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*
Total Assets does not reflect the Offshore/NFO corpus
You can sort the columns in the
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Scheme Name
Incorp Date
Fund Type
Open Ended
Schemes
Close Ended
Schemes
Interval
Schemes
Total Assets
( Rs .Cr)
As on Date
Reliance Capital Asset Management Company Ltd
24-Feb-95
Indian Private
53
17
-
104,511.23
31-Aug-10
HDFC Asset Management Company Ltd
10-Dec-99
Joint Venture Indian
34
32
-
90,178.74
31-Aug-10
ICICI Prudential Asset Management Co Ltd
22-Jun-93
Joint Venture Indian
68
46
-
68,795.95
31-Aug-10
Birla Sunlife Asset Management Company Ltd
05-Sep-94
Joint Venture Indian
66
29
-
64,247.69
31-Aug-10
UTI Asset Management Company Ltd
14-Nov-02
Others
48
28
2
64,172.80
31-Aug-10
Franklin Templeton Asset Management (I) Pvt.Ltd.
06-Oct-95
Foreign
50
22
-
40,908.34
31-Aug-10
SBI Funds Management Ltd
07-Feb-92
Joint Venture Indian
43
4
-
38,551.79
31-Aug-10
Kotak Mahindra Asset Management Company Ltd
05-Aug-94
Indian Private
25
15
-
26,689.74
31-Aug-10
DSP BlackRock Asset Management Company Ltd
13-May-96
Joint Venture Indian
37
10
-
24,153.47
31-Aug-10
LIC Mutual Fund Asset Management Company Ltd
20-Apr-94
Institutions
19
4
-
20,891.06
31-Aug-10
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