Discovery
Discovery
FEBRUARY 2025
Individual Fund Fact Sheet
Fund Name SFIN Page No
Balanced Managed Fund - Life ULIF00402/01/04BalancedMF101 4
Balanced Managed Fund - Pension ULIF01102/01/04BalancedMF101 5
Defensive Managed Fund - Life ULIF00302/01/04DefensiveF101 6
Defensive Managed Fund - Pension ULIF01002/01/04DefensiveF101 7
Growth Fund - Life ULIF00502/01/04GrowthFund101 8
Growth Fund - Pension ULIF01202/01/04GrowthFund101 9
Liquid Fund - Life ULIF00102/01/04LiquidFund101 10
Liquid Fund - Pension ULIF00802/01/04LiquidFund101 11
Secured Managed Fund - Life ULIF00202/01/04SecureMgtF101 12
Secured Managed Fund - Pension ULIF00902/01/04SecureMgtF101 13
Equity Managed Fund - Life ULIF00616/01/06EquityMgFd101 14
Equity Managed Fund - Pension ULIF01316/01/06EquityMgFd101 15
Stable Managed Fund - Life ULIF00720/06/07StableMgFd101 16
Stable Managed Fund - Pension ULIF01420/06/07StableMgFd101 17
Balanced Managed Fund - Life - II ULIF01920/02/08BalncdMFII101 18
Defensive Managed Fund - Life - II ULIF01820/02/08DefnsvFdII101 19
Equity Managed Fund - Life - II ULIF02020/02/08EquityMFII101 20
Growth Fund - Life - II ULIF02120/02/08GrwthFndII101 21
Liquid Fund - Life - II ULIF01520/02/08LiquidFdII101 22
Secured Managed Fund - Life - II ULIF01720/02/08SecureMFII101 23
Stable Managed Fund - Life - II ULIF01620/02/08StableMFII101 24
Bond Opportunities Fund ULIF03004/08/08BondOprtFd101 25
Large Cap Fund ULIF03204/08/08Large-CapF101 26
Manager's Fund ULIF03304/08/08ManagerFnd101 27
Mid Cap Fund ULIF03104/08/08Mid-capFnd101 28
Money Plus Fund ULIF02904/08/08MoneyPlusF101 29
Balanced Managed Fund - Pension - II ULIF02608/10/08BalncdMFII101 30
Defensive Managed Fund - Pension - II ULIF02508/10/08DefnsvFdII101 31
Equity Managed Fund - Pension - II ULIF02708/10/08EquityMFII101 32
Growth Fund - Pension - II ULIF02808/10/08GrwthFndII101 33
Liquid Fund - Pension - II ULIF02208/10/08LiquidFdII101 34
Secured Managed Fund - Pension - II ULIF02408/10/08SecureMFII101 35
Stable Managed Fund -Pension - II ULIF02308/10/08StableMFII101 36
BlueChip Fund ULIF03501/01/10BlueChipFd101 37
Income Fund ULIF03401/01/10IncomeFund101 38
Opportunities Fund ULIF03601/01/10OpprtntyFd101 39
Vantage Fund ULIF03701/01/10VantageFnd101 40
Balanced Fund ULIF03901/09/10BalancedFd101 41
Highest Nav Guarentee Fund ULIF04001/09/10HighestNAV101 42
Short Term Fund ULIF03801/09/10ShortTrmFd101 43
Pension Super Plus Fund - 2012 ULIF04818/06/12PenSuPls12101 44
Equity Plus Fund ULIF05301/08/13EquityPlus101 45
Diversified Equity Fund ULIF05501/08/13DivrEqtyFd101 46
Bond Fund ULIF05601/08/13Bond Funds101 47
Conservative Fund ULIF05801/08/13ConsertvFd101 48
Pension Income Fund ULIF06101/04/14PenIncFund101 49
Pension Equity Plus Fund ULIF06001/04/14PenEqPlsFd101 50
Fund objective : To generate long term capital appreciation along with current income from a combined portfolio of equity and debt market instruments. The equity
AUM (` in Lakhs)
NAV : 196.9727
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Hybrid Fund
Period Returns (%) Benchmark Returns Mr Kailash Lalwani 6 14 20
Inception 11.16% 9.39% Mr Abhishek Agarwal - 1 22
10 Years 8.75% 8.58%
7 Years 9.09% 9.22% Asset Category F&U Mandate % of Actual
5 Years 10.57% 10.39% Money Market Insts 0% to 5% 2.92%
3 Years 8.08% 8.25% Public Deposits 0% to 15% 0.00%
2 Years 10.53% 11.02% Govt. Securities
20% to 70% 52.62%
1 Year 4.81% 4.43% Corporate Bonds
6 Months -4.97% -4.49% Equity 30% to 60% 43.10%
1 Month -3.01% -2.91% Net Current Assets - 1.36%
#45% BSE -100 55% CRISIL Composite Bond Fund Index
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Electricity,Gas & AC Supply 1.28%
Telecommunications 1.47%
Equity % to Fund Mfg of Chemical Products 1.56%
HDFC Bank Limited 5.28% Mfg of Pharmaceuticals 1.81%
ICICI Bank Limited 3.60%
Mfg of Motor Vehicles 2.09%
Reliance Industries Limited 2.88%
Civil Engineering 2.33%
Infosys Limited 2.66%
Mfg of Coke &Refined Petroleum 3.13%
Axis Bank Limited 1.47%
Computer Programming 5.43%
Larsen & Toubro Limited 1.41%
Financial Service Activities 23.54%
ITC Limited 1.28%
Tata Consultancy Services Limited Government Securities 42.45%
1.17%
State Bank of India 0.91% Others 14.89%
Total 42.45%
Debt Parameters
Portfolio Yield (%) 7.03%
Avg Maturity (In Months) 187.72
Modified Duration (In Years) 7.38
Balanced Managed Fund - Pension as on February 28, 2025
Fund objective : To generate long term capital appreciation along with current income from a combined portfolio of equity and debt market instruments. The equity
AUM (` in Lakhs)
NAV : 194.7949
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Hybrid Fund
Period Returns (%) Benchmark Returns Mr Kailash Lalwani 6 14 20
Inception 11.10% 9.39% Mr Abhishek Agarwal - 1 22
10 Years 9.05% 8.58%
7 Years 9.05% 9.22% Asset Category F&U Mandate % of Actual
5 Years 10.63% 10.39% Money Market Insts 0% to 5% 2.06%
3 Years 8.10% 8.25% Public Deposits 0% to 15% 0.00%
2 Years 10.48% 11.02% Govt. Securities
20% to 70% 53.25%
1 Year 4.85% 4.43% Corporate Bonds
6 Months -5.00% -4.49% Equity 30% to 60% 43.33%
1 Month -3.05% -2.91% Net Current Assets - 1.36%
#45% BSE -100 55% CRISIL Composite Bond Fund Index
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Electricity,Gas & AC Supply 1.46%
Telecommunications 1.48%
Equity % to Fund
Mfg of Chemical Products 1.57%
HDFC Bank Limited 5.29%
Mfg of Pharmaceuticals 1.83%
ICICI Bank Limited 3.63%
Reliance Industries Limited 2.89% Mfg of Motor Vehicles 2.11%
Debentures/Bonds % to Fund
HDFC Bank Ltd 4.47%
Debt Rating Profile
Mahindra and Mahindra Financial Services Ltd 1.11%
Larsen & Toubro Ltd 0.91% 16.62%
83.38%
Total 8.85%
Total 44.40%
Debt Parameters
Portfolio Yield (%) 7.03%
Avg Maturity (In Months) 196.25
Modified Duration (In Years) 7.65
Defensive Managed Fund - Life as on February 28, 2025
Fund objective : To enhance long term returns for a portfolio predominantly invested in fixed income securities by taking a moderate to medium exposure to equity
and equity related securities. The equity exposure will be between 15%-30%.
AUM (` in Lakhs)
NAV : 135.7639
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Hybrid Fund
Period Returns (%) Benchmark Returns Mr Kailash Lalwani 6 14 20
Inception 9.31% 8.10% Mr Abhishek Agarwal - 1 22
10 Years 8.23% 8.06%
7 Years 8.27% 8.37% Asset Category F&U Mandate % of Actual
5 Years 8.33% 8.39% Money Market Insts 0% to 5% 4.21%
3 Years 7.00% 7.34% Public Deposits 0% to 15% 0.00%
2 Years 9.15% 9.62% Govt. Securities
50% to 85% 72.41%
1 Year 6.11% 6.15% Corporate Bonds
6 Months -1.11% -0.58% Equity 15% to 30% 21.58%
1 Month -1.60% -1.37% Net Current Assets - 1.80%
#22.5% BSE -100 77.5% CRISIL Composite Bond Fund Index
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Telecommunications 0.74%
Total 21.58%
Debt Maturity Profile
Debentures/Bonds % to Fund
Mankind Pharma Limited 5.29%
100.00%
HDFC Bank Ltd 4.05% 90.00%
Mahindra and Mahindra Financial Services Ltd 1.26% 80.00%
Larsen & Toubro Ltd 1.22% 70.00%
60.00%
LIC Housing Finance Ltd 1.04% 48.49%
50.00%
State Bank of India 0.62% 40.00% 32.76%
HDB Financial Services Ltd 0.53% 30.00%
NHPC Ltd 0.50% 20.00% 13.25%
10.00%
International Finance Corporation 0.35% 5.50%
0.00%
Nuclear Power Corporation of India Ltd 0.26% 0 - 1 Yr 1 - 3 Yrs 3 - 10 Yrs Above 10 Yrs
Others 0.25%
13.94%
Government Securities % to Fund
7.34% GOI Mat 22-Apr-2064 14.16%
7.30%
7.23% GOI Mat 15-Apr-2039 7.55%
7.30% GOI Mat 19-Jun-2053 7.03% Sovereign
7.10% GOI Mat 08-Apr-2034 4.89% AA+
6.79% GOI Mat 30-Dec-2031 3.43% AAA
7.09% GOI Mat 05-Aug-2054 2.23%
7.18% GOI Mat 24-Jul-2037 2.02%
6.45% GOI Mat 07-Oct-2029 1.80%
78.75%
6.92% GOI Mat 18-Nov-2039 1.58%
7.18% GOI Mat 14-Aug-2033 1.34%
Others 11.00%
Total 57.03%
Debt Parameters
Portfolio Yield (%) 7.07%
Avg Maturity (In Months) 191.17
Modified Duration (In Years) 7.39
Defensive Managed Fund - Pension as on February 28, 2025
Fund objective : To enhance long term returns for a portfolio predominantly invested in fixed income securities by taking a moderate to medium exposure to
equity and equity related securities. The equity exposure will be between 15%-30%.
