Monthly Investment Update March 2021
IndexGROUP FUNDS
Group Asset Allocation Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1Group Equity Index Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 2Group Debt Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3Group Liquid Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 4Stable Gain Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 5Secure Gain Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 7Group Blue Chip Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 8Group Equity Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 9Group Growth Fund- II . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 10Group Return Shield Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 11Group Short Term Debt Fund- II . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 12Group Debt Fund-II . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 13Group Short Term Debt Fund-III . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 14Group Liquid Fund-II. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 15Group Debt Fund-III . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 16Group Balanced Gain Fund-II . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 17Group Debt Pension Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 18Group Liquid Fund-III . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 19
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Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd
Fund Performance Summary
AS
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Asset ClassAsset
Allocation FundsCashFunds
DebtFunds
Hybrid FundsIndexFunds
Equity Funds
Equity ETF 0.57% 10.05%0.00% 0.00% 0.00% 0.00%
Equity Shares 54.73% 19.72% 90.31% 81.38%0.00% 0.00%
Money Market Instruments 7.91% 100.00% 4.19% 6.48% 9.69% 8.58%
Fixed Deposits 1.36% 0.35% 0.00% 0.00% 0.00% 0.00%
Bond and Debentures 12.21% 6.91% 11.09% 0.00% 0.00% 0.00%
Govt Securities 24.58% 87.54% 62.35% 0.00% 0.00% 0.00%
Grand Total 100.00% 100.00% 100.00% 100.00% 100.00% 100.00%
Type
Asset Allocation Fund
FUND NAMES SFIN Code
CRISIL Balanced Fund – Aggressive Index
CRISIL Balanced Fund – Aggressive Index
1 Month
2 Year3
Month3 Year
6 Month
1 Year
Absolute Return CAGR Return
Returns since
Inception CAGR
Inception Date5 Year 7 Year 10 Year
AUM in CR
4 Year
Group Asset Allocation Fund ULGF00926/02/10GRASSALLOC116 86.4 0.99% 1.86% 16.84% 39.46% 8.18% 8.47% 8.56% 10.26% 11.09% 9.93% 10.99% 25-Feb-10
1.30% 3.11% 19.89% 46.75% 12.83% 12.63% 11.59% 12.48% 11.49% 9.78%
Cash Fund Group Liquid Fund ULGF00503/11/08GRLIQUFUND116 7.8 0.23% 0.65% 1.33% 3.43% 4.37% 1.91% 2.87% 3.77% 5.05% 6.24% 6.95% 01-Nov-08
Cash Fund Group Liquid Fund II ULGF02124/06/13GRLIQUFU02116 1.4 0.24% 0.65% 1.32% 2.88% 4.11% -1.14% 0.51% 1.85% 3.66% - 3.39% 13-Sep-13
Cash Fund Group Liquid Fund III ULGF02302/03/15GRLIQUFU03116 0.3 0.21% 0.58% 1.25% 3.01% - - - - - - 4.50% 02-Aug-19
Crisil Liquid Fund Index 0.32% 0.87% 1.79% 4.07% 5.21% 6.01% 6.22% 6.40% 7.00% 7.51%
Debt Fund Group Debt Fund ULGF00426/03/08GRDEBTFUND116 84.5 1.56% -0.68% 2.13% 5.81% 7.13% 6.98% 6.34% 7.31% 8.49% 8.37% 8.78% 26-Mar-08
Debt Fund Group Debt Fund II ULGF01924/06/13GRDEBTFU02116 958.9 1.55% -0.92% 1.88% 5.62% 7.31% 7.12% 6.52% 7.45% 8.51% - 8.37% 13-Sep-13
Debt Fund Group Debt Fund III ULGF02202/03/15GRDEBTFU03116 118.9 1.59% -0.87% 2.04% 5.97% 7.70% 6.68% 6.12% - - - 6.38% 29-Sep-16
Debt Fund Group Debt Pension Fund ULGF02518/08/16GRDBTPENFU116 2.5 0.51% -1.61% 0.52% 4.74% 7.73% 7.17% - - - - 6.12% 31- Aug-17
