| Sr No | 
	    Security ID | 
	    Particulars of Investments | 
	    Fin.Trn.Number | 
	    Product Type | 
	    IRDA Code | 
	    BAP Code | 
	    Purchase Amount | 
	    Nominal Amount | 
	    Date of Purchase | 
	    Original Rating Agency | 
	    Current Rating Agency | 
	    Original Grade | 
	    Current Grade | 
	    Date of Downgrade | 
    
	 
	  
	    | A | 
	     | 
	    DURING THE QUARTER | 
	     | 
	     | 
	     | 
	     | 
	     | 
	     | 
	     | 
	     | 
	     | 
	     | 
	     | 
    
	  
	    | 1 | 
	    11995 | 
	    9.10%-9.60% UPPER TIER II BANK OF    MAHARASHTRA 14.10.2021 | 
	    2.00601E+12 | 
	    04I | 
	    OBPT | 
	    100065 | 
	    5 | 
	    5 | 
	    14.10.2006 | 
	    CARE | 
	    CRISIL | 
	    AA- | 
	    A+ | 
	    30.09.2016 | 
    
	  
	    | 2 | 
	    12542 | 
	    10.75% Jindal Saw Ltd. Secured NCD | 
	    2.01101E+12 | 
	    04I | 
	    OLDB | 
	    100070 | 
	    10.34 | 
	    10.34 | 
	    26.05.2011 | 
	    CARE | 
	    CARE | 
	    AA | 
	    A+ | 
	    30.09.2016 | 
    
	  
	    | 3 | 
	    12542 | 
	    10.75% Jindal Saw Ltd. Secured NCD | 
	    2.01101E+12 | 
	    04I | 
	    OLDB | 
	    100070 | 
	    5.17 | 
	    5.17 | 
	    27.05.2011 | 
	    CARE | 
	    CARE | 
	    AA | 
	    A+ | 
	    30.09.2016 | 
    
	  
	    | 4 | 
	    12642 | 
	    11% Dhanlaxmi Bank 2018 | 
	    2.01101E+12 | 
	    04I | 
	    OLDB | 
	    100070 | 
	    10 | 
	    10 | 
	    21.01.2012 | 
	    CARE | 
	    BRICKWORK | 
	    A | 
	    BB | 
	    30.09.2016 | 
    
	  
	    | 5 | 
	    12122 | 
	    10.40% -10.90% Punjab National Bank Call on 20/07/2017 | 
	    2.00701E+12 | 
	    04P | 
	    EUPD | 
	    100057 | 
	    15 | 
	    15 | 
	    20.07.2007 | 
	    ICRA | 
	    CARE | 
	    AAA | 
	    AA | 
	    30.09.2016 | 
    
	  
	    | 6 | 
	    12148 | 
	    9.75% PUNJAB NATIONAL BANK     (CALL-11.12.2017) STEP UP 10.25% | 
	    2.00701E+12 | 
	    04P | 
	    EUPD | 
	    100057 | 
	    8.02 | 
	    8.02 | 
	    20.12.2007 | 
	    CARE | 
	    CARE | 
	    AAA | 
	    AA | 
	    30.09.2016 | 
    
	  
	    | B | 
	     | 
	    AS ON DATE | 
	     | 
	     | 
	     | 
	     | 
	     | 
	     | 
	     | 
	     | 
	     | 
	     | 
	     | 
    
	  
	    | 1 | 
	    11426 | 
	    MAHARASHTRA STATE ROAD DEVELOPMENT    CORPORATION LTD | 
	    2.00501E+12 | 
	    04I | 
	    SGOA | 
	    100008 | 
	    27 | 
	    75 | 
	    31.12.2005 | 
	    CARE | 
	    CARE | 
	    AAA | 
	    BBB+ | 
	    30.09.2013 | 
    
	  
	    | 2 | 
	    11510 | 
	    8.00% IDBI BANK LTD - OMNI BONDS SER I 2003 | 
	    2.00501E+12 | 
	    04I | 
	    EPBT | 
	    100039 | 
	    21.36 | 
	    20 | 
	    31.12.2005 | 
	    FITCH | 
	    CRISIL | 
	    AA+ | 
	    AA | 
	    31.03.2016 | 
    
	  
	    | 3 | 
	    11510 | 
	    8.00% IDBI BANK LTD - OMNI BONDS SER I 2003 | 
	    2.01001E+12 | 
	    04I | 
	    EPBT | 
	    100039 | 
	    9.65 | 
	    9.65 | 
	    02.07.2010 | 
	    CARE | 
	    CRISIL | 
	    AA+ | 
	    AA | 
	    31.03.2016 | 
    
	  
	    | 4 | 
	    11630 | 
	    6.7% RELIANCE ENERGY LTD. 2018 | 
	    2.00501E+12 | 
	    04I | 
	    IODS | 
	    100100 | 
	    4.96 | 
	    5 | 
	    31.12.2005 | 
	    FITCH | 
	    CRISIL | 
	    AA | 
	    A- | 
	    31.03.2016 | 
    