AUM (` in Lakhs)
NAV : 122.584
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Hybrid Fund
Period Returns (%) Benchmark Returns Mr Kailash Lalwani 6 14 20
Inception 8.78% 8.10% Mr Abhishek Agarwal - 1 22
10 Years 8.21% 8.06%
7 Years 8.17% 8.37% Asset Category F&U Mandate % of Actual
5 Years 8.27% 8.39% Money Market Insts 0% to 5% 4.77%
3 Years 6.91% 7.34% Public Deposits 0% to 15% 0.00%
2 Years 9.19% 9.62% Govt. Securities
50% to 85% 71.41%
1 Year 6.04% 6.15% Corporate Bonds
6 Months -1.21% -0.58% Equity 15% to 30% 22.06%
1 Month -1.62% -1.37% Net Current Assets - 1.76%
#22.5% BSE -100 77.5% CRISIL Composite Bond Fund Index
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Telecommunications 0.76%
Total 22.06%
Total 14.18%
Debt Rating Profile
Total 57.24%
Debt Parameters
Portfolio Yield (%) 7.04%
Avg Maturity (In Months) 187.02
Modified Duration (In Years) 7.32
Growth Fund - Life as on February 28, 2025
Fund objective : To generate long term capital appreciation from a diversified portfolio of equity and equity related securities.
AUM (` in Lakhs)
NAV : 384.5368
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Hybrid Fund
Period Returns (%) Benchmark Returns
Mr Priyank Singhal 12 1 1
Inception 14.43% 12.56%
10 Years 11.33% 9.83%
7 Years 12.30% 11.29% Asset Category F&U Mandate % of Actual
5 Years 16.51% 15.27% Money Market Insts 0% to 5% 0.06%
3 Years 11.82% 10.47% Public Deposits 0% 0.00%
2 Years 14.73% 14.46% Govt. Securities
0% 0.00%
1 Year 2.59% 0.25% Corporate Bonds
6 Months -13.35% -14.02% Equity 95% to 100% 99.91%
1 Month -6.52% -6.69% Net Current Assets - 0.03%
#BSE-100
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Mfg of Tobacco Products 3.00%
Total 99.91%
Debt Parameters
Portfolio Yield (%) 6.28%
Avg Maturity (In Months) 0.10
Modified Duration (In Years) 0.01
Growth Fund - Pension as on February 28, 2025
Fund objective : To generate long term capital appreciation from a diversified portfolio of equity and equity related securities.
AUM (` in Lakhs)
NAV : 369.3983
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Hybrid Fund
Period Returns (%) Benchmark Returns
Mr Priyank Singhal 12 1 1
Inception 14.21% 12.56%
10 Years 11.33% 9.83%
7 Years 12.30% 11.29% Asset Category F&U Mandate % of Actual
5 Years 16.54% 15.27% Money Market Insts 0% to 5% 0.06%
3 Years 11.86% 10.47% Public Deposits 0% 0.00%
2 Years 14.79% 14.46% Govt. Securities
0% 0.00%
1 Year 2.64% 0.25% Corporate Bonds
6 Months -13.34% -14.02% Equity 95% to 100% 99.90%
1 Month -6.51% -6.69% Net Current Assets - 0.03%
#BSE-100
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Mfg of Tobacco Products 2.99%
Total 99.90%
Debt Parameters
Portfolio Yield (%) 6.28%
Avg Maturity (In Months) 0.10
Modified Duration (In Years) 0.01
Liquid Fund - Life as on February 28, 2025
Fund objective : To deliver returns linked to Money Market levels with minimal interest rate risk and minimal credit risk so as to provide a high level of safety of
capital.
AUM (` in Lakhs)
NAV : 77.5612
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Hybrid Fund
Period Returns (%) Benchmark Returns
Mr Vineet Choraria 1 28 2
Inception 6.60% 6.66%
10 Years 5.35% 6.43%
7 Years 4.86% 6.03% Asset Category F&U Mandate % of Actual
5 Years 4.51% 5.60% Money Market Insts
100% 100.00%
3 Years 5.40% 6.70% Public Deposits
2 Years 6.14% 7.29% Govt. Securities
0% 0.00%
1 Year 6.26% 7.27% Corporate Bonds
6 Months 3.05% 3.51% Equity 0% 0.00%
1 Month 0.44% 0.54%
#CRISIL Liquid Fund Index
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
100.00% 100.00%
90.00%
80.00%
0 - 1 Yr
4.82%
Sovereign
AAA
95.18%
Liquid Fund - Pension as on February 28, 2025
Fund objective : To deliver returns linked to Money Market levels with minimal interest rate risk and minimal credit risk so as to provide a high level of safety of
capital.
AUM (` in Lakhs)
NAV : 78.2273
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Hybrid Fund
Period Returns (%) Benchmark Returns
Mr Vineet Choraria 1 28 2
Inception 6.64% 6.66%
10 Years 5.35% 6.43%
7 Years 4.87% 6.03% Asset Category F&U Mandate % of Actual
5 Years 4.53% 5.60% Money Market Insts
100% 100.00%
3 Years 5.44% 6.70% Public Deposits
2 Years 6.17% 7.29% Govt. Securities
0% 0.00%
1 Year 6.28% 7.27% Corporate Bonds
6 Months 3.06% 3.51% Equity 0% 0.00%
1 Month 0.45% 0.54%
#CRISIL Liquid Fund Index
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Deposits, Money Mkt Securities and Net Current Assets. Financial Service Activities 7.03%
100.00%
100.00% 100.00%
90.00%
80.00%
0 - 1 Yr
7.25%
Sovereign
AAA
92.75%
Secured Managed Fund - Life as on February 28, 2025
Fund objective : To provide reasonable returns through investments in high credit quality debt instruments while maintaining an optimal level of interest rate risk.
AUM (` in Lakhs)
NAV : 89.3724
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Hybrid Fund
Period Returns (%) Benchmark Returns
Mr Vineet Choraria 1 28 2
Inception 7.28% 6.81%
10 Years 7.10% 7.55%
7 Years 7.06% 7.53% Asset Category F&U Mandate % of Actual
5 Years 5.86% 6.40% Money Market Insts 0% to 5% 0.30%
3 Years 6.06% 6.43% Public Deposits 0% to 20% 0.00%
2 Years 7.93% 8.21% Govt. Securities
75% to 100% 97.69%
1 Year 7.62% 7.86% Corporate Bonds
6 Months 3.08% 3.32% Equity 0% 0.00%
1 Month 0.01% 0.18% Net Current Assets - 2.01%
#CRISIL Composite Bond Fund Index
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Civil Engineering 1.01%
Total 65.42%
24.20%
8.83% AAA
Debt Parameters
Portfolio Yield (%) 7.08% 66.97%
Avg Maturity (In Months) 145.07
Modified Duration (In Years) 6.25
Secured Managed Fund - Pension as on February 28, 2025
Fund objective : To provide reasonable returns through investments in high credit quality debt instruments while maintaining an optimal level of interest rate risk.
AUM (` in Lakhs)
NAV : 87.6049
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Hybrid Fund
Period Returns (%) Benchmark Returns
Mr Vineet Choraria 1 28 2
Inception 7.18% 6.81%
10 Years 7.06% 7.55%
7 Years 6.99% 7.53% Asset Category F&U Mandate % of Actual
5 Years 5.77% 6.40% Money Market Insts 0% to 5% 2.49%
3 Years 5.91% 6.43% Public Deposits 0% to 20% 0.00%
2 Years 7.77% 8.21% Govt. Securities
75% to 100% 96.29%
1 Year 7.61% 7.86% Corporate Bonds
6 Months 3.09% 3.32% Equity 0% 0.00%
1 Month 0.00% 0.18% Net Current Assets - 1.21%
#CRISIL Composite Bond Fund Index
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Civil Engineering 1.07%
Debentures/Bonds % to Fund
Real Estate Activities 1.30%
LIC Housing Finance Ltd 6.75%
HDFC Bank Ltd 5.51% Other Financial Activities 3.67%
Mankind Pharma Limited 5.46%
Bharti Telecom Ltd 3.67% Mfg of Pharmaceuticals 5.46%
Bajaj Finance Ltd 2.51%
National Bank For Agriculture & Rural Development Financial Service Activities 26.13%
2.26%
Power Finance Corporation Ltd 2.10%
Government Securities 58.66%
IDFC First Bank Limited 1.92%
Mahindra and Mahindra Financial Services Ltd 1.61%
Others 3.71%
Mindspace Business Parks REIT 1.30%
Others 4.54%
Total 58.66%
27.60%
Deposits, Money Mkt Securities and Net Current Assets. 3.71%
Sovereign
Grand Total 100.00%
AA+
Fund objective : To achieve long term capital appreciation by investing pre-dominantly in equity and equity related securities and balancing it by shifting assets
to the fixed income securities depending on the fund manager's views. The minimum allocation to equity will be 60%.
AUM (` in Lakhs)
NAV : 318.4434
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Hybrid Fund
Period Returns (%) Benchmark Returns Mr Kailash Lalwani 6 14 20
Inception 12.24% 11.50% Mr Nishit Dholakia 7 - 2
10 Years 10.68% 9.83%
7 Years 11.49% 11.29% Asset Category F&U Mandate % of Actual
5 Years 15.39% 15.27% Money Market Insts 0% to 5% 2.82%
3 Years 10.58% 10.47% Public Deposits 0% to 10% 0.00%
2 Years 14.11% 14.46% Govt. Securities
0% to 40% 0.00%
1 Year 3.33% 0.25% Corporate Bonds
6 Months -11.81% -14.02% Equity 60% to 100% 97.13%
1 Month -6.18% -6.69% Net Current Assets - 0.05%
#BSE-100
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Mfg of Tobacco Products 3.07%
Telecommunications 3.22%
Equity % to Fund Civil Engineering 3.26%
HDFC Bank Limited 10.27%
Mfg of Chemical Products 3.48%
ICICI Bank Limited 7.13%
Mfg of Pharmaceuticals 4.32%
Infosys Limited 6.68%
Mfg of Motor Vehicles 6.27%
Reliance Industries Limited 6.68%
Aditya Birla Sun Life Nifty Bank Etf 4.45% Mfg of Coke &Refined Petroleum 7.39%
Cipla Limited 0 - 1 Yr
0.93%
Asian Paints (India) Ltd 0.85%
Hindalco Industries Limited 0.77%
Siemens Ltd 0.75%
Bharat Electronics Ltd 0.74%
Bajaj Finserv Ltd 0.71%
Trent Ltd. 0.70%
Lupin Limited 0.67%
Wipro Limited 0.66%
State Bank of India 0.65%
Nestle India Limited 0.63%
Adani Ports & Special Economic Zone Ltd 0.62%
SBI Life Insurance Company Limited 0.61%
Bharat Petroleum Corporation Ltd 0.59%
LTIMindtree Limited 0.59%
Ashok Leyland Limited 0.52%
Cholamandalam Investment & Finance Company Ltd 0.52%
The Indian Hotels Company Ltd 0.52%
Apollo Hospitals Enterprise Limited 0.52%
Tata Power Co. Ltd 0.51%
Grasim Industries Limited 0.50%
Others 12.59%
Total 97.13%
Debt Parameters
Portfolio Yield (%) 6.28%
Avg Maturity (In Months) 0.10
Modified Duration (In Years) 0.01
Equity Managed Fund - Pension as on February 28, 2025
Fund objective : To achieve long term capital appreciation by investing pre-dominantly in equity and equity related securities and balancing it by shifting assets
to the fixed income securities depending on the fund manager's views. The minimum allocation to equity will be 60%.
