall and Medium Indian Leading Equities Fund (S.M.I.L.E) Fund: are only the names of the schemes and do not in any manner indicate e ither quality or future prospects and returns. Statutory: Mutual
Fund: Sundaram BNP Paribas Mutual Fund is a trust under Indian Trusts Act, 1882. Sponsors: Sundaram Finance Ltd & BNP Paribas Asset Management. Liability for sponsors is limited to Rs 1 lakh. Investment Manager:
Sundaram BNP Paribas Asset Management Company Ltd. Trustee: Sundaram BNP Paribas Trustee Company Ltd.
Past performance may or may not be sustained in future. Return / Value of Rs 1000 a month SIP are as of April 30, 2010 and are computed using NAV of Growth Option.Returns in percentage computed on a compounded annual basis. Investment and value for the fund and benchmark are in rupees.
Period
Since Inception
Last 10 years
Last 7 years
Last 5 years
Last 3 years
Returns %
Fund Benchmark*
Value of Rs.1000 a month SIP
Investment Fund Benchmark*
GROWTH FUND
Period
Returns %
Fund†
Benchmark
Value of Rs.1000 a month SIP
Investment†
Benchmark
S.M.I.L.E FUND
Since Inception
Last 5 years
Last 3 years
Last 2 years
Last 1 year †S&P CNX Mid-cap
Fund
25.4
26.2
22.0
12.7
104.1
21.1
22.9
15.4
7.3
108.8
62,000
36,000
24,000
12,000
1,00,603
50,375
36,420
14,807
1,13,556
54,783
38,281
14,780
Last 1 year
21.0
19.4
32.0
21.9
9.2
66.5
14.9
15.8
30.0
22.1
10.2
66.5
1,56,000
1,20,000
84,000
60,000
36,000
12,000
7,90,924
4,34,886
1,75,764
85,338
43,996
13,672
5,80,009
3,74,725
1,70,869
88,496
45,800
13,610
60,000 1,07,199 95,445