Fund Factsheets Individual March31
Fund Factsheets Individual March31
Economic Update
March 2022
INDEX
Individual Fund Fact Sheet
Fund Name SFIN Page No
Balanced Managed Fund - Life ULIF00402/01/04BalancedMF101 3
Balanced Managed Fund - Pension ULIF01102/01/04BalancedMF101 4
Defensive Managed Fund - Life ULIF00302/01/04DefensiveF101 5
Defensive Managed Fund - Pension ULIF01002/01/04DefensiveF101 6
Growth Fund - Life ULIF00502/01/04GrowthFund101 7
Growth Fund - Pension ULIF01202/01/04GrowthFund101 8
Liquid Fund - Life ULIF00102/01/04LiquidFund101 9
Liquid Fund - Pension ULIF00802/01/04LiquidFund101 10
Secured Managed Fund - Life ULIF00202/01/04SecureMgtF101 11
Secured Managed Fund - Pension ULIF00902/01/04SecureMgtF101 12
Equity Managed Fund - Life ULIF00616/01/06EquityMgFd101 13
Equity Managed Fund - Pension ULIF01316/01/06EquityMgFd101 14
Stable Managed Fund - Life ULIF00720/06/07StableMgFd101 15
Stable Managed Fund - Pension ULIF01420/06/07StableMgFd101 16
Balanced Managed Fund - Life - II ULIF01920/02/08BalncdMFII101 17
Defensive Managed Fund - Life - II ULIF01820/02/08DefnsvFdII101 18
Equity Managed Fund - Life - II ULIF02020/02/08EquityMFII101 19
Growth Fund - Life - II ULIF02120/02/08GrwthFndII101 20
Liquid Fund - Life - II ULIF01520/02/08LiquidFdII101 21
Secured Managed Fund - Life - II ULIF01720/02/08SecureMFII101 22
Stable Managed Fund - Life - II ULIF01620/02/08StableMFII101 23
Bond Opportunities Fund ULIF03004/08/08BondOprtFd101 24
Large Cap Fund ULIF03204/08/08Large-CapF101 25
Manager's Fund ULIF03304/08/08ManagerFnd101 26
Mid Cap Fund ULIF03104/08/08Mid-capFnd101 27
Money Plus Fund ULIF02904/08/08MoneyPlusF101 28
Balanced Managed Fund - Pension - II ULIF02608/10/08BalncdMFII101 29
Defensive Managed Fund - Pension - II ULIF02508/10/08DefnsvFdII101 30
Equity Managed Fund - Pension - II ULIF02708/10/08EquityMFII101 31
Growth Fund - Pension - II ULIF02808/10/08GrwthFndII101 32
Liquid Fund - Pension - II ULIF02208/10/08LiquidFdII101 33
Secured Managed Fund - Pension - II ULIF02408/10/08SecureMFII101 34
Stable Managed Fund -Pension - II ULIF02308/10/08StableMFII101 35
BlueChip Fund ULIF03501/01/10BlueChipFd101 36
Income Fund ULIF03401/01/10IncomeFund101 37
Opportunities Fund ULIF03601/01/10OpprtntyFd101 38
Vantage Fund ULIF03701/01/10VantageFnd101 39
Balanced Fund ULIF03901/09/10BalancedFd101 40
Highest Nav Guarentee Fund ULIF04001/09/10HighestNAV101 41
Short Term Fund ULIF03801/09/10ShortTrmFd101 42
Capital Guarantee Fund ULIF04126/10/10CaptlGuaFd101 43
Pension Guarantee Maximus Fund ULIF04224/01/11PenGuaFnd1101 44
Pension Super Plus Fund - 2012 ULIF04818/06/12PenSuPls12101 45
Equity Plus Fund ULIF05301/08/13EquityPlus101 46
Diversified Equity Fund ULIF05501/08/13DivrEqtyFd101 47
Bond Fund ULIF05601/08/13Bond Funds101 48
Conservative Fund ULIF05801/08/13ConsertvFd101 49
Pension Income Fund ULIF06101/04/14PenIncFund101 50
Pension Equity Plus Fund ULIF06001/04/14PenEqPlsFd101 51
Capital Growth Fund ULIF06301/04/15CapGrwthFd101 52
Capital Secure Fund ULIF06401/04/15CapSecFund101 53
Policy Discontinued Fund - Life ULIF05110/03/11DiscontdPF101 54
Policy Discontinued Fund - Pension ULIF05201/10/13DiscontdPF101 55
Discovery Fund ULIF06618/01/18DiscvryFnd101 56
Equity Advantage Fund ULIF06723/03/18EqtyAdvtFd101 57
Bond Plus Fund ULIF06814/06/19BondPlusFd101 58
Secure Advantage Fund ULIF06914/06/19SecAdvFund101 59
Sustainable Equity Fund ULIF07019/07/21SustnblEqF101 60
Balanced Managed Fund - Life as on March 31, 2022
Fund Objective : To generate long term capital appreciation along with current income from a combined portfolio of equity and debt market instruments. The equity exposure will be between 30%-60%.
AUM (` in Lakhs)
SFIN Code : ULIF00402/01/04BalancedMF101 Equity Debt MMI & Others Total
Inception Date : 02 Jan 2004 17,724.28 18,215.69 2,309.46 38,249.44
NAV : 158.8387
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Balanced Fund
Period Returns (%) Benchmark Returns (%)# Mr Kailash Lalwani 2 13 25
Inception 11.73% 9.66% Mr Abhishek Agarwal - - 13
10 Years 11.17% 10.36%
7 Years 9.56% 9.27% Asset Category F&U Mandate % of Actual
5 Years 9.97% 9.99% Money Market Insts 0% to 5% 4.73%
4 Years 10.60% 10.60% Public Deposits 0% to 15% 0.00%
3 Years 11.19% 11.04% Govt. Securities
20% to 70% 47.62%
2 Years 22.14% 22.68% Corporate Bonds
1 Year 10.94% 11.12% Equity 30% to 60% 46.34%
6 Months -0.12% 0.18% Net Current Assets - 1.30%
1 Month 1.81% 1.91%
# 45% BSE -100 55% CRISIL Composite Bond Fund Index
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio Mfg of Basic Metals 1.79%
Mfg of Pharmaceuticals 2.04%
Equity % to Fund
Mfg of Non-metallic mineral Products 2.04%
Reliance Industries Limited 4.66%
Mfg of Chemical Products 2.49%
Infosys Limited 4.06%
Electricity,Gas & AC Supply 2.83%
HDFC Bank Limited 2.96%
ICICI Bank Limited 2.52% Other Financial Activities 5.73%
Kotak Mahindra MF - Kotak Banking ETF - Dividend Payout Option 2.05% Mfg of Coke &Refined Petroleum 5.78%
Bharti Airtel Ltd 1.70% Computer Programming 7.21%
Larsen & Toubro Limited 1.30% Government Securities 21.14%
Tata Consultancy Services Limited 1.30%
Financial Service Activities 31.70%
Nippon India ETF Bank Bees 1.27%
Others 17.25%
Bajaj Finance Ltd 1.11%
Hindustan Unilever Limited 1.09%
Axis Bank Limited 1.08%
ITC Limited 0.99% Debt Maturity Profile
SBI Mutual Fund - SBI ETF Private Bank 0.92% 100.00%
Kotak Mahindra Bank Limited 0.88% 90.00%
ICICI Prudential Private Banks ETF 0.73% 80.00%
70.00%
HCL Technologies Limited 0.68% 61.83%
60.00%
State Bank of India 0.66%
50.00%
UltraTech Cement Limited 0.65% 40.00%
Maruti Suzuki India Ltd 0.65% 30.00%
17.54% 20.63%
Asian Paints (India) Ltd 0.65% 20.00%
Bajaj Finserv Ltd 0.64% 10.00%
ICICI Prudential IT ETF 0.59% 0.00%
0 - 1 Yr 1 - 3 Yrs 3 - 10 Yrs
Tata Steel Limited 0.55%
Titan Company Limited 0.53%
Mahindra & Mahindra Ltd. 0.51%
Debt Rating Profile
Others 11.59%
1.38% 1.98%
Total 46.34%
Total 26.48%
Total 21.14%
Debt Parameters
Portfolio Yield (%) 5.92%
Avg Maturity (In Months) 50.56
Modified Duration (In Years) 3.30
Balanced Managed Fund - Pension as on March 31, 2022
Fund Objective : To generate long term capital appreciation along with current income from a combined portfolio of equity and debt market instruments. The equity exposure will be between 30%-60%.
AUM (` in Lakhs)
SFIN Code : ULIF01102/01/04BalancedMF101 Equity Debt MMI & Others Total
Inception Date : 02 Jan 2004 11,232.86 11,392.35 1,465.06 24,090.27
NAV : 156.7544
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Balanced Fund
Period Returns (%) Benchmark Returns (%)# Mr Kailash Lalwani 2 13 25
Inception 11.65% 9.66% Mr Nishit Dholakia 3 - 16
10 Years 11.46% 10.36%
7 Years 9.96% 9.27% Asset Category F&U Mandate % of Actual
5 Years 10.08% 9.99% Money Market Insts 0% to 5% 4.89%
4 Years 10.41% 10.60% Public Deposits 0% to 15% 0.00%
3 Years 11.01% 11.04% Govt. Securities
20% to 70% 47.29%
2 Years 22.44% 22.68% Corporate Bonds
1 Year 11.53% 11.12% Equity 30% to 60% 46.63%
6 Months -0.04% 0.18% Net Current Assets - 1.19%
1 Month 1.64% 1.91%
# 45% BSE -100 55% CRISIL Composite Bond Fund Index
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Mfg of Motor Vehicles 1.67%
Mfg of Basic Metals 2.04%
Equity % to Fund
Mfg of Pharmaceuticals 2.07%
Reliance Industries Limited 5.12%
Mfg of Chemical Products 2.91%
Infosys Limited 5.00%
Electricity,Gas & AC Supply 3.17%
HDFC Bank Limited 3.72%
ICICI Bank Limited 3.71% Civil Engineering 4.04%
Tata Consultancy Services Limited 2.35% Mfg of Coke &Refined Petroleum 5.98%
Bajaj Finance Ltd 2.02% Computer Programming 7.71%
SBI-ETF Nifty Bank 1.59% Government Securities 21.81%
Larsen & Toubro Limited 1.58%
Financial Service Activities 33.58%
Bharti Airtel Ltd 1.47%
Others 15.02%
Kotak Mahindra Bank Limited 1.44%
Axis Bank Limited 1.34%
ITC Limited 1.28%
Hindustan Unilever Limited 1.06% Debt Maturity Profile
Tata Steel Limited 1.06% 100.00%
Asian Paints (India) Ltd 0.94% 90.00%
Housing Devt Finance Corpn Limited 0.92% 80.00%
70.00%
Mahindra & Mahindra Ltd. 0.85% 60.18%
60.00%
UltraTech Cement Limited 0.84%
50.00%
Maruti Suzuki India Ltd 0.83% 40.00%
Titan Company Limited 0.79% 30.00% 25.89%
State Bank of India 0.75% 20.00% 13.93%
Cipla Limited 0.65% 10.00%
Dr Reddys Laboratories Limited 0.58% 0.00%
0 - 1 Yr 1 - 3 Yrs 3 - 10 Yrs
Others 6.76%
Total 46.63%
Debt Rating Profile
6.94%
Debentures / Bonds % to Fund 1.47%
LIC Housing Finance Ltd 4.22%
Housing Development Finance Corporation Ltd 3.78%
IDFC First Bank Limited 3.28% Sovereign
HDB Financial Services Ltd 2.54% 46.13% AAA
Power Grid Corporation of India Ltd 2.44% AA+
Power Finance Corporation Ltd 1.69% AA & below
45.45%
Indian Railway Finance Corporation Ltd 1.46%
Larsen & Toubro Ltd 1.32%
National Highway Authority Of India 0.98%
Mahindra and Mahindra Financial Services Ltd 0.91%
Others 2.85%
Total 25.48%
Total 21.81%
Debt Parameters
Portfolio Yield (%) 5.86%
Avg Maturity (In Months) 48.18
Modified Duration (In Years) 3.13
Defensive Managed Fund - Life as on March 31, 2022
Fund Objective : To enhance long term returns for a portfolio predominantly invested in fixed income securities by taking a moderate to medium exposure to equity and equity related securities. The equity exposure will be between 15%-30%.
AUM (` in Lakhs)
SFIN Code : ULIF00302/01/04DefensiveF101 Equity Debt MMI & Others Total
Inception Date : 02 Jan 2004 2,250.65 6,486.85 588.59 9,326.09
NAV : 111.8631
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Balanced Fund
Period Returns (%) Benchmark Returns (%)# Mr Kailash Lalwani 2 13 25
Inception 9.70% 8.25% Mr Nishit Dholakia 3 - 16
10 Years 9.98% 9.36%
7 Years 9.00% 8.62% Asset Category F&U Mandate % of Actual
5 Years 8.90% 8.64% Money Market Insts 0% to 5% 4.62%
4 Years 9.29% 9.22% Public Deposits 0% to 15% 0.00%
3 Years 9.70% 9.63% Govt. Securities
50% to 85% 69.56%
2 Years 13.49% 14.38% Corporate Bonds
1 Year 8.02% 7.80% Equity 15% to 30% 24.13%
6 Months 0.18% 0.62% Net Current Assets - 1.69%
1 Month 0.94% 1.06%
# 22.5% BSE -100 77.5% CRISIL Composite Bond Fund Index
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Telecommunications 0.80%
Mfg of Motor Vehicles 0.84%
Equity % to Fund
Mfg of Pharmaceuticals 1.11%
Reliance Industries Limited 2.67%
Mfg of Chemical Products 1.47%
Infosys Limited 2.62%
Civil Engineering 2.64%
ICICI Bank Limited 2.24%
HDFC Bank Limited 2.19% Computer Programming 4.07%
Bajaj Finance Ltd 1.28% Mfg of Coke &Refined Petroleum 5.83%
Tata Consultancy Services Limited 1.26% Electricity,Gas & AC Supply 6.05%
Larsen & Toubro Limited 0.87% Government Securities 31.78%
Bharti Airtel Ltd 0.77%
Financial Service Activities 34.68%
Kotak Mahindra Bank Limited 0.75%
Others 10.74%
ITC Limited 0.67%
Axis Bank Limited 0.67%
Tata Steel Limited 0.54%
Others 7.61% Debt Maturity Profile
100.00%
Total 24.13% 90.00%
80.00%
70.00% 65.96%
Debentures / Bonds % to Fund
60.00%
LIC Housing Finance Ltd 5.45%
50.00%
Housing Development Finance Corporation Ltd 4.98% 40.00%
IDFC First Bank Limited 4.05% 30.00%
Power Grid Corporation of India Ltd 3.43% 20.00% 20.27%
13.77%
State Bank of India 2.91% 10.00%
IOT Utkal Energy Services Limited 2.24% 0.00%
0 - 1 Yr 1 - 3 Yrs 3 - 10 Yrs
Export and Import Bank of India 2.19%
National Thermal Power Corporation Ltd 1.89%
Bajaj Finance Ltd 1.76%
Debt Rating Profile
Sundaram Finance Ltd 1.28%
Others 7.60% 7.58%
Total 37.78%
Total 31.78%
Debt Parameters
Portfolio Yield (%) 5.91%
Avg Maturity (In Months) 49.34
Modified Duration (In Years) 3.22
Defensive Managed Fund - Pension as on March 31, 2022
Fund Objective : To enhance long term returns for a portfolio predominantly invested in fixed income securities by taking a moderate to medium exposure to equity and equity related securities. The equity exposure will be between 15%-30%.
