18.11.2014 Views

Annual Report for Fixed Maturity Schemes - Tata Mutual Fund

Annual Report for Fixed Maturity Schemes - Tata Mutual Fund

Annual Report for Fixed Maturity Schemes - Tata Mutual Fund

SHOW MORE
SHOW LESS

You also want an ePaper? Increase the reach of your titles

YUMPU automatically turns print PDFs into web optimized ePapers that Google loves.

C. Notes attached to and <strong>for</strong>ming part of the financial statements <strong>for</strong> the period ended 31st March, 2012.<br />

1.<br />

2.<br />

The aggregate value of purchases and sales ( including redemptions ) of investments <strong>for</strong> the period ended 31st March, 2012 expressed<br />

as a percentage of average daily net assets is as under :<br />

Period Ended<br />

31-Mar-12<br />

Particulars<br />

Value*<br />

%<br />

Rs.<br />

Aggregate value of Purchases<br />

1,639,121,160 155.12<br />

Aggregate value of Sales (including redemptions ) 590,050,812 55.84<br />

* The amounts do not include CBLO and Reverse Repo transactions.<br />

Investments made by the schemes of <strong>Tata</strong> <strong>Mutual</strong> <strong>Fund</strong> in companies or their subsidiaries (to the extent of in<strong>for</strong>mation available) that<br />

have invested more than 5% of the net assets of any scheme of the fund, in terms of Regulation 25 (11) (Refer Annexure 1).<br />

3. Statement of Portfolio with industry wise classification as at 31 st March, 2012 (Refer Annexure 2).<br />

4.<br />

5.<br />

Amount receivable from the Investment Manager Rs.13,399/- is included under “Others receivables” in “Other Current Assets”.<br />

In accordance with the SEBI Regulations, Management Fees and Trusteeship Fees are paid as per the table below :<br />

Management Fees<br />

Dates<br />

% of Daily Net<br />

Asset<br />

From<br />

To<br />

22-Mar-12 31-Mar-12 0.1000<br />

and Trusteeship Fees are paid as per the table below:<br />

Trusteeship Fees<br />

Dates<br />

% of Daily Net<br />

Asset<br />

From<br />

To<br />

22-Mar-12 31-Mar-12 0.0100<br />

6. Contingent liabilities as at 31 st March, 2012 are Rs.Nil.<br />

7. Net Asset Value Per Unit (Rs.) :<br />

Particulars<br />

Face Value (Rs.)<br />

As at 31-Mar-12<br />

10<br />

PERIODIC DIVIDEND 10.0695<br />

Net Asset Value (Rs.)<br />

GROWTH 10.0695

Hooray! Your file is uploaded and ready to be published.

Saved successfully!

Ooh no, something went wrong!