AUM (` in Lakhs)
NAV : 319.7722
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Hybrid Fund
Period Returns (%) Benchmark Returns Mr Kailash Lalwani 6 14 20
Inception 12.43% 11.50% Mr Nishit Dholakia 7 - 2
10 Years 11.23% 9.83%
7 Years 12.26% 11.29% Asset Category F&U Mandate % of Actual
5 Years 16.52% 15.27% Money Market Insts 0% to 5% 2.94%
3 Years 12.08% 10.47% Public Deposits 0% to 10% 0.00%
2 Years 16.31% 14.46% Govt. Securities
0% to 40% 0.00%
1 Year 4.31% 0.25% Corporate Bonds
6 Months -10.95% -14.02% Equity 60% to 100% 97.00%
1 Month -6.15% -6.69% Net Current Assets - 0.06%
#BSE-100
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Mfg of Tobacco Products 3.08%
Telecommunications 3.28%
Equity % to Fund
Civil Engineering 3.28%
HDFC Bank Limited 10.22%
Mfg of Chemical Products 3.52%
ICICI Bank Limited 7.13%
Mfg of Pharmaceuticals 4.26%
Reliance Industries Limited 6.77%
Infosys Limited 6.64% Mfg of Motor Vehicles 6.34%
Aditya Birla Sun Life Nifty Bank Etf 4.39% Mfg of Coke &Refined Petroleum 7.49%
Larsen & Toubro Limited 3.28% Other Financial Activities 7.70%
Bharti Airtel Ltd - Partly Paid 3.28% Computer Programming 12.83%
Axis Bank Limited 3.26%
Financial Service Activities 26.95%
ITC Limited 3.08%
Others 21.29%
Tata Consultancy Services Limited 2.93%
HDFC NIFTY Private Bank ETF 2.56%
Mahindra & Mahindra Ltd. 2.33%
Bajaj Finance Ltd 1.86% Debt Maturity Profile
Maruti Suzuki India Ltd 1.82%
100.00%
NTPC Ltd. 1.73% 100.00%
Hindustan Unilever Limited 1.64%
Kesoram Industries Ltd 1.42%
Tata Steel Limited 1.40%
Kotak Mahindra Bank Limited 1.27% 90.00%
Total 97.00%
Debt Parameters
Portfolio Yield (%) 6.28%
Avg Maturity (In Months) 0.10
Modified Duration (In Years) 0.01
Stable Managed Fund - Life as on February 28, 2025
Fund objective : To generate optimal returns for investors through short term investments in high credit quality securities so as to keep interest rate risks low and
provide safety of capital over the medium term horizon.
AUM (` in Lakhs)
NAV : 82.1094
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Hybrid Fund
Period Returns (%) Benchmark Returns
Mr Kailash Lalwani 6 14 20
Inception 7.07% 7.38%
10 Years 6.15% 7.29%
7 Years 5.94% 6.96% Asset Category F&U Mandate % of Actual
5 Years 5.33% 6.37% Money Market Insts
3 Years 5.75% 6.96% Public Deposits
100% 100.00%
2 Years 6.93% 7.83% Govt. Securities
1 Year 7.02% 7.86% Corporate Bonds
6 Months 3.32% 3.76% Equity 0% 0.00%
1 Month 0.56% 0.59%
#CRISIL Low Duration Debt Index
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Others 5.26%
Total 39.62%
41.82%
Sovereign
AAA
58.18%
Stable Managed Fund - Pension as on February 28, 2025
Fund objective : To generate optimal returns for investors through short term investments in high credit quality securities so as to keep interest rate risks low and
provide safety of capital over the medium term horizon.
AUM (` in Lakhs)
NAV : 81.8182
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Hybrid Fund
Period Returns (%) Benchmark Returns
Mr Kailash Lalwani 6 14 20
Inception 7.05% 7.38%
10 Years 6.12% 7.29%
7 Years 5.92% 6.96% Asset Category F&U Mandate % of Actual
5 Years 5.31% 6.37% Money Market Insts
3 Years 5.69% 6.96% Public Deposits
100% 100.00%
2 Years 6.87% 7.83% Govt. Securities
1 Year 6.97% 7.86% Corporate Bonds
6 Months 3.25% 3.76% Equity 0% 0.00%
1 Month 0.53% 0.59%
#CRISIL Low Duration Debt Index
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Others 7.21%
Total 43.50%
Debt Parameters
Debt Rating Profile
Portfolio Yield (%) 7.12%
Avg Maturity (In Months) 14.99
Modified Duration (In Years) 1.13
46.88% Sovereign
53.12% AAA
Balanced Managed Fund - Life - II as on February 28, 2025
Fund objective : To generate long term capital appreciation along with current income from a combined portfolio of equity and debt market instruments. The equity
AUM (` in Lakhs)
NAV : 38.473
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Hybrid Fund
Period Returns (%) Benchmark Returns Mr Kailash Lalwani 6 14 20
Inception 8.72% 8.12% Mr Abhishek Agarwal - 1 22
10 Years 8.18% 8.58%
7 Years 8.60% 9.22% Asset Category F&U Mandate % of Actual
5 Years 10.02% 10.39% Money Market Insts
0% to 20% 0.43%
3 Years 7.56% 8.25% Public Deposits
2 Years 9.93% 11.02% Govt. Securities
20% to 70% 54.02%
1 Year 4.26% 4.43% Corporate Bonds
6 Months -5.26% -4.49% Equity 30% to 60% 44.14%
1 Month -3.07% -2.91% Net Current Assets - 1.41%
#45% BSE -100 55% CRISIL Composite Bond Fund Index
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Telecommunications 1.54%
Debentures/Bonds % to Fund
HDFC Bank Ltd 4.75%
Debt Rating Profile
Sikka Ports And Terminals 3.47%
HDB Financial Services Ltd 0.68%
21.10%
State Bank of India 0.64%
Mahindra and Mahindra Financial Services Ltd 0.48%
LIC Housing Finance Ltd 0.44%
Sundaram Finance Ltd 0.42% Sovereign
Larsen & Toubro Ltd 0.39%
AAA
Bajaj Finance Ltd 0.13%
Total 11.40%
78.90%
Government Securities % to Fund
7.34% GOI Mat 22-Apr-2064 12.44%
7.23% GOI Mat 15-Apr-2039 6.40%
7.10% GOI Mat 08-Apr-2034 2.87%
6.79% GOI Mat 30-Dec-2031 2.79%
7.09% GOI Mat 05-Aug-2054 2.29%
7.18% GOI Mat 14-Aug-2033 1.97%
6.92% GOI Mat 18-Nov-2039 1.28%
7.65% Tamil Nadu SDL Mat 06-Dec-2027 1.02%
7.64% Karnataka SDL Mat 18-Oct-2032 0.95%
6.79% GOI Mat 07-Oct-2034 0.89%
Others 9.71%
Total 42.62%
Debt Parameters
Portfolio Yield (%) 7.09%
Avg Maturity (In Months) 192.70
Modified Duration (In Years) 7.44
Defensive Managed Fund - Life - II as on February 28, 2025
Fund objective : To enhance long term returns for a portfolio predominantly invested in fixed income securities by taking a moderate to medium exposure to
equity and equity related securities. The equity exposure will be between 15%-30%.
AUM (` in Lakhs)
NAV : 38.2709
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Hybrid Fund
Period Returns (%) Benchmark Returns Mr Kailash Lalwani 6 14 20
Inception 8.40% 7.83% Mr Abhishek Agarwal - 1 22
10 Years 7.63% 8.06%
7 Years 7.61% 8.37% Asset Category F&U Mandate % of Actual
5 Years 7.75% 8.39% Money Market Insts
0% to 20% 10.60%
3 Years 6.44% 7.34% Public Deposits
2 Years 8.63% 9.62% Govt. Securities
50% to 85% 66.06%
1 Year 5.61% 6.15% Corporate Bonds
6 Months -1.47% -0.58% Equity 15% to 30% 21.69%
1 Month -1.65% -1.37% Net Current Assets - 1.65%
#22.5% BSE -100 77.5% CRISIL Composite Bond Fund Index
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Telecommunications 0.74%
Total 21.69%
Debt Parameters
Portfolio Yield (%) 6.95%
Avg Maturity (In Months) 191.49
Modified Duration (In Years) 7.16
Equity Managed Fund - Life - II as on February 28, 2025
Fund objective : To achieve long term capital appreciation by investing pre-dominantly in equity and equity related securities and balancing it by shifting assets
to the fixed income securities depending on the fund manager's views. The minimum allocation to equity will be 60%.
AUM (` in Lakhs)
NAV : 45.9228
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Hybrid Fund
Period Returns (%) Benchmark Returns Mr Kailash Lalwani 6 14 20
Inception 10.25% 8.83% Mr Nishit Dholakia 7 - 2
10 Years 10.02% 9.83%
7 Years 10.89% 11.29% Asset Category F&U Mandate % of Actual
5 Years 14.76% 15.27% Money Market Insts
0% to 15% 0.38%
3 Years 9.94% 10.47% Public Deposits
2 Years 13.41% 14.46% Govt. Securities
0% to 40% 0.00%
1 Year 2.62% 0.25% Corporate Bonds
6 Months -12.21% -14.02% Equity 60% to 100% 99.57%
1 Month -6.42% -6.69% Net Current Assets - 0.06%
#BSE-100
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Mfg of Tobacco Products 3.16%
Telecommunications 3.31%
Equity % to Fund
Civil Engineering 3.35%
HDFC Bank Limited 10.04%
Mfg of Chemical Products 3.58%
ICICI Bank Limited 7.33%
Infosys Limited 6.86% Mfg of Pharmaceuticals 4.44%
Total 99.57%
Debt Parameters
Portfolio Yield (%) 6.28%
Avg Maturity (In Months) 0.10
Modified Duration (In Years) 0.01
Growth Fund - Life - II as on February 28, 2025
Fund objective : To generate long term capital appreciation from a diversified portfolio of equity and equity related securities.
AUM (` in Lakhs)
NAV : 42.1224
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Hybrid Fund
Period Returns (%) Benchmark Returns
Mr Priyank Singhal 12 1 1
Inception 9.79% 8.83%
10 Years 10.75% 9.83%
7 Years 11.74% 11.29% Asset Category F&U Mandate % of Actual
5 Years 15.90% 15.27% Money Market Insts
0% to 10% 0.00%
3 Years 11.25% 10.47% Public Deposits
2 Years 14.16% 14.46% Govt. Securities
0% 0.00%
1 Year 2.11% 0.25% Corporate Bonds
6 Months -13.61% -14.02% Equity 90% to 100% 99.97%
1 Month -6.60% -6.69% Net Current Assets - 0.03%
#BSE-100
Total 99.97%
Debt Parameters
Portfolio Yield (%) 6.28%
Avg Maturity (In Months) 0.10
Modified Duration (In Years) 0.01
Liquid Fund - Life - II as on February 28, 2025
Fund objective : To deliver returns linked to Money Market levels with minimal interest rate risk and minimal credit risk so as to provide a high level of safety of
capital.