AUM (` in Lakhs)
SFIN Code : ULIF01002/01/04DefensiveF101 Equity Debt MMI & Others Total
Inception Date : 02 Jan 2004 1,010.88 2,921.46 275.95 4,208.29
NAV : 101.1877
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Balanced Fund
Period Returns (%) Benchmark Returns (%)# Mr Kailash Lalwani 2 13 25
Inception 9.10% 8.25% Mr Nishit Dholakia 3 - 16
10 Years 9.96% 9.36%
7 Years 9.01% 8.62% Asset Category F&U Mandate % of Actual
5 Years 8.74% 8.64% Money Market Insts 0% to 5% 4.78%
4 Years 9.09% 9.22% Public Deposits 0% to 15% 0.00%
3 Years 9.75% 9.63% Govt. Securities
50% to 85% 69.42%
2 Years 13.67% 14.38% Corporate Bonds
1 Year 7.93% 7.80% Equity 15% to 30% 24.02%
6 Months 0.02% 0.62% Net Current Assets - 1.78%
1 Month 0.87% 1.06%
# 22.5% BSE -100 77.5% CRISIL Composite Bond Fund Index
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Mfg of Motor Vehicles 0.82%
Mfg of Pharmaceuticals 1.10%
Equity % to Fund
Mfg of Non-metallic mineral Products 1.13%
Reliance Industries Limited 2.64%
Mfg of Chemical Products 1.57%
Infosys Limited 2.57%
Civil Engineering 3.33%
HDFC Bank Limited 2.25%
ICICI Bank Limited 2.21% Computer Programming 3.95%
Tata Consultancy Services Limited 1.20% Mfg of Coke &Refined Petroleum 5.97%
Bajaj Finance Ltd 1.17% Electricity,Gas & AC Supply 5.99%
Larsen & Toubro Limited 0.85% Government Securities 30.63%
Bharti Airtel Ltd 0.76%
Financial Service Activities 34.54%
Kotak Mahindra Bank Limited 0.75%
Others 10.97%
Axis Bank Limited 0.67%
ITC Limited 0.65%
Hindustan Unilever Limited 0.55%
Tata Steel Limited 0.53% Debt Maturity Profile
Others 7.22% 100.00%
90.00%
Total 24.02% 80.00%
70.00% 66.81%
60.00%
Debentures / Bonds % to Fund
50.00%
LIC Housing Finance Ltd 9.35% 40.00%
Power Grid Corporation of India Ltd 4.49% 30.00%
State Bank of India 3.10% 20.00% 16.21% 16.98%
IOT Utkal Energy Services Limited 2.88% 10.00%
Bajaj Finance Ltd 2.60% 0.00%
0 - 1 Yr 1 - 3 Yrs 3 - 10 Yrs
IDFC First Bank Limited 2.50%
Housing Development Finance Corporation Ltd 1.98%
Indian Railway Finance Corporation Ltd 1.72%
Debt Rating Profile
National Highway Authority Of India 1.48%
5.01%
AXIS Bank Limited 1.02%
Others 7.67%
Total 38.79%
44.12% Sovereign
Government Securities % to Fund AAA
Total 30.63%
Debt Parameters
Portfolio Yield (%) 6.01%
Avg Maturity (In Months) 51.93
Modified Duration (In Years) 3.39
Growth Fund - Life as on March 31, 2022
Fund Objective : To generate long term capital appreciation from a diversified portfolio of equity and equity related securities.
AUM (` in Lakhs)
SFIN Code : ULIF00502/01/04GrowthFund101 Equity Debt MMI & Others Total
Inception Date : 02 Jan 2004 272,451.29 - 733.76 273,185.05
NAV : 283.9665
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Balanced Fund
Period Returns (%) Benchmark Returns (%)#
Mr Priyank Singhal 12 1 1
Inception 14.99% 13.09%
10 Years 14.03% 12.80%
7 Years 12.09% 10.87% Asset Category F&U Mandate % of Actual
5 Years 13.77% 13.30% Money Market Insts 0% to 5% 0.06%
4 Years 14.35% 13.98% Public Deposits 0% 0.00%
3 Years 15.57% 14.49% Govt. Securities
0% 0.00%
2 Years 42.22% 42.99% Corporate Bonds
1 Year 16.71% 19.24% Equity 95% to 100% 99.73%
6 Months -1.79% -0.88% Net Current Assets - 0.21%
1 Month 3.26% 3.99%
# BSE-100
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Mfg of Non-metallic mineral Products 2.60%
Civil Engineering 2.73%
Equity % to Fund
Telecommunications 4.04%
Reliance Industries Limited 9.19%
Mfg of Pharmaceuticals 4.19%
Infosys Limited 8.26%
Mfg of Motor Vehicles 4.30%
ICICI Bank Limited 7.38%
ICICI Prudential Private Banks ETF 4.86% Mfg of Chemical Products 5.65%
HDFC Bank Limited 4.54% Mfg of Coke &Refined Petroleum 10.11%
Axis Bank Limited 3.97% Other Financial Activities 13.55%
Bharti Airtel Ltd 3.79% Computer Programming 14.50%
Tata Consultancy Services Limited 3.09%
Financial Service Activities 22.80%
Larsen & Toubro Limited 2.73%
Others 15.50%
Hindustan Unilever Limited 2.73%
SBI-ETF Nifty Bank 2.34%
Kotak Mahindra MF - Kotak Banking ETF - Dividend Payout Option 2.29%
Dr Reddys Laboratories Limited 2.25% Debt Maturity Profile
100.00% 100.00%
Housing Devt Finance Corpn Limited 2.21%
Bajaj Finance Ltd 2.10%
Nippon India ETF Bank Bees 2.05%
UltraTech Cement Limited 1.97%
ITC Limited 1.91%
90.00%
Mahindra & Mahindra Ltd. 1.90%
HCL Technologies Limited 1.90%
Kotak Mahindra Bank Limited 1.44%
Tata Steel Limited 1.42%
Maruti Suzuki India Ltd 1.40% 80.00%
0 - 1 Yr
Tech Mahindra Limited 1.25%
Asian Paints (India) Ltd 1.18%
SBI ETF IT 1.17%
Crompton Greaves Consumer Electricals Ltd 0.96%
National Thermal Power Corporation Ltd. 0.85%
Bharat Petroleum Corporation Ltd 0.77%
Lupin Limited 0.74%
Ashok Leyland Limited 0.64%
Shree Cement Limited 0.55%
Bajaj Auto Ltd. 0.51%
Vedanta Ltd 0.51%
Others 14.89%
Total 99.73%
AUM (` in Lakhs)
SFIN Code : ULIF01202/01/04GrowthFund101 Equity Debt MMI & Others Total
Inception Date : 02 Jan 2004 118,997.47 - 330.48 119,327.95
NAV : 272.5448
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Balanced Fund
Period Returns (%) Benchmark Returns (%)#
Mr Priyank Singhal 12 1 1
Inception 14.74% 13.09%
10 Years 14.03% 12.80%
7 Years 12.08% 10.87% Asset Category F&U Mandate % of Actual
5 Years 13.75% 13.30% Money Market Insts 0% to 5% 0.18%
4 Years 14.33% 13.98% Public Deposits 0% 0.00%
3 Years 15.59% 14.49% Govt. Securities
0% 0.00%
2 Years 42.28% 42.99% Corporate Bonds
1 Year 16.78% 19.24% Equity 95% to 100% 99.72%
6 Months -1.79% -0.88% Net Current Assets - 0.10%
1 Month 3.27% 3.99%
# BSE-100
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Mfg of Non-metallic mineral Products 2.61%
Civil Engineering 2.74%
Equity % to Fund
Telecommunications 4.05%
Reliance Industries Limited 9.19%
Mfg of Pharmaceuticals 4.25%
Infosys Limited 8.27%
Mfg of Motor Vehicles 4.31%
ICICI Bank Limited 7.39%
ICICI Prudential Private Banks ETF 4.87% Mfg of Chemical Products 5.63%
HDFC Bank Limited 4.51% Mfg of Coke &Refined Petroleum 10.12%
Axis Bank Limited 3.98% Other Financial Activities 13.65%
Bharti Airtel Ltd 3.81% Computer Programming 14.55%
Tata Consultancy Services Limited 3.09%
Financial Service Activities 22.67%
Larsen & Toubro Limited 2.74%
Others 15.40%
Hindustan Unilever Limited 2.72%
SBI-ETF Nifty Bank 2.34%
Kotak Mahindra MF - Kotak Banking ETF - Dividend Payout Option 2.33%
Dr Reddys Laboratories Limited 2.25% Debt Maturity Profile
100.00% 100.00%
Housing Devt Finance Corpn Limited 2.24%
Bajaj Finance Ltd 2.14%
Nippon India ETF Bank Bees 2.05%
UltraTech Cement Limited 1.98%
ITC Limited 1.92%
90.00%
Mahindra & Mahindra Ltd. 1.90%
HCL Technologies Limited 1.90%
Tata Steel Limited 1.43%
Maruti Suzuki India Ltd 1.40%
Tech Mahindra Limited 1.29% 80.00%
0 - 1 Yr
Kotak Mahindra Bank Limited 1.26%
SBI ETF IT 1.22%
Asian Paints (India) Ltd 1.17%
Crompton Greaves Consumer Electricals Ltd 0.92%
National Thermal Power Corporation Ltd. 0.85%
Bharat Petroleum Corporation Ltd 0.77%
Lupin Limited 0.75%
Ashok Leyland Limited 0.64%
Shree Cement Limited 0.56%
SBI Life Insurance Company Limited 0.52%
Bajaj Auto Ltd. 0.51%
Vedanta Ltd 0.50%
Others 14.33%
Total 99.72%
AUM (` in Lakhs)
SFIN Code : ULIF00102/01/04LiquidFund101 Equity Debt MMI & Others Total
Inception Date : 02 Jan 2004 - - 6,417.30 6,417.30
NAV : 66.4075
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Balanced Fund
Period Returns (%) Benchmark Returns (%)# Mr Vineet Choraria - 29 2
Inception 6.78% 6.64% 1
10 Years 6.24% 7.03%
7 Years 5.27% 6.24% Asset Category F&U Mandate % of Actual
5 Years 4.58% 5.71% Money Market Insts
100% 100.00%
4 Years 4.40% 5.43% Public Deposits
3 Years 3.92% 4.71% Govt. Securities
0% 0.00%
2 Years 3.10% 3.88% Corporate Bonds
1 Year 2.78% 3.68% Equity 0% 0.00%
6 Months 1.43% 1.88%
1 Month 0.25% 0.34%
# CRISIL Liquid Fund Index
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
90.00%
80.00%
0 - 1 Yr
Sovereign
AAA
96.05%
Liquid Fund - Pension as on March 31, 2022
Fund Objective : To deliver returns linked to Money Market levels with minimal interest rate risk and minimal credit risk so as to provide a high level of safety of capital.
AUM (` in Lakhs)
SFIN Code : ULIF00802/01/04LiquidFund101 Equity Debt MMI & Others Total
Inception Date : 02 Jan 2004 - - 1,997.00 1,997.00
NAV : 66.8998
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Balanced Fund
Period Returns (%) Benchmark Returns (%)# Mr Vineet Choraria 1 29 2
Inception 6.82% 6.64%
10 Years 6.24% 7.03%
7 Years 5.25% 6.24% Asset Category F&U Mandate % of Actual
5 Years 4.57% 5.71% Money Market Insts
100% 100.00%
4 Years 4.39% 5.43% Public Deposits
3 Years 3.91% 4.71% Govt. Securities
0% 0.00%
2 Years 3.08% 3.88% Corporate Bonds
1 Year 2.77% 3.68% Equity 0% 0.00%
6 Months 1.42% 1.88%
1 Month 0.26% 0.34%
# CRISIL Liquid Fund Index
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
90.00%
80.00%
0 - 1 Yr
Sovereign
AAA
91.62%
Secured Managed Fund - Life as on March 31, 2022
Fund Objective : To provide reasonable returns through investments in high credit quality debt instruments while maintaining an optimal level of interest rate risk.
AUM (` in Lakhs)
SFIN Code : ULIF00202/01/04SecureMgtF101 Equity Debt MMI & Others Total
Inception Date : 02 Jan 2004 - 12,931.56 303.32 13,234.88
NAV : 75.1314
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Balanced Fund
Period Returns (%) Benchmark Returns (%)# Mr Vineet Choraria 1 29 2
Inception 7.47% 6.85%
10 Years 8.33% 8.37%
7 Years 7.55% 7.96% Asset Category F&U Mandate % of Actual
5 Years 6.87% 7.29% Money Market Insts 0% to 5% 2.15%
4 Years 7.35% 7.84% Public Deposits 0% to 20% 0.00%
3 Years 7.34% 8.22% Govt. Securities
75% to 100% 97.71%
2 Years 5.18% 6.07% Corporate Bonds
1 Year 4.04% 4.48% Equity 0% 0.00%
6 Months 0.53% 1.05% Net Current Assets - 0.14%
1 Month 0.30% 0.21%
# CRISIL Composite Bond Fund Index
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Mfg of Motor Vehicles 0.08%
Sovereign
Grand Total 100.00% 32.76% AAA
AA & below
Debt Parameters 59.62%
Portfolio Yield (%) 6.12%
Avg Maturity (In Months) 57.44
Modified Duration (In Years) 3.69
Secured Managed Fund - Pension as on March 31, 2022
Fund Objective : To provide reasonable returns through investments in high credit quality debt instruments while maintaining an optimal level of interest rate risk.
AUM (` in Lakhs)
SFIN Code : ULIF00902/01/04SecureMgtF101 Equity Debt MMI & Others Total
Inception Date : 02 Jan 2004 - 5,161.56 143.01 5,304.57
NAV : 73.8315
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Balanced Fund
Period Returns (%) Benchmark Returns (%)# Mr Vineet Choraria 1 29 2
Inception 7.36% 6.85%
10 Years 8.32% 8.37%
7 Years 7.53% 7.96% Asset Category F&U Mandate % of Actual
5 Years 6.84% 7.29% Money Market Insts 0% to 5% 0.41%
4 Years 7.29% 7.84% Public Deposits 0% to 20% 0.00%
3 Years 7.24% 8.22% Govt. Securities
75% to 100% 97.30%
2 Years 5.17% 6.07% Corporate Bonds
1 Year 3.91% 4.48% Equity 0% 0.00%
6 Months 0.28% 1.05% Net Current Assets - 2.29%
1 Month 0.13% 0.21%
# CRISIL Composite Bond Fund Index
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Mfg of Motor Vehicles 0.40%
Debentures / Bonds % to Fund
Housing Development Finance Corporation Ltd 9.70%
Warehousing 4.11%
IDFC First Bank Limited 6.91%
Sikka Ports And Terminals 4.11%
ICICI Bank Ltd 3.31% Financial Service Activities 27.95%
State Bank of India 3.07%
Power Finance Corporation Ltd 1.45% Government Securities 64.85%
LIC Housing Finance Ltd 1.03%
Mahindra and Mahindra Financial Services Ltd 1.01%
Sundaram Finance Ltd 0.66% Others 2.70%
HDB Financial Services Ltd 0.42%
Others 0.79%
Total 99.11%
Debt Parameters
Portfolio Yield (%) 3.70%
Avg Maturity (In Months) 0.13
Modified Duration (In Years) 0.00
Equity Managed Fund - Pension as on March 31, 2022
Fund Objective : To achieve long term capital appreciation by investing pre-dominantly in equity and equity related securities and balancing it by shifting assets to the fixed income securities depending on the fund manager's views. The minimum allocation to equity
will be 60%.
AUM (` in Lakhs)
SFIN Code : ULIF01316/01/06EquityMgFd101 Equity Debt MMI & Others Total
Inception Date : 17 Jan 2006 25,297.65 - 196.48 25,494.13
NAV : 234.6659
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Balanced Fund
Period Returns (%) Benchmark Returns (%)# Mr Kailash Lalwani 2 13 25
Inception 12.66% 11.90% Mr Nishit Dholakia 3 - 16
10 Years 13.85% 12.80%
7 Years 11.82% 10.87% Asset Category F&U Mandate % of Actual
5 Years 13.47% 13.30% Money Market Insts 0% to 5% 0.76%
4 Years 14.24% 13.98% Public Deposits 0% to 10% 0.00%
3 Years 15.16% 14.49% Govt. Securities
0% to 40% 0.00%
2 Years 42.41% 42.99% Corporate Bonds
1 Year 19.40% 19.24% Equity 60% to 100% 99.23%
6 Months -0.89% -0.88% Net Current Assets - 0.01%
1 Month 3.33% 3.99%
# BSE-100
Note: Returns over 1 year have been annualized. The benchmark index of the fund has been changed to BSE100 w.e.f June 14, 2018. Benchmark returns are computed basis the revised benchmark index.
Sector Allocation as per NIC 2008
% to Fund
Portfolio Civil Engineering 2.97%
Mfg of Basic Metals 3.43%
Equity % to Fund Telecommunications 3.71%
Reliance Industries Limited 9.00% Mfg of Motor Vehicles 3.88%
Infosys Limited 8.75%
Mfg of Pharmaceuticals 4.52%
HDFC Bank Limited 6.35%
Mfg of Chemical Products 5.60%
ICICI Bank Limited 6.29%
Kotak Mahindra MF - Kotak Banking ETF - Dividend Payout Option 5.19% Mfg of Coke &Refined Petroleum 10.25%
Total 99.23%
Debt Parameters
Portfolio Yield (%) 3.70%
Avg Maturity (In Months) 0.13
Modified Duration (In Years) 0.00
Stable Managed Fund - Life as on March 31, 2022
Fund Objective : To generate optimal returns for investors through short term investments in high credit quality securities so as to keep interest rate risks low and provide safety of capital over the medium term horizon.
