Auditors Report. To the Board of Directors of Trustees of Franklin Templeton Mutual Fund

Size: px
Start display at page:

Download "Auditors Report. To the Board of Directors of Trustees of Franklin Templeton Mutual Fund"

Transcription

1 Auditors Report To the Board of Directors of Trustees of Franklin Templeton Mutual Fund 1. We have audited the attached balance sheets of the below-mentioned Schemes of Franklin Templeton Mutual Fund (the Schemes ) as at March 31, 2011 and also the revenue accounts and the cash flow statements for the year ended on that date annexed thereto. Name of Schemes: FRANKLIN INDIA PRIMA FUND FRANKLIN INDIA SMALLER COMPANIES FUND These financial statements are the responsibility of the management of Franklin Templeton Asset Management (India) Private Limited, the Schemes asset manager. Our responsibility is to express an opinion on these financial statements based on our audit. Presentation of these separate balance sheets, revenue accounts and cash flow statements in a columnar form is not intended to indicate that they bear any relation to each other, or are interdependent or comparable in any way. 2. We conducted our audit in accordance with auditing standards generally accepted in India. Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement. An audit includes examining, on a test basis, evidence supporting the amounts and disclosures in the financial statements. An audit also includes assessing the accounting principles used and significant estimates made by management, as well as evaluating the overall financial statement presentation. We believe that our audit provides a reasonable basis for our opinion. 3. We report that: i. We have obtained all the information and explanations, which to the best of our knowledge and belief were necessary for the purposes of our audit; ii. The balance sheets, revenue accounts and cash flow statements dealt with by this report are in agreement with the books of account;

2 iii. In our opinion, the balance sheets, revenue accounts and cash flow statements dealt with by this report have been prepared in conformity with the accounting policies and standards specified in the Ninth Schedule to the Securities and Exchange Board of India (Mutual Funds) Regulations, 1996 (the SEBI Regulations ); iv. In our opinion, and to the best of our information and according to the explanations given to us, the said financial statements give the information required by the SEBI Regulations as applicable and give a true and fair view in conformity with the accounting principles generally accepted in India: a) in the case of the balance sheets, of the state of affairs of the Schemes as at March 31, 2011; b) in the case of the revenue accounts, of the surplus, for the year ended on that date; and c) in the case of cash flow statements, of the cash flows for the year ended on that date. For S. R. Batliboi & Co. Firm Registration Number E Chartered Accountants Sd/- per Shrawan Jalan Partner Membership No.: Mumbai, July 8, 2011

3 FRANKLIN TEMPLETON MUTUAL FUND BALANCE SHEET AS AT MARCH 31, 2011 (All amounts in thousands of Rupees) SOURCES OF FUNDS Schedules FRANKLIN INDIA PRIMA FUND FRANKLIN INDIA SMALLER COMPANIES FUND As at As at As at As at March 31, 2011 March 31, 2010 March 31, 2011 March 31, Unit Capital 2(b) & 3 1,288,790 1,322,153 3,642,958 4,929,154 2 Reserves and Surplus Unrealised Appreciation Reserve 1,219,822 1,755, ,140 1,608, Retained Surplus 10,206,793 10,838,972 2,336,827 1,485,179 3 Current Liabilities and Provisions Current Liabilities 130, ,343 75,423 59,386 TOTAL 12,846,324 14,105,093 7,027,348 8,082,129 APPLICATION OF FUNDS 1 Investments 2(c), 6 & Listed Securities Equity Shares 7,747,643 9,115,539 4,821,626 6,132, Unlisted Securities Equity Shares 2 12,469-14,910 2 Other Current Assets Cash and Bank Balances 8,587 7,225 1, CBLO/ Reverse Repo Lending 534, , , , Others 124, ,077 52,384 50,757 3 Accumulated Unit Discount, Net 8 4,430,888 4,434,958 1,908,337 1,655,643 TOTAL 12,846,324 14,105,093 7,027,348 8,082,129 Notes to Accounts 1 to 16 The accompanying schedules are an integral part of this Balance Sheet. As per our attached report of even date For S.R. Batliboi and Co. For Franklin Templeton Trustee For Franklin Templeton Asset Management Firm Registration no E Services Private Limited (India) Private Limited Chartered Accountants Sd/- Sd/- Sd/- Sd/- Sd/- Anand J. Vashi Navroz Seervai Vivek Kudva K. N. Siva Subramanian R. Janakiraman Director Director Director Chief Investment Officer - Equity Vice President and Portfolio Manager Sd/- Sd/- Sd/- Sd/- Sd/- Sd/- per Shrawan Jalan Indu Shahani Harshendu Bindal Vivek Pai Murali Krishna Yerram Rajat Malhotra Partner Director President Vice President Asst. Vice President Asst. Vice President Membership No July 8, 2011 Mumbai

4 FRANKLIN TEMPLETON MUTUAL FUND REVENUE ACCOUNT FOR THE YEAR ENDED MARCH 31, 2011 (All amounts in thousands of Rupees) Schedules FRANKLIN INDIA PRIMA FUND FRANKLIN INDIA SMALLER COMPANIES FUND Year ended Year ended Year ended Year ended March 31, 2011 March 31, 2010 March 31, 2011 March 31, INCOME 1.1 Dividend 2(d) 106, ,569 69,625 84, Interest 2(d) & 9 29,155 10,665 32,901 7, Realised Gain on External Sale / Redemption of Investments, net 2(d) 1,082,975 2,275,344 1,072,511 1,418, Other Income ,218,660 2,396,986 1,175,044 1,510,991 2 EXPENSES 2.1 Management Fees 10 95,111 84,097 65,208 72, Service Tax on Management Fees 10 9,796 8,662 6,716 7, Transfer Agents Fees and Expenses 15,263 14,279 6,396 5, Custodian Fees 1,367 1, Trusteeship Fees Commission to Agents 52,566 48,576 23,147 21, Marketing and Distribution Expenses 10,107 7,285 18, Audit Fees Other Operating Expenses 7,316 7,671 8,413 5, , , , , Expenses Written Back pertaining to previous year (2,859) - (2,218) - 189, , , ,983 3 NET REALISED GAINS / (LOSSES) FOR THE YEAR 1,029,436 2,224,679 1,047,227 1,396,008 4 Change in Unrealised Depreciation in value of Investments 2(c) & 6(ii) - (2,093,166) - (1,482,734) 5 NET GAINS / (LOSSES) FOR THE YEAR (3-4) 1,029,436 4,317,845 1,047,227 2,878,742 6 Change in Unrealised Appreciation in the value of Investments (535,803) 1,755,625 (636,270) 1,608,410 7 NET GAINS / (LOSSES) FOR THE YEAR AFTER CHANGE IN UNREALISED APPRECIATION (5+6) 493,633 6,073, ,957 4,487, Add: Balance Transfer from Unrealised Appreciation Reserve 4 1,755,625-1,608, Less: Balance Transfer to Unrealised Appreciation Reserve 4 1,219,822 1,755, ,140 1,608, Add / (Less): Equalisation Credit/(Debit) 2(e) (669,048) (174,920) (195,579) - 8 Total 360,388 4,142, ,648 2,878,742 9 Dividend Appropriation 9.1 Income Distributed During the Year 14 (992,567) (713,747) NET SURPLUS / (DEFICIT) FOR THE YEAR TRANSFERRED TO 4 (632,179) 3,429, ,648 2,878,742 (8+9) BALANCE SHEET Notes to Accounts 1 to 16 The accompanying schedules are an integral part of this Revenue Account. As per our attached report of even date For S.R. Batliboi and Co. For Franklin Templeton Trustee For Franklin Templeton Asset Management Firm Registration no E Services Private Limited (India) Private Limited Chartered Accountants Sd/- Sd/- Sd/- Sd/- Sd/- Anand J. Vashi Navroz Seervai Vivek Kudva K. N. Siva Subramanian R. Janakiraman Director Director Director Chief Investment Officer - Equity Vice President and Portfolio Manager Sd/- Sd/- Sd/- Sd/- Sd/- Sd/- per Shrawan Jalan Indu Shahani Harshendu Bindal Vivek Pai Murali Krishna Yerram Rajat Malhotra Partner Director President Vice President Asst. Vice President Asst. Vice President Membership No July 8, 2011 Mumbai

5 FRANKLIN TEMPLETON MUTUAL FUND CASH FLOW STATEMENT FOR THE YEAR ENDED MARCH 31, 2011 (All amounts in thousands of Rupees) FRANKLIN INDIA PRIMA FUND FRANKLIN INDIA SMALLER COMPANIES FUND March 31, 2011 March 31, 2010 March 31, 2011 March 31, 2010 A. Cashflow from Operating Activities Net Gains / (Losses) for the Year 1,029,436 4,317,845 1,047,227 2,878,742 Add / (Less) : Change in Unrealised Appreciation in the value of Investments - (2,093,166) - (1,482,734) Adjustments for:- (Increase)/Decrease in Investments at Cost 835,391 (964,363) 671, ,297 (Increase)/Decrease in Other Current Assets (125,766) 127,166 (14,145) 181,133 Increase/(Decrease) in Current Liabilities 5,438 31,646 3,454 (29,443) Net Cash Generated from/(used in) Operations ( A ) 1,744,499 1,419,128 1,708,323 1,778,995 B Cashflow from Financing Activities Increase/(Decrease) in Unit Capital (147,969) (146,917) (1,286,196) (1,594,103) Increase/(Decrease) in Unit Premium (1,017,942) (965,434) (448,274) (184,964) Adjustments for:- Increase/(Decrease) in Sundry Creditors for Units Redeemed by Investors (61,418) 65,754 30,322 - (Increase)/Decrease in Sundry Debtors for Units Issued to Investors 9,178 (8,024) (2,499) - Dividend paid during the year (including tax on income distributed during the year) (524,986) (362,620) 1 - Net Cash (used in)/generated from Financing Activities ( B ) (1,743,137) (1,417,241) (1,706,646) (1,779,067) Net Increase/(Decrease) in Cash and Cash Equivalents (A+B) 1,362 1,887 1,677 (72) Cash and Cash Equivalents as at the beginning of the Year 7,225 5, Cash and Cash Equivalents as at the end of the Year 8,587 7,225 1, Components of Cash and Cash Equivalents Balances with Banks in Current Accounts and Unclaimed dividend bank account 8,587 7,225 1, ,587 7,225 1, As per our attached report of even date For Franklin Templeton Asset Management (India) Private Limited For S.R. Batliboi and Co. For Franklin Templeton Trustee Sd/- Sd/- Firm Registration no E Services Private Limited Navroz Seervai Vivek Kudva Chartered Accountants Director Director Sd/- Sd/- Sd/- Sd/- Anand J. Vashi Harshendu Bindal R. Janakiraman Murali Krishna Yerram Director President Vice President and PortfolioAsst. Vice President Manager Sd/- Sd/- Sd/- Sd/- Sd/- per Shrawan Jalan Indu Shahani K.N. Siva Subramanian Vivek Pai Rajat Malhotra Partner Director Chief Investment Officer - Equity Vice President Asst. Vice President Membership No July 8, 2011 Mumbai