Crisil Composite Bond Fund Index 1.47% -0.52% 2.36% 7.69% 10.13% 8.98% 8.00% 8.61% 9.39% 8.69%
Debt Fund Group Short Term Debt Fund II ULGF01218/04/11GRSHTRDE02116 12.1 0.36% 0.20% 1.76% 5.28% 6.69% 6.80% 6.24% 7.31% 7.97% - 7.53% 21-Jun-11
Debt Fund Group Short Term Debt Fund III ULGF02024/06/13GRSHTRDE03116 46.3 0.40% 0.26% 1.92% 5.45% 6.56% 6.28% 6.25% 6.63% 7.55% - 7.16% 13-Sep-13
CRISIL Short Term Bond Fund Index 0.85% 0.33% 2.77% 7.80% 8.79% 8.38% 7.82% 8.08% 8.45% 8.53%
Equity Fund Group Equity Fund ULGF01018/04/11GREQTYFUND116 46.0 0.85% 5.26% 26.40% 61.61% 10.95% 10.72% 11.39% 13.67% 13.90% - 12.87% 21-Jun-11
Equity Fund Group Blue Chip Fund ULGF01118/04/11GRBLUECHIP116 4.0 1.07% 5.29% 28.31% 66.61% 14.73% 14.28% 13.01% 13.91% 11.70% - 10.93% 21-Jun-11
Nifty 50 Index 1.11% 5.07% 30.61% 70.87% 12.40% 13.24% 12.48% 13.67% 11.85% 9.67%
Hybrid Fund Group Balanced Gain Fund II ULGF02402/03/15GRBALCGA02116 3.9 0.70% 0.25% 7.84% - - - - - - - 11.53% 25-Apr-17
1.30% 3.11% 19.89% 46.75% 12.83% 12.63% 11.59% 12.48% 11.49% 9.78%
Index Fund Group Equity Index Fund ULGF00822/02/10GREQTYINDX116 35.0 1.71% 5.28% 28.32% 64.84% 13.99% 13.46% 12.18% 13.17% 11.25% 9.33% 9.33% 19-Feb-10
Nifty 50 Index 1.11% 5.07% 30.61% 70.87% 12.40% 13.24% 12.48% 13.67% 11.85% 9.67%
Hybrid Fund Secure Gain Fund ULGF00215/10/04SECUREFUND116 1,910.3 1.08% -0.09% 5.51% 13.98% 8.58% 8.75% 7.91% 8.87% 9.67% 9.43% 9.47% 15-Oct-04
Hybrid Fund Stable Gain Fund ULGF00115/09/04STABLEFUND116 293.4 0.95% 0.53% 8.18% 18.91% 8.87% 8.75% 7.95% 9.33% 10.28% 10.27% 10.20% 31-Oct-04
Hybrid Fund Group Return Shield Fund ULGF01421/06/11RETNSHIELD116 4.2 0.28% 0.21% 1.59% 4.50% 6.19% 6.30% 6.10% 6.99% 8.05% - 7.97% 21-Jun-11
Hybrid Fund Group Growth Fund II ULGF01311/05/11GRGROWFU02116 31.5 0.35% -0.16% 1.41% 4.11% 5.96% 6.27% 6.14% 5.96% 6.54% - 6.93% 11-May-11
Benchmark - - - - - - - -
Equity 54.99%
Infosys Ltd Computer Programming, Consultancy and Related Activities 7.03%
HDFC Bank Ltd Financial Service Activities, Except Insurance and Pension Funding 4.97%
Reliance Industries Ltd Manufacture of Coke and Refined Petroleum Products 4.84%
ICICI Bank Ltd Financial Service Activities, Except Insurance and Pension Funding 4.71%
Tata Consultancy Services Ltd Computer Programming, Consultancy and Related Activities 3.04%
Larsen & Toubro Ltd Civil Engineering Infrastructure 2.24%
Hindustan Unilever Ltd Manufacture of Chemicals and Chemical Products 2.19%
Kotak Mahindra Bank Ltd Financial Service Activities, Except Insurance and Pension Funding 2.05%
Axis Bank Ltd Financial Service Activities, Except Insurance and Pension Funding 1.86%
ITC Ltd Manufacture of Tobacco Products 1.51%
Others 20.56%
Corporate Bond 12.14%
6.43% HDFC LTD (S) (MD 29/09/2025) AAA 5.85%
7.83% LICHF Ltd. NCD (S)(MD 25/09/2026) (P 26/11/2020) AAA 3.69%
10.63% IOT NCD Series IV-STRIP-6 (S) (MD 20/09/2028) AAA 2.60%
Sovereign 24.45%
8.28% GOI (MD 21/09/2027) SOV 17.94%
8.60% GOI (MD 02/06/2028) SOV 6.51%
Money Market, Deposits & Other 8.42%
Total 100.00%
Fund Objective
Portfolio Allocation
To realize a level of total income, including current income and capital appreciation, which is consistent with reasonable investment risk. The investment strategy will involve a flexible policy for allocating assets among equities, bonds and cash. The fund strategy will be to adjust the mix between these asset classes to capitalize on the changing financial markets and economic conditions.