AUM (` in Lakhs)
SFIN Code : ULIF00720/06/07StableMgFd101 Equity Debt MMI & Others Total
Inception Date : 20 Jun 2007 - 2,394.60 778.31 3,172.91
NAV : 69.638
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Balanced Fund
Period Returns (%) Benchmark Returns (%)# Mr Kailash Lalwani 2 13 25
Inception 7.32% 7.46%
10 Years 6.93% 8.09%
7 Years 6.27% 7.34% Asset Category F&U Mandate % of Actual
5 Years 5.86% 6.79% Money Market Insts
4 Years 5.96% 6.79% Public Deposits
100% 100.00%
3 Years 5.51% 6.34% Govt. Securities
2 Years 4.50% 5.47% Corporate Bonds
1 Year 3.73% 4.49% Equity 0% 0.00%
6 Months 1.59% 2.12%
1 Month 0.30% 0.41%
# CRISIL Low Duration Debt Index
Note: Returns over 1 year have been annualized. The benchmark index of the fund has been changed to CRISIL Low Duration Debt Index w.e.f December 30, 2020. Benchmark returns are computed
basis the revised benchmark index.
Sector Allocation as per NIC 2008
% to Fund
Portfolio
Total 15.21%
Government Securities 75.58%
Total 60.26%
Debt Maturity Profile
100.00%
90.00%
Deposits, Money Mkt Securities and Net Current Assets. 24.53%
80.00% 74.05%
70.00%
Grand Total 100.00% 60.00%
50.00%
Debt Parameters 40.00%
Portfolio Yield (%) 4.82% 30.00% 25.95%
Avg Maturity (In Months) 12.63 20.00%
10.00%
Modified Duration (In Years) 0.98
0.00%
0 - 1 Yr 1 - 3 Yrs
Sovereign
AAA
78.10%
Stable Managed Fund - Pension as on March 31, 2022
Fund Objective : To generate optimal returns for investors through short term investments in high credit quality securities so as to keep interest rate risks low and provide safety of capital over the medium term horizon.
AUM (` in Lakhs)
SFIN Code : ULIF01420/06/07StableMgFd101 Equity Debt MMI & Others Total
Inception Date : 20 Jun 2007 - 1,134.83 445.46 1,580.29
NAV : 69.5383
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Balanced Fund
Period Returns (%) Benchmark Returns (%)# Mr Kailash Lalwani 2 13 25
Inception 7.31% 7.46%
10 Years 6.90% 8.09%
7 Years 6.25% 7.34% Asset Category F&U Mandate % of Actual
5 Years 5.87% 6.79% Money Market Insts
4 Years 5.99% 6.79% Public Deposits
100% 100.00%
3 Years 5.57% 6.34% Govt. Securities
2 Years 4.53% 5.47% Corporate Bonds
1 Year 3.76% 4.49% Equity 0% 0.00%
6 Months 1.61% 2.12%
1 Month 0.33% 0.41%
# CRISIL Low Duration Debt Index
Note: Returns over 1 year have been annualized. The benchmark index of the fund has been changed to CRISIL Low Duration Debt Index w.e.f December 30, 2020. Benchmark returns are computed
basis the revised benchmark index.
Sector Allocation as per NIC 2008
% to Fund
Portfolio
Electricity,Gas & AC Supply 6.63%
24.82%
Sovereign
AAA
75.18%
Balanced Managed Fund - Life - II as on March 31, 2022
Fund Objective : To generate long term capital appreciation along with current income from a combined portfolio of equity and debt market instruments. The equity exposure will be between 30%-60%.
AUM (` in Lakhs)
SFIN Code : ULIF01920/02/08BalncdMFII101 Equity Debt MMI & Others Total
Inception Date : 20 Feb 2008 20,919.65 19,122.79 6,050.34 46,092.79
NAV : 31.4719
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Balanced Fund
Period Returns (%) Benchmark Returns (%)# Mr Kailash Lalwani 2 13 25
Inception 9.06% 8.19% Mr Abhishek Agarwal - - 13
10 Years 10.64% 10.36%
7 Years 8.97% 9.27% Asset Category F&U Mandate % of Actual
5 Years 9.50% 9.99% Money Market Insts
0% to 20% 12.09%
4 Years 10.14% 10.60% Public Deposits
3 Years 10.63% 11.04% Govt. Securities
20% to 70% 41.49%
2 Years 21.60% 22.68% Corporate Bonds
1 Year 10.49% 11.12% Equity 30% to 60% 45.39%
6 Months -0.33% 0.18% Net Current Assets - 1.04%
1 Month 1.79% 1.91%
# 45% BSE -100 55% CRISIL Composite Bond Fund Index
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio Telecommunications 1.72%
Mfg of Non-metallic mineral Products 1.94%
Equity % to Fund
Mfg of Pharmaceuticals 1.99%
Reliance Industries Limited 4.56%
Mfg of Chemical Products 2.44%
Infosys Limited 3.98%
Civil Engineering 2.78%
HDFC Bank Limited 2.90%
ICICI Bank Limited 2.47% Other Financial Activities 5.61%
Kotak Mahindra MF - Kotak Banking ETF - Dividend Payout Option 2.01% Mfg of Coke &Refined Petroleum 6.20%
Bharti Airtel Ltd 1.66% Computer Programming 7.06%
Larsen & Toubro Limited 1.28% Government Securities 19.79%
Tata Consultancy Services Limited 1.28%
Financial Service Activities 26.22%
Nippon India ETF Bank Bees 1.25%
Others 24.25%
Bajaj Finance Ltd 1.09%
Hindustan Unilever Limited 1.07%
Axis Bank Limited 1.06%
ITC Limited 0.97%
Debt Maturity Profile
SBI Mutual Fund - SBI ETF Private Bank 0.90% 100.00%
Kotak Mahindra Bank Limited 0.86% 90.00%
ICICI Prudential Private Banks ETF 0.72% 80.00%
70.00% 63.25%
HCL Technologies Limited 0.67%
60.00%
State Bank of India 0.65%
50.00%
UltraTech Cement Limited 0.64% 40.00%
Maruti Suzuki India Ltd 0.64% 30.00% 24.34%
Asian Paints (India) Ltd 0.64% 20.00%
12.33%
Bajaj Finserv Ltd 0.62% 10.00%
0.09%
ICICI Prudential IT ETF 0.58% 0.00%
0 - 1 Yr 1 - 3 Yrs 3 - 10 Yrs Above 10 Yrs
Tata Steel Limited 0.53%
Titan Company Limited 0.52%
Mahindra & Mahindra Ltd. 0.50%
Debt Rating Profile
Others 11.34%
1.11% 4.46%
Total 45.39%
Total 21.70%
Total 19.79%
Debt Parameters
Portfolio Yield (%) 5.75%
Avg Maturity (In Months) 47.98
Modified Duration (In Years) 3.11
Defensive Managed Fund - Life - II as on March 31, 2022
Fund Objective : To enhance long term returns for a portfolio predominantly invested in fixed income securities by taking a moderate to medium exposure to equity and equity related securities. The equity exposure will be between 15%-30%.
AUM (` in Lakhs)
SFIN Code : ULIF01820/02/08DefnsvFdII101 Equity Debt MMI & Others Total
Inception Date : 20 Feb 2008 2,242.81 5,704.12 1,475.68 9,422.61
NAV : 32.023
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Balanced Fund
Period Returns (%) Benchmark Returns (%)# Mr Kailash Lalwani 2 13 25
Inception 8.84% 7.96% Mr Nishit Dholakia 3 - 16
10 Years 9.40% 9.36%
7 Years 8.40% 8.62% Asset Category F&U Mandate % of Actual
5 Years 8.15% 8.64% Money Market Insts
0% to 20% 13.98%
4 Years 8.52% 9.22% Public Deposits
3 Years 9.04% 9.63% Govt. Securities
50% to 85% 60.54%
2 Years 12.90% 14.38% Corporate Bonds
1 Year 7.40% 7.80% Equity 15% to 30% 23.80%
6 Months -0.11% 0.62% Net Current Assets - 1.68%
1 Month 0.89% 1.06%
# 22.5% BSE -100 77.5% CRISIL Composite Bond Fund Index
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Mfg of Non-metallic mineral Products 1.36%
Mfg of Chemical Products 1.52%
Equity % to Fund
Civil Engineering 2.82%
Reliance Industries Limited 2.62%
Mfg of Motor Vehicles 2.95%
Infosys Limited 2.58%
Mfg of Coke &Refined Petroleum 3.00%
ICICI Bank Limited 2.24%
HDFC Bank Limited 2.18% Mfg of Basic Metals 3.03%
Tata Consultancy Services Limited 1.25% Computer Programming 4.00%
Bajaj Finance Ltd 1.18% Electricity,Gas & AC Supply 5.97%
Larsen & Toubro Limited 0.84% Financial Service Activities 25.38%
Bharti Airtel Ltd 0.75%
Government Securities 28.83%
Kotak Mahindra Bank Limited 0.75%
Others 21.12%
Axis Bank Limited 0.68%
ITC Limited 0.65%
Hindustan Unilever Limited 0.55%
Tata Steel Limited 0.53% Debt Maturity Profile
Others 7.02% 100.00%
90.00%
Total 23.80% 80.00%
70.00% 65.22%
60.00%
Debentures / Bonds % to Fund
50.00%
State Bank of India 4.53% 40.00%
NHPC Ltd 3.65% 30.00% 24.94%
Housing Development Finance Corporation Ltd 2.53% 20.00%
9.84%
Tata Capital Housing Finance Limited 2.53% 10.00%
Hindalco Industries Ltd 2.36% 0.00%
0 - 1 Yr 1 - 3 Yrs 3 - 10 Yrs
Mahindra & Mahindra Ltd 2.11%
Bajaj Finance Ltd 1.74%
Power Finance Corporation Ltd 1.70%
Debt Rating Profile
Mahindra and Mahindra Financial Services Ltd 1.70%
Power Grid Corporation of India Ltd 1.42% 3.90% 0.53%
Others 7.43%
Total 28.83%
Debt Parameters
Portfolio Yield (%) 5.77%
Avg Maturity (In Months) 49.09
Modified Duration (In Years) 3.18
Equity Managed Fund - Life - II as on March 31, 2022
Fund Objective : To achieve long term capital appreciation by investing pre-dominantly in equity and equity related securities and balancing it by shifting assets to the fixed income securities depending on the fund manager's views. The minimum allocation to equity
will be 60%.
AUM (` in Lakhs)
SFIN Code : ULIF02020/02/08EquityMFII101 Equity Debt MMI & Others Total
Inception Date : 20 Feb 2008 65,577.79 - 2,016.47 67,594.27
NAV : 35.6809
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Balanced Fund
Period Returns (%) Benchmark Returns (%)# Mr Kailash Lalwani 2 13 25
Inception 10.50% 8.73% Mr Nishit Dholakia 3 - 16
10 Years 12.99% 12.80%
7 Years 10.99% 10.87% Asset Category F&U Mandate % of Actual
5 Years 12.74% 13.30% Money Market Insts
0% to 15% 2.98%
4 Years 13.41% 13.98% Public Deposits
3 Years 14.23% 14.49% Govt. Securities
0% to 40% 0.00%
2 Years 41.02% 42.99% Corporate Bonds
1 Year 17.57% 19.24% Equity 60% to 100% 97.02%
6 Months -1.69% -0.88% Net Current Assets - 0.00%
1 Month 3.24% 3.99%
# BSE-100
Note: Returns over 1 year have been annualized. The benchmark index of the fund has been changed to BSE100 w.e.f June 14, 2018. Benchmark returns are computed basis the revised benchmark
index.
Sector Allocation as per NIC 2008
% to Fund
Portfolio Civil Engineering 2.87%
Mfg of Basic Metals 3.33%
Equity % to Fund Telecommunications 3.60%
Reliance Industries Limited 8.77% Mfg of Motor Vehicles 3.74%
Infosys Limited 8.73%
Mfg of Pharmaceuticals 4.37%
HDFC Bank Limited 6.29%
Mfg of Chemical Products 5.41%
ICICI Bank Limited 6.20%
Kotak Mahindra MF - Kotak Banking ETF - Dividend Payout Option 5.04% Mfg of Coke &Refined Petroleum 9.97%
Nippon India ETF Bank Bees 3.57% Other Financial Activities 12.79%
Tata Consultancy Services Limited 3.35% Computer Programming 14.69%
Bharti Airtel Ltd 3.30% Financial Service Activities 21.32%
Larsen & Toubro Limited 2.80%
Others 17.91%
Hindustan Unilever Limited 2.42%
Axis Bank Limited 2.39%
ICICI Prudential Private Banks ETF 2.23%
Kotak Mahindra Bank Limited 2.11% Debt Maturity Profile
100.00% 100.00%
Bajaj Finance Ltd 2.03%
ITC Limited 2.02%
Asian Paints (India) Ltd 1.75%
Mahindra & Mahindra Ltd. 1.58%
Maruti Suzuki India Ltd 1.57%
90.00%
ICICI Prudential IT ETF 1.56%
Tata Steel Limited 1.34%
UltraTech Cement Limited 1.30%
Hindalco Industries Limited 1.08%
HCL Technologies Limited 1.05% 80.00%
0 - 1 Yr
Housing Devt Finance Corpn Limited 1.01%
Titan Company Limited 1.00%
Nestle India Limited 0.97%
Dr Reddys Laboratories Limited 0.96%
Tech Mahindra Limited 0.91%
Vedanta Ltd 0.90%
Bajaj Finserv Ltd 0.89%
Divis Laboratories Ltd. 0.78%
Cipla Limited 0.77%
National Thermal Power Corporation Ltd. 0.74%
Bharat Petroleum Corporation Ltd 0.67%
Sun Pharmaceuticals Industries Limited 0.65%
Wipro Limited 0.65%
SBI Life Insurance Company Limited 0.55%
Hindustan Petroleum Corporation Ltd. 0.54%
Tata Power Co. Ltd 0.53%
Adani Port & Special Economic Zone Ltd 0.53%
Others 11.50%
Total 97.02%
Debt Parameters
Portfolio Yield (%) 3.70%
Avg Maturity (In Months) 0.13
Modified Duration (In Years) 0.00
Growth Fund - Life - II as on March 31, 2022
Fund Objective : To generate long term capital appreciation from a diversified portfolio of equity and equity related securities.
AUM (` in Lakhs)
SFIN Code : ULIF02120/02/08GrwthFndII101 Equity Debt MMI & Others Total
Inception Date : 20 Feb 2008 323,922.04 - 1,578.06 325,500.10
NAV : 31.5812
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Balanced Fund
Period Returns (%) Benchmark Returns (%)#
Inception 9.67% 8.73% Mr Priyank Singhal 12 1 1
10 Years 13.43% 12.80%
7 Years 11.49% 10.87% Asset Category F&U Mandate % of Actual
5 Years 13.19% 13.30% Money Market Insts
0% to 10% 0.27%
4 Years 13.79% 13.98% Public Deposits
3 Years 14.94% 14.49% Govt. Securities
0% 0.00%
2 Years 41.56% 42.99% Corporate Bonds
1 Year 16.12% 19.24% Equity 90% to 100% 99.52%
6 Months -2.06% -0.88% Net Current Assets - 0.21%
1 Month 3.22% 3.99%
# BSE-100
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Mfg of Non-metallic mineral Products 2.60%
Civil Engineering 2.71%
Equity % to Fund
Telecommunications 4.04%
Reliance Industries Limited 9.18%
Mfg of Pharmaceuticals 4.21%
Infosys Limited 8.35%
Mfg of Motor Vehicles 4.30%
ICICI Bank Limited 7.36%
ICICI Prudential Private Banks ETF 4.82% Mfg of Chemical Products 5.56%
HDFC Bank Limited 4.53% Mfg of Coke &Refined Petroleum 10.11%
Axis Bank Limited 3.97% Other Financial Activities 13.54%
Bharti Airtel Ltd 3.79% Computer Programming 14.59%
Tata Consultancy Services Limited 3.08%
Financial Service Activities 22.78%
Larsen & Toubro Limited 2.71%
Others 15.56%
Hindustan Unilever Limited 2.70%
SBI-ETF Nifty Bank 2.34%
Kotak Mahindra MF - Kotak Banking ETF - Dividend Payout Option 2.24%
Dr Reddys Laboratories Limited 2.23% Debt Maturity Profile
100.00% 100.00%
Housing Devt Finance Corpn Limited 2.21%
Bajaj Finance Ltd 2.09%
Nippon India ETF Bank Bees 2.04%
UltraTech Cement Limited 1.97%
ITC Limited 1.93%
90.00%
Mahindra & Mahindra Ltd. 1.90%
HCL Technologies Limited 1.90%
Kotak Mahindra Bank Limited 1.47%
Tata Steel Limited 1.42%
Maruti Suzuki India Ltd 1.40% 80.00%
0 - 1 Yr
Tech Mahindra Limited 1.27%
SBI ETF IT 1.25%
Asian Paints (India) Ltd 1.13%
Crompton Greaves Consumer Electricals Ltd 0.93%
National Thermal Power Corporation Ltd. 0.85%
Bharat Petroleum Corporation Ltd 0.77%
Lupin Limited 0.74%
Ashok Leyland Limited 0.64%
Shree Cement Limited 0.55%
Bajaj Auto Ltd. 0.50%
Others 15.26%
Total 99.52%
AUM (` in Lakhs)
SFIN Code : ULIF01520/02/08LiquidFdII101 Equity Debt MMI & Others Total
Inception Date : 20 Feb 2008 - - 3,642.70 3,642.70
NAV : 24.2437
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Balanced Fund
Period Returns (%) Benchmark Returns (%)# Mr Vineet Choraria 1 29 2
Inception 6.41% 6.97%
10 Years 5.71% 7.03%
7 Years 4.73% 6.24% Asset Category F&U Mandate % of Actual
5 Years 4.04% 5.71% Money Market Insts
100% 100.00%
4 Years 3.87% 5.43% Public Deposits
3 Years 3.40% 4.71% Govt. Securities
0% 0.00%
2 Years 2.57% 3.88% Corporate Bonds
1 Year 2.24% 3.68% Equity 0% 0.00%
6 Months 1.17% 1.88%
1 Month 0.21% 0.34%
# CRISIL Liquid Fund Index
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Deposits, Money Mkt Securities and Net Current Assets. 100.00% Financial Service Activities 1.87%
Debt Parameters
Portfolio Yield (%) 3.92%
Government Securities 92.86%
Avg Maturity (In Months) 6.85
Modified Duration (In Years) 0.57
Others 0.92%
90.00%
80.00%
0 - 1 Yr
Sovereign
AAA
93.72%
Secured Managed Fund - Life - II as on March 31, 2022
Fund Objective : To provide reasonable returns through investments in high credit quality debt instruments while maintaining an optimal level of interest rate risk.
