Monthly Portfolio Statement as on August 31,2020 % to Net … · Axis Fixed Term Plan - Series 100...

17
Axis Fixed Term Plan - Series 100 (1172 days) Monthly Portfolio Statement as on August 31,2020 Name of the Instrument ISIN Rating Quantity Market/Fair Value (Rs. in Lakhs) % to Net Assets Debt Instruments (a) Listed / awaiting listing on Stock Exchange HD BF HDB Financial Services Limited (05/04/2022) (ZCB) ** INE756I07CI8 CRISIL AAA 21 259.82 9.92% LIC H4 LIC Housing Finance Limited (25/02/2022) (ZCB) ** INE115A07NM3 CRISIL AAA 21 259.24 9.90% BH FL3 Bajaj Housing Finance Limited (05/04/2022) (ZCB) ** INE377Y07052 CRISIL AAA 19 237.61 9.07% BD TC 7.85% Bhopal Dhule Transmission Company Limited (04/04/2022) ** INE774N07087 CRISIL AAA 22 223.72 8.54% SID B3 8.81% Small Industries Dev Bank of India (25/01/2022) ** INE556F08JI1 CARE AAA 21 222.42 8.49% NB AR 8.60% National Bank For Agriculture and Rural Development (31/01/2022) ** INE261F08AI7 CRISIL AAA 21 221.97 8.47% RE CL 7.46% REC Limited (28/02/2022) ** INE020B08AF2 CRISIL AAA 21 217.66 8.31% NH AI5 7.60% National Highways Auth Of Ind (18/03/2022) ** INE906B07FG1 CRISIL AAA 20 209.71 8.01% FC OI2 9.95% Food Corporation Of India (07/03/2022) ** INE861G08035 CRISIL AAA(CE) 19 204.97 7.82% PG CI3 8.40% Power Grid Corporation of India Limited (27/05/2021) ** INE752E07MN5 CRISIL AAA 12 123.74 4.72% PG CI4 7.20% Power Grid Corporation of India Limited (21/12/2021) ** INE752E07OD2 CRISIL AAA 7 72.54 2.77% HD FC 8.58% Housing Development Finance Corporation Limited (18/03/2022) ** INE001A07RS3 CRISIL AAA 5 52.63 2.01% NH PC 8.7% NHPC Limited (11/02/2022) ** INE848E07245 ICRA AAA 10 10.60 0.40% Sub Total 2,316.63 88.43% (b) Privately placed / Unlisted TA SO 8.25% Tata Sons Private Ltd (23/03/2022) ** # INE895D08782 CRISIL AAA 21 214.05 8.17% Sub Total 214.05 8.17% Total 2,530.68 96.60% CBLO / Reverse Repo / TREPS TR P_ Clearing Corporation of India Ltd 24.87 0.95% Sub Total 24.87 0.95% Total 24.87 0.95% Net Receivables / (Payables) 64.11 2.45% GRAND TOTAL 2,619.66 100.00% ZCB - Zero Coupon Bond ** Thinly Traded / Non Traded Security # Unlisted Security For internal use only

Transcript of Monthly Portfolio Statement as on August 31,2020 % to Net … · Axis Fixed Term Plan - Series 100...

Page 1: Monthly Portfolio Statement as on August 31,2020 % to Net … · Axis Fixed Term Plan - Series 100 (1172 days) Monthly Portfolio Statement as on August 31,2020 Name of the Instrument

Axis Fixed Term Plan - Series 100 (1172 days)

Monthly Portfolio Statement as on August 31,2020

Name of the Instrument ISIN Rating QuantityMarket/Fair Value

(Rs. in Lakhs)

% to Net

Assets

Debt Instruments

(a) Listed / awaiting listing on Stock Exchange

HD

BF

HDB Financial Services Limited (05/04/2022) (ZCB) ** INE756I07CI8 CRISIL AAA 21 259.82 9.92%

LIC

H4

LIC Housing Finance Limited (25/02/2022) (ZCB) ** INE115A07NM3 CRISIL AAA 21 259.24 9.90%

BH

FL3

Bajaj Housing Finance Limited (05/04/2022) (ZCB) ** INE377Y07052 CRISIL AAA 19 237.61 9.07%

BD

TC

7.85% Bhopal Dhule Transmission Company Limited (04/04/2022) ** INE774N07087 CRISIL AAA 22 223.72 8.54%

SID

B3

8.81% Small Industries Dev Bank of India (25/01/2022) ** INE556F08JI1 CARE AAA 21 222.42 8.49%

NB

AR

8.60% National Bank For Agriculture and Rural Development (31/01/2022) ** INE261F08AI7 CRISIL AAA 21 221.97 8.47%

RE

CL

7.46% REC Limited (28/02/2022) ** INE020B08AF2 CRISIL AAA 21 217.66 8.31%

NH

AI5

7.60% National Highways Auth Of Ind (18/03/2022) ** INE906B07FG1 CRISIL AAA 20 209.71 8.01%

FC

OI2

9.95% Food Corporation Of India (07/03/2022) ** INE861G08035 CRISIL AAA(CE) 19 204.97 7.82%

PG

CI3

8.40% Power Grid Corporation of India Limited (27/05/2021) ** INE752E07MN5 CRISIL AAA 12 123.74 4.72%

PG

CI4

7.20% Power Grid Corporation of India Limited (21/12/2021) ** INE752E07OD2 CRISIL AAA 7 72.54 2.77%

HD

FC

8.58% Housing Development Finance Corporation Limited (18/03/2022) ** INE001A07RS3 CRISIL AAA 5 52.63 2.01%

NH

PC

8.7% NHPC Limited (11/02/2022) ** INE848E07245 ICRA AAA 10 10.60 0.40%

Sub Total 2,316.63 88.43%

(b) Privately placed / Unlisted

TA

SO

8.25% Tata Sons Private Ltd (23/03/2022) ** # INE895D08782 CRISIL AAA 21 214.05 8.17%

Sub Total 214.05 8.17%

Total 2,530.68 96.60%

CBLO / Reverse Repo / TREPS

TR

P_

Clearing Corporation of India Ltd 24.87 0.95%

Sub Total 24.87 0.95%

Total 24.87 0.95%

Net Receivables / (Payables) 64.11 2.45%

GRAND TOTAL 2,619.66 100.00%

ZCB - Zero Coupon Bond

** Thinly Traded / Non Traded Security

# Unlisted Security

# For internal use only

Page 2: Monthly Portfolio Statement as on August 31,2020 % to Net … · Axis Fixed Term Plan - Series 100 (1172 days) Monthly Portfolio Statement as on August 31,2020 Name of the Instrument

Axis Fixed Term Plan - Series 101 (1154 days)

Monthly Portfolio Statement as on August 31,2020

Name of the Instrument ISIN Rating QuantityMarket/Fair Value

(Rs. in Lakhs)

