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Taurus Asset Management Company Ltd.
 
Taurus Mutual Fund was amongst the first few private sector Mutual Funds registered with SEBI. It was constituted as a Trust on August 20, 1993 in accordance with the provisions of the Indian Trusts Act, 1882. The Mutual Fund was registered with SEBI on Sept 21,1993 under Mutual Fund Registration Code No. MF/002/93. HB Portfolio Limited is the present Sponsor of the Fund with Taurus Investment Trust Company Ltd as the Trustee

 
No. of schemes 15
No. of schemes including options 49
Equity Schemes 15
Debt Schemes 25
Short term debt Schemes 7
Equity & Debt 0
Money Market 0
Gilt Fund 2
 
Corpus under management
Rs.209.234701854176 Crs. as on Dec 31, 2008
 
Key Personnel
R. K. Gupta(MD), Waqar Naqvi(CEO), Sanjay Parikh(COO), Deepa Varshnei (Exe.VP), Amit Gupta(VP, C Hd Ret Sales), V. Sasidhar(Cust Serv),Sangeeta Verma(CS& CO),Nazish Ahmed(Hd Mkt), C M Mathur(Exe VP), Mohit Mirchandani(Hd Eq)
 
Fund Managers
Pankaj Jain , R K Gupta, Rahul Pal .
 
Open Ended Schemes
 
Scheme Name Performance ( % Return ) Fund Size
As On 30 Days 91 Days 1 Year 3 Year Rs. in Cr. As on
Taurus Bonanza Fund - Dividend Sep 8, 2010 4.0076
 
14.4572
 
19.0877
 
NA  35.44 Aug 31, 2010
Taurus Bonanza Fund - Growth Sep 8, 2010 4.0344
 
14.4733
 
18.4883
 
1.4861
 
35.44 Aug 31, 2010
Taurus Discovery Fund - Dividend Sep 8, 2010 7.9903
 
22.9497
 
38.2946
 
NA  26.55 Aug 31, 2010
Taurus Discovery Fund - Growth Sep 8, 2010 8
 
22.8966
 
38.2467
 
-1.8002  26.55 Aug 31, 2010
Taurus Ethical Fund - Bonus Sep 8, 2010 5.3686
 
15.399
 
45.044
 
NA  25.38 Aug 31, 2010
Taurus Ethical Fund - Dividend Sep 8, 2010 5.3409
 
15.3703
 
44.674
 
NA  25.38 Aug 31, 2010
Taurus Ethical Fund - Growth Sep 8, 2010 5.3663
 
15.3918
 
45.0176
 
NA  25.38 Aug 31, 2010
Taurus Gilt Fund - Dividend Sep 8, 2010 0.2371
 
0.5423
 
1.2775
 
2.7291
 
0.01 Aug 31, 2010
Taurus Gilt Fund - Growth Sep 8, 2010 0.2374
 
0.5421
 
1.2779
 
2.5461
 
0.01 Aug 31, 2010
Taurus Infrastructure Fund - Dividend Sep 8, 2010 5.5569
 
14.719
 
25.0236
 
9.4493
 
26.8 Aug 31, 2010
Taurus Infrastructure Fund - Growth Sep 8, 2010 5.4509
 
14.6306
 
25.4604
 
9.3149
 
26.8 Aug 31, 2010
Taurus Liquid Fund - Dividend Sep 8, 2010 0.3766
 
1.0899
 
4.8634
 
5.0914
 
654.19 Aug 31, 2010
Taurus Liquid Fund - Growth Sep 8, 2010 0.4807
 
1.3927
 
4.2661
 
5.2463
 
654.19 Aug 31, 2010
Taurus Liquid Fund - IP - Daily Dividend Sep 8, 2010 0.2227
 
0.3654
 
0.6216
 
NA  654.19 Aug 31, 2010
Taurus Liquid Fund - IP - Growth Sep 8, 2010 0.4852
 
1.4081
 
3.2615
 
NA  654.19 Aug 31, 2010
Taurus Liquid Fund - Super IP - Daily Dividend Sep 8, 2010 0.3832
 