AUM (` in Lakhs)
SFIN Code : ULIF01720/02/08SecureMFII101 Equity Debt MMI & Others Total
Inception Date : 20 Feb 2008 - 13,463.93 2,254.00 15,717.93
NAV : 29.0733
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Balanced Fund
Period Returns (%) Benchmark Returns (%)# Mr Vineet Choraria 1 29 2
Inception 7.82% 7.74%
10 Years 7.90% 8.37%
7 Years 7.05% 7.96% Asset Category F&U Mandate % of Actual
5 Years 6.31% 7.29% Money Market Insts
0% to 25% 12.66%
4 Years 6.75% 7.84% Public Deposits
3 Years 6.77% 8.22% Govt. Securities
75% to 100% 85.66%
2 Years 4.56% 6.07% Corporate Bonds
1 Year 3.47% 4.48% Equity 0% 0.00%
6 Months 0.22% 1.05% Net Current Assets - 1.68%
1 Month 0.24% 0.21%
# CRISIL Composite Bond Fund Index
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Electricity,Gas & AC Supply 0.54%
Debentures / Bonds % to Fund
Mfg of Motor Vehicles 0.60%
Housing Development Finance Corporation Ltd 9.28%
Sundaram Finance Ltd 3.62%
Construction of Buildings 1.95%
LIC Housing Finance Ltd 3.00%
Bajaj Finance Ltd 2.98% Warehousing 2.19%
IDFC First Bank Limited 2.97%
Mahindra and Mahindra Financial Services Ltd 2.96% Financial Service Activities 32.77%
State Bank of India 2.61%
Government Securities 47.62%
Sikka Ports And Terminals 2.19%
Embassy Office Parks REIT 1.95% Others 14.34%
ICICI Bank Ltd 1.64%
Others 4.84%
Sovereign
Grand Total 100.00% 40.94%
AAA
55.59% AA & below
Debt Parameters
Portfolio Yield (%) 6.09%
Avg Maturity (In Months) 58.03
Modified Duration (In Years) 3.72
Stable Managed Fund - Life - II as on March 31, 2022
Fund Objective : To generate optimal returns for investors through short term investments in high credit quality securities so as to keep interest rate risks low and provide safety of capital over the medium term horizon.
AUM (` in Lakhs)
SFIN Code : ULIF01620/02/08StableMFII101 Equity Debt MMI & Others Total
Inception Date : 20 Feb 2008 - 1,258.57 2,882.22 4,140.79
NAV : 25.0512
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Balanced Fund
Period Returns (%) Benchmark Returns (%)# Mr Kailash Lalwani 2 13 25
Inception 6.69% 7.44%
10 Years 6.42% 8.09%
7 Years 5.64% 7.34% Asset Category F&U Mandate % of Actual
5 Years 5.29% 6.79% Money Market Insts
4 Years 5.36% 6.79% Public Deposits
100% 100.00%
3 Years 4.84% 6.34% Govt. Securities
2 Years 3.77% 5.47% Corporate Bonds
1 Year 3.19% 4.49% Equity 0% 0.00%
6 Months 1.27% 2.12%
1 Month 0.27% 0.41%
# CRISIL Low Duration Debt Index
Note: Returns over 1 year have been annualized. The benchmark index of the fund has been changed to CRISIL Low Duration Debt Index w.e.f December 30, 2020. Benchmark returns are computed
basis the revised benchmark index.
Sector Allocation as per NIC 2008
% to Fund
Portfolio
Civil Engineering 1.73%
30.93%
Sovereign
AAA
69.07%
Bond Opportunities Fund as on March 31, 2022
Fund Objective : To provide reasonable returns through investments in high credit quality debt instruments while maintaining an optimal level of interest rate risk.
AUM (` in Lakhs)
SFIN Code : ULIF03004/08/08BondOprtFd101 Equity Debt MMI & Others Total
Inception Date : 04 Aug 2008 - 275.54 53.95 329.49
NAV : 24.5899
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Balanced Fund
Period Returns (%) Benchmark Returns (%)# Mr Vineet Choraria 1 29 2
Inception 6.83% 8.09%
10 Years 6.70% 8.37%
7 Years 6.20% 7.96% Asset Category F&U Mandate % of Actual
5 Years 5.62% 7.29% Money Market Insts 0% to 15% 14.63%
4 Years 6.11% 7.84% Public Deposits 0% to 5% 0.00%
3 Years 6.15% 8.22% Govt. Securities 50% to 60% 58.33%
2 Years 4.14% 6.07% Corporate Bonds 20% to 30% 25.30%
1 Year 3.20% 4.48% Equity 0% 0.00%
6 Months 0.32% 1.05% Net Current Assets - 1.75%
1 Month -0.12% 0.21%
# CRISIL Composite Bond Fund Index
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Mfg of Basic Metals 6.43%
Debentures / Bonds % to Fund
Housing Development Finance Corporation Ltd 6.59%
Tata Steel Ltd 6.43% Financial Service Activities 18.87%
National Bank For Agriculture & Rural Development 6.19%
IDFC First Bank Limited 6.09%
Debt Parameters
Debt Rating Profile
Portfolio Yield (%) 5.96%
7.28%
Avg Maturity (In Months) 63.34
7.69%
Modified Duration (In Years) 3.88
Sovereign
15.28% AAA
AA+
AA & below
69.75%
Large Cap Fund as on March 31, 2022
Fund Objective : To generate long term capital appreciation from a diversified portfolio of pre-dominantly in large cap equity and equity related securities.
AUM (` in Lakhs)
SFIN Code : ULIF03204/08/08Large-CapF101 Equity Debt MMI & Others Total
Inception Date : 04 Aug 2008 1,563.26 - 16.66 1,579.92
NAV : 41.6824
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Balanced Fund
Period Returns (%) Benchmark Returns (%)#
Inception 10.82% 10.63% Mr Priyank Singhal 12 1 1
10 Years 12.23% 12.67%
7 Years 10.27% 10.85% Asset Category F&U Mandate % of Actual
5 Years 12.72% 13.74% Money Market Insts 0% to 5% 1.00%
4 Years 13.97% 14.63% Public Deposits 0% 0.00%
3 Years 15.12% 14.53% Govt. Securities 0% 0.00%
2 Years 40.12% 42.52% Corporate Bonds 0% 0.00%
1 Year 18.71% 18.88% Equity 95% to 100% 98.95%
6 Months -0.95% -0.87% Net Current Assets - 0.06%
1 Month 2.79% 3.99%
# Nifty 50
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Civil Engineering 3.36%
Telecommunications 4.18%
Equity % to Fund
Electricity,Gas & AC Supply 4.86%
Reliance Industries Limited 9.68%
Mfg of Basic Metals 5.38%
Bajaj Finance Ltd 7.30%
Mfg of Motor Vehicles 6.01%
ICICI Bank Limited 6.54%
HDFC Bank Limited 6.26% Mfg of Pharmaceuticals 7.42%
Infosys Limited 6.06% Mfg of Coke &Refined Petroleum 10.53%
Hindustan Unilever Limited 5.71% Mfg of Chemical Products 12.58%
Asian Paints (India) Ltd 5.03% Computer Programming 13.39%
Bharti Airtel Ltd 4.03%
Financial Service Activities 21.82%
Larsen & Toubro Limited 3.36%
Others 10.46%
Tata Steel Limited 3.24%
ITC Limited 2.99%
Tata Consultancy Services Limited 2.24%
Lupin Limited 2.18% Debt Maturity Profile
100.00% 100.00%
Cipla Limited 2.16%
Maruti Suzuki India Ltd 2.06%
HCL Technologies Limited 1.98%
Hindalco Industries Limited 1.97%
National Thermal Power Corporation Ltd. 1.88%
90.00%
Mahindra & Mahindra Ltd. 1.76%
Kotak Mahindra Bank Limited 1.73%
Wipro Limited 1.64%
Dr Reddys Laboratories Limited 1.62%
Tata Motors Limited 1.54% 80.00%
0 - 1 Yr
Titan Company Limited 1.50%
Gas Authority of India Limited 1.50%
Power Grid Corporation of India Ltd 1.48%
Sun Pharmaceuticals Industries Limited 1.47%
Tech Mahindra Limited 1.47%
Nestle India Limited 1.11%
UltraTech Cement Limited 1.03%
Pidilite Industries Limited 0.95%
Dabur India Limited 0.89%
Shree Cement Limited 0.87%
Bharat Petroleum Corporation Ltd 0.85%
Eicher Motors Limited 0.82%
Britannia Industries Ltd 0.79%
Hero Motocorp Limited 0.65%
Others 0.60%
Total 98.95%
Total 71.74%
Total 3.40%
Total 23.61%
Debt Parameters
Portfolio Yield (%) 5.60%
Avg Maturity (In Months) 39.18
Modified Duration (In Years) 2.70
Mid Cap Fund as on March 31, 2022
Fund Objective : To generate long term capital appreciation from a diversified portfolio of pre-dominantly in mid cap equity and equity related securities.
AUM (` in Lakhs)
SFIN Code : ULIF03104/08/08Mid-capFnd101 Equity Debt MMI & Others Total
Inception Date : 04 Aug 2008 532.05 - 16.93 548.99
NAV : 67.8208
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Balanced Fund
Period Returns (%) Benchmark Returns (%)#
Inception 14.83% 11.07% Mr Priyank Singhal 12 1 1
10 Years 13.94% 14.28%
7 Years 11.79% 12.47% Asset Category F&U Mandate % of Actual
5 Years 10.18% 11.33% Money Market Insts 0% to 5% 2.88%
4 Years 10.00% 10.86% Public Deposits 0% 0.00%
3 Years 13.60% 15.91% Govt. Securities 0% 0.00%
2 Years 45.87% 51.02% Corporate Bonds 0% 0.00%
1 Year 29.08% 19.46% Equity 95% to 100% 96.92%
6 Months -0.65% -4.53% Net Current Assets - 0.20%
1 Month 2.02% 3.22%
# BSE Mid Cap Index
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Mfg of Beverages 3.93%
Equity % to Fund Mfg of Other Transport Equip. 3.96%
Bajaj Holdings & Investment Limited 8.01% Warehousing 5.15%
Tata Power Co. Ltd 7.88% Mfg of Fabricated Metal Products 5.35%
Crompton Greaves Consumer Electricals Ltd 6.93% Information service activities 5.57%
Alkem Laboratories Ltd 6.54%
Electricity,Gas & AC Supply 7.88%
Info Edge (India) Limited 5.57%
Mfg of Wearing Apparel 10.70%
Aditya Birla Fashion & Retail Limited 5.50%
Mfg of Electrical Equipment 12.00%
Glaxo Smithkline Pharma Limited 5.49%
Mfg of Pharmaceuticals 12.03%
Page Industries Ltd 5.19%
Financial Service Activities 14.73%
Container Corporation of India Ltd 5.15%
Others 18.70%
Mahindra & Mahindra Finacial Services Limited 5.07%
ABB India Ltd 5.07%
TVS Motors Co Ltd. 3.96%
United Breweries Limited 3.93% Debt Maturity Profile
100.00% 100.00%
The Ramco Cements Ltd 3.28%
Gillette India Ltd 2.92%
Apollo Hospitals Enterprise Limited 2.84%
P I Industries Limited 2.47%
Bharat Forge Ltd 2.44%
90.00%
The Indian Hotels Company Ltd 2.29%
Endurance Technologies Ltd 2.11%
LIC Housing Finance Limited 1.65%
P & G Hygiene & Health Care Ltd 1.34%
Cummins India Ltd. 1.18% 80.00%
0 - 1 Yr
Others 0.12%
Total 96.92%
AUM (` in Lakhs)
SFIN Code : ULIF02904/08/08MoneyPlusF101 Equity Debt MMI & Others Total
Inception Date : 04 Aug 2008 - 346.91 26.37 373.28
NAV : 20.848
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Balanced Fund
Period Returns (%) Benchmark Returns (%)# Mr Vineet Choraria 1 29 2
Inception 5.52% 6.94%
10 Years 5.24% 7.03%
7 Years 4.77% 6.24% Asset Category F&U Mandate % of Actual
5 Years 4.22% 5.71% Money Market Insts 0% to 30% 5.42%
4 Years 4.26% 5.43% Public Deposits 0% to 20% 0.00%
3 Years 3.84% 4.71% Govt. Securities 40% to 100% 92.94%
2 Years 2.69% 3.88% Corporate Bonds 0% to 10% 0.00%
1 Year 2.19% 3.68% Equity 0% 0.00%
6 Months 0.83% 1.88% Net Current Assets - 1.64%
1 Month 0.17% 0.34%
# CRISIL Liquid Fund Index
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Total 92.94%
Debt Parameters
Portfolio Yield (%) 4.99%
Avg Maturity (In Months) 14.95
Modified Duration (In Years) 1.15
Debt Maturity Profile
100.00% 94.49%
90.00%
80.00%
70.00%
60.00%
50.00%
40.00%
30.00%
20.00%
10.00% 5.51%
0.00%
0 - 1 Yr 1 - 3 Yrs
Sovereign
100.00%
Balanced Managed Fund - Pension - II as on March 31, 2022
Fund Objective : To generate long term capital appreciation along with current income from a combined portfolio of equity and debt market instruments. The equity exposure will be between 30%-60%.
AUM (` in Lakhs)
SFIN Code : ULIF02608/10/08BalncdMFII101 Equity Debt MMI & Others Total
Inception Date : 08 Oct 2008 7,305.43 6,745.44 1,629.53 15,680.40
NAV : 44.1331
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Balanced Fund
Period Returns (%) Benchmark Returns (%)# Mr Kailash Lalwani 2 13 25
Inception 11.98% 10.33% Mr Nishit Dholakia 3 - 16
10 Years 11.11% 10.36%
7 Years 9.65% 9.27% Asset Category F&U Mandate % of Actual
5 Years 9.89% 9.99% Money Market Insts
0% to 20% 9.35%
4 Years 10.29% 10.60% Public Deposits
3 Years 10.76% 11.04% Govt. Securities
20% to 70% 43.02%
2 Years 21.83% 22.68% Corporate Bonds
1 Year 10.76% 11.12% Equity 30% to 60% 46.59%
6 Months -0.37% 0.18% Net Current Assets - 1.05%
1 Month 1.64% 1.91%
# 45% BSE -100 55% CRISIL Composite Bond Fund Index
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Mfg of Motor Vehicles 1.67%
Other Financial Activities 1.82%
Equity % to Fund
Mfg of Pharmaceuticals 2.09%
Reliance Industries Limited 5.11%
Civil Engineering 2.45%
Infosys Limited 5.03%
Electricity,Gas & AC Supply 2.63%
ICICI Bank Limited 3.69%
HDFC Bank Limited 3.56% Mfg of Chemical Products 2.90%
Tata Consultancy Services Limited 2.36% Computer Programming 7.74%
Bajaj Finance Ltd 1.89% Mfg of Coke &Refined Petroleum 7.94%
SBI-ETF Nifty Bank 1.82% Government Securities 20.57%
Larsen & Toubro Limited 1.59%
Financial Service Activities 30.06%
Bharti Airtel Ltd 1.46%
Others 20.12%
Kotak Mahindra Bank Limited 1.40%
Axis Bank Limited 1.31%
ITC Limited 1.28%
Hindustan Unilever Limited 1.06% Debt Maturity Profile
Housing Devt Finance Corpn Limited 1.03% 100.00%
Tata Steel Limited 1.03% 90.00%
Asian Paints (India) Ltd 0.95% 80.00%
70.00% 66.23%
Maruti Suzuki India Ltd 0.84%
60.00%
Mahindra & Mahindra Ltd. 0.83%
50.00%
UltraTech Cement Limited 0.82% 40.00%
Titan Company Limited 0.81% 30.00%
State Bank of India 0.73% 20.00% 19.91%
13.85%
Cipla Limited 0.65% 10.00%
Dr Reddys Laboratories Limited 0.62% 0.00%
0 - 1 Yr 1 - 3 Yrs 3 - 10 Yrs
Others 6.71%
Total 46.59%
Debt Rating Profile
Debentures / Bonds % to Fund 4.69%
Total 22.45%
Total 20.57%
Debt Parameters
Portfolio Yield (%) 5.84%
Avg Maturity (In Months) 49.78
Modified Duration (In Years) 3.22
Defensive Managed Fund - Pension - II as on March 31, 2022
Fund Objective : To enhance long term returns for a portfolio predominantly invested in fixed income securities by taking a moderate to medium exposure to equity and equity related securities. The equity exposure will be between 15%-30%.