6 FRANKLIN TEMPLETON MUTUAL FUND SCHEDULES TO THE BALANCE SHEET AND REVENUE ACCOUNT FOR THE YEAR ENDED MARCH 31, 2011 (All amounts in thousands of Rupees unless specified otherwise) 1. BACKGROUND Franklin Templeton Mutual Fund ( the Fund ) was established as a trust under the Indian Trusts Act, 1882, by way of a trust deed dated January 4, 1996, a supplementary trust deed dated March 30, 1996 and August 26, 2005 executed by Templeton International Inc. USA, the sponsor of the Fund. Templeton International Inc. is a part of the Franklin Templeton Investments group. In accordance with the Securities and Exchange Board of India ( SEBI ) (Mutual Funds) Regulations, 1996 ( the SEBI Regulations ), the Board of Directors of Franklin Templeton Trustee Services Private Limited ( the Trustee ) has appointed Franklin Templeton Asset Management (India) Private Limited ('the AMC') to manage the Fund s affairs and operate its Schemes. The objective and other feature of the schemes covered in the financial statement are as under: Scheme Name Nature of the Scheme Open ended mutual fund scheme Date of Allotment Scheme Objective Plans Offered Franklin India Prima Fund December 1, 1993 The Scheme aims to achieve capital appreciation The Scheme offers its investors two plans: the through investments in relatively smaller, faster Dividend Plan and the Growth Plan ( the Plans ). growing companies. Franklin India Smaller Companies Fund Open ended mutual fund scheme** November 16, 2005 The Scheme seeks to provide long-term capital The Scheme offers its investors two plans: the appreciation by investing in mid and small cap Dividend Plan and the Growth Plan ('the Plans'). companies. **During the year Franklin India Smaller Companies Fund (the 'Scheme" or "FISCF") has completed its term of five years as a close ended scheme on January 13, As per the terms of offer document of the Scheme, it has been converted into an open ended scheme with effect from January 14, SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES The financialstatements are prepared on the accrual basis of accounting, under the historical cost convention, as modifiedfor investments, which are marked-to-market. The significant accounting policies, which are in accordance with the SEBI Regulations and have been approved by the Board of Directors of the AMC and the Trustee, are stated below. (a) (b) Determination of net asset value - The net asset value of the units of the Scheme is determined separately for units issued under the Plans after includingthe respective unit capital and reserves and surplus, and reducing net deficit and accumulated discount, if any. - For reporting the net asset values, the dailyincome earned, includingrealised profit or loss and unrealisedgain or loss in the value of investments, and expenses incurred by the Scheme, are allocated to the Plans in proportion to their respective daily net assets as at the end of the immediately preceding day. Unit capital - Unit capital represents the net outstanding units at the balance sheet date, thereby reflecting all transactions relating to the year ended on that date. - Upon issue and redemption of units, the net premium or discount to the face value of units is adjusted against the unit premium reserve of the Scheme, after an appropriate portion of the issue proceeds and redemption payouts is credited or debited respectively to the equalisation account, a mandatory requirement for open ended mutual fund Schemes. Prior to March 15, 2010, the Unit Premium Reserve was available for dividend distribution except to the extent it is represented by unrealised net appreciation in value of investments. (c) Investments Accounting for investment transactions - Purchase and sale of investmentsare recorded on the date of the transaction, at cost and sale price respectively, after considering brokerage, commission,securities transaction tax and fees payable or receivable, if any. The front end fee receivable, if any, is reduced from the cost of investment. - Right entitlements are recognised as investments on the ex-rights date. - Bonus entitlements are recognised as investments on the ex-bonus date. - Other Corporate Action entitlements are recognised on the ex date. - Initial Margin paid against equity derivatives is accounted as current assets. Realised gain / loss on closure / expiry of Exchange Traded Equity Derivative (ETED) are accounted as realised gain / loss on investments. Valuation of investments - Traded Equity and Equity related Securities are valued at the last quoted closing price on the Bombay Stock Exchange (BSE). If a security is not traded on BSE, it will be valued at the last quoted closing price on National Stock Exchange of India Limited (NSE) or any other stock exchange (in that order). - If a security is not traded on any stock exchange on a particular valuation day, the last quoted closing price on BSE or NSE or other recognised stock exchange (in that order) on the earliest previous day would be used, provided such day is not more than thirty days prior to the valuation day. - Investments in Equity shares under Qualified Institutional Placement (QIP) are valued at cost or market value, whichever is lower, till the date of listing of the security. - Thinly Traded, Non-traded and unlisted Equity are valued "in good faith" as determined, in accordance with the SEBI Regulations. - In respect of non traded/ thinly traded Foreign securities, the valuation is stated at fair value as determined In good faith by the AMC. - Open position of exchange traded equity derivatives (ETED) are marked-to-market on daily basis at the closing prices provided by the respective stock exchanges Investment in Mutual Fund Units are valued at the last declared NAV per unit. All other investments are stated at their fair value as determined in good faith by the AMC in accordance with the SEBI Regulations and reviewed by the Trustee. The net unrealised gain or loss in the value of investmentsis determined separately for each category of investments. The change in the net unrealisedloss, if any, between two balance sheet dates is recognised in the revenue account and the change in net unrealised gain, if any, is adjusted in an unrealised appreciation reserve. The loss on investments sold/transferred during the year is charged to the revenue account.

7 (d) Revenue recognition - Dividend income is recognised on the ex-dividend date. - Interest income is recognised on an accrual basis. - Profit or loss on sale of investments is determined on the basis of the weighted average cost method. (e) - The discount or premium, if any, to the redemption value of debt securities is amortised and recognised as interest income or expense, as the case may be, over the period to redemption. Equalisation account - - The purpose of equalization account is to maintainper unit amount of a Plan s/option s share of the Scheme s undistributed income, so that continuing unit holders share of undistributed income remains unchanged on issue or redemption of units under that Plan/Option. Prior to March 15, 2010, when units were issued or redeemed, the total undistributed income from the beginning of the accounting year to the date of the transaction was determined. Based on the number of units outstanding on the transaction date, the undistributed income associated with each unit was computed. The per unit amount so determined was credited and debited to the equalization account on issue and redemption of each unit respectively. - Pursuant to SEBI circular dated March 15, 2010, the Trustee/AMC has changed the method of calculating equalization per unit w.e.f. that date viz: a) When the sale price is higher than the face value of the unit, the total accumulated undistributed income (including realized gains) till the date of the transaction is determined. Based on the number of units outstanding on the transaction date, the undistributed income (includingrealized gains) associated with each unit is computed. The per unit amount so determined is credited and debited to the equalization account on issue and redemption of each unit respectively. b) When the sale price is lower than the face value of the unit, the differencebetween the Net asset value and the par value is debited and credited to the equalization account on issue and redemption of unit respectively. - Pursuant to SEBI circular dated March 15, 2010, an appropriate amount of the realized / unrealized gain has been reallocated between the plans of the Scheme, based on the plans AUM as on March 15, (f) Load charges All load, including Contingent and Deferred Sales Charges, charged at the time of purchase and sale of units, is being utilised towards meeting distribution and marketing expenses. The utilization from the balances as at July 31, 2009 is restricted to a maximum of one third of the load balances as at July 31, 2009 as required by the SEBI Circular no. CIR/IMD/DF/4/2011 dated March 09, With effect from August 01, 2009, exit load upto 1% charged at the time of sale of units, is being utilised towards meeting distribution and marketing expenses. Exit load charged in excess of 1% is credited to the respective Schemes immediately as Other Income. Unutilised amount of load is carried forward to subsequent period. If the amount is considered in excess by the AMC / Trustees, then such excess amount is credited to the respective Schemes as Other Income.

8 FRANKLIN TEMPLETON MUTUAL FUND SCHEDULE TO THE BALANCE SHEET AND REVENUE ACCOUNT FOR THE YEAR ENDED MARCH 31, 2011 FRANKLIN INDIA PRIMA FUND Quantity Amount FRANKLIN INDIA SMALLER COMPANIES FUND Quantity Amount Schedules March 31, 2011 March 31, 2010 March 31, 2011 March 31, 2010 March 31, 2011 March 31, 2010 March 31, 2011 March 31, UNIT CAPITAL Units of Rs 10 each fully paid up Growth Plan Outstanding, beginning of year 15,131, ,135, , , ,524, ,923, ,175,250 4,279,237 Issued during the year 2,379, ,559, ,792 25, , ,167 - Redeemed during the year (4,619, ) (5,563, ) (46,200) (55,635) (81,439, ) (110,398, ) (814,396) (1,103,987) Outstanding, end of year 12,890, ,131, , , ,402, ,524, ,364,021 3,175,250 Dividend Plan Outstanding, beginning of year 117,083, ,171, ,170,836 1,181, ,390, ,401, ,753,904 2,244,019 Issued during the year 32,993, ,410, , , , ,907 - Redeemed during the year (34,089, ) (29,498, ) (340,891) (294,984) (47,687, ) (49,011, ) (476,874) (490,115) Outstanding, end of year 115,988, ,083, ,159,881 1,170, ,893, ,390, ,278,937 1,753,904 Total Outstanding, beginning of year 132,215, ,307, ,322,153 1,363, ,915, ,325, ,929,154 6,523,256 Issued during the year 35,372, ,969, , , , ,074 - Redeemed during the year (38,709, ) (35,061, ) (387,091) (350,619) (129,127, ) (159,410, ) (1,291,270) (1,594,102) Outstanding, end of year 128,878, ,215, ,288,790 1,322, ,295, ,915, ,642,958 4,929,154 (THIS SPACE HAS BEEN INTENTIONALLY LEFT BLANK)

9 FRANKLIN TEMPLETON MUTUAL FUND SCHEDULES TO THE BALANCE SHEET AND REVENUE ACCOUNT FOR THE YEAR ENDED MARCH 31, 2011 FRANKLIN INDIA PRIMA FUND FRANKLIN INDIA SMALLER COMPANIES Schedules March 31, 2011 March 31, 2010 March 31, 2011 March 31, RESERVES AND SURPLUS Unrealised appreciation reserve Balance, beginning of year 1,755,625-1,608,410 - Change in net unrealised appreciation in value of investments (535,803) 1,755,625 (636,270) 1,608,410 Balance, end of year 1,219,822 1,755, ,140 1,608,410 Retained surplus Balance, beginning of year 10,838,972 7,409,794 1,485,179 (1,393,563) Net surplus / (Deficit) transferred from revenue account (632,179) 3,429, ,648 2,878,742 Balance, end of year 10,206,793 10,838,972 2,336,827 1,485,179 Total reserves and surplus 11,426,615 12,594,597 3,308,967 3,093, CURRENT LIABILITIES AND PROVISIONS Current Liabilities Management fees 7,690 9,013 4,827 6,061 Trusteeship fees Registrar service charges 1,135 1, Load pending utilisation 77,877 68,953 23,063 20,213 Sundry creditors for units redeemed by investors 14,369 75,787 30,322 - Contracts for purchase of investments - 1,457-17,738 Dividend payable - -* - - Unclaimed distributed income 1,750 1, Unclaimed redemption payable Other current liabilities 27,919 29,974 16,436 14, , ,343 75,423 59,386 *:- Amount is less than rupees one thousand. 6. INVESTMENTS (i) (ii) The investments of the Scheme are registered in the name of the Fund for the benefit of the Scheme's unitholders. Aggregate appreciation and depreciation in the value of investments are as follows: Listed Securities / Securities Awaited Listing / Unlisted Securities / Foreign Securities: (Equity shares / Preference shares / Foreign securities) - appreciation 1,792,110 2,184,710 1,271,756 1,732,484 - depreciation 572, , , ,074

