LIC Pension Fund LTD Periodicity of Submission: Monthly Form 3 Statement as on: 31 Oct 2014
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1 LIC Pension Fund LTD Periodicity of Submission: Monthly Form 3 Statement as on: 31 Oct 2014 Details of Portfolio for Scheme: SG (A)Equity Instruments: ACC LTD. 7,04,83, ,85,80, NA ADITYA BIRLA NUVO LTD 4,76,25, ,23,23, NA ALLAHABAD BANK 7,01,37, ,87,79, NA AMBUJA CEMENTS LTD. 5,47,28, ,34,92, NA ANDHRA BANK 3,44,05, ,15,02, NA ASHOK LEYLAND LTD. 38,93, ,35, NA ASIAN PAINTS LTD. 4,14,40, ,87,02, NA AXIS BANK LIMITED 21,41,61, ,96,07, NA BAJAJ AUTO LTD. 15,22,09, ,11,84, NA BANK OF BARODA 4,64,20, ,72,72, NA BANK OF INDIA LIMITED 1,21,00, ,28,40, NA BHARAT HEAVY ELECTRICALS LTD 13,41,18, ,31,77, NA BHARAT PETROLEUM CORPORATION LIMITED 4,65,97, ,09,39, NA BHARATI AIRTEL 16,91,53, ,88,36, NA CAIRN INDIA LTD. 2,11,04, ,83,92, NA CANARA BANK 4,91,83, ,94,10, NA CIPLA LTD. 13,63,13, ,63,92, NA COAL INDIA LIMITED 12,83,32, ,48,20, NA COLGATE PALMOLIVE (INDIA) LTD. 5,08,20, ,69,38, NA DABUR INDIA LTD. 1,58,46, ,19,56, NA DR. REDDYSLABORATORIES LTD. 8,62,94, ,15,97, NA EXIDE INDUSTRIES LTD. 1,47,52, ,52,43, NA GAIL INDIA 11,27,64, ,68,90, NA GODREJ INDUSTRIES LTD. 5,71,62, ,98,00, NA GRASIM INDUSTRIES LTD. 6,60,68, ,03,06, NA HCL TECHNOLOGIES LTD. 4,08,91, ,95,16, NA HDFC BANK LIMITED 9,56,42, ,53,94, NA HERO MOTOCORP LTD. 3,16,17, ,11,72, NA HINDALCO INDUSTRIES LIMITED 9,21,99, ,23,66, NA HINDUSTAN UNILEVER LTD. 6,47,19, ,27,81, NA HOUSING DEVELOPMENT FINANCE CORPORATION LTD. 22,49,16, ,11,07, NA ICICI BANK LTD. 15,28,15, ,55,40, NA IDBI BANK LTD 3,31,00, ,28,67, NA IDEA CELLULAR LIMITED 49,82, ,58, NA INDIAN OIL CORPORATION LTD 5,36,23, ,33,85, NA INDRAPRASTHA GAS LTD. 54,46, ,75, NA INDUSIND BANK LTD. 2,63,08, ,23,06, NA INFOSYS TECHNOLOGIES LTD 27,48,94, ,52,15, NA INFRASTRUCTURE DEVELOPMENT FIN CORP 14,10,97, ,28,86, NA ITC LTD 15,47,94, ,69,08, NA KOTAK MAHINDRA BANK LTD. 3,00,51, ,29,67, NA L&T FINANCE HOLDINGS LTD 1,07,92, ,14,34, NA LARSEN AND TOUBRO LTD 32,43,30, ,69,10, NA LUPIN LTD. 1,00,48, ,47,79, NA MAHINDRA & MAHINDRA LTD. 11,04,60, ,11,64, NA MARUTI SUZUKI INDIA LTD. 5,15,34, ,13,69, NA MCLEOD RUSSEL INDIA LIMITED 2,22,93, ,61,86, NA MRF LTD. 80,72, ,45,51, NA
2 NMDC LTD 4,41,37, ,55,36, NA NTPC LTD 11,77,47, ,30,31, NA OIL AND NATURAL GAS CORPORATION LTD. 19,61,03, ,84,92, NA ORACEL FINANCIAL SERVICES SOFTWARE LIMITED 47,63, ,46, NA ORIENTAL BANK OF COMMERCE 60,08, ,02, NA PETRONET LNG LTD. 3,15,43, ,65,69, NA POWER FINANCE CORPORATION LTD. 4,53,93, ,25,76, NA POWER GRID CORPORATION OF INDIA LTD 3,76,55, ,79,61, NA PUNJAB NATIONAL BANK 5,79,72, ,92,55, NA RANBAXY LABORATORIES LTD. 2,93,17, ,76,24, NA RELIANCE INDUSTRIES LTD. 51,58,01, ,63,73, NA RURAL ELECTRIFICATION CORPORATION LTD. 5,73,03, ,31,35, NA SESA STERLITE LTD. 9,66,03, ,54,83, NA SIEMENS LTD. 2,18,51, ,07,06, NA STATE BANK OF INDIA 18,12,50, ,92,25, NA STEEL AUTHORITY OF INDIA LTD 7,21,72, ,43,75, NA SUN PHARMACEUTICALS INDUSTRIES LTD. 10,85,06, ,58,27, NA SYNDICATE BANK 53,34, ,32, NA TATA CONSULTANCY SERVICES LTD. 19,86,54, ,57,32, NA TATA GLOBAL BEVERAGES LTD. 9,75,29, ,13,94, NA TATA MOTORS LTD. 5,17,18, ,49,65, NA TATA POWER LTD. 12,49,78, ,91,01, NA TATA STEEL LIMITED 14,66,25, ,79,10, NA TECH MAHINDRA LIMITED 13,21,64, ,03,66, NA Tata Chemicals Limited 11,52,47, ,59,51, NA UCO BANK 1,17,51, ,06,77, NA UNION BANK OF INDIA 3,47,26, ,37,67, NA UltraTech Cement Limited 8,20,67, ,24,04, NA VOLTAS LIMITED 86,65, ,55,17, NA WIPRO LIMITED 15,81,81, ,92,92, NA YES BANK LTD 6,31,44, ,56,65, NA Total (A) (B) Government Securities: Central Government Securities: 10.03% G-SEC 2019 ( ) 16,60,84, ,86,84, NA 7.16% G-SEc 2023 ( ). 