AUM (` in Lakhs)
SFIN Code : ULIF02508/10/08DefnsvFdII101 Equity Debt MMI & Others Total
Inception Date : 08 Oct 2008 808.18 2,004.85 548.76 3,361.79
NAV : 35.4655
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Balanced Fund
Period Returns (%) Benchmark Returns (%)# Mr Kailash Lalwani 2 13 25
Inception 9.94% 9.22% Mr Nishit Dholakia 3 - 16
10 Years 9.56% 9.36%
7 Years 8.60% 8.62% Asset Category F&U Mandate % of Actual
5 Years 8.41% 8.64% Money Market Insts
0% to 20% 14.88%
4 Years 8.81% 9.22% Public Deposits
3 Years 9.30% 9.63% Govt. Securities
50% to 85% 59.64%
2 Years 13.09% 14.38% Corporate Bonds
1 Year 7.45% 7.80% Equity 15% to 30% 24.04%
6 Months -0.19% 0.62% Net Current Assets - 1.44%
1 Month 0.84% 1.06%
# 22.5% BSE -100 77.5% CRISIL Composite Bond Fund Index
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Mfg of Non-metallic mineral Products 0.89%
Mfg of Pharmaceuticals 1.09%
Equity % to Fund
Warehousing 1.55%
Reliance Industries Limited 2.65%
Mfg of Chemical Products 1.59%
Infosys Limited 2.55%
Civil Engineering 2.38%
HDFC Bank Limited 2.32%
ICICI Bank Limited 2.25% Computer Programming 3.93%
Tata Consultancy Services Limited 1.19% Mfg of Coke &Refined Petroleum 6.57%
Bajaj Finance Ltd 1.16% Electricity,Gas & AC Supply 6.62%
Larsen & Toubro Limited 0.84% Financial Service Activities 25.21%
Bharti Airtel Ltd 0.75%
Government Securities 29.12%
Kotak Mahindra Bank Limited 0.74%
Others 21.05%
Axis Bank Limited 0.68%
ITC Limited 0.66%
Hindustan Unilever Limited 0.56%
Tata Steel Limited 0.52% Debt Maturity Profile
Others 7.16% 100.00%
90.00%
Total 24.04% 80.00%
70.00% 65.45%
60.00%
Debentures / Bonds % to Fund
50.00%
Power Grid Corporation of India Ltd 4.31% 40.00%
Housing Development Finance Corporation Ltd 4.10% 30.00% 24.84%
LIC Housing Finance Ltd 3.74% 20.00%
IOT Utkal Energy Services Limited 3.48% 10.00% 7.86%
1.85%
State Bank of India 2.72% 0.00%
0 - 1 Yr 1 - 3 Yrs 3 - 10 Yrs Above 10 Yrs
National Thermal Power Corporation Ltd 1.74%
Bajaj Finance Ltd 1.63%
Mahindra and Mahindra Financial Services Ltd 1.59%
Debt Rating Profile
Sikka Ports And Terminals 1.55%
2.58%
Shriram City Union Finance Ltd 1.54%
Others 4.12%
Total 30.52%
Sovereign
Government Securities % to Fund 48.83% AAA
48.59%
7.17% GOI Mat 08-Jan-2028 6.75% AA & below
Total 29.12%
Debt Parameters
Portfolio Yield (%) 5.80%
Avg Maturity (In Months) 51.09
Modified Duration (In Years) 3.27
Equity Managed Fund - Pension - II as on March 31, 2022
Fund Objective : To achieve long term capital appreciation by investing pre-dominantly in equity and equity related securities and balancing it by shifting assets to the fixed income securities depending on the fund manager's views. The minimum allocation to equity
will be 60%.
AUM (` in Lakhs)
SFIN Code : ULIF02708/10/08EquityMFII101 Equity Debt MMI & Others Total
Inception Date : 08 Oct 2008 24,625.28 - 620.64 25,245.92
NAV : 53.0772
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Balanced Fund
Period Returns (%) Benchmark Returns (%)# Mr Kailash Lalwani 2 13 25
Inception 13.81% 13.05% Mr Nishit Dholakia 3 - 16
10 Years 13.00% 12.80%
7 Years 11.06% 10.87% Asset Category F&U Mandate % of Actual
5 Years 12.82% 13.30% Money Market Insts
0% to 15% 2.45%
4 Years 13.54% 13.98% Public Deposits
3 Years 14.36% 14.49% Govt. Securities
0% to 40% 0.00%
2 Years 41.55% 42.99% Corporate Bonds
1 Year 17.98% 19.24% Equity 60% to 100% 97.54%
6 Months -1.56% -0.88% Net Current Assets - 0.01%
1 Month 3.23% 3.99%
# BSE-100
Note: Returns over 1 year have been annualized. The benchmark index of the fund has been changed to BSE100 w.e.f June 14, 2018. Benchmark returns are computed basis the revised benchmark
index.
Sector Allocation as per NIC 2008
% to Fund
Portfolio Civil Engineering 2.89%
Mfg of Basic Metals 3.36%
Equity % to Fund Telecommunications 3.61%
Reliance Industries Limited 8.76% Mfg of Motor Vehicles 3.78%
Infosys Limited 8.61%
Mfg of Pharmaceuticals 4.25%
HDFC Bank Limited 6.30%
Mfg of Chemical Products 5.45%
ICICI Bank Limited 6.24%
Kotak Mahindra MF - Kotak Banking ETF - Dividend Payout Option 5.14% Mfg of Coke &Refined Petroleum 9.98%
Total 97.54%
Debt Parameters
Portfolio Yield (%) 3.70%
Avg Maturity (In Months) 0.13
Modified Duration (In Years) 0.00
Growth Fund - Pension - II as on March 31, 2022
Fund Objective : To generate long term capital appreciation from a diversified portfolio of equity and equity related securities.
AUM (` in Lakhs)
SFIN Code : ULIF02808/10/08GrwthFndII101 Equity Debt MMI & Others Total
Inception Date : 08 Oct 2008 118,419.78 - 437.82 118,857.60
NAV : 59.6013
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Balanced Fund
Period Returns (%) Benchmark Returns (%)# -
Inception 14.76% 13.05% Mr Priyank Singhal 12 1 1
10 Years 13.31% 12.80%
7 Years 11.35% 10.87% Asset Category F&U Mandate % of Actual
5 Years 13.04% 13.30% Money Market Insts
0% to 10% 0.09%
4 Years 13.60% 13.98% Public Deposits
3 Years 14.70% 14.49% Govt. Securities
0% 0.00%
2 Years 41.60% 42.99% Corporate Bonds
1 Year 16.02% 19.24% Equity 90% to 100% 99.63%
6 Months -2.17% -0.88% Net Current Assets - 0.28%
1 Month 3.22% 3.99%
# BSE-100
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Mfg of Non-metallic mineral Products 2.61%
Total 99.63%
AUM (` in Lakhs)
SFIN Code : ULIF02208/10/08LiquidFdII101 Equity Debt MMI & Others Total
Inception Date : 08 Oct 2008 - - 1,923.83 1,923.83
NAV : 22.9603
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Balanced Fund
Period Returns (%) Benchmark Returns (%)# Mr Vineet Choraria 1 29 2
Inception 6.34% 6.91%
10 Years 5.71% 7.03%
7 Years 4.74% 6.24% Asset Category F&U Mandate % of Actual
5 Years 4.04% 5.71% Money Market Insts
100% 100.00%
4 Years 3.87% 5.43% Public Deposits
3 Years 3.39% 4.71% Govt. Securities
0% 0.00%
2 Years 2.56% 3.88% Corporate Bonds
1 Year 2.20% 3.68% Equity 0% 0.00%
6 Months 1.13% 1.88%
1 Month 0.20% 0.34%
# CRISIL Liquid Fund Index
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Deposits, Money Mkt Securities and Net Current Assets. 100.00% Mfg of Coke &Refined Petroleum 2.83%
90.00%
80.00%
0 - 1 Yr
Sovereign
AAA
97.11%
Secured Managed Fund - Pension - II as on March 31, 2022
Fund Objective : To provide reasonable returns through investments in high credit quality debt instruments while maintaining an optimal level of interest rate risk.
AUM (` in Lakhs)
SFIN Code : ULIF02408/10/08SecureMFII101 Equity Debt MMI & Others Total
Inception Date : 08 Oct 2008 - 4,500.76 1,071.61 5,572.36
NAV : 28.7744
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Balanced Fund
Period Returns (%) Benchmark Returns (%)# Mr Vineet Choraria 1 29 2
Inception 8.08% 8.11%
10 Years 7.92% 8.37%
7 Years 7.08% 7.96% Asset Category F&U Mandate % of Actual
5 Years 6.32% 7.29% Money Market Insts
0% to 25% 17.19%
4 Years 6.77% 7.84% Public Deposits
3 Years 6.79% 8.22% Govt. Securities
75% to 100% 80.77%
2 Years 4.51% 6.07% Corporate Bonds
1 Year 3.40% 4.48% Equity 0% 0.00%
6 Months 0.11% 1.05% Net Current Assets - 2.04%
1 Month 0.10% 0.21%
# CRISIL Composite Bond Fund Index
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Mfg of Motor Vehicles 0.19%
Debentures / Bonds % to Fund
Housing Development Finance Corporation Ltd 9.15%
Warehousing 2.05%
IDFC First Bank Limited 4.37%
Sundaram Finance Ltd 3.21%
State Bank of India 3.11% Financial Service Activities 30.35%
Sikka Ports And Terminals 2.05%
Bajaj Finance Ltd 1.96% Government Securities 48.17%
ICICI Bank Ltd 1.67%
HDB Financial Services Ltd 1.39%
LIC Housing Finance Ltd 1.37% Others 19.23%
Mahindra and Mahindra Financial Services Ltd 1.34%
Others 2.97%
Sovereign
Grand Total 100.00% 34.94%
AAA
AA & below
Debt Parameters 59.64%
Portfolio Yield (%) 6.00%
Avg Maturity (In Months) 56.64
Modified Duration (In Years) 3.63
Stable Managed Fund -Pension - II as on March 31, 2022
Fund Objective : To generate optimal returns for investors through short term investments in high credit quality securities so as to keep interest rate risks low and provide safety of capital over the medium term horizon.
AUM (` in Lakhs)
SFIN Code : ULIF02308/10/08StableMFII101 Equity Debt MMI & Others Total
Inception Date : 08 Oct 2008 - 458.58 1,098.07 1,556.66
NAV : 23.9933
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Balanced Fund
Period Returns (%) Benchmark Returns (%)# Mr Kailash Lalwani 2 13 25
Inception 6.69% 7.45%
10 Years 6.44% 8.09%
7 Years 5.65% 7.34% Asset Category F&U Mandate % of Actual
5 Years 5.31% 6.79% Money Market Insts
4 Years 5.37% 6.79% Public Deposits
100% 100.00%
3 Years 4.87% 6.34% Govt. Securities
2 Years 3.79% 5.47% Corporate Bonds
1 Year 3.19% 4.49% Equity 0% 0.00%
6 Months 1.28% 2.12%
1 Month 0.26% 0.41%
# CRISIL Low Duration Debt Index
Note: Returns over 1 year have been annualized. The benchmark index of the fund has been changed to CRISIL Low Duration Debt Index w.e.f December 30, 2020. Benchmark returns are computed
basis the revised benchmark index.
Sector Allocation as per NIC 2008
% to Fund
Portfolio
Electricity,Gas & AC Supply 5.70%
Debentures / Bonds % to Fund
HDB Financial Services Ltd 7.90%
Power Grid Corporation of India Ltd 5.70% Financial Service Activities 20.66%
Housing Development Finance Corporation Ltd 3.83%
Total 12.04%
Deposits, Money Mkt Securities and Net Current Assets. 70.54% Debt Maturity Profile
100.00%
90.00%
Grand Total 100.00% 80.00%
70.00% 70.19%
Debt Parameters 60.00%
Portfolio Yield (%) 4.69% 50.00%
Avg Maturity (In Months) 11.35 40.00%
29.81%
30.00%
Modified Duration (In Years) 0.91
20.00%
10.00%
0.00%
0 - 1 Yr 1 - 3 Yrs
27.22%
Sovereign
AAA
72.78%
BlueChip Fund as on March 31, 2022
Fund Objective : The fund aims to provide medium to long term capital appreciation by investing in a portfolio of pre-dominantly large cap companies which can perform through economic and market cycles. The fund will invest at least 80% of the AUM in
companies which have a market capitalization greater than the company with the least weight in BSE100 index. The fund may also invest upto 20% in money market instruments/cash.
AUM (` in Lakhs)
SFIN Code : ULIF03501/01/10BlueChipFd101 Equity Debt MMI & Others Total
Inception Date : 05 Jan 2010 752,872.47 - 21,128.84 774,001.31
NAV : 34.8371
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Balanced Fund
Period Returns (%) Benchmark Returns (%)#
Inception 10.73% 10.12% Mr Nishit Dholakia 3 - 16
10 Years 13.42% 12.80%
7 Years 11.65% 10.87% Asset Category F&U Mandate % of Actual
5 Years 13.38% 13.30% Money Market Insts
0% to 20% 2.73%
4 Years 13.87% 13.98% Public Deposits
3 Years 14.61% 14.49% Govt. Securities
0% 0.00%
2 Years 39.63% 42.99% Corporate Bonds
1 Year 16.70% 19.24% Equity 80% to 100% 97.27%
6 Months -1.70% -0.88% Net Current Assets - 0.00%
1 Month 3.25% 3.99%
# BSE-100
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Mfg of Non-metallic mineral Products 2.33%
Equity % to Fund Civil Engineering 3.31%
Infosys Limited 9.24% Telecommunications 3.64%
Reliance Industries Limited 8.73% Mfg of Motor Vehicles 3.73%
ICICI Bank Limited 6.60% Mfg of Pharmaceuticals 4.31%
HDFC Bank Limited 5.74% Mfg of Chemical Products 5.18%
Bharti Airtel Ltd 3.51% Mfg of Coke &Refined Petroleum 9.69%
Larsen & Toubro Limited 3.31% Other Financial Activities 12.84%
Kotak Mahindra MF - Kotak Banking ETF - Dividend Payout Option 3.19%
Computer Programming 13.98%
Nippon India ETF Bank Bees 3.19%
Financial Service Activities 22.47%
Tata Consultancy Services Limited 3.18%
Others 18.51%
SBI-ETF Nifty Bank 3.18%
Axis Bank Limited 2.80%
Bajaj Finance Ltd 2.65%
ICICI Prudential IT ETF 2.40% Debt Maturity Profile
100.00% 100.00%
Housing Devt Finance Corpn Limited 1.99%
Hindustan Unilever Limited 1.99%
ITC Limited 1.94%
Kotak Mahindra Bank Limited 1.87%
Mahindra & Mahindra Ltd. 1.82%
90.00%
Tata Steel Limited 1.69%
UltraTech Cement Limited 1.65%
Maruti Suzuki India Ltd 1.56%
Asian Paints (India) Ltd 1.49%
Dr Reddys Laboratories Limited 1.29% 80.00%
0 - 1 Yr
HCL Technologies Limited 1.05%
Cipla Limited 1.05%
Titan Company Limited 0.90%
HDFC Banking ETF 0.85%
National Thermal Power Corporation Ltd. 0.78%
SBI Life Insurance Company Limited 0.72%
Bharat Petroleum Corporation Ltd 0.70%
Shree Cement Limited 0.68%
Nestle India Limited 0.67%
Crompton Greaves Consumer Electricals Ltd 0.65%
Avenue Supermarts Ltd 0.65%
Divis Laboratories Ltd. 0.57%
Sun Pharmaceuticals Industries Limited 0.53%
Vedanta Ltd 0.52%
Apollo Hospitals Enterprise Limited 0.50%
Others 11.42%
Total 97.27%
AUM (` in Lakhs)
SFIN Code : ULIF03401/01/10IncomeFund101 Equity Debt MMI & Others Total
Inception Date : 05 Jan 2010 - 220,293.39 35,647.30 255,940.69
NAV : 24.2944
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Balanced Fund
Period Returns (%) Benchmark Returns (%)# Mr Vineet Choraria 1 29 2
Inception 7.52% 7.97%
10 Years 7.51% 8.37%
7 Years 6.54% 7.96% Asset Category F&U Mandate % of Actual
5 Years 5.88% 7.29% Money Market Insts
0% to 20% 11.56%
4 Years 6.29% 7.84% Public Deposits
3 Years 6.58% 8.22% Govt. Securities
80% to 100% 86.07%
2 Years 4.39% 6.07% Corporate Bonds
1 Year 3.28% 4.48% Equity 0% 0.00%
6 Months 0.08% 1.05% Net Current Assets - 2.36%
1 Month 0.10% 0.21%
# CRISIL Composite Bond Fund Index
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Mfg of Coke &Refined Petroleum 0.39%
38.46% Sovereign
Grand Total 100.00%
AAA
AA & below
Debt Parameters 59.02%
Portfolio Yield (%) 6.05%
Avg Maturity (In Months) 56.97
Modified Duration (In Years) 3.67
Opportunities Fund as on March 31, 2022
Fund Objective : The fund aims to generate long term capital appreciation by investing pre-dominantly in mid cap stocks which are likely to be the blue chips of tomorrow. The fund will invest in stocks which have a market capitalization equal to or lower than the market
capitalization of the highest weighted stock in the NSE CNX Midcap Index. The fund may also invest upto 20% in money market instruments/cash.
