| FORM NL-37 | 
  DOWNGRADING OF
  INVESTMENTS | 
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  | 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 | 
  Remarks | 
 
 
  | A | 
   | 
  DURING THE QUARTER | 
   | 
   | 
   | 
   | 
  0.00 | 
  0.00 | 
   | 
   | 
   | 
   | 
   | 
   | 
   | 
 
 
  |  1 | 
  0000000012415 | 
  9.85%First Blue Home Finance Ltd(Deutsche Postbank HomeFin) | 
  2010010100029 | 
  04I | 
  HTDN | 
  100016 | 
  5.00 | 
  5.00 | 
  4/27/2010 | 
  FITCH | 
  CARE | 
  AA | 
  A+ | 
  3/31/2019 | 
   | 
 
 
  |  2 | 
  0000000012464 | 
  9.70% Dewan Housing Finance Corp.-2020 | 
  2010010100154 | 
  04I | 
  HTDN | 
  100016 | 
  15.00 | 
  15.00 | 
  10/22/2010 | 
  CARE | 
  CARE | 
  AA | 
  AA- | 
  3/31/2019 | 
   | 
 
 
  |  3 | 
  0000000012514 | 
  10.40% Dewan Housing 
  Finance 24.11.2020 | 
  2010010100251 | 
  04I | 
  HTDN | 
  100016 | 
  10.00 | 
  10.00 | 
  3/16/2011 | 
  BRICKWORK | 
  BRICKWORK | 
  AAA | 
  AA | 
  3/31/2019 | 
   | 
 
 
  |  4 | 
  0000000012565 | 
  10.50% Reliance capital Ltd.2021 | 
  2011010100112 | 
  04I | 
  OLDB | 
  100070 | 
  10.00 | 
  10.00 | 
  7/15/2011 | 
  CARE | 
  BRICKWORK | 
  AA+ | 
  A+ | 
  3/31/2019 | 
   | 
 
 
  |  5 | 
  0000000012565 | 
  10.50% Reliance capital Ltd.2021 | 
  2011010100113 | 
  04I | 
  OLDB | 
  100070 | 
  5.00 | 
  5.00 | 
  7/18/2011 | 
  CARE | 
  BRICKWORK | 
  AA+ | 
  A+ | 
  3/31/2019 | 
   | 
 
 
  |  6 | 
  0000000012599 | 
  11% Dewan Housing Fin.Corp Ltd.2021-NCDs | 
  2011010100170 | 
  04I | 
  HTDN | 
  100016 | 
  5.00 | 
  5.00 | 
  9/29/2011 | 
  CARE | 
  BRICKWORK | 
  AA+ | 
  AA | 
  3/31/2019 | 
   | 
 
 
  |  7 | 
  0000000012599 | 
  11% Dewan Housing Fin.Corp Ltd.2021-NCDs | 
  2011010100270 | 
  04I | 
  HTDN | 
  100016 | 
  9.99 | 
  9.99 | 
  1/25/2012 | 
  CARE | 
  BRICKWORK | 
  AA+ | 
  AA | 
  3/31/2019 | 
   | 
 
 
  |  8 | 
  0000000012611 | 
  10.75% Reliance Capital - 2021 NCDs | 
  2011010100198 | 
  04I | 
  OLDB | 
  100070 | 
  10.00 | 
  10.00 | 
  11/1/2011 | 
  CARE | 
  BRICKWORK | 
  AA+ | 
  A+ | 
  3/31/2019 | 
   | 
 
 
  |  9 | 
  0000000012611 | 
  10.75% Reliance Capital - 2021 NCDs | 
  2011010100199 | 
  04I | 
  OLDB | 
  100070 | 
  5.00 | 
  5.00 | 
  10/31/2011 | 
  CARE | 
  BRICKWORK | 
  AA+ | 
  A+ | 
  3/31/2019 | 
   | 
 
 
  | 10 | 
  0000000012639 | 
  10.75% Reliance Capital 2021 | 
  2011010100238 | 
  04I | 
  OLDB | 
  100070 | 
  9.99 | 
  9.99 | 
  12/21/2011 | 
  CARE | 
  CARE | 
  AA+ | 
  A+ | 
  3/31/2019 | 
   | 
 
 
  | 11 | 
  0000000012639 | 
  10.75% Reliance Capital 2021 | 
  2011010100243 | 
  04I | 
  OLDB | 
  100070 | 
  9.99 | 
  9.99 | 
  1/5/2012 | 
  CARE | 
  CARE | 
  AA+ | 
  A+ | 
  3/31/2019 | 
   | 
 
 
  | 12 | 
  0000000012665 | 
  10.75% Reliance Capital 2021 -Unsecured | 
  2011010100303 | 
  04I | 
  OLDB | 
  100070 | 
  9.89 | 
  9.89 | 
  2/17/2012 | 
  CARE | 
  CARE | 
  AA+ | 
  A+ | 
  3/31/2019 | 
   | 
 
 
  | 13 | 
  0000000012665 | 
  10.75% Reliance Capital 2021 -Unsecured | 
  2011010100307 | 
  04I | 
  OLDB | 
  100070 | 
  9.89 | 
  9.89 | 
  2/21/2012 | 
  CARE | 
  CARE | 
  AA+ | 
  A+ | 
  3/31/2019 | 
   | 
 
 
  | 14 | 
  0000000012673 | 
  10.60% Reliance Capital  NCDs -2022 | 
  2011010100322 | 
  04I | 
  OLDB | 
  100070 | 
  9.98 | 
  9.98 | 
  3/7/2012 | 
  CARE | 
  BRICKWORK | 
  AA+ | 
  A+ | 
  3/31/2019 | 
   | 
 
 
  | 15 | 
  0000000012673 | 
  10.60% Reliance Capital  NCDs -2022 | 
  2011010100325 | 
  04I | 
  OLDB | 
  100070 | 
  4.99 | 
  4.99 | 
  3/9/2012 | 
  CARE | 
  BRICKWORK | 
  AA+ | 
  A+ | 
  3/31/2019 | 
   | 
 
 
  | 16 | 
  0000000012777 | 
  9.45% IDEA CELLULAR | 
  2012010100231 | 
  04I | 
  IODS | 
  100100 | 
  15.00 | 
  15.00 | 
  11/6/2012 | 
  CARE | 
  CARE | 
  AA | 
  AA- | 
  3/31/2019 | 
   | 
 
 
  | 17 | 
  0000000012777 | 
  9.45% IDEA CELLULAR | 
  2012010100260 | 
  04I | 
  IODS | 
  100100 | 
  15.04 | 
  15.04 | 
  12/4/2012 | 
  CARE | 
  CARE | 
  AA | 
  AA- | 
  3/31/2019 | 
   | 
 
 
  | 18 | 
  0000000012777 | 
  9.45% IDEA CELLULAR | 
  2012010100298 | 
  04I | 
  IODS | 
  100100 | 
  15.05 | 
  15.00 | 
  1/8/2013 | 
  CARE | 
  CARE | 
  AA | 
  AA- | 
  3/31/2019 | 
   | 
 
 
  | 19 | 
  0000000012777 | 
  9.45% IDEA CELLULAR | 
  2014010100427 | 
  04I | 
  IODS | 
  100100 | 
  5.07 | 
  5.00 | 
  3/17/2015 | 
  CARE | 
  CARE | 
  AA | 
  AA- | 
  3/31/2019 | 
   | 
 
 
  | 20 | 
  0000000012777 | 
  9.45% IDEA CELLULAR | 
  2014010100429 | 
  04I | 
  IODS | 
  100100 | 
  5.07 | 
  5.00 | 
  3/18/2015 | 
  CARE | 
  CARE | 
  AA | 
  AA- | 
  3/31/2019 | 
   | 
 
 
  | 21 | 
  0000000012789 | 
  9.95% RELIANCE CAPITAL 2022 | 
  2012010100266 | 
  04I | 
  OLDB | 
  100070 | 
  15.00 | 
  15.00 | 
  12/5/2012 | 
  CARE | 
  CARE | 
  AAA | 
  A+ | 
  3/31/2019 | 
   | 
 
 
  | 22 | 
  0000000012789 | 
  9.95% RELIANCE CAPITAL 2022 | 
  2012010100276 | 
  04I | 
  OLDB | 
  100070 | 
  15.04 | 
  15.04 | 
  12/19/2012 | 
  CARE | 
  CARE | 
  AAA | 
  A+ | 
  3/31/2019 | 
   | 
 
