monthly investment update october 2018 · accelerator mid-cap fund october 2018 fund # # 1

65
Monthly Investment Update October 2018

Upload: others

Post on 26-Sep-2020

2 views

Category:

Documents


0 download

TRANSCRIPT

Page 1: Monthly Investment Update October 2018 · Accelerator Mid-Cap Fund October 2018 Fund # # 1

Monthly Investment Update October 2018

Page 2: Monthly Investment Update October 2018 · Accelerator Mid-Cap Fund October 2018 Fund # # 1

EQUITY FUNDS

Accelerator Mid-Cap Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1Equity Growth Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 2Equity Index Fund II . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3Pure Stock Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 4Premier Equity Growth Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 5Premier Equity Index Fund. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 6Equity Growth Fund II. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 7Accelerator Mid-Cap Fund II . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 8Accelerator Mid-Cap Pension Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 9Equity Growth Pension Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 10Equity Index Pension Fund II . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 11Pure Stock Pension Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 12Equity Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 13Equity Gain Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 14Equity Index Fund. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 15Equity Index Pension Fund. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 16Equity Mid-Cap Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 17Equity Midcap Plus Pension Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 18Equity Mid-Cap Plus Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 19Equity Plus Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 20Equity Plus Pension Fund. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 21Premier Equity Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 22Premier Equity Gain Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 23Pure Equity Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 24Blue Chip Equity Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 25Pure Stock Fund II. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 26

Index

HYBRID FUNDS

Asset Allocation Fund. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 27Asset Allocation Pension Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 29Asset Allocation Fund II . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 30

DEBT FUNDS

Bond Fund. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 32Premier Bond Fund. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 33Bond Pension Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 34Debt Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 35Debt Plus Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 36Debt Plus Pension Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 37Life Long Gain Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 38Premier Debt Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 39

LIQUID FUNDS

GUARANTEE FUNDS

Liquid Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 40Liquid Pension Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 41Cash Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 42Cash Plus Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 43Cash Plus Pension Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 44

Max Gain Fund I . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 45Max Gain Fund II. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 46Shield Plus Fund I . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 47Shield Plus Fund II . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 48Shield Plus Fund III . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 49

Page 3: Monthly Investment Update October 2018 · Accelerator Mid-Cap Fund October 2018 Fund # # 1

GUARANTEE FUNDS

Growth Plus Fund I . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 50Growth Plus Fund II . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 51Growth Plus Fund III . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 52Assured Return Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 53Guaranteed Bond Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 54Shield Plus Fund- IV . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 55Pension Builder Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 56Balanced Equity Fund. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 57Builder Bond Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 58

Index

DISCONTINUED FUNDS

Discontinued Pension Policy Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 59Discontinued Life Policy Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 60

Page 4: Monthly Investment Update October 2018 · Accelerator Mid-Cap Fund October 2018 Fund # # 1

Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd

Asset ClassAsset

Allocation FundsCashFunds

DebtFunds

Equity FundsLarge Cap

Equity FundsMid Cap

IndexFunds

EthicalFunds

Type FUND NAMES SFIN Code 1 Month 2 Year3 month 3 Year6 month 5 Year1 Year

Absolute Return CAGR Return

Returns sinceInception CAGR

Inception Date

Equity Shares 50.41% 88.62% 88.01% 97.63% 84.79%0.00% 0.00%

Money Market Instruments 18.07% 100.00% 40.29% 11.31% 11.47% 2.26% 15.21%

Fixed Deposits 1.20% 0.74% 0.07% 0.52% 0.11% 0.00% 0.00%

Non Convertible Debentures 20.98% 31.22% 0.00% 0.00% 0.00% 0.00% 0.00%

Govt Securities 9.34% 27.75% 0.00% 0.00% 0.00% 0.00% 0.00%

Grand Total 100.00% 100.00% 100.00% 100.00% 100.00% 100.00% 100.00%

Fund Performance Summary

AS

SE

T P

RO

FIL

EFU

ND

PE

RFO

RM

AN

CE

SU

MM

AR

Y

Asset Allocation Fund ULIF04528/09/07ASSETALLOC116 -1.98% -4.55% -1.98% 1.96% 7.63% 8.15% 12.62% 9.69% 01-Oct-07

Asset Allocation Fund II ULIF07205/12/13ASSETALL02116 -2.18% -5.06% -2.51% 1.68% 7.51% 8.08% - 10.46% 31-Mar-14

Asset Allocation Pension Fund ULIF04628/01/08ASALLOCPEN116 -1.90% -4.35% -1.81% 2.46% 8.03% 8.54% 13.24% 9.69% 27-Jan-08

-2.80% -5.23% -1.20% 1.17% 7.97% 8.29% 10.07%

Cash Fund Cash Fund ULIF00215/01/04CASHFUNDLI116 0.36% 1.10% 2.25% 4.15% 4.14% 4.68% 5.50% 5.92% 15-Jan-04

Cash Fund Cash Plus Fund ULIF01023/07/04CASHPLUSFU116 0.54% 1.59% 3.20% 6.08% 6.10% 6.74% 7.53% 7.92% 23-Jul-04

Cash Fund Cash Plus Pension Fund ULIF01618/11/04CASHPLUPEN116 0.49% 1.62% 3.23% 6.11% 6.04% 6.72% 7.45% 8.14% 18-Nov-04

Cash Fund Liquid Fund ULIF02510/07/06LIQUIDFUND116 0.48% -0.65% 0.87% 3.56% 4.71% 5.66% 6.79% 7.88% 10-Jul-06

Cash Fund Liquid Pension Fund ULIF04124/07/06LIQPENFUND116 0.47% -0.78% 0.74% 3.37% 4.49% 5.57% 6.62% 7.89% 24-Jul-06

Crisil Liquid Fund Index 0.64% 1.88% 3.78% 7.32% 7.01% 7.21% 7.86%

Debt Fund Debt Fund ULIF00415/01/04DEBTFUNDLI116 1.11% 1.16% 1.84% 0.74% 1.60% 4.46% 6.42% 5.90% 15-Jan-04

Debt Fund Debt Plus Fund ULIF00923/07/04DEBTPLUSFU116 1.30% 1.78% 2.93% 3.05% 4.35% 5.99% 8.03% 7.81% 23-Jul-04

Debt Fund Debt Plus Pension Fund ULIF01518/11/04DEBTPLUPEN116 1.42% 1.91% 3.12% 2.68% 4.59% 7.32% 8.67% 8.59% 18-Nov-04

Debt Fund Premier Debt Fund ULIF02317/12/05PRERDEBTFU116 1.12% 1.29% 1.97% 1.10% 1.95% 4.67% 6.39% 6.95% 17-Dec-05

Debt Fund Life Long Gain Fund ULIF01123/07/04LIFELOGAIN116 1.30% 1.47% 2.39% 0.94% 2.29% 4.77% 6.35% 5.08% 23-Jul-04

Debt Fund Bond Fund ULIF02610/07/06BONDFUNDLI116 1.21% 1.44% 2.45% 2.10% 4.18% 6.59% 8.40% 8.57% 10-Jul-06

Debt Fund Premier Bond Fund ULIF02821/07/06PREMIRBOND116 1.18% 1.17% 1.66% 0.57% 1.34% 3.94% 5.75% 6.34% 21-Jul-06

Debt Fund Bond Pension Fund ULIF03524/07/06BONDPENFUN116 1.11% 1.55% 2.57% 2.47% 3.44% 5.40% 7.70% 8.56% 24-Jul-06

Crisil Composite Bond Fund Index 1.24% 0.94% 2.44% 1.74% 4.43% 6.78% 8.58%

Large Cap Fund Equity Gain Fund ULIF00523/07/04EQGAINFUND116 -3.48% -8.27% -5.58% 0.98% 9.85% 9.75% 14.04% 15.51% 23-Jul-04

Large Cap Fund Equity Plus Fund ULIF00723/07/04EQPLUSFUND116 -3.37% -7.96% -4.83% 2.54% 11.56% 11.83% 15.12% 16.61% 23-Jul-04

Large Cap Fund Equity Plus Pension Fund ULIF01218/11/04EQUPLUSPEN116 -3.39% -8.07% -5.00% 2.22% 11.62% 11.40% 14.92% 17.53% 18-Nov-04

Large Cap Fund Premier Equity Gain Fund ULIF02217/12/05PREREQGAIN116 -3.48% -8.28% -5.47% 1.30% 10.68% 10.39% 13.92% 13.23% 17-Dec-05

Large Cap Fund Equity Growth Fund ULIF02924/07/06EQGROWFUND116 -3.28% -7.91% -4.48% 2.42% 11.08% 11.11% 14.51% 11.82% 24-Jul-06

Large Cap Fund Equity Growth Fund II ULIF05106/01/10EQTYGROW02116 -3.07% -7.61% -4.23% 3.22% 11.57% 11.97% 15.48% 13.72% 06-Jan-10

Large Cap Fund Premier Equity Growth Fund ULIF03824/07/06PREMEQGROW116 -3.63% -8.60% -6.05% 0.57% 10.08% 9.85% 13.24% 11.25% 24-Jul-06

Large Cap Fund Equity Growth Pension Fund ULIF03624/07/06EQTYGROPEN116 -3.42% -8.48% -5.48% 1.87% 11.66% 11.48% 14.82% 13.04% 24-Jul-06

Nifty 50 Index -4.98% -8.54% -3.28% 0.50% 9.61% 8.78% 10.51%

Mid Cap Fund Equity Midcap Fund ULIF01709/03/05EQUMIDFUND116 -1.46% -8.93% -11.55% -8.39% 8.54% 11.52% 18.27% 14.65% 09-Mar-05

Mid Cap Fund Equity Midcap Plus Fund ULIF01809/03/05EQUMIDPLUS116 -1.33% -8.57% -10.87% -7.48% 9.86% 12.93% 20.42% 17.66% 09-Mar-05

Mid Cap Fund Equity Midcap Pension Fund ULIF01909/03/05EQUMIDCPEN116 -1.33% -8.56% -10.85% -7.49% 9.59% 12.64% 23.50% 19.69% 09-Mar-05

Mid Cap Fund Accelerator Mid Cap Fund ULIF03124/07/06ACCEMIDCAP116 -1.35% -8.75% -11.13% -7.28% 9.68% 13.78% 22.90% 15.05% 24-Jul-06

Mid Cap Fund Accelerator Mid Cap Fund II ULIF05206/01/10ACCMIDCA02116 -1.20% -8.47% -10.94% -6.96% 10.22% 14.26% 23.12% 14.12% 06-Jan-10

Mid Cap Fund Accelerator Midcap Pension Fund ULIF03324/07/06ACCEMIDPEN116 -1.36% -8.65% -10.84% -7.52% 9.80% 13.27% 23.01% 15.76% 24-Jul-06

NIfty Midcap 50 Index 2.34% -5.59% -13.37% -7.67% 7.39% 12.65% 17.80%

Index Fund Equity Fund ULIF00315/01/04EQUITYFUND116 -4.81% -7.45% -2.47% -0.75% 8.13% 7.34% 8.88% 10.46% 15-Jan-04

Index Fund Equity Index Fund ULIF00623/07/04EQINDEFUND116 -4.60% -7.03% -1.61% 0.85% 9.76% 8.94% 10.41% 13.86% 23-Jul-04

Index Fund Equity Index Pension Fund ULIF01318/11/04EQINDEXPEN116 -4.60% -7.03% -1.59% 0.93% 9.78% 8.99% 10.56% 13.25% 18-Nov-04

Index Fund Premier Equity Fund ULIF02117/12/05PRMREQFUND116 -4.91% -7.56% -2.57% -0.76% 8.06% 7.31% 8.90% 9.50% 17-Dec-05

Index Fund Equity Index Fund II ULIF03024/07/06EQTYINDX02116 -5.33% -8.12% -3.60% -0.77% 8.20% 7.58% 9.49% 9.91% 24-Jul-06

Index Fund Premier Equity Index Fund ULIF03924/07/06PREREQINDX116 -4.62% -7.49% -2.91% -1.39% 7.39% 6.63% 8.16% 8.50% 24-Jul-06

Index Fund Equity Index Pension Fund II ULIF03724/07/06EQINDPEN02116 -4.70% -7.15% -1.75% 0.83% 9.57% 8.72% 10.18% 10.18% 24-Jul-06

Index Fund Blue Chip Equity Fund ULIF06026/10/10BLUECHIPEQ116 -4.58% -6.94% -1.60% 1.06% 9.61% 8.73% 10.20% 7.53% 01-Nov-10

Nifty 50 Index -4.98% -8.54% -3.28% 0.50% 9.61% 8.78% 10.51%

Ethical Fund Pure Equity Fund ULIF02017/12/05PUREEQFUND116 -4.18% -6.15% -5.28% -1.11% 10.15% 10.17% 17.07% 15.08% 17-Dec-05

Ethical Fund Pure Stock Fund ULIF02721/07/06PURESTKFUN116 -3.78% -5.38% -4.50% 0.03% 11.16% 10.93% 17.75% 15.62% 21-Jul-06

Ethical Fund Pure Stock Fund II ULIF07709/01/17PURSTKFUN2116 -3.52% -4.77% -3.83% 0.94% - - - 6.39% 05-Jun-17

Ethical Fund Pure Stock Pension Fund ULIF04717/04/08PURESTKPEN116 -0.10% -4.88% -5.15% -2.70% 8.61% 8.54% 16.18% 15.37% 17-Apr-08

Nifty 50 Index -4.98% -8.54% -3.28% 0.50% 9.61% 8.78% 10.51%

Others Assured Return Fund ULIF06127/01/11ASSRDRETRN116 0.90% 1.50% 2.75% 2.99% 4.69% 6.27% 7.74% 7.39% 28-Jan-11

Others Balanced Equity Fund ULIF07413/05/15BALEQTYFND116 0.12% 0.01% 1.92% 1.68% 5.14% - - 7.00% 08-Mar-16

Others Builder Bond Fund ULIF07313/05/15BLDRBNDFND116 1.35% 1.71% 2.72% 2.69% 2.71% - - 5.35% 08-Mar-16

Others Discontinue Pension Policy Fund ULIF07126/03/13DISCONPENS116 0.49% 1.46% 2.91% 5.75% 5.74% 5.19% - 5.02% 09-Sep-15

Others Discontinued Life Policy Fund ULIF07026/03/13DISCONLIFE116 0.51% 1.15% 2.65% 5.53% 5.71% 6.03% - 5.74% 28-Jan-15

Others Growth Plus Fund I ULIF05414/01/10GROWPLUS01116 0.64% 1.12% 2.48% 3.49% 5.14% 6.29% 7.46% 7.04% 12-Jan-10

Asset Allocation Fund

Asset Allocation Fund

Asset Allocation Fund

CRISIL Balanced Fund – Aggressive Index

Page 5: Monthly Investment Update October 2018 · Accelerator Mid-Cap Fund October 2018 Fund # # 1

Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd

Fund Performance Summary

Type FUND NAMES SFIN Code 1 Month 2 Year3 month 3 Year6 month 5 Year1 Year

Absolute Return CAGR Return

Returns sinceInception CAGR

Inception Date

FU

ND

PE

RFO

RM

AN

CE

SU

MM

AR

Y

Others Growth Plus Fund II ULIF05510/05/10GROWPLUS02116 -4.60% -7.00% -1.86% 0.78% 9.48% 8.67% 10.42% 7.03% 07-May-10

Others Growth Plus Fund III ULIF05926/10/10GROWPLUS03116 -4.58% -7.04% -1.71% 1.03% 9.52% 8.73% 16.61% 13.96% 01-Nov-10

Others Guaranteed Bond Fund ULIF06322/09/11GTEBONDFND116 0.90% 1.62% 3.16% 4.48% 5.91% 7.12% 8.38% 8.26% 05-Dec-11

Others Max Gain Fund I ULIF05017/12/09MAXGAINF01116 0.70% 1.19% 2.45% 2.97% 3.95% 4.87% 7.77% 7.38% 15-Dec-09

Others Max Gain Fund II ULIF05814/09/10MAXGAINF02116 0.59% 1.07% 2.37% 2.58% 6.69% 7.12% 8.81% 7.65% 14-Sep-10

Others Pension Builder Fund ULIF06908/02/13PENSIONBUI116 0.97% 1.00% 2.06% 2.45% 3.41% 5.86% - 6.01% 01-Dec-14

Others Shield Plus Fund I ULIF05313/01/10SHIELDPL01116 0.71% 1.48% 2.93% 4.58% 6.36% 7.35% 8.84% 7.95% 12-Jan-10

Others Shield Plus Fund II ULIF05610/05/10SHIELDPL02116 0.67% 1.54% 3.12% 5.19% 6.82% 7.57% 9.39% 8.39% 07-May-10

Others Shield Plus Fund III ULIF05711/08/10SHIELDPL03116 0.70% 1.08% 2.22% 2.09% 4.82% 6.49% 8.63% 7.93% 09-Aug-10

Others Shield Plus Fund IV ULIF06220/04/11SHIELDPL04116 1.05% 1.31% 2.50% 2.64% 5.01% 6.56% 7.95% 7.96% 18-Apr-11

Benchmark

Page 6: Monthly Investment Update October 2018 · Accelerator Mid-Cap Fund October 2018 Fund # # 1

Equity 89.90%

MphasiS Limited Computer Programming, Consultancy and Related Activities 4.10%

Glenmark Pharmaceuticals Manufacture of Pharma, Medicinal Limited Chemical and Botanical Products 3.61%

Gayatri Projects Limited Civil Engineering (Infra) 3.48%

National Aluminium Company Limited Manufacture of Basic Metals 3.44%

MRF Limited Manufacture of Rubber and Plastics Products 3.38%

Automotive Axles Limited Manufacture of Motor Vehicles, Trailers and Semi-Trailers 3.13%

HCL Technologies Limited Computer Programming, Consultancy and Related Activities 2.95%

Aurobindo Pharma Limited Manufacture of Pharma, Medicinal Chemical and Botanical Products 2.73%

Tech Mahindra Limited Computer Programming, Consultancy and Related Activities 2.70%

Ksb Limited Manufacture of Machinery and Equipment N.E.C. 2.68%

Others 57.70%

Money Market, Deposits & Other 10.10%

Total 100.00%

Description

SFIN Number ULIF03124/07/06ACCEMIDCAP116

Launch Date 24-Jul-06

Face Value 10

Risk Profile Very High

Benchmark NIFTY Midcap 50 Index

Fund Manager Name Sampath Reddy, Reshma Banda

Number of funds managed by fund manager: Sampath Reddy Reshma Banda

Equity 19 28

Debt - -

Hybrid 9 25

NAV as on 31-October-18 55.9175

AUM (Rs. Cr) 479.26

Equity 89.90%

Debt 10.38%

Net current asset -0.28%

Fund Details Fund Objective

To achieve capital appreciation by investing in a diversified basket of mid cap stocks and large cap stocks.

Accelerator Mid-Cap Fund

October 2018

Company/Issuer Sector/Rating Exposure (%)

Portfolio

Growth of Rs. 100

Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance

PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception

Fund

Benchmark

*Others includes Equity, CBLO, Net receivable/payable and FD

Asset Class Rating Profile Top 10 Sectors

Portfolio Allocation

Actual (%) Stated (%)

Equity* 60 - 100

-Large Cap Stocks

-Mid Cap Stocks

Bank deposits and money market instruments 0 - 40

Net Current Assets #

Total

#Net current asset represents net of receivables and payables for investments held.

* Minimum 50% allocation to mid cap stocks

-1.35% -11.13% -7.28% 9.68% 13.78% 15.05%

2.34% -13.37% -7.67% 7.39% 12.65% 9.48%

Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd

Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.

1

89.90

32.61

67.39

10.38

-0.28

100.00

12.30%10.88% 10.38%

7.71% 7.29% 7.07%5.88% 5.82% 4.86% 4.72%

0%

20%

Co

mp

ute

r P

rogr

amm

ing,

Co

nsu

ltan

cy a

nd

Rel

ated

Aci

viie

s

Man

ufa

ctu

re o

f P

har

ma,

Med

icin

al C

hem

ical

an

dB

ota

nic

al P

rod

uct

s

Go

vern

men

t o

f In

dia

Man

ufa

ctu

re o

f B

asic

Met

als

Man

ufa

ctu

re o

f C

hem

ical

san

d C

hem

ical

Pro

du

cts

Man

ufa

ctu

re o

f M

ach

iner

yan

d E

qu

ipm

ent

N.E

.C.

Man

ufa

ctu

re o

f M

oto

rV

ehic

les,

Tra

ilers

an

d S

emi-

Trai

lers

Fin

anci

al a

nd

Insu

ran

ceA

civi

ies

Man

ufa

ctu

re o

f Fo

od

Pro

du

cts

Man

ufa

ctu

re o

f R

ub

ber

an

dP

lasi

cs P

rod

uct

s

50

140

230

320

410

500

590

680

Jul-06 Jul-07 Aug-08 Aug-09 Aug-10 Aug-11 Sep-12 Sep-13 Sep-14 Sep-15 Sep-16 Oct-17 Oct-18

Fund Benchmark

Page 7: Monthly Investment Update October 2018 · Accelerator Mid-Cap Fund October 2018 Fund # # 1

Equity 88.69%

HDFC Bank Limited Financial and Insurance Activities 8.24%

Infosys Limited Computer Programming, Consultancy and Related Activities 7.89%

ITC Limited Manufacture of Tobacco Products 6.67%

ICICI Bank Limited Financial and Insurance Activities 4.92%

Reliance Industries Limited Manufacture of Coke and Refined Petroleum Products 4.24%

Kotak Mahindra Bank Limited Financial and Insurance Activities 3.57%

Housing Development Finance Corporation Limited Financial and Insurance Activities 3.00%

Hindalco Industries Limited Manufacture of Basic Metals 2.87%

HCL Technologies Limited Computer Programming, Consultancy and Related Activities 2.66%

Pfizer Limited Manufacture of Pharma, Medicinal and Botanical Products 2.65%

Others 41.98%

Money Market, Deposits & Other 11.31%

Total 100.00%

Fund ObjectiveTo provide capital appreciation through investment in select equity stocks those have the potential for capital appreciation.

Equity Growth Fund

October 2018

Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance

PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception

Fund

Benchmark

Asset Class Rating Profile

*Others includes Equity, CBLO, Net receivable/payable and FD

Description

SFIN Number ULIF02924/07/06EQGROWFUND116

Launch Date 24-Jul-06

Face Value 10

Risk Profile Very High

Benchmark Nifty 50 Index

Fund Manager Name Sampath Reddy, Reshma Banda

Number of funds managed by fund manager: Sampath Reddy Reshma Banda

Equity 19 28

Debt - -

Hybrid 9 25

NAV as on 31-October-18 39.4201

AUM (Rs. Cr) 2,802.40

Equity 88.69%

Debt 11.29%

Net current asset 0.02%

Fund Details

Company/Issuer Sector/Rating Exposure (%)

Portfolio

Top 10 Sectors

Growth of Rs. 100

Portfolio Allocation

Actual (%) Stated (%)

Equity 60 - 100

Bank deposits and money market instruments 0 - 40

Net Current Assets #

Total #Net current asset represents net of receivables and payables for investments held.

-3.28% -4.48% 2.42% 11.08% 11.11% 11.82%

-4.98% -3.28% 0.50% 9.61% 8.78% 10.69%

Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd

Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.

2

88.69

11.29

0.02

100.00

22.75%

14.47%10.97% 10.12%

6.74% 6.67% 4.91% 4.74% 3.86% 2.81%

0%

20%

40%

Fin

anci

al a

nd

Insu

ran

ceA

civi

ies

Co

mp

ute

r P

rogr

amm

ing,

Co

nsu

ltan

cy a

nd

Rel

ated

Aci

viie

s

Go

vern

men

t o

f In

dia

Man

ufa

ctu

re o

f P

har

ma,

Med

icin

al C

hem

ical

an

dB

ota

nic

al P

rod

uct

s

Man

ufa

ctu

re o

f C

hem

ical

s an

dC

hem

ical

Pro

du

cts

Man

ufa

ctu

re o

f To

bac

coP

rod

uct

s

Man

ufa

ctu

re o

f C

oke

an

dR

efin

ed P

etro

leu

m P

rod

uct

s

Man

ufa

ctu

re o

f B

asic

Met

als

Man

ufa

ctu

re o

f Fo

od

Pro

du

cts

Man

ufa

ctu

re o

f M

oto

r V

ehic

les,

Trai

lers

an

d S

emi-

Trai

lers

50

100

150

200

250

300

350

400

450

Jul-06 Jul-07 Aug-08 Aug-09 Aug-10 Aug-11 Sep-12 Sep-13 Sep-14 Sep-15 Sep-16 Oct-17 Oct-18

Fund Benchmark

Page 8: Monthly Investment Update October 2018 · Accelerator Mid-Cap Fund October 2018 Fund # # 1

Fund Objective

Equity Index Fund II

To provide capital appreciation through investment in equities forming part of National Stock Exchange NIFTY.

October 2018

Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance

PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception

Fund

Benchmark

*Others includes Equity, CBLO, Net receivable/payable and FD

Description

Fund Details

Equity 96.50%

HDFC Bank Limited Financial and Insurance Activities 8.55%

Reliance Industries Limited Manufacture of Coke and Refined Petroleum Products 8.45%

Infosys Limited Computer Programming, Consultancy and Related Activities 7.61%

ITC Limited Manufacture of Tobacco Products 7.21%

Housing Development FinanceCorporation Limited Financial and Insurance Activities 5.00%

Larsen & Toubro Limited Civil Engineering (Infra) 4.12%

Hindustan Unilever Limited Manufacture of Chemicals and Chemical Products 4.02%

ICICI Bank Limited Financial and Insurance Activities 2.44%

Mahindra & Mahindra Limited Manufacture of Machinery and Equipment N.E.C. 2.37%

Asian Paints Limited Manufacture of Chemicals and Chemical Products 2.34%

Others 44.39%

Money Market, Deposits & Other 3.50%

Total 100.00%

Company/Issuer Sector/Rating Exposure (%)

Portfolio

Top 10 Sectors

Growth of Rs. 100

SFIN Number ULIF03024/07/06EQTYINDX02116

Launch Date 24-Jul-06

Face Value 10

Risk Profile High

Benchmark Nifty 50 Index

Fund Manager Name Reshma Banda

Number of funds managed by fund manager:

Equity 28

Debt -

Hybrid 25

NAV as on 31-October-18 31.9184

AUM (Rs. Cr) 2,185.53

Equity 96.50%

Debt 1.37%

Net current asset 2.13%

Portfolio Allocation

Actual (%) Stated (%)

Equity 60 - 100

Bank deposits and money market instruments 0 - 40

Net Current Assets #

Total #Net current asset represents net of receivables and payables for investments held.

-5.33% -3.60% -0.77% 8.20% 7.58% 9.91%

-4.98% -3.28% 0.50% 9.61% 8.78% 10.69%

Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd

Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.