AUM (` in Lakhs)
SFIN Code : ULIF03601/01/10OpprtntyFd101 Equity Debt MMI & Others Total
Inception Date : 05 Jan 2010 2,745,400.13 - 136,758.92 2,882,159.04
NAV : 45.5373
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Balanced Fund
Period Returns (%) Benchmark Returns (%)#
Inception 13.18% 11.73% Mr Nishit Dholakia 3 - 16
10 Years 14.76% 14.43%
7 Years 13.15% 12.52% Asset Category F&U Mandate % of Actual
5 Years 12.14% 11.54% Money Market Insts
0% to 20% 4.16%
4 Years 12.19% 12.17% Public Deposits
3 Years 16.41% 17.60% Govt. Securities
0% 0.00%
2 Years 47.83% 59.28% Corporate Bonds
1 Year 18.32% 25.32% Equity 80% to 100% 95.25%
6 Months -3.66% -2.28% Net Current Assets - 0.58%
1 Month 3.84% 5.20%
# Nifty MidCap 100
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio Mfg of Non-metallic mineral Products 3.23%
Retail Trade 4.13%
Equity % to Fund
Mfg of Electrical Equipment 4.38%
Mphasis Limited 2.93%
Mfg of Rubber & Plastics Products 4.67%
Tata Power Co. Ltd 2.74%
Mfg of Machinery & Equipment 5.84%
AU Small Finance Bank Limited 2.59%
Voltas Ltd 2.52% Electricity,Gas & AC Supply 6.04%
Page Industries Ltd 2.43% Mfg of Pharmaceuticals 7.09%
MindTree Limited. 2.29% Computer Programming 7.75%
Trent Ltd. 2.21% Mfg of Chemical Products 8.44%
Balkrishna Industries Ltd. 2.08%
Financial Service Activities 16.95%
Crompton Greaves Consumer Electricals Ltd 2.08%
Others 31.47%
SRF Limited 2.05%
Federal Bank Limited 1.94%
IPCA Laboratories Ltd 1.89%
Cholamandalam Investment & Finance Company Ltd 1.72% Debt Maturity Profile
100.00% 100.00%
The Indian Hotels Company Ltd 1.67%
Bharat Electronics Ltd 1.65%
Zee Entertainment Enterprises Limited 1.50%
Sundaram Finance Limited 1.48%
Bharat Forge Ltd 1.46%
90.00%
Aarti Industries Limited 1.43%
P I Industries Limited 1.42%
L&T Technology Services Ltd 1.37%
Bata India Ltd 1.36%
Godrej Properties Limited 1.33% 80.00%
0 - 1 Yr
Max Financial Services Limited 1.31%
Emami Ltd 1.29%
The Ramco Cements Ltd 1.28%
Mahindra & Mahindra Finacial Services Limited 1.27%
Indraprastha Gas Ltd. 1.17%
LIC Housing Finance Limited 1.11%
Indian Railway Catering and Tourism Corporation Limited 1.09%
Alkem Laboratories Ltd 1.04%
Ashok Leyland Limited 0.98%
Bajaj Holdings & Investment Limited 0.96%
Coforge Limited 0.93%
City Union Bank Ltd 0.89%
Shriram Transport Finance Company Ltd 0.89%
Escorts Limited 0.88%
Gujarat Gas Limited 0.87%
Torrent Power Ltd. 0.84%
Container Corporation of India Ltd 0.84%
Apollo Hospitals Enterprise Limited 0.82%
Jindal Steel & Power Limited 0.81%
Atul Ltd 0.80%
Cummins India Ltd. 0.78%
TVS Motors Co Ltd. 0.74%
Astral Limited 0.74%
Whirlpool of India Limited 0.74%
Kansai Nerolac Paints Ltd 0.73%
Canara Bank 0.67%
IDFC Limited 0.64%
Supreme Industries Ltd 0.64%
Dr. Lal Path Labs Ltd. 0.63%
ICICI Securities Limited 0.63%
3M India Ltd 0.62%
MRF Ltd. 0.61%
Alembic Pharmaceuticals Limited 0.58%
Sundram Fasteners Limited 0.55%
REC Limited 0.53%
Aditya Birla Fashion & Retail Limited 0.52%
Dalmia Bharat Limited 0.52%
Bayer CropScience Ltd. 0.52%
Laurus Labs Limited 0.51%
GLAND PHARMA LIMITED 0.51%
Schaeffler India Limited 0.51%
Others 18.16%
Total 95.25%
Total 50.99%
Total 22.97%
Total 24.47%
Debt Parameters
Portfolio Yield (%) 5.98%
Avg Maturity (In Months) 48.34
Modified Duration (In Years) 3.23
Balanced Fund as on March 31, 2022
Fund Objective : To invest in Debt and Equity securities so as to combine the stability of Debt instruments with the long term capital appreciation potential of Equities.
AUM (` in Lakhs)
SFIN Code : ULIF03901/09/10BalancedFd101 Equity Debt MMI & Others Total
Inception Date : 08 Sep 2010 493,478.56 253,500.70 66,247.22 813,226.49
NAV : 29.1919
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Balanced Fund
Period Returns (%) Benchmark Returns (%)# Mr Kailash Lalwani 2 13 25
Inception 9.70% 9.34% Mr Abhishek Agarwal - - 13
10 Years 11.21% 11.03%
7 Years 9.33% 9.71% Asset Category F&U Mandate % of Actual
5 Years 10.27% 10.89% Money Market Insts
0% to 20% 7.41%
4 Years 10.82% 11.52% Public Deposits
3 Years 11.26% 11.98% Govt. Securities
0% to 60% 31.17%
2 Years 27.25% 28.22% Corporate Bonds
1 Year 12.26% 13.34% Equity 40% to 80% 60.68%
6 Months -0.92% -0.11% Net Current Assets - 0.74%
1 Month 2.16% 2.48%
# 60% BSE-100 40% CRISIL Composite Bond Fund Index
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Mfg of Motor Vehicles 2.03%
Total 14.69%
Total 16.48%
Debt Parameters
Portfolio Yield (%) 5.84%
Avg Maturity (In Months) 52.18
Modified Duration (In Years) 3.35
Highest NAV Guarantee Fund as on March 31, 2022
Fund Objective : To Generate Returns from Hybrid asset Allocation Portfolio over 10 year Term of Fund
AUM (` in Lakhs)
SFIN Code : ULIF04001/09/10HighestNAV101 Equity Debt MMI & Others Total
Inception Date : 08 Sep 2010 24,081.17 155,508.91 5,031.62 184,621.70
NAV : 18.5399
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Balanced Fund
Period Returns (%) Benchmark Returns (%)# Mr Badrish Kulhalli - - 3
Inception 5.48% N/A Mr Nishit Dholakia 3 - 16
10 Years 6.76% N/A
7 Years 5.11% N/A Asset Category F&U Mandate % of Actual
5 Years 5.51% N/A Money Market Insts
4 Years 5.45% N/A Public Deposits
0% to 100% 85.53%
3 Years 4.37% N/A Govt. Securities
2 Years 8.46% N/A Corporate Bonds
1 Year 4.89% N/A Equity 0% to 100% 13.04%
6 Months 0.63% N/A Net Current Assets - 1.43%
1 Month 0.54% N/A
# NA
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Mfg of Pharmaceuticals 0.51%
Total 55.97%
Debt Parameters
Portfolio Yield (%) 4.62%
Avg Maturity (In Months) 11.22
Modified Duration (In Years) 0.88
Short Term Fund as on March 31, 2022
Fund Objective : To invest in Government securities, high grade corporate bonds and money market instruments with a maximum outstanding maturity limit of 3 years
AUM (` in Lakhs)
SFIN Code : ULIF03801/09/10ShortTrmFd101 Equity Debt MMI & Others Total
Inception Date : 14 Sep 2010 - 6,793.46 2,408.25 9,201.70
NAV : 20.3506
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Balanced Fund
Period Returns (%) Benchmark Returns (%)# Mr Kailash Lalwani 2 13 25
Inception 6.34% 8.10%
10 Years 6.13% 8.22%
7 Years 5.19% 7.72% Asset Category F&U Mandate % of Actual
5 Years 4.53% 7.30% Money Market Insts
4 Years 4.48% 7.58% Public Deposits
100% 100.00%
3 Years 4.58% 7.59% Govt. Securities
2 Years 4.35% 6.49% Corporate Bonds
1 Year 3.17% 5.19% Equity 0% 0.00%
6 Months 1.38% 1.97%
1 Month 0.28% 0.37%
# CRISIL Short Term Bond Fund Index
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Mfg of Coke &Refined Petroleum 1.65%
Debentures / Bonds % to Fund
Ultratech Cement Ltd 9.34% Electricity,Gas & AC Supply 7.86%
Total 44.47%
Deposits, Money Mkt Securities and Net Current Assets. 26.17% Debt Rating Profile
Grand Total 100.00%
Debt Parameters
Portfolio Yield (%) 4.97% 41.87%
Sovereign
Avg Maturity (In Months) 15.42
AAA
Modified Duration (In Years) 1.18 58.13%
Capital Guarantee Fund as on March 31, 2022
Fund Objective : To Generate Returns from Hybrid asset Allocation Portfolio with a guarantee that the corpus at the end of the investment horizon is at least equal to initial Capital.
AUM (` in Lakhs)
SFIN Code : ULIF04126/10/10CaptlGuaFd101 Equity Debt MMI & Others Total
Inception Date : 02 Nov 2010 62.40 - 7.76 70.16
NAV : 28.6669
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Balanced Fund
Period Returns (%) Benchmark Returns (%)# Mr Badrish Kulhalli - - 3
Inception 9.66% N/A Mr Nishit Dholakia 3 - 16
10 Years 11.49% N/A
7 Years 9.36% N/A Asset Category F&U Mandate % of Actual
5 Years 12.53% N/A Money Market Insts
4 Years 13.21% N/A Public Deposits
0% to 100% 9.64%
3 Years 13.27% N/A Govt. Securities
2 Years 38.28% N/A Corporate Bonds
1 Year 32.98% N/A Equity 0% to 100% 88.94%
6 Months 4.68% N/A Net Current Assets - 1.42%
1 Month 3.49% N/A
# NA
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Mfg of Other Transport Equip. 4.38%
Crude Petroleum & Natural Gas 4.95%
Equity % to Fund
Mfg of Basic Metals 5.48%
ICICI Bank Limited 9.37%
Civil Engineering 7.56%
Sun Pharmaceuticals Industries Limited 8.87%
Telecommunications 8.08%
Wipro Limited 8.50%
Gas Authority of India Limited 8.49% Electricity,Gas & AC Supply 8.50%
Bharat Petroleum Corporation Ltd 7.87% Mfg of Pharmaceuticals 8.88%
Larsen & Toubro Limited 7.56% Financial Service Activities 9.37%
Bharti Airtel Ltd 7.54% Mfg of Coke &Refined Petroleum 13.09%
Tech Mahindra Limited 5.77%
Computer Programming 14.28%
Vedanta Ltd 5.48%
Others 15.45%
Reliance Industries Limited 5.22%
Oil & Natural Gas Corporation Ltd. 4.95%
Eicher Motors Limited 4.38%
Maruti Suzuki India Ltd 4.20% Debt Maturity Profile
100.00% 100.00%
Bharti Airtel Ltd - Partly Paid 0.52%
Others 0.21%
Total 88.94%
90.00%
Deposits, Money Mkt Securities and Net Current Assets. 11.06%
AUM (` in Lakhs)
SFIN Code : ULIF04818/06/12PenSuPls12101 Equity Debt MMI & Others Total
Inception Date : 06 Dec 2012 69,586.71 66,896.16 8,275.73 144,758.60
NAV : 22.176
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Balanced Fund
Period Returns (%) Benchmark Returns (%)# Mr Badrish Kulhalli - - 3
Inception 8.92% N/A Mr Nishit Dholakia 3 - 16
10 Years N/A N/A
7 Years 7.65% N/A Asset Category F&U Mandate % of Actual
5 Years 8.59% N/A Money Market Insts
0% to 40% 4.32%
4 Years 9.25% N/A Public Deposits
3 Years 8.68% N/A Govt. Securities
40% to 100% 46.21%
2 Years 19.13% N/A Corporate Bonds
1 Year 13.56% N/A Equity 0% to 60% 48.07%
6 Months -0.03% N/A Net Current Assets - 1.40%
1 Month 1.61% N/A
# NA
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Mfg of Motor Vehicles 2.80%
Equity % to Fund Electricity,Gas & AC Supply 2.99%
Reliance Industries Limited 4.34% Mfg of Chemical Products 3.39%
Infosys Limited 3.37% Construction of Buildings 3.56%
ICICI Bank Limited 2.81% Warehousing 3.91%
HDFC Bank Limited 2.68% Mfg of Basic Metals 4.83%
Tata Consultancy Services Limited 2.30% Government Securities 7.46%
ITC Limited 1.80% Computer Programming 8.36%
Kotak Mahindra Bank Limited 1.67%
Mfg of Coke &Refined Petroleum 10.66%
Larsen & Toubro Limited 1.62%
Financial Service Activities 35.60%
Bajaj Finance Ltd 1.57%
Others 16.46%
State Bank of India 1.46%
Tata Steel Limited 1.44%
Hindustan Unilever Limited 1.42%
Hindalco Industries Limited 1.42% Debt Maturity Profile
Bharti Airtel Ltd 1.17% 100.00%
Axis Bank Limited 1.16% 90.00%
Asian Paints (India) Ltd 0.98% 80.00%
69.41%
70.00%
Grasim Industries Limited 0.98%
60.00%
Wipro Limited 0.98%
50.00%
Adani Port & Special Economic Zone Ltd 0.97% 40.00%
HCL Technologies Limited 0.96% 30.00%
Bajaj Finserv Ltd 0.93% 20.00% 17.41% 13.17%
Tata Motors Limited 0.83% 10.00%
Oil & Natural Gas Corporation Ltd. 0.82% 0.00%
0 - 1 Yr 1 - 3 Yrs 3 - 10 Yrs
Mahindra & Mahindra Ltd. 0.80%
Vedanta Ltd 0.75%
Tech Mahindra Limited 0.75%
Debt Rating Profile
Titan Company Limited 0.74%
Sun Pharmaceuticals Industries Limited 0.73% 2.66%
16.14%
Maruti Suzuki India Ltd 0.73%
Bajaj Auto Ltd. 0.67%
Cipla Limited 0.65%
National Thermal Power Corporation Ltd. 0.63% Sovereign
Dr Reddys Laboratories Limited 0.54% AAA
Others 3.37% AA+
Total 48.07%
81.20%
Debentures / Bonds % to Fund
Bajaj Finance Ltd 7.63%
IOT Utkal Energy Services Limited 5.60%
Housing Development Finance Corporation Ltd 4.92%
LIC Housing Finance Ltd 4.55%
Embassy Office Parks REIT 3.56%
Sikka Ports And Terminals 2.93%
Power Finance Corporation Ltd 1.91%
Tata Steel Ltd 1.23%
HDB Financial Services Ltd 1.07%
NHPC Ltd 0.85%
Others 4.50%
Total 38.75%
Total 7.46%
Debt Parameters
Portfolio Yield (%) 5.96%
Avg Maturity (In Months) 54.63
Modified Duration (In Years) 3.37
Equity Plus Fund as on March 31, 2022
Fund Objective : The Equity Plus Fund aims at least 80% of the equity exposure to be limited to Nifty constituent stocks at any point in time and the balance of the equity exposure in non-Nifty constituent stocks
AUM (` in Lakhs)
SFIN Code : ULIF05301/08/13EquityPlus101 Equity Debt MMI & Others Total
Inception Date : 24 Jun 2014 72,510.79 437.61 1,313.36 74,261.76
NAV : 22.8414
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Balanced Fund
Period Returns (%) Benchmark Returns (%)# Mr Kailash Lalwani 2 13 25
Inception 11.21% 11.34% Mr Priyank Singhal 12 1 1
10 Years N/A N/A
7 Years 10.82% 10.85% Asset Category F&U Mandate % of Actual
5 Years 13.40% 13.74% Money Market Insts
0% to 20% 1.00%
4 Years 14.36% 14.63% Public Deposits
3 Years 14.90% 14.53% Govt. Securities
0% to 20% 0.59%
2 Years 41.67% 42.52% Corporate Bonds
1 Year 18.27% 18.88% Equity 80% to 100% 97.64%
6 Months -0.98% -0.87% Net Current Assets - 0.76%
1 Month 3.35% 3.99%
# Nifty 50
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Civil Engineering 2.78%
Mfg of Pharmaceuticals 3.59%
Equity % to Fund
Mfg of Motor Vehicles 3.62%
Reliance Industries Limited 9.77%
Telecommunications 3.75%
Infosys Limited 8.71%
Mfg of Food Products 4.81%
HDFC Bank Limited 7.62%
ICICI Bank Limited 6.60% Mfg of Chemical Products 6.79%