AUM (` in Lakhs)
NAV : 27.8982
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Hybrid Fund
Period Returns (%) Benchmark Returns
Mr Vineet Choraria 1 28 2
Inception 6.15% 6.93%
10 Years 4.81% 6.43%
7 Years 4.32% 6.03% Asset Category F&U Mandate % of Actual
5 Years 3.98% 5.60% Money Market Insts
100% 100.00%
3 Years 4.86% 6.70% Public Deposits
2 Years 5.61% 7.29% Govt. Securities
0% 0.00%
1 Year 5.73% 7.27% Corporate Bonds
6 Months 2.78% 3.51% Equity 0% 0.00%
1 Month 0.41% 0.54%
#CRISIL Liquid Fund Index
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Deposits, Money Mkt Securities and Net Current Assets. Financial Service Activities 7.99%
100.00%
100.00% 100.00%
90.00%
80.00%
0 - 1 Yr
8.01%
Sovereign
AAA
91.99%
Secured Managed Fund - Life - II as on February 28, 2025
Fund objective : To provide reasonable returns through investments in high credit quality debt instruments while maintaining an optimal level of interest rate risk.
AUM (` in Lakhs)
NAV : 33.9658
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Hybrid Fund
Period Returns (%) Benchmark Returns
Mr Vineet Choraria 1 28 2
Inception 7.42% 7.53%
10 Years 6.55% 7.55%
7 Years 6.44% 7.53% Asset Category F&U Mandate % of Actual
5 Years 5.21% 6.40% Money Market Insts
0% to 25% 3.28%
3 Years 5.40% 6.43% Public Deposits
2 Years 7.25% 8.21% Govt. Securities
75% to 100% 100.69%
1 Year 7.04% 7.86% Corporate Bonds
6 Months 2.82% 3.32% Equity 0% 0.00%
1 Month -0.03% 0.18% Net Current Assets - -3.97%
#CRISIL Composite Bond Fund Index
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Electricity,Gas & AC Supply 1.04%
Total 63.64%
26.80%
AAA
Debt Parameters 9.99% 63.20%
Portfolio Yield (%) 7.10%
Avg Maturity (In Months) 142.91
Modified Duration (In Years) 6.26
Stable Managed Fund - Life - II as on February 28, 2025
Fund objective : To generate optimal returns for investors through short term investments in high credit quality securities so as to keep interest rate risks low and
provide safety of capital over the medium term horizon.
AUM (` in Lakhs)
NAV : 29.1475
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Hybrid Fund
Period Returns (%) Benchmark Returns
Mr Kailash Lalwani 6 14 20
Inception 6.45% 7.36%
10 Years 5.57% 7.29%
7 Years 5.40% 6.96% Asset Category F&U Mandate % of Actual
5 Years 4.73% 6.37% Money Market Insts
3 Years 5.27% 6.96% Public Deposits
100% 100.00%
2 Years 6.29% 7.83% Govt. Securities
1 Year 6.38% 7.86% Corporate Bonds
6 Months 2.99% 3.76% Equity 0% 0.00%
1 Month 0.51% 0.59%
#CRISIL Low Duration Debt Index
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Debt Parameters
Portfolio Yield (%) 7.08%
Avg Maturity (In Months) 13.43
Modified Duration (In Years) 1.01 47.17% Sovereign
52.83% AAA
Bond Opportunities Fund as on February 28, 2025
Fund objective : To provide reasonable returns through investments in high credit quality debt instruments while maintaining an optimal level of interest rate risk.
AUM (` in Lakhs)
NAV : 28.0826
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Hybrid Fund
Period Returns (%) Benchmark Returns
Mr Vineet Choraria 1 28 2
Inception 6.45% 7.82%
10 Years 5.68% 7.55%
7 Years 5.66% 7.53% Asset Category F&U Mandate % of Actual
5 Years 4.52% 6.40% Money Market Insts 0% to 15% 11.04%
3 Years 4.48% 6.43% Public Deposits 0% to 5% 0.00%
2 Years 6.25% 8.21% Govt. Securities 50% to 60% 63.38%
1 Year 6.21% 7.86% Corporate Bonds 20% to 30% 22.55%
6 Months 2.80% 3.32% Equity 0% 0.00%
1 Month 0.32% 0.18% Net Current Assets - 3.03%
#CRISIL Composite Bond Fund Index
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Total 22.55%
Government Securities 63.38%
Total 50.00%
63.38%
40.00%
30.00%
20.32%
Deposits, Money Mkt Securities and Net Current Assets. 14.07% 20.00% 17.49%
10.00% 5.73%
0.00%
Grand Total 100.00% 0 - 1 Yr 1 - 3 Yrs 3 - 10 Yrs Above 10 Yrs
Debt Parameters
Portfolio Yield (%) 6.92%
Debt Rating Profile
Avg Maturity (In Months) 58.91
Modified Duration (In Years) 3.63
26.24%
Sovereign
AAA
73.76%
Large Cap Fund as on February 28, 2025
Fund objective : To generate long term capital appreciation from a diversified portfolio of pre-dominantly in large cap equity and equity related securities.
AUM (` in Lakhs)
NAV : 56.7353
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Hybrid Fund
Period Returns (%) Benchmark Returns
Mr Priyank Singhal 12 1 1
Inception 10.88% 10.24%
10 Years 10.02% 9.53%
7 Years 11.96% 11.25% Asset Category F&U Mandate % of Actual
5 Years 17.04% 14.58% Money Market Insts 0% to 5% 6.20%
3 Years 11.84% 9.62% Public Deposits 0% 0.00%
2 Years 15.33% 13.07% Govt. Securities 0% 0.00%
1 Year -2.31% 0.65% Corporate Bonds 0% 0.00%
6 Months -13.99% -12.33% Equity 95% to 100% 93.65%
1 Month -6.86% -5.89% Net Current Assets - 0.15%
#Nifty 50
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Mfg of Tobacco Products 3.60%
Total 93.65%
Debt Parameters
Portfolio Yield (%) 6.28%
Avg Maturity (In Months) 0.10
Modified Duration (In Years) 0.01
Manager's Fund as on February 28, 2025
Fund objective : The Manager's Fund dynamically manages the asset allocation between equity and fixed income instruments to deliver higher returns through the
equity exposure, combined with the stability of the fixed income exposure. The fund returns are likely to be volatile due to the market movements.
AUM (` in Lakhs)
NAV : 50.8727
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Hybrid Fund
Period Returns (%) Benchmark Returns Mr Vineet Choraria 1 28 2
Inception 10.22% N/A Mr Priyank Singhal 12 1 1
10 Years 8.76% N/A
7 Years 9.06% N/A Asset Category F&U Mandate % of Actual
5 Years 12.05% N/A Money Market Insts
0% to 25% 2.86%
3 Years 8.13% N/A Public Deposits
2 Years 10.62% N/A Govt. Securities
5% to 65% 49.79%
1 Year 3.63% N/A Corporate Bonds
6 Months -6.81% N/A Mid Cap Equities 10% - 45% 14.71%
1 Month -3.82% N/A Large Cap Equities 10% - 45% 31.84%
#NA Net Current Assets - 0.80%
Note: Returns over 1 year have been annualized.
Sector Allocation as per NIC 2008
% to Fund
Portfolio
Mfg of Non-metallic mineral Products 1.60%
Equity % to Fund Mfg of Beverages 2.25%
ITC Limited 4.29% Mfg of Basic Metals 2.77%
ICICI Bank Limited 3.53% Mfg of Pharmaceuticals 3.73%
Bank of India 3.25% Mfg of Motor Vehicles 4.05%
Mahindra & Mahindra Financial Services Limited 2.67%
Electricity,Gas & AC Supply 4.11%
HCL Technologies Limited 2.41%
Mfg of Tobacco Products 4.29%
Alkem Laboratories Ltd 2.38%
United Breweries Limited 2.25% Computer Programming 5.70%
Total 46.55%
Debentures/Bonds % to Fund
HDFC Bank Ltd 1.04% Sovereign
Mahindra and Mahindra Financial Services Ltd 0.53% AAA
Sikka Ports And Terminals 0.50%
IOT Utkal Energy Services Limited 0.25%
Total 2.33%
95.31%
Total 47.46%
Debt Parameters
Portfolio Yield (%) 6.83%
Avg Maturity (In Months) 97.04
Modified Duration (In Years) 5.41
Mid Cap Fund as on February 28, 2025
Fund objective : To generate long term capital appreciation from a diversified portfolio of pre-dominantly in mid cap equity and equity related securities.
AUM (` in Lakhs)
NAV : 93.2542
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Hybrid Fund
Period Returns (%) Benchmark Returns
Mr Priyank Singhal 12 1 1
Inception 14.24% 12.18%
10 Years 11.40% 13.57%
7 Years 10.12% 12.84% Asset Category F&U Mandate % of Actual
5 Years 16.30% 21.46% Money Market Insts 0% to 5% 0.31%
3 Years 11.94% 18.22% Public Deposits 0% 0.00%
2 Years 15.62% 26.39% Govt. Securities 0% 0.00%
1 Year -5.35% -1.92% Corporate Bonds 0% 0.00%
6 Months -20.53% -21.35% Equity 95% to 100% 99.51%
1 Month -7.92% -10.45% Net Current Assets - 0.18%
#BSE Mid Cap Index
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Warehousing 3.89%
Accommodation 4.85%
Equity % to Fund
Mfg of Fabricated Metal Products 5.33%
United Breweries Limited 8.72%
Mfg of Machinery & Equipment 5.35%
Bank of India 7.76%
P I Industries Limited 5.94% Mfg of Electrical Equipment 5.67%
Total 99.51%
Debt Parameters
Portfolio Yield (%) 6.28%
Avg Maturity (In Months) 0.10
Modified Duration (In Years) 0.01
Money Plus Fund as on February 28, 2025
Fund objective : To generate optimal returns from investments biased to the highest credit quality at the short end of the yield curve, such that interest rate risks
and credit risks are low.
AUM (` in Lakhs)
NAV : 23.586
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Hybrid Fund
Period Returns (%) Benchmark Returns
Mr Vineet Choraria 1 28 2
Inception 5.31% 6.91%
10 Years 4.63% 6.43%
7 Years 4.31% 6.03% Asset Category F&U Mandate % of Actual
5 Years 3.76% 5.60% Money Market Insts 0% to 30% 4.62%
3 Years 4.26% 6.70% Public Deposits 0% to 20% 0.00%
2 Years 5.49% 7.29% Govt. Securities 40% to 100% 94.80%
1 Year 5.71% 7.27% Corporate Bonds 0% to 10% 0.00%
6 Months 2.71% 3.51% Equity 0% 0.00%
1 Month 0.47% 0.54% Net Current Assets - 0.57%
#CRISIL Liquid Fund Index
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Total 94.80%
Debt Parameters
Portfolio Yield (%) 6.55%
Avg Maturity (In Months) 23.16
Modified Duration (In Years) 1.85 Debt Maturity Profile
100.00% 95.35%
90.00%
80.00%
70.00%
60.00%
50.00%
40.00%
30.00%
20.00%
10.00% 4.65%
0.00%
0 - 1 Yr 1 - 3 Yrs
Sovereign
100.00%
Balanced Managed Fund - Pension - II as on February 28, 2025
Fund objective : To generate long term capital appreciation along with current income from a combined portfolio of equity and debt market instruments. The equity
exposure will be between 30%-60%.