3

96.50

1.37

2.13

100.00

Asset Class Rating Profile

70

120

170

220

270

320

370

420

Jul-06 Jul-07 Aug-08 Aug-09 Aug-10 Aug-11 Sep-12 Sep-13 Sep-14 Sep-15 Sep-16 Oct-17 Oct-18

Fund Benchmark

23.10%

14.11%11.09%

7.21% 6.95% 6.47%4.35% 4.12% 3.73% 2.47%

0%

20%

40%

Fin

anci

al a

nd

Insu

ran

ce

Ac�

vi�

es

Co

mp

ute

r P

rogr

amm

ing,

Co

nsu

ltan

cy

and

Re

late

d A

c�vi

�e

s

Man

ufa

ctu

re o

f Co

ke a

nd

Re

fin

ed

Pe

trol

eum

Pro

duct

s

Man

ufa

ctu

re o

f To

bac

co

Pro

du

cts

Man

ufa

ctu

re o

f Ch

em

ical

s an

d C

he

mic

al P

rodu

cts

Man

ufa

ctu

re o

f P

har

ma,

Me

dic

inal

Ch

emic

al

and

Bo

tan

ical

Pro

duc

ts

Ele

ctri

city

, Gas

, Ste

am a

nd

A

irco

nd

i�o

n Su

pp

ly (I

nfr

a)

Civ

il E

ngi

nee

rin

g (I

nfra

)

Man

ufa

ctu

re o

f Mo

tor

Veh

icle

s, T

raile

rs a

nd

Sem

i-Tr

aile

rs

Man

ufa

ctu

re o

f Bas

ic M

eta

ls

Page 9: Monthly Investment Update October 2018 · Accelerator Mid-Cap Fund October 2018 Fund # # 1

Fund ObjectiveTo specifically exclude companies dealing in gambling, contests, liquor, entertainment (films, TV etc.), hotels, banks and financial institutions.

Pure Stock Fund

October 2018

Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance

PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception

Fund

Benchmark

Asset Class Rating Profile

*Others includes Equity, CBLO, Net receivable/payable and FD

Description

Fund Details

Top 10 Sectors

Growth of Rs. 100

Portfolio Allocation

Actual (%) Stated (%)

Equity 60 - 100

Government treasury bills (Non-interest bearing) 0 - 40

Net Current Assets #

Total

#Net current asset represents net of receivables and payables for investments held.

-3.78% -4.50% 0.03% 11.16% 10.93% 15.62%

-4.98% -3.28% 0.50% 9.61% 8.78% 10.80%

Equity 84.64%

Reliance Industries Limited Manufacture of Coke and Refined Petroleum Products 6.31%

Infosys Limited Computer Programming, Consultancy and Related Activities 5.57%

Nestle India Limited Manufacture of Food Products 3.68%

Larsen & Toubro Limited Civil Engineering (Infra) 3.52%

Hindalco Industries Limited Manufacture of Basic Metals 3.37%

Mahindra & Mahindra Limited Manufacture of Machinery and Equipment N.E.C. 2.48%

MphasiS Limited Computer Programming, Consultancy and Related Activities 2.33%

Glenmark Pharmaceuticals Manufacture of Pharma, Medicinal Limited Chemical and Botanical Products 2.28%

HCL Technologies Limited Computer Programming, Consultancy and Related Activities 2.25%

Aurobindo Pharma Limited Manufacture of Pharma, Medicinal Chemical and Botanical Products 2.04%

Others 50.81%

Money Market, Deposits & Other 15.36%

Total 100.00%

Company/Issuer Sector/Rating Exposure (%)

Portfolio

SFIN Number ULIF02721/07/06PURESTKFUN116

Launch Date 21-Jul-06

Face Value 10

Risk Profile Very High

Benchmark Nifty 50 Index

Fund Manager Name Sampath Reddy, Reshma Banda

Number of funds managed by fund manager: Sampath Reddy Reshma Banda

Equity 19 28

Debt - -

Hybrid 9 25

NAV as on 31-October-18 59.4920

AUM (Rs. Cr) 1,160.30

Equity 84.64%

Debt 15.05%

Net current asset 0.31%

Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd

Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.

4

84.64

15.05

0.31

100.00

15.05% 14.70%

11.13%9.10%

7.98% 7.07% 6.51%5.46% 4.76% 4.75%

0%

20%

Go

vern

men

t o

f In

dia

Co

mp

ute

r P

rogr

amm

ing,

Co

nsu

ltan

cy a

nd

Rel

ated

Aci

viie

s

Man

ufa

ctu

re o

f P

har

ma,

Med

icin

al C

hem

ical

an

dB

ota

nic

al P

rod

uct

s

Man

ufa

ctu

re o

f C

hem

ical

san

d C

hem

ical

Pro

du

cts

Man

ufa

ctu

re o

f C

oke

an

dR

efin

ed P

etro

leu

m P

rod

uct

s

Man

ufa

ctu

re o

f Fo

od

Pro

du

cts

Man

ufa

ctu

re o

f B

asic

Met

als

Man

ufa

ctu

re o

f M

oto

rV

ehic

les,

Tra

ilers

an

d S

emi-

Trai

lers

Man

ufa

ctu

re o

f M

ach

iner

yan

d E

qu

ipm

ent

N.E

.C.

Civ

il En

gin

eeri

ng

(In

fra)

0

100

200

300

400

500

600

700

Jul-06 Jul-07 Aug-08 Aug-09 Aug-10 Aug-11 Aug-12 Sep-13 Sep-14 Sep-15 Sep-16 Oct-17 Oct-18

Fund Benchmark

Page 10: Monthly Investment Update October 2018 · Accelerator Mid-Cap Fund October 2018 Fund # # 1

Equity 93.21%

HDFC Bank Limited Financial and Insurance Activities 8.72%

Infosys Limited Computer Programming, Consultancy and Related Activities 7.49%

ITC Limited Manufacture of Tobacco Products 7.04%

ICICI Bank Limited Financial and Insurance Activities 4.88%

Reliance Industries Limited Manufacture of Coke and Refined Petroleum Products 4.63%

Kotak Mahindra Bank Limited Financial and Insurance Activities 4.11%

Hindalco Industries Limited Manufacture of Basic Metals 3.11%

Yes Bank Limited Financial and Insurance Activities 3.06%

Pfizer Limited Manufacture of Pharma, Medicinal Chemical and Botanical Products 2.93%

Nestle India Limited Manufacture of Food Products 2.87%

Others 44.38%

Money Market, Deposits & Other 6.79%

Total 100.00%

Fund ObjectiveTo provide capital appreciation through investment in selected equity stocks that have the potential for capital appreciation.

Premier Equity Growth Fund

October 2018

Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance

PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception

Fund

Benchmark

Asset Class Rating Profile

*Others includes Equity, CBLO, Net receivable/payable and FD

Description

SFIN Number ULIF03824/07/06PREMEQGROW116

Launch Date 24-Jul-06

Face Value 10

Risk Profile Very High

Benchmark Nifty 50 Index

Fund Manager Name Sampath Reddy, Reshma Banda

Number of funds managed by fund manager: Sampath Reddy Reshma Banda

Equity 19 28

Debt - -

Hybrid 9 25

NAV as on 31-October-18 37.0263

AUM (Rs. Cr) 20.36

Equity 93.21%

Debt 6.73%

Net current asset 0.06%

Fund Details

Company/Issuer Sector/Rating Exposure (%)

Portfolio

Top 10 Sectors

Growth of Rs. 100

Portfolio Allocation

Actual (%) Stated (%)

Equity* 60 - 100

Bank deposits and money market instruments 0 - 40

Net Current Assets #

Total #Net current asset represents net of receivables and payables for investments held.

*Including Share Warrants

-3.63% -6.05% 0.57% 10.08% 9.85% 11.25%

-4.98% -3.28% 0.50% 9.61% 8.78% 10.69%

Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd

Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.

5

93.21

6.73

0.06

100.00

23.74%

13.75%10.69%

7.29% 7.04% 6.73% 5.14% 5.11% 4.50% 3.04%

0%

20%

40%

Fin

anci

al a

nd

Insu

ran

ceA

civi

ies

Co

mp

ute

r P

rogr

amm

ing,

Co

nsu

ltan

cy a

nd

Rel

ated

Aci

viie

s

Man

ufa

ctu

re o

f P

har

ma,

Med

icin

al C

hem

ical

an

dB

ota

nic

al P

rod

uct

s

Man

ufa

ctu

re o

f C

hem

ical

san

d C

hem

ical

Pro

du

cts

Man

ufa

ctu

re o

f To

bac

coP

rod

uct

s

Go

vern

men

t o

f In

dia

Man

ufa

ctu

re o

f C

oke

an

dR

efin

ed P

etro

leu

m P

rod

uct

s

Man

ufa

ctu

re o

f B

asic

Met

als

Man

ufa

ctu

re o

f Fo

od

Pro

du

cts

Man

ufa

ctu

re o

f M

oto

rV

ehic

les,

Tra

ilers

an

d S

emi-

Trai

lers

0

50

100

150

200

250

300

350

400

450

Jul-06 Aug-07 Aug-08 Aug-09 Aug-10 Sep-11 Sep-12 Sep-13 Sep-14 Oct-15 Oct-16 Oct-17 Oct-18

Fund Benchmark

Page 11: Monthly Investment Update October 2018 · Accelerator Mid-Cap Fund October 2018 Fund # # 1

Fund ObjectiveTo provide capital appreciation through investment in equities forming part of NSE NIFTY.

Premier Equity Index Fund

October 2018

Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance

PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception

Fund

Benchmark

Asset Class Rating Profile

*Others includes Equity, CBLO, Net receivable/payable and FD

Description

SFIN Number ULIF03924/07/06PREREQINDX116

Launch Date 24-Jul-06

Face Value 10

Risk Profile High

Benchmark Nifty 50 Index

Fund Manager Name Reshma Banda

Number of funds managed by fund manager:

Equity 28

Debt -

Hybrid 25

NAV as on 31-October-18 27.2171

AUM (Rs. Cr) 14.54

Equity 97.43%

Debt -

Net current asset 2.57%

Fund Details

Top 10 Sectors

Growth of Rs. 100

Portfolio Allocation

Actual (%) Stated (%)

Equity 60 - 100

Bank deposits and money market instruments 0 - 40

Net Current Assets #

Total #Net current asset represents net of receivables and payables for investments held.

-4.62% -2.91% -1.39% 7.39% 6.63% 8.50%

-4.98% -3.28% 0.50% 9.61% 8.78% 10.69%

Company/Issuer Sector/Rating Exposure (%)

Portfolio

Equity 97.43%

Reliance Industries Limited Manufacture of Coke and Refined Petroleum Products 7.74%

ITC Limited Manufacture of Tobacco Products 7.62%

HDFC Bank Limited Financial and Insurance Activities 7.57%

Infosys Limited Computer Programming, Consultancy and Related Activities 7.47%

ICICI Bank Limited Financial and Insurance Activities 5.64%

Hindustan Unilever Limited Manufacture of Chemicals and Chemical Products 5.31%

Larsen & Toubro Limited Civil Engineering (Infra) 4.20%

Housing Development Finance Corporation Limited Financial and Insurance Activities 3.46%

Maruti Suzuki India Limited Manufacture of Motor Vehicles, Trailers and Semi-Trailers 3.42%

Tata Steel Limited Manufacture of Basic Metals 2.72%

Others 42.28%

Money Market, Deposits & Other 2.57%

Total 100.00%

Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd

Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.

6

97.43

-

2.57

100.00

20.89%

13.91%9.34% 8.17% 7.62% 6.35% 5.49% 4.20% 4.01% 3.54%

0%

20%

40%

Fin

anci

al a

nd

Insu

ran

ceA

civi

ies

Co

mp

ute

r P

rogr

amm

ing,

Co

nsu

ltan

cy a

nd

Rel

ated

Aci

viie

s

Man

ufa

ctu

re o

f C

oke

an

dR

efin

ed P

etro

leu

m P

rod

uct

s

Man

ufa

ctu

re o

f C

hem

ical

san

d C

hem

ical

Pro

du

cts

Man

ufa

ctu

re o

f To

bac

coP

rod

uct

s

Man

ufa

ctu

re o

f P

har

ma,

Med

icin

al C

hem

ical

an

dB

ota

nic

al P

rod

uct

s

Man

ufa

ctu

re o

f M

oto

rV

ehic

les,

Tra

ilers

an

d S

emi-

Trai

lers

Civ

il En

gin

eeri

ng

(In

fra)

Elec

tric

ity,

Gas

, Ste

am a

nd

Air

con

diio

n S

up

ply

(In

fra)

Man

ufa

ctu

re o

f B

asic

Met

als

0

50

100

150

200

250

300

350

400

Jul-06 Jul-07 Aug-08 Aug-09 Aug-10 Aug-11 Sep-12 Sep-13 Sep-14 Sep-15 Sep-16 Oct-17 Oct-18

Fund Benchmark

Page 12: Monthly Investment Update October 2018 · Accelerator Mid-Cap Fund October 2018 Fund # # 1

22.93%

13.86%10.65% 10.45%

6.60% 6.41% 5.00% 4.76% 4.00% 3.26%

0%

20%

40%

Fin

anci

al a

nd

Insu

ran

ceA

civi

ies

Co

mp

ute

r P

rogr

amm

ing,

Co

nsu

ltan

cy a

nd

Rel

ated

Aci

viie

s

Go

vern

men

t o

f In

dia

Man

ufa

ctu

re o

f P

har

ma,

Med

icin

al C

hem

ical

an

dB

ota

nic

al P

rod

uct

s

Man

ufa

ctu

re o

f C

hem

ical

san

d C

hem

ical

Pro

du

cts

Man

ufa

ctu

re o

f To

bac

coP

rod

uct

s

Man

ufa

ctu

re o

f C

oke

an

dR

efin

ed P

etro

leu

m P

rod

uct

s

Man

ufa

ctu

re o

f B

asic

Met

als

Man

ufa

ctu

re o

f Fo

od

Pro

du

cts

Man

ufa

ctu

re o

f M

oto

rV

ehic

les,

Tra

ilers

an

d S

emi-

Trai

lers

Equity 89.44%

HDFC Bank Limited Financial and Insurance Activities 7.91%

Infosys Limited Computer Programming, Consultancy and Related Activities 7.74%

ITC Limited Manufacture of Tobacco Products 6.41%

ICICI Bank Limited Financial and Insurance Activities 5.43%

Reliance Industries Limited Manufacture of Coke and Refined Petroleum Products 4.12%

Housing Development Finance Corporation Limited Financial and Insurance Activities 3.55%

Kotak Mahindra Bank Limited Financial and Insurance Activities 3.38%

Hindalco Industries Limited Manufacture of Basic Metals 2.77%

Pfizer Limited Manufacture of Pharma, Medicinal Chemical and Botanical Products 2.61%

HCL Technologies Limited Computer Programming, Consultancy and Related Activities 2.56%

Others 42.97%

Money Market, Deposits & Other 10.56%

Total 100.00%

Fund ObjectiveTo provide capital appreciation through investment in selected equity stocks that have the potential for capital appreciation.

Equity Growth Fund II

October 2018

Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance

PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception

Fund

Benchmark

Asset Class Rating Profile

*Others includes Equity, CBLO, Net receivable/payable and FD

Company/Issuer Sector/Rating Exposure (%)

Portfolio

Top 10 Sectors

Growth of Rs. 100

Portfolio Allocation

Actual (%) Stated (%)

Equity 60 - 100

Bank deposits and money market instruments 0 - 40

#Net Current Assets

Total #Net current asset represents net of receivables and payables for investments held.

-3.07% -4.23% 3.22% 11.57% 11.97% 13.72%

-4.98% -3.28% 0.50% 9.61% 8.78% 7.97%

Description

SFIN Number ULIF05106/01/10EQTYGROW02116

Launch Date 06-Jan-10

Face Value 10

Risk Profile Very High

Benchmark Nifty 50 Index

Fund Manager Name Sampath Reddy, Reshma Banda

Number of funds managed by fund manager: Sampath Reddy Reshma Banda

Equity 19 28

Debt - -

Hybrid 9 25

NAV as on 31-October-18 31.0869

AUM (Rs. Cr) 1,621.31

Equity 89.44%

Debt 10.65%

Net current asset -0.09%

Fund Details

Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd

Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.

7

89.44

10.65

-0.09

100.00

50

100

150

200

250

300

350

Jan-10 Feb-11 Mar-12 Apr-13 May-14 Jun-15 Jul-16 Sep-17 Oct-18

Fund Benchmark

Page 13: Monthly Investment Update October 2018 · Accelerator Mid-Cap Fund October 2018 Fund # # 1

Equity 89.47%

MphasiS Limited Computer Programming, Consultancy and Related Activities 4.09%

Glenmark Pharmaceuticals Manufacture of Pharma, Medicinal Limited Chemical and Botanical Products 3.61%

Gayatri Projects Limited Civil Engineering (Infra) 3.47%

MRF Limited Manufacture of Rubber and Plastics Products 3.38%

National Aluminium Company Limited Manufacture of Basic Metals 3.21%

Automotive Axles Limited Manufacture of Motor Vehicles, Trailers and Semi-Trailers 3.12%

HCL Technologies Limited Computer Programming, Consultancy and Related Activities 2.95%

Aurobindo Pharma Limited Manufacture of Pharma, Medicinal Chemical and Botanical Products 2.72%

Tech Mahindra Limited Computer Programming, Consultancy and Related Activities 2.69%

Ksb Limited Manufacture of Machinery and Equipment N.E.C. 2.67%

Others 57.56%

Money Market, Deposits & Other 10.53%

Total 100.00%

Fund Objective

To achieve capital appreciation by investing in a diversified basket of mid cap stocks and large cap stocks.

Accelerator Mid-Cap Pension Fund

October 2018

Company/Issuer Sector/Rating Exposure (%)

Portfolio

Growth of Rs. 100

Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance

PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception

Fund

Benchmark

Asset Class Rating Profile

-1.36% -10.84% -7.52% 9.80% 13.27% 15.76%

2.34% -13.37% -7.67% 7.39% 12.65% 9.48%

Portfolio Allocation

Actual (%) Stated (%)

Equity* 60 - 100

-Large Cap Stocks

-Mid Cap Stocks

Bank deposits and money market instruments 0 - 40

Net Current Assets #

Total

#Net current asset represents net of receivables and payables for investments held.* Minimum 50% allocation to mid cap stocks

Description

SFIN Number ULIF03324/07/06ACCEMIDPEN116

Launch Date 24-Jul-06

Face Value 10

Risk Profile Very High

Benchmark NIFTY Midcap 50 Index

Fund Manager Name Sampath Reddy, Reshma Banda

Number of funds managed by fund manager: Sampath Reddy Reshma Banda

Equity 19 28

Debt - -

Hybrid 9 25

NAV as on 31-October-18 60.3044

AUM (Rs. Cr) 53.12

Equity 89.47%

Debt 10.73%

Net current asset -0.20%

Fund Details

Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd

Top 10 Sectors

Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.

8

89.47

32.70

67.30

10.73

-0.20

100.00

12.27%10.86% 10.73%

7.47% 7.27% 7.05%5.87% 5.80% 4.85% 4.71%

0%

20%

Co

mp

ute

r P

rogr

amm

ing,

Co

nsu

ltan

cy a

nd

Rel

ated

Aci

viie

s

Man

ufa

ctu

re o

f P

har

ma,

Med

icin

al C

hem

ical

an

dB

ota

nic

al P

rod

uct

s

Go

vern

men

t o

f In

dia

Man

ufa

ctu

re o

f B

asic

Met

als

Man

ufa

ctu

re o

f C

hem

ical

san

d C

hem

ical

Pro

du

cts

Man

ufa

ctu

re o

f M

ach

iner

yan

d E

qu

ipm

ent

N.E

.C.

Man

ufa

ctu

re o

f M

oto

rV

ehic

les,

Tra

ilers

an

d S

emi-

Trai

lers

Fin

anci

al a

nd

Insu

ran

ceA

civi

ies

Man

ufa

ctu

re o

f Fo

od

Pro

du

cts

Man

ufa

ctu

re o

f R

ub

ber

an

dP

lasi

cs P

rod

uct

s

0

100

200

300

400

500

600

700

800

Jul-06 Jul-07 Aug-08 Aug-09 Aug-10 Aug-11 Sep-12 Sep-13 Sep-14 Sep-15 Sep-16 Oct-17 Oct-18

Fund Benchmark

Page 14: Monthly Investment Update October 2018 · Accelerator Mid-Cap Fund October 2018 Fund # # 1

Equity 87.93%

MphasiS Limited Computer Programming, Consultancy and Related Activities 3.83%

Glenmark Pharmaceuticals Manufacture of Pharma, Medicinal Limited Chemical and Botanical Products 3.40%

MRF Limited Manufacture of Rubber and Plastics Products 3.38%

Gayatri Projects Limited Civil Engineering (Infra) 3.26%

National Aluminium Company Limited Manufacture of Basic Metals 3.17%

Automotive Axles Limited Manufacture of Motor Vehicles, Trailers and Semi-Trailers 3.07%

HCL Technologies Limited Computer Programming, Consultancy and Related Activities 2.80%

Ksb Limited Manufacture of Machinery and Equipment N.E.C. 2.62%

Aurobindo Pharma Limited Manufacture of Pharma, Medicinal Chemical and Botanical Products 2.58%

Tech Mahindra Limited Computer Programming, Consultancy and Related Activities 2.56%

Others 57.26%

Money Market, Deposits & Other 12.07%

Total 100.00%

Fund Objective

To achieve capital appreciation by investing in a diversified basket of mid cap stocks and large cap stocks.

Accelerator Mid-Cap Fund II

October 2018

Portfolio Allocation

Actual (%) Stated (%)

Equity* 60 - 100

-Large Cap Stocks

-Mid Cap Stocks

Bank deposits and money market instruments 0 - 40

Net Current Assets #

Total

#Net current asset represents net of receivables and payables for investments held.* Minimum 50% allocation to mid cap stocks

Company/Issuer Sector/Rating Exposure (%)

Portfolio

Quantitative Indicators Modified Duration 0.33

Growth of Rs. 100

Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance

PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception

Fund

Benchmark

*Others includes Equity, CBLO, Net receivable/payable and FD

Top 10 Sectors

-1.20% -10.94% -6.96% 10.22% 14.26% 14.12%

2.34% -13.37% -7.67% 7.39% 12.65% 6.30%

Description

SFIN Number ULIF05206/01/10ACCMIDCA02116

Launch Date 06-Jan-10

Face Value 10

Risk Profile Very High

Benchmark NIFTY Midcap 50 Index

Fund Manager Name Sampath Reddy, Reshma Banda

Number of funds managed by fund manager: Sampath Reddy Reshma Banda

Equity 19 28

Debt - -

Hybrid 9 25

NAV as on 31-October-18 32.0590

AUM (Rs. Cr) 1,640.60

Equity 87.93%

Debt 12.64%

Net current asset -0.57%

Fund Details

Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd

Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.

9

87.93

33.05

66.95

12.64

-0.57

100.00

11.59%10.33%

7.83% 7.77% 7.15% 6.73% 6.68% 5.92%4.69% 4.67%

0%

20%

Co

mp

ute

r P

rogr

amm

ing,

Co

nsu

ltan

cy a

nd

Rel

ated

Aci

viie

s

Man

ufa

ctu

re o

f P

har

ma,

Med

icin

al C

hem

ical

an

dB

ota

nic

al P

rod

uct

s

Go

vern

men

t o

f In

dia

Man

ufa

ctu

re o

f B

asic

Met

als

Man

ufa

ctu

re o

f C

hem

ical

s an

dC

hem

ical

Pro

du

cts

Man

ufa

ctu

re o

f M

ach

iner

yan

d E

qu

ipm

ent

N.E

.C.

Fin

anci

al a

nd

Insu

ran

ceA

civi

ies

Man

ufa

ctu

re o

f M

oto

rV

ehic

les,

Tra

ilers

an

d S

emi-

Trai

lers

Man

ufa

ctu

re o

f Fo

od

Pro

du

cts

Man

ufa

ctu

re o

f R

ub

ber

an

dP

lasi

cs P

rod

uct

s

50

100

150

200

250

300

350

400

Jan-10 Feb-11 Mar-12 Apr-13 May-14 Jun-15 Jul-16 Sep-17 Oct-18

Fund Benchmark

Page 15: Monthly Investment Update October 2018 · Accelerator Mid-Cap Fund October 2018 Fund # # 1

Fund ObjectiveTo provide capital appreciation through investment in selected equity stocks those have the potential for capital appreciation.

Equity Growth Pension Fund

October 2018

Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance

PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception

Fund

Benchmark

Asset Class Rating Profile

*Others includes Equity, CBLO, Net receivable/payable and FD

Description

SFIN Number ULIF03624/07/06EQTYGROPEN116

Launch Date 24-Jul-06

Face Value 10

Risk Profile Very High

Benchmark Nifty 50 Index

Fund Manager Name Sampath Reddy, Reshma Banda

Number of funds managed by fund manager: Sampath Reddy Reshma Banda

Equity 19 28

Debt - -

Hybrid 9 25

NAV as on 31-October-18 45.0258

AUM (Rs. Cr) 87.64

Equity 88.70%

Debt 11.16%

Net current asset 0.14%

Fund Details

Equity 88.70%

HDFC Bank Limited Financial and Insurance Activities 8.27%

Infosys Limited Computer Programming, Consultancy and Related Activities 7.39%

ITC Limited Manufacture of Tobacco Products 6.67%

ICICI Bank Limited Financial and Insurance Activities 4.64%

Reliance Industries Limited Manufacture of Coke and Refined Petroleum Products 4.39%

Kotak Mahindra Bank Limited Financial and Insurance Activities 3.90%

Hindalco Industries Limited Manufacture of Basic Metals 2.94%

Yes Bank Limited Financial and Insurance Activities 2.91%

Pfizer Limited Manufacture of Pharma, Medicinal Chemical and Botanical Products 2.78%

Nestle India Limited Manufacture of Food Products 2.74%

Others 42.09%

Money Market, Deposits & Other 11.30%

Total 100.00%

Company/Issuer Sector/Rating Exposure (%)

Portfolio

Top 10 Sectors

Growth of Rs. 100

Portfolio Allocation

Actual (%) Stated (%)

Equity 60 - 100

Bank deposits and money market instruments 0 - 40

Net Current Assets #

Total #Net current asset represents net of receivables and payables for investments held.

-3.42% -5.48% 1.87% 11.66% 11.48% 13.04%

-4.98% -3.28% 0.50% 9.61% 8.78% 10.69%

Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd

Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.

10

88.70

11.16

0.14

100.00

22.51%

13.36%11.16% 10.13%

6.93% 6.67% 4.87% 4.84% 4.30% 2.89%

0%

20%

40%

Fin

anci

al a

nd

Insu

ran

ceA

civi

ies

Co

mp

ute

r P

rogr

amm

ing,

Co

nsu

ltan

cy a

nd

Rel

ated

Aci

viie

s

Go

vern

men

t o

f In

dia

Man

ufa

ctu

re o

f P

har

ma,

Med

icin

al C

hem

ical

an

dB

ota

nic

al P

rod

uct

s

Man

ufa

ctu

re o

f C

hem

ical

san

d C

hem

ical

Pro

du

cts

Man

ufa

ctu

re o

f To

bac

coP

rod

uct

s

Man

ufa

ctu

re o

f C

oke

an

dR

efin

ed P

etro

leu

m P

rod

uct

s

Man

ufa

ctu

re o

f B

asic

Met

als

Man

ufa

ctu

re o

f Fo

od

Pro

du

cts

Man

ufa

ctu

re o

f M

oto

rV

ehic

les,

Tra

ilers

an

d S

emi-

Trai

lers

50

100

150

200

250

300

350

400

450

500

550

Jul-06 Jul-07 Aug-08 Aug-09 Aug-10 Aug-11 Sep-12 Sep-13 Sep-14 Sep-15 Sep-16 Oct-17 Oct-18

Fund Benchmark

Page 16: Monthly Investment Update October 2018 · Accelerator Mid-Cap Fund October 2018 Fund # # 1

Equity 96.70%

HDFC Bank Limited Financial and Insurance Activities 8.21%

Infosys Limited Computer Programming, Consultancy and Related Activities 8.16%

Reliance Industries Limited Manufacture of Coke and Refined Petroleum Products 7.65%

ITC Limited Manufacture of Tobacco Products 7.42%

ICICI Bank Limited Financial and Insurance Activities 5.61%

Hindustan Unilever Limited Manufacture of Chemicals and Chemical Products 5.09%

Larsen & Toubro Limited Civil Engineering (Infra) 4.13%

Housing Development Finance Corporation Limited Financial and Insurance Activities 3.56%

Maruti Suzuki India Limited Manufacture of Motor Vehicles, Trailers and Semi-Trailers 3.34%

Tata Steel Limited Manufacture of Basic Metals 2.56%

Others 40.96%

Money Market, Deposits & Other 3.30%

Total 100.00%

Fund ObjectiveTo provide capital appreciation through investment in equities forming part of NSE NIFTY.