Nestle India Limited 4.06% Other Financial Activities 10.32%
Bharti Airtel Ltd 3.75% Mfg of Coke &Refined Petroleum 10.39%
Bajaj Finance Ltd 3.03% Computer Programming 14.55%
Tata Consultancy Services Limited 2.79%
Financial Service Activities 24.31%
Axis Bank Limited 2.78%
Others 15.09%
Larsen & Toubro Limited 2.78%
Kotak Mahindra MF - Kotak Banking ETF - Dividend Payout Option 2.55%
Nippon India ETF Bank Bees 2.54%
Hindustan Unilever Limited 2.35% Debt Maturity Profile
ITC Limited 2.27% 100.00%
ICICI Prudential Private Banks ETF 2.18% 90.00%
80.00% 77.53%
Asian Paints (India) Ltd 2.09%
70.00%
SBI-ETF Nifty Bank 1.83%
60.00%
Akzo Nobel India Limited 1.79%
50.00%
Kotak Mahindra Bank Limited 1.72% 40.00%
Maruti Suzuki India Ltd 1.62% 30.00% 22.46%
HCL Technologies Limited 1.56% 20.00%
Mahindra & Mahindra Ltd. 1.54% 10.00%
0.01%
Tata Steel Limited 1.39% 0.00%
0 - 1 Yr 1 - 3 Yrs 3 - 10 Yrs
UltraTech Cement Limited 1.29%
Krishna Institute of Medical Sciences Limited 1.18%
Hindalco Industries Limited 1.16%
Debt Rating Profile
ICICI Prudential IT ETF 1.06%
Dr Reddys Laboratories Limited 1.03%
Crompton Greaves Consumer Electricals Ltd 1.01%
Housing Devt Finance Corpn Limited 0.99%
Cipla Limited 0.98%
Titan Company Limited 0.95%
Tech Mahindra Limited 0.89% AAA
Total 97.64%
Total 0.59%
Debt Parameters
Portfolio Yield (%) 4.42%
Avg Maturity (In Months) 16.17
Modified Duration (In Years) 1.05
Diversified Equity Fund as on March 31, 2022
Fund Objective : The Diversified Equity Fund aims to generate long term capital appreciation by investing in high potential companies across the market cap spectrum while taking active asset allocation calls in Equity, government securities, Money Market
Instruments, Cash etc
AUM (` in Lakhs)
SFIN Code : ULIF05501/08/13DivrEqtyFd101 Equity Debt MMI & Others Total
Inception Date : 01 Jul 2014 175,272.07 - 977.36 176,249.44
NAV : 27.5325
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Balanced Fund
Period Returns (%) Benchmark Returns (%)# Mr Kailash Lalwani 2 13 25
Inception 13.95% 11.22% Mr Priyank Singhal 12 1 1
10 Years N/A N/A
7 Years 13.77% 10.87% Asset Category F&U Mandate % of Actual
5 Years 14.60% 13.30% Money Market Insts
0% to 40% 0.10%
4 Years 14.73% 13.98% Public Deposits
3 Years 15.73% 14.49% Govt. Securities
0% to 40% 0.00%
2 Years 42.21% 42.99% Corporate Bonds
1 Year 16.46% 19.24% Equity 60% to 100% 99.45%
6 Months -2.13% -0.88% Net Current Assets - 0.45%
1 Month 3.29% 3.99%
# BSE-100
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Mfg of Non-metallic mineral Products 2.62%
Equity % to Fund Civil Engineering 2.66%
Reliance Industries Limited 9.16% Telecommunications 4.00%
Infosys Limited 8.22% Mfg of Pharmaceuticals 4.01%
ICICI Bank Limited 7.15% Mfg of Motor Vehicles 4.27%
ICICI Prudential Private Banks ETF 4.86% Mfg of Chemical Products 5.41%
HDFC Bank Limited 4.52% Mfg of Coke &Refined Petroleum 10.08%
Axis Bank Limited 3.94% Other Financial Activities 13.56%
Bharti Airtel Ltd 3.77%
Computer Programming 14.48%
Tata Consultancy Services Limited 3.06%
Financial Service Activities 22.71%
Larsen & Toubro Limited 2.66%
Others 16.20%
Hindustan Unilever Limited 2.59%
SBI-ETF Nifty Bank 2.36%
Kotak Mahindra MF - Kotak Banking ETF - Dividend Payout Option 2.26%
Housing Devt Finance Corpn Limited 2.21% Debt Maturity Profile
100.00% 100.00%
Dr Reddys Laboratories Limited 2.20%
Bajaj Finance Ltd 2.09%
Nippon India ETF Bank Bees 2.03%
UltraTech Cement Limited 1.94%
Mahindra & Mahindra Ltd. 1.90%
90.00%
HCL Technologies Limited 1.89%
ITC Limited 1.87%
Kotak Mahindra Bank Limited 1.67%
Tata Steel Limited 1.40%
Maruti Suzuki India Ltd 1.38% 80.00%
0 - 1 Yr
Tech Mahindra Limited 1.31%
SBI ETF IT 1.22%
Crompton Greaves Consumer Electricals Ltd 1.21%
Asian Paints (India) Ltd 1.20%
National Thermal Power Corporation Ltd. 0.84%
Bharat Petroleum Corporation Ltd 0.77%
Lupin Limited 0.70%
The Indian Hotels Company Ltd 0.66%
Ashok Leyland Limited 0.64%
Shree Cement Limited 0.54%
Others 15.23%
Total 99.45%
Debt Parameters
Portfolio Yield (%) 3.70%
Avg Maturity (In Months) 0.13
Modified Duration (In Years) 0.00
Bond Fund as on March 31, 2022
Fund Objective : The Bond Fund aims to dynamically manage the allocation between government securities, Fixed Income instruments, Money Market instruments and Cash with the intent to dynamically manage the duration at a level that delivers superior risk
adjusted returns.
AUM (` in Lakhs)
SFIN Code : ULIF05601/08/13Bond Funds101 Equity Debt MMI & Others Total
Inception Date : 23 Jun 2014 - 28,182.55 6,071.35 34,253.90
NAV : 17.4262
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Balanced Fund
Period Returns (%) Benchmark Returns (%)# Mr Vineet Choraria 1 29 2
Inception 7.40% 8.55%
10 Years N/A N/A
7 Years 6.44% 7.96% Asset Category F&U Mandate % of Actual
5 Years 6.13% 7.29% Money Market Insts
0% to 60% 15.84%
4 Years 6.49% 7.84% Public Deposits
3 Years 6.59% 8.22% Govt. Securities
40% to 100% 82.28%
2 Years 4.46% 6.07% Corporate Bonds
1 Year 3.32% 4.48% Equity 0% 0.00%
6 Months 0.17% 1.05% Net Current Assets - 1.88%
1 Month 0.20% 0.21%
# CRISIL Composite Bond Fund Index
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Mfg of Coke &Refined Petroleum 0.06%
Debentures / Bonds % to Fund
Electricity,Gas & AC Supply 1.29%
Housing Development Finance Corporation Ltd 9.75%
Bajaj Finance Ltd 3.47% Construction of Buildings 1.37%
Sovereign
Grand Total 100.00% 42.48%
AAA
55.44% AA & below
Debt Parameters
Portfolio Yield (%) 6.04%
Avg Maturity (In Months) 57.36
Modified Duration (In Years) 3.68
Conservative Fund as on March 31, 2022
Fund Objective : The Conservative Fund is a pure Debt Fund which invests in Government securities, high grade Fixed Income Instruments, Liquid Mutual Fund and Money Market Instruments. The fund aims to deliver stable returns by investing in the short end of
the yield curve to limit the volatility and risk of the Fund.
AUM (` in Lakhs)
SFIN Code : ULIF05801/08/13ConsertvFd101 Equity Debt MMI & Others Total
Inception Date : 11 Jul 2014 - 13,924.69 3,182.92 17,107.60
NAV : 16.6466
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Balanced Fund
Period Returns (%) Benchmark Returns (%)# Mr Kailash Lalwani 2 13 25
Inception 6.82% 7.97%
10 Years N/A N/A
7 Years 6.25% 7.72% Asset Category F&U Mandate % of Actual
5 Years 5.79% 7.30% Money Market Insts
0% to 60% 16.28%
4 Years 6.16% 7.58% Public Deposits
3 Years 5.88% 7.59% Govt. Securities
40% to 100% 81.39%
2 Years 4.74% 6.49% Corporate Bonds
1 Year 3.51% 5.19% Equity 0% 0.00%
6 Months 1.27% 1.97% Net Current Assets - 2.33%
1 Month 0.23% 0.37%
# CRISIL Short Term Bond Fund Index
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Sovereign
Grand Total 100.00% 47.69%
AAA
49.82% AA & below
Debt Parameters
Portfolio Yield (%) 5.27%
Avg Maturity (In Months) 22.91
Modified Duration (In Years) 1.68
Pension Income Fund as on March 31, 2022
Fund Objective : The Pension Income Fund aims to provide superior returns through investments in high credit quality Debt instruments while maintaining an optimal level of interest rate risk. In addition up to 20% of the Fund may be invested in cash and Money
Market Instruments, Liquid Mutual Funds and Deposits to facilitate the day-to-day running of the Fund. Fund management would involve continual monitoring and credit evaluations with rigorous buy and sell disciplines to maximize upside potential and manage
downside risk.
AUM (` in Lakhs)
SFIN Code : ULIF06101/04/14PenIncFund101 Equity Debt MMI & Others Total
Inception Date : 06 Oct 2015 - 75,746.41 12,491.52 88,237.93
NAV : 14.4081
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Balanced Fund
Period Returns (%) Benchmark Returns (%)# Mr Vineet Choraria 1 29 2
Inception 5.79% 7.87%
10 Years N/A N/A
7 Years N/A N/A Asset Category F&U Mandate % of Actual
5 Years 5.44% 7.29% Money Market Insts
0% to 20% 12.57%
4 Years 5.83% 7.84% Public Deposits
3 Years 6.00% 8.22% Govt. Securities
80% to 100% 85.84%
2 Years 3.82% 6.07% Corporate Bonds
1 Year 2.76% 4.48% Equity 0% 0.00%
6 Months -0.16% 1.05% Net Current Assets - 1.59%
1 Month 0.14% 0.21%
# CRISIL Composite Bond Fund Index
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Construction of Buildings 0.46%
Debentures / Bonds % to Fund
Housing Development Finance Corporation Ltd 9.07% Electricity,Gas & AC Supply 1.26%
Sovereign
Grand Total 100.00% 43.80%
AAA
54.52% AA & below
Debt Parameters
Portfolio Yield (%) 6.05%
Avg Maturity (In Months) 57.02
Modified Duration (In Years) 3.67
Pension Equity Plus Fund as on March 31, 2022
Fund Objective : The Pension Equity Plus Fund aims at least 80% of the equity exposure to be limited to Nifty constituent stocks at any point in time and the balance of the equity exposure in non-Nifty constituent stocks
AUM (` in Lakhs)
SFIN Code : ULIF06001/04/14PenEqPlsFd101 Equity Debt MMI & Others Total
Inception Date : 06 Oct 2015 16,767.24 - 507.89 17,275.13
NAV : 20.6791
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Balanced Fund
Period Returns (%) Benchmark Returns (%)#
Inception 11.85% 12.46% Mr Priyank Singhal 12 1 1
10 Years N/A N/A
7 Years N/A N/A Asset Category F&U Mandate % of Actual
5 Years 12.61% 13.74% Money Market Insts
0% to 20% 1.60%
4 Years 13.80% 14.63% Public Deposits
3 Years 14.65% 14.53% Govt. Securities
0% to 20% 0.00%
2 Years 41.77% 42.52% Corporate Bonds
1 Year 17.85% 18.88% Equity 80% to 100% 97.06%
6 Months -1.07% -0.87% Net Current Assets - 1.34%
1 Month 3.34% 3.99%
# Nifty 50
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Mfg of Food Products 3.22%
Civil Engineering 3.35%
Equity % to Fund
Telecommunications 3.46%
Reliance Industries Limited 9.82%
Mfg of Motor Vehicles 3.84%
Infosys Limited 8.53%
HDFC Bank Limited 7.31% Mfg of Pharmaceuticals 4.08%
ICICI Bank Limited 6.05% Mfg of Chemical Products 5.91%
Kotak Mahindra MF - Kotak Banking ETF - Dividend Payout Option 4.00% Mfg of Coke &Refined Petroleum 10.49%
Bharti Airtel Ltd 3.46% Other Financial Activities 12.51%
Larsen & Toubro Limited 3.35% Computer Programming 14.73%
Tata Consultancy Services Limited 3.24%
Financial Service Activities 22.78%
Axis Bank Limited 2.76%
Others 15.64%
ITC Limited 2.71%
Hindustan Unilever Limited 2.64%
Nippon India ETF Bank Bees 2.59%
ICICI Prudential Private Banks ETF 2.51% Debt Maturity Profile
100.00% 100.00%
Bajaj Finance Ltd 2.37%
Nestle India Limited 2.37%
Kotak Mahindra Bank Limited 2.13%
Asian Paints (India) Ltd 1.97%
Maruti Suzuki India Ltd 1.76%
90.00%
SBI-ETF Nifty Bank 1.75%
UltraTech Cement Limited 1.63%
Tata Steel Limited 1.62%
ICICI Prudential IT ETF 1.60%
Mahindra & Mahindra Ltd. 1.55% 80.00%
0 - 1 Yr
Hindalco Industries Limited 1.25%
Dr Reddys Laboratories Limited 1.22%
HCL Technologies Limited 1.21%
Titan Company Limited 1.16%
Housing Devt Finance Corpn Limited 1.14%
Cipla Limited 1.12%
Tech Mahindra Limited 1.05%
Divis Laboratories Ltd. 0.79%
State Bank of India 0.75%
Adani Port & Special Economic Zone Ltd 0.73%
Shree Cement Limited 0.72%
National Thermal Power Corporation Ltd. 0.70%
Wipro Limited 0.69%
Grasim Industries Limited 0.67%
Bharat Petroleum Corporation Ltd 0.66%
Akzo Nobel India Limited 0.63%
Sun Pharmaceuticals Industries Limited 0.61%
SBI Life Insurance Company Limited 0.52%
Tata Consumer Products Limited 0.50%
Others 3.20%
Total 97.06%
Total 94.87%
AUM (` in Lakhs)
SFIN Code : ULIF05110/03/11DiscontdPF101 Equity Debt MMI & Others Total
Inception Date : 10 Mar 2011 - 293,475.39 117,238.01 410,713.41
NAV : 20.3944
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Balanced Fund
Period Returns (%) Benchmark Returns (%)# Mr Vineet Choraria 1 29 2
Inception 6.65% N/A
10 Years 6.52% N/A
7 Years 5.74% N/A Asset Category F&U Mandate % of Actual
5 Years 5.17% N/A Money Market Insts 0% to 40% 28.54%
4 Years 5.01% N/A Public Deposits 0% 0.00%
3 Years 4.59% N/A Govt. Sec (Including Tbills) 60% to 100% 71.46%
2 Years 3.66% N/A Corporate Bonds
0% 0.00%
1 Year 3.32% N/A Equity
6 Months 1.71% N/A Net Current Assets - 0.01%
1 Month 0.31% N/A
# NA
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Mfg of Coke &Refined Petroleum 5.69%
Government Securities % to Fund
364 Days T-Bill Mat 19-Jan-2023 10.78%
364 Days T-Bill Mat 24-Nov-2022 8.30% Financial Service Activities 22.10%
364 Days T-Bill Mat 12-Jan-2023 6.39%
364 Days T-Bill Mat 17-Nov-2022 5.87%
364 Days T-Bill Mat 02-Feb-2023 5.73%
Government Securities 71.46%
364 Days T-Bill Mat 05-Jan-2023 4.71%
364 Days T-Bill Mat 01-Dec-2022 4.13%
364 Days T-Bill Mat 13-Oct-2022 3.58%
Others 0.76%
364 Days T-Bill Mat 22-Dec-2022 3.49%
364 Days T-Bill Mat 02-Nov-2022 2.38%
Others 16.11%
28.00%
Sovereign
AAA
72.00%
Policy Discontinued Fund - Pension as on March 31, 2022
Fund Objective : The Fund aims to deliver steady returns through investments in low risk Money Market instruments and Government securities.