 
  | 23 | 
  0000000012789 | 
  9.95% RELIANCE CAPITAL 2022 | 
  2012010100302 | 
  04I | 
  OLDB | 
  100070 | 
  20.14 | 
  20.00 | 
  1/14/2013 | 
  CARE | 
  CARE | 
  AAA | 
  A+ | 
  3/31/2019 | 
   | 
 
 
  | 24 | 
  0000000012818 | 
  10.25% Reliance Capital  Sec NCDs -2022 | 
  2012010100317 | 
  04I | 
  OLDB | 
  100070 | 
  15.36 | 
  15.00 | 
  1/29/2013 | 
  CARE | 
  CARE | 
  AAA | 
  A+ | 
  3/31/2019 | 
   | 
 
 
  | 25 | 
  0000000012829 | 
  9.90% RELIANCE CAPITAL SEC NCD 2023 | 
  2012010100343 | 
  04I | 
  OLDB | 
  100070 | 
  25.14 | 
  25.00 | 
  2/14/2013 | 
  CARE | 
  CARE | 
  AAA | 
  A+ | 
  3/31/2019 | 
   | 
 
 
  | 26 | 
  0000000012829 | 
  9.90% RELIANCE CAPITAL SEC NCD 2023 | 
  2013010100125 | 
  04I | 
  OLDB | 
  100070 | 
  26.09 | 
  25.00 | 
  7/9/2013 | 
  CARE | 
  CARE | 
  AAA | 
  A+ | 
  3/31/2019 | 
   | 
 
 
  | 27 | 
  0000000012872 | 
  9.5% RELIANCE HOME FINANCE LTD 2023  UNSEC | 
  2013010100066 | 
  04I | 
  OLDB | 
  100070 | 
  24.99 | 
  25.00 | 
  6/3/2013 | 
  CARE | 
  CARE | 
  AA | 
  A+ | 
  3/31/2019 | 
   | 
 
 
  | 28 | 
  0000000012948 | 
  10.70% Dewan Housing-2023 Secured Red. NCD Sr. XII Tranche-9 | 
  2013010100317 | 
  04I | 
  HTDN | 
  100016 | 
  15.00 | 
  15.00 | 
  11/27/2013 | 
  BRICKWORK | 
  BRICKWORK | 
  AAA | 
  AA | 
  3/31/2019 | 
   | 
 
 
  | 29 | 
  0000000012948 | 
  10.70% Dewan Housing-2023 Secured Red. NCD Sr. XII Tranche-9 | 
  2013010100318 | 
  04I | 
  HTDN | 
  100016 | 
  10.00 | 
  10.00 | 
  12/2/2013 | 
  BRICKWORK | 
  BRICKWORK | 
  AAA | 
  AA | 
  3/31/2019 | 
   | 
 
 
  | 30 | 
  0000000013028 | 
  9.42% RELIANCE CAPITAL LTD 2024 | 
  2014010100160 | 
  04I | 
  OLDB | 
  100070 | 
  25.00 | 
  25.00 | 
  8/5/2014 | 
  CARE | 
  CARE | 
  AAA | 
  A+ | 
  3/31/2019 | 
   | 
 
 
  | 31 | 
  0000000013028 | 
  9.42% RELIANCE CAPITAL LTD 2024 | 
  2014010100167 | 
  04I | 
  OLDB | 
  100070 | 
  15.00 | 
  15.00 | 
  8/6/2014 | 
  CARE | 
  CARE | 
  AAA | 
  A+ | 
  3/31/2019 | 
   | 
 
 
  | 32 | 
  0000000013035 | 
  9.95% DEWAN HOUSING FINANCE CO.LTD. 2024 | 
  2014010100185 | 
  04I | 
  HTDN | 
  100016 | 
  19.87 | 
  20.00 | 
  8/22/2014 | 
  CARE | 
  CARE | 
  AAA | 
  AA- | 
  3/31/2019 | 
   | 
 
 
  | 33 | 
  0000000013035 | 
  9.95% DEWAN HOUSING FINANCE CO.LTD. 2024 | 
  2014010100216 | 
  04I | 
  HTDN | 
  100016 | 
  14.99 | 
  15.00 | 
  9/19/2014 | 
  CARE | 
  CARE | 
  AAA | 
  AA- | 
  3/31/2019 | 
   | 
 
 
  | 34 | 
  0000000013050 | 
  10.10% RELIANCE CAPITAL LTD 2022 NCD | 
  2014010100212 | 
  04I | 
  OLDB | 
  100070 | 
  5.16 | 
  5.00 | 
  9/12/2014 | 
  CARE | 
  CARE | 
  AAA | 
  A+ | 
  3/31/2019 | 
   | 
 
 
  | 35 | 
  0000000013069 | 
  9.32% RELIANCE CAPITAL LIMITED - 2024 | 
  2014010100281 | 
  04I | 
  OLDB | 
  100070 | 
  20.00 | 
  20.00 | 
  11/21/2014 | 
  CARE | 
  CARE | 
  AAA | 
  A+ | 
  3/31/2019 | 
   | 
 
 
  | 36 | 
  0000000013129 | 
  9.80%AADHAR HOUSING FINANCE LTD. 2025 | 
  2014010100431 | 
  04I | 
  HTDA | 
  100017 | 
  25.00 | 
  25.00 | 
  3/25/2015 | 
  CARE | 
  CARE | 
  AA+(SO) | 
  AA | 
  3/31/2019 | 
   | 
 
 
  | 37 | 
  0000000013172 | 
  9.50% DEWAN HOUSING FINANCE CORPORATION LTD.-2020 | 
  2015010100109 | 
  04I | 
  HTDN | 
  100016 | 
  15.00 | 
  15.00 | 
  7/14/2015 | 
  CARE | 
  CARE | 
  AAA | 
  AA- | 
  3/31/2019 | 
   | 
 
 
  | 38 | 
  0000000013184 | 
  8.56%PNB HOUSING FINANCE LTD. - 2020 | 
  2015010100131 | 
  04I | 
  HTDN | 
  100016 | 
  10.00 | 
  10.00 | 
  7/31/2015 | 
  CARE | 
  FITCH | 
  AAA | 
  AA+ | 
  3/31/2019 | 
   | 
 
 
  | 39 | 
  0000000013184 | 
  8.56%PNB HOUSING FINANCE LTD. - 2020 | 
  2018010100495 | 
  04I | 
  HTDN | 
  100016 | 
  29.96 | 
  30.00 | 
  7/26/2018 | 
  CARE | 
  FITCH | 
  AAA | 
  AA+ | 
  3/31/2019 | 
   | 
 
 
  | 40 | 
  0000000013196 | 
  9.45% DEWAN HOUSING FINANCE CORPORATION LTD. - 2020 | 
  2015010100160 | 
  04I | 
  HTDN | 
  100016 | 
  10.00 | 
  10.00 | 
  9/2/2015 | 
  BRICKWORK | 
  CARE | 
  AAA | 
  AA- | 
  3/31/2019 | 
   | 
 
 
  | 41 | 
  0000000013294 | 
  8.36% PNB HOUSING FINANCE LTD. - 2019 | 
  2015010100424 | 
  04I | 
  HTDN | 
  100016 | 
  25.00 | 
  25.00 | 
  1/19/2016 | 
  FITCH | 
  FITCH | 
  AAA | 
  AA+ | 
  3/31/2019 | 
   | 
 
 
  | 42 | 
  0000000013388 | 
  9.10% Reliance General Insurance Co. Ltd. 2026 | 
  2016010100127 | 
  04I | 
  OLDB | 
  100070 | 
  20.00 | 
  20.00 | 
  8/18/2016 | 
  BRICKWORK | 
  CARE | 
  AA | 
  AA- | 
  3/31/2019 | 
   | 
 
 
  | 43 | 
  0000000013394 | 
  9.30% Dewan Housing Finance Corporation Ltd.- 2026 | 
  2016010100135 | 
  04I | 
  HTDN | 
  100016 | 
  20.09 | 
  20.00 | 
  8/29/2016 | 
  CARE | 
  CARE | 
  AAA | 
  AA- | 
  3/31/2019 | 
   | 
 
 
  | 44 | 
  0000000013399 | 
  9.15% DEWAN HOUSING FINANCE CORPORATION LTD. 2021 | 
  2016010100142 | 
  04I | 
  HTDN | 
  100016 | 
  14.96 | 
  15.00 | 
  9/14/2016 | 
  BRICKWORK | 
  CARE | 
  AAA | 
  AA- | 
  3/31/2019 | 
   | 
 