Equity Index Pension Fund II

October 2018

Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance

PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception

Fund

Benchmark

Asset Class Rating Profile

*Others includes Equity, CBLO, Net receivable/payable and FD

Description

SFIN Number ULIF03724/07/06EQINDPEN02116

Launch Date 24-Jul-06

Face Value 10

Risk Profile High

Benchmark Nifty 50 Index

Fund Manager Name Reshma Banda

Number of funds managed by fund manager:

Equity 28

Debt -

Hybrid 25

NAV as on 31-October-18 32.8686

AUM (Rs. Cr) 142.72

Equity 96.70%

Debt 3.27%

Net current asset 0.03%

Fund Details

Company/Issuer Sector/Rating Exposure (%)

Portfolio

Top 10 Sectors

Growth of Rs. 100

Portfolio Allocation

Actual (%) Stated (%)

Equity 60 - 100

Bank deposits and money market instruments 0 - 40

Net Current Assets #

Total #Net current asset represents net of receivables and payables for investments held.

-4.70% -1.75% 0.83% 9.57% 8.72% 10.18%

-4.98% -3.28% 0.50% 9.61% 8.78% 10.69%

Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd

Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.

11

96.70

3.27

0.03

100.00

21.53%

14.26%9.31% 7.90% 7.42% 6.18% 5.49% 4.13% 3.96% 3.43%

0%

20%

40%

Fin

anci

al a

nd

Insu

ran

ceA

civi

ies

Co

mp

ute

r P

rogr

amm

ing,

Co

nsu

ltan

cy a

nd

Rel

ated

Aci

viie

s

Man

ufa

ctu

re o

f C

oke

an

dR

efin

ed P

etro

leu

m P

rod

uct

s

Man

ufa

ctu

re o

f C

hem

ical

san

d C

hem

ical

Pro

du

cts

Man

ufa

ctu

re o

f To

bac

coP

rod

uct

s

Man

ufa

ctu

re o

f P

har

ma,

Med

icin

al C

hem

ical

an

dB

ota

nic

al P

rod

uct

s

Man

ufa

ctu

re o

f M

oto

rV

ehic

les,

Tra

ilers

an

d S

emi-

Trai

lers

Civ

il En

gin

eeri

ng

(In

fra)

Elec

tric

ity,

Gas

, Ste

am a

nd

Air

con

diio

n S

up

ply

(In

fra)

Man

ufa

ctu

re o

f B

asic

Met

als

70

120

170

220

270

320

370

420

Jul-06 Jul-07 Aug-08 Aug-09 Aug-10 Aug-11 Sep-12 Sep-13 Sep-14 Sep-15 Sep-16 Oct-17 Oct-18

Fund Benchmark

Page 17: Monthly Investment Update October 2018 · Accelerator Mid-Cap Fund October 2018 Fund # # 1

Equity 88.62%

Tech Mahindra Limited Computer Programming, Consultancy and Related Activities 9.20%

Nestle India Limited Manufacture of Food Products 8.82%

Indraprastha Gas Limited Electricity, Gas, Steam and Aircondition Supply (Infra) 7.52%

Ksb Limited Manufacture of Machinery and Equipment N.E.C. 5.82%

MRF Limited Manufacture of Rubber and Plastics Products 4.93%

Aurobindo Pharma Limited Manufacture of Pharma, Medicinal Chemical and Botanical Products 4.50%

Johnson Controls - Hitachi Air Manufacture of Machinery and Conditioning India Limited Equipment N.E.C. 3.71%

Hero MotoCorp Limited Manufacture of Other Transport Equipment 3.62%

Esab India Limited Manufacture of Machinery and Equipment N.E.C. 3.60%

Motherson Sumi Systems Manufacture of Motor Vehicles, Limited Trailers and Semi-Trailers 3.48%

Others 33.44%

Money Market, Deposits & Other 11.38%

Total 100.00%

Fund ObjectiveThe investments in this fund will specifically exclude companies dealing in Gambling, Contests, Liquor, Entertainment (Films, TV etc.), Hotels, Banks and Financial Institutions.

Pure Stock Pension Fund

October 2018

Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance

PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception

Fund

Benchmark

Asset Class Rating Profile

*Others includes Equity, CBLO, Net receivable/payable and FD

Description

SFIN Number ULIF04717/04/08PURESTKPEN116

Launch Date 17-Apr-08

Face Value 10

Risk Profile Very High

Benchmark Nifty 50 Index

Fund Manager Name Sampath Reddy, Reshma Banda

Number of funds managed by fund manager: Sampath Reddy Reshma Banda

Equity 19 28

Debt - -

Hybrid 9 25

NAV as on 31-October-18 45.1573

AUM (Rs. Cr) 13.20

Equity 88.62%

Debt -

Net current asset 11.38%

Fund Details

Top 10 Sectors

Growth of Rs. 100

Portfolio Allocation

Actual (%) Stated (%)

Equity 60 - 100

Government treasury bills (Non-interest bearing) 0 - 40

Net Current Assets #

Total

#Net current asset represents net of receivables and payables for investments held.

Company/Issuer Sector/Rating Exposure (%)

Portfolio

-0.10% -5.15% -2.70% 8.61% 8.54% 15.37%

-4.98% -3.28% 0.50% 9.61% 8.78% 7.26%

Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd

Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.

12

88.62

-

11.38

100.00

13.83% 13.12% 12.62%11.26%

10.17% 9.20%

4.93%3.62% 3.48% 2.96%

0%

20%

Man

ufa

ctu

re o

f P

har

ma,

Med

icin

al C

hem

ical

an

dB

ota

nic

al P

rod

uct

s

Man

ufa

ctu

re o

f M

ach

iner

yan

d E

qu

ipm

ent

N.E

.C.

Man

ufa

ctu

re o

f C

hem

ical

san

d C

hem

ical

Pro

du

cts

Man

ufa

ctu

re o

f Fo

od

Pro

du

cts

Elec

tric

ity,

Gas

, Ste

am a

nd

Air

con

diio

n S

up

ply

(In

fra)

Co

mp

ute

r P

rogr

amm

ing,

Co

nsu

ltan

cy a

nd

Rel

ated

Aci

viie

s

Man

ufa

ctu

re o

f R

ub

ber

an

dP

lasi

cs P

rod

uct

s

Man

ufa

ctu

re o

f O

ther

Tran

spo

rt E

qu

ipm

ent

Man

ufa

ctu

re o

f M

oto

rV

ehic

les,

Tra

ilers

an

d S

emi-

Trai

lers

Man

ufa

ctu

re o

f B

asic

Met

als

0

50

100

150

200

250

300

350

400

450

500

Apr-08 May-09 May-10 Jun-11 Jun-12 Jul-13 Aug-14 Aug-15 Sep-16 Sep-17 Oct-18

Fund Benchmark

Page 18: Monthly Investment Update October 2018 · Accelerator Mid-Cap Fund October 2018 Fund # # 1

Equity 95.84%

HDFC Bank Limited Financial and Insurance Activities 8.15%

Infosys Limited Computer Programming, Consultancy and Related Activities 8.11%

Reliance Industries Limited Manufacture of Coke and Refined Petroleum Products 7.61%

ITC Limited Manufacture of Tobacco Products 7.36%

ICICI Bank Limited Financial and Insurance Activities 5.51%

Hindustan Unilever Limited Manufacture of Chemicals and Chemical Products 5.03%

Larsen & Toubro Limited Civil Engineering (Infra) 4.10%

Housing Development Finance Corporation Limited Financial and Insurance Activities 3.57%

Maruti Suzuki India Limited Manufacture of Motor Vehicles, Trailers and Semi-Trailers 3.32%

Tata Steel Limited Manufacture of Basic Metals 2.52%

Others 40.55%

Money Market, Deposits & Other 4.16%

Total 100.00%

Fund Objective

Portfolio Allocation

To provide capital appreciation through investment in selected equities that have potential for capital appreciation.

Equity Fund

October 2018

Actual (%) Stated (%)

Equity 60 - 100

Debt/Cash, Money Market Instruments 0 - 40

Net Current Assets

Total

#Net current asset represents net of receivables and payables for investments held.

Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance

PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception

Fund

Benchmark

Asset Class Rating Profile

*Others includes Equity, CBLO, Net receivable/payable and FD

Description

SFIN Number ULIF00315/01/04EQUITYFUND116

Launch Date 15-Jan-04

Face Value 10

Risk Profile Very High

Benchmark Nifty 50 Index

Fund Manager Name Reshma Banda

Number of funds managed by fund manager:

Equity 28

Debt -

Hybrid 25

NAV as on 31-October-18 43.5846

AUM (Rs. Cr) 168.42

Equity 95.84%

Debt 4.15%

Net current asset 0.01%

Fund Details

Company/Issuer Sector/Rating Exposure (%)

Portfolio

Top 10 Sectors

Growth of Rs. 100

-4.81% -2.47% -0.75% 8.13% 7.34% 10.46%

-4.98% -3.28% 0.50% 9.61% 8.78% 11.98%

Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd

Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.

13

95.84

4.15

0.01

100.00

21.38%

14.17%9.27% 7.82% 7.36% 6.14% 5.46% 4.15% 4.10% 3.94%

0%

20%

40%

Fin

anci

al a

nd

Insu

ran

ceA

civi

ies

Co

mp

ute

r P

rogr

amm

ing,

Co

nsu

ltan

cy a

nd

Rel

ated

Aci

viie

s

Man

ufa

ctu

re o

f C

oke

an

dR

efin

ed P

etro

leu

m P

rod

uct

s

Man

ufa

ctu

re o

f C

hem

ical

san

d C

hem

ical

Pro

du

cts

Man

ufa

ctu

re o

f To

bac

coP

rod

uct

s

Man

ufa

ctu

re o

f P

har

ma,

Med

icin

al C

hem

ical

an

dB

ota

nic

al P

rod

uct

s

Man

ufa

ctu

re o

f M

oto

rV

ehic

les,

Tra

ilers

an

d S

emi-

Trai

lers

Go

vern

men

t o

f In

dia

Civ

il En

gin

eeri

ng

(In

fra)

Elec

tric

ity,

Gas

, Ste

am a

nd

Air

con

diio

n S

up

ply

(In

fra)

0

100

200

300

400

500

600

700

Jan-04 Feb-06 Mar-08 May-10 Jun-12 Jul-14 Aug-16 Oct-18

Fund Benchmark

Page 19: Monthly Investment Update October 2018 · Accelerator Mid-Cap Fund October 2018 Fund # # 1

Equity 87.09%

HDFC Bank Limited Financial and Insurance Activities 8.15%

Infosys Limited Computer Programming, Consultancy and Related Activities 7.52%

ITC Limited Manufacture of Tobacco Products 6.57%

ICICI Bank Limited Financial and Insurance Activities 4.56%

Reliance Industries Limited Manufacture of Coke and Refined Petroleum Products 4.33%

Kotak Mahindra Bank Limited Financial and Insurance Activities 3.84%

Hindalco Industries Limited Manufacture of Basic Metals 2.90%

Yes Bank Limited Financial and Insurance Activities 2.86%

Nestle India Limited Manufacture of Food Products 2.69%

HCL Technologies Limited Computer Programming, Consultancy and Related Activities 2.55%

Others 41.10%

Money Market, Deposits & Other 12.91%

Total 100.00%

Fund ObjectiveTo provide capital appreciation through investment in selected equities those have potential for capital appreciation.

Equity Gain Fund

October 2018

Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance

PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception

Fund

Benchmark

Asset Class Rating Profile

*Others includes Equity, CBLO, Net receivable/payable and FD

Description

SFIN Number ULIF00523/07/04EQGAINFUND116

Launch Date 23-Jul-04

Face Value 10

Risk Profile Very High

Benchmark Nifty 50 Index

Fund Manager Name Sampath Reddy, Reshma Banda

Number of funds managed by fund manager: Sampath Reddy Reshma Banda

Equity 19 28

Debt - -

Hybrid 9 25

NAV as on 31-October-18 78.3874

AUM (Rs. Cr) 413.20

Equity 87.09%

Debt 12.79%

Net current asset 0.12%

Fund Details

Company/Issuer Sector/Rating Exposure (%)

Portfolio

Top 10 Sectors

Growth of Rs. 100

Portfolio Allocation

Actual (%) Stated (%)

Equity* 60 - 100

- Large Cap Stock

- Mid Cap Stocks

Bank deposits and money market instruments 0 - 40

Net Current Assets #

Total

#Net current asset represents net of receivables and payables for investments held.

*At least 50 % portfolio in large cap stocks that are part of NSE 500. Balance can be invested in mid cap stocks

-3.48% -5.58% 0.98% 9.85% 9.75% 15.51%

-4.98% -3.28% 0.50% 9.61% 8.78% 13.99%

Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd

Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.

14

87.09

81.96

18.04

12.79

0.12

100.00

22.17%

13.33% 12.79%9.28%

6.83% 6.57% 4.81% 4.78% 4.22% 2.84%

0%

20%

40%

Fina

ncia

l and

Insu

ranc

eA

civi

ies

Com

pute

r Pro

gram

min

g,Co

nsul

tanc

y an

d Re

late

dA

civi

ies

Gov

ernm

ent o

f Ind

ia

Man

ufac

ture

of P

harm

a,M

edic

inal

Che

mic

al a

ndBo

tani

cal P

rodu

cts

Man

ufac

ture

of C

hem

ical

san

d Ch

emic

al P

rodu

cts

Man

ufac

ture

of T

obac

coPr

oduc

ts

Man

ufac

ture

of C

oke

and

Refin

ed P

etro

leum

Prod

ucts

Man

ufac

ture

of B

asic

Met

als

Man

ufac

ture

of F

ood

Prod

ucts

Man

ufac

ture

of M

otor

Vehi

cles

, Tra

ilers

and

Sem

i-Tr

aile

rs

0

100

200

300

400

500

600

700

800

900

Jul-04 Aug-06 Aug-08 Aug-10 Sep-12 Sep-14 Sep-16 Oct-18

Fund Benchmark

Page 20: Monthly Investment Update October 2018 · Accelerator Mid-Cap Fund October 2018 Fund # # 1

Equity 93.92%

Infosys Limited Computer Programming, Consultancy and Related Activities 7.98%

HDFC Bank Limited Financial and Insurance Activities 7.97%

Reliance Industries Limited Manufacture of Coke and Refined Petroleum Products 7.43%

ITC Limited Manufacture of Tobacco Products 7.21%

ICICI Bank Limited Financial and Insurance Activities 5.45%

Hindustan Unilever Limited Manufacture of Chemicals and Chemical Products 4.94%

Larsen & Toubro Limited Civil Engineering (Infra) 4.01%

Housing Development Finance Corporation Limited Financial and Insurance Activities 3.48%

Maruti Suzuki India Limited Manufacture of Motor Vehicles, Trailers and Semi-Trailers 3.28%

Tata Steel Limited Manufacture of Basic Metals 2.48%

Others 39.67%

Money Market, Deposits & Other 6.08%

Total 100.00%

Fund ObjectiveThe returns on this fund are expected to match the returns given by NIFTY Index of National Stock Exchange.

Equity Index Fund

October 2018

Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance

PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception

Fund

Benchmark

Asset Class Rating Profile

*Others includes Equity, CBLO, Net receivable/payable and FD

Description

SFIN Number ULIF00623/07/04EQINDEFUND116

Launch Date 23-Jul-04

Face Value 10

Risk Profile High

Benchmark Nifty 50 Index

Fund Manager Name Reshma Banda

Number of funds managed by fund manager:

Equity 28

Debt -

Hybrid 25

NAV as on 31-October-18 63.8740

AUM (Rs. Cr) 84.19

Equity 93.92%

Debt 6.03%

Net current asset 0.05%

Fund Details

Company/Issuer Sector/Rating Exposure (%)

Portfolio

Top 10 Sectors

Growth of Rs. 100

Portfolio Allocation

Actual (%) Stated (%)

Equity and equity related 60 - 100

Debt/Cash Money 0 - 40

Net Current Assets #

Total #Net current asset represents net of receivables and payables for investments held.

-4.60% -1.61% 0.85% 9.76% 8.94% 13.86%

-4.98% -3.28% 0.50% 9.61% 8.78% 13.99%

Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd

Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.

15

93.92

6.03

0.05

100.00

20.91%

13.96%9.05% 7.68% 7.21% 6.03% 6.00% 5.37% 4.01% 3.85%

0%

20%

40%

Fin

anci

al a

nd

Insu

ran

ceA

civi

ies

Co

mp

ute

r P

rogr

amm

ing,

Co

nsu

ltan

cy a

nd

Rel

ated

Aci

viie

s

Man

ufa

ctu

re o

f C

oke

an

dR

efin

ed P

etro

leu

m P

rod

uct

s

Man

ufa

ctu

re o

f C

hem

ical

san

d C

hem

ical

Pro

du

cts

Man

ufa

ctu

re o

f To

bac

coP

rod

uct

s

Go

vern

men

t o

f In

dia

Man

ufa

ctu

re o

f P

har

ma,

Med

icin

al C

hem

ical

an

dB

ota

nic

al P

rod

uct

s

Man

ufa

ctu

re o

f M

oto

rV

ehic

les,

Tra

ilers

an

d S

emi-

Trai

lers

Civ

il En

gin

eeri

ng

(In

fra)

Elec

tric

ity,

Gas

, Ste

am a

nd

Air

con

diio

n S

up

ply

(In

fra)

0

100

200

300

400

500

600

700

800

Jul-04 Aug-06 Aug-08 Aug-10 Sep-12 Sep-14 Sep-16 Oct-18

Fund Benchmark

Page 21: Monthly Investment Update October 2018 · Accelerator Mid-Cap Fund October 2018 Fund # # 1

Equity 93.52%

Infosys Limited Computer Programming, Consultancy and Related Activities 7.96%

HDFC Bank Limited Financial and Insurance Activities 7.93%

Reliance Industries Limited Manufacture of Coke and Refined Petroleum Products 7.39%

ITC Limited Manufacture of Tobacco Products 7.17%

ICICI Bank Limited Financial and Insurance Activities 5.44%

Hindustan Unilever Limited Manufacture of Chemicals and Chemical Products 4.92%

Larsen & Toubro Limited Civil Engineering (Infra) 3.99%

Housing Development Finance Corporation Limited Financial and Insurance Activities 3.46%

Maruti Suzuki India Limited Manufacture of Motor Vehicles, Trailers and Semi-Trailers 3.26%

Tata Steel Limited Manufacture of Basic Metals 2.48%

Others 39.51%

Money Market, Deposits & Other 6.48%

Total 100.00%

Fund ObjectiveThe returns on this fund are expected to match the returns given by NIFTY Index of National Stock Exchange.

Equity Index Pension Fund

October 2018

Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance

PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception

Fund

Benchmark

*Others includes Equity, CBLO, Net receivable/payable and FD

Description

SFIN Number ULIF01318/11/04EQINDEXPEN116

Launch Date 18-Nov-04

Face Value 10

Risk Profile High

Benchmark Nifty 50 Index

Fund Manager Name Reshma Banda

Number of funds managed by fund manager:

Equity 28

Debt -

Hybrid 25

NAV as on 31-October-18 56.7968

AUM (Rs. Cr) 5.90

Equity 93.52%

Debt 6.27%

Net current asset 0.20%

Fund Details

Company/Issuer Sector/Rating Exposure (%)

Portfolio

Top 10 Sectors

Growth of Rs. 100

Portfolio Allocation

Actual (%) Stated (%)

Equity and equity related 60 - 100

Debt/Cash/Money Market instruments 0 - 40

Net Current Assets #

Total #Net current asset represents net of receivables and payables for investments held.

-4.60% -1.59% 0.93% 9.78% 8.99% 13.25%

-4.98% -3.28% 0.50% 9.61% 8.78% 12.97%

Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd

Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.

16

93.52

6.27

0.20

100.00

20.81%

13.94%9.00% 7.64% 7.17% 6.27% 5.97% 5.34% 3.99% 3.83%

0%

20%

40%

Fin

anci

al a

nd

Insu

ran

ceA

civi

ies

Co

mp

ute

r P

rogr

amm

ing,

Co

nsu

ltan

cy a

nd

Rel

ated

Aci

viie

s

Man

ufa

ctu

re o

f C

oke

an

dR

efin

ed P

etro

leu

m P

rod

uct

s

Man

ufa

ctu

re o

f C

hem

ical

san

d C

hem

ical

Pro

du

cts

Man

ufa

ctu

re o

f To

bac

coP

rod

uct

s

Go

vern

men

t o

f In

dia

Man

ufa

ctu

re o

f P

har

ma,

Med

icin

al C

hem

ical

an

dB

ota

nic

al P

rod

uct

s

Man

ufa

ctu

re o

f M

oto

rV

ehic

les,

Tra

ilers

an

d S

emi-

Trai

lers

Civ

il En

gin

eeri

ng

(In

fra)

Elec

tric

ity,

Gas

, Ste

am a

nd

Air

con

diio

n S

up

ply

(In

fra)

0

100

200

300

400

500

600

700

Nov-04 Mar-07 Jul-09 Nov-11 Feb-14 Jun-16 Oct-18

Fund Benchmark

Page 22: Monthly Investment Update October 2018 · Accelerator Mid-Cap Fund October 2018 Fund # # 1

Equity 89.19%

MphasiS Limited Computer Programming, Consultancy and Related Activities 4.08%

Glenmark Pharmaceuticals Manufacture of Pharma, Medicinal Limited Chemical and Botanical Products 3.60%

Gayatri Projects Limited Civil Engineering (Infra) 3.46%

MRF Limited Manufacture of Rubber and Plastics Products 3.37%

National Aluminium Company Limited Manufacture of Basic Metals 3.19%

Automotive Axles Limited Manufacture of Motor Vehicles, Trailers and Semi-Trailers 3.11%

HCL Technologies Limited Computer Programming, Consultancy and Related Activities 2.94%

Aurobindo Pharma Limited Manufacture of Pharma, Medicinal Chemical and Botanical Products 2.71%

Tech Mahindra Limited Computer Programming, Consultancy and Related Activities 2.69%

Ksb Limited Manufacture of Machinery and Equipment N.E.C. 2.67%

Others 57.39%

Money Market, Deposits & Other 10.81%

Total 100.00%

Fund ObjectiveTo achieve capital appreciation by investing in a diversified basket of mid cap stocks and large cap stocks.

Equity Mid-Cap Fund

October 2018

Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance

PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception

Fund

Benchmark

Asset Class Rating Profile

*Others includes Equity, CBLO, Net receivable/payable and FD

Description

SFIN Number ULIF01709/03/05EQUMIDFUND116

Launch Date 09-Mar-05

Face Value 10

Risk Profile Very High

Benchmark NIFTY Midcap 50 Index

Fund Manager Name Sampath Reddy, Reshma Banda

Number of funds managed by fund manager: Sampath Reddy Reshma Banda

Equity 19 28

Debt - -

Hybrid 9 25

NAV as on 31-October-18 64.6841

AUM (Rs. Cr) 69.14

Equity 89.19%

Debt 11.07%

Net current asset -0.26%

Fund Details

Company/Issuer Sector/Rating Exposure (%)

Portfolio

Top 10 Sectors

Growth of Rs. 100

Portfolio Allocation

Actual (%) Stated (%)

Equity - Large & Mid Cap Stocks* 60 - 100

-Large Cap

-Equity Mid Cap Stocks

Debt/Cash/Money Market instruments 0 - 40

Net Current Assets #

Total #Net current asset represents net of receivables and payables for investments held.* Minimum 50% allocation to mid cap stocks

-1.46% -11.55% -8.39% 8.54% 11.52% 14.65%

2.34% -13.37% -7.67% 7.39% 12.65% 9.50%

Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd

Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.

17

89.19

32.70

67.30

11.07

-0.26

100.00

12.23%11.07% 10.82%

7.44% 7.25% 7.03%5.85% 5.78% 4.83% 4.69%

0%

20%

Co

mp

ute

r P

rogr

amm

ing,

Co

nsu

ltan

cy a

nd

Rel

ated

Aci

viie

s

Go

vern

men

t o

f In

dia

Man

ufa

ctu

re o

f P

har

ma,

Med

icin

al C

hem

ical

an

dB

ota

nic

al P

rod

uct

s

Man

ufa

ctu

re o

f B

asic

Met

als

Man

ufa

ctu

re o

f C

hem

ical

s an

dC

hem

ical

Pro

du

cts

Man

ufa

ctu

re o

f M

ach

iner

yan

d E

qu

ipm

ent

N.E

.C.

Man

ufa

ctu

re o

f M

oto

rV

ehic

les,

Tra

ilers

an

d S

emi-

Trai

lers

Fin

anci

al a

nd

Insu

ran

ceA

civi

ies

Man

ufa

ctu

re o

f Fo

od

Pro

du

cts

Man

ufa

ctu

re o

f R

ub

ber

an

dP

lasi

cs P

rod

uct

s

0

100

200

300

400

500

600

700

800

Mar-05 Jun-07 Sep-09 Dec-11 Mar-14 Jun-16 Oct-18

Fund Benchmark

Page 23: Monthly Investment Update October 2018 · Accelerator Mid-Cap Fund October 2018 Fund # # 1

Equity 88.35%

MphasiS Limited Computer Programming, Consultancy and Related Activities 4.05%

Glenmark Pharmaceuticals Manufacture of Pharma, Medicinal Limited Chemical and Botanical Products 3.57%

Gayatri Projects Limited Civil Engineering (Infra) 3.43%

MRF Limited Manufacture of Rubber and Plastics Products 3.39%

National Aluminium Company Limited Manufacture of Basic Metals 3.15%

Automotive Axles Limited Manufacture of Motor Vehicles, Trailers and Semi-Trailers 3.08%

HCL Technologies Limited Computer Programming, Consultancy and Related Activities 2.83%

Aurobindo Pharma Limited Manufacture of Pharma, Medicinal Chemical and Botanical Products 2.69%

Tech Mahindra Limited Computer Programming, Consultancy and Related Activities 2.67%

Ksb Limited Manufacture of Machinery and Equipment N.E.C. 2.64%

Others 56.84%

Money Market, Deposits & Other 11.65%

Total 100.00%

Fund ObjectiveTo achieve capital appreciation by investing in a diversified basket of mid cap stocks and large cap stocks.

Equity Midcap Plus Pension Fund

October 2018

Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance

PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception

Fund

Benchmark

Asset Class Rating Profile

*Others includes Equity, CBLO, Net receivable/payable and FD

Description

SFIN Number ULIF01909/03/05EQUMIDCPEN116

Launch Date 09-Mar-05

Face Value 10

Risk Profile Very High

Benchmark NIFTY Midcap 50 Index

Fund Manager Name Sampath Reddy, Reshma Banda

Number of funds managed by fund manager: Sampath Reddy Reshma Banda

Equity 19 28

Debt - -

Hybrid 9 25

NAV as on 31-October-18 116.4302

AUM (Rs. Cr) 4.94

Equity 88.35%

Debt 11.54%

Net current asset 0.11%

Fund Details

Company/Issuer Sector/Rating Exposure (%)

Portfolio

Top 10 Sectors

Growth of Rs. 100

-1.33% -10.85% -7.49% 9.59% 12.64% 19.69%

2.34% -13.37% -7.67% 7.39% 12.65% 9.50%

Portfolio Allocation

Actual (%) Stated (%)

Equity - Large & Mid Cap Stocks* 60 - 100

-Large Cap

-Equity Mid Cap Stocks

Debt/Cash/Money Market instruments 0 - 40

Net Current Assets #

Total

#Net current asset represents net of receivables and payables for investments held.* Minimum 50% allocation to mid cap stocks

Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd

Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.