AUM (` in Lakhs)
SFIN Code : ULIF05201/10/13DiscontdPF101 Equity Debt MMI & Others Total
Inception Date : 01 Oct 2013 - 11,099.46 1,686.95 12,786.42
NAV : 16.6005
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Balanced Fund
Period Returns (%) Benchmark Returns (%)# Mr Vineet Choraria 1 29 2
Inception 6.14% N/A
10 Years N/A N/A
7 Years 5.64% N/A Asset Category F&U Mandate % of Actual
5 Years 5.05% N/A Money Market Insts 0% to 40% 13.19%
4 Years 4.87% N/A Public Deposits 0% 0.00%
3 Years 4.36% N/A Govt. Sec (Including Tbills) 60% to 100% 86.81%
2 Years 3.57% N/A Corporate Bonds
0% 0.00%
1 Year 3.41% N/A Equity
6 Months 1.70% N/A Net Current Assets - 0.01%
1 Month 0.31% N/A
# NA
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Mfg of Coke &Refined Petroleum 1.16%
Government Securities % to Fund
364 Days T-Bill Mat 01-Dec-2022 35.94%
364 Days T-Bill Mat 19-Jan-2023 8.31% Financial Service Activities 9.58%
364 Days T-Bill Mat 06-Oct-2022 7.67%
364 Days T-Bill Mat 27-Oct-2022 7.65%
364 Days T-Bill Mat 10-Nov-2022 7.63%
Government Securities 86.81%
364 Days T-Bill Mat 12-Jan-2023 4.35%
Gsec C-STRIPS Mat 26-Oct-2022 3.82%
364 Days T-Bill Mat 16-Feb-2023 3.39%
Others 2.45%
364 Days T-Bill Mat 09-Feb-2023 3.01%
364 Days T-Bill Mat 17-Nov-2022 2.14%
Others 2.91%
Sovereign
AAA
88.98%
Discovery Fund as on March 31, 2022
Fund Objective : The Fund aims to deliver long term growth of capital by investing predominantly in mid-cap companies. The fund will invest up to 100% in mid-cap stocks which are defined as stocks with market cap falling within the market capitalisation range in the
underlying benchmark Nifty free float midcap index (getting renamed as Nifty Midcap 100 index). The fund can also invest up to 25% of the portfolio in stocks falling outside the mid-cap index market cap range. The fund may also invest up to 10% of the portfolio in
fixed income instruments, money market instruments, cash, deposits and liquid mutual funds.
AUM (` in Lakhs)
SFIN Code : ULIF06618/01/18DiscvryFnd101 Equity Debt MMI & Others Total
Inception Date : 03 Sep 2018 65,058.22 - 6,306.27 71,364.49
NAV : 22.4833
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Balanced Fund
Period Returns (%) Benchmark Returns (%)#
Inception 25.43% 11.90% Mr Nishit Dholakia 3 - 16
10 Years N/A N/A
7 Years N/A N/A Asset Category F&U Mandate % of Actual
5 Years N/A N/A Money Market Insts
0% to 10% 8.24%
4 Years N/A N/A Public Deposits
3 Years 27.55% 17.60% Govt. Securities
0% to 10% 0.00%
2 Years 64.50% 59.28% Corporate Bonds
1 Year 28.75% 25.32% Equity 90% to 100% 91.16%
6 Months -0.90% -2.28% Net Current Assets - 0.60%
1 Month 3.47% 5.20%
# Nifty MidCap 100
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Mfg of Wearing Apparel 3.37%
Equity % to Fund Mfg of Rubber & Plastics Products 3.40%
Voltas Ltd 2.57% Mfg of Machinery & Equipment 4.00%
Tata Power Co. Ltd 2.44% Mfg of Electrical Equipment 4.19%
Page Industries Ltd 2.42% Retail Trade 4.63%
Mphasis Limited 2.27% Electricity,Gas & AC Supply 5.35%
Crompton Greaves Consumer Electricals Ltd 2.10% Mfg of Chemical Products 6.63%
AU Small Finance Bank Limited 2.10%
Mfg of Pharmaceuticals 7.31%
Bharat Electronics Ltd 2.07%
Computer Programming 8.87%
ICICI Bank Limited 2.05%
Financial Service Activities 15.61%
Indian Railway Catering and Tourism Corporation Limited 2.01%
Others 36.64%
SRF Limited 1.99%
MindTree Limited. 1.96%
Aarti Industries Limited 1.81%
Balkrishna Industries Ltd. 1.80% Debt Maturity Profile
100.00% 100.00%
Max Financial Services Limited 1.69%
The Indian Hotels Company Ltd 1.67%
Trent Ltd. 1.61%
Container Corporation of India Ltd 1.60%
IPCA Laboratories Ltd 1.57%
90.00%
Infosys Limited 1.51%
Kotak Mahindra Bank Limited 1.47%
Indraprastha Gas Ltd. 1.44%
Godrej Properties Limited 1.43%
Zee Entertainment Enterprises Limited 1.42% 80.00%
0 - 1 Yr
Bata India Ltd 1.36%
Ruchi Soya Industries Limited 1.34%
Bharat Forge Ltd 1.33%
HDFC Bank Limited 1.30%
Housing Devt Finance Corpn Limited 1.29%
L&T Technology Services Ltd 1.29%
Alkem Laboratories Ltd 1.27%
Federal Bank Limited 1.18%
Emami Ltd 1.16%
Asian Paints (India) Ltd 1.08%
The Ramco Cements Ltd 1.08%
Avenue Supermarts Ltd 1.07%
UltraTech Cement Limited 1.06%
ITC Limited 1.05%
Nesco Limited 1.05%
Larsen & Toubro Limited 1.04%
Axis Bank Limited 1.03%
Apollo Hospitals Enterprise Limited 1.01%
Shree Cement Limited 1.01%
Coforge Limited 1.00%
Divis Laboratories Ltd. 0.99%
Ashok Leyland Limited 0.99%
Cholamandalam Investment & Finance Company Ltd 0.96%
Sona BLW Precision Forgings Limited 0.95%
Vedant Fashions Limited 0.95%
Vedanta Ltd 0.90%
Whirlpool of India Limited 0.88%
Gujarat Gas Limited 0.88%
C.E. Info Systems Limited 0.85%
ABB India Ltd 0.82%
Escorts Limited 0.81%
TVS Motors Co Ltd. 0.79%
GLAND PHARMA LIMITED 0.76%
P I Industries Limited 0.73%
State Bank of India 0.73%
Shriram Transport Finance Company Ltd 0.72%
Mahindra & Mahindra Finacial Services Limited 0.70%
Dr. Lal Path Labs Ltd. 0.64%
Cummins India Ltd. 0.63%
Info Edge (India) Limited 0.60%
Astral Limited 0.60%
Torrent Power Ltd. 0.59%
FSN E–Commerce Ventures Limited 0.59%
Jubilant FoodWorks Ltd 0.55%
MRF Ltd. 0.55%
Atul Ltd 0.50%
Others 5.56%
Total 91.16%
AUM (` in Lakhs)
SFIN Code : ULIF06723/03/18EqtyAdvtFd101 Equity Debt MMI & Others Total
Inception Date : 07 Feb 2019 21,577.63 - 441.28 22,018.91
NAV : 17.4654
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Balanced Fund
Period Returns (%) Benchmark Returns (%)#
Inception 19.40% 16.47% Mr Priyank Singhal 12 1 1
10 Years N/A N/A
7 Years N/A N/A Asset Category F&U Mandate % of Actual
5 Years N/A N/A Money Market Insts
0% to 20% 5.18%
4 Years N/A N/A Public Deposits
3 Years 20.17% 15.39% Govt. Securities
0% to 20% 0.00%
2 Years 45.14% 44.52% Corporate Bonds
1 Year 19.28% 19.87% Equity 80% to 100% 98.00%
6 Months -2.35% -1.01% Net Current Assets - -3.18%
1 Month 3.46% 4.03%
# BSE-200
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Civil Engineering 2.58%
Telecommunications 2.99%
Equity % to Fund
Mfg of Electrical Equipment 3.19%
Infosys Limited 8.33%
Mfg of Motor Vehicles 3.85%
Reliance Industries Limited 7.65%
Mfg of Pharmaceuticals 6.35%
ICICI Bank Limited 6.78%
SBI-ETF Nifty Bank 3.64% Mfg of Chemical Products 6.65%
HDFC Bank Limited 3.64% Mfg of Coke &Refined Petroleum 8.37%
Axis Bank Limited 3.05% Other Financial Activities 11.93%
Kotak Mahindra MF - Kotak Banking ETF - Dividend Payout Option 2.82% Computer Programming 14.47%
Tata Consultancy Services Limited 2.81%
Financial Service Activities 20.14%
Bharti Airtel Ltd 2.58%
Others 19.50%
Larsen & Toubro Limited 2.58%
ICICI Prudential Private Banks ETF 2.24%
Hindustan Unilever Limited 2.21%
Housing Devt Finance Corpn Limited 2.20% Debt Maturity Profile
100.00% 100.00%
Dr Reddys Laboratories Limited 2.07%
Sanofi India Ltd. 1.99%
ITC Limited 1.94%
Bayer CropScience Ltd. 1.79%
HCL Technologies Limited 1.75%
90.00%
UltraTech Cement Limited 1.74%
Mahindra & Mahindra Ltd. 1.72%
Nippon India ETF Bank Bees 1.66%
Kotak Mahindra Bank Limited 1.50%
Bajaj Finance Ltd 1.49% 80.00%
0 - 1 Yr
Tech Mahindra Limited 1.24%
Maruti Suzuki India Ltd 1.24%
Crompton Greaves Consumer Electricals Ltd 1.17%
Tata Steel Limited 1.12%
Whirlpool of India Limited 1.08%
ICICI Prudential IT ETF 0.96%
Pfizer Limited 0.92%
National Thermal Power Corporation Ltd. 0.70%
Bank of Baroda 0.66%
Devyani International Limited 0.62%
Ashok Leyland Limited 0.60%
Mahindra & Mahindra Finacial Services Limited 0.59%
Aditya Birla Fashion & Retail Limited 0.58%
SRF Limited 0.58%
Asian Paints (India) Ltd 0.58%
Barbeque Nation Hospitality Limited 0.56%
Adani Port & Special Economic Zone Ltd 0.53%
Others 16.08%
Total 98.00%
AUM (` in Lakhs)
SFIN Code : ULIF06814/06/19BondPlusFd101 Equity Debt MMI & Others Total
Inception Date : 13 Dec 2019 - 8,272.05 1,020.81 9,292.87
NAV : 12.0014
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Balanced Fund
Period Returns (%) Benchmark Returns (%)# Mr Vineet Choraria 1 29 2
Inception 8.26% 7.51% Mr Priyank Singhal 12 1 1
10 Years N/A N/A
7 Years N/A N/A Asset Category F&U Mandate % of Actual
5 Years N/A N/A Money Market Insts
0% to 20% 8.64%
4 Years N/A N/A Public Deposits
3 Years N/A N/A Govt. Securities
30% to 100% 89.02%
2 Years 6.82% 6.07% Corporate Bonds
1 Year 4.95% 4.48% Equity 0% to 50% 0.00%
6 Months 0.14% 1.05% Net Current Assets - 2.35%
1 Month -0.10% 0.21%
# CRISIL Composite Bond Fund Index
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Total 56.51%
Debt Maturity Profile
Deposits, Money Mkt Securities and Net Current Assets. 10.98% 100.00%
91.16%
90.00%
80.00%
Grand Total 100.00% 70.00%
60.00%
Debt Parameters 50.00%
Portfolio Yield (%) 6.67% 40.00%
Avg Maturity (In Months) 84.91 30.00%
20.00%
Modified Duration (In Years) 5.14 8.84%
10.00%
0.00%
0 - 1 Yr 3 - 10 Yrs
36.52%
Sovereign
AAA
63.48%
Secure Advantage Fund as on March 31, 2022
Fund Objective : To generate steady returns from higher interest accruals from high grade bonds.
AUM (` in Lakhs)
SFIN Code : ULIF06914/06/19SecAdvFund101 Equity Debt MMI & Others Total
Inception Date : 17 Dec 2019 - 1,146.88 579.61 1,726.49
NAV : 11.9155
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Balanced Fund
Period Returns (%) Benchmark Returns (%)# Mr Vineet Choraria 1 29 2
Inception 7.96% 7.46%
10 Years N/A N/A
7 Years N/A N/A Asset Category F&U Mandate % of Actual
5 Years N/A N/A Money Market Insts
0% to 40% 32.11%
4 Years N/A N/A Public Deposits
3 Years N/A N/A Govt. Securities
60% to 100% 66.43%
2 Years 5.94% 6.07% Corporate Bonds
1 Year 4.04% 4.48% Equity 0% 0.00%
6 Months 0.69% 1.05% Net Current Assets - 1.46%
1 Month 0.07% 0.21%
# CRISIL Composite Bond Fund Index
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Mfg of Coke &Refined Petroleum 3.81%
Debentures / Bonds % to Fund
Reliance Industries Ltd 3.81%
Electricity,Gas & AC Supply 5.51%
Indian Railway Finance Corporation Ltd 2.99%
Power Grid Corporation of India Ltd 2.99%
Housing Development Finance Corporation Ltd 2.99% Financial Service Activities 5.98%
NHPC Ltd 2.52%
Sovereign
AAA
76.98%
Sustainable Equity Fund as on March 31, 2022
Fund Objective : The Fund aims to deliver long term growth of capital by focusing on investing in select companies from the
investment universe, which conduct business in socially and environmentally responsible manner while
maintaining governance standards.
AUM (` in Lakhs)
SFIN Code : ULIF07019/07/21SustnblEqF101 Equity Debt MMI & Others Total
Inception Date : 11 Jan 2022 760.12 - 21.63 781.75
NAV : 10.0152
No. Of Funds Managed
Fund Manager
Fund V/s Benchmark Performance Equity Fund Debt Fund Balanced Fund
Period Returns (%) Benchmark Returns (%)# Mr Vineet Choraria 1 29 2
Inception 0.15% -5.75% Mr.Ankur Sharma 1 - -
10 Years N/A N/A
7 Years N/A N/A Asset Category F&U Mandate % of Actual
5 Years N/A N/A Money Market Insts
0% to 20% 6.46%
4 Years N/A N/A Public Deposits
3 Years N/A N/A Govt. Securities
0% to 20% 0.00%
2 Years N/A N/A Corporate Bonds
1 Year N/A N/A Equity 80% to 100% 97.23%
6 Months N/A N/A Net Current Assets - -3.69%
1 Month 2.00% 2.64%
# NIFTY100 ESG
Note: Returns over 1 year have been annualized. Sector Allocation as per NIC 2008
% to Fund
Portfolio
Mfg of Other Transport Equip. 3.11%
Other Manufacturing 3.40%
Equity % to Fund
Mfg of Food Products 3.55%
SBI ETF IT 9.48%
Insurance and Pension Funding 3.55%
Infosys Limited 5.32%
Mfg of Motor Vehicles 4.17%
Housing Devt Finance Corpn Limited 4.92%
Bajaj Finance Ltd 4.32% Mfg of Pharmaceuticals 5.36%
ICICI Prudential Private Banks ETF 3.49% Mfg of Chemical Products 6.39%
Titan Company Limited 3.40% Other Financial Activities 12.97%
Tata Consultancy Services Limited 3.00% Computer Programming 14.85%
Bharti Airtel Ltd 2.70%
Financial Service Activities 21.31%
Reliance Industries Limited 2.63%
Others 21.33%
HCL Technologies Limited 2.37%
HDFC Bank Limited 2.36%
Hindustan Unilever Limited 2.35%
Divis Laboratories Ltd. 2.25% Debt Maturity Profile
Tech Mahindra Limited 2.23%
100.00% 100.00%
Kotak Mahindra Bank Limited 2.15%
Bajaj Auto Ltd. 2.03%
State Bank of India 1.63%
Axis Bank Limited 1.56%
Mahindra & Mahindra Ltd. 1.56% 90.00%
Total 97.23%
Debt Parameters
Portfolio Yield (%) 3.70%
Avg Maturity (In Months) 0.13
Modified Duration (In Years) 0.00