 
  | 45 | 
  0000000013400 | 
  9.10% DEWAN HOUSING FINANCE CORPORATION LTD. 2019 | 
  2016010100141 | 
  04I | 
  HTDN | 
  100016 | 
  9.98 | 
  10.00 | 
  9/14/2016 | 
  BRICKWORK | 
  CARE | 
  AAA | 
  AA- | 
  3/31/2019 | 
   | 
 
 
  | 46 | 
  0000000013401 | 
  8.90% Reliance Capital Ltd., - 2021 | 
  2016010100143 | 
  04I | 
  OLDB | 
  100070 | 
  25.00 | 
  25.00 | 
  9/14/2016 | 
  BRICKWORK | 
  CARE | 
  AAA | 
  A+ | 
  3/31/2019 | 
   | 
 
 
  | 47 | 
  0000000013402 | 
  9.00% Reliance Capital Ltd.,-2026 | 
  2016010100144 | 
  04I | 
  OLDB | 
  100070 | 
  20.00 | 
  20.00 | 
  9/15/2016 | 
  CARE | 
  CARE | 
  AAA | 
  A+ | 
  3/31/2019 | 
   | 
 
 
  | 48 | 
  0000000013405 | 
  7.95% PNB HOUSING FINANCE LTD. - 2019 | 
  2016010100145 | 
  04I | 
  HTDN | 
  100016 | 
  20.00 | 
  20.00 | 
  9/22/2016 | 
  FITCH | 
  FITCH | 
  AAA | 
  AA+ | 
  3/31/2019 | 
   | 
 
 
  | 49 | 
  0000000013484 | 
  7.46% PNB HOUSINF FINANCE LTD.-2020(SECURED) NC BONDS | 
  2016010100329 | 
  04I | 
  HTDN | 
  100016 | 
  30.00 | 
  30.00 | 
  2/6/2017 | 
  FITCH | 
  FITCH | 
  AAA | 
  AA+ | 
  3/31/2019 | 
   | 
 
 
  | 50 | 
  0000000013492 | 
  8.25% Sec.NCD Reliance Capital 2020, Series II | 
  2016010100373 | 
  04I | 
  OLDB | 
  100070 | 
  15.00 | 
  15.00 | 
  2/16/2017 | 
  CARE | 
  CARE | 
  AAA | 
  A+ | 
  3/31/2019 | 
   | 
 
 
  | 51 | 
  0000000013521 | 
  8.47% PNB Housing Finance Ltd. - 2021 (SECURED) | 
  2016010100452 | 
  04I | 
  HTDN | 
  100016 | 
  25.77 | 
  25.00 | 
  3/30/2017 | 
  CARE | 
  FITCH | 
  AAA | 
  AA+ | 
  3/31/2019 | 
   | 
 
 
  | 52 | 
  0000000013535 | 
  7.80% PNB HOUSING FINANCE LTD-2021-SEC RED NCD | 
  2017010100071 | 
  04I | 
  HTDN | 
  100016 | 
  30.00 | 
  30.00 | 
  5/12/2017 | 
  FITCH | 
  FITCH | 
  AAA | 
  AA+ | 
  3/31/2019 | 
   | 
 
 
  | 53 | 
  0000000013535 | 
  7.80% PNB HOUSING FINANCE LTD-2021-SEC RED NCD | 
  2017010100093 | 
  04I | 
  HTDN | 
  100016 | 
  15.00 | 
  15.00 | 
  5/23/2017 | 
  FITCH | 
  FITCH | 
  AAA | 
  AA+ | 
  3/31/2019 | 
   | 
 
 
  | 54 | 
  0000000013553 | 
  7.63% PNB Housing 
  Finance Ltd. -2020 | 
  2017010100144 | 
  04I | 
  HTDN | 
  100016 | 
  30.00 | 
  30.00 | 
  6/20/2017 | 
  CARE | 
  FITCH | 
  AAA | 
  AA+ | 
  3/31/2019 | 
   | 
 
 
  | 55 | 
  0000000013553 | 
  7.63% PNB Housing 
  Finance Ltd. -2020 | 
  2018010100123 | 
  04I | 
  HTDN | 
  100016 | 
  29.67 | 
  30.00 | 
  5/2/2018 | 
  CARE | 
  FITCH | 
  AAA | 
  AA+ | 
  3/31/2019 | 
   | 
 
 
  | 56 | 
  0000000013591 | 
  7.25% PNB Housing 2019 | 
  2017010100338 | 
  04I | 
  HTDN | 
  100016 | 
  30.00 | 
  30.00 | 
  9/8/2017 | 
  FITCH | 
  FITCH | 
  AAA | 
  AA+ | 
  3/31/2019 | 
   | 
 
 
  | 57 | 
  0000000013607 | 
  7.28%PNB Housing Finance Ltd. 2019 | 
  2017010100498 | 
  04I | 
  HTDN | 
  100016 | 
  29.91 | 
  30.00 | 
  11/7/2017 | 
  CARE | 
  FITCH | 
  AAA | 
  AA+ | 
  3/31/2019 | 
   | 
 
 
  | 58 | 
  0000000013617 | 
  7.58% PNB HOUSING FINANCE LTD 2021 SEC RED NC BONDS | 
  2017010100534 | 
  04I | 
  HTDN | 
  100016 | 
  25.00 | 
  25.00 | 
  11/21/2017 | 
  FITCH | 
  FITCH | 
  AAA | 
  AA+ | 
  3/31/2019 | 
   | 
 
 
  | 59 | 
  0000000013640 | 
  7.63% PNB Housing 2020 | 
  2017010100634 | 
  04I | 
  HTDN | 
  100016 | 
  24.82 | 
  25.00 | 
  1/4/2018 | 
  CARE | 
  FITCH | 
  AAA | 
  AA+ | 
  3/31/2019 | 
   | 
 
 
  | 60 | 
  0000000013640 | 
  7.63% PNB Housing 2020 | 
  2018010100021 | 
  04I | 
  HTDN | 
  100016 | 
  24.85 | 
  25.00 | 
  4/11/2018 | 
  CARE | 
  FITCH | 
  AAA | 
  AA+ | 
  3/31/2019 | 
   | 
 
 
  | 61 | 
  0000000013651 | 
  7.44% PNB HOUSING FINANCE LIMITED - 2019 | 
  2017010100680 | 
  04I | 
  HTDN | 
  100016 | 
  24.75 | 
  25.00 | 
  1/22/2018 | 
  CARE | 
  FITCH | 
  AAA | 
  AA+ | 
  3/31/2019 | 
   | 
 
 
  | 62 | 
  0000000013724 | 
  7.50% PNB HOUSING 2020 | 
  2018010100080 | 
  04I | 
  ECOS | 
  100043 | 
  24.68 | 
  25.00 | 
  4/20/2018 | 
  FITCH | 
  FITCH | 
  AAA | 
  AA+ | 
  3/31/2019 | 
   | 
 
 
  | B | 
   | 
  AS ON DATE | 
   | 
   | 
   | 
   | 
  0.00 | 
  0.00 | 
   | 
   | 
   | 
   | 
   | 
   | 
   | 
 
 
  |  1 | 
  0000000011426 | 
  MAHARASHTRA STATE ROAD DEVELOPMENT CORPORATION LTD | 
  2005010100458 | 
  04I | 
  SGOA | 
  100008 | 
  27.00 | 
  75.00 | 
  12/31/2005 | 
  CARE | 
  CARE | 
  AAA | 
  BBB+ | 
  9/30/2013 | 
   | 
 
 
  |  2 | 
  0000000011467 | 
  5.95% KARNATAKA WATER AND SANITATION POOLED FUND | 
  2005010100591 | 
  04I | 
  IPFD | 
  100033 | 
  5.00 | 
  5.00 | 
  12/31/2005 | 
  CARE | 
   | 
   | 
  AA+ | 
  12/31/2016 | 
  Rating is not available on the date of Purchase | 
 
 
  |  3 | 
  0000000011947 | 
  9.35% JINDAL STAINLESS 2022 | 
  2005010100912 | 
  04I | 
  OLDB | 
  100070 | 
  10.00 | 
  10.00 | 
  2/1/2006 | 
  CARE | 
  CARE | 
  AA | 
  BBB- | 
  9/30/2018 | 
   | 
 
