13.07.2015 Views

in a Dynamic Environment - Domain-b

in a Dynamic Environment - Domain-b

in a Dynamic Environment - Domain-b

SHOW MORE
SHOW LESS
  • No tags were found...

Create successful ePaper yourself

Turn your PDF publications into a flip-book with our unique Google optimized e-Paper software.

Schedules form<strong>in</strong>g part of the Balance SheetSCHEDULE G (Contd.)(4) Investment <strong>in</strong> Mutual FundsName of Mutual Fund Balance Purchases Sold BalanceAs at 01-04-2008 dur<strong>in</strong>g the year dur<strong>in</strong>g the year As at 31-03-2009No. of Rs. <strong>in</strong> No. of Rs. <strong>in</strong> No. of Rs. <strong>in</strong> No. of Rs. <strong>in</strong>Units Crores Units Crores Units Crores Units CroresHDFC Float<strong>in</strong>g Rate IncomeFund - Short Term Plan -Wholesale Option - DividendRe<strong>in</strong>vestment - Daily* ,Option : Re<strong>in</strong>vest - - 373525132 376.55 373525132 376.55 - -HDFC Liquid Fund -Premium Plan - Growth - - 227622183 400.35 170879765 300.55 56742418 99.80HDFC Liquid Fund - PremiumPlus Plan - Dividend *,Option : Re<strong>in</strong>vest - - 98319300 122.15 98319300 122.15 - -HDFC Liquid Fund Premium Plan -Dividend - Daily Re<strong>in</strong>vest *,Option : Re<strong>in</strong>vest - - 314660768 385.77 314660768 385.77 - -HSBC Cash Fund - InstitutionalPlus - Daily Dividend - - 49990765 50.02 49990765 50.02 - -HSBC Fixed Term Series 22 10000000 10.00 - - 10000000 10.00 - -HSBC Fixed Term Series - 44Institutional Growth 10000000 10.00 - - - - 10000000 10.00HSBC Flexi Debt Fund -Institutional FortnightlyDividend 9958644 10.00 97224 0.10 10055868 10.10 - -HSBC Interval Fund - Plan -1 -Institutional Dividend 20135059 20.14 268970 0.27 20404029 20.41 - -HSBC Liquid Plus-InstitutionalPlus - Daily Dividend - - 38148953 38.20 38148953 38.20 - -ICICI Prudential - FlexibleIncome Plan Dividend - Daily -Re<strong>in</strong>vest Dividend - - 226221960 239.20 226221960 239.20 - -ICICI Prudential Fixed MaturityPlan Series 38 - One Year Plan D -Institutional Dividend -Re<strong>in</strong>vestment Dividend 10000000 10.00 - - 10000000 10.00 - -ICICI Prudential Fixed MaturityPlan Series 39 - Six Months PlanA Retail Dividend-Pay Dividend 11500000 11.50 - - 11500000 11.50 - -ICICI Prudential Fixed MaturityPlan Series 42 - Thirteen MonthsPlan B Institutional Dividend -Re<strong>in</strong>vestment Dividend 10000000 10.00 - - 10000000 10.00 - -ICICI Prudential Fixed MaturityPlan Series 43 - Thirteen MonthsPlan D Retail Growth 10000000 10.00 - - - - 10000000 10.00ICICI Prudential Fixed MaturityPlan Series 44 - 3 Months Plan ARetail Dividend - Pay Dividend - - 35000000 35.00 35000000 35.00 - -ICICI Prudential Float<strong>in</strong>g RatePlan D - Daily Dividend -Re<strong>in</strong>vest Dividend - - 120231298 120.26 120231298 120.26 - -ICICI Prudential Float<strong>in</strong>g RatePlan D - Growth - - 69446976 90.13 69446976 90.13 - -ICICI Prudential InstitutionalLiquid Plan - Super InstitutionalDaily Div - Re<strong>in</strong>vest Dividend - - 1298482866 1298.55 1298482866 1298.55 - -117

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

Saved successfully!

Ooh no, something went wrong!