MONTHLY UPDATE MARCH 2015

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MONTHLY UPDATE MARCH 2015

Liquid Fund - Life Group - II as on 31 st March 2015 Fund Objective : To deliver returns linked to Money Market levels with minimal interest rate risk and minimal credit risk so as to provide a high level of safety of capital. SFIN CODE : ULGF03620/02/12LiquidFdII101 7,343.58 Inception (20-Feb-08) 08.08 07.69 5 Years 07.77 08.26 3 Years 07.99 08.89 2 Years 07.83 09.22 1 Years 07.98 08.98 3 Mths 01.81 02.15 # CRISIL Liquid Fund Index Others Deposits, Money Mkt and Net Current Assets. Grand Total Portfolio Yield (%) 8.50% Avg Maturity (In Months) 3.60 Modified Duration (In Years) 0.30 0-1 Yr AAA

Stable Managed Fund - Life Group - II as on 31 st March 2015 Fund Objective : To generate optimal returns for investors through short term investments in high credit quality securities so as to keep interest rate risks low and provide safety of capital over the medium term horizon. SFIN CODE : ULGF03720/02/12StableMFII101 Inception (20-Feb-08) 07.74 08.17 5 Years 07.57 08.31 3 Years 08.25 09.40 2 Years 07.98 09.55 1 Years 08.55 10.33 3 Mths 01.85 02.38 # CRISIL Short Term Bond Fund Index Bonds 82.17% 4,712.17 0.59% Others 17.24% Bonds Infrastructure Development Finance Ltd 9.60% Power Finance Corporation Ltd 9.55% LIC Housing Finance Ltd 8.70% Godrej Consumer Products Ltd 8.44% Rural Electrification Corporation Ltd 7.19% Tata Capital Financial Services Ltd 6.62% Indian Railway Finance Corporation Ltd 6.09% Larsen & Toubro Ltd 5.79% Housing Development Finance Corporation Ltd 5.57% HDB Financial Services Ltd 3.66% Tata Sons Ltd 3.44% Tata Global Beverages Ltd 2.38% Power Grid Corporation of India Ltd 1.81% ICICI Primary Dealership Ltd 1.28% Shree Cement Ltd 1.06% Others 0.98% 4 3 2 1 70.56% 29.44% 0-1 Yr 1-3 Yrs 0.65% AA+ 20.18% Total 82.17% 7.38% GOI Mat 03-Sep-2015 0.59% Total 0.59% AAA 79.17% Deposits, Money Mkt and Net Current Assets. 17.24% Grand Total Portfolio Yield (%) 8.42% Avg Maturity (In Months) 10.92 Modified Duration (In Years) 0.78

Secured Managed Fund - Life Group - II as on 31 st March 2015 Fund Objective : To provide reasonable returns through investments in high credit quality debt instruments while maintaining an optimal level of interest rate risk. SFIN CODE : ULGF03820/02/12SecureMFII101 20,621.69 Inception (20-Feb-08) 08.74 07.53 5 Years 09.34 08.13 3 Years 10.33 09.32 2 Years 10.03 09.34 1 Years 15.23 14.59 3 Mths 02.99 02.84 # CRISIL Composite Bond Fund Index 55.30% Others 8.62% Bonds 36.08% Bonds Indiabulls Housing Finance Ltd 9.47% Power Finance Corporation Ltd 4.19% Power Grid Corporation of India Ltd 3.57% HDB Financial Services Ltd 2.87% Housing Development Finance Corporation Ltd 2.49% Tata Sons Ltd 1.88% Sesa Sterlite Ltd 1.77% National Thermal Power Corporation Ltd 1.69% Bajaj Finance Ltd 1.33% LIC Housing Finance Ltd 1.10% Infrastructure Development Finance Ltd 1.10% UPL Ltd 1.08% Mahindra and Mahindra Financial Services Ltd 1.04% Others 2.50% 4 3 2 1 55.92% 22.44% 19.32% 2.32% 0-1 Yr 1-3 Yrs 3-10 Yrs Above 10 Yrs AA+ 6.60% Total 36.08% 8.17% GOI Mat 01-Dec-2044 10.99% 8.60% GOI Mat 02-Jun-2028 10.73% 9.20% GOI Mat 30-Sep-2030 7.01% 8.30% GOI Mat 31-Dec-2042 6.31% 8.32% GOI Mat 02-Aug-2032 4.80% 9.23% GOI Mat 23-Dec-2043 4.76% 8.28% GOI Mat 21-Sep-2027 3.30% 8.83% GOI Mat 12-Dec-2041 2.89% 1.44 Inflation Index Bond Mat 05-Jun-2023 2.18% 8.40% GOI Mat 28-Jul-2024 2.14% Others 0.20% 60.52% AAA 32.88% Total 55.30% Deposits, Money Mkt and Net Current Assets. 8.62% Grand Total Portfolio Yield (%) 7.91% Avg Maturity (In Months) 169.20 Modified Duration (In Years) 6.89