 
  |  4 | 
  0000000012264 | 
  10.50% Sec.Red.NC Gammon India Ltd. | 
  2009010100005 | 
  04I | 
  IODS | 
  100100 | 
  15.00 | 
  15.00 | 
  5/7/2009 | 
  CARE | 
  CARE | 
  AA | 
  D | 
  12/31/2014 | 
   | 
 
 
  |  5 | 
  0000000012270 | 
  8.81% 2019 Tamilnadu Electricity Board | 
  2009010100016 | 
  04I | 
  SGOA | 
  100008 | 
  10.00 | 
  10.00 | 
  5/4/2009 | 
  CARE | 
  ICRA | 
  A+(SO) | 
  A-(SO) | 
  12/12/2011 | 
   | 
 
 
  |  6 | 
  0000000012270 | 
  8.81% 2019 Tamilnadu Electricity Board | 
  2009010100036 | 
  04I | 
  SGOA | 
  100008 | 
  10.08 | 
  10.08 | 
  6/8/2009 | 
  CARE | 
  ICRA | 
  A+(SO) | 
  A-(SO) | 
  12/12/2011 | 
   | 
 
 
  |  7 | 
  0000000012271 | 
  13%Sec Red NCDs of Era Infra Engineering Ltd | 
  2009010100029 | 
  04I | 
  OLDB | 
  100070 | 
  20.00 | 
  20.00 | 
  6/5/2009 | 
  CARE | 
  CARE | 
  A | 
  D | 
  12/31/2013 | 
   | 
 
 
  |  8 | 
  0000000012272 | 
  11% Bharati Shipyard Ltd Sec.Rated Red.NCDs of | 
  2009010100011 | 
  04I | 
  OLDB | 
  100070 | 
  20.00 | 
  20.00 | 
  6/9/2009 | 
  CARE | 
  CARE | 
  A | 
  BB- | 
  12/28/2011 | 
   | 
 
 
  |  9 | 
  0000000012276 | 
  8.80% -Unsec.NCRed.Sub.Bonds Central Bank-Put call 10 yrs | 
  2009010100018 | 
  04I | 
  OBPT | 
  100065 | 
  5.00 | 
  5.00 | 
  6/23/2009 | 
  ICRA | 
  CARE | 
  AA | 
  A- | 
  9/30/2017 | 
   | 
 
 
  | 10 | 
  0000000012322 | 
  8.40% 2020Tamilnadu Electricity Board | 
  2009010100113 | 
  04I | 
  SGOA | 
  100008 | 
  10.00 | 
  10.00 | 
  1/6/2010 | 
  CARE | 
  ICRA | 
  A+(SO) | 
  A-(SO) | 
  12/12/2011 | 
   | 
 
 
  | 11 | 
  0000000012338 | 
  8.50% Steel Authority of India -NCD-2019 | 
  2009010100165 | 
  04I | 
  OBPT | 
  100065 | 
  20.00 | 
  20.00 | 
  12/7/2009 | 
  FITCH | 
  FITCH | 
  AAA | 
  AA- | 
  9/30/2017 | 
   | 
 
 
  | 12 | 
  0000000012347 | 
  8.65% NCD Taxable Bonds SAIL-2019 | 
  2009010100166 | 
  04I | 
  OBPT | 
  100065 | 
  20.00 | 
  20.00 | 
  12/30/2009 | 
  FITCH | 
  FITCH | 
  AAA | 
  AA- | 
  9/30/2017 | 
   | 
 
 
  | 13 | 
  0000000012384 | 
  11.15% Sec.Red.NCD -Era Infra Engineering Ltd. | 
  2009010100215 | 
  04I | 
  OLDB | 
  100070 | 
  10.00 | 
  10.00 | 
  2/27/2010 | 
  CARE | 
  CARE | 
  A | 
  D | 
  12/31/2013 | 
   | 
 
 
  | 14 | 
  0000000012394 | 
  8.64% TAMIL NADU ELECTRICITY BOARD 10 years(7 year P/C) | 
  2009010100232 | 
  04I | 
  SGOA | 
  100008 | 
  10.00 | 
  10.00 | 
  3/29/2010 | 
  FITCH | 
  CARE | 
  A+(SO) | 
  A-(SO) | 
  12/12/2011 | 
   | 
 
 
  | 15 | 
  0000000012394 | 
  8.64% TAMIL NADU ELECTRICITY BOARD 10 years(7 year P/C) | 
  2009010100252 | 
  04I | 
  SGOA | 
  100008 | 
  10.00 | 
  10.00 | 
  3/29/2010 | 
  FITCH | 
  CARE | 
  A+(SO) | 
  A-(SO) | 
  12/12/2011 | 
   | 
 
 
  | 16 | 
  0000000012403 | 
  9.20% Sec.NCD Infrastructure Leasing & Financial Services* | 
  2009010100250 | 
  04I | 
  IODS | 
  100100 | 
  10.00 | 
  10.00 | 
  3/22/2010 | 
  CARE | 
  CARE | 
  AAA | 
  D | 
  9/30/2018 | 
   | 
 
 
  | 17 | 
  0000000012414 | 
  8.75% Steel Authority of India NCDs - | 
  2010010100028 | 
  04I | 
  OBPT | 
  100065 | 
  50.00 | 
  50.00 | 
  4/23/2010 | 
  CARE | 
  FITCH | 
  AAA | 
  AA- | 
  9/30/2017 | 
   | 
 
 
  | 18 | 
  0000000012424 | 
  8.65% IDFC FIRST BANK LIMITED -24.05.2020 Bonds | 
  2010010100043 | 
  04I | 
  ICTD | 
  100030 | 
  20.00 | 
  20.00 | 
  5/24/2010 | 
  ICRA | 
  FITCH | 
  AAA | 
  AA+ | 
  6/30/2018 | 
   | 
 
 
  | 19 | 
  0000000012424 | 
  8.65% IDFC FIRST BANK LIMITED -24.05.2020 Bonds | 
  2010010100070 | 
  04I | 
  ICTD | 
  100030 | 
  9.98 | 
  9.98 | 
  7/2/2010 | 
  ICRA | 
  FITCH | 
  AAA | 
  AA+ | 
  6/30/2018 | 
   | 
 
 
  | 20 | 
  0000000012425 | 
  8.72% Steel Authority of India 2020 -NCDs | 
  2010010100045 | 
  04I | 
  OBPT | 
  100065 | 
  10.04 | 
  10.04 | 
  5/31/2010 | 
  CARE | 
  FITCH | 
  AAA | 
  AA- | 
  9/30/2017 | 
   | 
 
 
  | 21 | 
  0000000012425 | 
  8.72% Steel Authority of India 2020 -NCDs | 
  2010010100059 | 
  04I | 
  OBPT | 
  100065 | 
  5.02 | 
  5.02 | 
  6/21/2010 | 
  CARE | 
  FITCH | 
  AAA | 
  AA- | 
  9/30/2017 | 
   | 
 
 
  | 22 | 
  0000000012425 | 
  8.72% Steel Authority of India 2020 -NCDs | 
  2012010100370 | 
  04I | 
  OBPT | 
  100065 | 
  14.93 | 
  15.00 | 
  3/8/2013 | 
  CARE | 
  FITCH | 
  AAA | 
  AA- | 
  9/30/2017 | 
   | 
 
 
  | 23 | 
  0000000012429 | 
  9.50% Gammon India-NCD (Put option-18.6.2017)-2020 | 
  2010010100050 | 
  04I | 
  IODS | 
  100100 | 
  10.00 | 
  10.00 | 
  6/18/2010 | 
  CARE | 
  CARE | 
  AA | 
  D | 
  3/31/2015 | 
   | 
 
 
  | 24 | 
  0000000012429 | 
  9.50% Gammon India-NCD (Put option-18.6.2017)-2020 | 
  2010010100188 | 
  04I | 
  IODS | 
  100100 | 
  10.00 | 
  10.00 | 
  11/16/2010 | 
  CRISIL | 
  CARE | 
  AA | 
  D | 
  3/31/2015 | 
   | 
 
 
  | 25 | 
  0000000012447 | 
  9.15% Tata Power Co. Ltd.2020 | 
  2010010100117 | 
  04I | 
  IODS | 
  100100 | 
  10.15 | 
  10.15 | 
  8/4/2010 | 
  CRISIL | 
  CRISIL | 
  AA | 
  AA- | 
  12/31/2013 | 
   | 
 