18

88.35

32.71

67.29

11.54

0.11

100.00

12.05% 11.54% 10.74%

7.37% 7.18% 6.97%5.81% 5.69% 4.81% 4.67%

0%

20%

Co

mp

ute

r P

rogr

amm

ing,

Co

nsu

ltan

cy a

nd

Rel

ated

Aci

viie

s

Go

vern

men

t o

f In

dia

Man

ufa

ctu

re o

f P

har

ma,

Med

icin

al C

hem

ical

an

dB

ota

nic

al P

rod

uct

s

Man

ufa

ctu

re o

f B

asic

Met

als

Man

ufa

ctu

re o

f C

hem

ical

s an

dC

hem

ical

Pro

du

cts

Man

ufa

ctu

re o

f M

ach

iner

yan

d E

qu

ipm

ent

N.E

.C.

Man

ufa

ctu

re o

f M

oto

rV

ehic

les,

Tra

ilers

an

d S

emi-

Trai

lers

Fin

anci

al a

nd

Insu

ran

ceA

civi

ies

Man

ufa

ctu

re o

f Fo

od

Pro

du

cts

Man

ufa

ctu

re o

f R

ub

ber

an

dP

lasi

cs P

rod

uct

s

50

200

350

500

650

800

950

1100

1250

1400

Mar-05 Jun-07 Sep-09 Dec-11 Mar-14 Jun-16 Oct-18

Fund Benchmark

Page 24: Monthly Investment Update October 2018 · Accelerator Mid-Cap Fund October 2018 Fund # # 1

Equity 88.51%

MphasiS Limited Computer Programming, Consultancy and Related Activities 4.05%

Glenmark Pharmaceuticals Manufacture of Pharma, Medicinal Limited Chemical and Botanical Products 3.57%

Gayatri Projects Limited Civil Engineering (Infra) 3.43%

MRF Limited Manufacture of Rubber and Plastics Products 3.35%

National Aluminium Company Limited Manufacture of Basic Metals 3.18%

Automotive Axles Limited Manufacture of Motor Vehicles, Trailers and Semi-Trailers 3.08%

HCL Technologies Limited Computer Programming, Consultancy and Related Activities 2.91%

Aurobindo Pharma Limited Manufacture of Pharma, Medicinal Chemical and Botanical Products 2.69%

Tech Mahindra Limited Computer Programming, Consultancy and Related Activities 2.67%

Ksb Limited Manufacture of Machinery and Equipment N.E.C. 2.64%

Others 56.95%

Money Market, Deposits & Other 11.49%

Total 100.00%

Fund ObjectiveTo achieve capital appreciation by investing in a diversified basket of mid cap stocks and large cap stocks.

Equity Mid-Cap Plus Fund

October 2018

Description

SFIN Number ULIF01809/03/05EQUMIDPLUS116

Launch Date 09-Mar-05

Face Value 10

Risk Profile Very High

Benchmark NIFTY Midcap 50 Index

Fund Manager Name Sampath Reddy, Reshma Banda

Number of funds managed by fund manager: Sampath Reddy Reshma Banda

Equity 19 28

Debt - -

Hybrid 9 25

NAV as on 31-October-18 92.1786

AUM (Rs. Cr) 127.60

Equity 88.51%

Debt 11.72%

Net current asset -0.24%

Fund Details

Company/Issuer Sector/Rating Exposure (%)

Portfolio

Growth of Rs. 100

Portfolio Allocation

Actual (%) Stated (%)

Equity - Large & Mid Cap Stocks* 60 - 100

-Large Cap

-Equity Mid Cap Stocks

Debt/Cash/Money Market instruments 0 - 40

Net Current Assets #

Total

#Net current asset represents net of receivables and payables for investments held.* Minimum 50% allocation to mid cap stocks

Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance

PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception

Fund

Benchmark

Asset Class Rating Profile

*Others includes Equity, CBLO, Net receivable/payable and FD

Top 10 Sectors

Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd

Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.

-1.33% -10.87% -7.48% 9.86% 12.93% 17.66%

2.34% -13.37% -7.67% 7.39% 12.65% 9.50%

19

88.51

32.70

67.30

11.72

-0.24

100.00

12.14% 11.72% 10.74%

7.39% 7.19% 6.98%5.81% 5.74% 4.79% 4.67%

0%

20%

Co

mp

ute

r P

rogr

amm

ing,

Co

nsu

ltan

cy a

nd

Rel

ated

Aci

viie

s

Go

vern

men

t o

f In

dia

Man

ufa

ctu

re o

f P

har

ma,

Med

icin

al C

hem

ical

an

dB

ota

nic

al P

rod

uct

s

Man

ufa

ctu

re o

f B

asic

Met

als

Man

ufa

ctu

re o

f C

hem

ical

san

d C

hem

ical

Pro

du

cts

Man

ufa

ctu

re o

f M

ach

iner

yan

d E

qu

ipm

ent

N.E

.C.

Man

ufa

ctu

re o

f M

oto

rV

ehic

les,

Tra

ilers

an

d S

emi-

Trai

lers

Fin

anci

al a

nd

Insu

ran

ceA

civi

ies

Man

ufa

ctu

re o

f Fo

od

Pro

du

cts

Man

ufa

ctu

re o

f R

ub

ber

an

dP

lasi

cs P

rod

uct

s

0

100

200

300

400

500

600

700

800

900

1000

1100

Mar-05 Jun-07 Sep-09 Dec-11 Mar-14 Jun-16 Oct-18

Fund Benchmark

Page 25: Monthly Investment Update October 2018 · Accelerator Mid-Cap Fund October 2018 Fund # # 1

Equity 86.93%

HDFC Bank Limited Financial and Insurance Activities 8.11%

Infosys Limited Computer Programming, Consultancy and Related Activities 7.47%

ITC Limited Manufacture of Tobacco Products 6.55%

ICICI Bank Limited Financial and Insurance Activities 4.54%

Reliance Industries Limited Manufacture of Coke and Refined Petroleum Products 4.31%

Kotak Mahindra Bank Limited Financial and Insurance Activities 3.82%

Hindalco Industries Limited Manufacture of Basic Metals 2.89%

Yes Bank Limited Financial and Insurance Activities 2.85%

Nestle India Limited Manufacture of Food Products 2.68%

HCL Technologies Limited Computer Programming, Consultancy and Related Activities 2.60%

Others 41.11%

Money Market, Deposits & Other 13.07%

Total 100.00%

Fund ObjectiveTo provide capital appreciation through investment in selected equities those have potential for capital appreciation.

Equity Plus Fund

October 2018

Description

SFIN Number ULIF00723/07/04EQPLUSFUND116

Launch Date 23-Jul-04

Face Value 10

Risk Profile Very High

Benchmark Nifty 50 Index

Fund Manager Name Sampath Reddy, Reshma Banda

Number of funds managed by fund manager: Sampath Reddy Reshma Banda

Equity 19 28

Debt - -

Hybrid 9 25

NAV as on 31-October-18 89.8085

AUM (Rs. Cr) 561.05

Equity 86.93%

Debt 12.90%

Net current asset 0.16%

Fund Details

Portfolio

Growth of Rs. 100

Portfolio Allocation

Actual (%) Stated (%)

Equity 60 - 100

Debt/Cash/Money Market instruments 0 - 40

Net Current Assets #

Total #Net current asset represents net of receivables and payables for investments held.

Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance

PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception

Fund

Benchmark

Top 10 Sectors

Asset Class Rating Profile

*Others includes Equity, CBLO, Net receivable/payable and FD

-3.37% -4.83% 2.54% 11.56% 11.83% 16.61%

-4.98% -3.28% 0.50% 9.61% 8.78% 13.99%

Company/Issuer Sector/Rating Exposure (%)

Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd

Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.

20

86.93

12.90

0.16

100.00

20%

40%

22.08%

13.30% 12.90%9.42%

6.80% 6.55% 4.79% 4.76% 4.20% 2.83%

0%

Fin

anci

al a

nd

Insu

ran

ceA

civi

ies

Co

mp

ute

r P

rogr

amm

ing,

Co

nsu

ltan

cy a

nd

Rel

ated

Aci

viie

s

Go

vern

men

t o

f In

dia

Man

ufa

ctu

re o

f P

har

ma,

Med

icin

al C

hem

ical

an

dB

ota

nic

al P

rod

uct

s

Man

ufa

ctu

re o

f C

hem

ical

san

d C

hem

ical

Pro

du

cts

Man

ufa

ctu

re o

f To

bac

coP

rod

uct

s

Man

ufa

ctu

re o

f C

oke

an

dR

efin

ed P

etro

leu

m P

rod

uct

s

Man

ufa

ctu

re o

f B

asic

Met

als

Man

ufa

ctu

re o

f Fo

od

Pro

du

cts

Man

ufa

ctu

re o

f M

oto

rV

ehic

les,

Tra

ilers

an

d S

emi-

Trai

lers

90

190

290

390

490

590

690

790

890

990

1090

Jul-04 Aug-06 Aug-08 Aug-10 Sep-12 Sep-14 Sep-16 Oct-18

Fund Benchmark

Page 26: Monthly Investment Update October 2018 · Accelerator Mid-Cap Fund October 2018 Fund # # 1

Equity 86.71%

HDFC Bank Limited Financial and Insurance Activities 8.06%

Infosys Limited Computer Programming, Consultancy and Related Activities 7.43%

ITC Limited Manufacture of Tobacco Products 6.51%

ICICI Bank Limited Financial and Insurance Activities 4.52%

Reliance Industries Limited Manufacture of Coke and Refined Petroleum Products 4.28%

Kotak Mahindra Bank Limited Financial and Insurance Activities 3.80%

Hindalco Industries Limited Manufacture of Basic Metals 2.87%

Yes Bank Limited Financial and Insurance Activities 2.84%

Pfizer Limited Manufacture of Pharma, Medicinal Chemical and Botanical Products 2.71%

Nestle India Limited Manufacture of Food Products 2.66%

Others 41.02%

Money Market, Deposits & Other 13.29%

Total 100.00%

Fund ObjectiveTo provide capital appreciation through investment in selected equities those have potential for capital appreciation.

Equity Plus Pension Fund

October 2018

Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance

PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception

Fund

Benchmark

Asset Class Rating Profile

*Others includes Equity, CBLO, Net receivable/payable and FD

Description

SFIN Number ULIF01218/11/04EQUPLUSPEN116

Launch Date 18-Nov-04

Face Value 10

Risk Profile Very High

Benchmark Nifty 50 Index

Fund Manager Name Sampath Reddy, Reshma Banda

Number of funds managed by fund manager: Sampath Reddy Reshma Banda

Equity 19 28

Debt - -

Hybrid 9 25

NAV as on 31-October-18 95.2849

AUM (Rs. Cr) 31.65

Equity 86.71%

Debt 13.08%

Net current asset 0.21%

Fund Details

Company/Issuer Sector/Rating Exposure (%)

Portfolio

Top 10 Sectors

Growth of Rs. 100

Portfolio Allocation

Actual (%) Stated (%)

Equity 60 - 100

Debt/Cash/Money Market instruments 0 - 40

Net Current Assets #

Total #Net current asset represents net of receivables and payables for investments held.

-3.39% -5.00% 2.22% 11.62% 11.40% 17.53%

-4.98% -3.28% 0.50% 9.61% 8.78% 12.97%

Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd

Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.

21

86.71

13.08

0.21

100.00

21.95%

13.25% 13.08%9.89%

6.76% 6.51% 4.76% 4.73% 4.18% 2.81%

0%

20%

40%

Fin

anci

al a

nd

Insu

ran

ceA

civi

ies

Co

mp

ute

r P

rogr

amm

ing,

Co

nsu

ltan

cy a

nd

Rel

ated

Aci

viie

s

Go

vern

men

t o

f In

dia

Man

ufa

ctu

re o

f P

har

ma,

Med

icin

al C

hem

ical

an

dB

ota

nic

al P

rod

uct

s

Man

ufa

ctu

re o

f C

hem

ical

s an

dC

hem

ical

Pro

du

cts

Man

ufa

ctu

re o

f To

bac

coP

rod

uct

s

Man

ufa

ctu

re o

f C

oke

an

dR

efin

ed P

etro

leu

m P

rod

uct

s

Man

ufa

ctu

re o

f B

asic

Met

als

Man

ufa

ctu

re o

f Fo

od

Pro

du

cts

Man

ufa

ctu

re o

f M

oto

rV

ehic

les,

Tra

ilers

an

d S

emi-

Trai

lers

80

180

280

380

480

580

680

780

880

980

1080

Nov-04 Mar-07 Jul-09 Oct-11 Feb-14 Jun-16 Oct-18

Fund Benchmark

Page 27: Monthly Investment Update October 2018 · Accelerator Mid-Cap Fund October 2018 Fund # # 1

Equity 88.03%

HDFC Bank Limited Financial and Insurance Activities 7.46%

Infosys Limited Computer Programming, Consultancy and Related Activities 6.95%

Reliance Industries Limited Manufacture of Coke and Refined Petroleum Products 6.92%

ITC Limited Manufacture of Tobacco Products 6.78%

ICICI Bank Limited Financial and Insurance Activities 5.34%

Hindustan Unilever Limited Manufacture of Chemicals and Chemical Products 4.71%

Larsen & Toubro Limited Civil Engineering (Infra) 3.76%

Housing Development Finance Corporation Limited Financial and Insurance Activities 3.20%

Maruti Suzuki India Limited Manufacture of Motor Vehicles, Trailers and Semi-Trailers 3.17%

Tata Steel Limited Manufacture of Basic Metals 2.39%

Others 37.35%

Money Market, Deposits & Other 11.97%

Total 100.00%

Fund Objective

Portfolio Allocation

To provide capital appreciation through investment in equities forming part of NSE NIFTY Index.

Premier Equity Fund

October 2018

Actual (%) Stated (%)

Equity - NSE Nifty 60 - 100

Bank deposits and money market instruments 0 - 40

Net Current Assets #

Total #Net current asset represents net of receivables and payables for investments held.

Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance

PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception

Fund

Benchmark

Asset Class Rating Profile

*Others includes Equity, CBLO, Net receivable/payable and FD

Description

SFIN Number ULIF02117/12/05PRMREQFUND116

Launch Date 17-Dec-05

Face Value 10

Risk Profile Very High

Benchmark Nifty 50 Index

Fund Manager Name Reshma Banda

Number of funds managed by fund manager:

Equity 28

Debt -

Hybrid 25

NAV as on 31-October-18 32.1879

AUM (Rs. Cr) 11.11

Equity 88.03%

Debt 2.43%

Net current asset 9.54%

Fund Details

Company/Issuer Sector/Rating Exposure (%)

Portfolio

Top 10 Sectors

Growth of Rs. 100

-4.91% -2.57% -0.76% 8.06% 7.31% 9.50%

-4.98% -3.28% 0.50% 9.61% 8.78% 10.68%

Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd

Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.

22

88.03

2.43

9.54

100.00

19.64%

12.80%8.37% 7.27% 6.78% 5.61% 5.13% 3.76% 3.58% 3.20%

0%

20%

40%

Fin

anci

al a

nd

Insu

ran

ceA

civi

ies

Co

mp

ute

r P

rogr

amm

ing,

Co

nsu

ltan

cy a

nd

Rel

ated

Aci

viie

s

Man

ufa

ctu

re o

f C

oke

an

dR

efin

ed P

etro

leu

m P

rod

uct

s

Man

ufa

ctu

re o

f C

hem

ical

san

d C

hem

ical

Pro

du

cts

Man

ufa

ctu

re o

f To

bac

coP

rod

uct

s

Man

ufa

ctu

re o

f P

har

ma,

Med

icin

al C

hem

ical

an

dB

ota

nic

al P

rod

uct

s

Man

ufa

ctu

re o

f M

oto

rV

ehic

les,

Tra

ilers

an

d S

emi-

Trai

lers

Civ

il En

gin

eeri

ng

(In

fra)

Elec

tric

ity,

Gas

, Ste

am a

nd

Air

con

diio

n S

up

ply

(In

fra)

Man

ufa

ctu

re o

f B

asic

Met

als

0

50

100

150

200

250

300

350

400

450

Dec-05 Feb-08 Mar-10 May-12 Jun-14 Aug-16 Oct-18

Fund Benchmark

Page 28: Monthly Investment Update October 2018 · Accelerator Mid-Cap Fund October 2018 Fund # # 1

Equity 87.02%

HDFC Bank Limited Financial and Insurance Activities 8.10%

Infosys Limited Computer Programming, Consultancy and Related Activities 7.45%

ITC Limited Manufacture of Tobacco Products 6.54%

ICICI Bank Limited Financial and Insurance Activities 4.54%

Reliance Industries Limited Manufacture of Coke and Refined Petroleum Products 4.30%

Kotak Mahindra Bank Limited Financial and Insurance Activities 3.82%

Hindalco Industries Limited Manufacture of Basic Metals 2.89%

Yes Bank Limited Financial and Insurance Activities 2.85%

Pfizer Limited Manufacture of Pharma, Medicinal Chemical and Botanical Products 2.72%

Nestle India Limited Manufacture of Food Products 2.68%

Others 41.15%

Money Market, Deposits & Other 12.98%

Total 100.00%

Fund Objective

Portfolio Allocation

To provide capital appreciation through investment in selected equities that have potential for capital appreciation.

Premier Equity Gain Fund

October 2018

Actual (%) Stated (%)

Equity* 60 - 100

-Large cap stocks that are part of NSE 500

- Mid Cap Stocks

Bank deposits and money market instruments 0 - 40

Net Current Assets #

Total

#Net current asset represents net of receivables and payables for investments held.*At least 50 % in large cap stocks that are part of NSE 500. Balance can be invested in mid cap stocks

Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance

PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception

Fund

Benchmark

Asset Class Rating Profile

*Others includes Equity, CBLO, Net receivable/payable and FD

Description

SFIN Number ULIF02217/12/05PREREQGAIN116

Launch Date 17-Dec-05

Face Value 10

Risk Profile Very High

Benchmark Nifty 50 Index

Fund Manager Name Sampath Reddy, Reshma Banda

Number of funds managed by fund manager: Sampath Reddy Reshma Banda

Equity 19 28

Debt - -

Hybrid 9 25

NAV as on 31-October-18 49.5578

AUM (Rs. Cr) 25.94

Equity 87.02%

Debt 12.76%

Net current asset 0.22%

Fund Details

Company/Issuer Sector/Rating Exposure (%)

Portfolio

Top 10 Sectors

Growth of Rs. 100

-3.48% -5.47% 1.30% 10.68% 10.39% 13.23%

-4.98% -3.28% 0.50% 9.61% 8.78% 10.68%

Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd

Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.

23

87.02

81.55

18.45

12.76

0.22

100.00

22.04%

13.28% 12.76%9.93%

6.79% 6.54% 4.78% 4.75% 4.20% 2.82%

0%

20%

40%

Fin

anci

al a

nd

Insu

ran

ceA

civi

ies

Co

mp

ute

r P

rogr

amm

ing,

Co

nsu

ltan

cy a

nd

Rel

ated

Aci

viie

s

Go

vern

men

t o

f In

dia

Man

ufa

ctu

re o

f P

har

ma,

Med

icin

al C

hem

ical

an

dB

ota

nic

al P

rod

uct

s

Man

ufa

ctu

re o

f C

hem

ical

san

d C

hem

ical

Pro

du

cts

Man

ufa

ctu

re o

f To

bac

coP

rod

uct

s

Man

ufa

ctu

re o

f C

oke

an

dR

efin

ed P

etro

leu

m P

rod

uct

s

Man

ufa

ctu

re o

f B

asic

Met

als

Man

ufa

ctu

re o

f Fo

od

Pro

du

cts

Man

ufa

ctu

re o

f M

oto

rV

ehic

les,

Tra

ilers

an

d S

emi-

Trai

lers

50

100

150

200

250

300

350

400

450

500

550

600

Dec-05 Feb-08 Mar-10 May-12 Jun-14 Aug-16 Oct-18

Fund Benchmark

Page 29: Monthly Investment Update October 2018 · Accelerator Mid-Cap Fund October 2018 Fund # # 1

Fund Objective

Portfolio Allocation

The investments in this fund will specifically exclude companies dealing in Gambling, Contests, Liquor, Entertainment (Films, TV etc.), Hotels, Banks and Financial Institutions.

Pure Equity Fund

October 2018

Actual (%) Stated (%)

Equity 60 - 100

Bank deposits and money market instruments 0 - 40

Net Current Assets #

Total

#Net current asset represents net of receivables and payables for investments held.

Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance

PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception

Fund

Benchmark

Asset Class Rating Profile

*Others includes Equity, CBLO, Net receivable/payable and FD

Description

SFIN Number ULIF02017/12/05PUREEQFUND116

Launch Date 17-Dec-05

Face Value 10

Risk Profile Very High

Benchmark Nifty 50 Index

Fund Manager Name Sampath Reddy, Reshma Banda

Number of funds managed by fund manager: Sampath Reddy Reshma Banda

Equity 19 28

Debt - -

Hybrid 9 25

NAV as on 31-October-18 61.0208

AUM (Rs. Cr) 40.34

Equity 87.01%

Debt 12.30%

Net current asset 0.69%

Fund Details

Top 10 Sectors

Growth of Rs. 100

-4.18% -5.28% -1.11% 10.15% 10.17% 15.08%

-4.98% -3.28% 0.50% 9.61% 8.78% 10.68%

Equity 87.01%

Reliance Industries Limited Manufacture of Coke and Refined Petroleum Products 6.53%

Infosys Limited Computer Programming, Consultancy and Related Activities 5.23%

Nestle India Limited Manufacture of Food Products 4.04%

Larsen & Toubro Limited Civil Engineering (Infra) 3.83%

Hindalco Industries Limited Manufacture of Basic Metals 3.61%

Glenmark Pharmaceuticals Manufacture of Pharma, Medicinal Limited Chemical and Botanical Products 2.57%

MphasiS Limited Computer Programming, Consultancy and Related Activities 2.51%

Mahindra & Mahindra Limited Manufacture of Machinery and Equipment N.E.C. 2.48%

Aurobindo Pharma Limited Manufacture of Pharma, Medicinal Chemical and Botanical Products 2.14%

Hero MotoCorp Limited Manufacture of Other Transport Equipment 2.02%

Others 52.05%

Money Market, Deposits & Other 12.99%

Total 100.00%

Company/Issuer Sector/Rating Exposure (%)

Portfolio

Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd

Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.

24

87.01

12.30

0.69

100.00

14.10%12.30% 11.89%

9.82%8.09% 7.72%

6.29% 5.88% 5.24% 4.84%

0%

20%

Co

mp

ute

r P

rogr

amm

ing,

Co

nsu

ltan

cy a

nd

Rel

ated

Aci

viie

s

Go

vern

men

t o

f In

dia

Man

ufa

ctu

re o

f P

har

ma,

Med

icin

al C

hem

ical

an

dB

ota

nic

al P

rod

uct

s

Man

ufa

ctu

re o

f C

hem

ical

san

d C

hem

ical

Pro

du

cts

Man

ufa

ctu

re o

f C

oke

an

dR

efin

ed P

etro

leu

m P

rod

uct

s

Man

ufa

ctu

re o

f Fo

od

Pro

du

cts

Man

ufa

ctu

re o

f B

asic

Met

als

Man

ufa

ctu

re o

f M

oto

rV

ehic

les,

Tra

ilers

an

d S

emi-

Trai

lers

Civ

il En

gin

eeri

ng

(In

fra)

Man

ufa

ctu

re o

f M

ach

iner

yan

d E

qu

ipm

ent

N.E

.C.

0

100

200

300

400

500

600

700

Dec-05 Feb-08 Mar-10 May-12 Jun-14 Aug-16 Oct-18

Fund Benchmark

Page 30: Monthly Investment Update October 2018 · Accelerator Mid-Cap Fund October 2018 Fund # # 1

Fund Objective

Portfolio Allocation

To provide capital appreciation through investment in equities forming part of the National Stock Exchange NIFTY.

Blue Chip Equity Fund

October 2018

Actual (%) Stated (%)

Equity* 60 -100

Bank deposits and money market instruments 0 - 40

Net Current Assets #

Total

#Net current asset represents net of receivables and payables for investments held.

Equity 92.62%

Infosys Limited Computer Programming, Consultancy and Related Activities 7.79%

HDFC Bank Limited Financial and Insurance Activities 7.77%

ITC Limited Manufacture of Tobacco Products 7.01%

Reliance Industries Limited Manufacture of Coke and Refined Petroleum Products 6.98%

ICICI Bank Limited Financial and Insurance Activities 5.23%

Hindustan Unilever Limited Manufacture of Chemicals and Chemical Products 4.79%

Housing Development Finance Corporation Limited Financial and Insurance Activities 3.99%

Larsen & Toubro Limited Civil Engineering (Infra) 3.91%

Maruti Suzuki India Limited Manufacture of Motor Vehicles, Trailers and Semi-Trailers 3.15%

Tata Consultancy Services Computer Programming, Limited Consultancy and Related Activities 2.41%

Others 39.57%

Money Market, Deposits & Other 7.38%

Total 100.00%

Company/Issuer Sector/Rating Exposure (%)

Portfolio

Growth of Rs. 100

Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance

PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception

Fund

Benchmark

*Others includes Equity, CBLO, Net receivable/payable and FD

Asset Class Rating Profile

Top 10 Sectors

-4.58% -1.60% 1.06% 9.61% 8.73% 7.53%

-4.98% -3.28% 0.50% 9.61% 8.78% 6.84%

Description

SFIN Number ULIF06026/10/10BLUECHIPEQ116

Launch Date 01-Nov-10

Face Value 10

Risk Profile High

Benchmark Nifty 50 Index

Fund Manager Name Reshma Banda

Number of funds managed by fund manager:

Equity 28

Debt -

Hybrid 25

NAV as on 31-October-18 17.8763

AUM (Rs. Cr) 343.01

Equity 92.62%

Debt 6.25%

Net current asset 1.13%

Fund Details

Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd

Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.

25

92.62

6.25

1.13

100.00

22.47%

13.95%

8.58% 7.45% 7.01% 5.85% 5.34% 4.89% 3.91% 3.76%

0%

20%

40%

Fin

anci

al a

nd

Insu

ran

ceA

civi

ies

Co

mp

ute

r P

rogr

amm

ing,

Co

nsu

ltan

cy a

nd

Rel

ated

Aci

viie

s

Man

ufa

ctu

re o

f C

oke

an

dR

efin

ed P

etro

leu

m P

rod

uct

s

Man

ufa

ctu

re o

f C

hem

ical

san

d C

hem

ical

Pro

du

cts

Man

ufa

ctu

re o

f To

bac

coP

rod

uct

s

Man

ufa

ctu

re o

f P

har

ma,

Med

icin

al C

hem

ical

an

dB

ota

nic

al P

rod

uct

s

Go

vern

men

t o

f In

dia

Man

ufa

ctu

re o

f M

oto

rV

ehic

les,

Tra

ilers

an

d S

emi-

Trai

lers

Civ

il En

gin

eeri

ng

(In

fra)

Elec

tric

ity,

Gas

, Ste

am a

nd

Air

con

diio

n S

up

ply

(In

fra)

70

100

130

160

190

220

Nov-10 Dec-11 Feb-13 Mar-14 May-15 Jul-16 Aug-17 Oct-18

Fund Benchmark

Page 31: Monthly Investment Update October 2018 · Accelerator Mid-Cap Fund October 2018 Fund # # 1

Fund Objective

Portfolio Allocation

The investment objective of this fund is to specifically exclude companies dealing in Gambling, Contests, Liquor, Entertainment (Films, TV etc.), Hotels, Tobacco and Tobacco related Institutions.