	  
	    | 5 | 
	    11947 | 
	    9.75% JINDAL STAINLESS 31.01.2015 | 
	    2.00501E+12 | 
	    04I | 
	    OLDB | 
	    100070 | 
	    10 | 
	    10 | 
	    01.02.2006 | 
	    CARE | 
	    CARE | 
	    AA | 
	    D | 
	    31.12.2012 | 
    
	  
	    | 6 | 
	    11996 | 
	    8.95% CENTRAL BANK OF INDIA 4.10.2016 | 
	    2.00601E+12 | 
	    04I | 
	    OBPT | 
	    100065 | 
	    10 | 
	    10 | 
	    02.11.2006 | 
	    CRISIL | 
	    ICRA | 
	    AA | 
	    AA- | 
	    31.12.2013 | 
    
	  
	    | 7 | 
	    11996 | 
	    8.95% CENTRAL BANK OF INDIA 4.10.2016 | 
	    2.00901E+12 | 
	    04I | 
	    OBPT | 
	    100065 | 
	    15.42 | 
	    15.42 | 
	    13.05.2009 | 
	    CRISIL | 
	    ICRA | 
	    AA | 
	    AA- | 
	    31.12.2013 | 
    
	  
	    | 8 | 
	    12100 | 
	    9.95%Orientak Bank comm Lower Tier II Bonds 23.4.2017 | 
	    2.00701E+12 | 
	    04I | 
	    EPBT | 
	    100039 | 
	    15 | 
	    15 | 
	    23.04.2007 | 
	    ICRA | 
	    CARE | 
	    AAA | 
	    AA | 
	    31.03.2016 | 
    
	  
	    | 9 | 
	    12182 | 
	    10.25% KARNATAKA BANK LTD. 2018(ANNUAL) LOWER TIER II BONDS | 
	    2.00701E+12 | 
	    04I | 
	    OLDB | 
	    100070 | 
	    5 | 
	    5 | 
	    29.03.2008 | 
	    ICRA | 
	    CARE | 
	    A+ | 
	    A | 
	    07.09.2012 | 
    
	  
	    | 10 | 
	    12186 | 
	    10.10% Tata Power Company Ltd. 2018 | 
	    2.00801E+12 | 
	    04I | 
	    IODS | 
	    100100 | 
	    5 | 
	    5 | 
	    25.04.2008 | 
	    CRISIL | 
	    CRISIL | 
	    AA | 
	    AA- | 
	    30.06.2013 | 
    
	  
	    | 11 | 
	    12193 | 
	    10.40% TATA POWER CO.LTD. 2018 (ANNUAL) | 
	    2.00801E+12 | 
	    04I | 
	    IODS | 
	    100100 | 
	    15 | 
	    15 | 
	    20.06.2008 | 
	    ICRA | 
	    CRISIL | 
	    AA | 
	    AA- | 
	    31.12.2013 | 
    
	  
	    | 12 | 
	    12211 | 
	    8.75%(S.A.)  TAMIL NADU ELECTRICITY    BOARD 1.3.2018 (P/C2015) | 
	    2.00801E+12 | 
	    04I | 
	    SGOA | 
	    100008 | 
	    9.7 | 
	    9.7 | 
	    18.08.2008 | 
	    CARE | 
	    CARE | 
	    A+(SO) | 
	    A-(SO) | 
	    12.12.2011 | 
    
	  
	    | 13 | 
	    12264 | 
	    10.50% Sec.Red.NC Gammon India Ltd. | 
	    2.00901E+12 | 
	    04I | 
	    IODS | 
	    100100 | 
	    15 | 
	    15 | 
	    07.05.2009 | 
	    CARE | 
	    CARE | 
	    AA | 
	    D | 
	    31.12.2014 | 
    
	  
	    | 14 | 
	    12270 | 
	    8.81% 2019 Tamilnadu Electricity Board | 
	    2.00901E+12 | 
	    04I | 
	    SGOA | 
	    100008 | 
	    10 | 
	    10 | 
	    04.05.2009 | 
	    CARE | 
	    ICRA | 
	    A+(SO) | 
	    A-(SO) | 
	    12.12.2011 | 
    
	  
	    | 15 | 
	    12270 | 
	    8.81% 2019 Tamilnadu Electricity Board | 
	    2.00901E+12 | 
	    04I | 
	    SGOA | 
	    100008 | 
	    10.08 | 
	    10.08 | 
	    08.06.2009 | 
	    CARE | 
	    ICRA | 
	    A+(SO) | 
	    A-(SO) | 
	    12.12.2011 | 
    
	  
	    | 16 | 
	    12271 | 
	    13%Sec Red NCDs of Era Infra Engineering Ltd | 
	    2.00901E+12 | 
	    04I | 
	    OLDB | 
	    100070 | 
	    20 | 
	    20 | 
	    05.06.2009 | 
	    CARE | 
	    CARE | 
	    A | 
	    D | 
	    31.12.2013 | 
    
