FORM NL-28 - PART B |
Suraksha, 170, J. Tata Road, Churchgate, Mumbai - 400 020, INDIA |
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Rs. in Crs. |
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IRDA Code |
BAP Code |
Serial No |
Category of Investment |
Opening BV |
Opening BV % |
Net Accr BV |
Net Accr BV % |
Closing BV |
Closing BV % |
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1 |
Central Govt. Sec |
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CGSB |
100001 |
A01 |
CENTRAL GOVERNMENT BONDS |
9,584.15 |
22.91 |
1,050.49 |
39.6 |
10,634.63 |
23.9 |
CSPD |
100002 |
A02 |
SPECIAL DEPOSITS |
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CDSS |
100003 |
A03 |
DEPOSIT UNDER SECTION 7 OF INSURANCE ACT, 1938 |
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CTRB |
100004 |
A04 |
TREASURY BILLS |
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Total (1) |
9,584.15 |
22.91 |
1,050.49 |
39.6 |
10,634.63 |
23.9 |
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2 |
Central Govt. Sec or Other Approved Sec/ |
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CGSL |
100005 |
B01 |
CENTRAL GOVERNMENT GUARANTEED LOANS / BONDS |
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SGGB |
100006 |
B02 |
STATE GOVERNMENT BONDS |
5,329.47 |
12.74 |
103.05 |
3.88 |
5,432.52 |
12.21 |
SGGL |
100007 |
B03 |
STATE GOVERNMENT GUARANTEED LOANS |
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SGOA |
100008 |
B04 |
OTHER APPROVED SECURITIES (EXCLUDING INFR |
357.69 |
0.85 |
-11.47 |
-0.43 |
346.22 |
0.78 |
SGGE |
100009 |
B05 |
GUARANTEED EQUITY |
0.05 |
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0.05 |
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Total (1+2) |
15,271.36 |
36.5 |
1,142.06 |
43.05 |
16,413.42 |
36.89 |
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3 |
Investments subject to Expsoure Norms |
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- |
(a)Housing & Loans to State Govt for Housing / FFE |
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- |
1. Approved Investments |
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HLSH |
100010 |
C01 |
LOANS TO STATE GOVERNMENT FOR HOUSING |
235.20 |
0.56 |
-1.01 |
-0.04 |
234.18 |
0.53 |
HLSF |
100011 |
C02 |
LOANS TO STATE GOVERNMENT FOR FIRE FIGHTING |
2.48 |
0.01 |
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0 |
2.48 |
0.01 |
HTLH |
100012 |
C03 |
TERM LOAN - HUDCO / NHB / |
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HTLN |
100013 |
C04 |
COMMERCIAL PAPERS - NHB |
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HMBS |
100014 |
C05 |
HOUSING - SECURITISED ASSETS |
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HDPG |
100095 |
C06 |
DEBENTURES / BONDS / CPS / LOANS - (P GROUP) |
20.00 |
0.05 |
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0 |
20.00 |
0.04 |
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- |
Taxable Bonds |
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HTHD |
100015 |
C07 |
BONDS / DEBENTURES ISSUED BY HUDCO |
50.00 |
0.12 |
30.00 |
1.13 |
80.00 |
0.18 |
HTDN |
100016 |
C08 |
BONDS / DEBENTURES ISSUED BY NHB |
2,753.99 |
6.58 |
88.91 |
3.35 |
2,842.90 |
6.39 |
HTDA |
100017 |
C09 |
BONDS / DEBENTURES ISSUED BY AUTHORITY |
999.46 |
2.39 |
49.94 |
1.88 |
1,049.40 |
2.36 |
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- |
Tax Free Bonds |
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HFHD |
100018 |
C10 |
BONDS / DEBENTURES ISSUED BY HUDCO |
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HFDN |
100019 |
C11 |
BONDS / DEBENTURES ISSUED BY NHB / INSTITUTIONS ACCREDITEDBY NHB |
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HFDA |
100020 |
C12 |
BONDS / DEBENTURES ISSUED BY AUTHORITY CONSTITUTED UNDER ANY HOUSING / BUILDING SCHEME APPROVED BY CENTRAL / STATE / ANY AUTHORI |
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- |