10 FRANKLIN TEMPLETON MUTUAL FUND SCHEDULES TO THE BALANCE SHEET AND REVENUE ACCOUNT FOR THE YEAR ENDED MARCH 31, 2011 FRANKLIN INDIA PRIMA FUND FRANKLIN INDIA SMALLER COMPANIES Schedules March 31, 2011 March 31, 2010 March 31, 2011 March 31, 2010 (iii) The aggregate value of investments purchased and sold / redeemed by the Scheme during the year and these amounts as a percentage of average daily net assets are as follows: Purchases - amount 5,814,027 10,982,419 3,294,770 7,616,585 - as a percentage of average daily net assets Sales / redemptions - amount 7,740,892 12,430,247 5,057,215 9,287,683 - as a percentage of average daily net assets (iv) During the year, the Scheme has invested in the equity shares / debentures and bonds of certain companies, which have invested in some of the schemes of the Fund in excess of five percent of those schemes' Net Assets. The Scheme's investments in these companies (except for investments in subsidiaries of these companies) as at March 31, 2011 are provided in Annexure OTHER CURRENT ASSETS Cash and Bank Balance Balances with banks in current accounts 6,837 5,486 1, Unclaimed dividend bank account 1,750 1, ,587 7,225 1, CBLO/ Reverse Repo Lending Collateralised securities lending 534, , , , , , , ,757 Others Sundry debtors for units issued to investors 724 9,901 2,499 - Outstanding and accrued income 3, ,122 Contracts for sale of investments 107,374 99,661 38,975 38,565 Advances and deposits 4,516 4, Margin money 8,130 8,950 10,470 9, , ,077 52,384 50,757 TOTAL 667, , , ,654

11 FRANKLIN TEMPLETON MUTUAL FUND SCHEDULES TO THE BALANCE SHEET AND REVENUE ACCOUNT FOR THE YEAR ENDED MARCH 31, 2011 FRANKLIN INDIA PRIMA FUND FRANKLIN INDIA SMALLER COMPANIES Schedules March 31, 2011 March 31, 2010 March 31, 2011 March 31, ACCUMULATED UNIT DISCOUNT, NET Balance, beginning of year 4,434,958 3,889,945 1,655,643 1,470,679 Net premiumon ( issue) / redemption of units (4,070) 545, , ,964 Balance, end of year 4,430,888 4,434,958 1,908,337 1,655, INTEREST Collateralised lending / Reverse repo 29,155 10,665 32,901 7,650 29,155 10,665 32,901 7, INCOME AND EXPENDITURE The total incomeand expenditureand these amounts as a percentageof the Scheme s average daily net assets on an annualised basis are provided below: Income - amount 1,218,660 2,396,986 1,175,044 1,510,991 - as a percentage of average daily net assets Expenditure - amount 189, , , ,983 - as a percentage of average daily net assets Management fees (including service tax) - amount 104,907 92,759 71,924 80,083 - as a percentage of average daily net assets Trusteeship fees (including service tax) - amount as a percentage of average daily net assets

12 FRANKLIN TEMPLETON MUTUAL FUND SCHEDULES TO THE BALANCE SHEET AND REVENUE ACCOUNT FOR THE YEAR ENDED MARCH 31, 2011 FRANKLIN INDIA PRIMA FUND FRANKLIN INDIA SMALLER COMPANIES Schedules March 31, 2011 March 31, 2010 March 31, 2011 March 31, NET ASSET VALUE Net asset value of each unit of Rs. 10 of the Scheme Growth Plan (Rs) Dividend Plan (Rs) The net asset value of the Scheme's unit is determinedafter includingunit capital and any reserves and surplus, and reducing net deficit and accumulated unit discount, if any. 13. SEGMENT REPORTING The scheme operates only in one segment viz. to primarily generate returns, based on schemes' investment objective. 14. INCOME DISTRIBUTION In case the Scheme having Net Gain / Losses for the period after adjustment of income equalisation lower than the amount of distributed income, the incomeis distributed to its unitholders out of the distributable surplus available with the respective Schemes, which consists of the net gain / losses for the period after adjustmentof incomeequalisation and the retained earnings / accumulated reserves of earlier periods. 15. PRIOR YEAR COMPARATIVES Prior year amounts have been reclassified, wherever applicable, to conform to the current year's presentation. (THIS SPACE HAS BEEN INTENTIONALLY LEFT BLANK)

13 11. RELATED PARTY DISCLOSURES (i) The Scheme has entered into transactions with certain related parties. The information required in this regard in accordance with Accounting Standard 18 on Related Party Disclosures issued by the ICAI and Regulation 25(8) of the SEBI Regulations, is provided below. Related party relationships Name Templeton International Inc, USA Franklin Templeton Trustee Services Private Limited Franklin Templeton Asset Management (India) Private Limited Franklin Templeton AMC Limited Franklin Templeton International Services (India) Private Limited Darby Asia Investors (India) Private Limited Franklin Resources Inc Franklin Templeton Holding Limited, Mauritius ITI Capital Markets Limited Mahindra & Mahindra Financial Services Limited (ceased to be an Associate w.e.f October 08,2010) Schemes of the Fund, under common control of the Sponsor Templeton India Low Duration Fund (Formerly Known As Templeton Monthly Income Plan - Debt) Templeton India Pension Plan Templeton India Treasury Management Account Templeton India Short-Term Income Plan Templeton India Money Market Account (merged with Templeton India Treasury Management Account w.e.f October 22, 2010) Templeton India Cash Management Account Templeton India Income Fund Templeton India Government Securities Fund Templeton India Children s Asset Plan Templeton Floating Rate Income Fund Templeton India Growth Fund FT India Monthly Income Plan Franklin India Flexicap Fund FT India Balanced Fund Franklin FMCG Fund FT India Life Stage Fund of Funds Templeton India Income Builder Account Franklin Templeton Fixed Tenure Fund Series I - 60 Month Plan Franklin Templeton Fixed Tenure Fund Series II - 60 Months Plan Franklin Templeton Fixed Tenure Fund Series III - 36 Months Plan Franklin Templeton Fixed Tenure Fund Series IV - 60 Month Plan Franklin Templeton Fixed Tenure Fund Series VI - 60 Months Plan Franklin Templeton Fixed Tenure Fund Series VIII - 60 Months Plan - Plan A Franklin Templeton Capital Safety Fund - 3 Years Plan Franklin Templeton Capital Safety Fund - 5 Years Plan Templeton Fixed Horizon Fund - 13 Months Plan Templeton Fixed Horizon Fund - 15 Months Plan Templeton India Equity Income Fund Franklin Templeton Capital Protection Oriented Fund - 3 Years Plan Franklin Templeton Capital Protection Oriented Fund - 5 Years Plan Franklin Templeton Fixed Tenure Fund Series IX - Plan A Description of relationship Sponsor of the Fund Trustee of the Fund Subsidiary of the Sponsor and the Scheme's asset manager Subsidiary of the Scheme's asset manager Subsidiary of the Sponsor. Subsidiary of the Sponsor. Ultimate holding Company of the sponsor. Holding company of the scheme's asset manager. ITI Capital Markets Limited is a wholly owned subsidiary of Franklin Templeton Asset Management (India) Private Limited Associate of Franklin Templeton Asset Management (India) Private Limited (in terms of Regulation 25 (8) of SEBI Regulation) Franklin India Opportunities Fund Franklin Infotech Fund Franklin India Build Fund Franklin IndiaTaxshield Franklin India Prima Plus Franklin India Prima Fund Franklin India Bluechip Fund Franklin India International Fund Franklin India Index Tax Fund Franklin India Index Fund Franklin India Growth Fund Franklin India Balanced Fund FT India Dynamic PE Ratio Fund of Funds Franklin India Smaller Companies Fund Franklin India High Growth Companies Fund Templeton Fixed Horizon Fund - Series II - Plan A Templeton Fixed Horizon Fund - Series II - Plan B Templeton Fixed Horizon Fund - Series III - Plan A Templeton Fixed Horizon Fund - Series IV - Plan A Templeton Quarterly Interval Plan - Plan A Templeton Quarterly Interval Plan - Plan B Templeton Quarterly Interval Plan - Plan C Templeton India Ultra-short Bond Fund Franklin Asian Equity Fund Templeton Fixed Horizon Fund - Series VII - Plan A Templeton Fixed Horizon Fund - Series VII - Plan B Templeton Fixed Horizon Fund - Series VII - Plan C Templeton Fixed Horizon Fund - Series VII - Plan D Templeton Fixed Horizon Fund Series VIII - Plan B Templeton Fixed Horizon Fund Series VIII - Plan C Templeton Fixed Horizon Fund Series VIII - Plan D

14 Franklin Templeton Fixed Tenure Fund Series IX - Plan B Franklin Templeton Fixed Tenure Fund Series X - Plan A Franklin Templeton Fixed Tenure Fund Series X - Plan B Franklin Templeton Fixed Tenure Fund Series X - Plan C Franklin Templeton Fixed Tenure Fund Series X - Plan D Templeton Fixed Horizon Fund - Series IX - Plan A Templeton Fixed Horizon Fund - Series IX - Plan B Templeton Fixed Horizon Fund - Series IX - Plan C Templeton Fixed Horizon Fund - Series IX - Plan D Templeton Fixed Horizon Fund - Series IX - Plan E Templeton Fixed Horizon Fund Series VIII - Plan A Franklin Pharma Fund Franklin Templeton Fixed Tenure Fund - Series XII - Plan A Franklin Templeton Fixed Tenure Fund - Series XIII- Plan A Templeton India Income Opportunities Fund Franklin Templeton Fixed Tenure Fund - Series XIV- Plan A Franklin Templeton Fixed Tenure Fund - Series XV Templeton Fixed Horizon Fund Series VIII - Plan E Templeton Fixed Horizon Fund Series VIII - Plan F Templeton Fixed Horizon Fund - Series X - Plan A Templeton Fixed Horizon Fund - Series X - Plan B Templeton Fixed Horizon Fund - Series X - Plan C Templeton Fixed Horizon Fund - Series X - Plan D Templeton Fixed Horizon Fund - Series X - Plan E Templeton Fixed Horizon Fund - Series XI - Plan G Templeton Fixed Horizon Fund - Series XI- Plan A Templeton Fixed Horizon Fund - Series XI- Plan B Templeton Fixed Horizon Fund - Series XI- Plan C Templeton Fixed Horizon Fund - Series XI- Plan H Templeton Fixed Horizon Fund - Series XI- Plan D Franklin Templeton Fixed Tenure Fund - Series XII- Plan B Franklin Templeton Fixed Tenure Fund - Series XII- Plan C Franklin Templeton Fixed Tenure Fund Series XIV - Plan B (ii) Transactions, if any, with the above mentioned related parties as defined under Accounting Standard 18 and Regulation 25(8) of the SEBI Regulations are provided below: Franklin India Prima Fund Name of related party Nature of transactions Year ended 2011 Balance as at March 31, 2011 Year ended 2010 Balance as at March 31, 2010 Schemes under common control Purchase of investments 33, Franklin Asian Equity Fund 33, Franklin Templeton Trustee Services Private Limited Fees for trusteeship services Franklin Templeton Asset Management (India) Private Limited Registrar service charges 14,279 1,135 13,270 1,319 Fees for management services 92,759 7,690 82,532 9,013 Schemes under common control Investment in the Plan Franklin Templeton India Life Stage FOF Subscriptions (No. of units in '000) Redemptions (No. of units in '000) Net asset value of investment at balance sheet date 11,333 15,658 Franklin Templeton India Life Stage FOF Subscriptions (No. of units in '000) Redemptions (No. of units in '000) Net asset value of investment at balance sheet date 3,505 7,193 Franklin Templeton India Life Stage FOF Subscriptions (No. of units in '000) Redemptions (No. of units in '000) Net asset value of investment at balance sheet date 11,436 15,360 Templeton India Treasury Management Account - Super Institutional Plan - Growth Subscriptions (No. of units in '000) Redemptions (No. of units in '000) Net asset value of investment at balance sheet date - - ITI Capital Markets Limited Commission for distribution of the Scheme's units ( # ) 117* - 110* - Mahindra & Mahindra Financial Services Limited Commission for distribution of the Scheme's units ( # ) 3* - 6* -