65,75,87, ,03,92, NA 7.46% G-SEC 2017 ( ) 1,81,37, ,81,41, NA 7.80% G-SEC 2020 ( ) 8,10,72, ,90,33, NA 7.80% G-SEC 2021 ( ) 12,84,13, ,95,40, NA 7.83% G-SEC 2018 ( ) 2,26,73, ,32,18, NA 7.95% G-SEC 2032 ( ) 5,91,72, ,77,72, NA 7.95% GoI - OIL SPECIAL BONDS 2025 ( ) 9,64,00, ,59,84, NA 8.07% G-SEC 2017 ( ) 6,43,11, ,49,14, NA 8.08% GSEC ( ) 27,68,23, ,45,75, NA 8.12% G-SEC 2020 ( ) 21,17,56, ,74,92, NA 8.13% G-SEC 2022 ( ) 39,15,43, ,97,14, NA 8.15% G-SEC 2022 ( ) 2,07,04, ,97,00, NA 8.20% G-SEC 2022 ( ) 11,20,86, ,98,20, NA
3 8.20% G-SEC 2025 ( ) 1,24,76,87, ,26,72,07, NA 8.24% GSEC ,36,76,97, ,49,30,15, NA 8.26% G-SEC 2027 ( ) 36,06,62, ,47,68, NA 8.28% G-SEC 2027 ( ) 5,39,00,38, ,66,62,49, NA 8.30% G-SEC ( ) 57,84,66, ,61,22, NA 8.30% G-SEC 2042 ( ) 4,74,54,22, ,04,81,51, NA 8.32% G-SEC 2032 ( ) 4,53,54,53, ,84,71,29, NA 8.33% G-Sec 2026 ( ) 1,11,86,50, ,13,47,96, NA 8.35% GSEC 2022 ( ) 95,08,61, ,19,30, NA 8.40% GSEC 2024 ( ) 19,69,90, ,15,60, NA 8.79% G-SEC 2021 ( ) 35,76,61, ,19,00, NA 8.83% G-SEC 2041 ( ) 4,02,41,40, ,13,68,88, NA 8.97% G-SEC 2030 ( ) 3,72,27,00, ,70,75,67, NA 9.15% G-SEC 2024 ( ) 66,03,63, ,17,09, NA 9.20% G-SEC 2030 ( ) 3,03,99,03, ,19,83,08, NA 9.23% G-SEC 2043 ( ) 3,66,77,38, ,92,52,54, NA G-SEC % ( ) 1,37,28,92, ,40,49,40, NA G-SEC 7.99% 2017 ( ) 13,71,68, ,92,28, NA G-SEC 8.28% 2032 ( ) 1,54,41,78, ,60,55,52, NA GSEC 10.18% (11 Sept. 2026) 5,78,32, ,61,45, NA Sub Total State Development Loans: 7.57% ANDHRA PRADESH SDL 2023 ( ) 5,00,00, ,68,51, NA 7.58% RAJASTHAN SDL 2023 ( ) 5,00,00, ,69,36, NA 7.59% HARYANA SDL 2023 ( ) 5,00,00, ,69,66, NA 8.09% RAJASTHAN SDL 2020 ( ) 50,09, ,84, NA 8.09% RAJASTHAN SDL 2023 ( ) 5,00,10, ,84,65, NA 8.09% TAMIL NADU SDL 2020 ( ) 75,11, ,31, NA 8.09%MAHARASHTRA SDL 2020 ( ) 75,10, ,29, NA 8.10% GOA SDL 2020 ( ) 40,00, ,05, NA 8.10% KERALA SDL 2023 ( ) 5,00,20, ,84,87, NA 8.10% TAMIL NADU SDL 2023 ( ) 8,00,24, ,75,71, NA 8.11% PUNJAB SDL 2023 ( ) 5,00,55, ,84,56, NA 8.11% RAJASTHAN SDL 2020 ( ) 75,13, ,34, NA 8.11% WEST BENGAL SDL 2020 ( ) 75,12, ,29, NA 8.12% RAJASTHAN SDL 2020 ( ) 70,00, ,45, NA 8.15% MAHARASHTRA SDL 2020 ( ) 70,04, ,56, NA 8.15% TAMILNADU SDL ( ) 70,04, ,58, NA 8.19% ANDHRA PRADESH SDL 2019 ( ) 5,03,00, ,93,27, NA 8.24% GUJARAT SDL 2023 ( ) 10,00,90, ,77,95, NA
4 8.24% HIMACHAL PRADESH SDL 2023 ( ) 2,50,17, ,43,81, NA 8.25% ANDHRA PRADESH SDL 2023 ( ) 10,01,50, ,77,76, NA 8.25% KERALA SDL 2023 ( ) 10,01,00, ,79,40, NA 8.25% TAMIL NADU SDL 2023 ( ) 8,01,12, ,82,89, NA 8.27% HARYANA SDL ( ) 1,25,17, ,23,70, NA 8.28% JHARKHAND SDL 2020 ( ) 50,45, ,18, NA 8.28% UTTAR PRADESH SDL 2020 ( ) 50,47, ,25, NA 8.28% WEST BENGAL SDL 2020 ( ) 50,50, ,24, NA 8.31% MADHYA PRADESH SDL ,00,44, ,98,21, NA 8.31% WEST BENGAL SDL ,00,21, ,13, NA 8.32% GUJARAT SDL 2020 ( ) 