2. Other Investments |
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HODS |
100021 |
C13 |
DEBENTURES / BONDS / CPS / LOANS |
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HOMB |
100096 |
C14 |
HOUSING - SECURITISED ASSETS |
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HOPG |
100097 |
C15 |
DEBENTURES / BONDS / CPS / LOANS - (PROMOTER |
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Total 3(a) |
4,061.13 |
9.71 |
167.83 |
6.33 |
4,228.95 |
9.51 |
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(b)Infrastructure Investments |
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- |
1. Approved Investments |
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ISAS |
100022 |
D01 |
INFRASTRUCTURE - OTHER APPROVED SECURITIES |
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ITPE |
100023 |
D02 |
INFRASTRUCTURE - PSU - EQUITY SHARES - QUOTED |
476.25 |
1.14 |
-13.52 |
-0.51 |
462.73 |
1.04 |
ITCE |
100024 |
D03 |
INFRASTRUCTURE - CORPORATE SECURITIES - EQUITY SHARES-QUOTED |
232.07 |
0.55 |
-24.02 |
-0.91 |
208.05 |
0.47 |
IEPG |
100025 |
D04 |
INFRASTRUCTURE - EQUITY AND EQUITY RELATED INSTRUMENTS (PROMOTER GROUP) |
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IESA |
100026 |
D05 |
INFRASTRUCTURE - SECURITISED ASSETS |
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IDPG |
100027 |
D06 |
INFRASTRUCTURE - DEBENTURES / BONDS / CPS / LOANS - (PROMOTER GROUP) |
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IDDF |
100098 |
D07 |
INFRASTRUCTURE - INFRASTRUCTURE DEVELOPMENT FUND (IDF) |
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- |
Taxable Bonds |
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IPTD |
100028 |
D08 |
INFRASTRUCTURE - PSU - DEBENTURES / BONDS |
2,274.82 |
5.44 |
42.41 |
1.6 |
2,317.23 |
5.21 |
IPCP |
100029 |
D09 |
INFRASTRUCTURE - PSU - CPS |
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ICTD |
100030 |
D10 |
INFRASTRUCTURE - OTHER CORPORATE SECURITIES - DEBENTURES/ BONDS |
1,276.37 |
3.05 |
79.49 |
3 |
1,355.87 |
3.05 |
ICCP |
100031 |
D11 |
INFRASTRUCTURE - OTHER CORPORATE SECURITIES - CPS |
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ILWC |
100032 |
D12 |
INFRASTRUCTURE - TERM LOANS (WITH CHARGE) |
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- |
Tax Free Bonds |
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IPFD |
100033 |
D13 |
INFRASTRUCTURE - PSU - DEBENTURES / BONDS |
17.06 |
0.04 |
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17.06 |
0.04 |
ICFD |
100034 |
D14 |
INFRASTRUCTURE - OTHER CORPORATE SECURITIES - DEBENTURES/ BONDS |
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- |
2. Other Investments |
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IOEQ |
100099 |
D15 |
INFRASTRUCTURE - EQUITY (INCLUDING UNLISTED) |
83.94 |
0.2 |
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83.94 |
0.19 |
IODS |
100100 |
D16 |
INFRASTRUCTURE - DEBENTURES / BONDS / CPS / LOANS |
330.01 |
0.79 |
-10.00 |
-0.38 |
320.01 |
0.72 |
IOSA |
100101 |
D17 |
INFRASTRUCTURE - SECURITISED ASSETS |
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IOPE |
100102 |
D18 |
INFRASTRUCTURE - EQUITY (PROMOTER GROUP) |
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IOPD |
100103 |
D19 |
INFRASTRUCTURE - DEBENTURES / BONDS / CPS / LOANS - (PROMOTER GROUP) |
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Total 3(b) |
4,690.52 |
11.21 |
74.35 |
2.8 |
4,764.88 |
10.71 |
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(c)Approved Investments |
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EAEQ |
100035 |
E01 |
PSU - EQUITY SHARES - QUOTED |
2,483.13 |
5.94 |
1,203.14 |
45.35 |
3,686.27 |
8.29 |
EACE |
100036 |
E02 |
CORPORATE SECURITIES - EQUITY SHARES (ORDINARY)- QUOTED |
4,432.13 |
10.59 |
53.43 |
2.01 |
4,485.56 |
10.08 |
EFES |
100037 |
E03 |