Group Asset Allocation Fund
March 2021
Actual (%) Stated (%)
Govt. and Govt. approved Securities 0 - 50
Corporate bonds 0 - 50
Money market and other liquid assets 0 - 40
Infrastructure sector as defined by the IRDA 0 - 40
Listed equities 0 - 100
#Net Current Assets
Total #Net current asset represents net of receivables and payables for investments held.
Company/Issuer Sector/Rating Exposure (%)
Portfolio
Asset Class Rating Profile
*Others includes Equity, Treps, Net receivable/payable and FD
Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd
Description
SFIN Number ULGF00926/02/10GRASSALLOC116
Launch Date 25-Feb-10
Face Value 10
Risk Profile High
Benchmark CRISIL Balanced Fund – Aggressive Index
CIO Sampath Reddy
Fund Manager Name Paresh Jain, Rohit Harlalka
Number of funds managed by fund manager:
Equity - -
Debt - 17
Hybrid 4 16
NAV as on 31-March-2021 31.8208
AUM (Rs. Cr) 86.39
Equity (Rs. Cr) 47.51
Debt (Rs. Cr) 38.40
Net current asset (Rs. Cr) 0.48
Fund Details
Growth of Rs. 100
Top 10 Sectors
Paresh Jain Rohit Harlalka
Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.
1
24.45
9.54
7.87
2.60
54.99
0.55
100.00
Quantitative IndicatorsModified Duration in Years 4.50
Average Maturity in Years 5.75
Yield to Maturity in % 5.77%
Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance
PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception7 Years5 Years4 Years 10 Years
Fund
Benchmark
0.99% 16.84% 39.46% 8.18% 8.47% 8.56% 10.26% 11.09% 9.93% 10.99%
1.30% 19.89% 46.75% 12.83% 12.63% 11.59% 12.48% 11.49% 9.78% 10.18%
0
50
100
150
200
250
300
350
Feb-10 Apr-11 May-12 Jun-13 Aug-14 Sep-15 Oct-16 Nov-17 Jan-19 Feb-20 Mar-21
Fund Benchmark
24.45%
15.73%12.55%
9.54% 7.87%5.65% 4.24% 3.11% 2.60% 2.27%
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63.41%
24.45%
AAA Others Sovereign
54.99%
24.45%
12.14%
7.87%0.55%
Equity G-Secs NCDs Treps Net Receivables
Fund ObjectiveTo provide capital appreciation through investment in equities forming part of NSE NIFTY.
Group Equity Index Fund
March 2021
Asset Class Rating Profile
*Others includes Equity, Treps, Net receivable/payable and FD
Description
SFIN Number ULGF00822/02/10GREQTYINDX116
Launch Date 19-Feb-10
Face Value 10
Risk Profile High
Benchmark Nifty 50 Index
CIO Sampath Reddy
Fund Manager Name Reshma Banda
Number of funds managed by fund manager:
Equity 22
Debt -
Hybrid 7
NAV as on 31-March-2021 26.9499
AUM (Rs. Cr) 34.98
Equity (Rs. Cr) 31.20
Debt (Rs. Cr) 3.35
Net current asset (Rs. Cr) 0.43
Fund Details
Portfolio
Top 10 Sectors
Growth of Rs. 100
Portfolio Allocation Actual (%) Stated (%)
Govt. and Govt. approved Securities 0 - 20
Corporate bonds rated AA or above by Crisil 0 - 40
Money market and other liquid assets 0 - 40
Infrastructure sector as defined by the IRDA 0 - 20
Listed equities 0 - 100
#Net Current Assets
Total
#Net current asset represents net of receivables and payables for investments held.
Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd
Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.