1,25,12, ,23,24, NA 8.32% MADHYA PRADESH SDL ,25,32, ,23,89, NA 8.32% TAMILNADU SDL 2020 ( ) 1,25,11, ,23,41, NA 8.32% UTTAR PRADESH SDL ,00,42, ,98,51, NA 8.34% KERALA SDL ,10,31, ,08,57, NA 8.34% PUNJAB SDL 2020 ( ) 1,00,05, ,66, NA 8.34% UTTAR PRADESH SDL ,00,30, ,65, NA 8.35% GUJARAT SDL 2020 ( ) 2,00,22, ,97,41, NA 8.35% RAJASTHAN SDL 2020 ( ) 1,00,11, ,78, NA 8.37% ANDHRA PRADESH SDL 2020 ( ) 81,45, ,34, NA 8.37% UTTAR PRADESH SDL 2020 ( ) 1,25,16, ,23,55, NA 8.38% GUJARAT SDL 2020 ( ) 71,58, ,67, NA 8.38% HIMACHAL PRADESH SDL 2020 ( ) 60,08, ,35, NA 8.38% WEST BENGAL SDL 2020 ( ) 75,06, ,14, NA 8.39% UTTAR PRADESH SDL 2020 ( ) 75,07, ,19, NA 8.40% ASSAM SDL 2020 ( ) 11,03, ,89, NA 8.41% MIZORAM SDL ,01, ,71, NA 8.42% KARNATAKA SDL 2020 ( ) 70,07, ,37, NA 8.42% WEST BENGAL SDL ,92,84, ,82,35, NA 8.43% KARNATAKA SDL 2020 ( ) 80,10, ,30, NA 8.44% MADHYA PRADESH SDL 2020 ( ) 80,13, ,28, NA 8.44% UTTAR PRADESH SDL 2019 ( ) 99,73, ,71, NA
5 8.48% MAHARASHTRA SDL 2020 ( ) 70,09, ,61, NA 8.49% KARNATAKA SDL 2019 ( ) 33,14, ,95, NA 8.49% NAGALAND SDL 2020 ( ) 20,00, ,88, NA 8.51% GOA SDL 2020 ( ) 13,10, ,02, NA 8.51% PUNJAB SDL 2023 ( ). 15,01,50, ,89,30, NA 8.51% WEST BENGAL SDL 2020 ( ) 75,09, ,61, NA 8.52% HIMACHAL PRADESH SDL 2020 ( ) 20,01, ,90, NA 8.52% MIZORAM SDL 2020 ( ) 75,01, ,63, NA 8.52% RAJASTHAN SDL 2023 ( ). 16,23,46, ,99,63, NA 8.53% BIHAR SDL 2020 ( ) 75,09, ,73, NA 8.53% TAMIL NADU SDL 2020 ( ) 47,08, ,84, NA 8.54% HARYANA SDL 2020 ( ) 15,52, ,44, NA 8.54% MAHARASHTRA SDL ,25,17, ,24,60, NA 8.54% MAHARASHTRA SDL 2023 ( ) 20,40,99, ,17,42, NA 8.55% BIHAR SDL ,25,20, ,24,45, NA 8.55% UTTAR PRADESH SDL ,01,84, ,99,32, NA 8.55% UTTAR PRADESH SDL 2020 ( ) 75,16, ,76, NA 8.56% PUNJAB SDL ,50,40, ,49,54, NA 8.56% TAMIL NADU SDL 2023 ( ). 64,30, ,09, NA 8.58% GUJARAT SDL 2023 ( ). 7,01,90, ,98,58, NA 8.58% UTTARAKHAND SDL2020 2,00,72, ,99,39, NA 8.58% WEST BENGAL SDL 2020 ( ) 1,50,39, ,49,67, NA 8.60% KERALA SDL 2023 ( ) 6,01,20, ,99,58, NA 8.62% KARNATAKA SDL 2023 ( ) 4,01,00, ,00,08, NA 8.62% MAHARASHTRA SDL 2023 ( ) 4,00,40, ,00,36, NA 8.62% TAMIL NADU SDL 2023 ( ) 4,00,76, ,00,14, NA 8.63% MADHYA PRADESH SDL 2023 ( ) 15,05,70, ,01,08, NA 8.64% MADHYA PRADESH SDL 2023 ( ) 4,01,28, ,00,49, NA 8.65% KERALA SDL 2023 ( ) 6,00,42, ,01,32, NA 8.66% HARYANA SDL 2023 ( ) 5,70,39, ,71,68, NA 8.67% MAHARASHTRA SDL 2023 ( ) 15,02,10, ,05,70, NA 8.68% GUJARAT SDL 2023 ( ) 10,01,20, ,03,78, NA 8.72% TAMILNAD SDL 2022 ( ) 3,03,33, ,01,44, NA
6 8.83% GUJARAT SDL 2022 ( ) 15,58,48, ,48,76, NA 8.83% TAMIL NADU SDL ,53,70, ,61,74, NA 8.85% KERALA SDL 2022 ( ) 10,19,89, ,13,27, NA 8.85% MAHARASHTRA SDL 2022 ( ) 25,42,28, ,33,43, NA 8.88% GUJARAT SDL 2022 ( ) 10,48,20, ,42,87, NA 8.88% HARYANA SDL 2022 ( ) 3,08,76, ,04,02, NA 8.90% MAHARASHTRA SDL 2022 ( ). 14,35,59, ,23,52, NA 8.92% TAMIL NADU SDL 2022 ( ) 3,94,53, ,92,47, NA 8.93% KERALA SDL 2022 ( ) 15,38,13, ,27,62, NA 8.94% MAHARASHTRA SDL 2024 ( ) 5,60,00, ,60,00, NA 8.95% MP SDL 2024 ( ) 10,00,70, ,00,70, NA 8.97% KARNATAKA SDL 2024 ( ) 10,02,00, ,02,00, NA 8.98% WEST BENGAL SDL 2024( ) 5,01,00, ,11,51, NA 8.99% MP SDL 2024 ( ) 14,03,92, ,34,19, NA 9.12% GUJARAT SDL 2022 ( ). 