AUM (` in Lakhs)
NAV : 53.9861
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Hybrid Fund
Period Returns (%) Benchmark Returns Mr Kailash Lalwani 6 14 20
Inception 11.10% 9.88% Mr Abhishek Agarwal - 1 22
10 Years 8.66% 8.58%
7 Years 8.74% 9.22% Asset Category F&U Mandate % of Actual
5 Years 10.11% 10.39% Money Market Insts
0% to 20% 1.31%
3 Years 7.53% 8.25% Public Deposits
2 Years 9.86% 11.02% Govt. Securities
20% to 70% 53.27%
1 Year 4.23% 4.43% Corporate Bonds
6 Months -5.28% -4.49% Equity 30% to 60% 44.17%
1 Month -3.08% -2.91% Net Current Assets - 1.25%
#45% BSE -100 55% CRISIL Composite Bond Fund Index
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Mfg of Chemical Products 1.59%
Debentures/Bonds % to Fund
HDFC Bank Ltd 4.05%
Debt Rating Profile
Bharti Telecom Ltd 1.81%
Larsen & Toubro Ltd 0.93% 16.46%
Sundaram Finance Ltd 0.93%
HDB Financial Services Ltd 0.52%
3.39%
LIC Housing Finance Ltd 0.50%
Reliance Industries Ltd Sovereign
0.42%
Embassy Office Parks REIT 0.41% AA+
80.14%
Total 10.58%
Total 42.69%
Debt Parameters
Portfolio Yield (%) 7.06%
Avg Maturity (In Months) 198.79
Modified Duration (In Years) 7.75
Defensive Managed Fund - Pension - II as on February 28, 2025
Fund objective : To enhance long term returns for a portfolio predominantly invested in fixed income securities by taking a moderate to medium exposure to
equity and equity related securities. The equity exposure will be between 15%-30%.
AUM (` in Lakhs)
NAV : 42.3592
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Hybrid Fund
Period Returns (%) Benchmark Returns Mr Kailash Lalwani 6 14 20
Inception 9.28% 8.85% Mr Abhishek Agarwal - 1 22
10 Years 7.77% 8.06%
7 Years 7.77% 8.37% Asset Category F&U Mandate % of Actual
5 Years 7.83% 8.39% Money Market Insts
0% to 20% 4.39%
3 Years 6.39% 7.34% Public Deposits
2 Years 8.53% 9.62% Govt. Securities
50% to 85% 72.27%
1 Year 5.51% 6.15% Corporate Bonds
6 Months -1.45% -0.58% Equity 15% to 30% 21.60%
1 Month -1.65% -1.37% Net Current Assets - 1.74%
#22.5% BSE -100 77.5% CRISIL Composite Bond Fund Index
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Mfg of Chemical Products 0.78%
Other Financial Activities 0.93%
Equity % to Fund
Mfg of Motor Vehicles 1.05%
HDFC Bank Limited 2.64%
Electricity,Gas & AC Supply 1.06%
ICICI Bank Limited 1.81%
Mfg of Coke &Refined Petroleum 1.57%
Reliance Industries Limited 1.45%
Civil Engineering 1.89%
Infosys Limited 1.33%
Computer Programming 2.72%
Axis Bank Limited 0.74%
Larsen & Toubro Limited 0.71% Mfg of Pharmaceuticals 5.05%
Total 21.60%
Debt Parameters
Portfolio Yield (%) 7.06%
Avg Maturity (In Months) 191.46
Modified Duration (In Years) 7.42
Equity Managed Fund - Pension - II as on February 28, 2025
Fund objective : To achieve long term capital appreciation by investing pre-dominantly in equity and equity related securities and balancing it by shifting assets
to the fixed income securities depending on the fund manager's views. The minimum allocation to equity will be 60%.
AUM (` in Lakhs)
NAV : 71.2453
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Hybrid Fund
Period Returns (%) Benchmark Returns Mr Kailash Lalwani 6 14 20
Inception 13.24% 12.37% Mr Nishit Dholakia 7 - 2
10 Years 10.53% 9.83%
7 Years 11.63% 11.29% Asset Category F&U Mandate % of Actual
5 Years 15.80% 15.27% Money Market Insts
0% to 15% 1.59%
3 Years 11.48% 10.47% Public Deposits
2 Years 15.85% 14.46% Govt. Securities
0% to 40% 0.00%
1 Year 3.96% 0.25% Corporate Bonds
6 Months -11.05% -14.02% Equity 60% to 100% 98.36%
1 Month -6.26% -6.69% Net Current Assets - 0.05%
#BSE-100
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Mfg of Tobacco Products 3.12%
Telecommunications 3.29%
Equity % to Fund
Civil Engineering 3.32%
HDFC Bank Limited 10.28%
Mfg of Chemical Products 3.56%
ICICI Bank Limited 7.20%
Mfg of Pharmaceuticals 4.32%
Reliance Industries Limited 6.79%
Infosys Limited 6.72% Mfg of Motor Vehicles 6.40%
Aditya Birla Sun Life Nifty Bank Etf 4.57% Mfg of Coke &Refined Petroleum 7.51%
Larsen & Toubro Limited 3.32% Other Financial Activities 7.78%
Axis Bank Limited 3.30% Computer Programming 12.98%
Bharti Airtel Ltd - Partly Paid 3.29%
Financial Service Activities 27.19%
ITC Limited 3.12%
Others 20.52%
Tata Consultancy Services Limited 2.97%
HDFC NIFTY Private Bank ETF 2.44%
Mahindra & Mahindra Ltd. 2.36%
Bajaj Finance Ltd 1.88% Debt Maturity Profile
Maruti Suzuki India Ltd 1.84%
100.00%
NTPC Ltd. 1.75% 100.00%
Total 98.36%
Debt Parameters
Portfolio Yield (%) 6.28%
Avg Maturity (In Months) 0.10
Modified Duration (In Years) 0.01
Growth Fund - Pension - II as on February 28, 2025
Fund objective : To generate long term capital appreciation from a diversified portfolio of equity and equity related securities.
AUM (` in Lakhs)
NAV : 79.5405
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Hybrid Fund
Period Returns (%) Benchmark Returns
Mr Priyank Singhal 12 1 1
Inception 13.97% 12.37%
10 Years 10.66% 9.83%
7 Years 11.64% 11.29% Asset Category F&U Mandate % of Actual
5 Years 15.77% 15.27% Money Market Insts
0% to 10% 0.02%
3 Years 11.27% 10.47% Public Deposits
2 Years 14.19% 14.46% Govt. Securities
0% 0.00%
1 Year 2.11% 0.25% Corporate Bonds
6 Months -13.57% -14.02% Equity 90% to 100% 99.95%
1 Month -6.57% -6.69% Net Current Assets - 0.03%
#BSE-100
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Mfg of Tobacco Products 3.01%
Total 99.95%
Debt Parameters
Portfolio Yield (%) 6.28%
Avg Maturity (In Months) 0.10
Modified Duration (In Years) 0.01
Liquid Fund - Pension - II as on February 28, 2025
Fund objective : To deliver returns linked to Money Market levels with minimal interest rate risk and minimal credit risk so as to provide a high level of safety of
capital.
AUM (` in Lakhs)
NAV : 26.4024
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Hybrid Fund
Period Returns (%) Benchmark Returns
Mr Vineet Choraria 1 28 2
Inception 6.08% 6.89%
10 Years 4.81% 6.43%
7 Years 4.31% 6.03% Asset Category F&U Mandate % of Actual
5 Years 3.96% 5.60% Money Market Insts
100% 100.00%
3 Years 4.84% 6.70% Public Deposits
2 Years 5.57% 7.29% Govt. Securities
0% 0.00%
1 Year 5.70% 7.27% Corporate Bonds
6 Months 2.77% 3.51% Equity 0% 0.00%
1 Month 0.40% 0.54%
#CRISIL Liquid Fund Index
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Deposits, Money Mkt Securities and Net Current Assets. 100.00% Financial Service Activities 6.66%
100.00% 100.00%
90.00%
80.00%
0 - 1 Yr
6.88%
Sovereign
AAA
93.12%
Secured Managed Fund - Pension - II as on February 28, 2025
Fund objective : To provide reasonable returns through investments in high credit quality debt instruments while maintaining an optimal level of interest rate risk.
AUM (` in Lakhs)
NAV : 33.6891
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Hybrid Fund
Period Returns (%) Benchmark Returns
Mr Vineet Choraria 1 28 2
Inception 7.62% 7.83%
10 Years 6.59% 7.55%
7 Years 6.49% 7.53% Asset Category F&U Mandate % of Actual
5 Years 5.24% 6.40% Money Market Insts
0% to 25% 0.67%
3 Years 5.43% 6.43% Public Deposits
2 Years 7.32% 8.21% Govt. Securities
75% to 100% 97.19%
1 Year 7.03% 7.86% Corporate Bonds
6 Months 2.79% 3.32% Equity 0% 0.00%
1 Month -0.03% 0.18% Net Current Assets - 2.14%
#CRISIL Composite Bond Fund Index
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Civil Engineering 1.11%
Total 65.10%
21.55%
10.06% AA+
Debt Parameters AAA
Portfolio Yield (%) 7.09% 1.42%
66.98%
Avg Maturity (In Months) 142.56
Modified Duration (In Years) 6.31
Stable Managed Fund -Pension - II as on February 28, 2025
Fund objective : To generate optimal returns for investors through short term investments in high credit quality securities so as to keep interest rate risks low and
provide safety of capital over the medium term horizon.
AUM (` in Lakhs)
NAV : 27.8912
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Hybrid Fund
Period Returns (%) Benchmark Returns
Mr Kailash Lalwani 6 14 20
Inception 6.44% 7.37%
10 Years 5.57% 7.29%
7 Years 5.37% 6.96% Asset Category F&U Mandate % of Actual
5 Years 4.73% 6.37% Money Market Insts
3 Years 5.24% 6.96% Public Deposits
100% 100.00%
2 Years 6.25% 7.83% Govt. Securities
1 Year 6.29% 7.86% Corporate Bonds
6 Months 2.90% 3.76% Equity 0% 0.00%
1 Month 0.49% 0.59%
#CRISIL Low Duration Debt Index
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Others 5.16%
Total 51.56%
Debt Parameters
Portfolio Yield (%) 7.18%
Debt Rating Profile
Avg Maturity (In Months) 14.34
Modified Duration (In Years) 1.08
45.64% Sovereign
54.36% AAA
BlueChip Fund as on February 28, 2025
Fund objective : The fund aims to provide medium to long term capital appreciation by investing in a portfolio of pre-dominantly large cap companies which can
perform through economic and market cycles. The fund will invest at least 80% of the AUM in companies which have a market capitalization greater than the
company with the least weight in BSE100 index. The fund may also invest upto 20% in money market instruments/cash.