Pure Stock Fund II

October 2018

Actual (%) Stated (%)

Equity* 75 -100

Bank deposits and money market instruments 0 - 25

Net Current Assets #

Total

#Net current asset represents net of receivables and payables for investments held.

Equity 83.28%

Reliance Industries Limited Manufacture of Coke and Refined Petroleum Products 5.14%

Infosys Limited Computer Programming, Consultancy and Related Activities 5.08%

Gujarat State Petronet Limited Land Transport and Transport Via Pipelines 3.27%

Nestle India Limited Manufacture of Food Products 3.25%

Larsen & Toubro Limited Civil Engineering (Infra) 3.09%

Hindalco Industries Limited Manufacture of Basic Metals 2.91%

Mahindra & Mahindra Limited Manufacture of Machinery and Equipment N.E.C. 2.58%

Glenmark Pharmaceuticals Manufacture of Pharma, Medicinal Limited Chemical and Botanical Products 2.28%

MphasiS Limited Computer Programming, Consultancy and Related Activities 2.24%

HCL Technologies Limited Computer Programming, Consultancy and Related Activities 2.16%

Others 51.28%

Money Market, Deposits & Other 16.72%

Total 100.00%

Company/Issuer Sector/Rating Exposure (%)

Portfolio

*Others includes Equity, CBLO, Net receivable/payable and FD

Asset Class Rating Profile

Top 10 Sectors

Description

SFIN Number ULIF07709/01/17PURSTKFUN2116

Launch Date 05-June-17

Face Value 10

Risk Profile Very High

Benchmark Nifty 50 Index

Fund Manager Name Sampath Reddy, Reshma Banda

Number of funds managed by fund manager:

Equity 28 19

Debt - -

Hybrid 9 25

NAV as on 31-October-18 10.9091

AUM (Rs. Cr) 443.05

Equity 83.28%

Debt 16.03%

Net current asset 0.69%

Fund Details

Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd

Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.

26

83.28

16.03

0.69

100.00

Reshma BandaSampath Reddy

Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance

PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception

Fund

Benchmark

-3.52% -3.83% 0.94% - - 6.39%

-4.98% -3.28% 0.50% - - 7.35%

16.03%13.93%

10.51%9.31%

7.02% 6.64% 6.29%5.19% 4.74% 4.16%

0%

20%

Go

vern

men

t o

f In

dia

Co

mp

ute

r P

rogr

amm

ing,

Co

nsu

ltan

cy a

nd

Rel

ated

Aci

viie

s

Man

ufa

ctu

re o

f P

har

ma,

Med

icin

al C

hem

ical

an

dB

ota

nic

al P

rod

uct

s

Man

ufa

ctu

re o

f C

hem

ical

san

d C

hem

ical

Pro

du

cts

Man

ufa

ctu

re o

f Fo

od

Pro

du

cts

Man

ufa

ctu

re o

f C

oke

an

dR

efin

ed P

etro

leu

m P

rod

uct

s

Man

ufa

ctu

re o

f B

asic

Met

als

Man

ufa

ctu

re o

f M

ach

iner

yan

d E

qu

ipm

ent

N.E

.C.

Man

ufa

ctu

re o

f M

oto

rV

ehic

les,

Tra

ilers

an

d S

emi-

Trai

lers

Civ

il En

gin

eeri

ng

(In

fra)

Page 32: Monthly Investment Update October 2018 · Accelerator Mid-Cap Fund October 2018 Fund # # 1

Sovereign 8.82%

7.35% GOI ( MD 22/06/2024) SOV 6.67%

7.17% GOI (MD 08/01/2028) SOV 0.51%

7.80% GOI (MD 11/04/2021) SOV 0.42%

8.53% Tamil Nadu SDL (MD 09/03/2026) SOV 0.41%

7.37% GOI (MD 16/04/2023) SOV 0.21%

7.68% GOI (MD 15/12/2023) SOV 0.17%

8.26% MAHARASHTRA SDL (MD 12/08/2025) SOV 0.16%

8.69% Tamilnadu SDL (MD 24/02/2026) SOV 0.16%

8.27% Rajasthan SPL SDL (MD 23/06/2023) SOV 0.05%

8.94% Gujarat SDL (MD 07/03/2022) SOV 0.04%

Others 0.00%

Money Market, Deposits & Other 17.44%

Total 100.00%Equity 49.01%

Infosys Limited Computer Programming, Consultancy and Related Activities 6.88%

HDFC Bank Limited Financial and Insurance Activities 5.12%

ITC Limited Manufacture of Tobacco Products 3.93%

Reliance Industries Limited Manufacture of Coke and Refined Petroleum Products 3.34%

Hindalco Industries Limited Manufacture of Basic Metals 2.46%

Tech Mahindra Limited Computer Programming, Consultancy and Related Activities 1.97%

MphasiS Limited Computer Programming, Consultancy and Related Activities 1.93%

Nestle India Limited Manufacture of Food Products 1.67%

Kotak Mahindra Bank Limited Financial and Insurance Activities 1.59%

HCL Technologies Limited Computer Programming, Consultancy and Related Activities 1.58%

Others 18.54%

Corporate Bond 24.74%

8.75% Indiabulls Housing Finance LTD NCD (MD 26/09/2021) AAA 2.94%

7.83% LIC Housing Finance Ltd NCD (MD 25/09/2026) (Put Date 26/11/2020) AAA 2.52%

7.39% LIC Housing Finance Ltd NCD (MD 30/08/2022) AAA 2.04%

8.12% ONGC Mangalore Petrochemicals Ltd NCD (MD 10/06/2019) AAA 1.75%

8.90% Indiabulls Housing Finance LTD NCD (MD 26/09/2021) AAA 1.45%

9.85% Talwalkars Better Value Fitness Ltd (MD 06/11/2021)(P/C 06/11/18) AA- 1.31%

9.10% Dewan Housing Finance Corporation Limited (MD 09/09/2019) AAA 1.23%

9.10% Dewan Housing Finance Corporation Limited (MD 16/08/2019) AAA 1.22%

NOVO X Trust - Locomotive Series Q (MD 15/04/2019) AAA 1.03%

10.63 IOT NCD SeriesIV-STRIP-6 (MD 20/09/2028) AAA 0.79%

Others 8.46%

Fund Objective

Portfolio Allocation

To realize a level of total income, including current income and capital appreciation, which is consistent with reasonable investment risk. The investment strategy will involve a flexible policy for allocating assets among equities, bonds and cash.

Asset Allocation Fund

October 2018

Actual (%) Stated (%)

#Net current asset represents net of receivables and payables for investments held.

Company/Issuer Sector/Rating Exposure (%)

Portfolio

Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd

Equity 0 - 100

Debt and Money market instruments 0 - 100

Net Current Assets #

Total

27

49.01

48.59

2.40

100.00

Quantitative Indicators Modified Duration 1.85

Growth of Rs. 100

Description

SFIN Number ULIF04528/09/07ASSETALLOC116

Launch Date 01-Oct-07

Face Value 10

Risk Profile High

Benchmark CRISIL Balanced Fund – Aggressive Index

Fund Manager Name Sampath Reddy, Reshma Banda, Durgadutt Dhar

Number of funds managed by fund manager:

Equity 19 28 -

Debt - - 28

Hybrid 9 25 24

NAV as on 31-October-18 27.8806

AUM (Rs. Cr) 1,144.52

Equity 49.01%

Debt 48.59%

Net current asset 2.40%

Fund Details

Sampath Reddy Reshma Banda Durgadutt Dhar

Company/Issuer Sector/Rating Exposure (%)

50

80

110

140

170

200

230

260

290

320

Oct-07 Nov-08 Dec-09 Jan-11 Feb-12 Apr-13 May-14 Jun-15 Jul-16 Aug-17 Oct-18

Fund Benchmark

Page 33: Monthly Investment Update October 2018 · Accelerator Mid-Cap Fund October 2018 Fund # # 1

Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance

PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception

Fund

Benchmark

-1.98% -1.98% 1.96% 7.63% 8.15% 9.69%

-2.80% -1.20% 1.17% 7.97% 8.29% 7.59%

Asset Class

*Others includes Equity, CBLO, Net receivable/payable and FD Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.

28

21.93% 20.22%

13.35% 11.33%

5.65% 4.62% 4.44% 3.93% 2.15% 1.67%

0%

20%

40%

Fin

anci

al a

nd

Insu

ran

ceA

c�vi

�es

Go

vern

men

t o

f In

dia

Co

mp

ute

r P

rogr

amm

ing,

Co

nsu

ltan

cy a

nd

Rel

ated

Ac�

vi�

es

Fin

ance

& In

sura

nce

(Ho

usi

ng

- A

AA

or

Equ

ival

ent)

Man

ufa

ctu

re o

f C

oke

an

dR

efin

ed P

etro

leu

m P

rod

uct

s

Man

ufa

ctu

re o

f P

har

ma,

Med

icin

al C

hem

ical

an

dB

ota

nic

al P

rod

uct

s

Man

ufa

ctu

re o

f B

asic

Met

als

Man

ufa

ctu

re o

f To

bac

coP

rod

uct

s

Man

ufa

ctu

re o

f C

hem

ical

san

d C

hem

ical

Pro

du

cts

Man

ufa

ctu

re o

f Fo

od

Pro

du

cts

Page 34: Monthly Investment Update October 2018 · Accelerator Mid-Cap Fund October 2018 Fund # # 1

Equity 47.53%

Infosys Limited Computer Programming, Consultancy and Related Activities 5.37%

HDFC Bank Limited Financial and Insurance Activities 5.12%

ITC Limited Manufacture of Tobacco Products 3.93%

Reliance Industries Limited Manufacture of Coke and Refined Petroleum Products 3.35%

Hindalco Industries Limited Manufacture of Basic Metals 2.46%

MphasiS Limited Computer Programming, Consultancy and Related Activities 1.93%

Tech Mahindra Limited Computer Programming, Consultancy and Related Activities 1.92%

Nestle India Limited Manufacture of Food Products 1.68%

Housing Development Finance Corporation Limited Financial and Insurance Activities 1.62%

Kotak Mahindra Bank Limited Financial and Insurance Activities 1.59%

Others 18.55%

Corporate Bond 3.66%

8.72% Shriram Transport Finance Co Ltd NCD (MD 27/03/2023) AA+ 3.39%

8.75% Indiabulls Housing Finance LTD NCD (MD 26/09/2021) AAA 0.27%

Sovereign 12.52%

7.35% GOI ( MD 22/06/2024) SOV 8.06%

6.84% GOI (MD 19/12/2022) SOV 3.11%

7.37% GOI (MD 16/04/2023) SOV 1.35%

Money Market, Deposits & Other 36.28%

Total 100.00%

Fund Objective

Portfolio Allocation

To realize a level of total income, including current income and capital appreciation, which is consistent with reasonable investment risk. The investment strategy will involve a flexible policy for allocating assets among equities, bonds and cash. The fund strategy will be to adjust the mix between these asset classes to capitalize on the changing financial markets and economic conditions.

Asset Allocation Pension Fund

October 2018

Actual (%) Stated (%)

Equity 0 - 100

Debt and Money market instruments 0 - 100

Net Current Assets #

Total

#Net current asset represents net of receivables and payables for investments held.

Company/Issuer Sector/Rating Exposure (%)

Portfolio Quantitative Indicators

Modified Duration 1.39

Growth of Rs. 100

Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance

PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception

Fund

Benchmark

-1.90% -1.81% 2.46% 8.03% 8.54% 9.69%

-2.80% -1.20% 1.17% 7.97% 8.29% 7.25%

*Others includes Equity, CBLO, Net receivable/payable and FD

Asset Class Rating Profile

Description

SFIN Number ULIF04628/01/08ASALLOCPEN116

Launch Date 27-Jan-08

Face Value 10

Risk Profile High

Benchmark CRISIL Balanced Fund – Aggressive Index

Fund Manager Name Sampath Reddy, Reshma Banda, Durgadutt Dhar

Number of funds managed by fund manager:

Equity 19 28 -

Debt - - 28

Hybrid 9 25 24

NAV as on 31-October-18 27.0742

AUM (Rs. Cr) 72.77

Equity 47.53%

Debt 49.73%

Net current asset 2.74%

Fund Details

Sampath Reddy Reshma Banda Durgadutt Dhar

Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd

Top 10 Sectors

Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.

29

47.53

49.73

2.74

100.00

37.22%

16.73%11.77%

8.61%4.61% 4.44% 3.93% 2.15% 1.68% 1.63%

0%

20%

40%

Go

vern

men

t o

f In

dia

Fin

anci

al a

nd

Insu

ran

ceA

c�vi

�es

Co

mp

ute

r P

rogr

amm

ing,

Co

nsu

ltan

cy a

nd

Rel

ated

Ac�

vi�

es

Man

ufa

ctu

re o

f C

oke

an

dR

efin

ed P

etro

leu

m P

rod

uct

s

Man

ufa

ctu

re o

f P

har

ma,

Med

icin

al C

hem

ical

an

dB

ota

nic

al P

rod

uct

s

Man

ufa

ctu

re o

f B

asic

Met

als

Man

ufa

ctu

re o

f To

bac

coP

rod

uct

s

Man

ufa

ctu

re o

f C

hem

ical

san

d C

hem

ical

Pro

du

cts

Man

ufa

ctu

re o

f Fo

od

Pro

du

cts

Fin

ance

& In

sura

nce

(H

ou

sin

g-

AA

A o

r Eq

uiv

alen

t)

50

100

150

200

250

300

Jan-08 Feb-09 Mar-10 Apr-11 May-12 Jun-13 Jul-14 Aug-15 Aug-16 Sep-17 Oct-18

Fund Benchmark

Page 35: Monthly Investment Update October 2018 · Accelerator Mid-Cap Fund October 2018 Fund # # 1

Equity 50.55%

Infosys Limited Computer Programming, Consultancy and Related Activities 5.80%

HDFC Bank Limited Financial and Insurance Activities 5.42%

ITC Limited Manufacture of Tobacco Products 4.17%

Reliance Industries Limited Manufacture of Coke and Refined Petroleum Products 3.56%

Hindalco Industries Limited Manufacture of Basic Metals 2.61%

MphasiS Limited Computer Programming, Consultancy and Related Activities 2.05%

Tech Mahindra Limited Computer Programming, Consultancy and Related Activities 2.02%

Nestle India Limited Manufacture of Food Products 1.90%

Housing Development Finance Corporation Limited Financial and Insurance Activities 1.76%

Kotak Mahindra Bank Limited Financial and Insurance Activities 1.68%

Others 19.58%

Corporate Bond 0.54%

8.69% LIC Housing Finance Ltd NCD (MD 17/05/2019) AAA 0.11%

8.58% LIC Housing Finance Ltd NCD (MD 01/08/2025) (Put Date 03/05/2019) AAA 0.11%

8.50% IRFC Ltd (MD 22/06/2020) AAA 0.11%

8.37% Rural Electrification Corporation Limited NCD (14/08/2020) AAA 0.11%

8.68% LIC Housing Finance Ltd (MD 30/03/2020) AAA 0.05%

8.60% LIC Housing Finance Ltd NCD Option I (MD 26/02/2021) AAA 0.05%

Sovereign 9.54%

7.35% GOI ( MD 22/06/2024) SOV 3.70%

6.84% GOI (MD 19/12/2022) SOV 2.77%

7.37% GOI (MD 16/04/2023) SOV 1.59%

8.89% Maharastra SDL (MD 05/10/2021) SOV 1.10%

7.68% GOI (MD 15/12/2023) SOV 0.38%

Money Market, Deposits & Other 39.37%

Total 100.00%

Fund Objective

The investment objective of this fund will be to realize a level of total income, including current income and capital appreciation, which is consistent with reasonable investment risk. The investment strategy will involve a flexible policy forallocating assets among equities, bonds and cash.

Asset Allocation Fund II

October 2018

Company/Issuer Sector/Rating Exposure (%)

Portfolio Quantitative Indicators Modified Duration 0.96

Growth of Rs. 100

Portfolio Allocation

Actual (%) Stated (%)

Equity 40 - 90

Debt , Bank deposits & Fixed Income Securities 0 - 60

Money Market instrument 0 - 50

Net Current Assets #

Total

#Net current asset represents net of receivables and payables for investments held.

Description

SFIN Number ULIF07205/12/13ASSETALL02116

Launch Date 31-Mar-14

Face Value 10

Risk Profile High

Benchmark CRISIL Balanced Fund – Aggressive Index

Fund Manager Name Sampath Reddy, Reshma Banda, Durgadutt Dhar

Number of funds managed by fund manager:

Equity 19 28 -

Debt - - 28

Hybrid 9 25 24

NAV as on 31-October-18 15.7860

AUM (Rs. Cr) 185.11

Equity 50.55%

Debt 46.24%

Net current asset 3.21%

Fund Details

Sampath Reddy Reshma Banda Durgadutt Dhar

Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd

30

50.55

12.49

33.75

3.21

100.00

90

100

110

120

130

140

150

160

170

180

190

Mar-14 Oct-14 Apr-15 Oct-15 Apr-16 Oct-16 Apr-17 Oct-17 Apr-18 Oct-18

Fund Benchmark

Page 36: Monthly Investment Update October 2018 · Accelerator Mid-Cap Fund October 2018 Fund # # 1

Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance

PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception

Fund

Benchmark

*Others includes Equity, CBLO, Net receivable/payable and FD

Top 10 Sectors

-2.18% -2.51% 1.68% 7.51% 8.08% 10.46%

-2.80% -1.20% 1.17% 7.97% 8.29% 9.78%

Asset Class Rating Profile

Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.

31

33.51%

17.02%12.55%

6.21% 4.88% 4.70% 4.17% 3.52% 2.29% 1.90%

0%

20%

40%

Go

vern

men

t o

f In

dia

Fin

anci

al a

nd

Insu

ran

ceA

c�vi

�es

Co

mp

ute

r P

rogr

amm

ing,

Co

nsu

ltan

cy a

nd

Rel

ated

Ac�

vi�

es

Man

ufa

ctu

re o

f C

oke

an

dR

efin

ed P

etro

leu

m P

rod

uct

s

Man

ufa

ctu

re o

f P

har

ma,

Med

icin

al C

hem

ical

an

dB

ota

nic

al P

rod

uct

s

Man

ufa

ctu

re o

f B

asic

Met

als

Man

ufa

ctu

re o

f To

bac

coP

rod

uct

s

Fin

ance

& In

sura

nce

(H

ou

sin

g -

AA

A o

r Eq

uiv

alen

t)

Man

ufa

ctu

re o

f C

hem

ical

s an

dC

hem

ical

Pro

du

cts

Man

ufa

ctu

re o

f Fo

od

Pro

du

cts

Page 37: Monthly Investment Update October 2018 · Accelerator Mid-Cap Fund October 2018 Fund # # 1

Fund Objective

To provide accumulation of income through investment in high quality fixed income securities like G-Secs, and corporate debt rated AA and above.

Bond Fund

October 2018

#Net current asset represents net of receivables and payables for investments held.

Corporate Bond 32.01%

8.75% Indiabulls Housing Finance LTD NCD (MD 26/09/2021) AAA 4.91%

7.49% GRUH Finance Limited NCD (MD 31/10/2022) AAA 2.43%

8.57% India Bulls Housing Finance Ltd (MD 30/03/2022) AAA 2.39%

8.72% Shriram Transport Finance Co Ltd NCD (MD 27/03/2023) AA+ 2.06%

8.85% Bajaj Finance Limited NCD (MD 15/07/2026) AAA 1.88%

7.90% HDFC Ltd NCD (MD 24/08/2026) AAA 1.88%

9.95 % Food Corporation of India (MD 07/03/2022) AAA 1.68%

7.85% Cholamandalam Invt &Fin Co NCD(MD08082019)(C-08082018) AA+ 1.48%

7.68% Fullerton India Credit Co Ltd S 56 NCD (MD 14/08/2020) AAA 1.46%

8.75% Bajaj Finance Ltd NCD (MD 14/08/2026) AAA 1.18%

Others 10.66%

Sovereign 26.57%

7.35% GOI ( MD 22/06/2024) SOV 16.72%

7.37% GOI (MD 16/04/2023) SOV 5.78%

6.84% GOI (MD 19/12/2022) SOV 2.95%

8.28% GOI (MD 21/09/2027) SOV 1.12%

Money Market, Deposits & Other 41.41%

Total 100.00%

Company/Issuer Rating Exposure (%)

Portfolio

Description

SFIN Number ULIF02610/07/06BONDFUNDLI116

Launch Date 10-Jul-06

Face Value 10

Risk Profile Moderate

Benchmark CRISIL Composite Bond Fund Index

Fund Manager Name Durgadutt Dhar

Number of funds managed by fund manager:

Equity -

Debt 28

Hybrid 24

NAV as on 31-October-18 27.5239

AUM (Rs. Cr) 1,007.40

Equity -

Debt 97.77%

Net current asset 2.23%

Fund Details

Quantitative Indicators Modified Duration 2.17

Growth of Rs. 100

Top 10 Sectors

Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance

PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception

Fund

Benchmark

Portfolio Allocation

Actual (%) Stated (%)

Debt and money market instruments 0 - 100

Net Current Assets #

Total

1.21% 2.45% 2.10% 4.18% 6.59% 8.57%

1.24% 2.44% 1.74% 4.43% 6.78% 7.27%

Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd

Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.

32

97.77

2.23

100.00

Asset Class Rating Profile

*Others includes Equity, CBLO, Net receivable/payable and FD

64.94%

17.37%8.42%

2.17% 1.02% 0.99% 0.87% 0.77% 0.56% 0.37%0%

20%

40%

60%

80%

Go

vern

men

t o

f In

dia

Fin

anci

al a

nd

Insu

ran

ceA

c�vi

�es

Fin

ance

& In

sura

nce

(Ho

usi

ng

- A

AA

or

Equ

ival

ent)

Wh

ole

sale

Tra

de,

Exc

ept

of

Mo

tor

Veh

icle

s an

dM

oto

rcyc

les

Man

ufa

ctu

re o

f R

ub

ber

an

dP

las�

cs P

rod

uct

s

Man

ufa

ctu

re o

f El

ectr

ical

Equ

ipm

ent

Fin

anci

al a

nd

Insu

ran

ceA

c�vi

�es

(In

fra)

Min

ing

Sup

po

rt S

ervi

ceA

c�vi

�es

(In

fra)

Man

ufa

ctu

re o

f M

oto

rV

ehic

les,

Tra

ilers

an

d S

emi-

Trai

lers

Elec

tric

ity,

Gas

, Ste

am a

nd

Air

con

di�

on

Su

pp

ly (

Infr

a)

90

120

150

180

210

240

270

300

Jul-06 Jul-07 Jul-08 Aug-09 Aug-10 Aug-11 Aug-12 Sep-13 Sep-14 Sep-15 Oct-16 Oct-17 Oct-18

Fund Benchmark

Page 38: Monthly Investment Update October 2018 · Accelerator Mid-Cap Fund October 2018 Fund # # 1

Corporate Bond 24.58%

10.09% MRF Limited (MD 27/05/2021) AA+ 8.74%

8.85% Axis Bank Ltd (MD 05/12/2024) AAA 8.50%

8.75 HDFC Ltd NCD (MD 13/01/2020) AAA 5.10%

9.39% LICHFL NCD (MD 23/08/2024)(Put Date 26/08/2015) AAA 1.74%

8.75% Indiabulls Housing Finance LTD NCD (MD 26/09/2021) AAA 0.51%

Sovereign 43.52%

7.35% GOI ( MD 22/06/2024) SOV 23.99%

6.84% GOI (MD 19/12/2022) SOV 8.75%

7.37% GOI (MD 16/04/2023) SOV 6.35%

7.80% GOI (MD 11/04/2021) SOV 4.43%

Money Market, Deposits & Other 31.90%

Total 100.00%

Fund Objective

Portfolio Allocation

To provide accumulation of income through investment in high quality fixed income securities.

Premier Bond Fund

October 2018

Actual (%) Stated (%)

G-Secs, Bonds, Fixed Deposits and Money Market instruments* 0 - 100

Net Current Assets #

Total

#Net current asset represents net of receivables and payables for investments held.*Including Loan

Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance

PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception

Fund

Benchmark

Asset Class Rating Profile

*Others includes Equity, CBLO, Net receivable/payable and FD

Description

SFIN Number ULIF02821/07/06PREMIRBOND116

Launch Date 21-Jul-06

Face Value 10

Risk Profile Moderate

Benchmark CRISIL Composite Bond Fund Index

Fund Manager Name Durgadutt Dhar

Number of funds managed by fund manager:

Equity -

Debt 28

Hybrid 24

NAV as on 31-October-18 21.2781

AUM (Rs. Cr) 5.88

Equity -

Debt 95.82%

Net current asset 4.18%

Fund Details

Top 10 Sectors

Growth of Rs. 100

1.18% 1.66% 0.57% 1.34% 3.94% 6.34%

1.24% 2.44% 1.74% 4.43% 6.78% 7.28%

Portfolio

Company/Issuer Rating Exposure (%)

Quantitative Indicators Modified Duration 2.50

Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd

Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.

33

95.82

4.18

100.00

70.21%

8.74% 8.50% 6.84%1.55%

0%

20%

40%

60%

80%

Go

vern

men

t o

f In

dia

Man

ufa

ctu

re o

f R

ub

ber

an

dP

las�

cs P

rod

uct

s

Fin

anci

al a

nd

Insu

ran

ceA

c�vi

�es

(In

fra)

Fin

ance

& In

sura

nce

(H

ou

sin

g-

AA

A o

r Eq

uiv

alen

t)

Fin

anci

al a

nd

Insu

ran

ceA

c�vi

�es

90

110

130

150

170

190

210

230

250

Jul-06 Jul-07 Aug-08 Aug-09 Aug-10 Aug-11 Sep-12 Sep-13 Sep-14 Sep-15 Oct-16 Oct-17 Oct-18

Fund Benchmark

Page 39: Monthly Investment Update October 2018 · Accelerator Mid-Cap Fund October 2018 Fund # # 1

Corporate Bond 24.38%

8.75 HDFC Ltd NCD (MD 13/01/2020) AAA 7.19%

10.00% Shriram Transport Finance Company Ltd (MD 15/07/2019) AA+ 4.39%

9.10% Dewan Housing Finance Corporation Limited (MD 16/08/2019) AAA 3.16%

8.85% Axis Bank Ltd (MD 05/12/2024) AAA 2.40%

10.09% MRF Limited (MD 27/05/2021) AA+ 2.24%

8.57% India Bulls Housing Finance Ltd (MD 30/03/2022) AAA 2.18%

8.10% Shriram Transport Finance Company Ltd NCD (MD 29/05/2020) AA+ 1.72%

9.10% Dewan Housing Finance Corporation Limited (MD 09/09/2019) AAA 0.87%

7.9612% Cholamandalam Investment & Finance Co. Ltd NCD (MD 26/02/2019) AA+ 0.22%

Sovereign 21.07%

7.35% GOI ( MD 22/06/2024) SOV 14.74%

7.37% GOI (MD 16/04/2023) SOV 4.91%

6.84% GOI (MD 19/12/2022) SOV 1.42%

Money Market, Deposits & Other 54.55%

Total 100.00%

Fund Objective

Portfolio Allocation

To provide accumulation of income through investment in high quality fixed income securities.