EQUITY SHARES - COMPANIES INCORPORATED OUTSIDE INDIA (INVESTED PRIOR TO IRDA REGULATIONS) |
213.61 |
0.51 |
311.36 |
11.74 |
524.97 |
1.18 |
EEPG |
100038 |
E04 |
EQUITY SHARES (INCL. EQUITY RELATED INSTRUMENTS) - PROMOTER GROUP |
99.34 |
0.24 |
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99.34 |
0.22 |
EPBT |
100039 |
E05 |
CORPORATE SECURITIES - BONDS - (TAXABLE) |
223.68 |
0.53 |
-0.06 |
0 |
223.62 |
0.5 |
EPBF |
100040 |
E06 |
CORPORATE SECURITIES - BONDS - (TAX FREE) |
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EPNQ |
100041 |
E07 |
CORPORATE SECURITIES - PREFERENCE SHARES |
3.96 |
0.01 |
-0.92 |
-0.03 |
3.04 |
0.01 |
ECIS |
100042 |
E08 |
CORPORATE SECURITIES - INVESTMENT IN SUBSIDIARIES |
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ECOS |
100043 |
E09 |
CORPORATE SECURITIES - DEBENTURES |
2,860.49 |
6.84 |
-7.32 |
-0.28 |
2,853.18 |
6.41 |
EDPG |
100044 |
E10 |
CORPORATE SECURITIES - DEBENTURES / BONDS/ CPS /LOAN - (PROMOTER GROUP) |
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ECDI |
100045 |
E11 |
CORPORATE SECURITIES - DERIVATIVE INSTRUMENTS |
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EMUN |
100104 |
E12 |
MUNICIPAL BONDS - RATED |
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EINP |
100046 |
E13 |
INVESTMENT PROPERTIES - IMMOVABLE |
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ELPL |
100047 |
E14 |
LOANS - POLICY LOANS |
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ELMI |
100048 |
E15 |
LOANS - SECURED LOANS - MORTGAGE OF PROPERTY IN INDIA (TERM LOAN) |
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ELMO |
100049 |
E16 |
LOANS - SECURED LOANS - MORTGAGE OF PROPERTY OUTSIDE INDIA(TERM LOAN) |
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ECDB |
100050 |
E17 |
DEPOSITS - DEPOSIT WITH SCHEDULED BANKS, FIS (INCL. BANK BALANCE AWAITING INVESTMENT), CCIL, RBI |
1,860.07 |
4.45 |
28.47 |
1.07 |
1,888.54 |
4.24 |
EDCD |
100051 |
E18 |
DEPOSITS - CDS WITH SCHEDULED BANKS |
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ECMR |
100052 |
E19 |
DEPOSITS - REPO / REVERSE REPO - GOVT SECURITIES |
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ECCR |
100105 |
E20 |
DEPOSITS - REPO / REVERSE REPO - CORPORATE SECURITIES |
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EDPD |
100053 |
E21 |
DEPOSIT WITH PRIMARY DEALERS DULY RECOGNISED BY RESERVE BANK OF INDIA |
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ECBO |
100054 |
E22 |
CCIL - CBLO |
2,450.84 |
5.86 |
111.72 |
4.21 |
2,562.57 |
5.76 |
ECCP |
100055 |
E23 |
COMMERCIAL PAPERS |
41.96 |
0.1 |
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41.96 |
0.09 |
ECAM |
100056 |
E24 |
APPLICATION MONEY |
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EUPD |
100057 |
E25 |
PERPETUAL DEBT INSTRUMENTS OF TIER I & II CAPITAL ISSUED BY PSU BANKS |
18.00 |
0.04 |
-8.00 |
-0.3 |
10.00 |
0.02 |
EPPD |
100058 |
E26 |
PERPETUAL DEBT INSTRUMENTS OF TIER I & II CAPITAL ISSUED BY NON-PSU BANKS |
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EUPS |
100059 |
E27 |
PERPETUAL NON-CUM. P.SHARES & REDEEMABLE CUMULATIVE P.SHARES OF TIER 1 & 2 CAPITAL ISSUED BY PSU BANKS |
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EPPS |
100060 |
E28 |
PERPETUAL NON-CUM. P.SHARES & REDEEMABLE CUMULATIVE P.SHARES OF TIER 1 & 2 CAPITAL ISSUED BY NON-PSU BANKS |
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EFDS |
100061 |
E29 |
FOREIGN DEBT SECURITIES (INVESTED PRIOR TO IRDA REGULATIONS) |
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EGMF |
100062 |
E30 |
MUTUAL FUNDS - GILT / G SEC / LIQUID SCHEMES |
1,708.68 |
4.08 |
-379.69 |
-14.31 |
1,328.98 |
2.99 |
EMPG |
100063 |
E31 |
MUTUAL FUNDS - (UNDER INSURER'S PROMOTER GROUP) |
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ENCA |
100064 |
E32 |
NET CURRENT ASSETS (ONLY IN RESPECT OF ULIP BUSINESS) |
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EETP |