% to Net

Assets

Debt Instruments

(a) Listed / awaiting listing on Stock Exchange

BH

FL3

Bajaj Housing Finance Limited (05/04/2022) (ZCB) ** INE377Y07052 CRISIL AAA 25 312.64 9.91%

BA

FL6

Bajaj Finance Limited (05/04/2022) (ZCB) INE296A07QQ5 CRISIL AAA 25 309.29 9.81%

BD

TC

7.85% Bhopal Dhule Transmission Company Limited (04/04/2022) ** INE774N07087 CRISIL AAA 27 274.57 8.71%

RE

CL

8.45% REC Limited (22/03/2022) ** INE020B08BF0 CRISIL AAA 26 274.12 8.69%

PO

WF

7.4% Power Finance Corporation Limited (30/09/2021) ** INE134E08IM4 CRISIL AAA 26 267.94 8.50%

SID

B3

8.81% Small Industries Dev Bank of India (25/01/2022) ** INE556F08JI1 CARE AAA 25 264.78 8.40%

HD

BF

HDB Financial Services Limited (05/04/2022) (ZCB) ** INE756I07CI8 CRISIL AAA 20 247.44 7.85%

FC

OI2

9.95% Food Corporation Of India (07/03/2022) ** INE861G08035 CRISIL AAA(CE) 22 237.33 7.53%

MM

FS

Mahindra & Mahindra Financial Services Limited (29/03/2022) (ZCB) ** INE774D07SQ1 IND AAA 19 233.95 7.42%

GO

I85

8.75% State Government Securities (22/02/2022) IN2020110028 Sovereign 2,00,000 211.98 6.72%

LIC

H4

LIC Housing Finance Limited (25/02/2022) (ZCB) ** INE115A07NM3 CRISIL AAA 13 160.48 5.09%

NB

AR

8.60% National Bank For Agriculture and Rural Development (31/01/2022) ** INE261F08AI7 CRISIL AAA 12 126.84 4.02%

NH

PC

8.78% NHPC Limited (11/02/2021) ** INE848E07419 ICRA AAA 100 102.17 3.24%

SID

B3

8.5% Small Industries Dev Bank of India (21/06/2021) ** INE556F08JF7 CARE AAA 1 10.35 0.33%

Sub Total 3,033.88 96.22%

(b) Privately placed / Unlisted NIL NIL

Sub Total NIL NIL

Total 3,033.88 96.22%

CBLO / Reverse Repo / TREPS

TR

P_

Clearing Corporation of India Ltd 54.44 1.73%

Sub Total 54.44 1.73%

Total 54.44 1.73%

Net Receivables / (Payables) 65.40 2.05%

GRAND TOTAL 3,153.72 100.00%

ZCB - Zero Coupon Bond

** Thinly Traded / Non Traded Security

# For internal use only

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Axis Fixed Term Plan - Series 102 (1133 Days)

Monthly Portfolio Statement as on August 31,2020

Name of the Instrument ISIN Rating QuantityMarket/Fair Value

(Rs. in Lakhs)

% to Net

Assets

Debt Instruments

(a) Listed / awaiting listing on Stock Exchange

HD

BF

HDB Financial Services Limited (05/04/2022) (ZCB) ** INE756I07CI8 CRISIL AAA 30 371.17 9.94%

LIC

H4

LIC Housing Finance Limited (25/02/2022) (ZCB) ** INE115A07NM3 CRISIL AAA 30 370.34 9.92%

BH

FL3

Bajaj Housing Finance Limited (05/04/2022) (ZCB) ** INE377Y07052 CRISIL AAA 29 362.67 9.71%

NH

PC

8.7% NHPC Limited (11/02/2022) ** INE848E07245 ICRA AAA 340 360.26 9.65%

FC

OI2

9.95% Food Corporation Of India (07/03/2022) ** INE861G08035 CRISIL AAA(CE) 30 323.63 8.67%

GO

I85

8.75% State Government Securities (22/02/2022) IN2020110028 Sovereign 2,95,000 312.66 8.38%

BA

FL6

Bajaj Finance Limited (05/04/2022) (ZCB) INE296A07QQ5 CRISIL AAA 25 309.29 8.29%

PO

WF

7.4% Power Finance Corporation Limited (30/09/2021) ** INE134E08IM4 CRISIL AAA 30 309.16 8.28%

BD

TC

7.85% Bhopal Dhule Transmission Company Limited (04/04/2022) ** INE774N07087 CRISIL AAA 30 305.08 8.17%

RE

CL

8.45% REC Limited (22/03/2022) ** INE020B08BF0 CRISIL AAA 24 253.03 6.78%

NH

AI4

7.17% National Highways Auth Of Ind (23/12/2021) ** INE906B07FE6 CRISIL AAA 10 103.68 2.78%

KM

IL3

Kotak Mahindra Investments Limited (06/04/2022) (ZCB) ** INE975F07GF7 CRISIL AAA 10 91.97 2.46%

SID

B3

8.40% Small Industries Dev Bank of India (10/08/2021) ** INE556F08JH3 CARE AAA 5 51.98 1.39%

SID

B3

8.5% Small Industries Dev Bank of India (21/06/2021) ** INE556F08JF7 CARE AAA 1 10.35 0.28%

Sub Total 3,535.27 94.70%

(b) Privately placed / Unlisted NIL NIL

Sub Total NIL NIL

Total 3,535.27 94.70%

CBLO / Reverse Repo / TREPS

TR

P_

Clearing Corporation of India Ltd 128.84 3.45%

Sub Total 128.84 3.45%

Total 128.84 3.45%

Net Receivables / (Payables) 69.02 1.85%

GRAND TOTAL 3,733.13 100.00%

ZCB - Zero Coupon Bond

** Thinly Traded / Non Traded Security

# For internal use only

Page 4: Monthly Portfolio Statement as on August 31,2020 % to Net … · Axis Fixed Term Plan - Series 100 (1172 days) Monthly Portfolio Statement as on August 31,2020 Name of the Instrument

Axis Fixed Term Plan - Series 104 (1112 Days)

Monthly Portfolio Statement as on August 31,2020

Name of the Instrument ISIN Rating QuantityMarket/Fair Value

(Rs. in Lakhs)

% to Net

Assets

Debt Instruments

(a) Listed / awaiting listing on Stock Exchange

KM

IL3

Kotak Mahindra Investments Limited (06/04/2022) (ZCB) ** INE975F07GF7 CRISIL AAA 107 984.08 9.56%

MM

FS

Mahindra & Mahindra Financial Services Limited (29/03/2022) (ZCB) ** INE774D07SQ1 IND AAA 77 948.12 9.21%

PG

CI4

7.20% Power Grid Corporation of India Limited (21/12/2021) ** INE752E07OD2 CRISIL AAA 87 901.61 8.76%

IRL

Y2

6.70% Indian Railway Finance Corporation Limited (24/11/2021) ** INE053F07942 CRISIL AAA 87 895.27 8.69%