15 Franklin India Smaller Companies Fund Name of related party Nature of transactions Year ended 2011 Balance as at March 31, 2011 Year ended 2010 Balance as at March 31, 2010 Franklin Templeton Trustee Services Private Limited Fees for trusteeship services Franklin Templeton Asset Management (India) Private Limited Registrar service charges Fees for management services 71,924 4,827 80,083 6,061 Schemes under common control Investment in the Plan Templeton India Treasury Management Account - Super Institutional Plan - Growth Subscriptions (No. of units in '000) Redemptions (No. of units in '000) Net asset value of investment at balance sheet date - - Mahindra & Mahindra Financial Services Limited Commission for distribution of the Scheme's units (# **/* - **/* - # The commission is at rates similar to those offered to other distributors by the scheme. *This represents the amount paid / payable for the year and does not necessarily reflect the amount charged to the Scheme's Revenue Account. **Amount is less than rupees one thousand

16 16. SUPPLEMENTARY INVESTMENT PORTFOLIO INFORMATION AND INDUSTRYWISE CLASSIFICATION Details of investment portfolio and industrywise classificationof the Scheme's investments in each category of investments as at March 31, 2011 are presented below. The industry and company exposure are stated as a percentage of the Scheme's net assets as at March 31, 2011, as well as the aggregate investments in each investment category. Franklin India Prima Fund Industry and Company Particular Quantity Amount Equity and Equity Related (a) Listed/Awaiting listing on Stock Exchanges Percentage to Net Assets Percentage to Investment Category Auto 784, , Escorts Limited 784, , Auto Ancillaries 2,593, , Amara Raja Batteries Limited 1,124, , Exide Industries Limited 1,246, , Bosch Limited 10,056 67, Ceat Limited 211,834 21, Banks 11,956,432 1,698, Federal Bank Limited 1,090, , Yes Bank Limited 1,158, , IndusInd Bank Limited 1,315, , Union Bank of India Limited 547, , South Indian Bank Limited 6,995, , Andhra Bank 610,000 92, Oriental Bank of Commerce 233,100 90, Corporation Bank Limited 5,308 3, Cement 1,736, , India Cements Limited 1,266, , Shree Cements Limited 46,887 97, UltraTech Cement Limited 83,512 94, Century Textiles & Industries Limited 219,534 76, Birla Corporation Limited 120,027 40, Chemicals 2,355, , Pidilite Industries Limited 2,355, , Construction Project 733, , Voltas Limited 733, , Consumer Non Durables 1,116, , Asian Paints Limited 47, , GlaxoSmithkline Consumer Healthcare Limited 49, , Godrej Consumer Products Limited 274, , Dabur India Limited 744,239 71, Ferrous Metals 3,317, , Adhunik Metaliks Limited 1,956, , Usha Martin Limited 1,360,232 77, Fertilisers 514, , Tata Chemicals Limited 514, , Finance 198, , Bajaj Holdings and Investment Limited 180, , Crisil Limited 17, , Gas 3,352, , Gujarat State Petronet Limited 2,755, , Petronet LNG Limited 596,800 72, Hotels 686,353 63, Taj GVK Hotels & Resorts Limited 686,353 63, Industrial Capital Goods 1,318, , Crompton Greaves Limited 953, , Thermax Limited 222, , BGR Energy Systems Limited 143,013 68, Industrial Products 5,551, , Sintex Industries Limited 1,415, , Finolex Cables Limited 4,012, , Cummins India Limited 122,801 84, Media & Entertainment 5,014, , Jagran Prakashan Limited 2,834, , IBN18 Broadcast Limited 1,473, , Television Eighteen India Limited 706,607 54,

17 Industry and Company Particular Quantity Amount Percentage to Net Assets Percentage to Investment Category Minerals/Mining 1,048, , Gujarat Mineral Development Corporation Limited 1,048, , Pharmaceuticals 2,804, , Ipca Laboratories Limited 951, , Torrent Pharmaceuticals Limited 418, , Cadila Healthcare Limited 206, , FDC Limited 1,015, , Lupin Limited 212,227 88, Power 675, , Torrent Power Limited 675, , Software 26,444 52, Oracle Financial Services Software Limited 26,444 52, Telecom - Services 617, , Bharti Airtel Limited 617, , Transportation 275,565 72, Great Eastern Shipping Co. Limited 275,565 72, Total 7,747, (b) Unlisted** Others 178, Him Techno 170, Numero Uno International Limited 8, */++ Total OTHER CURRENT ASSETS 667, TOTAL ASSETS 8,415, LESS: CURRENT LIABILITIES 130, NET ASSETS 8,284, ** Untraded /Thinly Traded Securites * Less than 0.01% ++Less than rupees one thousand

18 Franklin India Smaller Companies Fund Industry and Company Particular Quantity Amount Equity and Equity Related (a) Listed/Awaiting listing on Stock Exchanges Percentage to Net Assets Percentage to Investment Category Auto 1,841, , Ashok Leyland Limited 1,607,640 91, Escorts Limited 233,649 33, Auto Ancillaries 2,106, , Amara Raja Batteries Limited 753, , Exide Industries Limited 877, , Apollo Tyres Limited 475,100 33, Banks 12,806, , South Indian Bank Limited 10,746, , Federal Bank Limited 575, , IndusInd Bank Limited 891, , Yes Bank Limited 592, , Cement 4,254, , JK Lakshmi Cement Limited 2,118, , Orient Paper & Industries Limited 1,492,122 83, India Cements Limited 643,484 61, Chemicals 1,954, , Pidilite Industries Limited 1,954, , Construction 2,870, , Consolidated Construction Consortium Limited 2,534, , Sobha Developers Limited 230,619 67, Simplex Infrastructures Limited 105,399 34, Construction Project 338,127 61, Voltas Limited 338,127 61, Consumer Non Durables 1,023, , Triveni Engineering & Industries Limited 519,047 49, Berger Paints India Limited 456,248 40, Bajaj Corporation Limited 48,615 24, Engineering Services 37,430 47, VA Tech Wabag Limited 37,430 47, Ferrous Metals 1,458, , Adhunik Metaliks Limited 1,458, , Fertilisers 247, , Zuari Industries Limited 247, , Finance 180, , Sundaram Finance Limited 112,484 54, Mahindra & Mahindra Financial Services Limited 43,233 33, ICRA Limited 25,000 27, Gas 2,211, , Gujarat State Petronet Limited 2,211, , Hotels 410,802 38, Taj GVK Hotels & Resorts Limited 410,802 38, Industrial Capital Goods 1,366, , Crompton Greaves Limited 644, , Thermax Limited 141,613 85, BGR Energy Systems Limited 136,760 65, Tecpro Systems Limited 219,825 61, TRF Limited 100,075 46, Alstom Projects India Limited 69,132 40, AIA Engineering Limited 55,178 19, Industrial Products 795, , Sintex Industries Limited 708, , Cummins India Limited 86,808 59,

19 Industry and Company Particular Quantity Amount Percentage to Net Assets Percentage to Investment Category Media & Entertainment 4,151, , Jagran Prakashan Limited 1,561, , IBN18 Broadcast Limited 1,455, , Television Eighteen India Limited 1,134,152 87, Minerals/Mining 989, , Gujarat Mineral Development Corporation Limited 989, , Pesticides 28,620 37, Rallis India Limited 28,620 37, Pharmaceuticals 2,116, , Ipca Laboratories Limited 660, , FDC Limited 1,426, , Pfizer Limited 30,163 36, Telecom - Services 547, , Bharti Airtel Limited 547, , Total 4,821, OTHER CURRENT ASSETS 297, TOTAL ASSETS 5,119, LESS: CURRENT LIABILITIES 75, NET ASSETS 5,043,

20 FRANKLIN TEMPLETON MUTUAL FUND SCHEDULES TO THE BALANCE SHEET AND REVENUE ACCOUNT FOR THE YEAR ENDED MARCH 31, 2011 FRANKLIN INDIA PRIMA FUND FRANKLIN INDIA SMALLER COMPANIES FUND March 31, 2011 March 31, 2010 March 31, 2011 March 31, 2010 Annexure 1 Asian Paints y Limited 119, Bharti Airtel Limited 220, , , ,546 Dabur India Limited 71, Exide Industries Limited 178, ,314 - FDC Limited 103, ,053 - Great Eastern Shipping Co. Limited - 222, ,532 Hero Honda Motors Limited - 132, Hindustan Zinc Limited ,971 Idea Cellular Limited - 219, LIC Housing Finance Limited - 72,704-48,213 Shree Cements Limited 97,363 51, ,279 1,049, , ,262 The aggregate purchases (other than by inter-scheme transfer/sale and those already disclosed earlier) made by the Scheme in these companies, during a period of one year before or after the date of the companies' investment are as follows: Asian Paints Limited 122, Bharti Airtel Limited 161, ,272 31, ,490 Cairn India Limited 93,470-62,822 - EXIDE INDUSTRIES Limited FDC Limited 97, ,509 - HDFC Bank Limited - 37, Hindustan Zinc Limited - 49,565-61,709 HT Media Limited - 80, LIC Housing Finance Limited - 398, ,118 PTC India Limited - 104, Reliance Industries Limited - 85,736-63,304 Shree Cements Limited - 45, Tata Consultancy Services Limited - 93,489-72, ,042 1,567, , ,165

21 PER UNIT STATISTICS FRANKLIN INDIA PRIMA FUND FRANKLIN INDIA SMALLER COMPANIES FUND Year ended Year ended Year ended Year ended Year ended Year ended March 31, 2011 March 31, 2010 March 31, 2009 March 31, 2011 March 31, 2010 March 31, 2009 (a) Net Asset value, per unit Growth Dividend (b) Gross Income: i) Income other than profit on sale of investment, per unit ii) Loss on interscheme sale/transfer - - iii) Profit on sale of investment to third party, per unit (12.36) (3.62) iv) transfer to Revenue Account from (c) Aggregate of expense, write offs, amortisation and charges, per unit (1.49) (1.30) (1.12) (0.36) (0.23) (0.19) (d) Net unrealised appreciation/(depreciation) in value of investments (14.14) (1.85) (e) Net Income, per unit (including appreciation / depreciation) (26.44) (5.48) (f) i) Highest traded price N.A. N.A. N.A. N.A. N.A. N.A. ii) Lowest traded price N.A. N.A. N.A. N.A. N.A. N.A. iii) Highest repurchase price/nav * Growth Dividend iv) Highest resale price * Growth Dividend v) Lowest repurchase price/nav * Growth Dividend vi) Lowest resale price * Growth Dividend Ratio of Expenses to Average Net Assets Ratio of Gross Income to Average Net Assets (20.93) (40.46) (g) P.E. Ratio N.A. N.A. N.A. N.A. N.A. N.A. * Per unit calculation is based on number of units at the end of the year. The highest and lowest resale pricce has been determined, after adding to the NAV, the maximum entry load applicable. Per unit statistics are disclosed for schemes/plans in existence at the end of respective years.