Defensive Managed Fund - Life Group - II as on 31 st March 2015 Fund Objective : To enhance long term returns for a portfolio predominantly invested in fixed income securities by taking a moderate to medium exposure to equity and equity related securities. The equity exposure will be between 15%-30%. SFIN CODE : ULGF03920/02/12DefnsvFdII101 27,773.04 Inception (20-Feb-08) 09.29 07.34 5 Years 09.27 08.51 3 Years 11.91 11.14 2 Years 13.17 12.44 1 Years 20.03 17.68 3 Mths 02.33 02.84 # 22.5% BSE -100 77.5% CRISIL Composite Bond Fund Index Bonds 35.96% Others 4.31% 35.17% Equity 24.55% Equity ICICI Bank Ltd 1.78% HDFC Bank Ltd 1.66% Infosys Ltd. 1.52% Larsen & Toubro Limited 1.28% ITC Ltd 1.09% Hindustan Petroleum Corporation Ltd. 0.98% Reliance Industries Ltd 0.91% Bharti Airtel Ltd 0.69% Tata Consultancy Services Ltd 0.67% Axis Bank Limited 0.66% Shree Cement Limited 0.61% Maruti Suzuki India Ltd 0.61% Cadila Healthcare Ltd. 0.56% Others 11.52% Total 24.55% Bonds Power Finance Corporation Ltd 8.77% Housing Development Finance Corporation Ltd 4.78% LIC Housing Finance Ltd 3.59% Tata Motors Ltd 2.64% Bajaj Finance Ltd 2.13% ICICI Primary Dealership Ltd 2.03% Sesa Sterlite Ltd 1.72% Export and Import Bank of India 1.65% State Bank of India 1.38% Tata Capital Housing Finance Limited 1.12% IOT Utkal Energy Services Limited 1.05% Others 5.11% 4 3 2 1 Allocation By Sector - Equity Electric Utilities Cement & Cement Products Integrated Oil & Gas Cars & Utility Vehicles Cigarettes-Tobacco Products Construction & Engineering Refineries/ Petro-Products Pharmaceuticals IT Consulting & Software Banks Others 3.08% 3.68% 3.70% 3.91% 4.45% 5.21% 5.62% 8.79% 9.94% 25.72% 25.90% 10.12% 10.20% 38.46% 41.22% 0-1 Yr 1-3 Yrs 3-10 Yrs Above 10 Yrs AA+ 11.59% Total 35.96% 8.30% GOI Mat 02-Jul-2040 5.57% 9.23% GOI Mat 23-Dec-2043 5.47% 8.40% GOI Mat 28-Jul-2024 4.88% 8.30% GOI Mat 31-Dec-2042 4.09% 8.32% GOI Mat 02-Aug-2032 3.82% 8.83% GOI Mat 12-Dec-2041 3.79% 9.20% GOI Mat 30-Sep-2030 3.07% 8.17% GOI Mat 01-Dec-2044 2.97% 1.44 Inflation Index Bond Mat 05-Jun-2023 1.51% 47.23% AA 0.70% AAA 40.48% Total 35.17% Deposits, Money Mkt and Net Current Assets. 4.31% Grand Total Portfolio Yield (%) 8.03% Avg Maturity (In Months) 156.84 Modified Duration (In Years) 6.52