NB

AR

8.60% National Bank For Agriculture and Rural Development (31/01/2022) ** INE261F08AI7 CRISIL AAA 84 887.86 8.62%

SID

B3

8.81% Small Industries Dev Bank of India (25/01/2022) ** INE556F08JI1 CARE AAA 82 868.48 8.43%

LIC

H4

LIC Housing Finance Limited (25/02/2022) (ZCB) ** INE115A07NM3 CRISIL AAA 63 777.72 7.55%

BH

FL3

Bajaj Housing Finance Limited (05/04/2022) (ZCB) ** INE377Y07052 CRISIL AAA 57 712.83 6.92%

HD

BF

HDB Financial Services Limited (05/04/2022) (ZCB) ** INE756I07CI8 CRISIL AAA 54 668.10 6.49%

NH

AI5

7.60% National Highways Auth Of Ind (18/03/2022) ** INE906B07FG1 CRISIL AAA 60 629.13 6.11%

PO

WF

8.18% Power Finance Corporation Limited (19/03/2022) ** INE134E08JW1 CRISIL AAA 45 472.41 4.59%

RE

CL

8.35% REC Limited (11/03/2022) ** INE020B08BM6 CRISIL AAA 43 451.49 4.38%

NH

AI4

7.17% National Highways Auth Of Ind (23/12/2021) ** INE906B07FE6 CRISIL AAA 25 259.19 2.52%

NH

PC

8.7% NHPC Limited (11/02/2022) ** INE848E07245 ICRA AAA 110 116.56 1.13%

HD

FC

8.58% Housing Development Finance Corporation Limited (18/03/2022) ** INE001A07RS3 CRISIL AAA 5 52.63 0.51%

Sub Total 9,625.48 93.47%

(b) Privately placed / Unlisted NIL NIL

Sub Total NIL NIL

Total 9,625.48 93.47%

CBLO / Reverse Repo / TREPS

TR

P_

Clearing Corporation of India Ltd 419.49 4.07%

Sub Total 419.49 4.07%

Total 419.49 4.07%

Net Receivables / (Payables) 252.49 2.46%

GRAND TOTAL 10,297.46 100.00%

ZCB - Zero Coupon Bond

** Thinly Traded / Non Traded Security

# For internal use only

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Axis Capital Builder Fund - Series 1 (1540 days)

Monthly Portfolio Statement as on August 31,2020

Name of the Instrument ISIN Industry / Rating QuantityMarket/Fair Value

(Rs. in Lakhs)

% to Net

Assets

Equity & Equity related

(a) Listed / awaiting listing on Stock Exchanges

BA

FL

Bajaj Finance Limited INE296A01024 Finance 78,800 2,748.39 5.73%

RI

ND

Reliance Industries Limited INE002A01018 Petroleum Products 1,30,000 2,704.91 5.64%

TC

SL

Tata Consultancy Services Limited INE467B01029 Software 1,07,500 2,426.54 5.06%

HD

FB

HDFC Bank Limited INE040A01034 Banks 2,16,000 2,410.24 5.03%

IBC

L05

ICICI Bank Limited INE090A01021 Banks 6,00,000 2,367.60 4.94%

HD

FC

Housing Development Finance Corporation Limited INE001A01036 Finance 1,08,055 1,980.22 4.13%

DIV

I02

Divi's Laboratories Limited INE361B01024 Pharmaceuticals 60,000 1,873.68 3.91%

PII

N0

PI Industries Limited INE603J01030 Pesticides 90,507 1,663.97 3.47%

INF

S0

Infosys Limited INE009A01021 Software 1,78,575 1,658.25 3.46%

SU

PI0

Supreme Industries Limited INE195A01028 Industrial Products 1,10,000 1,470.54 3.07%

AS

TP

Astral Poly Technik Limited INE006I01046 Industrial Products 1,27,537 1,431.03 2.99%

TT

PL

TTK Prestige Limited INE690A01010 Consumer Durables 21,957 1,249.80 2.61%

MA

UD

Maruti Suzuki India Limited INE585B01010 Auto 17,000 1,162.79 2.43%

EN

DT

Endurance Technologies Limited INE913H01037 Auto Ancillaries 1,01,849 1,119.52 2.34%

IPC

A0

IPCA Laboratories Limited INE571A01020 Pharmaceuticals 57,771 1,090.49 2.28%

CF

CP

Camlin Fine Sciences Limited INE052I01032 Chemicals 11,02,391 1,007.59 2.10%

HL

EL

Hindustan Unilever Limited INE030A01027 Consumer Non Durables 45,000 952.81 1.99%

SP

CO

Symphony Limited INE225D01027 Consumer Durables 1,00,566 856.92 1.79%

SPI

L03

Sun Pharmaceutical Industries Limited INE044A01036 Pharmaceuticals 1,45,772 758.38 1.58%

SE

CH

UPL Limited INE628A01036 Pesticides 1,47,673 747.15 1.56%

TE

MA

Tech Mahindra Limited INE669C01036 Software 1,00,000 741.00 1.55%

TIN

V0

Cholamandalam Financial Holdings Limited INE149A01033 Finance 1,55,144 677.44 1.41%

AIE

L02

AIA Engineering Limited INE212H01026 Industrial Products 36,824 663.44 1.38%

GU

AM

Ambuja Cements Limited INE079A01024 Cement 3,10,847 654.49 1.37%

MC

EL

The Ramco Cements Limited INE331A01037 Cement 80,406 557.25 1.16%

CO

FE

Coromandel International Limited INE169A01031 Fertilisers 71,232 541.40 1.13%

EI

ML

Eicher Motors Limited INE066A01021 Auto 25,000 523.00 1.09%

MO

SU

Motherson Sumi Systems Limited INE775A01035 Auto Ancillaries 4,70,000 515.59 1.08%

MA

HI0

Mahindra & Mahindra Limited INE101A01026 Auto 76,560 464.64 0.97%

AA

RI0

Aarti Industries Limited INE769A01020 Chemicals 40,000 419.08 0.87%

CC

OI0

Container Corporation of India Limited INE111A01025 Transportation 1,02,217 401.71 0.84%

CA

ST

Castrol India Limited INE172A01027 Petroleum Products 2,10,000 251.79 0.53%

AV

SP

Avenue Supermarts Limited INE192R01011 Retailing 8,589 193.36 0.40%

PR

RC

Navin Fluorine International Limited INE048G01026 Chemicals 8,637 168.59 0.35%

RI

ND

Reliance Industries Limited IN9002A01024 Petroleum Products 8,666 103.43 0.22%

RO

BI0

Rossari Biotech Limited INE02A801020 Chemicals 2,064 15.23 0.03%

Sub Total 38,572.26 80.49%

(b) Unlisted NIL NIL

Sub Total NIL NIL

Total 38,572.26 80.49%

Derivatives

Index / Stock Options

N2

1D

Nifty 50 Index 10500 Put December 2021 Option 71,250 420.38 0.88%

Sub Total 420.38 0.88%

Total 420.38 0.88%

Debt Instruments

(a) Listed / awaiting listing on Stock Exchange

TIS

C1

2% Tata Steel Limited (23/04/2022) ** INE081A08181 BWR AA 160 2,718.34 5.67%

RE

CL

6.60% REC Limited (21/03/2022) ** INE020B08CV5 CRISIL AAA 250 2,564.18 5.35%

CG

PO

9.15% Coastal Gujarat Power Limited (14/06/2021) ** INE295J08048 CARE AA(CE) 100 1,025.62 2.14%