	  
	    | 17 | 
	    12272 | 
	    11% Bharati Shipyard Ltd Sec.Rated Red.NCDs of | 
	    2.00901E+12 | 
	    04I | 
	    OLDB | 
	    100070 | 
	    20 | 
	    20 | 
	    09.06.2009 | 
	    CARE | 
	    CARE | 
	    A | 
	    BB- | 
	    28.12.2011 | 
    
	  
	    | 18 | 
	    12276 | 
	    8.80% -Unsec.NCRed.Sub.Bonds Central Bank-Put call 10 yrs | 
	    2.00901E+12 | 
	    04I | 
	    OBPT | 
	    100065 | 
	    5 | 
	    5 | 
	    23.06.2009 | 
	    CARE | 
	    CARE | 
	    AA | 
	    A+ | 
	    31.12.2013 | 
    
	  
	    | 19 | 
	    12322 | 
	    8.40% 2020Tamilnadu Electricity Board | 
	    2.00901E+12 | 
	    04I | 
	    SGOA | 
	    100008 | 
	    10 | 
	    10 | 
	    06.01.2010 | 
	    CARE | 
	    ICRA | 
	    A+(SO) | 
	    A-(SO) | 
	    12.12.2011 | 
    
	  
	    | 20 | 
	    12338 | 
	    8.50% Steel Authority of India -NCD-2019 | 
	    2.00901E+12 | 
	    04I | 
	    IPTD | 
	    100028 | 
	    20 | 
	    20 | 
	    07.12.2009 | 
	    FITCH | 
	    FITCH | 
	    AAA | 
	    AA | 
	    30.06.2016 | 
    
	  
	    | 21 | 
	    12347 | 
	    8.65% NCD Taxable Bonds SAIL-2019 | 
	    2.00901E+12 | 
	    04I | 
	    IPTD | 
	    100028 | 
	    20 | 
	    20 | 
	    30.12.2009 | 
	    FITCH | 
	    FITCH | 
	    AAA | 
	    AA | 
	    30.06.2016 | 
    
	  
	    | 22 | 
	    12384 | 
	    11.15% Sec.Red.NCD -Era Infra Engineering Ltd. | 
	    2.00901E+12 | 
	    04I | 
	    OLDB | 
	    100070 | 
	    10 | 
	    10 | 
	    27.02.2010 | 
	    CARE | 
	    CARE | 
	    A | 
	    D | 
	    31.12.2013 | 
    
	  
	    | 23 | 
	    12391 | 
	    8.95% Damodar Valley Corporation Sec.Red.Taxable NCD- | 
	    2.00901E+12 | 
	    04I | 
	    OBPT | 
	    100065 | 
	    5.6 | 
	    5.6 | 
	    26.02.2010 | 
	    FITCH | 
	    FITCH | 
	    AA | 
	    A | 
	    31.12.2014 | 
    
	  
	    | 24 | 
	    12391 | 
	    8.95% Damodar Valley Corporation Sec.Red.Taxable NCD- | 
	    2.01001E+12 | 
	    04I | 
	    OBPT | 
	    100065 | 
	    15.39 | 
	    15.39 | 
	    14.06.2010 | 
	    FITCH | 
	    FITCH | 
	    AA | 
	    A | 
	    31.12.2014 | 
    
	  
	    | 25 | 
	    12394 | 
	    8.64% TAMIL NADU ELECTRICITY BOARD 10 years(7 year P/C) | 
	    2.00901E+12 | 
	    04I | 
	    SGOA | 
	    100008 | 
	    10 | 
	    10 | 
	    29.03.2010 | 
	    CARE | 
	    CARE | 
	    A+(SO) | 
	    A-(SO) | 
	    12.12.2011 | 
    
	  
	    | 26 | 
	    12394 | 
	    8.64% TAMIL NADU ELECTRICITY BOARD 10 years(7 year P/C) | 
	    2.00901E+12 | 
	    04I | 
	    SGOA | 
	    100008 | 
	    10 | 
	    10 | 
	    29.03.2010 | 
	    CARE | 
	    CARE | 
	    A+(SO) | 
	    A-(SO) | 
	    12.12.2011 | 
    
	  
	    | 27 | 
	    12414 | 
	    8.75% Steel Authority of India NCDs - | 
	    2.01001E+12 | 
	    04I | 
	    IPTD | 
	    100028 | 
	    50 | 
	    50 | 
	    23.04.2010 | 
	    FITCH | 
	    FITCH | 
	    AAA | 
	    AA | 
	    30.06.2016 | 
    
	  
	    | 28 | 
	    12425 | 
	    8.72% Steel Authority of India 2020 -NCDs | 
	    2.01001E+12 | 
	    04I | 
	    IPTD | 
	    100028 | 
	    10.04 | 
	    10.04 | 
	    31.05.2010 | 
	    CARE | 
	    FITCH | 
	    AAA | 
	    AA | 
	    30.06.2016 | 
    