AUDITORS REPORT. To the Board of Directors of Trustees of FRANKLIN TEMPLETON MUTUAL FUND FRANKLIN INDIA BLUECHIP FUND

AUDITORS REPORT. To the Board of Directors of Trustees of FRANKLIN TEMPLETON MUTUAL FUND FRANKLIN INDIA BLUECHIP FUND AUDITORS REPORT To the Board of Directors of Trustees of FRANKLIN TEMPLETON MUTUAL FUND 1. We have audited the attached balance sheet of FRANKLIN TEMPLETON MUTUAL FUND (the Scheme ) as at March 31, 2011

More information

AUDITORS REPORT. To the Board of Directors of Trustees of FRANKLIN TEMPLETON MUTUAL FUND FRANKLIN TEMPLETON FIXED TENURE FUND SERIES X - PLAN B

AUDITORS REPORT. To the Board of Directors of Trustees of FRANKLIN TEMPLETON MUTUAL FUND FRANKLIN TEMPLETON FIXED TENURE FUND SERIES X - PLAN B AUDITORS REPORT To the Board of s of Trustees of FRANKLIN TEMPLETON MUTUAL FUND SERIES X PLAN B 1. We have audited the attached balance sheet of FRANKLIN TEMPLETON MUTUAL FUND SERIES X PLAN B (the Scheme

More information

AUDITORS REPORT. To the Board of Directors of Trustees of FRANKLIN TEMPLETON MUTUAL FUND TEMPLETON INDIA TREASURY MANAGEMENT ACCOUNT

AUDITORS REPORT. To the Board of Directors of Trustees of FRANKLIN TEMPLETON MUTUAL FUND TEMPLETON INDIA TREASURY MANAGEMENT ACCOUNT AUDITORS REPORT To the Board of Directors of Trustees of FRANKLIN TEMPLETON MUTUAL FUND TEMPLETON INDIA TREASURY MANAGEMENT ACCOUNT 1. We have audited the attached balance sheet of FRANKLIN TEMPLETON MUTUAL

More information

Consolidated Auditors Report

Consolidated Auditors Report Consolidated Auditors Report To the Board of Directors of Trustees of Franklin Templeton Mutual Fund 1. We have audited the attached balance sheets of the below-mentioned Schemes of Franklin Templeton

More information

INDEPENDENT AUDITOR S REPORT

INDEPENDENT AUDITOR S REPORT INDEPENDENT AUDITOR S REPORT To the Trustees of Franklin Templeton Mutual Fund Report on the Financial Statements We have audited the accompanying financial statements of Franklin India FeederFranklin

More information

Auditors Report. To the Board of Directors of Trustees of Franklin Templeton Mutual Fund

Auditors Report. To the Board of Directors of Trustees of Franklin Templeton Mutual Fund Auditors Report To the Board of Directors of Trustees of Franklin Templeton Mutual Fund 1. We have audited the attached balance sheets of the belowmentioned Schemes of Franklin Templeton Mutual Fund (the

More information

INDEPENDENT AUDITOR S REPORT

INDEPENDENT AUDITOR S REPORT INDEPENDENT AUDITOR S REPORT To the Trustees of Franklin Templeton Mutual Fund Report on the Financial Statements We have audited the accompanying financial statements of the Franklin India Feeder Franklin

More information

INDEPENDENT AUDITOR S REPORT. To the Trustees of FRANKLIN TEMPLETON MUTUAL FUND- FRANKLIN INDIA BLUECHIP FUND

INDEPENDENT AUDITOR S REPORT. To the Trustees of FRANKLIN TEMPLETON MUTUAL FUND- FRANKLIN INDIA BLUECHIP FUND INDEPENDENT AUDITOR S REPORT To the Trustees of FRANKLIN TEMPLETON MUTUAL FUND FRANKLIN INDIA BLUECHIP FUND Report on the Financial Statements We have audited the accompanying financial statements of FRANKLIN

More information

INDEPENDENT AUDITOR S REPORT. To the Trustees of FRANKLIN TEMPLETON MUTUAL FUND - TEMPLETON INDIA EQUITY INCOME FUND

INDEPENDENT AUDITOR S REPORT. To the Trustees of FRANKLIN TEMPLETON MUTUAL FUND - TEMPLETON INDIA EQUITY INCOME FUND INDEPENDENT AUDITOR S REPORT To the Trustees of FRANKLIN TEMPLETON MUTUAL FUND TEMPLETON INDIA EQUITY INCOME FUND Report on the Financial Statements We have audited the accompanying financial statements

More information

INDEPENDENT AUDITOR S REPORT

INDEPENDENT AUDITOR S REPORT INDEPENDENT AUDITOR S REPORT To the Trustees of Franklin Templeton Mutual Fund Report on the Financial Statements We have audited the accompanying financial statements of Franklin India Bluechip Fund,

More information

INDEPENDENT AUDITOR S REPORT

INDEPENDENT AUDITOR S REPORT INDEPENDENT AUDITOR S REPORT To the Trustees of Franklin Templeton Mutual Fund Report on the Financial Statements We have audited the accompanying financial statements of Franklin India Prima Plus ( the

More information

INDEPENDENT AUDITOR S REPORT

INDEPENDENT AUDITOR S REPORT INDEPENDENT AUDITOR S REPORT To the Trustees of Franklin Templeton Mutual Fund Report on the Financial Statements We have audited the accompanying financial statements of Franklin India Cash Management

More information

INDEPENDENT AUDITOR S REPORT

INDEPENDENT AUDITOR S REPORT INDEPENDENT AUDITOR S REPORT To the Trustees of Franklin Templeton Mutual Fund Report on the Financial Statements We have audited the accompanying financial statements of the Franklin India High Growth

More information

INDEPENDENT AUDITOR S REPORT

INDEPENDENT AUDITOR S REPORT INDEPENDENT AUDITOR S REPORT To the Trustees of Franklin Templeton Mutual Fund Report on the Financial Statements We have audited the accompanying financial statements of Franklin India Treasury Management

More information

in the case of the Balance Sheet, of the state of affairs of the Scheme as at the March 31, 2017; and

in the case of the Balance Sheet, of the state of affairs of the Scheme as at the March 31, 2017; and INDEPENDENT AUDITOR S REPORT To the Trustees of Franklin Templeton Mutual Fund Report on the Financial Statements We have audited the accompanying financial statements of Franklin Asian Equity Fund ( the

More information

Abridged Annual Report For

Abridged Annual Report For Abridged Annual Report For 2009-2010 FRANKLIN TEMPLETON MUTUAL FUND - Templeton India Pension Plan Head Office : Level - 4, Wockhardt Towers, Bandra Kurla Complex, Bandra (East), Mumbai - 400 051 Trustee

More information

NPS TRUST A/C HDFC PENSION MANAGEMENT COMPANY LIMITED - SCHEME E TIER I

NPS TRUST A/C HDFC PENSION MANAGEMENT COMPANY LIMITED - SCHEME E TIER I UN-AUDITED REVENUE ACCOUNT FOR THE HALF YEAR ENDED SEPTEMBER 30, 2014 Income & Gain For the period ended 30.09.2014 For the period ended 30.09.2013 Interest income - - Dividend income 519,111 2,120 Profit

More information

IIFL Mutual Fund Balance Sheet as at 31 March 2012 (Amount in Rupees) Schedule YY01 YY02 YY03 YY04 IIFL NIFTY ETF IIFL Fixed Maturity IIFL Fixed Maturity IIFL Fixed Maturity Plan - Series 1 Plan - Series

More information

Abridged Annual Report For

Abridged Annual Report For Abridged Annual Report For 2011-2012 FRANKLIN TEMPLETON MUTUAL FUND - Templeton India Income Fund Head Office : Indiabulls Finance Center, Tower 2, 12th and 13th Floor, Senapati Bapat Marg, Elphinstone

More information

*Investors should consult their financial advisers if in doubt about whether the product is suitable for them.

*Investors should consult their financial advisers if in doubt about whether the product is suitable for them. April 17, 2018 Dear Valued Unitholder, Re: Change in Fundamental Attributes of Aditya Birla Sun Life Midcap Fund Thank you for choosing Aditya Birla Sun Life Mutual Fund ( the Fund ) as your investment

More information

IDFC MUTUAL FUND. Open Ended Fund of Funds of the Fund presented in these financial statements are as under: Dividend Frequency

IDFC MUTUAL FUND. Open Ended Fund of Funds of the Fund presented in these financial statements are as under: Dividend Frequency IDFC MUTUAL FUND Schedule 9 - Statement of Significant Accounting Policies and Other Explanatory Notes forming part of Accounts of Fund of Funds Scheme Background IDFC Mutual Fund ( the Fund ) is sponsored

More information

Abridged Annual Report For

Abridged Annual Report For Abridged Annual Report For 2011-2012 FRANKLIN TEMPLETON MUTUAL FUND - Templeton India Treasury Management Account Head Office : Indiabulls Finance Center, Tower 2, 12th and 13th Floor, Senapati Bapat Marg,

More information

NPS TRUST A/C HDFC PENSION MANAGEMENT COMPANY LIMITED - SCHEME E TIER I

NPS TRUST A/C HDFC PENSION MANAGEMENT COMPANY LIMITED - SCHEME E TIER I NPS TRUST A/C HDFC PENSION MANAGEMENT COMPANY LIMITED - SCHEME E TIER I Un-audited Financial Statements for the half year ended Contents Balance Sheet Revenue Account Accounting Policies and Notes to Accounts

More information

BOARD OF DIRECTORS. SPONSOR JPMorgan Asset Management (Asia) Inc. 270 Park Avenue, New York, New York 12017, USA

BOARD OF DIRECTORS. SPONSOR JPMorgan Asset Management (Asia) Inc. 270 Park Avenue, New York, New York 12017, USA SPONSOR JPMorgan Asset Management (Asia) Inc. 270 Park Avenue, New York, New York 12017, USA TRUSTEE JPMorgan Mutual Fund India Private Limited Registered office: Kalpataru Synergy, 3 rd Floor, West Wing,

More information

Trustees Report For the Year ended March 31, 2009

Trustees Report For the Year ended March 31, 2009 Trustees Report For the Year ended March 31, 2009 Dear Unit holders, We have pleasure in presenting our eighth report and the audited financial statements of the Schemes of Benchmark Mutual Fund for the

More information

HDFC PENSION MANAGEMENT COMPANY LIMITED

HDFC PENSION MANAGEMENT COMPANY LIMITED HDFC PENSION MANAGEMENT COMPANY LIMITED Un-audited Financial Statements for the half year ended March 31, 2018 SCHEME E TIER I SCHEME E TIER II SCHEME C TIER I SCHEME C TIER II SCHEME G TIER I SCHEME G

More information

Scheme Features yrs. 13-Mar % Growth Dividend (Dividend Option will in turn have two Investment Options

Scheme Features yrs. 13-Mar % Growth Dividend (Dividend Option will in turn have two Investment Options QUANTUM LONG TERM EQUITY FUND An Open ended Equity Nature of Features An Open-ended Equity Equity Investment Objective The investment objective of the is to achieve long-term capital appreciation by investing

More information

Abridged Annual Report For

Abridged Annual Report For Abridged Annual Report For 2011-2012 FRANKLIN TEMPLETON MUTUAL FUND - Templeton India Ultra Short Bond Fund Head Office : Indiabulls Finance Center, Tower 2, 12th and 13th Floor, Senapati Bapat Marg, Elphinstone

More information

NIFTY BeES (Rupees in. Sl. No. Liquid BeES PARTICULARS. Junior BeES (Rupees in. Lakhs) September 30,2003. September 30, 2002.