10,44,86, ,28,08, NA 9.12% RAJASTHAN SDL 2022 ( ) 20,90,05, ,53,27, NA Sub Total Total (B) (C) Debt Instruments: Bonds/NCD: PSU / PFI Bonds: 8.77% EXIM BANK BONDS 2018 ( ) 5,00,00, ,01,90, AAA 9.00% EXPORT - IMPORT BANK OF INDIA UNSECURED BONDS 2019 (10 18,68,64, ,26,82, AAA 9.25% UNSECURED EXIM BANK BONDS SR.R ( ) 1,00,00, ,02,71, AAA 9.58% UNSEC. EXIM NCBs 2023 ( ). 4,00,00, ,18,12, AAA 9.60% UNSECURED EXIM BANK BONDS SR. Q ( ) 40,00,00, ,88,50, AAA 8.77% SEC. HINDUSTAN PETROLEUM CORPORATION NCD SERIES G ,30,50, ,52,47, AAA 9.00% IDBI BANK OMNI BONDS UPP. TIER II SERIES III 2,50,00, ,43,95, LAA 11% SECURED INDIAN OIL CORP. BONDS - SERIES VIIIB ( ,65,07, ,07,05, AAA 11.00%SEC INDIAN OIL CORPORATION LTD ,24,80, ,17,85, AAA 9.49% SEC INDIAN RENEWABLE ENERGY DEVELOPMENT AGENCY BONDS 5,00,00, ,17,46, BWRAAA
7 9.27% INDIAN RAILWAYS FINANCE CORPORATION BONDS 2021 ( ,66,04, ,84,93, AAA 9.57% SEC INDIAN RALIWAY FINANCE CORPORATION BONDS 2021 (31 5,00,00, ,23,43, CAREAAA 8.79% NABARD REDEEMABLE UNSECURED NON-CONVERTIBLE BONDS ,00,00, ,02,18, AAA 8.73% SEC. REDEEMABLE NON CONVERTIBLE NTPC BONDS - SERIES XL 9,14,46, ,54,14, AAA 8.56% UNSECURED NUCLEAR POWER CORP. OF INDIA NCDs 2023 ( ,45,29, ,95,23, AAA 9.18% NUCLEAR POWER CORPORATION STRPP SERIES XXVIII - A (23. 9,20,00, ,54,72, AAA 9.18% NUCLEAR POWER CORPORATION STRPP SERIES XXVIII - B (23. 24,28,00, ,37,63, AAA 9.18% NUCLEAR POWER CORPORATION STRPP SERIES XXVIII - C (23. 16,83,77, ,61,14, AAA 9.18% NUCLEAR POWER CORPORATION STRPP SERIES XXVIII - D (23. 9,40,00, ,81,37, AAA 9.18% NUCLEAR POWER CORPORATION STRPP SERIES XXVIII - E (23. 9,40,00, ,83,02, AAA 11.25% POWER FINANCE CORPORATION BONDS 2018 (28/11/2009) 2,29,20, ,17,23, LAAA 8.94% POWER FINANCE CORPORATION UNSECURED BOND 2028 ( ,99,30, ,86,12, AAA 9.00% POWER FINANCE CORPORATION UNSECURED BONDS 2028 ( ,92,27, ,96,68, AAA 9.20% POWER FINANCE CORPORATION UNSECURED BONDS ( ) 17,99,82, ,32,83, CAREAAA 9.32% POWER FINANCE CORPORATION LTD. UNSECURED BOND 2019 (17 49,17,54, ,09,36, AAA 9.37% POWER FINANCE CORPORATION LTD. UNSECURED BOND 2024 (19 40,00,00, ,44,47, AAA 9.41% POWER FINANCE CORPORATION BONDS 2016 ( ). 5,04,01, ,06,17, LAAA 9.51% POWER FINANCE CORPORATION LTD. NCBs 2015 ( ) 10,00,00, ,01,65, AAA 9.61% POWER FINANCE CORPORATION LTD. BONDS 2021 ( ) 6,50,00, ,74,78, LAAA 7.93% SEC. POWER GRID BONDS XLIII ISSUE - STRPP L ( ,39,17, ,66,10, AAA
8 8.70% SEC. POWER GRID BONDS XLIV ISSUE - STRPP A ( ,00,00, ,00,09, AAA 8.70% SEC. POWER GRID BONDS XLIV ISSUE - STRPP B ( ,07,98, ,81,71, AAA 8.70% SEC. POWER GRID BONDS XLIV ISSUE - STRPP C ( ,08,98, ,99,80, AAA 8.80% SEC. POWER GRID CORPORATION REDEEMABLE BONDS 2023 (13. 7,13,56, ,48,41, AAA 9.30% SEC. POWER GRID CORPORATION OF INDIA LTD BONDS 2024 (0 12,50,00, ,92,71, AAA 9.30% SEC. POWER GRID CORPORATION OF INDIA LTD BONDS 2029 (0 5,00,00, ,21,21, AAA 8.72%SEC RURAL ELECTRIFICATION BONDS- ( ) 5,00,00, ,98,99, LAAA 8.82% UNSEC. RURAL ELECTRIFICATION CORPN. NCBs 2023 ( ,14,51, ,19,87, AAA 9.02% SEC. RURAL ELECTRIFICATION CORPORATION LTD. BONDS ,77,20, ,56,38, AAA 9.38% SEC. RURAL ELECTRIFICATION CORPORATION LTD. BONDS ,82,93, ,01,45, AAA 9.40% SEC. RURAL ELECTRIFICATION CORPORATION LTD. BONDS ,49,12, ,99,23, AAA 9.61% RURAL ELECTRIFICATION CORPORATION LTD. BONDS 2019 (03. 