Sub Total 6,308.14 13.16%

(b) Privately placed / Unlisted NIL NIL

Sub Total NIL NIL

Total 6,308.14 13.16%

CBLO / Reverse Repo / TREPS

TR

P_

Clearing Corporation of India Ltd 2,576.01 5.37%

Sub Total 2,576.01 5.37%

Total 2,576.01 5.37%

Net Receivables / (Payables) 49.26 0.10%

GRAND TOTAL 47,926.05 100.00%

** Thinly Traded / Non Traded Security

# For internal use only

Page 6: Monthly Portfolio Statement as on August 31,2020 % to Net … · Axis Fixed Term Plan - Series 100 (1172 days) Monthly Portfolio Statement as on August 31,2020 Name of the Instrument

Axis Capital Builder Fund - Series 4 (1582 days)

Monthly Portfolio Statement as on August 31,2020

Name of the Instrument ISIN Industry / Rating QuantityMarket/Fair Value

(Rs. in Lakhs)

% to Net

Assets

Equity & Equity related

(a) Listed / awaiting listing on Stock Exchanges

HD

FB

HDFC Bank Limited INE040A01034 Banks 7,28,088 8,124.37 8.82%

INF

S0

Infosys Limited INE009A01021 Software 7,65,348 7,107.02 7.71%

RI

ND

Reliance Industries Limited INE002A01018 Petroleum Products 3,21,000 6,679.05 7.25%

TC

SL

Tata Consultancy Services Limited INE467B01029 Software 2,89,639 6,537.88 7.10%

IBC

L05

ICICI Bank Limited INE090A01021 Banks 13,70,726 5,408.88 5.87%

HL

EL

Hindustan Unilever Limited INE030A01027 Consumer Non Durables 2,19,040 4,637.84 5.03%

KO

MA

Kotak Mahindra Bank Limited INE237A01028 Banks 2,89,019 4,050.17 4.40%

BA

FL

Bajaj Finance Limited INE296A01024 Finance 1,10,569 3,856.43 4.19%

SU

FI0

Sundaram Finance Limited INE660A01013 Finance 2,36,390 3,808.48 4.13%

NE

ST

Nestle India Limited INE239A01016 Consumer Non Durables 18,320 2,921.96 3.17%

BT

VL

Bharti Airtel Limited INE397D01024 Telecom - Services 5,14,523 2,640.02

Page 7: Monthly Portfolio Statement as on August 31,2020 % to Net … · Axis Fixed Term Plan - Series 100 (1172 days) Monthly Portfolio Statement as on August 31,2020 Name of the Instrument

Axis Equity Advantage Fund - Series 1

Monthly Portfolio Statement as on August 31,2020

Name of the Instrument ISIN Industry / Rating QuantityMarket/Fair Value

(Rs. in Lakhs)

% to Net

Assets

Equity & Equity related

(a) Listed / awaiting listing on Stock Exchanges

IBC

L05

ICICI Bank Limited INE090A01021 Banks 19,77,000 7,801.24 7.40%

HD

FC

Housing Development Finance Corporation Limited INE001A01036 Finance 3,99,090 7,313.72 6.94%

INF

S0

Infosys Limited INE009A01021 Software 7,50,000 6,964.50 6.61%

BF

SL

Bajaj Finserv Limited INE918I01018 Finance 1,01,725 6,297.13 5.97%

AV

SP

Avenue Supermarts Limited INE192R01011 Retailing 2,13,000 4,795.16 4.55%

TC

SL

Tata Consultancy Services Limited INE467B01029 Software 2,00,000 4,514.50 4.28%

RI

ND

Reliance Industries Limited INE002A01018 Petroleum Products 2,00,000 4,161.40 3.95%

HL

EL

Hindustan Unilever Limited INE030A01027 Consumer Non Durables 1,85,900 3,936.15 3.73%

SU

PI0

Supreme Industries Limited INE195A01028 Industrial Products 2,60,081 3,476.89 3.30%

AS

PA

Asian Paints Limited INE021A01026 Consumer Non Durables 1,80,000 3,418.38 3.24%

BT

VL

Bharti Airtel Limited INE397D01024 Telecom - Services 6,14,382 3,152.39 2.99%

HD

FB

HDFC Bank Limited INE040A01034 Banks 2,50,000 2,789.63 2.65%

PID

I02

Pidilite Industries Limited INE318A01026 Chemicals 1,90,000 2,665.32 2.53%

DIV

I02

Divi's Laboratories Limited INE361B01024 Pharmaceuticals 80,000 2,498.24 2.37%

KO

MA

Kotak Mahindra Bank Limited INE237A01028 Banks 1,74,000 2,438.35 2.31%

TW

AT

Titan Company Limited INE280A01028 Consumer Durables 2,05,235 2,258.61 2.14%

MA

UD

Maruti Suzuki India Limited INE585B01010 Auto 28,432 1,944.73 1.84%

EN

DT

Endurance Technologies Limited INE913H01037 Auto Ancillaries 1,68,199 1,848.84 1.75%

HD

LI0

HDFC Life Insurance Company Limited INE795G01014 Finance 2,49,434 1,433.75 1.36%

CU

BI0

City Union Bank Limited INE491A01021 Banks 5,01,861 677.51 0.64%

RA

LL0

Rallis India Limited INE613A01020 Pesticides 1,23,132 361.64 0.34%

RI

ND

Reliance Industries Limited IN9002A01024 Petroleum Products 13,333 159.13 0.15%

Sub Total 74,907.21 71.04%

(b) Unlisted NIL NIL

Sub Total NIL NIL

Total 74,907.21 71.04%

Debt Instruments

(a) Listed / awaiting listing on Stock Exchange

BT

VL

8.35% Bharti Airtel Limited (20/04/2021) ** INE397D08037 CRISIL AA 200 2,042.32 1.94%

RP

AT

10.25% Sikka Ports and Terminals Limited (22/08/2021) INE941D08065 CRISIL AAA 50 526.79 0.50%

MU

FL

8.75% Muthoot Finance Limited (19/06/2021) ** INE414G07CM0 CRISIL AA 25,000 253.94 0.24%

Sub Total 2,823.05 2.68%

(b) Privately placed / Unlisted NIL NIL

Sub Total NIL NIL

(c) Securitised Debt

RE

LD

Reliable Devices Trust (21/12/2020) ** INE038715087 ICRA AAA(SO) 150 1,522.70 1.44%