NIFTY BeES (Rupees in. Sl. No. Liquid BeES PARTICULARS. Junior BeES (Rupees in. Lakhs) September 30,2003. September 30, 2002. BENCHMARK MUTUAL FUND 602, Maker Bhavan No.3, 21 New Marine Lines, Mumbai - 400 020. Tel (9122) 2200 3389 Fax: (9122) 2200 3412. E-mail us at webmaster@benchmarkfunds.com. Visit us at www.benchmarkfunds.com

More information

CIRCULAR. Circular No Circular Date Regulatory and Compliance. Derivatives. Category. Segment

CIRCULAR. Circular No Circular Date Regulatory and Compliance. Derivatives. Category. Segment CIRCULAR Circular No. 20190228-4 Circular Date 20190228 Category Regulatory and Compliance Segment Derivatives Subject Revised Combined Futures &Options Position Limits for Single Stock Derivatives. Attachments

More information

Abridged Annual Report For

Abridged Annual Report For Abridged Annual Report For 2013-2014 FRANKLIN TEMPLETON MUTUAL FUND - Franklin Templeton Fixed Tenure Fund Series XV Head Office : Indiabulls Finance Center, Tower 2, 12th and 13th Floor, Senapati Bapat

More information

Amit Goel K.N Goyal L.K Mahotra Partner Director Director. Director Director

Amit Goel K.N Goyal L.K Mahotra Partner Director Director. Director Director TAURUS MUTUAL FUND BALANCE SHEET OF LIBRA TAX SHIELD AS AT 31ST MARCH,2008 SCHEDULE As at 31-03-2008 As at 31-03-2007 LIABILITIES Unit Capital A 50,373,147.48 27,655,323.93 Reserves & Surplus B 70,768,363.98

More information

Schemes Tier - I. Total Schedule. Grand Total Tier - II Income from investments

Schemes Tier - I. Total Schedule. Grand Total Tier - II Income from investments UNAUDITED FUND REVENUE ACCOUNT FOR THE PERIOD ENDED SEPTEMBER 30, 2013 HPMC-E-T-I HPMC-C-T-I HPMC-G-T-I HPMC-E-T-II HPMC-C-T-II HPMC-G-T-II I Schedule Grand E C G E C G Income from investments Interest/Amortisation

More information

FINANCIAL STATEMENTS OF THE SCHEMES.

FINANCIAL STATEMENTS OF THE SCHEMES. FINANCIAL STATEMENTS OF THE SCHEMES. a) Scheme E Tier I - Equity market instruments b) Scheme C Tier I - Credit risk bearing fixed income instruments c) Scheme G Tier I - Government securities d) Scheme

More information

NATIONAL PENSION SYSTEM TRUST NPS TRUST - A/C KOTAK PENSION FUND SCHEME E - TIER I. BALANCE SHEET AS AT March 31, 2018 (UNAUDITED) Total.

NATIONAL PENSION SYSTEM TRUST NPS TRUST - A/C KOTAK PENSION FUND SCHEME E - TIER I. BALANCE SHEET AS AT March 31, 2018 (UNAUDITED) Total. NPS TRUST - A/C KOTAK PENSION FUND SCHEME E - TIER I BALANCE SHEET AS AT March 31, 2018 (UNAUDITED) Schedules Liabilities Unit Capital 1 705,304,381 417,541,928 Reserves and Surplus 2 1,047,252,707 515,503,272

More information

Quantum Mutual Fund. Factsheets for the month of July, 2010

Quantum Mutual Fund. Factsheets for the month of July, 2010 Quantum Mutual Fund Factsheets for the month of July, 2010 Quantum Long Term Equity Fund An Open ended Equity Scheme 5 Star Rated by Value Research~ Fact Sheet as on 31st July 2010 Net Asset Value as on

More information

Experience (yrs) is to achieve capital appreciation by investing in equity and equity related instruments.

Experience (yrs) is to achieve capital appreciation by investing in equity and equity related instruments. Sahara GROWTH FUND An Open-Ended Growth Fund GROWTH Fund is to achieve capital appreciation by investing in equity and equity related instruments. Date of Inception: 30/08/2002 Chief Executive Officer

More information

IDFC CLASSIC EQUITY FUND

IDFC CLASSIC EQUITY FUND 154.90 Crs. BANKS 20.32% ICICI BANK 5.60% HDFC BANK 5.44% JAMMU & KASHMIR BANK 2.84% ING VYSYA BANK 2.56% STATE BANK OF INDIA 2.10% AXIS BANK 1.78% SOFTWARE 13.90% TATA CONSULTANCY SERVICES 5.00% HCL TECHNOLOGIES

More information

MONTHLY UPDATE MARCH 2015

MONTHLY UPDATE MARCH 2015 MONTHLY UPDATE MARCH 2015 Highest NAV Guarantee Fund as on 31 st March 2015 Fund Objective : To Generate Returns from Hybrid asset Allocation Portfolio over 10 year Term of Fund SFIN CODE : ULIF04001/09/10HighestNAV101

More information

Quantum Asset Management Company Private Limited Registered Office: 505, Regent Chambers, 5th Floor, Nariman Point, Mumbai

Quantum Asset Management Company Private Limited Registered Office: 505, Regent Chambers, 5th Floor, Nariman Point, Mumbai Quantum Asset Management Company Private Limited Registered Office: 505, Regent Chambers, 5th Floor, Nariman Point, Mumbai-400 021. Quantum Long Term Equity Fund (An Open ended growth scheme with no assured

More information

Sl No PARTICULARS NIFTY NIFTY Junior Junior Liquid (Rs in lakhs) March 2004

Sl No PARTICULARS NIFTY NIFTY Junior Junior Liquid (Rs in lakhs) March 2004 BENCHMARK MUTUAL FUND 602, Maker Bhavan No.3, 21 New Marine Lines, Mumbai 400 020. Tel (9122) 2200 3389 Fax: (9122) 2200 3412. E-mail us at webmaster@benchmarkfunds.com. Visit us at www.benchmarkfunds.com

More information

Abridged Annual Report For

Abridged Annual Report For Abridged Annual Report For 2014-2015 FRANKLIN TEMPLETON MUTUAL FUND - Franklin India Fixed Tenure Fund - Series XVII (formerly known as Franklin Templeton Fixed Tenure Fund - Series XVII) Head Office :

More information

Statement Of Portfolio As On 30th September, Name of the Instruments Industry/Rating Quantity Market Value % age to NAV ISIN

Statement Of Portfolio As On 30th September, Name of the Instruments Industry/Rating Quantity Market Value % age to NAV ISIN JM HIGH LIQUIDITY FUND (An Open-Ended Liquid Scheme) NIL NIL Certificate of Deposit (CD) / Commercial Paper (CP) Punjab & Sind Bank CD ** ICRA A1+ 10,000 9,897.67 5.71 INE608A16DS6 Allahabad Bank CD **

More information

Abridged Annual Report For

Abridged Annual Report For Abridged Annual Report For 2013-2014 FRANKLIN TEMPLETON MUTUAL FUND - Franklin India Bluechip Fund Head Office : Indiabulls Finance Center, Tower 2, 12th and 13th Floor, Senapati Bapat Marg, Elphinstone

More information

Annual Report

Annual Report Nifty Benchmark Exchange Traded Scheme (NIFTY BeES) Annual Report 2001-2002 MUTUAL FUND 602, Maker Bhavan No.3, 21, New Marine Lines, Mumbai - 400 020 Ph.: 91-22-200 3389 Fax: 91-22-200 3412 website :

More information

(a) in the case of the Balance Sheet, of the state of affairs of the Company as at March 31, 2014;

(a) in the case of the Balance Sheet, of the state of affairs of the Company as at March 31, 2014; Independent Auditor s Report To the Members of Capital First Commodities Limited Report on the Financial Statements We have audited the accompanying financial statements of Capital First Commodities Limited

More information

HDFC PENSION MANAGEMENT COMPANY LIMITED

HDFC PENSION MANAGEMENT COMPANY LIMITED HDFC PENSION MANAGEMENT COMPANY LIMITED Un-audited Financial Statements for the half year ended September 30, 2017 SCHEME E TIER I SCHEME E TIER II SCHEME C TIER I SCHEME C TIER II SCHEME G TIER I SCHEME

More information

ANNUAL REPORT

ANNUAL REPORT ANNUAL REPORT 2007-2008 INDEX 1. Report of the Trustees to Unitholders of Tata Mutual Fund... 3 2. Brief Background of Sponsors, Trust, Trustee Co. and Asset Management Company (AMC).... 5 3. Investment

More information

TAURUS MUTUAL FUND BALANCE SHEET OF TAURUS LIQUID FUND AS AT MARCH 31ST, 2009 SCHEDULE

TAURUS MUTUAL FUND BALANCE SHEET OF TAURUS LIQUID FUND AS AT MARCH 31ST, 2009 SCHEDULE TAURUS MUTUAL FUND BALANCE SHEET OF TAURUS LIQUID FUND AS AT MARCH 31ST, 2009 SCHEDULE As at MARCH 31ST, 2009 As at MARCH 31ST, 2008 LIABILITIES Unit Capital A 9,562,214 14,849,604 Reserves & Surplus B

More information

NSE Strategic Investment Corporation Limited. (A subsidiary of National Stock Exchange of India Limited)

NSE Strategic Investment Corporation Limited. (A subsidiary of National Stock Exchange of India Limited) (A subsidiary of National Stock Exchange of India Limited) INDEPENDENT AUDITOR S REPORT TO THE MEMBERS OF NSE STRATEGIC INVESTMENT CORPORATION LIMITED Report on the Financial Statements We have audited

More information

HDFC Ltd As on September 30, 2015 Reliance Gas Transportation Infrastructure Ltd Absolute Return Power Finance Corporation Ltd. 2.