	  
	    | 29 | 
	    12425 | 
	    8.72% Steel Authority of India 2020 -NCDs | 
	    2.01001E+12 | 
	    04I | 
	    IPTD | 
	    100028 | 
	    5.02 | 
	    5.02 | 
	    21.06.2010 | 
	    CARE | 
	    FITCH | 
	    AAA | 
	    AA | 
	    30.06.2016 | 
    
	  
	    | 30 | 
	    12425 | 
	    8.72% Steel Authority of India 2020 -NCDs | 
	    2.01201E+12 | 
	    04I | 
	    IPTD | 
	    100028 | 
	    14.93 | 
	    15 | 
	    08.03.2013 | 
	    CARE | 
	    FITCH | 
	    AAA | 
	    AA | 
	    30.06.2016 | 
    
	  
	    | 31 | 
	    12429 | 
	    9.50% Gammon India-NCD (Put option-18.6.2017)-2020 | 
	    2.01001E+12 | 
	    04I | 
	    IODS | 
	    100100 | 
	    10 | 
	    10 | 
	    18.06.2010 | 
	    CARE | 
	    CARE | 
	    AA | 
	    D | 
	    31.03.2015 | 
    
	  
	    | 32 | 
	    12429 | 
	    9.50% Gammon India-NCD (Put option-18.6.2017)-2020 | 
	    2.01001E+12 | 
	    04I | 
	    IODS | 
	    100100 | 
	    10 | 
	    10 | 
	    16.11.2010 | 
	    CRISIL | 
	    CARE | 
	    AA | 
	    D | 
	    31.03.2015 | 
    
	  
	    | 33 | 
	    12447 | 
	    9.15% Tata Power Co. Ltd.2020 | 
	    2.01001E+12 | 
	    04I | 
	    IODS | 
	    100100 | 
	    10.15 | 
	    10.15 | 
	    04.08.2010 | 
	    ICRA | 
	    CRISIL | 
	    AA | 
	    AA- | 
	    31.12.2013 | 
    
	  
	    | 34 | 
	    12447 | 
	    9.15% Tata Power Co. Ltd.2020 | 
	    2.01101E+12 | 
	    04I | 
	    IODS | 
	    100100 | 
	    4.86 | 
	    4.86 | 
	    05.05.2011 | 
	    CRISIL | 
	    CRISIL | 
	    AA | 
	    AA- | 
	    31.12.2013 | 
    
	  
	    | 35 | 
	    12455 | 
	    9.15% Tata Power 2018 | 
	    2.01001E+12 | 
	    04I | 
	    IODS | 
	    100100 | 
	    10.11 | 
	    10.11 | 
	    17.08.2010 | 
	    CRISIL | 
	    CRISIL | 
	    AA | 
	    AA- | 
	    31.12.2013 | 
    
	  
	    | 36 | 
	    12493 | 
	    9% Indian Overseas Bank Upper Tier II NCDs 2026 | 
	    2.01001E+12 | 
	    04I | 
	    OBPT | 
	    100065 | 
	    10 | 
	    10 | 
	    10.01.2011 | 
	    CRISIL | 
	    CRISIL | 
	    AA | 
	    A- | 
	    31.03.2016 | 
    
	  
	    | 37 | 
	    12515 | 
	    11.25%Elder Pharma NCDs-2018 | 
	    2.01001E+12 | 
	    04I | 
	    OLDB | 
	    100070 | 
	    10 | 
	    10 | 
	    30.03.2011 | 
	    CARE | 
	    CARE | 
	    A+ | 
	    D | 
	    30.06.2013 | 
    
	  
	    | 38 | 
	    12519 | 
	    10.25% Amtek Auto 2015 | 
	    2.01101E+12 | 
	    04I | 
	    ECOS | 
	    100043 | 
	    5.07 | 
	    5.07 | 
	    19.04.2011 | 
	    CARE | 
	    CARE | 
	    AA | 
	    AA- | 
	    30.06.2015 | 
    
	  
	    | 39 | 
	    12519 | 
	    10.25% Amtek Auto 2015 | 
	    2.01101E+12 | 
	    04I | 
	    ECOS | 
	    100043 | 
	    5.06 | 
	    5.06 | 
	    19.04.2011 | 
	    CARE | 
	    CARE | 
	    AA | 
	    AA- | 
	    30.06.2015 | 
    
	  
	    | 40 | 
	    12519 | 
	    10.25% Amtek Auto 2015 | 
	    2.01101E+12 | 
	    04I | 
	    ECOS | 
	    100043 | 
	    5.07 | 
	    5.07 | 
	    20.04.2011 | 
	    CARE | 
	    CARE | 
	    AA | 
	    AA- | 
	    30.06.2015 | 
    
	  
	    | 41 | 
	    12519 | 
	    10.25% Amtek Auto 2015 | 
	    2.01101E+12 | 
	    04I | 
	    ECOS | 
	    100043 | 
	    5.06 | 
	    5.06 | 
	    21.04.2011 | 
	    CARE | 
	    CARE | 
	    AA | 
	    AA- | 
	    30.06.2015 | 
    