RE

NT

RENT-A-DEVICE TRUST (28/06/2021) ** INE01A115125 ICRA AAA(SO) 109 1,129.70 1.07%

Sub Total 2,652.40 2.51%

(b) Privately placed / Unlisted NIL NIL

Sub Total NIL NIL

Total 5,475.45 5.19%

Money Market Instruments

Commercial Paper

LIC

H5

LIC Housing Finance Limited (10/03/2021) ** INE115A14CN0 CRISIL A1+ 1,000 4,903.02 4.65%

Sub Total 4,903.02 4.65%

Total 4,903.02 4.65%

CBLO / Reverse Repo / TREPS

TR

P_

Clearing Corporation of India Ltd 19,679.97 18.67%

Sub Total 19,679.97 18.67%

Total 19,679.97 18.67%

Net Receivables / (Payables) 456.56 0.45%

GRAND TOTAL 1,05,422.21 100.00%

** Thinly Traded / Non Traded Security

# For internal use only

Page 8: Monthly Portfolio Statement as on August 31,2020 % to Net … · Axis Fixed Term Plan - Series 100 (1172 days) Monthly Portfolio Statement as on August 31,2020 Name of the Instrument

Axis Equity Advantage Fund - Series 2

Monthly Portfolio Statement as on August 31,2020

Name of the Instrument ISIN Industry QuantityMarket/Fair Value

(Rs. in Lakhs)

% to Net

Assets

Equity & Equity related

(a) Listed / awaiting listing on Stock Exchanges

HD

FC

Housing Development Finance Corporation Limited INE001A01036 Finance 39,409 722.21 6.83%

INF

S0

Infosys Limited INE009A01021 Software 73,000 677.88 6.41%

AV

SP

Avenue Supermarts Limited INE192R01011 Retailing 27,000 607.84 5.75%

RIN

D0

Reliance Industries Limited INE002A01018 Petroleum Products 27,000 561.79 5.32%

IEI

N0

Info Edge (India) Limited INE663F01024 Software 16,400 535.24 5.06%

IBC

L05

ICICI Bank Limited INE090A01021 Banks 1,21,000 477.47 4.52%

KO

MA

Kotak Mahindra Bank Limited INE237A01028 Banks 33,839 474.20 4.49%

TC

SL

Tata Consultancy Services Limited INE467B01029 Software 20,000 451.45 4.27%

HL

EL

Hindustan Unilever Limited INE030A01027 Consumer Non Durables 18,300 387.48 3.67%

HD

FB

HDFC Bank Limited INE040A01034 Banks 34,200 381.62 3.61%

BT

VL

Bharti Airtel Limited INE397D01024 Telecom - Services 56,944 292.18 2.76%

BA

FL0

Bajaj Finance Limited INE296A01024 Finance 8,000 279.02 2.64%

DIV

I02

Divi's Laboratories Limited INE361B01024 Pharmaceuticals 7,400 231.09 2.19%

PID

I02

Pidilite Industries Limited INE318A01026 Chemicals 14,000 196.39 1.86%

TW

AT

Titan Company Limited INE280A01028 Consumer Durables 16,000 176.08 1.67%

MA

UD

Maruti Suzuki India Limited INE585B01010 Auto 2,400 164.16 1.55%

HD

LI0

HDFC Life Insurance Company Limited INE795G01014 Finance 22,675 130.34 1.23%

TA

EL

Tata Elxsi Limited INE670A01012 Software 10,000 107.48 1.02%

BRI

T03

Britannia Industries Limited INE216A01030 Consumer Non Durables 2,700 100.60 0.95%

CO

LG

Colgate Palmolive (India) Limited INE259A01022 Consumer Non Durables 7,200 98.15 0.93%

OR

EL

Orient Electric Limited INE142Z01019 Consumer Durables 39,500 78.92 0.75%

BRI

G0

Brigade Enterprises Limited INE791I01019 Construction 43,480 75.94 0.72%

RIN

D0

Reliance Industries Limited IN9002A01024 Petroleum Products 1,000 11.94 0.11%

Sub Total 7,219.47 68.31%

(b) Unlisted NIL NIL

Sub Total NIL NIL

Total 7,219.47 68.31%

Others

Margin Fixed Deposit Duration (in Days)

FD

UT

4.10% Axis Bank Limited (01/02/2021) 175 30.00 0.28%

Sub Total 30.00 0.28%

Total 30.00 0.28%

CBLO / Reverse Repo / TREPS

TR

P_

Clearing Corporation of India Ltd 3,328.47 31.49%

Sub Total 3,328.47 31.49%

Total 3,328.47 31.49%

Net Receivables / (Payables) (8.26) (0.08)%

GRAND TOTAL 10,569.68 100.00%

# For internal use only

Page 9: Monthly Portfolio Statement as on August 31,2020 % to Net … · Axis Fixed Term Plan - Series 100 (1172 days) Monthly Portfolio Statement as on August 31,2020 Name of the Instrument

Axis Emerging Opportunities Fund - Series 1 (1400 Days)

Monthly Portfolio Statement as on August 31,2020

Name of the Instrument ISIN Industry QuantityMarket/Fair Value

(Rs. in Lakhs)

% to Net

Assets

Equity & Equity related

(a) Listed / awaiting listing on Stock Exchanges

CU

BI0

City Union Bank Limited INE491A01021 Banks 27,60,837 3,727.13 6.33%

CH

OL

Cholamandalam Investment and Finance Company Limited INE121A01024 Finance 15,38,891 3,573.30 6.06%

BA

LI0

Balkrishna Industries Limited INE787D01026 Auto Ancillaries 2,47,947 3,277.61 5.56%

MA

FS

Mahindra & Mahindra Financial Services Limited INE774D01024 Finance 24,19,026 3,258.43 5.53%

AA

RI0

Aarti Industries Limited INE769A01020 Chemicals 2,77,502 2,907.39 4.93%

SR

FL

SRF Limited INE647A01010 Industrial Products 71,293 2,890.15 4.91%

VO

LT

Voltas Limited INE226A01021 Consumer Durables 3,69,726 2,346.84 3.98%

NIT

L01

Page 10: Monthly Portfolio Statement as on August 31,2020 % to Net … · Axis Fixed Term Plan - Series 100 (1172 days) Monthly Portfolio Statement as on August 31,2020 Name of the Instrument

Axis Emerging Opportunities Fund - Series 2 (1400 Days)

Monthly Portfolio Statement as on August 31,2020

Name of the Instrument ISIN Industry QuantityMarket/Fair Value

(Rs. in Lakhs)

% to Net

Assets

Equity & Equity related

(a) Listed / awaiting listing on Stock Exchanges

CU

BI0

City Union Bank Limited INE491A01021 Banks 59,08,797 7,976.88 6.32%

MA

FS

Mahindra & Mahindra Financial Services Limited INE774D01024 Finance 53,70,722 7,234.36 5.73%