61,27,49, ,19,99, AAA 9.63% RURAL ELECTRIFICATION CORPORATION LTD. BONDS 2019 (05. 25,22,75, ,72,74, AAA 9.75% RURAL ELECTRIFICATION CORPORATION LTD. BONDS 2021 (11. 5,00,00, ,23,81, CAREAAA 8.72% SEC. SAIL BONDS- XXXTH ISSUE- I SERIES (AQ) ( ,50,62, ,31,33, CAREAAA Sub Total Infrastructure Bonds: 10.50%SEC ADANI PORTS & SPECIAL ECONOMIC ZONE NCDs 2017 (27. 26,03,87, ,04,93, CAREAA % ERA INFRA ENGINEERING LIMITED NCDs 2014 ( ) 99,98, ,98, CARED 11.25%SEC ESSAR POWER NCDs 2018 ( ) 1,46,33, ,50,50, CAREA+ 7.98% SEC. IDFC LTD. NCDS ( ) 10,00,00, ,50,04, LAAA 8.80% SEC IDFC NCDs 2025 ( ) 3,72,84, ,89,84, CAREAAA 9.18% SEC. IDFC NCDS ,00,00, ,36,17, LAAA 9.36% SECURED IDFC LIMITED NCDS 2024 ( ) 23,00,00, ,71,74, LAAA
9 9.38% SECURED IDFC LIMITED NCDS 2024 ( ) 44,98,75, ,41,13, LAAA 9.50% SECURED IDFC DEBENTURES 2024 ( ) 96,20,00, ,67,78, LAAA 9.68% SECURED IDFC NCDs SERIES IDFC PP 11/2014 ( ,00,03, ,77,89, LAAA 11.00% SECURED IL & FS NCDs 2018 ( ) 17,00,00, ,80,98, LAAA 9.50% SEC. IL&FS LTD. NCDS 2024 ( ) 10,00,00, ,90,72, CAREAAA 9.55% SEC. IL&FS LTD. NCDS 2024 ( ) 17,00,00, ,89,07, LAAA 9.70% INFRASTRUCTURE LEASING & FINANCIAL SERVICES LTD ,00,00, ,02,52, INDAAA 9.95% Sec Infrastructure Leasing & Financial Serv Ltd NCD 2 3,99,92, ,02,60, CAREAAA 9.95% SEC INFRASTRUCTURE LEASING & FINANCIAL SER. LTD ,95,00, ,98,16, CAREAAA 9.97% IL&FS NCD ,00,00, ,05,22, INDAAA 9.98% SEC IL&FS FINANCIAL SERVICES LTD. NCDs 2021 ( ,00,00, ,10,04, CAREAAA 9.75% SEC JSW ENERGY LTD. NCDs 2017 ( ) 3,50,00, ,55,24, CAREAA % SEC L&T INFRASTRUCTURE DEVELOPMENT PROJECTS NCDs (27 9,85,39, ,27,72, LAA 9.10%SEC L & T SHIPBUILDING LTD. NCDs 2027 ( ). 54,60,22, ,83,42, AAA 10.40% SEC RELIANCE PORTS & TERMINALS LTD. NCDs 2021 ( ,42,11, ,62,43, CAREAAA 8.45% SEC RELIANCE PORTS & TERMINALS LTD. NCDS ( ) 23,64,66, ,43,41, AAA 10.25% RELIANCE GAS & TRANSPORTATION INFRASTRUCTURE NCDs ,80,38, ,83,99, AAA 10.50%SEC Reliance Infrastructure Ltd NCD ,00,00, ,19,46, A % SEC RELIANCE INFRASTRUCTURE LTD. NCDs 2018 ( ,12,98, ,51,65, A % SEC RELIANCE INFRASTRUCTURE LTD. NCDs 2017 ( ,47,18, ,77,75, A+ 11% SEC SIMPLEX INFRASTRUCTURE NCDs 2022 ( ) 5,00,00, ,16,14, CAREA % SEC SREI INFRASTRUCTURE FINANCE LTD. NCDs 2016 ( ,00,00, ,10,80, CAREAA % SEC SREI INFRASTRUCTURE FINANCE LTD. NCDs (10.1 1,50,00, ,54,60, CAREAA % SECURED TORRENT POWER LTD. NCDs 2021 ( ) 5,01,00, ,20,68, AA
10 10.10% SECURED TORRENT POWER NCDs 2022 ( ). 25,05,00, ,04,85, AA 10.10% SECURED TORRENT POWER NCDs 2023 ( ). 15,86,55, ,68,61, AA 10.35% SEC TORRENT POWER LTD. NCDs 2022 ( )- 30,00,00, ,67,62, AA 9.50%SECURED REDEEMABLE IL&FS FIN SER ,00,00, ,00,83, CAREAAA Sub Total Private Corporate Bonds: 9.00% UNSECURED ADITYA BIRLA NUVO LTD. NCDs 2023 ( ,21,00, ,90,30, LAA % SEC ALOK INDUSTRIES LTD. NCDs 2016 ( ) 7,19,88, ,10,57, CAREBBB % AMTEK AUTO LTD. NCDs 2015 ( ) 2,99,55, ,03,68, CAREAA 10.15%SEC Apollo Tyres Ltd ,00,00, ,03,15, AA 10.10% AXIS BANK UNSECURED SUBORDINATED TIER-II NCDs 2017 (3 5,15,40, ,15,05, LAAA 9.15% AXIS BANK LIMITED LOWER TIER II DEBENTURE 2022 ( ,15,25, ,63,06, LAAA 9.25% BAJAJ FINANCE LTD. NCDs 2018 ( ). 