	  
	    | 42 | 
	    12519 | 
	    10.25% Amtek Auto 2015 | 
	    2.01201E+12 | 
	    04I | 
	    ECOS | 
	    100043 | 
	    20.15 | 
	    20 | 
	    14.02.2013 | 
	    CARE | 
	    CARE | 
	    AA | 
	    AA- | 
	    30.06.2015 | 
    
	  
	    | 43 | 
	    12519 | 
	    10.25% Amtek Auto 2015 | 
	    2.01301E+12 | 
	    04I | 
	    ECOS | 
	    100043 | 
	    20.35 | 
	    20 | 
	    22.05.2013 | 
	    CARE | 
	    CARE | 
	    AA | 
	    AA- | 
	    30.06.2015 | 
    
	  
	    | 44 | 
	    12527 | 
	    10.75% Patel Engineering Ltd.-2016 | 
	    2.01101E+12 | 
	    04I | 
	    OLDB | 
	    100070 | 
	    10.22 | 
	    10.22 | 
	    29.04.2011 | 
	    CARE | 
	    CARE | 
	    AA | 
	    BB | 
	    30.09.2014 | 
    
	  
	    | 45 | 
	    12533 | 
	    9.15% Tata Power 2019 NCDs - Secured | 
	    2.01101E+12 | 
	    04I | 
	    IODS | 
	    100100 | 
	    4.88 | 
	    4.88 | 
	    05.05.2011 | 
	    CRISIL | 
	    CRISIL | 
	    AA | 
	    AA- | 
	    31.12.2013 | 
    
	  
	    | 46 | 
	    12560 | 
	    9.35% Union Bank 2018 | 
	    2.01101E+12 | 
	    04I | 
	    EPBT | 
	    100039 | 
	    4.99 | 
	    4.99 | 
	    27.06.2011 | 
	    BRICKWORK | 
	    ICRA | 
	    AAA | 
	    AA | 
	    28.09.2012 | 
    
	  
	    | 47 | 
	    12560 | 
	    9.35% Union Bank 2018 | 
	    2.01101E+12 | 
	    04I | 
	    EPBT | 
	    100039 | 
	    4.99 | 
	    4.99 | 
	    28.06.2011 | 
	    BRICKWORK | 
	    ICRA | 
	    AAA | 
	    AA | 
	    28.09.2012 | 
    
	  
	    | 48 | 
	    12577 | 
	    9.95% Indian Hotels 2021-NCDs Secured | 
	    2.01101E+12 | 
	    04I | 
	    ECOS | 
	    100043 | 
	    10.13 | 
	    10.13 | 
	    18.08.2011 | 
	    CARE | 
	    ICRA | 
	    AA+ | 
	    AA | 
	    14.09.2012 | 
    
	  
	    | 49 | 
	    12630 | 
	    10.10% Indian Hotels | 
	    2.01101E+12 | 
	    04I | 
	    ECOS | 
	    100043 | 
	    10 | 
	    10 | 
	    24.11.2011 | 
	    CARE | 
	    ICRA | 
	    AA+ | 
	    AA | 
	    14.09.2012 | 
    
	  
	    | 50 | 
	    12666 | 
	    10.50% Reliance Infrastructure 2018 Secured | 
	    2.01101E+12 | 
	    04I | 
	    IODS | 
	    100100 | 
	    25 | 
	    25 | 
	    27.01.2012 | 
	    CRISIL | 
	    CRISIL | 
	    AA+ | 
	    A- | 
	    31.03.2016 | 
    
	  
	    | 51 | 
	    12690 | 
	    9.55% Hindalco Inds.2022 NCDs Secured | 
	    2.01201E+12 | 
	    04I | 
	    OLDB | 
	    100070 | 
	    10 | 
	    10 | 
	    08.05.2012 | 
	    CRISIL | 
	    CRISIL | 
	    AA+ | 
	    AA- | 
	    30.09.2015 | 
    
	  
	    | 52 | 
	    12690 | 
	    9.55% Hindalco Inds.2022 NCDs Secured | 
	    2.01201E+12 | 
	    04I | 
	    OLDB | 
	    100070 | 
	    10 | 
	    10 | 
	    23.05.2012 | 
	    CRISIL | 
	    CRISIL | 
	    AA+ | 
	    AA- | 
	    30.09.2015 | 
    
	  
	    | 53 | 
	    12690 | 
	    9.55% Hindalco Inds.2022 NCDs Secured | 
	    2.01301E+12 | 
	    04I | 
	    OLDB | 
	    100070 | 
	    4.89 | 
	    5 | 
	    02.01.2014 | 
	    CRISIL | 
	    CRISIL | 
	    AA+ | 
	    AA- | 
	    30.09.2015 | 
    