Bond Pension Fund

October 2018

Actual (%) Stated (%)

Debt and money market instruments 0 - 100

Net Current Assets #

Total

#Net current asset represents net of receivables and payables for investments held.

Company/Issuer Rating Exposure (%)

Portfolio

Description

SFIN Number ULIF03524/07/06BONDPENFUN116

Launch Date 24-Jul-06

Face Value 10

Risk Profile Moderate

Benchmark CRISIL Composite Bond Fund Index

Fund Manager Name Durgadutt Dhar

Number of funds managed by fund manager:

Equity -

Debt 28

Hybrid 24

NAV as on 31-October-18 27.4107

AUM (Rs. Cr) 45.85

Equity -

Debt 97.67%

Net current asset 2.33%

Fund Details

Quantitative Indicators Modified Duration 1.30

Growth of Rs. 100

Top 10 Sectors

Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance

PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception

Fund

Benchmark

Asset Class Rating Profile

1.11% 2.57% 2.47% 3.44% 5.40% 8.56%

1.24% 2.44% 1.74% 4.43% 6.78% 7.27%

Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd

Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’. *Others includes Equity, CBLO, Net receivable/payable and FD

34

97.67

2.33

100.00

11.23% 9.23%2.40% 2.24%

0%

20%

40%

60%

80%

Go

vern

men

t o

f In

dia

Fin

ance

& In

sura

nce

(H

ou

sin

g -

AA

A o

r Eq

uiv

alen

t)

Fin

anci

al a

nd

Insu

ran

ceA

c�vi

�es

Fin

anci

al a

nd

Insu

ran

ceA

c�vi

�es

(In

fra)

Man

ufa

ctu

re o

f R

ub

ber

an

dP

las�

cs P

rod

uct

s

72.57%

90

110

130

150

170

190

210

230

250

270

290

Jul-06 Aug-07 Aug-08 Aug-09 Aug-10 Sep-11 Sep-12 Sep-13 Sep-14 Oct-15 Oct-16 Oct-17 Oct-18

Fund Benchmark

Page 40: Monthly Investment Update October 2018 · Accelerator Mid-Cap Fund October 2018 Fund # # 1

Fund ObjectiveTo provide accumulation of income through investment in high quality fixed income Securities.

Debt Fund

October 2018

Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance

PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception

Fund

Benchmark

*Others includes Equity, CBLO, Net receivable/payable and FD

Description

SFIN Number ULIF00415/01/04DEBTFUNDLI116

Launch Date 15-Jan-04

Face Value 10

Risk Profile Moderate

Benchmark CRISIL Composite Bond Fund Index

Fund Manager Name Durgadutt Dhar

Number of funds managed by fund manager:

Equity -

Debt 28

Hybrid 24

NAV as on 31-October-18 23.3610

AUM (Rs. Cr) 46.34

Equity -

Debt 98.24%

Net current asset 1.76%

Fund Details

Quantitative IndicatorsModified Duration 1.66

Top 10 Sectors

Portfolio Allocation

Actual (%) Stated (%)

Debt Instruments, FDs & Money Market Instruments* 0 - 100

Net Current Assets #

Total

#Net current asset represents net of receivables and payables for investments held.*Including Loan

1.11% 1.84% 0.74% 1.60% 4.46% 5.90%

1.24% 2.44% 1.74% 4.43% 6.78% 6.40%

Corporate Bond 26.87%

8.75 HDFC Ltd NCD (MD 13/01/2020) AAA 5.61%

8.85% Axis Bank Ltd (MD 05/12/2024) AAA 4.31%

8.57% India Bulls Housing Finance Ltd (MD 30/03/2022) AAA 3.88%

9.39% LICHFL NCD (MD 23/08/2024)(Put Date 26/08/2015) AAA 3.31%

9.10% Dewan Housing Finance Corporation Limited (MD 16/08/2019) AAA 3.03%

11.50% ICICI Bank Ltd (MD 05/01/2019) AAA 1.95%

8.60% LIC Housing Finance Ltd NCD Option I (MD 26/02/2021) AAA 1.72%

7.9612% Cholamandalam Investment & Finance Co. Ltd NCD (MD 26/02/2019) AA+ 1.29%

10.09% MRF Limited (MD 27/05/2021) AA+ 1.11%

8.58% LIC Housing Finance Ltd NCD (MD 01/08/2025) (Put Date 03/05/2019) AAA 0.65%

Sovereign 28.35%

7.35% GOI ( MD 22/06/2024) SOV 13.43%

6.84% GOI (MD 19/12/2022) SOV 6.34%

7.80% GOI (MD 11/04/2021) SOV 4.26%

7.37% GOI (MD 16/04/2023) SOV 3.44%

8.89% Maharastra SDL (MD 05/10/2021) SOV 0.88%

Money Market, Deposits & Other 44.79%

Total 100.00%

Company/Issuer Rating Exposure (%)

Portfolio

Growth of Rs. 100

Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd

Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.

35

98.24

1.76

100.00

70.50%

14.31%7.13% 4.31% 1.11% 0.88%

0%

20%

40%

60%

80%

Go

vern

men

t o

f In

dia

Fin

ance

& In

sura

nce

(Ho

usi

ng

- A

AA

or

Equ

ival

ent)

Fin

anci

al a

nd

Insu

ran

ceA

c�vi

�es

Fin

anci

al a

nd

Insu

ran

ceA

c�vi

�es

(In

fra)

Man

ufa

ctu

re o

f R

ub

ber

an

dP

las�

cs P

rod

uct

s

Stat

e G

ove

rnm

ent

90

110

130

150

170

190

210

230

250

270

Jan-04 Feb-06 Mar-08 May-10 Jun-12 Jul-14 Aug-16 Oct-18

Fund Benchmark

Page 41: Monthly Investment Update October 2018 · Accelerator Mid-Cap Fund October 2018 Fund # # 1

Fund ObjectiveTo provide accumulation of income through investment in high quality fixed income Securities.

Debt Plus Fund

October 2018

Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance

PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception

Fund

Benchmark

Asset Class Rating Profile

*Others includes Equity, CBLO, Net receivable/payable and FD

Description

SFIN Number ULIF00923/07/04DEBTPLUSFU116

Launch Date 23-Jul-04

Face Value 10

Risk Profile Moderate

Benchmark CRISIL Composite Bond Fund Index

Fund Manager Name Durgadutt Dhar

Number of funds managed by fund manager:

Equity -

Debt 28

Hybrid 24

NAV as on 31-October-18 29.2701

AUM (Rs. Cr) 61.41

Equity -

Debt 98.91%

Net current asset 1.09%

Fund Details

Quantitative IndicatorsModified Duration 1.63

Top 10 Sectors

Portfolio Allocation

Actual (%) Stated (%)

Debt Instruments, FDs & Money Market Instruments* 0 - 100

Net Current Assets #

Total

#Net current asset represents net of receivables and payables for investments held.*Including Loan

1.30% 2.93% 3.05% 4.35% 5.99% 7.81%

1.24% 2.44% 1.74% 4.43% 6.78% 6.71%

Corporate Bond 21.62%

8.10% Shriram Transport Finance Company Ltd NCD (MD 29/05/2020) AA+ 5.30%

8.53% PFC Ltd NCD (MD 24/07/2020) AAA 4.38%

9.10% Dewan Housing Finance Corporation Limited (MD 09/09/2019) AAA 3.45%

9.39% LICHFL NCD (MD 23/08/2024)(Put Date 26/08/2015) AAA 2.50%

8.57% India Bulls Housing Finance Ltd (MD 30/03/2022) AAA 2.12%

8.60% LIC Housing Finance Ltd NCD Option I (MD 26/02/2021) AAA 1.78%

7.9612% Cholamandalam Investment & Finance Co. Ltd NCD (MD 26/02/2019) AA+ 1.30%

8.37% LIC Housing Finance Ltd NCD (MD 21/05/2023) AAA 0.80%

Sovereign 30.66%

7.35% GOI ( MD 22/06/2024) SOV 16.77%

7.37% GOI (MD 16/04/2023) SOV 5.94%

6.84% GOI (MD 19/12/2022) SOV 5.47%

8.89% Maharastra SDL (MD 05/10/2021) SOV 2.49%

Money Market, Deposits & Other 47.72%

Total 100.00%

Company/Issuer Rating Exposure (%)

Portfolio

Growth of Rs. 100

Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd

Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.

36

98.91

1.09

100.00

Debt Plus Fund

74.81%

8.72% 8.53%4.38% 2.49%

0%

20%

40%

60%

80%

Go

vern

men

t o

f In

dia

Fin

anci

al a

nd

Insu

ran

ceA

c�vi

�es

Fin

ance

& In

sura

nce

(H

ou

sin

g-

AA

A o

r Eq

uiv

alen

t)

Fin

anci

al a

nd

Insu

ran

ceA

c�vi

�es

(In

fra)

Stat

e G

ove

rnm

ent

90

120

150

180

210

240

270

300

Jul-04 Aug-06 Aug-08 Aug-10 Sep-12 Sep-14 Sep-16 Oct-18

Fund Benchmark

Page 42: Monthly Investment Update October 2018 · Accelerator Mid-Cap Fund October 2018 Fund # # 1

Corporate Bond 4.21%

7.9612% Cholamandalam Investment & Finance Co. Ltd NCD (MD 26/02/2019) AA+ 1.90%

9.10% Dewan Housing Finance Corporation Limited (MD 09/09/2019) AAA 1.53%

9.10% Dewan Housing Finance Corporation Limited (MD 16/08/2019) AAA 0.77%

Sovereign 52.76%

7.35% GOI ( MD 22/06/2024) SOV 27.06%

7.80% GOI (MD 11/04/2021) SOV 12.83%

7.37% GOI (MD 16/04/2023) SOV 6.94%

6.84% GOI (MD 19/12/2022) SOV 5.93%

Money Market, Deposits & Other 43.04%

Total 100.00%

Fund ObjectiveTo provide accumulation of income through investment in high quality fixed income Securities.

Debt Plus Pension Fund October 2018

Company/Issuer Rating Exposure (%)

Portfolio

Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance

PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception

Fund

Benchmark

Asset Class Rating Profile

*Others includes Equity, CBLO, Net receivable/payable and FD

Description

SFIN Number ULIF01518/11/04DEBTPLUPEN116

Launch Date 18-Nov-04

Face Value 10

Risk Profile Moderate

Benchmark CRISIL Composite Bond Fund Index

Fund Manager Name Durgadutt Dhar

Number of funds managed by fund manager:

Equity -

Debt 28

Hybrid 24

NAV as on 31-October-18 31.5823

AUM (Rs. Cr) 5.24

Equity -

Debt 98.08%

Net current asset 1.92%

Fund Details

Quantitative IndicatorsModified Duration 2.01

Top 10 Sectors

Portfolio Allocation

Actual (%) Stated (%)

Debt Instruments, FDs & Money Market Instruments* 0 - 100

Net Current Assets #

Total

#Net current asset represents net of receivables and payables for investments held.*Including Loan

1.42% 3.12% 2.68% 4.59% 7.32% 8.59%

1.24% 2.44% 1.74% 4.43% 6.78% 6.97%

Growth of Rs. 100

Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd

Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.

37

98.08

1.92

100.00

92.45%

3.21% 2.42%

0%

20%

40%

60%

80%

100%

Go

vern

men

t o

f In

dia

Fin

ance

& In

sura

nce

(H

ou

sin

g-

AA

A o

r Eq

uiv

alen

t)

Fin

anci

al a

nd

Insu

ran

ceA

c�vi

�es

90

140

190

240

290

340

Nov-04 Apr-06 Sep-07 Jan-09 Jun-10 Nov-11 Mar-13 Aug-14 Jan-16 Jun-17 Oct-18

Fund Benchmark

Page 43: Monthly Investment Update October 2018 · Accelerator Mid-Cap Fund October 2018 Fund # # 1

Fund Objective

Portfolio Allocation

To provide accumulation of income through investment in high quality fixed income Securities.

Life Long Gain Fund

October 2018

Actual (%) Stated (%)

Government Securities 25 - 100

Government Securities or Other Approved Securities (including above) 50 - 100

Approved Investments Infrastructure and Social Sector 15 - 100

Others* 0 - 35

Others Approved 0 - 15

Net Current Assets #

Total

#Net current asset represents net of receivables and payables for investments held.*Out of the 35%, not more than 15% of investment in ‘Other than Approved Investment’

Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance

PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception

Fund

Benchmark

Asset Class Rating Profile

*Others includes Equity, CBLO, Net receivable/payable and FD

Description

SFIN Number ULIF01123/07/04LIFELOGAIN116

Launch Date 23-Jul-04

Face Value 10

Risk Profile Moderate

Benchmark CRISIL Composite Bond Fund Index

Fund Manager Name Durgadutt Dhar

Number of funds managed by fund manager:

Equity -

Debt 28

Hybrid 24

NAV as on 31-October-18 20.2952

AUM (Rs. Cr) 17.75

Equity -

Debt 97.75%

Net current asset 2.25%

Fund Details

Top 10 Sectors

Growth of Rs. 100

1.30% 2.39% 0.94% 2.29% 4.77% 5.08%

1.24% 2.44% 1.74% 4.43% 6.78% 6.71%

Portfolio

Corporate Bond 17.10%

11.95% HDFC Ltd (MD 26/11/2018) AAA 4.52%

9.64% Power Grid Corporation Ltd. F ( MD 31/05/2020) AAA 3.56%

9.10% Dewan Housing Finance Corporation Limited (MD 09/09/2019) AAA 3.39%

9.69% PFC Bond Series 113 (MD 02/03/2019) AAA 2.83%

8.75 HDFC Ltd NCD (MD 13/01/2020) AAA 1.13%

8.53% PFC Ltd NCD (MD 24/07/2020) AAA 1.12%

8.60% LIC Housing Finance Ltd NCD (MD 28/12/2020) AAA 0.56%

Sovereign 46.98%

7.16% GOI (MD 20/05/2023) SOV 26.14%

7.35% GOI ( MD 22/06/2024) SOV 9.88%

7.80% GOI (MD 11/04/2021) SOV 8.42%

8.28% GOI (MD 21/09/2027) SOV 1.44%

7.37% GOI (MD 16/04/2023) SOV 1.11%

Money Market, Deposits & Other 35.91%

Total 100.00%

Company/Issuer Rating Exposure (%) Quantitative Indicators Modified Duration 2.10

Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd

Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.

38

79.12

79.12

17.10

1.52

-

2.25

100.00

80.64%

9.59%3.95% 3.56%

0%

20%

40%

60%

80%

100%

Go

vern

men

t o

f In

dia

Fin

ance

& In

sura

nce

(Ho

usi

ng

- A

AA

or

Equ

ival

ent)

Fin

anci

al a

nd

Insu

ran

ceA

c�vi

�es

(In

fra)

Elec

tric

ity,

Gas

, Ste

am a

nd

Air

con

di�

on

Su

pp

ly (

Infr

a)

50

100

150

200

250

300

Jul-04 Aug-06 Aug-08 Aug-10 Sep-12 Sep-14 Sep-16 Oct-18

Fund Benchmark

Page 44: Monthly Investment Update October 2018 · Accelerator Mid-Cap Fund October 2018 Fund # # 1

Fund Objective

Portfolio Allocation

To provide accumulation of income through investment in high quality fixed income Securities.

Premier Debt Fund

October 2018

Actual (%) Stated (%)

G-Secs, Bonds, Fixed Deposits and Money Market instruments 0 - 100

Net Current Assets #

Total

#Net current asset represents net of receivables and payables for investments held.

Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance

PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception

Fund

Benchmark

Asset Class Rating Profile

*Others includes Equity, CBLO, Net receivable/payable and FD

Description

SFIN Number ULIF02317/12/05PRERDEBTFU116

Launch Date 17-Dec-05

Face Value 10

Risk Profile Moderate

Benchmark CRISIL Composite Bond Fund Index

Fund Manager Name Durgadutt Dhar

Number of funds managed by fund manager:

Equity -

Debt 28

Hybrid 24

NAV as on 31-October-18 23.7670

AUM (Rs. Cr) 3.69

Equity -

Debt 98.15%

Net current asset 1.85%

Fund Details

Top 10 Sectors

Growth of Rs. 100

1.12% 1.97% 1.10% 1.95% 4.67% 6.95%

1.24% 2.44% 1.74% 4.43% 6.78% 7.03%

Portfolio

Corporate Bond 12.77%

11.50% ICICI Bank Ltd (MD 05/01/2019) AAA 8.17%

8.75 HDFC Ltd NCD (MD 13/01/2020) AAA 2.70%

9.10% Dewan Housing Finance Corporation Limited (MD 16/08/2019) AAA 1.90%

Sovereign 27.55%

7.35% GOI ( MD 22/06/2024) SOV 13.71%

6.84% GOI (MD 19/12/2022) SOV 10.11%

7.37% GOI (MD 16/04/2023) SOV 3.72%

Money Market, Deposits & Other 59.68%

Total 100.00%

Company/Issuer Rating Exposure (%)

Quantitative Indicators Modified Duration 1.17

Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd

Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.

39

98.15

1.85

100.00

83.85%

8.41% 5.89%

0%

20%

40%

60%

80%

100%

Go

vern

men

t o

f In

dia

Fin

anci

al a

nd

Insu

ran

ceA

c�vi

�es

Fin

ance

& In

sura

nce

(H

ou

sin

g-

AA

A o

r Eq

uiv

alen

t)

90

110

130

150

170

190

210

230

250

Dec-05 Feb-08 Mar-10 May-12 Jun-14 Aug-16 Oct-18

Fund Benchmark

Page 45: Monthly Investment Update October 2018 · Accelerator Mid-Cap Fund October 2018 Fund # # 1

Fund ObjectiveTo have a Fund that protects the invested capital through investments in liquid money market and short-term instruments like commercial papers, certificate of deposits, money market mutual funds, and bank FDs etc.

Liquid Fund

October 2018

Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance

PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception

Fund

Benchmark

Asset Class Rating Profile

*Others includes Equity, CBLO, Net receivable/payable and FD

Description

SFIN Number ULIF02510/07/06LIQUIDFUND116

Launch Date 10-Jul-06

Face Value 10

Risk Profile Low

Benchmark CRISIL Liquid Fund Index

Fund Manager Name Durgadutt Dhar

Number of funds managed by fund manager:

Equity -

Debt 28

Hybrid 24

NAV as on 31-October-18 25.4553

AUM (Rs. Cr) 249.92

Equity -

Debt 100.07%

Net current asset -0.07%

Fund Details

Top 10 Sectors

Portfolio Allocation

Actual (%) Stated (%)

Bank deposits and money Market Instruments 0 - 100

#Net Current Assets

Total #Net current asset represents net of receivables and payables for investments held.

0.48% 0.87% 3.56% 4.71% 5.66% 7.88%

0.64% 3.78% 7.32% 7.01% 7.21% 7.49%

Portfolio

Money Market, Deposits & Other 100.00%

Total 100.00%

Company/Issuer Rating Exposure (%)

Quantitative Indicators Modified Duration 0.43

Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd

Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.

40

100.07

-0.07

100.00

59.54%

13.38% 12.61%7.80% 6.75%

0%

20%

40%

60%

80%

Go

vern

men

t o

f In

dia

Fin

anci

al a

nd

Insu

ran

ceA

c�vi

�es

Fin

ance

& In

sura

nce

(Ho

usi

ng

- A

AA

or

Equ

ival

ent)

Man

ufa

ctu

re o

f C

oke

and

Refi

ned

Pet

role

um

Pro

du

cts

Man

ufa

ctu

re o

f M

oto

rV

ehic

les,

Tra

ilers

an

dSe

mi-

Trai

lers

Page 46: Monthly Investment Update October 2018 · Accelerator Mid-Cap Fund October 2018 Fund # # 1

Fund Objective

Portfolio Allocation

To have a fund that protects invested capital through investments in liquid money market and short-term instruments.

Liquid Pension Fund

October 2018

Actual (%) Stated (%)

FD & Money market instruments* 0 - 100

#Net Current Assets

Total

#Net current asset represents net of receivables and payables for investments held.*Including Fixed Deposits

Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance

PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception

Fund

Benchmark

Asset Class Rating Profile

*Others includes Equity, CBLO, Net receivable/payable and FD

Description

SFIN Number ULIF04124/07/06LIQPENFUND116

Launch Date 24-Jul-06

Face Value 10

Risk Profile Low

Benchmark CRISIL Liquid Fund Index

Fund Manager Name Durgadutt Dhar

Number of funds managed by fund manager:

Equity -

Debt 28

Hybrid 24

NAV as on 31-October-18 25.4207

AUM (Rs. Cr) 7.61

Equity -

Debt 99.91%

Net current asset 0.09%

Fund Details

Top 10 Sectors

0.47% 0.74% 3.37% 4.49% 5.57% 7.89%

0.64% 3.78% 7.32% 7.01% 7.21% 7.49%

Portfolio

Money Market, Deposits & Other 100.00%

Total 100.00%

Company/Issuer Rating Exposure (%)

Quantitative Indicators Modified Duration 0.43

Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd

Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.

41

99.91

0.09

100.00

58.00%

16.22%12.13% 8.34% 5.21%

0%

20%

40%

60%

80%

Go

vern

men

t o

f In

dia

Fin

ance

& In

sura

nce

(H

ou

sin

g-

AA

A o

r Eq

uiv

alen

t)

Fin

anci

al a

nd

Insu

ran

ceA

c�vi

�es

Man

ufa

ctu

re o

f C

oke

an

dR

efin

ed P

etro

leu

m P

rod

uct

s

Man

ufa

ctu

re o

f M

oto

rV

ehic

les,

Tra

ilers

an

d S

emi-

Trai

lers

Page 47: Monthly Investment Update October 2018 · Accelerator Mid-Cap Fund October 2018 Fund # # 1

Fund Objective

Portfolio Allocation

To have a fund that protects invested capital through investments in liquid money market and short-term instruments.

Cash Fund

October 2018

Actual (%) Stated (%)

Money market instruments and short term debt* 0 - 100

#Net Current Assets

Total

#Net current asset represents net of receivables and payables for investments held.* Including Fixed Deposits

Money Market, Deposits & Other 100.00%

Total 100.00%

Company/Issuer Rating Exposure (%)

Portfolio

Description

SFIN Number ULIF00215/01/04CASHFUNDLI116

Launch Date 15-Jan-04

Face Value 10

Risk Profile Low

Benchmark CRISIL Liquid Fund Index

Fund Manager Name Durgadutt Dhar

Number of funds managed by fund manager:

Equity -

Debt 28

Hybrid 24

NAV as on 31-October-18 23.4311

AUM (Rs. Cr) 36.08

Equity -

Debt 99.94%

Net current asset 0.06%

Fund Details

Quantitative IndicatorsModified Duration 0.42

Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance

PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception

Fund

Benchmark

Asset Class Rating Profile

*Others includes Equity, CBLO, Net receivable/payable and FD

Top 10 Sectors

0.36% 2.25% 4.15% 4.14% 4.68% 5.92%

0.64% 3.78% 7.32% 7.01% 7.21% 7.01%

Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd

Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.

42

99.94

0.06

100.00

62.26%

15.20%8.53% 7.22% 6.74%

0%

20%

40%

60%

80%

Go

vern

men

t o

f In

dia

Fin

ance

& In

sura

nce

(Ho

usi

ng

- A

AA

or

Equ

ival

ent)

Man

ufa

ctu

re o

f C

oke

an

dR

efin

ed P

etro

leu

m P

rod

uct

s

Fin

anci

al a

nd

Insu

ran

ceA

c�vi

�es

Man

ufa

ctu

re o

f M

oto

rV

ehic

les,

Tra

ilers

an

d S

emi-

Trai

lers

Page 48: Monthly Investment Update October 2018 · Accelerator Mid-Cap Fund October 2018 Fund # # 1

Fund ObjectiveTo have a fund that protects invested capital through investments in liquid money market and short-term instruments.

Cash Plus Fund

October 2018

Money Market, Deposits & Other 100.00%

Total 100.00%

Company/Issuer Rating Exposure (%)

Portfolio

Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance

PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception

Fund

Benchmark

Asset Class Rating Profile

*Others includes Equity, CBLO, Net receivable/payable and FD

Description

SFIN Number ULIF01023/07/04CASHPLUSFU116

Launch Date 23-Jul-04

Face Value 10

Risk Profile Low

Benchmark CRISIL Liquid Fund Index

Fund Manager Name Durgadutt Dhar

Number of funds managed by fund manager:

Equity -

Debt 28

Hybrid 24

NAV as on 31-October-18 29.6818

AUM (Rs. Cr) 55.17

Equity -

Debt 100.22%

Net current asset -0.22%

Fund Details

Quantitative IndicatorsModified Duration 0.45

Top 10 Sectors

Portfolio Allocation

Actual (%) Stated (%)

Money market instruments and short term debt* 0 - 100

#Net Current Assets

Total

#Net current asset represents net of receivables and payables for investments held.

* Including Fixed Deposits

0.54% 3.20% 6.08% 6.10% 6.74% 7.92%

0.64% 3.78% 7.32% 7.01% 7.21% 7.12%

Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd

Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.

100.22

-0.22

100.00

43

62.95%

14.95%8.50% 7.53% 6.29%

0%

20%

40%

60%

80%

Go

vern

men

t o

f In

dia

Fin

ance

& In

sura

nce

(H

ou

sin

g -

AA

A o

r Eq

uiv

alen

t)

Man

ufa

ctu

re o

f C

oke

an

dR

efin

ed P

etro

leu

m P

rod

uct

s

Fin

anci

al a

nd

Insu

ran

ceA

c�vi

�es

Man

ufa

ctu

re o

f M

oto

rV

ehic

les,

Tra

ilers

an

d S

emi-

Trai

lers

Page 49: Monthly Investment Update October 2018 · Accelerator Mid-Cap Fund October 2018 Fund # # 1

Fund ObjectiveTo have a fund that protects invested capital through investments in liquid money market and short-term instruments.

Cash Plus Pension Fund

October 2018

Money Market, Deposits & Other 100.00%

Total 100.00%

Company/Issuer Rating Exposure (%)

Portfolio

Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance

PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception

Fund

Benchmark

Asset Class Rating Profile

*Others includes Equity, CBLO, Net receivable/payable and FD

Description

SFIN Number ULIF01618/11/04CASHPLUPEN116

Launch Date 18-Nov-04

Face Value 10

Risk Profile Low

Benchmark CRISIL Liquid Fund Index

Fund Manager Name Durgadutt Dhar

Number of funds managed by fund manager:

Equity -

Debt 28

Hybrid 24

NAV as on 31-October-18 29.8262

AUM (Rs. Cr) 2.36

Equity -

Debt 99.36%

Net current asset 0.64%

Fund Details

Quantitative IndicatorsModified Duration 0.35

Top 10 Sectors

Portfolio Allocation

Actual (%) Stated (%)

Money market instruments and short term debt* 0 - 100

# Net Current Assets

Total

#Net current asset represents net of receivables and payables for investments held.

* Including Fixed Deposits

0.49% 3.23% 6.11% 6.04% 6.72% 8.14%

0.64% 3.78% 7.32% 7.01% 7.21% 7.21%

Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd

Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.