 
  | 26 | 
  0000000012447 | 
  9.15% Tata Power Co. Ltd.2020 | 
  2011010100040 | 
  04I | 
  IODS | 
  100100 | 
  4.86 | 
  4.86 | 
  5/5/2011 | 
  ICRA | 
  CRISIL | 
  AA | 
  AA- | 
  12/31/2013 | 
   | 
 
 
  | 27 | 
  0000000012490 | 
  9.05% IDFC LIMITED - 27.12.2020- Secured NCDs | 
  2010010100208 | 
  04I | 
  ICTD | 
  100030 | 
  5.00 | 
  5.00 | 
  12/27/2010 | 
  ICRA | 
  FITCH | 
  AAA | 
  AA+ | 
  6/30/2018 | 
   | 
 
 
  | 28 | 
  0000000012493 | 
  9% Indian Overseas Bank Upper Tier II NCDs 2026 | 
  2010010100215 | 
  04I | 
  OBPT | 
  100065 | 
  10.00 | 
  10.00 | 
  1/10/2011 | 
  CRISIL | 
  CRISIL | 
  AA | 
  A- | 
  3/31/2016 | 
   | 
 
 
  | 29 | 
  0000000012515 | 
  11.25%Elder Pharma NCDs-2018 | 
  2010010100252 | 
  04I | 
  OLDB | 
  100070 | 
  10.00 | 
  10.00 | 
  3/30/2011 | 
  CARE | 
  CARE | 
  A+ | 
  D | 
  6/30/2013 | 
   | 
 
 
  | 30 | 
  0000000012519 | 
  10.25% Amtek Auto 2015- | 
  2011010100013 | 
  04I | 
  OLDB | 
  100070 | 
  5.07 | 
  5.07 | 
  4/19/2011 | 
  CARE | 
  CARE | 
  AA | 
  AA- | 
  6/30/2015 | 
   | 
 
 
  | 31 | 
  0000000012519 | 
  10.25% Amtek Auto 2015- | 
  2011010100014 | 
  04I | 
  OLDB | 
  100070 | 
  5.06 | 
  5.06 | 
  4/19/2011 | 
  CARE | 
  CARE | 
  AA | 
  AA- | 
  6/30/2015 | 
   | 
 
 
  | 32 | 
  0000000012519 | 
  10.25% Amtek Auto 2015- | 
  2011010100016 | 
  04I | 
  OLDB | 
  100070 | 
  5.07 | 
  5.07 | 
  4/20/2011 | 
  CARE | 
  CARE | 
  AA | 
  AA- | 
  6/30/2015 | 
   | 
 
 
  | 33 | 
  0000000012519 | 
  10.25% Amtek Auto 2015- | 
  2011010100018 | 
  04I | 
  OLDB | 
  100070 | 
  5.06 | 
  5.06 | 
  4/21/2011 | 
  CARE | 
  CARE | 
  AA | 
  AA- | 
  6/30/2015 | 
   | 
 
 
  | 34 | 
  0000000012519 | 
  10.25% Amtek Auto 2015- | 
  2012010100344 | 
  04I | 
  OLDB | 
  100070 | 
  20.15 | 
  20.00 | 
  2/14/2013 | 
  CARE | 
  CARE | 
  AA | 
  AA- | 
  6/30/2015 | 
   | 
 
 
  | 35 | 
  0000000012519 | 
  10.25% Amtek Auto 2015- | 
  2013010100042 | 
  04I | 
  OLDB | 
  100070 | 
  20.35 | 
  20.00 | 
  5/22/2013 | 
  CARE | 
  CARE | 
  AA | 
  AA- | 
  6/30/2015 | 
   | 
 
 
  | 36 | 
  0000000012533 | 
  9.15% Tata Power 2019 NCDs - Secured | 
  2011010100039 | 
  04I | 
  IODS | 
  100100 | 
  4.88 | 
  4.88 | 
  5/5/2011 | 
  CRISIL | 
  CRISIL | 
  AA | 
  AA- | 
  12/31/2013 | 
   | 
 
 
  | 37 | 
  0000000012570 | 
  9.68% Infrastructure leasing & Finance Co.Ltd.2021 | 
  2011010100126 | 
  04I | 
  IODS | 
  100100 | 
  15.00 | 
  15.00 | 
  8/4/2011 | 
  FITCH | 
  FITCH | 
  AAA | 
  D | 
  9/30/2018 | 
   | 
 
 
  | 38 | 
  0000000012577 | 
  9.95% Indian Hotels 2021-NCDs Secured | 
  2011010100133 | 
  04I | 
  ECOS | 
  100043 | 
  10.13 | 
  10.13 | 
  8/18/2011 | 
  ICRA | 
  ICRA | 
  AA+ | 
  AA | 
  9/14/2012 | 
   | 
 
 
  | 39 | 
  0000000012630 | 
  10.10% Indian Hotels | 
  2011010100227 | 
  04I | 
  ECOS | 
  100043 | 
  10.00 | 
  10.00 | 
  11/24/2011 | 
  CARE | 
  CARE | 
  AA+ | 
  AA | 
  9/14/2012 | 
   | 
 
 
  | 40 | 
  0000000012643 | 
  10.60% Reliance Capital 2022 NCDs | 
  2011010100242 | 
  04I | 
  ECOS | 
  100043 | 
  9.98 | 
  9.98 | 
  1/6/2012 | 
  CARE | 
  CARE | 
  AA+ | 
  AA | 
  12/31/2018 | 
   | 
 
 
  | 41 | 
  0000000012661 | 
  9.82% Infrastructure Leasing  & Financial Services Ltd. 2022 | 
  2011010100293 | 
  04I | 
  IODS | 
  100100 | 
  10.00 | 
  10.00 | 
  1/31/2012 | 
  CARE | 
  CARE | 
  AAA | 
  D | 
  9/30/2018 | 
   | 
 
 
  | 42 | 
  0000000012682 | 
  10.30% IL&FS  
  Financial Services Ltd. | 
  2012010100003 | 
  04I | 
  OLDB | 
  100070 | 
  10.06 | 
  10.06 | 
  4/10/2012 | 
  FITCH | 
  CARE | 
  AAA | 
  D | 
  9/30/2018 | 
   | 
 
 
  | 43 | 
  0000000012690 | 
  9.55% Hindalco Inds.2022 NCDs Secured | 
  2012010100042 | 
  04I | 
  ECOS | 
  100043 | 
  10.00 | 
  10.00 | 
  5/8/2012 | 
  CRISIL | 
  CRISIL | 
  AA+ | 
  AA | 
  9/30/2017 | 
   | 
 
 
  | 44 | 
  0000000012690 | 
  9.55% Hindalco Inds.2022 NCDs Secured | 
  2012010100056 | 
  04I | 
  ECOS | 
  100043 | 
  10.00 | 
  10.00 | 
  5/23/2012 | 
  CRISIL | 
  CRISIL | 
  AA+ | 
  AA | 
  9/30/2017 | 
   | 
 
 
  | 45 | 
  0000000012690 | 
  9.55% Hindalco Inds.2022 NCDs Secured | 
  2013010100369 | 
  04I | 
  ECOS | 
  100043 | 
  4.89 | 
  5.00 | 
  1/2/2014 | 
  CRISIL | 
  CRISIL | 
  AA+ | 
  AA | 
  9/30/2017 | 
   | 
 
 
  | 46 | 
  0000000012695 | 
  9.80% Infrastructure Leasing & Financial Services
  Ltd. | 
  2012010100067 | 
  04I | 
  IODS | 
  100100 | 
  15.00 | 
  15.00 | 
  6/5/2012 | 
  CARE | 
  CARE | 
  AAA | 
  D | 
  9/30/2018 | 
   | 
 
 
  | 47 | 
  0000000012739 | 
  10.20% Reliance Capital 2022 | 
  2012010100150 | 
  04I | 
  ECOS | 
  100043 | 
  9.98 | 
  9.98 | 
  8/29/2012 | 
  CARE | 
  CARE | 
  AAA | 
  AA | 
  12/31/2018 | 
   | 
 
 
  | 48 | 
  0000000012739 | 
  10.20% Reliance Capital 2022 | 
  2012010100151 | 
  04I | 
  ECOS | 
  100043 | 
  4.99 | 
  4.99 | 
  8/30/2012 | 
  CARE | 
  CARE | 
  AAA | 
  AA | 
  12/31/2018 | 
   | 
 
 
  | 49 | 
  0000000012739 | 
  10.20% Reliance Capital 2022 | 
  2012010100181 | 
  04I | 
  ECOS | 
  100043 | 
  10.05 | 
  10.05 | 
  9/27/2012 | 
  CARE | 
  CARE | 
  AAA | 
  AA | 
  12/31/2018 | 
   | 
 