AUM (` in Lakhs)
NAV : 45.0371
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Hybrid Fund
Period Returns (%) Benchmark Returns
Mr Nishit Dholakia 7 - 2
Inception 10.44% 9.96%
10 Years 10.53% 9.83%
7 Years 11.27% 11.29% Asset Category F&U Mandate % of Actual
5 Years 14.76% 15.27% Money Market Insts
0% to 20% 0.40%
3 Years 10.10% 10.47% Public Deposits
2 Years 12.95% 14.46% Govt. Securities
0% 0.00%
1 Year 1.14% 0.25% Corporate Bonds
6 Months -13.74% -14.02% Equity 80% to 100% 99.55%
1 Month -6.67% -6.69% Net Current Assets - 0.05%
#BSE-100
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Civil Engineering 3.27%
Telecommunications 3.33%
Equity % to Fund
Electricity,Gas & AC Supply 3.37%
HDFC Bank Limited 10.32%
Mfg of Chemical Products 3.81%
Reliance Industries Limited 6.79%
Mfg of Pharmaceuticals 3.90%
ICICI Bank Limited 6.77%
Other Financial Activities 5.41%
Infosys Limited 6.71%
Mfg of Motor Vehicles 6.29%
Axis Bank Limited 3.35%
Bharti Airtel Ltd - Partly Paid Mfg of Coke &Refined Petroleum 7.40%
3.30%
Larsen & Toubro Limited 3.27% Computer Programming 12.71%
Total 99.55%
Debt Parameters
Portfolio Yield (%) 6.28%
Avg Maturity (In Months) 0.10
Modified Duration (In Years) 0.01
Income Fund as on February 28, 2025
Fund objective : The fund aims to provide superior returns through investments in high credit quality debt instruments while maintaining an optimal level of
interest rate risk. The fund may also invest upto 20% in money market instruments/cash.
AUM (` in Lakhs)
NAV : 28.3247
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Hybrid Fund
Period Returns (%) Benchmark Returns
Mr Vineet Choraria 1 28 2
Inception 7.11% 7.69%
10 Years 6.17% 7.55%
7 Years 6.18% 7.53% Asset Category F&U Mandate % of Actual
5 Years 5.09% 6.40% Money Market Insts
0% to 20% 1.42%
3 Years 5.28% 6.43% Public Deposits
2 Years 7.15% 8.21% Govt. Securities
80% to 100% 96.47%
1 Year 6.91% 7.86% Corporate Bonds
6 Months 2.75% 3.32% Equity 0% 0.00%
1 Month -0.05% 0.18% Net Current Assets - 2.11%
#CRISIL Composite Bond Fund Index
Portfolio
Electricity,Gas & AC Supply 0.07%
Warehousing 0.15%
Debentures/Bonds % to Fund
HDFC Bank Ltd 9.30% Civil Engineering 0.50%
LIC Housing Finance Ltd 6.82%
Bharti Telecom Ltd 4.02% Real Estate Activities 3.22%
Total 62.51%
30.93%
Deposits, Money Mkt Securities and Net Current Assets. 3.53%
Sovereign
Grand Total 100.00% AA & below
AA+
Debt Parameters AAA
Portfolio Yield (%) 7.09% 64.80%
4.17%
Avg Maturity (In Months) 145.09 0.11%
Modified Duration (In Years) 6.27
Opportunities Fund as on February 28, 2025
Fund objective : The fund aims to generate long term capital appreciation by investing pre-dominantly in mid cap stocks which are likely to be the blue chips of
tomorrow. The fund will invest in stocks which have a market capitalization equal to or lower than the market capitalization of the highest weighted stock in the NSE
CNX Midcap Index. The fund may also invest upto 20% in money market instruments/cash.
AUM (` in Lakhs)
NAV : 64.9349
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Hybrid Fund
Period Returns (%) Benchmark Returns Mr Nishit Dholakia 7 - 2
Inception 13.14% 12.88%
10 Years 12.96% 13.83%
7 Years 11.93% 13.57% Asset Category F&U Mandate % of Actual
5 Years 18.00% 23.34% Money Market Insts
0% to 20% 3.65%
3 Years 13.98% 19.29% Public Deposits
2 Years 20.20% 26.13% Govt. Securities
0% 0.00%
1 Year -0.34% -0.87% Corporate Bonds
6 Months -17.08% -19.18% Equity 80% to 100% 96.44%
1 Month -9.61% -10.79% Net Current Assets - -0.09%
#Nifty MidCap 100
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Mfg of Motor Vehicles 3.29%
Accommodation 3.32%
Equity % to Fund Electricity,Gas & AC Supply 3.68%
The Indian Hotels Company Ltd 2.95%
Mfg of Rubber & Plastics Products 4.07%
Federal Bank Limited 2.55%
Human Health Activities 4.63%
Coforge Limited 2.24%
Persistent Systems Ltd. 1.93% Mfg of Machinery & Equipment 4.95%
Total 96.44%
Debt Parameters
Portfolio Yield (%) 6.16%
Avg Maturity (In Months) 0.10
Modified Duration (In Years) 0.01
Vantage Fund as on February 28, 2025
Fund objective : The Vantage Fund dynamically manages the asset allocation between equity and fixed income instruments to deliver higher returns through equity
exposure, combined with the stability of the fixed income exposure. The fund returns are likely to be volatile due to market movements.
AUM (` in Lakhs)
NAV : 38.3452
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Hybrid Fund
Period Returns (%) Benchmark Returns Mr Vineet Choraria 1 28 2
Inception 9.27% N/A Mr Abhishek Agarwal - 1 22
10 Years 8.19% N/A
7 Years 7.59% N/A Asset Category F&U Mandate % of Actual
5 Years 9.31% N/A Money Market Insts
0% to 40% 0.48%
3 Years 7.38% N/A Public Deposits
2 Years 10.14% N/A Govt. Securities
10% to 70% 37.29%
1 Year 2.89% N/A Corporate Bonds
6 Months -7.92% N/A Equity 10% to 70% 61.23%
1 Month -4.13% N/A Net Current Assets - 1.01%
#NA
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Civil Engineering 2.00%
Telecommunications 2.08%
Equity % to Fund Mfg of Chemical Products 2.22%
HDFC Bank Limited 7.48% Mfg of Pharmaceuticals 2.57%
ICICI Bank Limited 5.11%
Mfg of Motor Vehicles 2.97%
Reliance Industries Limited 4.09%
Warehousing 3.33%
Infosys Limited 3.77%
Axis Bank Limited Computer Programming 7.72%
2.09%
Larsen & Toubro Limited 2.00% Mfg of Coke &Refined Petroleum 9.89%
ITC Limited 1.82% Government Securities 18.56%
Tata Consultancy Services Limited 1.65% Financial Service Activities 31.41%
State Bank of India 1.29% Others 17.24%
Mahindra & Mahindra Ltd. 1.26%
Bajaj Finance Ltd 1.26%
Bharti Airtel Ltd 1.17%
NTPC Ltd. 1.04% Debt Maturity Profile
Kotak Mahindra Bank Limited 1.02%
Hindustan Unilever Limited 0.99% 100.00%
Maruti Suzuki India Ltd 0.95% 90.00%
80.00%
UltraTech Cement Limited 0.95% 70.00%
Bharti Airtel Ltd - Partly Paid 0.92% 60.00%
Titan Company Limited 50.00%
0.89% 38.57%
40.00%
HCL Technologies Limited 0.77% 30.00% 24.83% 22.92%
Sun Pharmaceutical Industries Limited 0.68% 20.00% 13.68%
Zomato Limited 10.00%
0.59%
0.00%
Tata Steel Limited 0.59% 0 - 1 Yr 1 - 3 Yrs 3 - 10 Yrs Above 10 Yrs
Hindalco Industries Limited 0.55%
Tech Mahindra Limited 0.55%
Dr Reddys Laboratories Limited 0.52%
Debt Rating Profile
Bajaj Finserv Ltd 0.51%
Bharat Electronics Ltd 0.51%
Power Grid Corporation of India Ltd 0.50%
Others 15.71%
Total 18.73%
Total 18.56%
Debt Parameters
Portfolio Yield (%) 7.23%
Avg Maturity (In Months) 114.26
Modified Duration (In Years) 4.97
Balanced Fund as on February 28, 2025
Fund objective : To invest in Debt and Equity securities so as to combine the stability of Debt instruments with the long term capital appreciation potential of
Equities.
AUM (` in Lakhs)
NAV : 36.3228
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Hybrid Fund
Period Returns (%) Benchmark Returns Mr Abhishek Agarwal - 1 22
Inception 9.31% 9.11% Mr Pranav Parekh - 8 11
10 Years 8.57% 8.92%
7 Years 9.11% 9.79% Asset Category F&U Mandate % of Actual
5 Years 11.34% 11.72% Money Market Insts
0% to 20% 0.29%
3 Years 8.32% 8.86% Public Deposits
2 Years 11.08% 11.96% Govt. Securities
0% to 60% 39.00%
1 Year 3.67% 3.29% Corporate Bonds
6 Months -7.59% -7.09% Equity 40% to 80% 59.76%
1 Month -4.05% -3.94% Net Current Assets - 0.95%
#60% BSE-100 40% CRISIL Composite Bond Fund Index
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Electricity,Gas & AC Supply 2.06%
Telecommunications 2.19%
Equity % to Fund Mfg of Chemical Products 2.25%
HDFC Bank Limited 7.25% Mfg of Pharmaceuticals 2.52%
ICICI Bank Limited 4.92%
Civil Engineering 2.69%
Reliance Industries Limited 3.99%
Mfg of Motor Vehicles 2.93%
Infosys Limited 3.68%
Axis Bank Limited Mfg of Coke &Refined Petroleum 4.39%
2.04%
Larsen & Toubro Limited 1.95% Computer Programming 7.53%
ITC Limited 1.78% Government Securities 24.93%
Tata Consultancy Services Limited 1.61% Financial Service Activities 32.31%
Kotak Mahindra Bank Limited 1.29% Others 16.22%
State Bank of India 1.26%
Bajaj Finance Ltd 1.23%
Mahindra & Mahindra Ltd. 1.23%
Bharti Airtel Ltd 1.21% Debt Maturity Profile
NTPC Ltd. 0.99%
Bharti Airtel Ltd - Partly Paid 0.97% 100.00%
Hindustan Unilever Limited 90.00%
0.97%
80.00%
UltraTech Cement Limited 0.96% 70.00%
Maruti Suzuki India Ltd 0.95% 60.00%
47.18%
Titan Company Limited 0.87% 50.00%
40.00% 36.03%
HCL Technologies Limited 0.75%
30.00%
Sun Pharmaceutical Industries Limited 0.67% 20.00% 14.42%
Zomato Limited 0.60% 10.00%
2.37%
Tata Steel Limited 0.00%
0.58%
0 - 1 Yr 1 - 3 Yrs 3 - 10 Yrs Above 10 Yrs
Hindalco Industries Limited 0.54%
Tech Mahindra Limited 0.54%
Dr Reddys Laboratories Limited 0.51%
Debt Rating Profile
Power Grid Corporation of India Ltd 0.50%
Others 15.89%
Sovereign
Debentures/Bonds % to Fund
AA+
HDFC Bank Ltd 2.86%
AAA
LIC Housing Finance Ltd 1.80%
Mahindra and Mahindra Financial Services Ltd 63.93%
1.52%
3.23%
Bajaj Finance Ltd 1.50%
Bharti Telecom Ltd 1.21%
Larsen & Toubro Ltd 0.73%
Power Finance Corporation Ltd 0.71%
State Bank of India 0.61%
Indian Railway Finance Corporation Ltd 0.54%
National Bank For Agriculture & Rural Development 0.48%
Others 2.11%
Total 14.07%
Total 24.93%
Debt Parameters
Portfolio Yield (%) 7.13%
Avg Maturity (In Months) 170.81
Modified Duration (In Years) 7.01
Highest NAV Guarantee Fund as on February 28, 2025
Fund objective : To Generate Returns from Hybrid asset Allocation Portfolio over 10 year Term of Fund
AUM (` in Lakhs)
NAV : 20.5577
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Hybrid Fund
Period Returns (%) Benchmark Returns Mr Nishit Dholakia 7 - 2
Inception 5.10% N/A Mr Pranav Parekh - 8 11
10 Years 4.40% N/A
7 Years 4.50% N/A Asset Category F&U Mandate % of Actual
5 Years 4.21% N/A Money Market Insts
3 Years 3.69% N/A Public Deposits
0% to 100% 88.55%
2 Years 4.66% N/A Govt. Securities
1 Year 3.98% N/A Corporate Bonds
6 Months 1.99% N/A Equity 0% to 100% 0.00%
1 Month 0.38% N/A Net Current Assets - 11.45%
#NA
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Total 76.79%
Debt Parameters
Portfolio Yield (%) 6.25%
Avg Maturity (In Months) 2.47
Modified Duration (In Years) 0.19
Debt Maturity Profile
100.00% 100.00%
90.00%
80.00%
0 - 1 Yr
Sovereign
100.00%
Short Term Fund as on February 28, 2025
Fund objective : To invest in Government securities, high grade corporate bonds and money market instruments with a maximum outstanding maturity limit of 3
years
AUM (` in Lakhs)
NAV : 23.6799
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Hybrid Fund
Period Returns (%) Benchmark Returns
Mr Kailash Lalwani 6 14 20
Inception 6.14% 7.77%
10 Years 5.25% 7.38%
7 Years 4.93% 7.21% Asset Category F&U Mandate % of Actual
5 Years 4.99% 6.49% Money Market Insts
3 Years 5.28% 6.42% Public Deposits
100% 100.00%
2 Years 6.65% 7.80% Govt. Securities
1 Year 6.83% 7.87% Corporate Bonds
6 Months 3.20% 3.67% Equity 0% 0.00%
1 Month 0.50% 0.54%
#CRISIL Short Term Bond Fund Index
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Electricity,Gas & AC Supply 2.43%
Debentures/Bonds % to Fund
Bajaj Finance Ltd 6.31% Mfg of Coke &Refined Petroleum 5.03%
Kotak Mahindra Prime Ltd. 5.82%
Sundaram Finance Ltd 5.81%
Financial Service Activities 29.46%
LIC Housing Finance Ltd 5.32%
IOT Utkal Energy Services Limited 5.03%
REC Limited 4.75% Government Securities 59.96%
Total 36.92%
Total 59.96%
38.11%
Debt Parameters
Portfolio Yield (%) 7.04% Sovereign
Fund objective : The fund aims to invest in Equity, Fixed Income Instruments, Liquid Mutual Funds and Money Market Instruments and actively manage the asset
allocation between these categories to provide benefits at least equal to the guaranteed benefits.