100116 |
E33 |
PASSIVELY MANAGED EQUITY ETF (PROMOTER GROUP) |
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EETF |
100115 |
E34 |
PASSIVELY MANAGED EQUITY ETF (NON PROMOTER GROUP) |
92.89 |
0.22 |
-0.89 |
-0.03 |
92.00 |
0.21 |
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Total 3(c) |
16,488.79 |
39.41 |
1,311.23 |
49.42 |
17,800.01 |
40.01 |
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(d)Other Investments |
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OBPT |
100065 |
F01 |
BONDS - PSU - TAXABLE |
225.06 |
0.54 |
-0.02 |
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225.04 |
0.51 |
OBPF |
100066 |
F02 |
BONDS - PSU - TAX FREE |
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OESH |
100067 |
F03 |
EQUITY SHARES (INCL CO-OP SOCIETIES) |
503.01 |
1.2 |
-24.79 |
-0.93 |
478.22 |
1.07 |
OEPU |
100068 |
F04 |
EQUITY SHARES (PSUS & UNLISTED) |
113.83 |
0.27 |
-3.03 |
-0.11 |
110.80 |
0.25 |
OEPG |
100069 |
F05 |
EQUITY SHARES (INCL. EQUITY RELATED INSTRUMENTS) - PROMOTER GROUP |
0.00 |
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0.00 |
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OLDB |
100070 |
F06 |
DEBENTURES |
265.52 |
0.63 |
-11.36 |
-0.43 |
254.15 |
0.57 |
ODPG |
100071 |
F07 |
DEBENTURES / BONDS/ CPS / LOANS ETC. - (PROMOTER GROUP) |
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OMUN |
100106 |
F08 |
MUNICIPAL BONDS |
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OACP |
100072 |
F09 |
COMMERCIAL PAPERS |
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OPSH |
100073 |
F10 |
PREFERENCE SHARES |
4.46 |
0.01 |
0.00 |
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4.45 |
0.01 |
OVNF |
100074 |
F11 |
VENTURE FUND |
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OAFA |
100107 |
F11A |
VENTURE FUND - TIER I |
151.90 |
0.36 |
-3.23 |
-0.12 |
148.67 |
0.33 |
OAFB |
100108 |
F11B |
VENTURE FUND - TIER II |
16.78 |
0.04 |
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16.78 |
0.04 |
OSLU |
100075 |
F12 |
SHORT TERM LOANS (UNSECURED DEPOSITS) |
6.84 |
0.02 |
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6.84 |
0.02 |
OTLW |
100076 |
F13 |
TERM LOANS (WITHOUT CHARGE) |
37.96 |
0.09 |
-0.03 |
0 |
37.92 |
0.09 |
OMGS |
100077 |
F14 |
MUTUAL FUNDS - DEBT / INCOME / SERIAL PLANS / LIQUID SCHEMES |
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OMPG |
100078 |
F15 |
MUTUAL FUNDS - (UNDER INSURER'S PROMOTER GROUP) |
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OCDI |
100079 |
F16 |
DERIVATIVE INSTRUMENTS |
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OPSA |
100080 |
F17 |
SECURITISED ASSETS |
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OIPI |
100081 |
F18 |
INVESTMENT PROPERTIES - IMMOVABLE |
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OETP |
100118 |
F19 |
PASSIVELY MANAGED EQUITY ETF (PROMOTER GROUP) |
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OETF |
100117 |
F20 |
PASSIVELY MANAGED EQUITY ETF (NON PROMOTER GROUP) |
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ORAD |
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F21 |
RECLASSIFIED APPPROVED INVESTMENT(DEBT) |
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ORAE |
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F22 |
RECLASSIFIED APPROVED INVESTMENT (EQUITY) |
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Total 3(d) |
1,325.35 |
3.17 |
-42.46 |
-1.6 |
1,282.89 |
2.88 |
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Total 3(a+b+c+d) |
26,565.78 |
63.5 |
1,510.95 |
56.95 |
28,076.73 |
63.11 |
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|
Total (1+2+3) |
41,837.14 |
100 |
2,653.01 |
100 |
44,490.15 |
100 |
Certification: |
Certified that the information given herein are correct, complete and nothing has been concealed or suppressed, to the best of my knowledge and belief. |