 
  | 50 | 
  0000000012739 | 
  10.20% Reliance Capital 2022 | 
  2012010100182 | 
  04I | 
  ECOS | 
  100043 | 
  5.03 | 
  5.03 | 
  9/28/2012 | 
  CARE | 
  CARE | 
  AAA | 
  AA | 
  12/31/2018 | 
   | 
 
 
  | 51 | 
  0000000012755 | 
  9.54% IL&FS Financial Services Ltd.-2022-Series IV | 
  2012010100193 | 
  04I | 
  OLDB | 
  100070 | 
  10.08 | 
  10.08 | 
  10/5/2012 | 
  FITCH | 
  FITCH | 
  AAA | 
  D | 
  9/30/2018 | 
   | 
 
 
  | 52 | 
  0000000012755 | 
  9.54% IL&FS Financial Services Ltd.-2022-Series IV | 
  2012010100194 | 
  04I | 
  OLDB | 
  100070 | 
  5.04 | 
  5.04 | 
  10/8/2012 | 
  FITCH | 
  FITCH | 
  AAA | 
  D | 
  9/30/2018 | 
   | 
 
 
  | 53 | 
  0000000012784 | 
  10.25% SREI INFRA FIN LTD 2019 | 
  2012010100251 | 
  04I | 
  IODS | 
  100100 | 
  14.99 | 
  14.99 | 
  11/26/2012 | 
  CARE | 
  CARE | 
  AA | 
  A+ | 
  12/31/2015 | 
   | 
 
 
  | 54 | 
  0000000012784 | 
  10.25% SREI INFRA FIN LTD 2019 | 
  2012010100267 | 
  04I | 
  IODS | 
  100100 | 
  9.98 | 
  9.98 | 
  12/7/2012 | 
  CARE | 
  CARE | 
  AA | 
  A+ | 
  12/31/2015 | 
   | 
 
 
  | 55 | 
  0000000012786 | 
  8.93% ORIENTAL BANK OF COMMERCE LOWER TIER II BONDS OF | 
  2012010100258 | 
  04I | 
  OBPT | 
  100065 | 
  15.00 | 
  15.00 | 
  12/3/2012 | 
  ICRA | 
  CARE | 
  AA+ | 
  A+ | 
  9/30/2018 | 
   | 
 
 
  | 56 | 
  0000000012786 | 
  8.93% ORIENTAL BANK OF COMMERCE LOWER TIER II BONDS OF | 
  2012010100259 | 
  04I | 
  OBPT | 
  100065 | 
  9.99 | 
  9.99 | 
  12/4/2012 | 
  ICRA | 
  CARE | 
  AA+ | 
  A+ | 
  9/30/2018 | 
   | 
 
 
  | 57 | 
  0000000012786 | 
  8.93% ORIENTAL BANK OF COMMERCE LOWER TIER II BONDS OF | 
  2012010100271 | 
  04I | 
  OBPT | 
  100065 | 
  9.99 | 
  9.99 | 
  12/14/2012 | 
  ICRA | 
  CARE | 
  AA+ | 
  A+ | 
  9/30/2018 | 
   | 
 
 
  | 58 | 
  0000000012792 | 
  10.75% Simplex Infra Ltd 2022 (put/Call 06.12.2019) | 
  2012010100268 | 
  04I | 
  IODS | 
  100100 | 
  15.00 | 
  15.00 | 
  12/11/2012 | 
  CARE | 
  CARE | 
  AA | 
  A- | 
  9/30/2018 | 
   | 
 
 
  | 59 | 
  0000000012795 | 
  IDBI 8.99% 19-Dec-12 INE008A08U50 | 
  2012010100277 | 
  04I | 
  OBPT | 
  100065 | 
  15.00 | 
  15.00 | 
  12/19/2012 | 
  CRISIL | 
  ICRA | 
  AA+ | 
  A | 
  6/30/2017 | 
   | 
 
 
  | 60 | 
  0000000012799 | 
  8.90% UNION BANK 2022 | 
  2012010100285 | 
  04I | 
  EPBT | 
  100039 | 
  14.00 | 
  14.00 | 
  1/1/2013 | 
  CARE | 
  CRISIL | 
  AAA | 
  AA+ | 
  9/30/2017 | 
   | 
 
 
  | 61 | 
  0000000012802 | 
  9.40%INFRASTRUCTURE LEASING AND FINANCIAL.-2022 Sec Red NCD. | 
  2012010100290 | 
  04I | 
  IODS | 
  100100 | 
  20.00 | 
  20.00 | 
  1/3/2013 | 
  ICRA | 
  FITCH | 
  AAA | 
  D | 
  9/30/2018 | 
   | 
 
 
  | 62 | 
  0000000012826 | 
  10% RELIANCE HOME FINANCE LTD 2023 | 
  2012010100336 | 
  04I | 
  OLDB | 
  100070 | 
  15.00 | 
  15.00 | 
  2/11/2013 | 
  CARE | 
  CARE | 
  AA | 
  AA- | 
  12/31/2018 | 
   | 
 
 
  | 63 | 
  0000000012854 | 
  9.40% Tata Power Co.Ltd. 2022 Secured NCD | 
  2013010100000 | 
  04I | 
  IODS | 
  100100 | 
  10.00 | 
  10.00 | 
  4/12/2013 | 
  CRISIL | 
  CRISIL | 
  AA | 
  AA- | 
  12/31/2013 | 
   | 
 
 
  | 64 | 
  0000000012879 | 
  7.98% IDFC FIRST BANK LIMITED 2023 SEC NCD | 
  2013010100115 | 
  04I | 
  ICTD | 
  100030 | 
  19.76 | 
  20.00 | 
  6/28/2013 | 
  CRISIL | 
  FITCH | 
  AAA | 
  AA+ | 
  6/30/2018 | 
   | 
 
 
  | 65 | 
  0000000012905 | 
  9.55% HINDALCO INDS.2022 SEC NCD | 
  2013010100162 | 
  04I | 
  ECOS | 
  100043 | 
  19.99 | 
  20.00 | 
  8/5/2013 | 
  CRISIL | 
  CRISIL | 
  AA+ | 
  AA | 
  9/30/2017 | 
   | 
 
 
  | 66 | 
  0000000012905 | 
  9.55% HINDALCO INDS.2022 SEC NCD | 
  2013010100328 | 
  04I | 
  ECOS | 
  100043 | 
  9.82 | 
  10.00 | 
  12/6/2013 | 
  CRISIL | 
  CRISIL | 
  AA+ | 
  AA | 
  9/30/2017 | 
   | 
 
 
  | 67 | 
  0000000012967 | 
  9.63% IDFC FIRST BANK LTD 2024 SEC NCD | 
  2013010100370 | 
  04I | 
  ICTD | 
  100030 | 
  25.00 | 
  25.00 | 
  1/7/2014 | 
  ICRA | 
  FITCH | 
  AAA | 
  AA+ | 
  6/30/2018 | 
   | 
 
 
  | 68 | 
  0000000012977 | 
  9.90% IL & FS FINANCIAL SERVICES LTD 2019 SEC NCD | 
  2013010100386 | 
  04I | 
  OLDB | 
  100070 | 
  25.00 | 
  25.00 | 
  1/31/2014 | 
  FITCH | 
  FITCH | 
  AAA | 
  D | 
  9/30/2018 | 
   | 
 
 
  | 69 | 
  0000000012978 | 
  9.95% IL& FS LTD. 2021 SEC NCD | 
  2013010100388 | 
  04I | 
  IODS | 
  100100 | 
  20.00 | 
  20.00 | 
  2/7/2014 | 
  ICRA | 
  CARE | 
  AAA | 
  D | 
  9/30/2018 | 
   | 
 
 
  | 70 | 
  0000000012983 | 
  9.60% HINDALCO INDUSTRIES LTD 2022 SEC NCD | 
  2014010100014 | 
  04I | 
  ECOS | 
  100043 | 
  19.50 | 
  20.00 | 
  4/16/2014 | 
  CRISIL | 
  CRISIL | 
  AA+ | 
  AA | 
  9/30/2017 | 
   | 
 
 
  | 71 | 
  0000000013017 | 
  9.50% IL&FS FINANCIAL SERVICES LTD. | 
  2014010100119 | 
  04I | 
  OLDB | 
  100070 | 
  15.00 | 
  15.00 | 
  7/8/2014 | 
  CARE | 
  CARE | 
  AAA | 
  D | 
  9/30/2018 | 
   | 
 