	  
	    | 54 | 
	    12748 | 
	    9.15% Tata Power 2017-Secured STRPPS_G NCDs | 
	    2.01201E+12 | 
	    04I | 
	    IODS | 
	    100100 | 
	    9.9 | 
	    9.9 | 
	    11.09.2012 | 
	    ICRA | 
	    CRISIL | 
	    AA | 
	    AA- | 
	    31.12.2013 | 
    
	  
	    | 55 | 
	    12779 | 
	    11.30 SREI INFRASTRUCTURE FIN 2017 | 
	    2.01201E+12 | 
	    04I | 
	    IODS | 
	    100100 | 
	    10 | 
	    10 | 
	    07.11.2012 | 
	    BRICKWORK | 
	    CARE | 
	    AA | 
	    A+ | 
	    30.06.2016 | 
    
	  
	    | 56 | 
	    12784 | 
	    10.25% SREI INFRA FIN LTD 2019 | 
	    2.01201E+12 | 
	    04I | 
	    IODS | 
	    100100 | 
	    14.99 | 
	    14.99 | 
	    26.11.2012 | 
	    CARE | 
	    CARE | 
	    AA | 
	    A+ | 
	    31.12.2015 | 
    
	  
	    | 57 | 
	    12784 | 
	    10.25% SREI INFRA FIN LTD 2019 | 
	    2.01201E+12 | 
	    04I | 
	    IODS | 
	    100100 | 
	    9.98 | 
	    9.98 | 
	    07.12.2012 | 
	    CARE | 
	    CARE | 
	    AA | 
	    A+ | 
	    31.12.2015 | 
    
	  
	    | 58 | 
	    12786 | 
	    8.93% ORIENTAL BANK OF COMMERCE LOWER TIER II BONDS OF | 
	    2.01201E+12 | 
	    04I | 
	    EPBT | 
	    100039 | 
	    15 | 
	    15 | 
	    03.12.2012 | 
	    CARE | 
	    CARE | 
	    AA+ | 
	    AA | 
	    31.03.2016 | 
    
	  
	    | 59 | 
	    12786 | 
	    8.93% ORIENTAL BANK OF COMMERCE LOWER TIER II BONDS OF | 
	    2.01201E+12 | 
	    04I | 
	    EPBT | 
	    100039 | 
	    9.99 | 
	    9.99 | 
	    04.12.2012 | 
	    CARE | 
	    CARE | 
	    AA+ | 
	    AA | 
	    31.03.2016 | 
    
	  
	    | 60 | 
	    12786 | 
	    8.93% ORIENTAL BANK OF COMMERCE LOWER TIER II BONDS OF | 
	    2.01201E+12 | 
	    04I | 
	    EPBT | 
	    100039 | 
	    9.99 | 
	    9.99 | 
	    14.12.2012 | 
	    CARE | 
	    CARE | 
	    AA+ | 
	    AA | 
	    31.03.2016 | 
    
	  
	    | 61 | 
	    12792 | 
	    10.75% Simplex Infra Ltd 2022 (put/Call 06.12.2019) | 
	    2.01201E+12 | 
	    04I | 
	    IODS | 
	    100100 | 
	    15 | 
	    15 | 
	    11.12.2012 | 
	    CARE | 
	    CARE | 
	    AA | 
	    A | 
	    31.12.2015 | 
    
	  
	    | 62 | 
	    12795 | 
	    IDBI 8.99% 19-Dec-12 INE008A08U50 | 
	    2.01201E+12 | 
	    04I | 
	    EPBT | 
	    100039 | 
	    15 | 
	    15 | 
	    19.12.2012 | 
	    ICRA | 
	    CRISIL | 
	    AA+ | 
	    AA | 
	    31.03.2016 | 
    
	  
	    | 63 | 
	    12840 | 
	    9.71% Deepak Fertilizers & Petrochem-Sec-2018 | 
	    2.01201E+12 | 
	    04I | 
	    OLDB | 
	    100070 | 
	    20.1 | 
	    20 | 
	    06.03.2013 | 
	    CARE | 
	    CARE | 
	    AA | 
	    AA- | 
	    31.12.2015 | 
    
	  
	    | 64 | 
	    12854 | 
	    9.40% Tata Power Co.Ltd. 2022 Secured NCD | 
	    2.01301E+12 | 
	    04I | 
	    IODS | 
	    100100 | 
	    10 | 
	    10 | 
	    12.04.2013 | 
	    CARE | 
	    CRISIL | 
	    AA | 
	    AA- | 
	    31.12.2013 | 
    
	  
	    | 65 | 
	    12885 | 
	    9.80% Reliance Infrastructure Ltd. 2018-SEC NCD | 
	    2.01301E+12 | 
	    04I | 
	    IODS | 
	    100100 | 
	    5 | 
	    5 | 
	    03.07.2013 | 
	    BRICKWORK | 
	    BRICKWORK | 
	    AA | 
	    AA- | 
	    30.06.2015 | 
    