44

99.36

0.64

100.00

63.15%

16.75%11.12%

4.21% 4.14%

0%

20%

40%

60%

80%

Go

vern

men

t o

f In

dia

Fin

ance

& In

sura

nce

(H

ou

sin

g-

AA

A o

r Eq

uiv

alen

t)

Fin

anci

al a

nd

Insu

ran

ceA

c�vi

�es

Man

ufa

ctu

re o

f M

oto

rV

ehic

les,

Tra

ilers

an

d S

emi-

Trai

lers

Man

ufa

ctu

re o

f C

oke

an

dR

efin

ed P

etro

leu

m P

rod

uct

s

Page 50: Monthly Investment Update October 2018 · Accelerator Mid-Cap Fund October 2018 Fund # # 1

Corporate Bond 32.78%

7.63% PNB Housing Finance Ltd NCD (MD 14/07/2020) AAA 3.68%

8.75% Indiabulls Housing Finance LTD NCD (MD 26/09/2021) AAA 2.61%

9.29% PFC (MD 21/08/2022) Put/Call 21/08/2020 AAA 2.61%

8.61% Sundaram Finance Ltd. (MD 12/04/2019) AAA 1.97%

7.83% LIC Housing Finance Ltd NCD (MD 25/09/2026) (Put Date 26/11/2020) AAA 1.55%

8.87% PFC (MD 18/03/2023) (P/C 18/03/2020) AAA 1.50%

8.0505% Cholamandalam Investment & Finance Co. Ltd NCD (MD 25/10/2019) AA+ 1.43%

8.50% IRFC Ltd (MD 22/06/2020) AAA 1.29%

8.00% Shriram Transport Finance Company Ltd NCD (MD 12/06/2020) AA+ 1.18%

9.4554% Sundaram Finance Ltd. (MD 28/08/2019) (Put Option 28/12/2015) AAA 1.15%

Others 13.82%

Sovereign 30.96%

8.12% GOI (MD 10/12/2020) SOV 10.07%

8.89% Maharastra SDL (MD 05/10/2021) SOV 5.76%

8.78% Gujarat SDL (MD 21/12/2021) SOV 3.39%

8.08% GOI (MD 02/08/2022) SOV 3.03%

8.39% Rajasthan UDAY SDL (MD 15/03/2020) SOV 2.84%

9.51% Maharashtra SDL (MD 11/09/2023) SOV 1.71%

6.84% GOI (MD 19/12/2022) SOV 1.07%

7.80% GOI (MD 11/04/2021) SOV 1.05%

8.27% Rajasthan SPL SDL (MD 23/06/2023) SOV 0.73%

8.69% Tamilnadu SDL (MD 24/02/2026) SOV 0.47%

Others 0.82%

Money Market, Deposits & Other 36.26%

Total 100.00%

Fund Objective

Portfolio Allocation

To provide a participation in the upside of the equity market while ensuring highest unit price recorded during the policy term at maturity. The Investment strategy will include dynamic asset allocation between equities, debt and cash. It will also ensure that the gains of the fund are locked-in during the term to achieve the payment of highest unit price recorded during the policy term at maturity.

Max Gain Fund I

October 2018

Actual (%) Stated (%)

Equity & Equity Derivatives 0 - 100

Debt and Debt Derivatives 0 - 100

Money market instruments, liquid Mutual Funds 0 - 100

# Net Current Assets

Total #Net current asset represents net of receivables and payables for investments held.

Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance

PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception

Fund

Benchmark

Description

SFIN Number ULIF05017/12/09MAXGAINF01116

Launch Date 15-Dec-09

Face Value 10

Risk Profile High

Benchmark -

Fund Manager Name Reshma Banda, Durgadutt Dhar

Number of funds managed by fund manager: Reshma Banda Durgadutt Dhar

Equity 28 -

Debt - 28

Hybrid 25 24

NAV as on 31-October-18 18.8190

AUM (Rs. Cr) 667.66

Equity -

Debt 89.39%

Net current asset 10.61%

Fund Details

Company/Issuer Sector/Rating Exposure (%)

Portfolio

0.70% 2.45% 2.97% 3.95% 4.87% 7.38%

- - - - - -

Quantitative Indicators Modified Duration 1.54

Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd

Top 10 Sectors

Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.

45

-

71.59

17.81

10.61

100.00

Asset Class Rating Profile

*Others includes Equity, CBLO, Net receivable/payable and FD

33.04%

21.36%

15.72%

9.32% 7.84%

0.65% 0.60% 0.51% 0.28% 0.06%0%

20%

40%

Go

vern

men

t o

f In

dia

Fin

anci

al a

nd

Insu

ran

ceA

c�vi

�es

Stat

e G

ove

rnm

ent

Fin

anci

al a

nd

Insu

ran

ceA

c�vi

�es

(In

fra)

Fin

ance

& In

sura

nce

(Ho

usi

ng

- A

AA

or

Equ

ival

ent)

Man

ufa

ctu

re o

f C

oke

an

dR

efin

ed P

etro

leu

m P

rod

uct

s(I

nfr

a)

Elec

tric

ity,

Gas

, Ste

am a

nd

Air

con

di�

on

Su

pp

ly (

Infr

a)

Man

ufa

ctu

re o

f M

oto

rV

ehic

les,

Tra

ilers

an

d S

emi-

Trai

lers

Wh

ole

sale

Tra

de,

Exc

ept

of

Mo

tor

Veh

icle

s an

dM

oto

rcyc

les

Man

ufa

ctu

re o

f R

ub

ber

an

dP

las�

cs P

rod

uct

s

Page 51: Monthly Investment Update October 2018 · Accelerator Mid-Cap Fund October 2018 Fund # # 1

Corporate Bond 29.99%

8.72% Shriram Transport Finance Co Ltd NCD (MD 27/03/2023) AA+ 8.43%

8.60% LIC Housing Finance Ltd NCD Option I (MD 26/02/2021) AAA 4.63%

8.57% India Bulls Housing Finance Ltd (MD 30/03/2022) AAA 3.90%

7.83% LIC Housing Finance Ltd NCD (MD 25/09/2026) (Put Date 26/11/2020) AAA 3.43%

9.95 % Food Corporation of India (MD 07/03/2022) AAA 2.91%

8.75% Indiabulls Housing Finance LTD NCD (MD 26/09/2021) AAA 2.73%

8.75 HDFC Ltd NCD (MD 13/01/2020) AAA 0.58%

8.85% Axis Bank Ltd (MD 05/12/2024) AAA 0.41%

7.20% PGC NCD (MD 21/12/2021) AAA 0.40%

9.90% LIC Housing Finance Ltd. (MD 11/11/2021) AAA 0.34%

Others 2.23%

Sovereign 13.92%

8.12% GOI (MD 10/12/2020) SOV 4.93%

8.89% Maharastra SDL (MD 05/10/2021) SOV 4.37%

8.29% Rajasthan SPL SDL (MD 23/06/2024) SOV 2.83%

7.68% GOI (MD 15/12/2023) SOV 1.26%

6.84% GOI (MD 19/12/2022) SOV 0.49%

8.27% Rajasthan SPL SDL (MD 23/06/2023) SOV 0.03%

7.80% GOI (MD 11/04/2021) SOV 0.01%

Money Market, Deposits & Other 56.08%

Total 100.00%

Fund ObjectiveTo provide a participation in the upside of the equity market while guaranteeing the highest unit price recorded during the policy term at maturity. The Investment strategy consists of dynamic asset allocation between equities, debt and cash. It ensures that the gains of the fund are locked-in so as to guarantee the highest unit price recorded during the policy term at maturity.

Max Gain Fund II

October 2018

Portfolio Allocation Actual (%) Stated (%)

Equity & Equity Derivatives* 0 - 100

Debt & Debt Derivatives* 0 - 100

Mutual Funds and Money market instruments 0 - 100

#Net Current Assets

Total

#Net current asset represents net of receivables and payables for investments held.*as and when allowed by IRDA

Company/Issuer Sector/Rating Exposure (%)

Portfolio

Asset Class Rating Profile

*Others includes Equity, CBLO, Net receivable/payable and FD

Description

SFIN Number ULIF05814/09/10MAXGAINF02116

Launch Date 14-Sep-10

Face Value 10

Risk Profile High

Benchmark -

Fund Manager Name Reshma Banda, Durgadutt Dhar

Number of funds managed by fund manager: Reshma Banda Durgadutt Dhar

Equity 28 -

Debt - 28

Hybrid 25 24

NAV as on 31-October-18 18.2149

AUM (Rs. Cr) 120.51

Equity 0.06%

Debt 92.30%

Net current asset 7.70%

Fund Details

Quantitative Indicators Modified Duration 1.34

Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd

Top 10 Sectors

Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.

-

49.83

42.47

7.70

100.00

Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance

PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception

Fund

Benchmark

0.59% 2.37% 2.58% 6.69% 7.12% 7.65%

- - - - - -

46

49.16%

21.31%

9.48% 7.23%2.91% 1.41% 0.71% 0.09%

0%

20%

40%

60%

Go

vern

men

t o

f In

dia

Fin

anci

al a

nd

Insu

ran

ceA

c�vi

�es

Fin

ance

& In

sura

nce

(H

ou

sin

g -

AA

A o

r Eq

uiv

alen

t)

Stat

e G

ove

rnm

ent

Wh

ole

sale

Tra

de,

Exc

ept

of

Mo

tor

Veh

icle

s an

dM

oto

rcyc

les

Fin

anci

al a

nd

Insu

ran

ceA

c�vi

�es

(In

fra)

Elec

tric

ity,

Gas

, Ste

am a

nd

Air

con

di�

on

Su

pp

ly (

Infr

a)

Man

ufa

ctu

re o

f R

ub

ber

an

dP

las�

cs P

rod

uct

s

Page 52: Monthly Investment Update October 2018 · Accelerator Mid-Cap Fund October 2018 Fund # # 1

Corporate Bond 34.24%

8.55% IRFC (MD 03/02/2020) AAA 6.67%

NOVO X Trust - Locomotive Series R (MD 15/10/2019) AAA 5.89%

8.88% LIC Housing Finance Ltd (MD 13/10/2020) AAA 5.88%

9.64% Power Grid Corporation Ltd. F ( MD 31/05/2020) AAA 4.21%

8.45% HDFC Ltd NCD (MD 25/02/2025) AAA 3.11%

8.95% HDFC Ltd (MD 19/10/2020) AAA 3.03%

NOVO X Trust - Locomotive Series S (MD 15/04/2020) AAA 2.99%

9.95 % Food Corporation of India (MD 07/03/2022) AAA 0.82%

8.50% IRFC Ltd (MD 22/06/2020) AAA 0.40%

7.20% PGC NCD (MD 21/12/2021) AAA 0.38%

Others 0.86%

Sovereign 13.43%

6.84% GOI (MD 19/12/2022) SOV 6.82%

7.80% GOI (MD 11/04/2021) SOV 4.05%

8.89% Maharastra SDL (MD 05/10/2021) SOV 2.53%

8.12% GOI (MD 10/12/2020) SOV 0.03%

Money Market, Deposits & Other 52.33%

Total 100.00%

Fund Objective

Portfolio Allocation

To provide capital appreciation, subject to minimum guaranteed unit price at Maturity. The fund strategy would be to achieve potential upside by investing adequately in debt securities, equities, mutual funds and highly rated debentures. The Unit Price at maturity (in 10 years time) is guaranteed to be a minimum of 170% of unit price as on the date of allocation of units under a policy.

Shield Plus Fund I

October 2018

Actual (%) Stated (%)

Debt securities * 50 - 100

Debentures 0 - 50

Mutual Funds, Equities and Money market instruments 0 - 50

#Net Current Assets

Total

#Net current asset represents net of receivables and payables for investments held.

*Including State Development Loan

Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance

Performance

Period 1 Month 6 Months 1 Year 2 Years 3 Years Inception

Fund

Benchmark

Top 10 Sectors

Company/Issuer Sector/Rating Exposure (%)

Portfolio

0.71% 2.93% 4.58% 6.36% 7.35% 7.95%

- - - - - -

Asset Class Rating Profile

*Others includes Equity, CBLO, Net receivable/payable and FD

Description

SFIN Number ULIF05313/01/10SHIELDPL01116

Launch Date 12-Jan-10

Face Value 10

Risk Profile High

Benchmark -

Fund Manager Name Reshma Banda, Durgadutt Dhar

Number of funds managed by fund manager: Reshma Banda Durgadutt Dhar

Equity 28 -

Debt - 28

Hybrid 25 24

NAV as on 31-October-18 19.6189

AUM (Rs. Cr) 125.95

Equity -

Debt 76.29%

Net current asset 23.71%

Fund Details

Quantitative Indicators Modified Duration 1.67

Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd

Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.

47

69.88

24.54

6.41

23.71

100.00

31.10%

17.30%12.34%

7.30%4.90%

2.53% 0.82%0%

20%

40%

Fin

anci

al a

nd

Insu

ran

ceA

c�vi

�es

Go

vern

men

t o

f In

dia

Fin

ance

& In

sura

nce

(H

ou

sin

g-

AA

A o

r Eq

uiv

alen

t)

Fin

anci

al a

nd

Insu

ran

ceA

c�vi

�es

(In

fra)

Elec

tric

ity,

Gas

, Ste

am a

nd

Air

con

di�

on

Su

pp

ly (

Infr

a)

Stat

e G

ove

rnm

ent

Wh

ole

sale

Tra

de,

Exc

ept

of

Mo

tor

Veh

icle

s an

dM

oto

rcyc

les

Page 53: Monthly Investment Update October 2018 · Accelerator Mid-Cap Fund October 2018 Fund # # 1

Corporate Bond 24.06%

NOVO X Trust - Locomotive

Series T (MD 15/10/2020) AAA 8.32%

8.5935% IDFC Bank Ltd

(Compounded Annually)

(MD 21/10/2021) AA+ 5.17%

8.98% HDFC Ltd

(MD 26/11/2020) AAA 2.78%

8.68% LIC Housing Finance Ltd

(MD 30/03/2020) AAA 2.76%

8.88% LIC Housing Finance Ltd

(MD 13/10/2020) AAA 2.49%

9.95 % Food Corporation of

India (MD 07/03/2022) AAA 1.43%

8.50% IRFC Ltd

(MD 22/06/2020) AAA 1.11%

Sovereign 6.98%

6.84% GOI (MD 19/12/2022) SOV 4.17%

8.89% Maharastra SDL

(MD 05/10/2021) SOV 2.82%

Money Market, Deposits &

Other 68.96%

Total 100.00%

Fund ObjectiveTo provide capital appreciation, subject to minimum guaranteed unit price at Maturity. The fund strategy would be to achieve potential upside by investing adequately in debt securities, equities, mutual funds and highly rated debentures. The Unit Price at maturity (in 10 years time) is guaranteed to be a minimum of 170% of unit price as on the date of allocation of units under a policy.

Shield Plus Fund II

October 2018

Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance

PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception

Fund

Benchmark

Portfolio Allocation Actual (%) Stated (%)

Debt securities 50 - 100

Debentures 0 - 50

Mutual Funds, Equities and Money market instruments 0 - 50

#Net Current Assets

Total

#Net current asset represents net of receivables and payables for investments held.

Company/Issuer Sector/Rating Exposure (%)

Portfolio

0.67% 3.12% 5.19% 6.82% 7.57% 8.39%

- - - - - -

Asset Class Rating Profile

*Others includes Equity, CBLO, Net receivable/payable and FD

Description

SFIN Number ULIF05610/05/10SHIELDPL02116

Launch Date 07-May-10

Face Value 10

Risk Profile Medium

Benchmark -

Fund Manager Name Reshma Banda, Durgadutt Dhar

Number of funds managed by fund manager: Reshma Banda Durgadutt Dhar

Equity 28 -

Debt - 28

Hybrid 25 24

NAV as on 31-October-18 19.8240

AUM (Rs. Cr) 36.15

Equity -

Debt 66.80%

Net current asset 33.20%

Fund Details

Quantitative Indicators Modified Duration 1.81

Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd

Top 10 Sectors

Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.

48

60.94

14.31

5.87

33.20

100.00

43.39%

10.03% 8.03%2.82% 1.43% 1.11%

0%

20%

40%

60%

Fin

anci

al a

nd

Insu

ran

ceA

c�vi

�es

Go

vern

men

t o

f In

dia

Fin

ance

& In

sura

nce

(Ho

usi

ng

- A

AA

or

Equ

ival

ent)

Stat

e G

ove

rnm

ent

Wh

ole

sale

Tra

de,

Exc

ept

of

Mo

tor

Veh

icle

s an

dM

oto

rcyc

les

Fin

anci

al a

nd

Insu

ran

ceA

c�vi

�es

(In

fra)

Page 54: Monthly Investment Update October 2018 · Accelerator Mid-Cap Fund October 2018 Fund # # 1

Corporate Bond 46.39%

9.95 % Food Corporation of India (MD 07/03/2022) AAA 8.42%

8.5935% IDFC Bank Ltd (Compounded Annually) (MD 21/10/2021) AA+ 6.87%

9.40% HDFC Ltd. (MD 13/04/2021) AAA 5.86%

8.37% Rural Electrification Corporation Limited NCD (14/08/2020) AAA 5.60%

8.68% LIC Housing Finance Ltd (MD 30/03/2020) AAA 4.89%

8.84% Power Grid Corporation Ltd. (MD 21/10/2020) AAA 2.97%

7.20% HDFC Ltd NCD (MD 01/09/2020) AAA 2.89%

8.72% Shriram Transport Finance Co Ltd NCD (MD 27/03/2023) AA+ 2.64%

8.72% IDFC Bank Ltd (MD 29/09/2020) AA+ 1.92%

8.50% IRFC Ltd (MD 22/06/2020) AAA 1.78%

Others 2.56%

Sovereign 19.30%

8.89% Maharastra SDL (MD 05/10/2021) SOV 10.58%

7.80% GOI (MD 11/04/2021) SOV 4.63%

8.66% Maharastra SDL (MD 25/01/2022) SOV 3.00%

6.84% GOI (MD 19/12/2022) SOV 1.09%

Money Market, Deposits & Other 34.31%

Total 100.00%

Fund Objective

Portfolio Allocation

To provide capital appreciation, subject to minimum guaranteed unit price at Maturity. The fund strategy would be to achieve potential upside by investing adequately in debt securities, equities, mutual funds and highly rated debentures. The Unit Price at maturity (in 10 years time) is guaranteed to be a minimum of 170% of unit price as on the date of allocation of units under a policy.

Shield Plus Fund III

October 2018

Actual (%) Stated (%)

Debt securities 50 - 100

Mutual Funds, Equities and Money market instruments 0 - 50

#Net Current Assets

Total

#Net current asset represents net of receivables and payables for investments held.

Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance

PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception

Fund

Benchmark

Top 10 Sectors

Company/Issuer Sector/Rating Exposure (%)

Portfolio

0.70% 2.22% 2.09% 4.82% 6.49% 7.93%

- - - - - -

Asset Class Rating Profile

*Others includes Equity, CBLO, Net receivable/payable and FD

Description

SFIN Number ULIF05711/08/10SHIELDPL03116

Launch Date 09-Aug-10

Face Value 10

Risk Profile Medium

Benchmark -

Fund Manager Name Reshma Banda, Durgadutt Dhar

Number of funds managed by fund manager: Reshma Banda Durgadutt Dhar

Equity 28 -

Debt - 28

Hybrid 25 24

NAV as on 31-October-18 18.7392

AUM (Rs. Cr) 67.38

Equity -

Debt 91.18%

Net current asset 8.82%

Fund Details

Quantitative Indicators Modified Duration 1.69

Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd

Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.

49

70.00

21.18

8.82

100.00

26.90%

16.67%13.64% 13.57%

8.42% 7.38%3.82%

0.76%0%

20%

40%

Go

vern

men

t o

f In

dia

Fin

anci

al a

nd

Insu

ran

ceA

c�vi

�es

Fin

ance

& In

sura

nce

(Ho

usi

ng

- A

AA

or

Equ

ival

ent)

Stat

e G

ove

rnm

ent

Wh

ole

sale

Tra

de,

Exc

ept

of

Mo

tor

Veh

icle

s an

dM

oto

rcyc

les

Fin

anci

al a

nd

Insu

ran

ceA

c�vi

�es

(In

fra)

Elec

tric

ity,

Gas

, Ste

am a

nd

Air

con

di�

on

Su

pp

ly (

Infr

a)

Man

ufa

ctu

re o

f R

ub

ber

an

dP

las�

cs P

rod

uct

s

Page 55: Monthly Investment Update October 2018 · Accelerator Mid-Cap Fund October 2018 Fund # # 1

Fund Objective

Portfolio Allocation

To protect the capital as well as achieve capital appreciation over the term of 10 years. The above objective does not intend to offer any explicit investment guarantee to the policyholder. The fund strategy would be to invest in highly-rated secured debentures, corporate bonds, exchange traded funds, equities and money market instruments.

Growth Plus Fund I

October 2018

Actual (%) Stated (%)

Debentures, Corporate Bonds, Exchange Traded

Funds and Equities* 80 - 100

Mutual Funds and Money Market Instruments 0 - 20

#Net Current Assets

Total #Net current asset represents net of receivables and payables for investments held.

* Including Fixed Deposits

Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance

PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception

Fund

Benchmark

Asset Class Rating Profile

*Others includes Equity, CBLO, Net receivable/payable and FD

Top 10 Sectors

Portfolio

Corporate Bond 66.49%

8.50% IRFC Ltd (MD 22/06/2020) AAA 9.21%

10.63 IOT NCD Series IV-STRIP-6 (MD 20/09/2028) AAA 8.50%

8.95% Power Finance Corporation (MD 30/03/2020) AAA 7.91%

8.40% LARSEN & TOUBRO LIMITED (MD 24/09/2020) AAA 7.85%

6.78% Reliance Industries Limited NCD (MD 16/09/2020) AAA 6.36%

7.60% NHAI Taxable Bond Series - V - (MD 18/03/2022) AAA 6.36%

9.39% LICHFL NCD (MD 23/08/2024)(Put Date 26/08/2015) AAA 5.39%

8.95% HDFC Ltd (MD 19/10/2020) AAA 5.28%

8.84% Power Grid Corporation Ltd. (MD 21/10/2020) AAA 4.94%

9.64% Power Grid Corporation Ltd. G ( MD 31/05/2021) AAA 3.35%

Others 1.32%

Money Market, Deposits & Other 33.51%

Total 100.00%

Company/Issuer Rating Exposure (%)

0.64% 2.48% 3.49% 5.14% 6.29% 7.04%

- - - - - -

Description

SFIN Number ULIF05414/01/10GROWPLUS01116

Launch Date 12-Jan-10

Face Value 10

Risk Profile High

Benchmark -

Fund Manager Name Reshma Banda, Durgadutt Dhar

Number of funds managed by fund manager: Reshma Banda Durgadutt Dhar

Equity 28 -

Debt - 28

Hybrid 25 24

NAV as on 31-October-18 18.2104

AUM (Rs. Cr) 7.59

Equity -

Debt 82.89%

Net current asset 17.11%

Fund Details

Quantitative Indicators Modified Duration 2.12

Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd

Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.

50

81.44

1.45

17.11

100.00

17.12% 16.28%14.21%

10.67%8.50% 8.30%

6.36%

1.45%

0%

20%

Fin

anci

al a

nd

Insu

ran

ceA

c�vi

�es

(In

fra)

Fin

anci

al a

nd

Insu

ran

ceA

c�vi

�es

Civ

il En

gin

eeri

ng

(In

fra)

Fin

ance

& In

sura

nce

(H

ou

sin

g-

AA

A o

r Eq

uiv

alen

t)

Min

ing

Sup

po

rt S

ervi

ceA

c�vi

�es

(In

fra)

Elec

tric

ity,

Gas

, Ste

am a

nd

Air

con

di�

on

Su

pp

ly (

Infr

a)

Man

ufa

ctu

re o

f C

oke

an

dR

efin

ed P

etro

leu

m P

rod

uct

s(I

nfr

a)

Go

vern

men

t o

f In

dia

Page 56: Monthly Investment Update October 2018 · Accelerator Mid-Cap Fund October 2018 Fund # # 1

Fund ObjectiveTo protect the capital as well as achieve capital appreciation over the term of 10 years. The above objective does not intend to offer any explicit investment guarantee to the policyholder. The fund strategy would be to invest in highly-rated secured debentures, corporate bonds, exchange traded funds, equities and money market instruments.

Growth Plus Fund II

October 2018

Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance

PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception

Fund

Benchmark

Asset Class Rating Profile

*Others includes Equity, CBLO, Net receivable/payable and FD

Equity 93.10%

HDFC Bank Limited Financial and Insurance Activities 7.80%

Infosys Limited Computer Programming, Consultancy and Related Activities 7.76%

ITC Limited Manufacture of Tobacco Products 7.04%

Reliance Industries Limited Manufacture of Coke and Refined Petroleum Products 7.00%

ICICI Bank Limited Financial and Insurance Activities 5.26%

Hindustan Unilever Limited Manufacture of Chemicals and Chemical Products 4.81%

Housing Development Finance Corporation Limited Financial and Insurance Activities 4.01%

Larsen & Toubro Limited Civil Engineering (Infra) 3.91%

Maruti Suzuki India Limited Manufacture of Motor Vehicles, Trailers and Semi-Trailers 3.15%

Tata Consultancy Services Computer Programming, Consultancy Limited and Related Activities 2.43%

Others 39.94%

Corporate Bond 2.70%

8.37% Rural Electrification Corporation Limited NCD (14/08/2020) AAA 2.70%

Money Market, Deposits & Other 4.20%

Total 100.00%

Company/Issuer Sector/Rating Exposure (%)

Portfolio

Top 10 Sectors

Portfolio Allocation

Actual (%) Stated (%)

Debentures, Corporate Bonds, and Exchange Traded Funds and Equities 80 - 100

Mutual Funds and Money market instruments* 0 - 20

#Net Current Assets

Total

#Net current asset represents net of receivables and payables for investments held.

*Including Fixed Deposits

-4.60% -1.86% 0.78% 9.48% 8.67% 7.03%

- - - - - -

SFIN Number ULIF05510/05/10GROWPLUS02116

Launch Date 07-May-10

Face Value 10

Risk Profile High

Benchmark -

Fund Manager Name Reshma Banda, Durgadutt Dhar

Number of funds managed by fund manager: Reshma Banda Durgadutt Dhar

Equity 28 -

Debt - 28

Hybrid 25 24

NAV as on 31-October-18 17.7981

AUM (Rs. Cr) 3.68

Equity 93.10%

Debt 6.24%

Net current asset 0.66%

Description

Fund Details

Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd

Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.