 
  | 72 | 
  0000000013027 | 
  9.50%INFRASTRUCTURE LEASING & FIN.SERVICES LTD.-2024-SEC NCD | 
  2014010100153 | 
  04I | 
  IODS | 
  100100 | 
  25.00 | 
  25.00 | 
  8/1/2014 | 
  ICRA | 
  CARE | 
  AAA | 
  D | 
  9/30/2018 | 
   | 
 
 
  | 73 | 
  0000000013030 | 
  9.30%IDFC FIRST BANK LIMITED - 07.08.2024 | 
  2014010100178 | 
  04I | 
  ICTD | 
  100030 | 
  25.00 | 
  25.00 | 
  8/11/2014 | 
  ICRA | 
  FITCH | 
  AAA | 
  AA+ | 
  6/30/2018 | 
   | 
 
 
  | 74 | 
  0000000013034 | 
  9.55%INFRASTRUCTURE LEASING & FIN.SERVICES LTD.-2024-SEC NCD | 
  2014010100184 | 
  04I | 
  IODS | 
  100100 | 
  20.00 | 
  20.00 | 
  8/19/2014 | 
  FITCH | 
  FITCH | 
  AAA | 
  D | 
  9/30/2018 | 
   | 
 
 
  | 75 | 
  0000000013049 | 
  9.35%PUNJAB NATIONAL BANK  2024 (UNSECURED
  NCD) | 
  2014010100211 | 
  04I | 
  EPBT | 
  100039 | 
  15.00 | 
  15.00 | 
  9/12/2014 | 
  CRISIL | 
  FITCH | 
  AAA | 
  AA+ | 
  6/30/2018 | 
   | 
 
 
  | 76 | 
  0000000013052 | 
  9.38%IDFC FIRST BANK LIMITED.10.09.2024 | 
  2014010100214 | 
  04I | 
  ICTD | 
  100030 | 
  20.00 | 
  20.00 | 
  9/16/2014 | 
  ICRA | 
  FITCH | 
  AAA | 
  AA+ | 
  6/30/2018 | 
   | 
 
 
  | 77 | 
  0000000013087 | 
  10.50% AMTEK AUTO LIMITED - 2020 | 
  2014010100324 | 
  04I | 
  OLDB | 
  100070 | 
  25.00 | 
  25.00 | 
  1/9/2015 | 
  CARE | 
  CARE | 
  AA | 
  D | 
  12/31/2015 | 
   | 
 
 
  | 78 | 
  0000000013087 | 
  10.50% AMTEK AUTO LIMITED - 2020 | 
  2014010100404 | 
  04I | 
  OLDB | 
  100070 | 
  10.00 | 
  10.00 | 
  3/2/2015 | 
  CARE | 
  CARE | 
  AA | 
  D | 
  12/31/2015 | 
   | 
 
 
  | 79 | 
  0000000013138 | 
  8.64% IDFC FIRST BANK LTD SECURED REDEEMABLE NCD- 2020 | 
  2015010100008 | 
  04I | 
  ICTD | 
  100030 | 
  25.00 | 
  25.00 | 
  4/21/2015 | 
  ICRA | 
  FITCH | 
  AAA | 
  AA+ | 
  6/30/2018 | 
   | 
 
 
  | 80 | 
  0000000013149 | 
  8.70%IDFC FIRST BANK LTD. 2025 | 
  2015010100049 | 
  04I | 
  ICTD | 
  100030 | 
  15.00 | 
  15.00 | 
  5/25/2015 | 
  FITCH | 
  FITCH | 
  AAA | 
  AA+ | 
  6/30/2018 | 
   | 
 
 
  | 81 | 
  0000000013156 | 
  9.98% INFRASTRUCTURE LEASING & FINANCIAL SERVICES LTD. 2021 | 
  2015010100059 | 
  04I | 
  IODS | 
  100100 | 
  21.20 | 
  20.00 | 
  5/28/2015 | 
  ICRA | 
  ICRA | 
  AAA | 
  D | 
  9/30/2018 | 
   | 
 
 
  | 82 | 
  0000000013164 | 
  8.73% IDFC FIRST BANK LIMITED - 2022 | 
  2015010100083 | 
  04I | 
  ICTD | 
  100030 | 
  20.00 | 
  20.00 | 
  6/17/2015 | 
  ICRA | 
  FITCH | 
  AAA | 
  AA+ | 
  6/30/2018 | 
   | 
 
 
  | 83 | 
  0000000013185 | 
  8.75% INFRASTRUCTURE LEASING & FINANCIAL SERVICES LTD. 2020 | 
  2015010100132 | 
  04I | 
  IODS | 
  100100 | 
  20.00 | 
  20.00 | 
  8/3/2015 | 
  CARE | 
  CARE | 
  AAA | 
  D | 
  9/30/2018 | 
   | 
 
 
  | 84 | 
  0000000013224 | 
  8.23%  PNB
  HOUSING FINANCE LTD., - 2019 | 
  2015010100209 | 
  04I | 
  HTDN | 
  100016 | 
  20.00 | 
  20.00 | 
  10/14/2015 | 
  CARE | 
  ICRA | 
  AAA | 
  AA+ | 
  3/31/2016 | 
   | 
 
 
  | 85 | 
  0000000013254 | 
  8.58% INFRASTRUCTURE & LEASING FINANCIAL SERVICES LTD. 
  2018 | 
  2015010100318 | 
  04I | 
  IODS | 
  100100 | 
  25.00 | 
  25.00 | 
  12/4/2015 | 
  CARE | 
  CARE | 
  AAA | 
  D | 
  9/30/2018 | 
   | 
 
 
  | 86 | 
  0000000013276 | 
  8.65%INFRASTRUCTURE LEASING & FINANCIAL SERVICES LTD. 2020 | 
  2015010100377 | 
  04I | 
  IODS | 
  100100 | 
  25.00 | 
  25.00 | 
  12/23/2015 | 
  CARE | 
  CARE | 
  AAA | 
  D | 
  9/30/2018 | 
   | 
 
 
  | 87 | 
  0000000013324 | 
  9.40%IL&FS TRANSPORTATION | 
  2016010100003 | 
  04I | 
  IODS | 
  100100 | 
  25.00 | 
  25.00 | 
  4/13/2016 | 
  CARE | 
  CARE | 
  AAA | 
  D | 
  12/31/2018 | 
   | 
 
 
  | 88 | 
  0000000013343 | 
  8.95% RELIANCE HOME FINANCE LTD. - 2025 | 
  2016010100062 | 
  04I | 
  HTDA | 
  100017 | 
  25.00 | 
  25.00 | 
  5/19/2016 | 
  CARE | 
  CARE | 
  AA+ | 
  AA | 
  12/31/2018 | 
   | 
 
 
  | 89 | 
  0000000013387 | 
  8.60% IL&FS Financial Services Ltd. - 2021 | 
  2016010100126 | 
  04I | 
  OLDB | 
  100070 | 
  25.00 | 
  25.00 | 
  8/9/2016 | 
  CARE | 
  CARE | 
  AAA | 
  D | 
  9/30/2018 | 
   | 
 
 
  | 90 | 
  0000000013393 | 
  9.28% IL&FS Transportation Networks Ltd - 2021 | 
  2016010100134 | 
  04I | 
  IODS | 
  100100 | 
  30.00 | 
  30.00 | 
  8/26/2016 | 
  CARE | 
  CARE | 
  AA+ | 
  D | 
  12/31/2018 | 
   | 
 
 
  | 91 | 
  0000000013393 | 
  9.28% IL&FS Transportation Networks Ltd - 2021 | 
  2016010100225 | 
  04I | 
  IODS | 
  100100 | 
  20.00 | 
  20.00 | 
  12/8/2016 | 
  CARE | 
  CARE | 
  AA+ | 
  D | 
  12/31/2018 | 
   | 
 
 
  | 92 | 
  0000000013468 | 
  8.90% JK LAKHMI CEMENTS  2022 | 
  2016010100285 | 
  04I | 
  OLDB | 
  100070 | 
  20.00 | 
  20.00 | 
  1/10/2017 | 
  CARE | 
  CARE | 
  AA | 
  AA- | 
  12/31/2018 | 
   | 
 