CH

OL

Cholamandalam Investment and Finance Company Limited INE121A01024 Finance 31,07,893 7,216.53 5.72%

BA

LI0

Balkrishna Industries Limited INE787D01026 Auto Ancillaries 5,02,202 6,638.61 5.26%

SU

FI0

Sundaram Finance Limited INE660A01013 Finance 3,78,476 6,097.63 4.83%

AA

RI0

Aarti Industries Limited INE769A01020 Chemicals 5,13,703 5,382.07 4.26%

MR

FL

MRF Limited INE883A01011 Auto Ancillaries 8,982 5,208.43 4.12%

SR

FL

SRF Limited INE647A01010 Industrial Products 1,28,321 5,202.01 4.12%

NIT

L01

Coforge Limited INE591G01017 Software 2,62,729 5,054.91 4.00%

EN

DT

Endurance Technologies Limited INE913H01037 Auto Ancillaries 4,44,411 4,884.97 3.87%

VO

LT0

Voltas Limited INE226A01021 Consumer Durables 7,19,233 4,565.33 3.62%

CO

FE

Coromandel International Limited INE169A01031 Fertilisers 5,68,290 4,319.29 3.42%

GU

AM

Ambuja Cements Limited INE079A01024 Cement 19,28,929 4,061.36 3.22%

GA

LS

Galaxy Surfactants Limited INE600K01018 Chemicals 2,18,211 3,808.44 3.02%

AC

CL

ACC Limited INE012A01025 Cement 2,54,588 3,365.14 2.67%

JK

CE

JK Cement Limited INE823G01014 Cement 2,20,653 3,286.85 2.60%

SE

CH

UPL Limited INE628A01036 Pesticides 5,79,993 2,934.47 2.32%

JS

PL

Jindal Steel & Power Limited INE749A01030 Ferrous Metals 14,00,000 2,871.40 2.27%

UB

BL

United Breweries Limited INE686F01025 Consumer Non Durables 2,49,038 2,516.90 1.99%

CO

LG

Colgate Palmolive (India) Limited INE259A01022 Consumer Non Durables 1,59,146 2,169.56 1.72%

ME

TR

METROPOLIS HEALTHCARE LIMITED INE112L01020 Healthcare Services 1,10,597 2,033.49 1.61%

IPC

A0

IPCA Laboratories Limited INE571A01020 Pharmaceuticals 1,04,612 1,974.66 1.56%

PL

NG

Petronet LNG Limited INE347G01014 Gas 7,28,678 1,751.38 1.39%

TE

MA

Tech Mahindra Limited INE669C01036 Software 2,00,000 1,482.00 1.17%

GS

PL

Gujarat State Petronet Limited INE246F01010 Gas 5,00,000 1,017.75 0.81%

MO

SU

Motherson Sumi Systems Limited INE775A01035 Auto Ancillaries 9,23,716 1,013.32 0.80%

TT

PL

TTK Prestige Limited INE690A01010 Consumer Durables 16,933 963.83 0.76%

PE

FR

Aditya Birla Fashion and Retail Limited INE647O01011 Retailing 6,34,658 887.89 0.70%

TIN

V0

Cholamandalam Financial Holdings Limited INE149A01033 Finance 1,96,000 855.83 0.68%

KC

UL

Cummins India Limited INE298A01020 Industrial Products 1,62,204 749.79 0.59%

CH

AL

Chalet Hotels Limited INE427F01016 Hotels, Resorts And Other Recreational

Activities

4,00,345 625.74 0.50%

MI

NT

MindTree Limited INE018I01017 Software 52,140 602.61 0.48%

TC

NS

TCNS Clothing Co. Limited INE778U01029 Textile Products 1,09,500 465.65 0.37%

VGI

L02

V-Guard Industries Limited INE951I01027 Consumer Durables 1,65,477 276.84 0.22%

SP

CO

Symphony Limited INE225D01027 Consumer Durables 17,000 144.86 0.11%

BF

LS

MphasiS Limited INE356A01018 Software 4,019 44.35 0.04%

JM

FL

JM Financial Limited INE780C01023 Finance 43,159 35.24 0.03%

NA

HR

Narayana Hrudayalaya Limited INE410P01011 Healthcare Services 500 1.62 $0.00%

Sub Total 1,09,721.99 86.90%

(b) Unlisted NIL NIL

Sub Total NIL NIL

Total 1,09,721.99 86.90%

Derivatives

Index / Stock Futures

NIF

YS

Nifty 50 Index September 2020 Future 21,000 2,394.41 1.90%

Sub Total 2,394.41 1.90%

Total 2,394.41 1.90%

Others

Margin Fixed Deposit Duration (in Days)

FD

UT

2.75% Axis Bank Limited (02/11/2020) 98 491.00 0.39%

FD

UT

2.75% Axis Bank Limited (24/12/2020) 125 491.00 0.39%

Sub Total 982.00 0.78%

Total 982.00 0.78%

CBLO / Reverse Repo / TREPS

TR

P_

Clearing Corporation of India Ltd 15,655.61 12.40%

Sub Total 15,655.61 12.40%

Total 15,655.61 12.40%

Net Receivables / (Payables) (2,488.63) (1.98)%

GRAND TOTAL 1,26,265.38 100.00%

$ Less Than 0.01% of Net Asset Value

# For internal use only

Page 11: Monthly Portfolio Statement as on August 31,2020 % to Net … · Axis Fixed Term Plan - Series 100 (1172 days) Monthly Portfolio Statement as on August 31,2020 Name of the Instrument

Axis Gold ETF

Monthly Portfolio Statement as on August 31,2020

Name of the Instrument ISIN Industry / Rating QuantityMarket/Fair Value

(Rs. in Lakhs)

% to Net

Assets

Gold

GO

LD

GOLD .995 1KG BAR 593 30,977.41 97.93%

Sub Total 30,977.41 97.93%

Total 30,977.41 97.93%

CBLO / Reverse Repo / TREPS

TR

P_

Clearing Corporation of India Ltd 286.59 0.91%

Sub Total 286.59 0.91%

Total 286.59 0.91%

Net Receivables / (Payables) 367.32 1.16%

GRAND TOTAL 31,631.32 100.00%

Aggregate Investments by other schemes as on August 31,2020 RS 23,232.02 Lakh's

# For internal use only

Page 12: Monthly Portfolio Statement as on August 31,2020 % to Net … · Axis Fixed Term Plan - Series 100 (1172 days) Monthly Portfolio Statement as on August 31,2020 Name of the Instrument

Axis Hybrid Fund - Series 5 (1346 Days)

Monthly Portfolio Statement as on August 31,2020

Name of the Instrument ISIN Rating QuantityMarket/Fair Value

(Rs. in Lakhs)