10,00,00, ,90,92, AA+ 9.40% BAJAJ FINANCE LTD.SEC REDEEMABLE DEBENTURE 2018 ( ,00,00, ,96,20, AA+ 9.58% SEC. BAJAJ FINANCE LTD. NCDs 2019 ( ) 25,00,00, ,97,28, AA+ 9.66% SEC. BAJAJ FINANCE LTD. NCDs 2019 ( ) 25,00,00, ,05,03, AA % BHARAT FORGE LTD ,46, ,16, LAA 10.90%SEC Bhushan Steel Limited ( ) 5,06,45, ,75,00, CAREBB 10.00% DEWAN HOUSING FINANCE CORPORATION NCDs 2017 ( ,95,25, ,23,99, BWRAAA 11% DEWAN HOUSING FINANCE CORPORATION LTD. NCDs 2021 ( ,00,00, ,51,39, BWRAAA 11.00% SEC DEWAN HOUSING FINANCE CORP.LTD. NCDs 2021 ( ,00,00, ,32,19, CAREAAA 11.00% SEC DEWAN HOUSING FINANCE CORPORATION LTD. NCDs ,00,00, ,11,52, CAREAAA 11.15% SEC DEWAN HOUSING FINANCE CORPORATION LTD. NCDs ,00,00, ,27,42, CAREAAA 10.75% SEC ELDER PHARMACEUTICALS LTD NCDs 2015 ( ) 2,08,33, ,08,33, CARED 11% SEC FUTURE CAPITAL HOLDINGS LTD. NCDs ( ) 60,00, ,26, CAREAA+
11 11%SEC FUTURE CAPITAL HOLDINGS LTD NCDs ( ) 80,00, ,81, CAREAA+ 9.35% GE SHIPPING BONDS ( ) 2,99,52, ,06,70, AAA 9.75% GREAT EASTERN SHIPPING COMPANY LTD. BONDS ( ) 1,21,86, ,24,42, CAREAAA 10.20% HDB Financial Services Limited ( ) 14,50,00, ,93,66, AAA 10.30%SEC HDB FINANCIAL SERVICES NCDs 2014 ( ) 5,00,00, ,00,47, CAREAAA 9.56% SECURED HDB FINANCIAL SERVICES LTD. NCDS 2019 ( ,00,00, ,05,19, AAA 9.10% HDFC BANK LTD.UNSECURED REDEEMABLE LOWER TIER-II DEB. 10,00,00, ,12,73, INDAAA 11.15% HDFC DEBENTURE 2018( ) 24,71,68, ,40,64, AAA 8.50% SEC. HOUSING DEVELOPMENT FINANCE CORPORATION NCDs ,21,36, ,94,06, AAA 8.90% SEC HOUSING DEVELOPMENT FINANCE CORPORATION NCD ,08,13, ,01,67, LAAA 8.98% SEC HOUSING DEVELOPMENT FINANCE CORP LTD NCDs 2020 (2 97,48, ,00,74, LAAA 9.20% HDFC SECURED REDEEMBLE NON CONVERTIBLE DEBENTURE 2018( 29,68,07, ,17,31, AAA 9.24% HDFC LTD SECURED REDEEMABLE NCD ,00,00, ,22,62, AAA 9.25% HDFC SECURED REDEEMBLE NON CONVERTIBLE DEBENTURE 2018( 24,98,19, ,43,14, AAA 9.30% HDFC SECURED REDEEMABLE NCDs 2017 ( ) 19,66,34, ,83,24, AAA 9.40% SECURED HDFC LTD. NCDS ( ) 13,50,00, ,82,01, AAA 9.50% SEC HOUSING DEVELOPMENT FINANCE CORPN. NCDs 2017 (13. 15,11,46, ,31,00, AAA 9.50% SEC HOUSING DEVELOPMENT FINANCE CORP. LTD. NCDs ,95,00, ,16,08, AAA 9.50% SEC. HDFC LTD. NCDs ( ) 10,10,59, ,35,81, AAA 9.60% UNSECURED RED. SUBORDINATED NCDs HDFC LTD.( ) 65,50,00, ,90,03, AAA 9.65% SEC HOUSING DEVELOPMENT FINANCE CORP. LTD. NCDs ,94,25, ,08,31, LAAA 9.70% HOUSING DEVELOPMENT FINANCE CORPORATION LTD> NCDs ,05,48, ,11,79, AAA
12 9.75%SEC HDFC NCDs 2016 ( ) 5,00,00, ,06,45, LAAA 9.90% SEC HDFC NCD 2021 ( ) 3,13,00, ,15,56, AAA 9.55% SEC Hindalco Industries Limited NCDs 2022 ( ,29,12, ,04,95, AA 9.55% SEC Hindalco Industries Limited NCDs 2022 ( ) 37,82,40, ,14,42, AA 10% SEC INDIABULLS HOUSING FINANCE LTD. NCD 2018 ( ,00,00, ,38,62, BWRAAA 10.50%SEC INDIABULLS FINANCIAL SERVICES NCDs 2017 ( ,05,21, ,09,13, BWRAAA 9.00% ICICI BANK LIMITED UNSEC.REDEEMABLE DEBENTURE 2018 (04 16,00,00, ,17,39, LAAA 9.15% ICICI BANK LIMITED UNSEC.REDEEMABLE DEBENTURE 2024 (06 39,00,00, ,37,09, LAAA 9.15% ICICI BANK LTD LOWER TIER II UNSECU REDEEM DEBENTURE 2 45,00,00, ,81,08, LAAA 9.25% ICICI BANK LIMITED UNSEC.REDEEMABLE DEBENTURE 2024 (04 78,00,00, ,23,27, CAREAAA 10.10%SEC INDIAN HOTELS LTD SECURED REDEEMABLE DEBENTURE ,20,10, ,32,42, LAA 10.50% SEC INDIABULLS HOUSING FINANCE LTD ( ) 10,12,09, ,39,78, BWRAAA 9.90% ING VYSYA BANK SUBORDINATED BONDS 2022 ( ) 40,05,25, ,85,74, AA 11.25% SEC JAIPRAKASH ASSOCIATES NCDs 2014 ( ). 