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Annual Report for Fixed Maturity Schemes - Tata Mutual Fund

Annual Report for Fixed Maturity Schemes - Tata Mutual Fund

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<strong>Tata</strong> <strong>Fixed</strong> <strong>Maturity</strong> Plan Series 38 Scheme G<br />

Portfolio as at 31st March, 2012 Annexure 2<br />

Name of the Instrument Market/ Fair Value(Rs) % to NAV % to Category<br />

(I)<br />

COMMERCIAL PAPER<br />

Finance 199,518,721 25.66 100.00<br />

ICICI Securities Primary Dealership Ltd. 199,518,721<br />

TOTAL (COST : Rs. 195,187,200) 199,518,721 25.66 100.00<br />

(II)<br />

CERTIFICATE OF DEPOSIT<br />

Banks 573,745,881 73.78 100.00<br />

Syndicate Bank 229,525,989<br />

Ing Vysya Bank 229,521,000<br />

Axis Bank Ltd. 114,698,892<br />

TOTAL (COST : Rs. 563,930,580) 573,745,881 73.78 100.00<br />

(III) REVERSE REPO INVESTMENT 3,876,730 0.50 100.00<br />

TOTAL INVESTMENT (COST : Rs. 762,994,510) (I+II+III) 777,141,332 99.94 100.00<br />

NET CURRENT ASSETS (NET OF ACCUMULATED LOAD) 500,148 0.06<br />

NET ASSETS (NET OF ACCUMULATED LOAD) 777,641,480 100.00<br />

All securities are Non Traded.

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