% to Net

Assets

Debt Instruments

(a) Listed / awaiting listing on Stock Exchange

RE

CL

7.13% REC Limited (21/09/2020) ** INE020B08AE5 CRISIL AAA 10 100.20 10.20%

NH

PC

6.91% NHPC Limited (15/09/2020) ** INE848E07AF2 ICRA AAA 10 100.13 10.20%

Sub Total 200.33 20.40%

(b) Privately placed / Unlisted NIL NIL

Sub Total NIL NIL

Total 200.33 20.40%

CBLO / Reverse Repo / TREPS

TR

P_

Clearing Corporation of India Ltd 772.89 78.71%

Sub Total 772.89 78.71%

Total 772.89 78.71%

Net Receivables / (Payables) 8.67 0.89%

GRAND TOTAL 981.89 100.00%

** Thinly Traded / Non Traded Security

# For internal use only

Page 13: Monthly Portfolio Statement as on August 31,2020 % to Net … · Axis Fixed Term Plan - Series 100 (1172 days) Monthly Portfolio Statement as on August 31,2020 Name of the Instrument

Axis Hybrid Fund - Series 6 (1324 Days)

Monthly Portfolio Statement as on August 31,2020

Name of the Instrument ISIN Rating QuantityMarket/Fair Value

(Rs. in Lakhs)

% to Net

Assets

Debt Instruments

(a) Listed / awaiting listing on Stock Exchange

NH

PC

6.91% NHPC Limited (15/09/2020) ** INE848E07AF2 ICRA AAA 5 50.06 10.99%

RE

CL

7.13% REC Limited (21/09/2020) ** INE020B08AE5 CRISIL AAA 4 40.08 8.80%

Sub Total 90.14 19.79%

(b) Privately placed / Unlisted NIL NIL

Sub Total NIL NIL

Total 90.14 19.79%

CBLO / Reverse Repo / TREPS

TR

P_

Clearing Corporation of India Ltd 361.51 79.34%

Sub Total 361.51 79.34%

Total 361.51 79.34%

Net Receivables / (Payables) 3.99 0.87%

GRAND TOTAL 455.64 100.00%

** Thinly Traded / Non Traded Security

# For internal use only

Page 14: Monthly Portfolio Statement as on August 31,2020 % to Net … · Axis Fixed Term Plan - Series 100 (1172 days) Monthly Portfolio Statement as on August 31,2020 Name of the Instrument

Axis Hybrid Fund - Series 7 (1305 Days)

Monthly Portfolio Statement as on August 31,2020

Name of the Instrument ISIN Rating QuantityMarket/Fair Value

(Rs. in Lakhs)

% to Net

Assets

Debt Instruments

(a) Listed / awaiting listing on Stock Exchange

RE

CL

7.13% REC Limited (21/09/2020) ** INE020B08AE5 CRISIL AAA 5 50.10 9.44%

NH

PC

6.91% NHPC Limited (15/09/2020) ** INE848E07AF2 ICRA AAA 5 50.06 9.44%

Sub Total 100.16 18.88%

(b) Privately placed / Unlisted NIL NIL

Sub Total NIL NIL

Total 100.16 18.88%

CBLO / Reverse Repo / TREPS

TR

P_

Clearing Corporation of India Ltd 426.16 80.33%

Sub Total 426.16 80.33%

Total 426.16 80.33%

Net Receivables / (Payables) 4.21 0.79%

GRAND TOTAL 530.53 100.00%

** Thinly Traded / Non Traded Security

# For internal use only

Page 15: Monthly Portfolio Statement as on August 31,2020 % to Net … · Axis Fixed Term Plan - Series 100 (1172 days) Monthly Portfolio Statement as on August 31,2020 Name of the Instrument

Axis Fixed Term Plan - Series 95 (1185 Days)

Monthly Portfolio Statement as on August 31,2020

Name of the Instrument ISIN Rating QuantityMarket/Fair Value

(Rs. in Lakhs)

% to Net

Assets

Debt Instruments

(a) Listed / awaiting listing on Stock Exchange

BH

FL2

Bajaj Housing Finance Limited (04/05/2021) (ZCB) ** INE377Y07037 CRISIL AAA 100 1,245.55 11.18%

KO

MP

Kotak Mahindra Prime Limited (27/08/2021) (ZCB) ** INE916DA7PU0 CRISIL AAA 126 1,206.91 10.83%

HD

BF

8.81% HDB Financial Services Limited (07/07/2021) ** INE756I07BY7 CRISIL AAA 105 1,086.90 9.75%

NB

AR

8.37% National Bank For Agriculture and Rural Development (03/08/2021) ** INE261F08AM9 CRISIL AAA 100 1,037.22 9.31%

PO

WF

7.47% Power Finance Corporation Limited (16/09/2021) ** INE134E08IJ0 CRISIL AAA 100 1,030.21 9.24%

NH

PC

6.91% NHPC Limited (15/09/2021) ** INE848E07AG0 ICRA AAA 100 1,027.39 9.22%

EXI

M2

9.38% Export Import Bank of India (29/09/2021) ** INE514E08AG6 CRISIL AAA 95 1,000.37 8.98%

RE

CL

9.48% REC Limited (10/08/2021) ** INE020B08591 CRISIL AAA 95 993.43 8.91%

SID

B3

8.5% Small Industries Dev Bank of India (21/06/2021) ** INE556F08JF7 CARE AAA 77 797.18 7.15%

LIC

H4

LIC Housing Finance Limited (25/03/2021) (ZCB) ** INE115A07MX2 CRISIL AAA 47 583.81 5.24%

SID

B3

8.40% Small Industries Dev Bank of India (10/08/2021) ** INE556F08JH3 CARE AAA 20 207.93 1.87%

NB

AR

8.39% National Bank For Agriculture and Rural Development (19/07/2021) ** INE261F08AL1 CRISIL AAA 6 62.14 0.56%

Sub Total 10,279.04 92.24%

(b) Privately placed / Unlisted NIL NIL

Sub Total NIL NIL

Total 10,279.04 92.24%

CBLO / Reverse Repo / TREPS

TR

P_

Clearing Corporation of India Ltd 603.93 5.42%

Sub Total 603.93 5.42%

Total 603.93 5.42%

Net Receivables / (Payables) 260.98 2.34%

GRAND TOTAL 11,143.95 100.00%

ZCB - Zero Coupon Bond

** Thinly Traded / Non Traded Security

# For internal use only

Page 16: Monthly Portfolio Statement as on August 31,2020 % to Net … · Axis Fixed Term Plan - Series 100 (1172 days) Monthly Portfolio Statement as on August 31,2020 Name of the Instrument

Axis Fixed Term Plan - Series 96 (1124 Days)

Monthly Portfolio Statement as on August 31,2020

Name of the Instrument ISIN Rating QuantityMarket/Fair Value

(Rs. in Lakhs)