HDFC Ltd As on September 30, 2015 Reliance Gas Transportation Infrastructure Ltd Absolute Return Power Finance Corporation Ltd. 2. September, 2015 THE LINKED INSURANCE PRODUCTS DO NOT OFFER ANY LIQUIDITY DURING THE FIRST FIVE YEARS OF THE CONTRACT. THE POLICYHOLDER WILL NOT BE ABLE TO SURRENDER/WITHDRAW THE MONIES INVESTED IN LINKED.

More information

Quantum Index Fund. Factsheet for the month of August, 2010

Quantum Index Fund. Factsheet for the month of August, 2010 Quantum Index Fund Factsheet for the month of August, 2010 Quantum Index Fund An Open ended Exchange Traded Fund Fact Sheet as on 31st August 2010 Net Asset Value as on August 31, 2010 (Rs./Unit) Growth

More information

UNAUDITED FINANCIAL STATEMENTS OF THE SCHEMES.

UNAUDITED FINANCIAL STATEMENTS OF THE SCHEMES. UNAUDITED FINANCIAL STATEMENTS OF THE SCHEMES. a) Scheme E Tier I - Equity market instruments b) Scheme C Tier I - Credit risk bearing fixed income instruments c) Scheme G Tier I - Government securities

More information

Baroda Pioneer Equity Trigger Fund - Series 1 A Close Ended Equity Scheme

Baroda Pioneer Equity Trigger Fund - Series 1 A Close Ended Equity Scheme 2014-2015 Baroda Pioneer Equity Trigger Fund - Series 1 A Close Ended Equity Scheme ABRIDGED ANNUAL REPORT 2014-2015 REPORT OF THE BOARD OF DIRECTORS OF BARODA PIONEER TRUSTEE COMPANY PRIVATE LTD. TO

More information

RELIANCE CAPITAL ASSET MANAGEMENT LIMITED ANNUAL REPORT

RELIANCE CAPITAL ASSET MANAGEMENT LIMITED ANNUAL REPORT RELIANCE CAPITAL ASSET MANAGEMENT LIMITED ANNUAL REPORT 2010-11 Auditors Report To the Members of Reliance Capital Asset Management Limited We have audited the attached balance sheet of Reliance

More information

16/08/2016. Plan Regular (`) Direct (`) Institutional (`) Option Dividend Option Growth Option

16/08/2016. Plan Regular (`) Direct (`) Institutional (`) Option Dividend Option Growth Option 16/08/2016 Dear Investor Sub: Proposal for merger of Sundaram Growth Fund with Sundaram Select Focus Thank you for investing in Sundaram Growth Fund. The Trustees of on 04/07/2016 decided to merge Sundaram

More information

NPS TRUST A/C HDFC PENSION MANAGEMENT COMPANY LIMITED - SCHEME E TIER I

NPS TRUST A/C HDFC PENSION MANAGEMENT COMPANY LIMITED - SCHEME E TIER I UN-AUDITED BALANCE SHEET AS AT MARCH 31, 2015 Sources of funds Schedule Unitholders Funds Unit Capital 1 126,567,747 18,111,753 Reserves & Surplus 2 68,784,007 3,647,491 Current Liabilities and Provisions

More information

Diverse solutions for diverse tastes

Diverse solutions for diverse tastes COMMON KEY INFORMATION MEMORANDUM CUM APPLICATION FORM Diverse solutions for diverse tastes Name of Asset Management Company: Taurus Asset Management Company CIN: U67190MH1993PLC073154 Name of Trustee

More information

fun Equity Diversified Large Cap Index Diversified Mid Cap & Small Cap Diversified Multi Cap Balanced Sector Tax Saver Arbitrage ETF

fun Equity Diversified Large Cap Index Diversified Mid Cap & Small Cap Diversified Multi Cap Balanced Sector Tax Saver Arbitrage ETF fun e ge Equity Diversified Large Cap Vision Fund... 06 Top 200 Fund... 07 Quant Plus Fund... 08 NRI Equity Fund... 09 Equity Fund... 10 Index Index Fund - Nifty Plan... 11 Index Fund - Sensex Plan...

More information

Annual Report

Annual Report Trustee Report Annual Report 2010-2011 1 H E R E S O N E M O R E R E A S O N TO R E L A X. A X I S TA X S A V E R F U N D I S N O. 1 *. *Based on 1 year returns (as on 30 June 2011) under the tax planning

More information

Scheme Features. 10 yrs. 13-Mar Mar % 1.25% 1.25% Facility) Purchase : ` 500/- and in multiples of ` 1/- thereafter.

Scheme Features. 10 yrs. 13-Mar Mar % 1.25% 1.25% Facility) Purchase : ` 500/- and in multiples of ` 1/- thereafter. An Open ended Equity Features Nature of Investment Objective An Open-ended Open-ended Equity Equity The investment objective of the is to achieve long-term capital by investing investingprimarily primarilyinin

More information

BENCHMARK MUTUAL FUND

BENCHMARK MUTUAL FUND BENCHMARK MUTUAL FUND ANNUAL REPORT 2009-2010 Trustees Report For the Year ended March 31, 2010 Dear Unit holders, We have pleasure in presenting our ninth report and the audited financial statements of

More information

WATERMARK INFRATECH PRIVATE LIMITED 1. Watermark Infratech Private Limited

WATERMARK INFRATECH PRIVATE LIMITED 1. Watermark Infratech Private Limited WATERMARK INFRATECH PRIVATE LIMITED 1 Watermark Infratech Private Limited 2 WATERMARK INFRATECH PRIVATE LIMITED Independent Auditor s Report TO THE MEMBERS OF WATERMARK INFRATECH PRIVATE LIMITED Report

More information

ADVENTURE MARKETING PRIVATE LIMITED. Adventure Marketing Private Limited

ADVENTURE MARKETING PRIVATE LIMITED. Adventure Marketing Private Limited ADVENTURE MARKETING PRIVATE LIMITED 1 Adventure Marketing Private Limited 2 ADVENTURE MARKETING PRIVATE LIMITED Independent Auditor s Report TO THE MEMBERS OF ADVENTURE MARKETING PRIVATE LIMITED Report

More information

fun Equity Diversified Large Cap Index Diversified Mid Cap & Small Cap Diversified Multi Cap Balanced Diversified Theme Based Sector Tax Saver

fun Equity Diversified Large Cap Index Diversified Mid Cap & Small Cap Diversified Multi Cap Balanced Diversified Theme Based Sector Tax Saver fun e ge Equity Diversified Large Cap Vision Fund... 02 Top 200 Fund... 03 Quant Plus Fund... 04 NRI Equity Fund... 05 Equity Fund... 06 Index Index Fund - Nifty Plan... 06 Index Fund - Sensex Plan...

More information

ONE FUND. THREE BENEFITS.

ONE FUND. THREE BENEFITS. EQUITY SAVINGS FUND An Open-ended Equity Scheme ONE FUND. THREE BENEFITS. INCOME OPPORTUNITY GROWTH POTENTIAL OF EQUITY TAX EFFICIENCY PRESENTING SBI EQUITY SAVINGS FUND: SBI Equity Savings Fund, is an

More information

KEY INFORMATION MEMORANDUM & APPLICATION FORM [OFFER OF UNITS AT APPLICABLE NAV BASED PRICES]

KEY INFORMATION MEMORANDUM & APPLICATION FORM [OFFER OF UNITS AT APPLICABLE NAV BASED PRICES] Investment Manager: Principal Pnb Asset Management Company Private Ltd. (AMC), Exchange Plaza, B Wing, Ground Floor, NSE Building, Bandra Kurla Complex, Bandra (East), Mumbai-400 051, India Principal Mutual

More information

QUANTUM LONG TERM EQUITY VALUE FUND

QUANTUM LONG TERM EQUITY VALUE FUND QUANTUM LONG TERM EQUITY VALUE FUND An Open Ended Equity following a Value Investment Strategy Investment Objective : The investment objective of the is to achieve long-term capital appreciation by investing

More information

ANNUAL REPORT

ANNUAL REPORT ANNUAL REPORT 2014-2015 Tata Young Citizens Fund Tata Young Citizens Fund STATUTORY DETAILS: SPONSORS Tata Sons Limited Bombay House, 24, Homi Modi Street, Mumbai - 400 001. Tata Investment Corporation

More information

Sapne ek din mein sach nahin hotey! Start an SIP with as little as `500 per month, and aim to achieve your dreams in the long run.

Sapne ek din mein sach nahin hotey! Start an SIP with as little as `500 per month, and aim to achieve your dreams in the long run. Reliance Nippon Life Asset Management Limited (formerly Reliance Capital Asset Management Limited) A Reliance Capital Company October 2016 Sapne ek din mein sach nahin hotey! Start an SIP with as little

More information

Traditional Life Cycle of a company. Growth Phase

Traditional Life Cycle of a company. Growth Phase Today s Mid Caps are the Large Caps of tomorrow Traditional Life Cycle of a company Start-up Phase Growth Phase Mature Phase Emerging companies High growth phase But prone to higher risks Business not

More information

long term capital growth investment in equity and equity related instruments through a research based approach

long term capital growth investment in equity and equity related instruments through a research based approach NAME OF SCHEMES EQUITY Vision Fund An open ended Equity Growth Top 200 Fund An open ended Diversified Equity Quant Plus Fund An open ended Equity NRI Equity Fund An open-ended Diversified Equity Focused

More information

ADDENDUM. Sr. No. Name of the Scheme(s) Type of Scheme 1. Aditya Birla Sun Life Emerging Leaders Fund - Series A Close ended Equity Scheme

ADDENDUM. Sr. No. Name of the Scheme(s) Type of Scheme 1. Aditya Birla Sun Life Emerging Leaders Fund - Series A Close ended Equity Scheme ADDENDUM Sr. No. Name of the Scheme(s) Type of Scheme 1. Leaders Fund - Series A Close ended Equity Scheme 3 2. Leaders Fund - Series A Close ended Equity Scheme 4 3. Leaders Fund - Series A Close ended

More information

M O N T H L Y F A C T S H E E T F E B R U A R Y Schemes - Product Labeling

M O N T H L Y F A C T S H E E T F E B R U A R Y Schemes - Product Labeling TIMES M O N T H L Y F A C T S H E E T F E B R U A R Y 2 0 1 8 Schemes - Product Labeling Name of the Scheme This product is suitable for Investors who are seeking* Riskometer Taurus Starshare An open -

More information

Sahara growth fund. GROWTH Fund. sms Growth to Value Research Rating^ An Open-Ended Growth Fund. The objective of the scheme.