 
  | 93 | 
  0000000013520 | 
  8.35% NATIONAL INSURANCE CO. LTD. - 2027 UNSECURED | 
  2016010100437 | 
  04I | 
  EPBT | 
  100039 | 
  25.00 | 
  25.00 | 
  3/29/2017 | 
  ICRA | 
  ICRA | 
  AA+ | 
  AA | 
  12/31/2018 | 
   | 
 
 
  | 94 | 
  0000000013520 | 
  8.35% NATIONAL INSURANCE CO. LTD. - 2027 UNSECURED | 
  2016010100447 | 
  04I | 
  EPBT | 
  100039 | 
  25.00 | 
  25.00 | 
  3/30/2017 | 
  ICRA | 
  ICRA | 
  AA+ | 
  AA | 
  12/31/2018 | 
   | 
 
 
  | 95 | 
  0000000013520 | 
  8.35% NATIONAL INSURANCE CO. LTD. - 2027 UNSECURED | 
  2016010100453 | 
  04I | 
  EPBT | 
  100039 | 
  25.00 | 
  25.00 | 
  3/31/2017 | 
  ICRA | 
  ICRA | 
  AA+ | 
  AA | 
  12/31/2018 | 
   | 
 
 
  | 96 | 
  0000000013537 | 
  8.06% Infrastructure Leasing &Financial services
  Ltd.May2022 | 
  2017010100078 | 
  04I | 
  IODS | 
  100100 | 
  15.00 | 
  15.00 | 
  5/16/2017 | 
  CARE | 
  CARE | 
  AAA | 
  D | 
  9/30/2018 | 
   | 
 
 
  | 97 | 
  0000000013579 | 
  7.50% ILFS NCD - 2020 | 
  2017010100273 | 
  04I | 
  IODS | 
  100100 | 
  25.00 | 
  25.00 | 
  8/8/2017 | 
  CARE | 
  CARE | 
  AAA | 
  D | 
  9/30/2018 | 
   | 
 
 
  | 98 | 
  0000000013586 | 
  7.60% Infrastructure Leasing & Financial Services
  SEC. 2020 | 
  2017010100303 | 
  04I | 
  IODS | 
  100100 | 
  25.00 | 
  25.00 | 
  8/23/2017 | 
  CARE | 
  FITCH | 
  AAA | 
  D | 
  9/30/2018 | 
   | 
 
 
  | 99 | 
  0000000013593 | 
  7.75% IL & FS FIN SERVS 2022 SEC RED NCD | 
  2017010100421 | 
  04I | 
  IODS | 
  100100 | 
  20.00 | 
  20.00 | 
  9/12/2017 | 
  CARE | 
  CARE | 
  AAA | 
  D | 
  9/30/2018 | 
   | 
 
 
  | 100 | 
  0000000013595 | 
  7.85% Infrastructure Leasing & Financial Services
  2027 | 
  2017010100375 | 
  04I | 
  IODS | 
  100100 | 
  14.93 | 
  15.00 | 
  9/26/2017 | 
  FITCH | 
  CARE | 
  AAA | 
  D | 
  9/30/2018 | 
   | 
 
 
  | 101 | 
  0000000013606 | 
  7.85%INFRASTRUCTURE LEASING & FINANCIAL SERVICES LTD-2022 | 
  2017010100492 | 
  04I | 
  IODS | 
  100100 | 
  25.00 | 
  25.00 | 
  11/3/2017 | 
  ICRA | 
  CARE | 
  AAA | 
  D | 
  9/30/2018 | 
   | 
 
 
  | 102 | 
  0000000013606 | 
  7.85%INFRASTRUCTURE LEASING & FINANCIAL SERVICES LTD-2022 | 
  2017010100535 | 
  04I | 
  IODS | 
  100100 | 
  14.99 | 
  15.00 | 
  11/22/2017 | 
  ICRA | 
  CARE | 
  AAA | 
  D | 
  9/30/2018 | 
   | 
 
 
  | 103 | 
  0000000013609 | 
  7.80% IL&FS Financial Services 2024 | 
  2017010100503 | 
  04I | 
  OLDB | 
  100070 | 
  24.84 | 
  25.00 | 
  11/9/2017 | 
  CARE | 
  CARE | 
  AAA | 
  D | 
  9/30/2018 | 
   | 
 
 
  | 104 | 
  0000000013643 | 
  8.13% POWER GRID CORPORATION OF INDIA LTD.  - 2024 | 
  2017010100641 | 
  04I | 
  IPTD | 
  100028 | 
  5.10 | 
  5.00 | 
  1/9/2018 | 
  CRISIL | 
  CRISIL | 
   | 
  AAA | 
  5/4/2018 | 
  Rating is not available on the date of Purchase | 
 
 
  | 105 | 
  0000000013646 | 
  8.30% IL & FS 2023 | 
  2017010100656 | 
  04I | 
  IODS | 
  100100 | 
  25.00 | 
  25.00 | 
  1/15/2018 | 
  FITCH | 
  CARE | 
  AAA | 
  D | 
  9/30/2018 | 
   | 
 
 
  | 106 | 
  0000000013647 | 
  8.30% Infrastructure Leasing & Financial Services
  Ltd-2023 | 
  2017010100672 | 
  04I | 
  IODS | 
  100100 | 
  24.98 | 
  25.00 | 
  1/18/2018 | 
  FITCH | 
  CARE | 
  AAA | 
  D | 
  9/30/2018 | 
   | 
 
 
  | 107 | 
  0000000013665 | 
  8.30% Infrastructure & Leasing Finance Services Ltd. - 2023 | 
  2017010100733 | 
  04I | 
  IODS | 
  100100 | 
  24.94 | 
  25.00 | 
  2/7/2018 | 
  FITCH | 
  CARE | 
  AAA | 
  D | 
  9/30/2018 | 
   | 
 
 
  | 108 | 
  0000000013704 | 
  8.45%Infrastructure Leasing &Financial Services Ltd. | 
  2017010100840 | 
  04I | 
  IODS | 
  100100 | 
  25.00 | 
  25.00 | 
  3/16/2018 | 
  FITCH | 
  CARE | 
  AAA | 
  D | 
  9/30/2018 | 
   | 
 
 
  | 109 | 
  0000000013715 | 
  8.75% IL&FS Financial Services –2023 | 
  2018010100000 | 
  04I | 
  OLDB | 
  100070 | 
  25.00 | 
  25.00 | 
  4/3/2018 | 
  CARE | 
  CARE | 
  AAA | 
  D | 
  9/30/2018 | 
   | 
 
 
  | 110 | 
  0000000013723 | 
  7.80% IL&FS –2020 | 
  2018010100022 | 
  04I | 
  IODS | 
  100100 | 
  24.69 | 
  25.00 | 
  4/11/2018 | 
  FITCH | 
  CARE | 
  AAA | 
  D | 
  9/30/2018 | 
   | 
 
 
  | 111 | 
  0000000013723 | 
  7.80% IL&FS –2020 | 
  2018010100135 | 
  04I | 
  IODS | 
  100100 | 
  24.52 | 
  25.00 | 
  5/4/2018 | 
  FITCH | 
  CARE | 
  AAA | 
  D | 
  9/30/2018 | 
   | 
 
 
  | 112 | 
  0000000013723 | 
  7.80% IL&FS –2020 | 
  2018010100159 | 
  04I | 
  IODS | 
  100100 | 
  19.56 | 
  20.00 | 
  5/11/2018 | 
  FITCH | 
  CARE | 
  AAA | 
  D | 
  9/30/2018 | 
   | 
 
 
  | 113 | 
  0000000013741 | 
  8.90%INFRASTRUCTURE LEASING & FINANCIAL SERVICES LTD.-2023 | 
  2018010100209 | 
  04I | 
  IODS | 
  100100 | 
  24.94 | 
  25.00 | 
  5/21/2018 | 
  CARE | 
  CARE | 
  AAA | 
  D | 
  9/30/2018 | 
   | 
 
 
  | 114 | 
  0000000013768 | 
  9.05% Infrastructure Leasing and Financial Services Ltd.2023 | 
  2018010100378 | 
  04I | 
  OLDB | 
  100070 | 
  14.88 | 
  15.00 | 
  6/29/2018 | 
  FITCH | 
  CARE | 
  AAA | 
  D | 
  12/31/2018 | 
   | 
 
 
  |   | 
    | 
    | 
    | 
    | 
    | 
    | 
  2,891.62 | 
  2,939.32 | 
    | 
    | 
    | 
    | 
    | 
    | 
    | 
 
 
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