4,01,60, ,00,57, CAREA 12.50% SEC JAIPRAKASH ASSOCIATES LTD. (APRIL) 2015 ( ,58,47, ,52,24, CAREA 12.50% SEC JAIPRAKASH ASSOCIATES LTD. DEBENTURES 2015 ( ,06,57, ,00,65, CAREA 10.75% SEC JINDAL SAW NCDs 2017 ( ). 10,20,83, ,34,48, CAREAA %SEC JINDAL SAW LTD. NCDs 2016 ( ) 10,16,27, ,23,23, CAREAA % SEC J. K. CEMENT LTD. NCDs 2020 ( ) 5,00,00, ,21,69, BWRAA % SECURED J.K.LAKSHMI CEMENT LTD ( ) 1,00,01, ,01,04, CAREAA % MAHINDRA & MAHINDRA FINANCIAL SERVICES LTD. NCDs ,50,00, ,63,57, INDAAA 9.25% M & M FINANCIAL SERVICES LTD NCDs 2018 ( ) 30,00,00, ,73,04, AA+ 9.85% MAHINDRA & MAHINDRA FINANCIL BONDS ,00,49, ,04,52, INDAAA 10.09% SEC MRF 2019 ( ) 2,70,00, ,79,44, LAA % SEC MRF LTD. NCDs 2020 ( ) 5,04,98, ,20,00, LAA+
13 10.20% PAREKH ALUMINEX LTD - STRPPS 2014 ( ). 60,00, ,00, CARED 10.20% PAREKH ALUMINEX LTD. - STRPPS 2015 ( ). 80,00, ,00, CARED 9.75% PAREKH ALUMINEX LTD. NCDs 2015 ( ). 1,49,95, ,49,95, CARED 9.75% PAREKH ALUMINEX LTD. NCDs 2015 ( ). 1,49,95, ,49,95, CARED 11.80% SEC PRISM CEMENT LTD. NCDs 2015 ( ) 8,90,00, ,98,35, LA % RELIANCE CAPITAL LTD F SERIES B-NCD 2022 ( ) 3,63,42, ,69,19, CAREAAA 10.15%SEC RELIANCE CAPITAL NCDs 2017 ( ) 25,00,00, ,58,76, CAREAAA 10.30%SEC RELIANCE CAPITAL LTD. NCDs 2017 ( ). 8,10,00, ,29,94, CAREAAA 10.40% SEC Reliance Capital Limited ,00,00, ,10,35, CAREAAA 10.40% SEC RELIANCE CAPITAL LTD. NCDs 2016 ( ) 3,00,00, ,04,61, CAREAAA 10.50% SEC RELIANCE CAPITAL LTD. NCDs 2018 ( ) 4,50,00, ,65,57, CAREAAA 10.75% RELIANCE CAPITAL LTD. SUBORDINATED NCDs TIER II (28.1 5,00,00, ,25,63, CAREAA+ 9.50% SEC RELIANCE CAPITAL LTD. NCDs 2015 ( ) 2,00,00, ,00,42, CAREAAA 9.60% SEC RELIANCE CAPITAL LTD. NCDs 2016 ( ) 5,00,00, ,01,43, CAREAAA 10.50% SEC RELIGARE FINVEST NCDs 2015 STRPPS ( ) 40,00, ,20, LAA % SEC RELIGARE FINVEST NCDs STRPP 2015 ( ) 30,00, ,11, LAA %SEC RELIGARE FINVEST LTD. NCDs 2016 ( ) 2,00,00, ,06,75, LAA- 8.75% SEC RELIANCE INDUSTRUES LTD NCDs 2020 ( )- 99,41, ,68, INDAAA 10.25% SHRIRAM TRANSPORT FINANCE COMPANY LTD NCDs 2015 (27.0 2,00,61, ,00,64, INDAA % SHRIRAM TRANSPORT FINANCE COMPANY LTD.( SEP) 2015 (29 3,86,00, ,02,90, INDAA % SECURED SHRIRAM TRANSPORT FINANCE COMPANY LTD NCDs 20 1,00,00, ,01,84, INDAA 10.85% SHRIRAM TRANSPORT FINANCE CO.LTD NCD 2022 ( ,00,00, ,28,37, CAREAA % SHRIRAM TRANSPORTFINANCE COMPANY LTD ( ) 6,08,78, ,34,41, INDAA % SHRIRAM TRANSPORT FINANCE COMPANY LTD. NCDs 2018 (29. 5,01,30, ,24,09, AA 9.10% SEC. STERLITE INDUSTRIES (INDIA) LTD. NCDs 2023 ( ,09,78, ,10,42, AA+
14 9.24% STERLITE INDUSTRIES LTD. NCDs 2022 ( ) 10,14,23, ,07,96, AA+ 9.40% SEC STERLITE INDUSTRIES SECURED NCDs 2022 ( ,00,00, ,02,40, AA+ 9.40% SEC. STERLITE INDUSTRIES LTD. NCDs 2022 ( ) 12,78,04, ,65,18, AA % SUNDARAM BNP PARIBAS HOME FINANCE LTD. NCDs 2022 (28. 12,00,00, ,61,97, LAA+ 9.30% SUNDARAM BNP PARIBAS HOME FINANCE NCDs 2018 ( ,00,00, ,21,12, CAREAA+ 9.65% SEC. SUNDARAM BNP PARIBAS HOME FINANCE LTD. NCDS ,00,00, ,47,63, CAREAA+ 9.70% SEC. SUNDARAM BNP PARIBAS HOME FINANCE LTD. NCDS ,50,00, ,66,97, CAREAA+ 9.70% SEC. SUNDARAM BNP PARIBAS HOME FINANCE LTD. NCDS ,00,00, ,22,92, CAREAA % SUNDARAM FINANCE LTD. NCDs 2021 ( ). 8,78,01, ,18,13, AA % Sundram Finance Limited 2022 ( ) 6,52,34, ,77,90, AA % SECURED SUNDARAM FINANCE LTD. NCDS 2018 ( ). 