AUM (` in Lakhs)
NAV : 26.9077
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Hybrid Fund
Period Returns (%) Benchmark Returns Mr Nishit Dholakia 7 - 2
Inception 8.42% N/A Mr Pranav Parekh - 8 11
10 Years 7.13% N/A
7 Years 7.97% N/A Asset Category F&U Mandate % of Actual
5 Years 8.82% N/A Money Market Insts
0% to 40% 0.71%
3 Years 7.23% N/A Public Deposits
2 Years 10.61% N/A Govt. Securities
40% to 100% 41.04%
1 Year 0.88% N/A Corporate Bonds
6 Months -8.49% N/A Equity 0% to 60% 57.08%
1 Month -4.30% N/A Net Current Assets - 1.16%
#NA
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Civil Engineering 2.75%
Total 57.08%
Debentures/Bonds % to Fund
Embassy Office Parks REIT 7.10%
Cholamandalam Investment & Finance Company Ltd 6.96%
India Grid Trust 5.13%
IOT Utkal Energy Services Limited 4.85%
HDFC Bank Ltd 4.54%
Credila Financial Services Limited 2.83%
HDB Financial Services Ltd 2.03%
Bajaj Finance Ltd 0.69%
Mahindra and Mahindra Financial Services Ltd 0.28%
IDFC First Bank Limited 0.15%
Others 0.22%
Total 34.77%
Total 6.27%
Debt Parameters
Portfolio Yield (%) 7.44%
Avg Maturity (In Months) 41.97
Modified Duration (In Years) 2.64
Equity Plus Fund as on February 28, 2025
Fund objective : The Equity Plus Fund aims at least 80% of the equity exposure to be limited to Nifty constituent stocks at any point in time and the balance of the equity
AUM (` in Lakhs)
NAV : 29.4906
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Hybrid Fund
Period Returns (%) Benchmark Returns Mr Kailash Lalwani 6 14 20
Inception 10.65% 10.54% Mr Sumeet Hinduja 13 - 8
10 Years 9.83% 9.53%
7 Years 11.46% 11.25% Asset Category F&U Mandate % of Actual
5 Years 15.28% 14.58% Money Market Insts
0% to 20% 0.83%
3 Years 10.09% 9.62% Public Deposits
2 Years 12.59% 13.07% Govt. Securities
0% to 20% 0.23%
1 Year 0.71% 0.65% Corporate Bonds
6 Months -12.74% -12.33% Equity 80% to 100% 98.67%
1 Month -6.18% -5.89% Net Current Assets - 0.27%
#Nifty 50
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Mfg of Pharmaceuticals 3.60%
Total 98.67%
Debentures/Bonds % to Fund
LIC Housing Finance Ltd 0.23%
National Thermal Power Corporation Ltd 0.00%
Total 0.23%
Debt Parameters
Portfolio Yield (%) 6.55%
Avg Maturity (In Months) 7.74
Modified Duration (In Years) 0.56
Diversified Equity Fund as on February 28, 2025
Fund objective : The Diversified Equity Fund aims to generate long term capital appreciation by investing in high potential companies across the market cap spectrum
while taking active asset allocation calls in Equity, government securities, Money Market Instruments, Cash etc
AUM (` in Lakhs)
NAV : 36.5764
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Hybrid Fund
Period Returns (%) Benchmark Returns Mr Kailash Lalwani 6 14 20
Inception 12.92% 10.69% Mr Priyank Singhal 12 1 1
10 Years 12.30% 9.83%
7 Years 12.20% 11.29% Asset Category F&U Mandate % of Actual
5 Years 16.08% 15.27% Money Market Insts
0% to 40% 0.09%
3 Years 11.12% 10.47% Public Deposits
2 Years 14.01% 14.46% Govt. Securities
0% to 40% 0.00%
1 Year 2.03% 0.25% Corporate Bonds
6 Months -13.50% -14.02% Equity 60% to 100% 99.89%
1 Month -6.56% -6.69% Net Current Assets - 0.03%
#BSE-100
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Mfg of Tobacco Products 3.02%
ICICI Prudential Nifty Private Bank ETF - Nifty Private Bank Index 3.03% Financial Service Activities 27.19%
ITC Limited 3.02% Others 22.19%
Tata Consultancy Services Limited 2.78%
Mahindra & Mahindra Ltd. 2.08%
NTPC Ltd. 1.98%
Maruti Suzuki India Ltd 1.79% Debt Maturity Profile
Bajaj Finance Ltd 1.76%
100.00% 100.00%
HDFC NIFTY Private Bank ETF 1.75%
Dr Reddys Laboratories Limited 1.71%
Tech Mahindra Limited 1.70%
Hindustan Unilever Limited 1.70%
Tata Steel Limited 1.35% 90.00%
Total 99.89%
Debt Parameters
Portfolio Yield (%) 6.28%
Avg Maturity (In Months) 0.10
Modified Duration (In Years) 0.01
Bond Fund as on February 28, 2025
Fund objective : The Bond Fund aims to dynamically manage the allocation between government securities, Fixed Income instruments, Money Market instruments
and Cash with the intent to dynamically manage the duration at a level that delivers superior risk adjusted returns.
AUM (` in Lakhs)
SFIN Code : ULIF05601/08/13Bond Funds101 Equity Debt MMI & Others Total
Inception Date : 23 Jun 2014 - 44,391.24 1,902.73 46,293.97
NAV : 20.4369
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Hybrid Fund
Period Returns (%) Benchmark Returns
Mr Vineet Choraria 1 28 2
Inception 6.91% 8.00%
10 Years 6.11% 7.55%
7 Years 6.46% 7.53% Asset Category F&U Mandate % of Actual
5 Years 5.22% 6.40% Money Market Insts
0% to 60% 3.95%
3 Years 5.53% 6.43% Public Deposits
2 Years 7.30% 8.21% Govt. Securities
40% to 100% 95.89%
1 Year 7.20% 7.86% Corporate Bonds
6 Months 2.87% 3.32% Equity 0% 0.00%
1 Month -0.04% 0.18% Net Current Assets - 0.16%
#CRISIL Composite Bond Fund Index
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Mfg of Pharmaceuticals 0.02%
Warehousing 0.13%
Debentures/Bonds % to Fund
HDFC Bank Ltd 6.54% Civil Engineering 0.31%
LIC Housing Finance Ltd 5.20% Electricity,Gas & AC Supply 0.54%
Cholamandalam Investment & Finance Company Ltd 3.90%
Mahindra and Mahindra Financial Services Ltd 3.06% Other Financial Activities 1.34%
National Bank For Agriculture & Rural Development 2.24% Real Estate Activities 1.62%
Bajaj Finance Ltd 2.16%
Financial Service Activities 29.08%
Bharti Telecom Ltd 1.34%
ICICI Securities Primary Dealership Ltd 1.10% Government Securities 62.86%
Embassy Office Parks REIT 0.99%
Others 4.11%
Credila Financial Services Limited 0.95%
Others 5.55%
Total 62.86%
27.03%
Deposits, Money Mkt Securities and Net Current Assets. 4.11%
AA & below
Debt Parameters AA+
Portfolio Yield (%) 7.06% AAA
Avg Maturity (In Months) 137.92 6.43%
Fund objective : The Conservative Fund is a pure Debt Fund which invests in Government securities, high grade Fixed Income Instruments, Liquid Mutual Fund and
Money Market Instruments. The fund aims to deliver stable returns by investing in the short end of the yield curve to limit the volatility and risk of the Fund.