Sahara growth fund. GROWTH Fund. sms Growth to Value Research Rating^ An Open-Ended Growth Fund. The objective of the scheme. sms Growth to 59090 growth fund GROWTH Fund Value Research Rating^ The objective of the scheme. is to achieve capital appreciation by investing in equity and equity related instruments. Name designation

More information

M O N T H L Y R E P O R T F E B R U A R Y Schemes - Product Labeling THIS PRODUCT IS SUITABLE FOR INVESTORS WHO ARE SEEKING*

M O N T H L Y R E P O R T F E B R U A R Y Schemes - Product Labeling THIS PRODUCT IS SUITABLE FOR INVESTORS WHO ARE SEEKING* TIMES M O N T H L Y R E P O R T F E B R U A R Y 2 0 1 4 Schemes - Product Labeling Name of the Scheme Taurus Starshare An open end equity growth scheme Taurus Ethical Fund An open end equity oriented scheme

More information

QUANTUM MUTUAL FUND ANNUAL REPORT

QUANTUM MUTUAL FUND ANNUAL REPORT QUANTUM MUTUAL FUND ANNUAL REPORT 2006-2007 INDEX Particulars Page No. Report of the Trustees 3 Quantum Long-Term Equity Fund (QLTEF) Auditors Report for QLTEF 7 Balance Sheet of QLTEF as at March 31,

More information

NPS TRUST A/C HDFC PENSION MANAGEMENT COMPANY LIMITED - SCHEME C TIER II

NPS TRUST A/C HDFC PENSION MANAGEMENT COMPANY LIMITED - SCHEME C TIER II UN-AUDITED BALANCE SHEET AS AT MARCH 31, 2015 Sources of funds Schedule Unitholders Funds Unit Capital 1 6,099,940 321,050 Reserves & Surplus 2 988,716 19,850 Current Liabilities and Provisions 3 5,274

More information

NPS TRUST A/C HDFC PENSION MANAGEMENT COMPANY LIMITED - SCHEME C TIER I

NPS TRUST A/C HDFC PENSION MANAGEMENT COMPANY LIMITED - SCHEME C TIER I UN-AUDITED REVENUE ACCOUNT FOR THE HALF YEAR ENDED SEPTEMBER 30, 2014 Income & Gain For the period ended 30.09.2014 For the period ended 30.09.2013 Interest income 1,500,662 1,555 Profit on sale/redemption

More information

CAPITAL FIRST SECURITIES LIMITED BALANCE SHEET AS AT MARCH 31, 2017

CAPITAL FIRST SECURITIES LIMITED BALANCE SHEET AS AT MARCH 31, 2017 BALANCE SHEET AS AT MARCH 31, 2017 Note As at Amount in Rupees As at EQUITY AND LIABILITIES Shareholders' Funds Share Capital 3 673,556,000 673,556,000 Reserves and Surplus 4 (195,051,527) (338,181,529)

More information

NPS TRUST A/C HDFC PENSION MANAGEMENT COMPANY LIMITED - SCHEME G TIER I

NPS TRUST A/C HDFC PENSION MANAGEMENT COMPANY LIMITED - SCHEME G TIER I UN-AUDITED REVENUE ACCOUNT FOR THE HALF YEAR ENDED SEPTEMBER 30, 2014 Schedule For the period ended 30.09.2014 For the period ended 30.09.2013 Income & Gain Interest income 1,744,238 10,746 Profit on sale/redemption

More information

BOARD OF DIRECTORS. SPONSOR JPMorgan Asset Management (Asia) Inc. 270 Park Avenue, New York, New York 12017, USA

BOARD OF DIRECTORS. SPONSOR JPMorgan Asset Management (Asia) Inc. 270 Park Avenue, New York, New York 12017, USA SPONSOR JPMorgan Asset Management (Asia) Inc. 270 Park Avenue, New York, New York 12017, USA TRUSTEE JPMorgan Mutual Fund India Private Limited Registered office: Kalpataru Synergy, 3 rd Floor, West Wing,

More information

Funds PENSION SHORT-TERM FIXED INCOME FUND... 2 PENSION INCOME FUND... 3 PENSION EQUITY FUND... 4 PENSION LIQUID FUND... 5 PENSION BALANCED FUND...

Funds PENSION SHORT-TERM FIXED INCOME FUND... 2 PENSION INCOME FUND... 3 PENSION EQUITY FUND... 4 PENSION LIQUID FUND... 5 PENSION BALANCED FUND... Funds PENSION SHORT-TERM FIXED INCOME FUND............. 2 PENSION INCOME FUND........................ 3 PENSION EQUITY FUND........................ 4 PENSION LIQUID FUND......................... 5 PENSION

More information

Corporate Office : Mahindra Mutual Fund Sadhana House, 1st Floor, 570, P.B. Marg, Worli, Mumbai , India

Corporate Office : Mahindra Mutual Fund Sadhana House, 1st Floor, 570, P.B. Marg, Worli, Mumbai , India Key Information Memorandum (KIM) sets forth the information, which a prospective investor ought to know before investing. For further details of the scheme/mutual Fund, due diligence certificate by the

More information

Report of the Trustee Auditors' Report Abridged Audited Balance Sheet Abridged Audited Revenue Account... 20

Report of the Trustee Auditors' Report Abridged Audited Balance Sheet Abridged Audited Revenue Account... 20 Contents Report of the Trustee... 2 Auditors' Report... 5 Abridged Audited Balance Sheet... 8 Abridged Audited Revenue Account... 20 Notes to the Financial Statements... 32 Statement of Portfolio Holding...

More information

Half Yearly Portfolio of the Schemes / Plans as on March 31, 2009 (Unaudited)

Half Yearly Portfolio of the Schemes / Plans as on March 31, 2009 (Unaudited) Particulars Kotak Kotak Equity Kotak Flexi Kotak Twin Kotak Dynamic Kotak Emerging Kotak Indo World Kotak Quarterly Kotak Quarterly Kotak Kotak FMP Kotak FMP Kotak FMP Kotak Mahindra Kotak FMP Kotak FMP

More information

M O N T H L Y F A C T S H E E T A U G U S T Schemes - Product Labeling

M O N T H L Y F A C T S H E E T A U G U S T Schemes - Product Labeling TIMES M O N T H L Y F A C T S H E E T A U G U S T 2 0 1 7 Schemes - Product Labeling Name of the Scheme This product is suitable for Investors who are seeking* Riskometer Taurus Starshare An open - ended

More information

NPS TRUST A/C HDFC PENSION MANAGEMENT COMPANY LIMITED - SCHEME G TIER II

NPS TRUST A/C HDFC PENSION MANAGEMENT COMPANY LIMITED - SCHEME G TIER II UN-AUDITED REVENUE ACCOUNT FOR THE HALF YEAR ENDED SEPTEMBER 30, 2014 Income & Gain For the period ended 30.09.2014 For the period ended 30.09.2013 Interest income 29,025 - Dividend income - - Profit on

More information

BENCHMARK MUTUAL FUND

BENCHMARK MUTUAL FUND BENCHMARK MUTUAL FUND ANNUAL REPORT 2010-2011 Trustees Report For the Year ended March 31, 2011 Dear Unit holders, We have pleasure in presenting our Tenth Report and the audited financial statements of

More information

QUANTUM LONG TERM EQUITY VALUE FUND

QUANTUM LONG TERM EQUITY VALUE FUND QUANTUM LONG TERM EQUITY VALUE FUND An Open Ended Equity following a Value Investment Strategy Investment Objective : The investment objective of the is to achieve long-term capital appreciation by investing

More information

FUND FACTSHEET MARCH 2017

FUND FACTSHEET MARCH 2017 MARCH Regular income over short term Investment in money market and debt instruments will be at low risk Portfolio ( Top Ten Holdings) as on March 31, Investment Objective: The Scheme seeks to deliver

More information

New Fund Offer Opens on February 18, 2019 New Fund Offer Closes on February 28, 2019

New Fund Offer Opens on February 18, 2019 New Fund Offer Closes on February 28, 2019 New Fund Offer Opens on February 18, 2019 New Fund Offer Closes on February 28, 2019 Offer of Units of Rs. 10/- each during the New Fund Offer and Continuous offer for Units at NAV based Prices 1 The next

More information

TAURUS MUTUAL FUND BALANCE SHEET OF TAURUS GILT FUND (FORMERLY LIBRA GILT FUND) AS AT MARCH 31ST, 2009 SCHEDULE

TAURUS MUTUAL FUND BALANCE SHEET OF TAURUS GILT FUND (FORMERLY LIBRA GILT FUND) AS AT MARCH 31ST, 2009 SCHEDULE TAURUS MUTUAL FUND BALANCE SHEET OF TAURUS GILT FUND (FORMERLY LIBRA GILT FUND) AS AT MARCH 31ST, 2009 SCHEDULE 31ST, 2009 31ST, 2008 LIABILITIES Unit Capital A 158,137 640,187 Reserves & Surplus B 56,598

More information

JM FINANCIAL MUTUAL FUND

JM FINANCIAL MUTUAL FUND Abridged ANNUAL REPORT 2011-2012 Fund JM Floater Fund - Long Term JM Floater Fund - Short Term JM MIP Fund JM Interval Fund JM Income Fund JM Short Term Fund JM G-sec Fund JM Fixed Maturity Fund JM Financial

More information

NPS TRUST A/C HDFC PENSION MANAGEMENT COMPANY LIMITED - SCHEME G TIER I

NPS TRUST A/C HDFC PENSION MANAGEMENT COMPANY LIMITED - SCHEME G TIER I UN-AUDITED BALANCE SHEET AS AT MARCH 31, 2015 Sources of funds Schedule Unitholders Funds Unit Capital 1 139,818,985 19,444,475 Reserves & Surplus 2 33,286,326 646,530 Current Liabilities and Provisions

More information

You will be pleased to note that the merger of the scheme(s) as aforesaid is expected to result in the following benefits:

You will be pleased to note that the merger of the scheme(s) as aforesaid is expected to result in the following benefits: April 17, 2018 Dear Valued Unitholder, Re: Merger of Aditya Birla Sun Life Tax Savings Fund, An Open Ended Equity Linked Savings Scheme (Lock in period of 3 years) into the Aditya Birla Sun Life Tax Relief

More information

RELIANCE CAPITAL ASSET MANAGEMENT LIMITED ANNUAL REPORT

RELIANCE CAPITAL ASSET MANAGEMENT LIMITED ANNUAL REPORT RELIANCE CAPITAL ASSET MANAGEMENT LIMITED ANNUAL REPORT 2013-14 Independent Auditor s report To the Members of Reliance Capital Asset Management Limited Report on the financial statements

More information

M O N T H L Y F A C T S H E E T M A Y Schemes - Product Labeling

M O N T H L Y F A C T S H E E T M A Y Schemes - Product Labeling TIMES M O N T H L Y F A C T S H E E T M A Y 2 0 1 7 Schemes - Product Labeling Name of the Scheme This product is suitable for Investors who are seeking* Riskometer Taurus Starshare An open - ended equity

More information

Kotak Mahindra Bank Ltd. TWENTY-SECOND ANNUAL REPORT Global Reports LLC

Kotak Mahindra Bank Ltd. TWENTY-SECOND ANNUAL REPORT Global Reports LLC Group Consolidated Financial Statements... 2 Kotak Mahindra Bank Limited... 39 subsidiaries Kotak Mahindra Capital Company Limited... 111 Kotak Securities Limited... 145 Kotak Mahindra Old Mutual Life

More information

S. No. Contents Page No. 1. Trustee Report Portfolio Independent Auditor's Report Balance Sheet Revenue Account 11

S. No. Contents Page No. 1. Trustee Report Portfolio Independent Auditor's Report Balance Sheet Revenue Account 11 S. No. Contents Page No. 1. Trustee Report 1 2. Portfolio 5 3. Independent Auditor's Report 8 4. Balance Sheet 10 5. Revenue Account 11 6. Cash Flow 12 7. Perspective Historical Per Unit Statistics 13

More information