20,00,00, ,45,40, LAA+ 9.30% SUNDRAM FINANCE LIMITED NCDs 2018 ( ). 7,50,00, ,44,29, LAA+ 9.60% SECURED SUNDARAM FINANCE LTD. NCDS 2019 ( ) 23,00,00, ,99,26, AA+ 9.40% SECURED TATA CAPITAL FINANCIAL SERVICES NCDs2018 ( ,00,00, ,94,75, AA % TATA CHEMICALS BONDS ( ) 2,70,86, ,68,43, CAREAA % TATA MOTORS NCDs 2017 ( ) 14,99,44, ,34,19, CAREAA+ 8.32% UNSECURED TATA SONS LTD. NCDs 2023 ( ) 22,78,26, ,24,66, AAA 8.85% UNSEC. TATA SONS LTD. NCDs 2018 ( ) 4,79,22, ,03,11, AAA 8.85% UNSECURED TATA SONS LTD. NCDs 2023 ( ) 12,00,00, ,00,85, AAA 9.25% SEC. TATA SONS NCDs 2019 ( ) 50,62,50, ,93,63, AAA 9.30% SEC TATA SONS NCDs 2024 ( ) 8,00,00, ,25,42, AAA 9.40% TATA SONS LTD. SECURED REDEEMABLE NCDs 2027 ( ,25,09, ,59,83, AAA 9.44% SECURED REDEEMABLE TATA SONS NCDS( ) 30,00,00, ,20,73, AAA 9.54% Tata Sons Limited 2022 ( ) 29,82,50, ,12,12, AAA
15 9.71% TATA SONS LTD. SECURED REDEEMABLE NCDs 2023 ( ,80,00, ,48,70, AAA 9.74% SEC. TATA SONS NCDs 2024 ( ). 10,00,00, ,56,07, AAA 9.85% TATA SONS LTD. NCDs 2017 ( ). 10,00,00, ,26,46, AAA 9.87% TATA SONS NCDs 2017 ( ) 10,00,00, ,25,84, AAA 9.90% SECURED TATA SONS NCDs 2024 ( ). 15,00,00, ,00,69, AAA TATA STEEL BONDS-10.40% ( ). 1,77,50, ,75,88, AA 10.70% UNITED PHOSPHORUS LTD NCDs 2026 ( ) 20,07,20, ,49,45, BWRAA+ 9.95% UNITED PHOSPHORUS LTD.2020 ( ) 2,00,70, ,02,64, BWRAA % SEC UTAM GALVA STEELS NCDs ( ) 49,33, ,71, INDA % YES BANK UNSECURED LOWER TIER II REDEEMABLE DEBENTURE 5,03,14, ,26,62, LAA+ 9.30% YES BANK LOWER TIER II BONDS (30/04/2020) 1,00,00, ,00,71, LAA+ 9.65% YES BANK NON-CONVERTIBLE LOWER TIER II BONDS 2020 (22. 1,00,99, ,02,17, LAA+ 9.90% YES BANK LOWER TIER II SUBORDINATED BONDS 2022 ( ,54,76, ,36,12, CAREAA+ 9.90% YES BANK UNSECURED LOWER TIER II NCDs 2022 ( ,73,50, ,76,28, LAA+ 9.50% KOTAK MAHINDRA PRIME LTD SECURED REDEEMABLE NCD (24/06 25,00,00, ,95,86, AA+
16 9.55% KOTAK MAHINDRA PRIME LTD SECURED REDEEMABLE NCD (21/08 25,00,00, ,06,55, AAA 9.85% SECURED RED. NCDS FULLERTON INDIA CREDIT COMPANY LTD. 23,00,00, ,16,62, LAA+ 9.90% SECURED REDEEMABLE NCD FULLERTON INDIA CREDIT CO. LTD 12,50,00, ,62,93, LAA+ 9.65% SEC ADITYA BIRLA FINANCE LTD NCDS 2019 ( ) 25,00,00, ,03,56, LAA % SECURED APOLLO HOSPITALS ENTERPRISE LTD. NCDS 2028 (2 50,00,00, ,46,59, AA 10.15% TATA CAPITAL HOUSING FINANCE LTD UNSEC. TIER II NCDS 11,00,00, ,06,65, AA+ 9.60% SEC. RED. NCDS TATA CAPITAL HOUSING FINANCE LTD. ( ,00,00, ,29,38, AA+ Sub Total Debt Sub Total Bank Fixed Deposits (> 1 Year): AXISBANK 25,00,00, ,00,00, NA CITYUNIONBK 3,04,60, ,04,60, NA CITYUNIONBK 50,00,00, ,00,00, NA CITYUNIONBK 13,50,00, ,50,00, NA CITYUNIONBK 13,00,00, ,00,00, NA TAMILNADMREC 30,00,00, ,00,00, NA TAMILNADMREC 11,00,00, ,00,00, NA TAMILNADMREC 15,00,00, ,00,00, NA TAMILNADMREC 22,00,00, ,00,00, NA TAMILNADMREC 20,00,00, ,00,00, NA Sub Total Total (C) (D)Money Market Instruments: Liquid Funds: BIRLA SUN LIFE CASH PLUS- GROWTH-DIRECT PLAN 33,56,59, ,59,11, NA DSP BLACKROCK LIQUIDITY FUND 41,15,41, ,26,73, NA RELAINCE CASH PLAN GROWTH DIRECT 4,20,80, ,20,80, NA RELIANCE LIQUID FUND- TREASURY PLAN-DIRECT GROWTH 2,00,03, ,00,08, NA Sub Total Bank Fixed Deposits (< 1 Year): TAMILNADMREC 25,00,00, ,00,00, NA Sub Total Total (D)
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