Balanced Managed Fund - Life Group - II as on 31 st March 2015 Fund Objective : To generate long term capital appreciation along with current income from a combined portfolio of equity and debt market instruments. The equity exposure will be between 30%-60%. SFIN CODE : ULGF04020/02/12BalncdMFII101 2,768.96 Inception (20-Feb-08) 09.04 07.14 5 Years 10.34 08.88 3 Years 14.48 12.97 2 Years 18.43 15.54 1 Years 28.25 20.77 3 Mths 03.79 02.84 # 45% BSE -100 55% CRISIL Composite Bond Fund Index Equity 49.74% Others 7.46% Bonds 19.59% 23.22% Equity HDFC Bank Ltd 3.69% ICICI Bank Ltd 3.08% Infosys Ltd. 2.99% Larsen & Toubro Limited 2.60% Bharat Petroleum Corporation Ltd 2.29% Reliance Industries Ltd 1.79% ITC Ltd 1.73% Axis Bank Limited 1.52% IndusInd Bank Ltd 1.36% Tata Consultancy Services Ltd 1.32% Shree Cement Limited 1.14% Bharti Airtel Ltd 1.00% Cadila Healthcare Ltd. 0.85% Nestle India Limited 0.83% Maruti Suzuki India Ltd 0.78% Oil & Natural Gas Corporation Ltd 0.78% Adani Port & Special Economic Zone Ltd 0.77% Dr Reddys Laboratories Limited. 0.72% UPL Limited 0.72% Bajaj Corp Ltd 0.70% Lupin Limited. 0.69% Cummins India Ltd. 0.68% Divis Laboratories Ltd 0.67% Sun Pharmaceuticals Industries Ltd 0.67% Coal India Limited. 0.66% Rural Electrification Corporation Ltd 0.61% Wipro Ltd 0.59% Mahindra & Mahindra Ltd 0.58% Bharat Electronics Ltd 0.56% Power Finance Corporation Ltd 0.54% Exide Industries Ltd 0.52% Others 12.31% Total 49.74% 4 3 2 1 Allocation By Sector - Equity Finance(includingNBFCs) Cars & Utility Vehicles Cigarettes-Tobacco Products Integrated Oil & Gas Refineries/ Petro-Products Cement & Cement Products Construction & Engineering Pharmaceuticals IT Consulting & Software 12.71% Banks Others 2.57% 2.73% 3.48% 3.60% 4.61% 4.94% 5.22% 9.67% 10.45% 23.61% 29.10% 23.05% 14.27% 49.97% 0-1 Yr 1-3 Yrs 3-10 Yrs Above 10 Yrs AA+ 0.88% AAA 44.00% Bonds Housing Development Finance Corporation Ltd 6.88% Indiabulls Housing Finance Ltd 5.20% Power Grid Corporation of India Ltd 2.74% L&T Interstate Road Coridor Limited 1.73% Rural Electrification Corporation Ltd 0.76% Others 2.27% 54.24% AA 0.87% Total 19.59% 8.17% GOI Mat 01-Dec-2044 6.27% 9.23% GOI Mat 23-Dec-2043 5.51% 8.60% GOI Mat 02-Jun-2028 2.55% 9.20% GOI Mat 30-Sep-2030 2.06% 8.83% GOI Mat 12-Dec-2041 2.04% 8.30% GOI Mat 31-Dec-2042 1.90% 8.40% GOI Mat 28-Jul-2024 1.09% 8.32% GOI Mat 02-Aug-2032 1.06% Others 0.74% Total 23.22% Deposits, Money Mkt and Net Current Assets. 7.46% Grand Total Portfolio Yield (%) 7.96% Avg Maturity (In Months) 185.28 Modified Duration (In Years) 7.13