	  
	    | 66 | 
	    12886 | 
	    9.17% STERLITE INDUSTRIES (I) LTD SEC NCD 2023 | 
	    2.01301E+12 | 
	    04I | 
	    OLDB | 
	    100070 | 
	    20 | 
	    20 | 
	    10.07.2013 | 
	    CRISIL | 
	    CRISIL | 
	    AA+ | 
	    AA- | 
	    31.03.2016 | 
    
	  
	    | 67 | 
	    12886 | 
	    9.17% STERLITE INDUSTRIES (I) LTD SEC NCD 2023 | 
	    2.01301E+12 | 
	    04I | 
	    OLDB | 
	    100070 | 
	    18.94 | 
	    20 | 
	    27.08.2013 | 
	    CRISIL | 
	    CRISIL | 
	    AA+ | 
	    AA- | 
	    31.03.2016 | 
    
	  
	    | 68 | 
	    12897 | 
	    10% RELIANCE INFRASTRUCTURE LTD 2020 SEC NCD | 
	    2.01301E+12 | 
	    04I | 
	    IODS | 
	    100100 | 
	    24.93 | 
	    25 | 
	    31.07.2013 | 
	    BRICKWORK | 
	    BRICKWORK | 
	    AA | 
	    AA- | 
	    30.06.2015 | 
    
	  
	    | 69 | 
	    12897 | 
	    10% RELIANCE INFRASTRUCTURE LTD 2020 SEC NCD | 
	    2.01301E+12 | 
	    04I | 
	    IODS | 
	    100100 | 
	    2.96 | 
	    3 | 
	    10.10.2013 | 
	    BRICKWORK | 
	    BRICKWORK | 
	    AA | 
	    AA- | 
	    30.06.2015 | 
    
	  
	    | 70 | 
	    12905 | 
	    9.55% HINDALCO INDS.2022 SEC NCD | 
	    2.01301E+12 | 
	    04I | 
	    OLDB | 
	    100070 | 
	    19.99 | 
	    20 | 
	    05.08.2013 | 
	    CRISIL | 
	    CRISIL | 
	    AA+ | 
	    AA- | 
	    30.09.2015 | 
    
	  
	    | 71 | 
	    12905 | 
	    9.55% HINDALCO INDS.2022 SEC NCD | 
	    2.01301E+12 | 
	    04I | 
	    OLDB | 
	    100070 | 
	    9.82 | 
	    10 | 
	    06.12.2013 | 
	    CRISIL | 
	    CRISIL | 
	    AA+ | 
	    AA- | 
	    30.09.2015 | 
    
	  
	    | 72 | 
	    12906 | 
	    10% RELIANCE INFRASTRUCTURE LTD AUGUST 2020 SEC NCD | 
	    2.01301E+12 | 
	    04I | 
	    IODS | 
	    100100 | 
	    25 | 
	    25 | 
	    08.08.2013 | 
	    BRICKWORK | 
	    BRICKWORK | 
	    AA | 
	    AA- | 
	    30.06.2015 | 
    
	  
	    | 73 | 
	    12913 | 
	    9.80% Reliance Infrastructure Ltd July 2018 Sec Ncd | 
	    2.01301E+12 | 
	    04I | 
	    IODS | 
	    100100 | 
	    24.34 | 
	    25 | 
	    28.08.2013 | 
	    BRICKWORK | 
	    BRICKWORK | 
	    AA | 
	    AA- | 
	    30.06.2015 | 
    
	  
	    | 74 | 
	    12913 | 
	    9.80% Reliance Infrastructure Ltd July 2018 Sec Ncd | 
	    2.01301E+12 | 
	    04I | 
	    IODS | 
	    100100 | 
	    14.6 | 
	    15 | 
	    05.09.2013 | 
	    BRICKWORK | 
	    BRICKWORK | 
	    AA | 
	    AA- | 
	    30.06.2015 | 
    
	  
	    | 75 | 
	    12913 | 
	    9.80% Reliance Infrastructure Ltd July 2018 Sec Ncd | 
	    2.01301E+12 | 
	    04I | 
	    IODS | 
	    100100 | 
	    9.75 | 
	    10 | 
	    23.09.2013 | 
	    BRICKWORK | 
	    BRICKWORK | 
	    AA | 
	    AA- | 
	    30.06.2015 | 
    
	  
	    | 76 | 
	    12928 | 
	    9.10% STERLITE INDUSTRIES LTD 2023 SEC NCD | 
	    2.01301E+12 | 
	    04I | 
	    OLDB | 
	    100070 | 
	    9.55 | 
	    10 | 
	    04.10.2013 | 
	    CRISIL | 
	    CRISIL | 
	    AA+ | 
	    AA- | 
	    31.03.2016 | 
    
	  
	    | 77 | 
	    12938 | 
	    10.20% RELIANCE INFRA LTD SEC NCD OCT 2020 | 
	    2.01301E+12 | 
	    04I | 
	    IODS | 
	    100100 | 
	    25 | 
	    25 | 
	    01.11.2013 | 
	    BRICKWORK | 
	    BRICKWORK | 
	    AA | 
	    AA- | 
	    30.06.2015 | 
    