51

95.80

3.53

0.66

100.00

21.63%

13.90%

8.59% 7.48% 7.04% 5.87% 4.88% 3.91% 3.76% 3.53%

0%

20%

40%

Fin

anci

al a

nd

Insu

ran

ceA

c�vi

�es

Co

mp

ute

r P

rogr

amm

ing,

Co

nsu

ltan

cy a

nd

Rel

ated

Ac�

vi�

es

Man

ufa

ctu

re o

f C

oke

an

dR

efin

ed P

etro

leu

m P

rod

uct

s

Man

ufa

ctu

re o

f C

hem

ical

s an

dC

hem

ical

Pro

du

cts

Man

ufa

ctu

re o

f To

bac

coP

rod

uct

s

Man

ufa

ctu

re o

f P

har

ma,

Med

icin

al C

hem

ical

an

dB

ota

nic

al P

rod

uct

s

Man

ufa

ctu

re o

f M

oto

rV

ehic

les,

Tra

ilers

an

d S

emi-

Trai

lers

Civ

il En

gin

eeri

ng

(In

fra)

Elec

tric

ity,

Gas

, Ste

am a

nd

Air

con

di�

on

Su

pp

ly (

Infr

a)

Go

vern

men

t o

f In

dia

Page 57: Monthly Investment Update October 2018 · Accelerator Mid-Cap Fund October 2018 Fund # # 1

22.02%

14.26%

8.72% 7.63% 7.17% 5.96% 5.03% 4.66% 3.99% 3.83%

0%

20%

40%

Fin

anci

al a

nd

Insu

ran

ceA

c�vi

�es

Co

mp

ute

r P

rogr

amm

ing,

Co

nsu

ltan

cy a

nd

Rel

ated

Ac�

vi�

es

Man

ufa

ctu

re o

f C

oke

an

dR

efin

ed P

etro

leu

m P

rod

uct

s

Man

ufa

ctu

re o

f C

hem

ical

san

d C

hem

ical

Pro

du

cts

Man

ufa

ctu

re o

f To

bac

coP

rod

uct

s

Man

ufa

ctu

re o

f P

har

ma,

Med

icin

al C

hem

ical

an

dB

ota

nic

al P

rod

uct

s

Man

ufa

ctu

re o

f M

oto

rV

ehic

les,

Tra

ilers

an

d S

emi-

Trai

lers

Go

vern

men

t o

f In

dia

Civ

il En

gin

eeri

ng

(In

fra)

Elec

tric

ity,

Gas

, Ste

am a

nd

Air

con

di�

on

Su

pp

ly (

Infr

a)

Fund ObjectiveTo protect the capital as well as achieve capital appreciation over the term of 10 years. The above objective does not intend to offer any explicit investment guarantee to the policyholder. The fund strategy would be to invest in highly-rated secured debentures, corporate bonds, equities and money market instruments.

Growth Plus Fund III

October 2018

Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance

PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception

Fund

Benchmark

Asset Class Rating Profile

*Others includes Equity, CBLO, Net receivable/payable and FD

Portfolio Allocation

Actual (%) Stated (%)

Debt and debt related securities, Debenture, FD and Equities 80 - 100

Mutual Funds and Money market instruments 0 - 20

#Net Current Assets

Total

#Net current asset represents net of receivables and payables for investments held.*Debt related securities will include debentures, corporate bonds, fixed deposits etc.

Top 10 Sectors

Equity 94.77%

HDFC Bank Limited Financial and Insurance Activities 7.92%

Infosys Limited Computer Programming, Consultancy and Related Activities 7.70%

ITC Limited Manufacture of Tobacco Products 7.17%

Reliance Industries Limited Manufacture of Coke and Refined Petroleum Products 7.11%

ICICI Bank Limited Financial and Insurance Activities 5.41%

Hindustan Unilever Limited Manufacture of Chemicals and Chemical Products 4.91%

Housing Development Finance Corporation Limited Financial and Insurance Activities 4.06%

Larsen & Toubro Limited Civil Engineering (Infra) 3.99%

Maruti Suzuki India Limited Manufacture of Motor Vehicles, Trailers and Semi-Trailers 3.25%

Tata Consultancy Services Computer Programming, Consultancy Limited and Related Activities 2.47%

Others 40.79%

Money Market, Deposits & Other 5.23%

Total 100.00%

Company/Issuer Sector/Rating Exposure (%)

Portfolio

-4.58% -1.71% 1.03% 9.52% 8.73% 13.96%

- - - - - -

Description

SFIN Number ULIF05926/10/10GROWPLUS03116

Launch Date 01-Nov-10

Face Value 10

Risk Profile High

Benchmark -

Fund Manager Name Reshma Banda, Durgadutt Dhar

Number of funds managed by fund manager: Reshma Banda Durgadutt Dhar

Equity 28 -

Debt - 28

Hybrid 25 24

NAV as on 31-October-18 28.4484

AUM (Rs. Cr) 4.07

Equity 94.77%

Debt 4.66%

Net current asset 0.56%

Fund Details

Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd

Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.

52

94.77

4.66

0.56

100.00

Page 58: Monthly Investment Update October 2018 · Accelerator Mid-Cap Fund October 2018 Fund # # 1

Corporate Bond 33.93%

9.35% RECL NCD (MD 15/06/2022) AAA 8.60%

NOVO X Trust - Locomotive Series S (MD 15/04/2020) AAA 6.64%

7.20% PGC NCD (MD 21/12/2021) AAA 4.26%

8.5935% IDFC Bank Ltd (Compounded Annually) (MD 21/10/2021) AA+ 3.33%

9.64% Power Grid Corporation Ltd. G ( MD 31/05/2021) AAA 2.69%

NOVO X Trust - Locomotive Series Q (MD 15/04/2019) AAA 2.41%

9.29% PFC (MD 21/08/2022) Put/Call 21/08/2020 AAA 2.13%

9.90% HDFC Ltd (MD 11/11/2021) AAA 1.96%

9.40% HDFC Ltd. (MD 13/04/2021) AAA 1.29%

8.37% Rural Electrification Corporation Limited NCD (14/08/2020) AAA 0.42%

Others 0.21%

Sovereign 43.34%

8.72% Maharashtra SDL (MD 11/01/2022) SOV 21.39%

8.89% Maharastra SDL (MD 05/10/2021) SOV 10.77%

8.94% Gujarat SDL (MD 07/03/2022) SOV 5.38%

8.39% Rajasthan UDAY SDL (MD 15/03/2020) SOV 4.09%

6.84% GOI (MD 19/12/2022) SOV 1.31%

8.24% GOI - 15-Feb-2027 SOV 0.35%

9.12% Gujarat SDL (23/05/2022) SOV 0.04%

Money Market, Deposits & Other 22.72%

Total 100.00%

Fund Objective

The investment objective of this fund is to provide capital appreciation by investing in a suitable mix of debt and equities.

Assured Return Fund

Company/Issuer Sector/Rating Exposure (%)

Portfolio

Description

SFIN Number ULIF06127/01/11ASSRDRETRN116

Launch Date 28-Jan-11

Face Value 10

Risk Profile Medium

Benchmark -

Fund Manager Name Reshma Banda, Durgadutt Dhar

Number of funds managed by fund manager: Reshma Banda Durgadutt Dhar

Equity 28 -

Debt - 28

Hybrid 25 24

NAV as on 31-October-18 17.3897

AUM (Rs. Cr) 47.25

Equity -

Debt 87.84%

Net current asset 12.16%

Fund Details

Quantitative Indicators Modified Duration 2.46

Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance

PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception

Fund

Benchmark

Top 10 Sectors

Portfolio Allocation

Actual (%) Stated (%)

Equity & Equity Related Instruments 0 - 50

Debt & Debt Related Instruments 0 - 100

Mutual Funds and Money market instruments 0 - 40

#Net Current Assets

Total

#Net current asset represents net of receivables and payables for investments held.

0.90% 2.75% 2.99% 4.69% 6.27% 7.39%

- - - - - -

*Others includes Equity, CBLO, Net receivable/payable and FD

Asset Class Rating Profile

Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd

Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.

October 2018

53

-

87.75

0.08

12.16

100.00

41.68%

22.86%

11.36%6.95%

3.24% 1.75%

0%

20%

40%

60%

Stat

e G

ove

rnm

ent

Fin

anci

al a

nd

Insu

ran

ceA

c�vi

�es

Fin

anci

al a

nd

Insu

ran

ceA

c�vi

�es

(In

fra)

Elec

tric

ity,

Gas

, Ste

am a

nd

Air

con

di�

on

Su

pp

ly (

Infr

a)

Fin

ance

& In

sura

nce

(H

ou

sin

g-

AA

A o

r Eq

uiv

alen

t)

Go

vern

men

t o

f In

dia

Page 59: Monthly Investment Update October 2018 · Accelerator Mid-Cap Fund October 2018 Fund # # 1

Corporate Bond 33.11%

9.90% HDFC Ltd (MD 11/11/2021) AAA 5.77%

9.36% Power Finance Corporation Ltd. Series A (MD 01/08/2021) AAA 4.26%

8.5935% IDFC Bank Ltd (Compounded Annually) (MD 21/10/2021) AA+ 3.62%

8.37% Rural Electrification Corporation Limited NCD (14/08/2020) AAA 3.40%

NOVO X Trust - Locomotive Series U (MD 15/04/2021) AAA 3.37%

9.64% Power Grid Corporation Ltd. G ( MD 31/05/2021) AAA 2.73%

9.25% EXIM NCD (MD 12/07/2022) AAA 2.22%

9.25% Power Grid Corporation Ltd. (MD 26/12/2021) AAA 2.22%

9.27% IRFC Ltd. Series 76 (MD 10/05/2021) AAA 2.14%

9.90% LIC Housing Finance Ltd. (MD 11/11/2021) AAA 1.89%

Others 1.49%

Sovereign 30.03%

8.94% Gujarat SDL (MD 07/03/2022) SOV 9.37%

6.84% GOI (MD 19/12/2022) SOV 9.32%

8.89% Maharastra SDL (MD 05/10/2021) SOV 6.43%

8.27% Rajasthan SPL SDL (MD 23/06/2022) SOV 2.29%

8.72% Maharashtra SDL (MD 11/01/2022) SOV 2.17%

8.66% Maharastra SDL (MD 25/01/2022) SOV 0.44%

Money Market, Deposits & Other 36.86%

Total 100.00%

Fund Objective

Portfolio Allocation

The investment objective of this fund is to provide capital appreciation by investing in a suitable mix of debt and debt related securities.

Guaranteed Bond Fund

October 2018

Actual (%) Stated (%)

Debt and debt related securities 0 - 100

Mutual Funds and Money market instruments 0 - 40

#Net Current Assets

Total

#Net current asset represents net of receivables and payables for investments held.

Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance

PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception

Fund

Benchmark

Asset Class Rating Profile

*Others includes Equity, CBLO, Net receivable/payable and FD

Description

SFIN Number ULIF06322/09/11GTEBONDFND116

Launch Date 05-Dec-11

Face Value 10

Risk Profile Medium

Benchmark -

Fund Manager Name Durgadutt Dhar

Number of funds managed by fund manager:

Equity -

Debt 28

Hybrid 24

NAV as on 31-October-18 17.3014

AUM (Rs. Cr) 228.13

Equity -

Debt 80.84%

Net current asset 19.16%

Fund Details

Top 10 Sectors

Portfolio

Company/Issuer Rating Exposure (%)

0.90% 3.16% 4.48% 5.91% 7.12% 8.26%

- - - - - -

Quantitative Indicators Modified Duration 2.73

Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd

Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.

54

80.84

-

19.16

100.00

26.91%

20.70%

11.28% 9.32% 7.66%4.95%

0%

20%

40%

Fin

anci

al a

nd

Insu

ran

ceA

c�vi

�es

Stat

e G

ove

rnm

ent

Fin

anci

al a

nd

Insu

ran

ceA

c�vi

�es

(In

fra)

Go

vern

men

t o

f In

dia

Fin

ance

& In

sura

nce

(Ho

usi

ng

- A

AA

or

Equ

ival

ent)

Elec

tric

ity,

Gas

, Ste

am a

nd

Air

con

di�

on

Su

pp

ly (

Infr

a)

Page 60: Monthly Investment Update October 2018 · Accelerator Mid-Cap Fund October 2018 Fund # # 1

Corporate Bond 33.82%

8.37% Rural Electrification Corporation Limited NCD (14/08/2020) AAA 8.72%

9.64% Power Grid Corporation Ltd. G ( MD 31/05/2021) AAA 8.38%

9.95 % Food Corporation of India (MD 07/03/2022) AAA 7.92%

8.72% IDFC Bank Ltd (MD 29/09/2020) AA+ 4.37%

9.40% HDFC Ltd. (MD 13/04/2021) AAA 3.33%

8.68% LIC Housing Finance Ltd (MD 30/03/2020) AAA 1.09%

Sovereign 61.80%

6.84% GOI (MD 19/12/2022) SOV 24.22%

8.66% Maharastra SDL (MD 25/01/2022) SOV 22.15%

8.89% Maharastra SDL (MD 05/10/2021) SOV 7.82%

7.80% GOI (MD 11/04/2021) SOV 4.40%

8.39% Rajasthan UDAY SDL (MD 15/03/2020) SOV 3.20%

Money Market, Deposits & Other 4.39%

Total 100.00%

Fund ObjectiveTo provide capital appreciation, subject to minimum guaranteed unit price at Maturity. The fund strategy would be to achieve potential upside by investing adequately in debt securities, equities, mutual funds and highly rated debentures. The Unit Price at maturity (in 10 years time) is guaranteed to be a minimum of 170% of unit price as on the date of allocation of units under a policy.

Shield Plus Fund- IV

October 2018

Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance

PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception

Fund

Benchmark

Asset Class Rating Profile

*Others includes Equity, CBLO, Net receivable/payable and FD

Portfolio Allocation Actual (%) Stated (%)

Debt and Debt related securities 0 - 100

Equity & Equity related securities 0 - 50

Mutual Funds(a), Money market instruments 0 - 100

#Net Current Assets

Total

#Net current asset represents net of receivables and payables for investments held.* * incl. FDs

Company/Issuer Sector/Rating Exposure (%)

Portfolio

1.05% 2.50% 2.64% 5.01% 6.56% 7.96%

- - - - - -

Description

SFIN Number ULIF06220/04/11SHIELDPL04116

Launch Date 18-Apr-11

Face Value 10

Risk Profile Medium

Benchmark -

Fund Manager Name Reshma Banda, Durgadutt Dhar

Number of funds managed by fund manager: Reshma Banda Durgadutt Dhar

Equity 28 -

Debt - 28

Hybrid 25 24

NAV as on 31-October-18 17.8138

AUM (Rs. Cr) 9.11

Equity -

Debt 96.82%

Net current asset 3.18%

Fund Details

Quantitative Indicators Modified Duration 2.52

Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd

Top 10 Sectors

Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.

55

95.61

-

1.21

3.18

100.00

33.17%29.83%

8.72% 8.38% 7.92%4.43% 4.37%

0%

20%

40%

Stat

e G

ove

rnm

ent

Go

vern

men

t o

f In

dia

Fin

anci

al a

nd

Insu

ran

ceA

c�vi

�es

(In

fra)

Elec

tric

ity,

Gas

, Ste

am a

nd

Air

con

di�

on

Su

pp

ly (

Infr

a)

Wh

ole

sale

Tra

de,

Exc

ept

of

Mo

tor

Veh

icle

s an

dM

oto

rcyc

les

Fin

ance

& In

sura

nce

(H

ou

sin

g-

AA

A o

r Eq

uiv

alen

t)

Fin

anci

al a

nd

Insu

ran

ceA

c�vi

�es

Page 61: Monthly Investment Update October 2018 · Accelerator Mid-Cap Fund October 2018 Fund # # 1

Equity 0.89%

HCL Technologies Limited Computer Programming, Consultancy and Related Activities 0.44%

ITC Limited Manufacture of Tobacco Products 0.29%

Godrej Consumer Products Limited Manufacture of Chemicals and Chemical Products 0.15%

Corporate Bond 18.55%

8.10% Shriram Transport Finance Company Ltd NCD (MD 29/05/2020) AA+ 6.96%

8.75% Indiabulls Housing Finance LTD NCD (MD 26/09/2021) AAA 6.42%

8.75 HDFC Ltd NCD (MD 13/01/2020) AAA 5.16%

Sovereign 35.52%

7.35% GOI ( MD 22/06/2024) SOV 12.75%

8.90% Maharashtra SDL (MD 21/11/2022) SOV 4.28%

8.28% GOI (MD 21/09/2027) SOV 4.03%

8.89% Maharastra SDL (MD 05/10/2021) SOV 3.46%

6.84% GOI (MD 19/12/2022) SOV 3.18%

8.85% Maharashtra SDL (MD 18/07/2022) SOV 2.13%

8.08% GOI (MD 02/08/2022) SOV 2.13%

8.72% Maharashtra SDL (MD 11/01/2022) SOV 2.12%

7.37% GOI (MD 16/04/2023) SOV 1.45%

Money Market, Deposits & Other 45.04%

Total 100.00%

Fund ObjectiveThe investment objective of this fund is to provide capital appreciation by investing in a suitable mix of debt and equities.

Pension Builder Fund

October 2018

Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance

PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception

Fund

Benchmark

Portfolio Allocation

Actual (%) Stated (%)

Equity 0 - 50

Debt, Fixed deposits & Debt Related Instrument 25 - 100

Mutual Funds and Money market instrument 0 - 40

#Net Current Assets

Total

#Net current asset represents net of receivables and payables for investments held.

Portfolio

Company/Issuer Rating Exposure (%)

0.97% 2.06% 2.45% 3.41% 5.86% 6.01%

- - - - - -

Description

SFIN Number ULIF06908/02/13PENSIONBUI116

Launch Date 01-Dec-14

Face Value 10

Risk Profile Medium

Benchmark -

Fund Manager Name Reshma Banda, Durgadutt Dhar

Number of funds managed by fund manager: Reshma Banda Durgadutt Dhar

Equity 28 -

Debt - 28

Hybrid 25 24

NAV as on 31-October-18 12.5671

AUM (Rs. Cr) 238.04

Equity 0.89%

Debt 94.72%

Net current asset 4.39%

Fund Details

Quantitative Indicators Modified Duration 1.84

Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd

56

0.89

56.53

38.19

4.39

100.00

Asset Class Rating Profile

*Others includes Equity, CBLO, Net receivable/payable and FD

Top 10 Sectors

Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.

61.72%

15.84% 12.00%5.16%

0.44% 0.29% 0.15%0%

20%

40%

60%

80%

Go

vern

men

t o

f In

dia

Fin

anci

al a

nd

Insu

ran

ceA

c�vi

�es

Stat

e G

ove

rnm

ent

Fin

ance

& In

sura

nce

(Ho

usi

ng

- A

AA

or

Equ

ival

ent)

Co

mp

ute

r P

rogr

amm

ing,

Co

nsu

ltan

cy a

nd

Rel

ated

Ac�

vi�

es

Man

ufa

ctu

re o

f To

bac

coP

rod

uct

s

Man

ufa

ctu

re o

f C

hem

ical

san

d C

hem

ical

Pro

du

cts

Page 62: Monthly Investment Update October 2018 · Accelerator Mid-Cap Fund October 2018 Fund # # 1

Equity 14.90%

HDFC Bank Limited Financial and Insurance Activities 1.72%

Reliance Industries Limited Manufacture of Coke and Refined Petroleum Products 1.61%

Infosys Limited Computer Programming, Consultancy and Related Activities 1.31%

ITC Limited Manufacture of Tobacco Products 1.23%

Housing Development Finance Corporation Limited Financial and Insurance Activities 1.08%

ICICI Bank Limited Financial and Insurance Activities 1.00%

Tata Consultancy Services Computer Programming, Limited Consultancy and Related Activities 0.76%

Larsen & Toubro Limited Civil Engineering (Infra) 0.75%

Hindustan Unilever Limited Manufacture of Chemicals and Chemical Products 0.64%

Maruti Suzuki India Limited Manufacture of Motor Vehicles, Trailers and Semi-Trailers 0.40%

Others 4.39%

Corporate Bond 3.30%

8.60% LIC Housing Finance Ltd NCD (MD 28/12/2020) AAA 3.30%

Sovereign 36.31%

6.84% GOI (MD 19/12/2022) SOV 20.10%

7.35% GOI ( MD 22/06/2024) SOV 13.50%

7.37% GOI (MD 16/04/2023) SOV 2.71%

Money Market, Deposits & Other 45.49%

Total 100.00%

Fund Objective

The investment objective of this fund is to provide capital appreciation by investing in a suitable mix of debt and equities.

Balanced Equity Fund

Company/Issuer Sector/Rating Exposure (%)

Portfolio

Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance

PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception

Fund

Benchmark

Top 10 Sectors

Portfolio Allocation

Actual (%) Stated (%)

Equity 10 - 70

Debt and debt related securities incl. Fixed deposits 0 - 80

Mutual Funds and Money market instruments 0 - 50

# Net Current Assets

Total

#Net current asset represents net of receivables and payables for investments held.

0.12% 1.92% 1.68% 5.14% - 7.00%

- - - - - -

*Others includes Equity, CBLO, Net receivable/payable and FD

Asset Class Rating Profile

Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd

Description

SFIN Number ULIF07413/05/15BALEQTYFND116

Launch Date 08-Mar-16

Face Value 10

Risk Profile High

Benchmark -

Fund Manager Name Reshma Banda, Durgadutt Dhar

Number of funds managed by fund manager: Reshma Banda Durgadutt Dhar

Equity 28 -

Debt - 28

Hybrid 25 24

NAV as on 31-October-18 11.9646

AUM (Rs. Cr) 18.11

Equity 14.90%

Debt 83.11%

Net current asset 1.99%

Fund Details

Quantitative Indicators Modified Duration 1.75

Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.

October 2018

14.90

40.27

42.84

1.99

100.00

57

79.15%

5.51% 3.30% 2.76% 1.61% 1.23% 0.92% 0.92% 0.75% 0.59%0%

20%

40%

60%

80%

100%

Go

vern

men

t o

f In

dia

Fin

anci

al a

nd

Insu

ran

ceA

c�vi

�es

Fin

ance

& In

sura

nce

(Ho

usi

ng

- A

AA

or

Equ

ival

ent)

Co

mp

ute

r P

rogr

amm

ing,

Co

nsu

ltan

cy a

nd

Rel

ated

Ac�

vi�

es

Man

ufa

ctu

re o

f C

oke

an

dR

efin

ed P

etro

leu

m P

rod

uct

s

Man

ufa

ctu

re o

f To

bac

coP

rod

uct

s

Man

ufa

ctu

re o

f P

har

ma,

Med

icin

al C

hem

ical

an

dB

ota

nic

al P

rod

uct

s

Man

ufa

ctu

re o

f C

hem

ical

san

d C

hem

ical

Pro

du

cts

Civ

il En

gin

eeri

ng

(In

fra)

Man

ufa

ctu

re o

f M

oto

rV

ehic

les,

Tra

ilers

an

d S

emi-

Trai

lers

Page 63: Monthly Investment Update October 2018 · Accelerator Mid-Cap Fund October 2018 Fund # # 1

Corporate Bond 6.83%

7.7948% Kotak Mahindra Prime Ltd NCD (MD 16/07/2020) AAA 5.69%

7.9612% Cholamandalam Investment & Finance Co. Ltd NCD (MD 26/02/2019) AA+ 1.07%

9.10% Dewan Housing Finance Corporation Limited (MD 16/08/2019) AAA 0.07%

Sovereign 39.48%

6.84% GOI (MD 19/12/2022) SOV 25.09%

7.35% GOI ( MD 22/06/2024) SOV 10.33%

7.37% GOI (MD 16/04/2023) SOV 2.25%

7.80% GOI (MD 11/04/2021) SOV 1.82%

Money Market, Deposits & Other 53.69%

Total 100.00%

Fund Objective

Portfolio Allocation

The investment objective of this fund is to provide accumulation of income through investment in high quality fixed income securities

Builder Bond Fund

October 2018

Actual (%) Stated (%)

Debt and debt related securities incl. Fixed deposits 40 - 100

Money market instruments, Cash, Mutual funds 0 - 60

#Net Current Assets

Total

#Net current asset represents net of receivables and payables for investments held.

Description

SFIN Number ULIF07313/05/15BLDRBNDFND116

Launch Date 08-Mar-16

Face Value 10

Risk Profile Medium

Benchmark -

Fund Manager Name Durgadutt Dhar

Number of funds managed by fund manager:

Equity -

Debt 28

Hybrid 24

NAV as on 31-October-18 11.4811

AUM (Rs. Cr) 46.70

Equity -

Debt 94.84%

Net current asset 5.16%

Fund Details

Quantitative Indicators Modified Duration 1.69

Company/Issuer Rating Exposure (%)

Portfolio

Top 10 Sectors

Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance

PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception

Fund

Benchmark

Asset Class Rating Profile

1.35% 2.72% 2.69% 2.71% - 5.35%

- - - - - -

Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd

*Others includes Equity, CBLO, Net receivable/payable and FD Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.

58

50.02

44.82

5.16

100.00

84.31%

10.47%0.07%

0%

20%

40%

60%

80%

100%

Go

vern

men

t o

f In

dia

Fin

anci

al a

nd

Insu

ran

ceA

c�vi

�es

Fin

ance

& In

sura

nce

(Ho

usi

ng

- A

AA

or

Equ

ival

ent)

Page 64: Monthly Investment Update October 2018 · Accelerator Mid-Cap Fund October 2018 Fund # # 1

Fund Objective

Portfolio Allocation

Discontinued Pension Policy Fund

October 2018

Actual (%) Stated (%)

Money Market instrument 0 - 40

Gsec 60 - 100

# Net Current Assets

Total

#Net current asset represents net of receivables and payables for investments held.

Money Market, Deposits & Other 100.00%

Total 100.00%

Company/Issuer Rating Exposure (%)

Portfolio

Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance

PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception

Fund

Benchmark

Asset Class Rating Profile

*Others includes Equity, CBLO, Net receivable/payable and FD

Description

SFIN Number ULIF07126/03/13DISCONPENS116

Launch Date 09-Sep-15

Face Value 10

Risk Profile Low

Benchmark -

Fund Manager Name Durgadutt Dhar

Number of funds managed by fund manager:

Equity -

Debt 28

Hybrid 24

NAV as on 31-October-18 11.6668

AUM (Rs. Cr) 67.84

Equity -

Debt 100.21%

Net current asset -0.21%

Fund Details

Top 10 Sectors

To provide minimum guaranteed rate of return on discontinued policies as prescribed by IRDAI

0.49% 2.91% 5.75% 5.74% 5.19% 5.02%

- - - - - -

Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd

Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.

59

33.87

66.34

-0.21

100.00

100.21%

0%

20%

40%

60%

80%

100%

120%

Go

vern

men

t o

f In

dia

Page 65: Monthly Investment Update October 2018 · Accelerator Mid-Cap Fund October 2018 Fund # # 1

Fund ObjectiveTo provide minimum guaranteed rate of return on discontinued policies as prescribed by IRDAI

Discontinued Life Policy Fund

October 2018

Money Market, Deposits & Other 100.00%

Total 100.00%

Company/Issuer Rating Exposure (%)

Portfolio

Asset Class Rating Profile

*Others includes Equity, CBLO, Net receivable/payable and FD

Description

SFIN Number ULIF07026/03/13DISCONLIFE116

Launch Date 28-Jan-15

Face Value 10

Risk Profile Low

Benchmark -

Fund Manager Name Durgadutt Dhar

Number of funds managed by fund manager:

Equity -

Debt 28

Hybrid 24

NAV as on 31-October-18 12.3336

AUM (Rs. Cr) 595.55

Equity -

Debt 100.09%

Net current asset -0.09%

Fund Details

Quantitative IndicatorsModified Duration 0.38

Top 10 Sectors

Portfolio Allocation

Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance

PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception

Fund

Benchmark

0.51% 2.65% 5.53% 5.71% 6.03% 5.74%

- - - - - -

Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd

Actual (%) Stated (%)

Money Market instrument 0 - 40

Gsec 60 - 100

# Net Current Assets

Total

#Net current asset represents net of receivables and payables for investments held.

Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.

60

16.67

83.42

-0.09

100.00

87.14%

6.82% 5.81% 0.31%0%

20%

40%

60%

80%

100%

Go

vern

men

t o

f In

dia

Fin

anci

al a

nd

Insu

ran

ceA

c�vi

�es

Fin

ance

& In

sura

nce

(Ho

usi

ng

- A

AA

or

Equ

ival

ent)

Man

ufa

ctu

re o

f C

oke

and

Refi

ned

Pet

role

um

Pro

du

cts