% to Net

Assets

Debt Instruments

(a) Listed / awaiting listing on Stock Exchange

PE

FR

Aditya Birla Fashion and Retail Limited (14/08/2021) (ZCB) ** INE647O08073 CRISIL AA 41 495.01 9.77%

TE

LC

7.40% Tata Motors Limited (29/06/2021) ** INE155A08365 CARE AA- 47 472.12 9.32%

BIR

J40

9.15% Birla Corporation Limited (18/08/2021) ** INE340A07076 ICRA AA 46 465.05 9.18%

PG

CI3

8.40% Power Grid Corporation of India Limited (27/05/2021) ** INE752E07MN5 CRISIL AAA 45 464.02 9.16%

TA

SP

9.23% Talwandi Sabo Power Limited (30/07/2021) ** INE694L07123 CRISIL AA(CE) 46 445.60 8.79%

SID

B3

8.40% Small Industries Dev Bank of India (10/08/2021) ** INE556F08JH3 CARE AAA 35 363.88 7.18%

SE

SA

8.5% Vedanta Limited (15/06/2021) ** INE205A07147 CRISIL AA 33 322.56 6.37%

JM

FP

JM Financial Products Limited (13/09/2021) (ZCB) ** INE523H07AC1 ICRA AA 25 296.19 5.85%

IIH

F10

IIFL Home Finance Limited (11/08/2021) (ZCB) ** INE477L07917 CRISIL AA 25 294.55 5.81%

MU

FL2

8.75% Muthoot Finance Limited (19/06/2021) ** INE414G07CM0 CRISIL AA 25,000 253.94 5.01%

SH

TR

9.1% Shriram Transport Finance Company Limited (12/07/2021) ** INE721A07NV9 CRISIL AA+ 25,000 241.15 4.76%

ED

CO

9.3% Edelweiss Rural & Corporate Services Limited (22/04/2021) ** INE657N07472 ICRA A+ 22 208.22 4.11%

ICF

P1

9.45% IndoStar Capital Finance Limited (24/09/2021) ** INE896L07454 CARE AA- 2 195.36 3.86%

RE

CL

8.15% REC Limited (18/06/2021) INE020B08BN4 CRISIL AAA 10 102.97 2.03%

SID

B3

8.5% Small Industries Dev Bank of India (21/06/2021) ** INE556F08JF7 CARE AAA 9 93.18 1.84%

Sub Total 4,713.80 93.04%

(b) Privately placed / Unlisted NIL NIL

Sub Total NIL NIL

Total 4,713.80 93.04%

CBLO / Reverse Repo / TREPS

TR

P_

Clearing Corporation of India Ltd 293.30 5.79%

Sub Total 293.30 5.79%

Total 293.30 5.79%

Net Receivables / (Payables) 59.42 1.17%

GRAND TOTAL 5,066.52 100.00%

ZCB - Zero Coupon Bond

** Thinly Traded / Non Traded Security

# For internal use only

Page 17: Monthly Portfolio Statement as on August 31,2020 % to Net … · Axis Fixed Term Plan - Series 100 (1172 days) Monthly Portfolio Statement as on August 31,2020 Name of the Instrument

Axis Fixed Term Plan - Series 97 (1116 Days)

Monthly Portfolio Statement as on August 31,2020

Name of the Instrument ISIN Rating QuantityMarket/Fair Value

(Rs. in Lakhs)

% to Net

Assets

Debt Instruments

(a) Listed / awaiting listing on Stock Exchange

PE

FR

Aditya Birla Fashion and Retail Limited (14/08/2021) (ZCB) ** INE647O08073 CRISIL AA 309 3,730.72 9.76%

SID

B3

8.5% Small Industries Dev Bank of India (21/06/2021) ** INE556F08JF7 CARE AAA 328 3,395.80 8.88%

TA

SP

9.23% Talwandi Sabo Power Limited (30/07/2021) ** INE694L07123 CRISIL AA(CE) 334 3,235.43 8.46%

INB

S9

8.32% Reliance Industries Limited (08/07/2021) ** INE110L07070 CRISIL AAA 300 3,097.49 8.10%

IIH

F10

IIFL Home Finance Limited (11/08/2021) (ZCB) ** INE477L07917 CRISIL AA 250 2,945.48 7.70%

PO

WF

7.47% Power Finance Corporation Limited (16/09/2021) ** INE134E08IJ0 CRISIL AAA 270 2,781.58 7.27%

JM

FP

JM Financial Products Limited (13/09/2021) (ZCB) ** INE523H07AC1 ICRA AA 200 2,369.52 6.20%

SE

SA

8.5% Vedanta Limited (15/06/2021) ** INE205A07147 CRISIL AA 235 2,296.99 6.01%

RE

CL

9.4% REC Limited (17/07/2021) ** INE020B07IW2 CRISIL AAA 210 2,187.64 5.72%

BIR

J40

9.15% Birla Corporation Limited (18/08/2021) ** INE340A07076 ICRA AA 214 2,163.51 5.66%

TE

LC

7.40% Tata Motors Limited (29/06/2021) ** INE155A08365 CARE AA- 203 2,039.17 5.33%

MU

FL2

8.75% Muthoot Finance Limited (19/06/2021) ** INE414G07CM0 CRISIL AA 2,00,000 2,031.49 5.31%

ED

CO

9.3% Edelweiss Rural & Corporate Services Limited (22/04/2021) ** INE657N07472 ICRA A+ 163 1,542.70 4.03%

ICF

P1

9.45% IndoStar Capital Finance Limited (24/09/2021) ** INE896L07454 CARE AA- 15 1,465.19 3.83%

LIC

H3

8.75% LIC Housing Finance Limited (08/03/2021) ** INE115A07IY8 CRISIL AAA 50 511.51 1.34%

RIN

D1

6.78% Reliance Industries Limited (16/09/2020) INE002A08484 CRISIL AAA 50 500.72 1.31%

ICF

P1

9.25% IndoStar Capital Finance Limited (15/03/2021) ** INE896L07538 CARE AA- 5 494.35 1.29%

SID

B3

8.40% Small Industries Dev Bank of India (10/08/2021) ** INE556F08JH3 CARE AAA 20 207.93 0.54%

NB

AR

8.39% National Bank For Agriculture and Rural Development (19/07/2021) ** INE261F08AL1 CRISIL AAA 10 103.57 0.27%

RE

CL

8.15% REC Limited (18/06/2021) INE020B08BN4 CRISIL AAA 10 102.97 0.27%

Sub Total 37,203.76 97.28%

(b) Privately placed / Unlisted NIL NIL

Sub Total NIL NIL

Total 37,203.76 97.28%

CBLO / Reverse Repo / TREPS

TR

P_

Clearing Corporation of India Ltd 348.92 0.91%

Sub Total 348.92 0.91%

Total 348.92 0.91%

Net Receivables / (Payables) 688.00 1.81%

GRAND TOTAL 38,240.68 100.00%

ZCB - Zero Coupon Bond

** Thinly Traded / Non Traded Security

# For internal use only