	  
	    | 78 | 
	    12946 | 
	    10.20% RELIANCE INFRA LTD SEC NCD OCT 2020 SERIES 17 | 
	    2.01301E+12 | 
	    04I | 
	    IODS | 
	    100100 | 
	    25 | 
	    25 | 
	    18.11.2013 | 
	    BRICKWORK | 
	    BRICKWORK | 
	    AA | 
	    AA- | 
	    30.06.2015 | 
    
	  
	    | 79 | 
	    12983 | 
	    9.60% HINDALCO INDUSTRIES LTD 2022 SEC NCD | 
	    2.01401E+12 | 
	    04I | 
	    OLDB | 
	    100070 | 
	    19.5 | 
	    20 | 
	    16.04.2014 | 
	    CARE | 
	    CRISIL | 
	    AA+ | 
	    AA- | 
	    30.09.2015 | 
    
	  
	    | 80 | 
	    13044 | 
	    9.40% STERLITE INDUSTRIES (I) LTD. SEC NCD - 2022 | 
	    2.01401E+12 | 
	    04I | 
	    OLDB | 
	    100070 | 
	    4.96 | 
	    5 | 
	    05.09.2014 | 
	    CRISIL | 
	    CRISIL | 
	    AA+ | 
	    AA- | 
	    31.03.2016 | 
    
	  
	    | 81 | 
	    13044 | 
	    9.40% STERLITE INDUSTRIES (I) LTD. SEC NCD - 2022 | 
	    2.01401E+12 | 
	    04I | 
	    OLDB | 
	    100070 | 
	    4.96 | 
	    5 | 
	    08.09.2014 | 
	    CRISIL | 
	    CRISIL | 
	    AA+ | 
	    AA- | 
	    31.03.2016 | 
    
	  
	    | 82 | 
	    13061 | 
	    10.20% JSW STEEL LTD - 2017 SEC. NCD | 
	    2.01401E+12 | 
	    04I | 
	    OLDB | 
	    100070 | 
	    10.08 | 
	    10 | 
	    30.10.2014 | 
	    CARE | 
	    CARE | 
	    AA | 
	    AA- | 
	    31.03.2016 | 
    
	  
	    | 83 | 
	    13061 | 
	    10.20% JSW STEEL LTD - 2017 SEC. NCD | 
	    2.01401E+12 | 
	    04I | 
	    OLDB | 
	    100070 | 
	    25.4 | 
	    25 | 
	    18.11.2014 | 
	    CARE | 
	    CARE | 
	    AA | 
	    AA- | 
	    31.03.2016 | 
    
	  
	    | 84 | 
	    13063 | 
	    9.36%SESA STERLITE  LTD - 2017 | 
	    2.01401E+12 | 
	    04I | 
	    OLDB | 
	    100070 | 
	    10 | 
	    10 | 
	    05.11.2014 | 
	    CRISIL | 
	    CRISIL | 
	    AA+ | 
	    AA- | 
	    31.03.2016 | 
    
	  
	    | 85 | 
	    13087 | 
	    10.50% AMTEK AUTO LIMITED - 2020 | 
	    2.01401E+12 | 
	    04I | 
	    OLDB | 
	    100070 | 
	    25 | 
	    25 | 
	    09.01.2015 | 
	    CARE | 
	    CARE | 
	    AA | 
	    D | 
	    31.12.2015 | 
    
	  
	    | 86 | 
	    13087 | 
	    10.50% AMTEK AUTO LIMITED - 2020 | 
	    2.01401E+12 | 
	    04I | 
	    OLDB | 
	    100070 | 
	    10 | 
	    10 | 
	    02.03.2015 | 
	    CARE | 
	    CARE | 
	    AA | 
	    D | 
	    31.12.2015 | 
    
	  
	    | 87 | 
	    13148 | 
	    9.72% JSW STEEL LIMITED-2019 | 
	    2.01501E+12 | 
	    04I | 
	    OLDB | 
	    100070 | 
	    25.39 | 
	    25 | 
	    11.05.2015 | 
	    CARE | 
	    CARE | 
	    AA | 
	    AA- | 
	    31.03.2016 | 
    
	  
	    | 88 | 
	    13224 | 
	    8.23%  PNB HOUSING FINANCE LTD., -    2019 | 
	    2.01501E+12 | 
	    04I | 
	    HTDN | 
	    100016 | 
	    20 | 
	    20 | 
	    14.10.2015 | 
	    ICRA | 
	    ICRA | 
	    AAA | 
	    AA+ | 
	    31.03.2016 | 
    
	  
	     | 
	     | 
	     | 
	     | 
	     | 
	     | 
	     | 
	     | 
	     | 
	     | 
	     | 
	     | 
	     | 
	     | 
	     | 
    
	  
	    | * | 
	     | 
	     | 
	     | 
	     | 
	     | 
	     | 
	    1,213.75 | 
	    1,262.85 | 
	     | 
	     | 
	     | 
	     | 
	     | 
	     |