Capital Guarantee 5A Life Fund as on 31 st March 2015 Fund Objective : The fund will invest predominantly in fixed income securities with maturities close to the maturity date of the fund. The fund will also invest a limited portion of the portfolio in equities. The guarantee of protection of capital is applicable only to the final maturity unit price. SFIN CODE : ULGF02105/04/11CapGuaFd5A101 Date of Inception : 05 Apr 2011 1,508.16 # NA Inception (05-Apr-11) 08.17 N/A 5 Years N/A N/A 3 Years 09.97 N/A 2 Years 10.85 N/A 1 Years 13.00 N/A 3 Mths 01.50 N/A 60.29% Bonds 0.03% Others 3.38% Equity 36.30% Equity Infosys Ltd. 2.57% HDFC Bank Ltd 2.29% ICICI Bank Ltd 2.28% ITC Ltd 2.20% Larsen & Toubro Limited 1.74% Asian Paints (India) Ltd 1.69% Reliance Industries Ltd 1.60% Tata Consultancy Services Ltd 1.58% Tata Motors Limited 1.20% Axis Bank Limited 1.13% State Bank of India 0.99% Sun Pharmaceuticals Industries Ltd 0.93% IndusInd Bank Ltd 0.83% Rural Electrification Corporation Ltd 0.76% Hindustan Unilever Limited 0.76% Bharti Airtel Ltd 0.71% Kotak Mahindra Bank Limited 0.67% Oil & Natural Gas Corporation Ltd 0.66% Power Finance Corporation Ltd 0.65% Mahindra & Mahindra Ltd 0.64% HCL Technologies Limited 0.62% Maruti Suzuki India Ltd 0.59% Lupin Limited. 0.58% Dr Reddys Laboratories Limited. 0.53% Bharat Petroleum Corporation Ltd 0.50% Others 7.58% 4 3 2 1 Allocation By Sector - Equity Commercial Vehicles Cars & Utility Vehicles Integrated Oil & Gas Finance(includingNBFCs) Furniture-Furnishing-Paints Construction & Engineering Cigarettes-Tobacco Products Pharmaceuticals IT Consulting & Software Banks Others 3.30% 3.38% 4.42% 4.57% 4.66% 4.80% 6.07% 6.87% 15.75% 24.31% 21.87% 1.97% 97.98% 0.05% 0-1 Yr 1-3 Yrs 3-10 Yrs Total 36.30% Bonds AAA 0.05% National Thermal Power Corporation Ltd 0.03% Total 0.03% 7.59% GOI Mat 12-Apr-2016 60.29% Total 60.29% Deposits, Money Mkt and Net Current Assets. 3.38% 99.95% Grand Total Portfolio Yield (%) 7.83% Avg Maturity (In Months) 12.36 Modified Duration (In Years) 0.94

Annexure A : Approved File & Use Limits Asset Class Fund SFIN Money Market Instruments & Public Deposits Govt Sec & Corp Bonds Equity Liquid Fund - Life Group - II ULGF03620/02/12LiquidFdII101 100% 0% 0% Stable Managed Fund - Life Group - II ULGF03720/02/12StableMFII101 0-100% (Upto 24 Months) 0% Secured Managed Fund - Life Group - II ULGF03820/02/12SecureMFII101 0% to 25% 75% to 100% 0% Defensive Managed Fund - Life Group - II ULGF03920/02/12DefnsvFdII101 0% to 20% 50% to 85% 15% to 30% Balanced Managed Fund - Life Group - II ULGF04020/02/12BalncdMFII101 0% to 20% 20% to 70% 30% to 60% Capital Guarantee 5A Life Fund ULGF02105/04/11CapGuaFd5A101 0% to 25% 0% to 100% 0% to 75%