1.1145
 
4.3069
 
NA  654.19 Aug 31, 2010
Taurus Liquid Fund - Super IP - Growth Sep 8, 2010 0.4895
 
0.0426
 
1.119
 
NA  654.19 Aug 31, 2010
Taurus Liquid Fund - Super IP - Weekly Dividend Sep 8, 2010 NA  NA  NA  NA  654.19 Aug 31, 2010
Taurus MIP Advantage Fund - Dividend Sep 8, 2010 NA  NA  NA  NA  74.33 Aug 31, 2010
Taurus MIP Advantage Fund - Growth Sep 8, 2010 NA  NA  NA  NA  74.33 Aug 31, 2010
Taurus Nifty Index Fund - Dividend Sep 8, 2010 4.155
 
NA  NA  NA  3.07 Aug 31, 2010
Taurus Nifty Index Fund - Growth Sep 8, 2010 4.1558
 
NA  NA  NA  3.07 Aug 31, 2010
Taurus Short Term Income Fund - Dividend Sep 8, 2010 0.0584
 
0.9659
 
4.0901
 
3.2225
 
272.61 Aug 31, 2010
Taurus Short Term Income Fund - Growth Sep 8, 2010 0.5654
 
1.5738
 
4.7145
 
3.5206
 
272.61 Aug 31, 2010
Taurus Starshare Fund - Dividend Sep 8, 2010 5.6406
 
17.5185
 
28.0839
 
NA  172.45 Aug 31, 2010
Taurus Starshare Fund - Growth Sep 8, 2010 5.6424
 
17.533
 
29.5505
 
4.5575
 
172.45 Aug 31, 2010
Taurus Taxshield - Dividend Sep 8, 2010 7.0134
 
20.6563
 
28.6849
 
NA  57.46 Aug 31, 2010
Taurus Taxshield - Growth Sep 8, 2010 6.9268
 
20.561
 
29.7427
 
21.5258
 
57.46 Aug 31, 2010
Taurus Ultra Short Term Bond Fund - IP - Dly Dividend Sep 8, 2010 0.4501
 
1.2409
 
4.4123
 
NA  1107.4 Aug 31, 2010
Taurus Ultra Short Term Bond Fund - IP - Growth Sep 8, 2010 0.5126
 
1.4139
 
5.0251
 
NA  1107.4 Aug 31, 2010
Taurus Ultra Short Term Bond Fund - IP - Wkly Dividend Sep 8, 2010 0.4595
 
1.2433
 
4.3356
 
NA  1107.4 Aug 31, 2010
Taurus Ultra Short Term Bond Fund - Ret - Dly Dividend Sep 8, 2010 0.4431
 
1.2195
 
4.3299
 
NA  1107.4 Aug 31, 2010
Taurus Ultra Short Term Bond Fund - Ret - Growth Sep 8, 2010 0.5046
 
1.3917
 
4.943
 
NA  1107.4 Aug 31, 2010
Taurus Ultra Short Term Bond Fund - Ret - Wkly Dividend Sep 8, 2010 0.4525
 
1.222
 
4.2651
 
NA  1107.4 Aug 31, 2010
Taurus Ultra Short Term Bond Fund - Super IP - Dly Dividend Sep 8, 2010 0.4571
 
1.2624
 
4.5428
 
NA  1107.4 Aug 31, 2010
Taurus Ultra Short Term Bond Fund - Super IP - Growth Sep 8, 2010 0.5205
 
1.4383
 
5.1735
 
NA  1107.4 Aug 31, 2010
Taurus Ultra Short Term Bond Fund - Super IP - Wkly Dividend Sep 8, 2010 0.3266
 
0.406
 
2.9295
 
NA  1107.4 Aug 31, 2010
 
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