AUM (` in Lakhs)
NAV : 19.3238
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Hybrid Fund
Period Returns (%) Benchmark Returns
Mr Kailash Lalwani 6 14 20
Inception 6.38% 7.56%
10 Years 5.96% 7.38%
7 Years 5.85% 7.21% Asset Category F&U Mandate % of Actual
5 Years 5.12% 6.49% Money Market Insts
0% to 60% 0.70%
3 Years 5.18% 6.42% Public Deposits
2 Years 6.63% 7.80% Govt. Securities
40% to 100% 98.54%
1 Year 6.80% 7.87% Corporate Bonds
6 Months 3.16% 3.67% Equity 0% 0.00%
1 Month 0.49% 0.54% Net Current Assets - 0.77%
#CRISIL Short Term Bond Fund Index
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Total 43.81%
Debt Maturity Profile
Government Securities % to Fund
100.00%
7.37% GOI Mat 23-Oct-2028 8.52%
90.00%
7.18% Tamil Nadu SDL Mat 26-Jul-2027 3.48%
80.00%
8.37% Tamil Nadu SDL 06-Mar-2029 72.32%
3.35% 70.00%
8.28% GOI Mat 21-Sep-2027 3.33% 60.00%
7.10% GOI Sovereign Green Bond Mat 27-Jan-2028 3.29% 50.00%
7.61% Tamil Nadu SDL Mat 15-Feb-2027 3.25% 40.00%
30.00%
7.20% Gujarat SDL Mat 14-Jun-2027 3.22% 20.03%
20.00%
7.18% Maharashtra SDL Mat 08-Apr-2030 3.22%
10.00% 7.65%
Gsec C-STRIPS Mat 19-Sep-2027 2.66% 0.00%
Gsec C-STRIPS Mat 16-Jun-2027 2.62% 0 - 1 Yr 1 - 3 Yrs 3 - 10 Yrs
Others 17.79%
NAV : 16.5064
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Hybrid Fund
Period Returns (%) Benchmark Returns
Mr Vineet Choraria 1 28 2
Inception 5.47% 7.46%
10 Years N/A N/A
7 Years 5.64% 7.53% Asset Category F&U Mandate % of Actual
5 Years 4.48% 6.40% Money Market Insts
0% to 20% 0.72%
3 Years 4.69% 6.43% Public Deposits
2 Years 6.50% 8.21% Govt. Securities
80% to 100% 96.90%
1 Year 6.26% 7.86% Corporate Bonds
6 Months 2.47% 3.32% Equity 0% 0.00%
1 Month -0.10% 0.18% Net Current Assets - 2.38%
#CRISIL Composite Bond Fund Index
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Civil Engineering 0.51%
6.98% GOI Sovereign Green Bond Mat 16-Dec-2054 1.13% 0 - 1 Yr 1 - 3 Yrs 3 - 10 Yrs Above 10 Yrs
7.45% Karnataka SDL Mat 20-Mar-2037 0.72%
Others 0.89%
Debt Rating Profile
Total 60.99%
Deposits, Money Mkt Securities and Net Current Assets. 3.10% 31.31%
Sovereign
Grand Total 100.00% AA & below
AA+
Debt Parameters
AAA
Portfolio Yield (%) 7.10% 62.94%
Avg Maturity (In Months) 4.22%
142.87
1.53%
Modified Duration (In Years) 6.29
Pension Equity Plus Fund as on February 28, 2025
Fund objective : The Pension Equity Plus Fund aims at least 80% of the equity exposure to be limited to Nifty constituent stocks at any point in time and the balance
of the equity exposure in non-Nifty constituent stocks
AUM (` in Lakhs)
NAV : 26.6076
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Hybrid Fund
Period Returns (%) Benchmark Returns
Mr Sumeet Hinduja 13 - 8
Inception 10.97% 11.20%
10 Years N/A N/A
7 Years 11.06% 11.25% Asset Category F&U Mandate % of Actual
5 Years 15.18% 14.58% Money Market Insts
0% to 20% 1.02%
3 Years 9.96% 9.62% Public Deposits
2 Years 12.76% 13.07% Govt. Securities
0% to 20% 0.00%
1 Year 0.97% 0.65% Corporate Bonds
6 Months -12.55% -12.33% Equity 80% to 100% 98.65%
1 Month -6.19% -5.89% Net Current Assets - 0.33%
#Nifty 50
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Electricity,Gas & AC Supply 2.90%
Total 98.65%
Debt Parameters
Portfolio Yield (%) 6.28%
Avg Maturity (In Months) 0.10
Modified Duration (In Years) 0.01
Capital Growth Fund as on February 28, 2025
Fund objective : Capital Growth Fund aims to provide medium to long term capital appreciation by investing in a portfolio of companies which can perform
through economic and market cycles. In addition up to 20% of the Fund may be invested in Money Market Instruments and Fixed Income Securities.
AUM (` in Lakhs)
NAV : 25.6107
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Hybrid Fund
Period Returns (%) Benchmark Returns
Mr Priyank Singhal 12 1 1
Inception 11.90% 11.88%
10 Years N/A N/A
7 Years 10.19% 11.29% Asset Category F&U Mandate % of Actual
5 Years 13.93% 15.27% Money Market Insts
0% to 20% 11.56%
3 Years 8.26% 10.47% Public Deposits
2 Years 8.75% 14.46% Govt. Securities
0% to 20% 0.00%
1 Year -5.30% 0.25% Corporate Bonds
6 Months -17.86% -14.02% Equity 80% to 100% 88.41%
1 Month -7.93% -6.69% Net Current Assets - 0.03%
#BSE-100
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Insurance and Pension Funding 3.65%
Total 88.41%
Debt Parameters
Portfolio Yield (%) 6.28%
Avg Maturity (In Months) 0.10
Modified Duration (In Years) 0.01
Capital Secure Fund as on February 28, 2025
Fund objective : Capital Secure Fund aims to provide superior returns through investments in high credit quality Debt instruments while maintaining an optimal
level of interest rate risk. In addition up to 20% of the Fund may be invested in cash and Money Market Instruments, Liquid Mutual Funds and Deposits to facilitate
the day-to-day running of the Fund. Fund management would involve continual monitoring and credit evaluations with rigorous buy and sell disciplines to
AUM (` in Lakhs)
NAV : 15.0915
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Hybrid Fund
Period Returns (%) Benchmark Returns
Mr Vineet Choraria 1 28 2
Inception 5.04% 6.95%
10 Years N/A N/A
7 Years 5.41% 7.53% Asset Category F&U Mandate % of Actual
5 Years 4.47% 6.40% Money Market Insts
0% to 20% 3.31%
3 Years 4.81% 6.43% Public Deposits
2 Years 6.49% 8.21% Govt. Securities
80% to 100% 95.02%
1 Year 6.33% 7.86% Corporate Bonds
6 Months 2.44% 3.32% Equity 0% 0.00%
1 Month -0.11% 0.18% Net Current Assets - 1.67%
#CRISIL Composite Bond Fund Index
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Civil Engineering 1.00%
100.00%
Government Securities % to Fund
90.00%
7.10% GOI Mat 08-Apr-2034 27.74% 80.00%
7.18% GOI Mat 14-Aug-2033 5.83% 70.00% 63.74%
7.34% GOI Mat 22-Apr-2064 5.79% 60.00%
7.09% GOI Mat 05-Aug-2054 4.88% 50.00%
40.00%
6.92% GOI Mat 18-Nov-2039 3.73%
30.00% 22.73%
7.09% GOI Mat 25-Nov-2074 2.69% 20.00%
7.61% GOI Mat 09-May-2030 2.20% 9.91%
10.00%
3.62%
7.59% GOI Mat 20-Mar-2029 1.46% 0.00%
6.98% GOI Sovereign Green Bond Mat 16-Dec-2054 1.43% 0 - 1 Yr 1 - 3 Yrs 3 - 10 Yrs Above 10 Yrs
Total 58.88%
Deposits, Money Mkt Securities and Net Current Assets. 4.98% 33.55%
Sovereign
Grand Total 100.00%
AA+
AAA
Debt Parameters
61.96%
Portfolio Yield (%) 7.08%
Avg Maturity (In Months) 139.35 4.49%
Modified Duration (In Years) 6.19
Policy Discontinued Fund - Life as on February 28, 2025
Fund objective : The Fund aims to deliver steady returns through investments in low risk Money Market instruments and Government securities.
AUM (` in Lakhs)
NAV : 24.0684
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Hybrid Fund
Period Returns (%) Benchmark Returns
Mr Vineet Choraria 1 28 2
Inception 6.48% N/A
10 Years 5.79% N/A
7 Years 5.38% N/A Asset Category F&U Mandate % of Actual
5 Years 5.01% N/A Money Market Insts 0% to 40% 6.15%
3 Years 5.79% N/A Public Deposits 0% 0.00%
2 Years 6.53% N/A Govt. Sec (Including Tbills) 60% to 100% 93.12%
1 Year 6.72% N/A Corporate Bonds
0% 0.00%
6 Months 3.22% N/A Equity
1 Month 0.53% N/A Net Current Assets - 0.72%
#NA
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
100.00%
Deposits, Money Mkt Securities and Net Current Assets. 6.88% 90.00%
80.00% 77.22%
Grand Total 100.00% 70.00%
60.00%
50.00%
Debt Parameters
40.00%
Portfolio Yield (%) 6.58%
30.00%
22.75%
Avg Maturity (In Months) 8.43 20.00%
Modified Duration (In Years) 0.67 10.00%
0.03%
0.00%
0 - 1 Yr 1 - 3 Yrs 3 - 10 Yrs
Sovereign
AAA
97.72%
Policy Discontinued Fund - Pension as on February 28, 2025
Fund objective : The Fund aims to deliver steady returns through investments in low risk Money Market instruments and Government securities.
AUM (` in Lakhs)
NAV : 19.59
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Hybrid Fund
Period Returns (%) Benchmark Returns
Mr Vineet Choraria 1 28 2
Inception 6.07% N/A
10 Years 5.71% N/A
7 Years 5.29% N/A Asset Category F&U Mandate % of Actual
5 Years 4.93% N/A Money Market Insts 0% to 40% 4.90%
3 Years 5.78% N/A Public Deposits 0% 0.00%
2 Years 6.53% N/A Govt. Sec (Including Tbills) 60% to 100% 94.61%
1 Year 6.72% N/A Corporate Bonds
0% 0.00%
6 Months 3.22% N/A Equity
1 Month 0.53% N/A Net Current Assets - 0.49%
#NA
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
100.00%
Deposits, Money Mkt Securities and Net Current Assets. 5.39% 90.16%
90.00%
80.00%
Grand Total 100.00% 70.00%
60.00%
Debt Parameters 50.00%
40.00%
Portfolio Yield (%) 6.63%
30.00%
Avg Maturity (In Months) 5.99 20.00%
Modified Duration (In Years) 0.47 9.84%
10.00%
0.00%
0 - 1 Yr 1 - 3 Yrs
Sovereign
AAA
96.96%
Discovery Fund as on February 28, 2025
Fund objective : The Fund aims to deliver long term growth of capital by investing predominantly in mid-cap companies. The fund will invest up to 100% in mid-cap
stocks which are defined as stocks with market cap falling within the market capitalisation range in the underlying benchmark Nifty free float midcap index (getting
renamed as Nifty Midcap 100 index). The fund can also invest up to 25% of the portfolio in stocks falling outside the mid-cap index market cap range. The fund may
also invest up to 10% of the portfolio in fixed income instruments, money market instruments, cash, deposits and liquid mutual funds.
AUM (` in Lakhs)
NAV : 34.5476
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Hybrid Fund
Period Returns (%) Benchmark Returns Mr Nishit Dholakia 7 - 2
Inception 21.04% 14.52%
10 Years N/A N/A
7 Years N/A N/A Asset Category F&U Mandate % of Actual
5 Years 25.52% 23.34% Money Market Insts
0% to 10% 8.58%
3 Years 16.72% 19.29% Public Deposits
2 Years 24.48% 26.13% Govt. Securities
0% to 10% 0.00%
1 Year 4.79% -0.87% Corporate Bonds
6 Months -14.43% -19.18% Equity 90% to 100% 91.90%
1 Month -8.04% -10.79% Net Current Assets - -0.48%
#Nifty MidCap 100
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Retail Trade 3.17%
Total 91.90%
Debt Parameters
Portfolio Yield (%) 6.16%
Avg Maturity (In Months) 0.10
Modified Duration (In Years) 0.01