-
-
9.57
-
89.21
1.22
100.00
2
Equity 89.21%
Infosys Ltd Computer Programming, Consultancy and Related Activities 9.12%
HDFC Bank Ltd Financial Service Activities, Except Insurance and Pension Funding 7.97%
Reliance Industries Ltd Manufacture of Coke and Refined Petroleum Products 6.55%
Asian Paints Ltd Manufacture of Chemicals and Chemical Products 4.30%
Hindustan Unilever Ltd Manufacture of Chemicals and Chemical Products 4.22%
Housing Development Finance Financial Service Activities, ExceptCorporation Ltd Insurance and Pension Funding 4.10%
ICICI Bank Ltd Financial Service Activities, Except Insurance and Pension Funding 3.78%
Larsen & Toubro Ltd Civil Engineering Infrastructure 3.61%
ITC Ltd Manufacture of Tobacco Products 3.43%
Bharti Airtel Ltd Telecommunications Infrastructure 3.22%
Others 38.90%
Money Market, Deposits & Other 10.79%
Total 100.00%
Company/Issuer Sector/Rating Exposure (%)
Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance
PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception7 Years5 Years4 Years 10 Years
Fund
Benchmark
1.71% 28.32% 64.84% 13.99% 13.46% 12.18% 13.17% 11.25% 9.33% 9.33%
1.11% 30.61% 70.87% 12.40% 13.24% 12.48% 13.67% 11.85% 9.67% 10.49%
Quantitative IndicatorsModified Duration in Years 3.38
Average Maturity in Years 3.38
Yield to Maturity in % 3.38%
0
50
100
150
200
250
300
350
Feb-10 Mar-11 May-12 Jun-13 Jul-14 Sep-15 Oct-16 Nov-17 Jan-19 Feb-20 Mar-21
Fund Benchmark
Group Equity Index Fund
21.74%
13.03%10.14% 9.57%
7.59%5.44% 5.02% 4.20% 3.81% 3.61%
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Others
89.21%
9.57%
1.22%
Equity Treps Net Receivables
Corporate Bond 5.35%
10.09% MRF Ltd. NCD (S)(MD 27/05/2021) AAA 2.39%
6.43% HDFC LTD (S) (MD 29/09/2025) AAA 1.79%
8.75% Bajaj Finance Ltd. NCD (U)(MD 14/08/2026) AAA 0.52%
8.85% Bajaj Finance Ltd. NCD (U)(MD 15/07/2026) AAA 0.39%
7.90% LICHF Ltd. NCD (S)(MD 18/08/2026) AAA 0.25%
Sovereign 82.18%
8.60% GOI (MD 02/06/2028) SOV 28.60%
8.08% Tamilnadu SDL (MD 26/12/2028) SOV 12.78%
8.15% GOI (MD 24/11/2026) SOV 9.08%
8.26% GOI (MD 02/08/2027) SOV 6.53%
8.08% Maharashtra SDL (MD 26/12/2028) SOV 6.39%
7.17% GOI (MD 08/01/2028) SOV 6.19%
8.15% Tamilnadu SDL (MD 09/05/2028) SOV 5.11%
8.69% Tamil Nadu SDL (MD 24/02/2026) SOV 2.61%
8.19% Gujarat SDL (MD 07/02/2028) SOV 2.55%
6.47% Maharashtra SDL (MD 21/10/2028) SOV 2.33%
Money Market, Deposits & Other 12.47%
Total 100.00%
Fund ObjectiveTo provide stable returns through investment in various fixed income securities.
Group Debt Fund
March 2021
Description
SFIN Number ULGF00426/03/08GRDEBTFUND116
Launch Date 26-Mar-08
Face Value 10
Risk Profile Low
Benchmark CRISIL Composite Bond Fund Index
CIO Sampath Reddy
Fund Manager Name Rohit Harlalka
Number of funds managed by fund manager:
Equity -
Debt 17
Hybrid 16
NAV as on 31-March-2021 29.9307
AUM (Rs. Cr) 84.52
Equity (Rs. Cr) -
Debt (Rs. Cr) 78.45
Net current asset (Rs. Cr) 6.06
Fund Details
Top 10 Sectors
Growth of Rs. 100
Asset Class Rating Profile
*Others includes Equity, Treps, Net receivable/payable and FD
Portfolio Allocation Actual (%) Stated (%)
Govt. and Govt. approved Securities 0 - 100
Corporate bonds 0 - 100
Money market and other liquid assets 0 - 40
Listed equities - NIL
#Net Current Assets
Total
#Net current asset represents net of receivables and payables for investments held.
Company/Issuer Rating Exposure (%)
Portfolio
Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd
Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.
82.18
8.96
1.69
-
7.17
100.00
3
Quantitative IndicatorsModified Duration in Years 4.83
Average Maturity in Years 6.42
Yield to Maturity in % 6.44%
Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance
PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception7 Years5 Years4 Years 10 Years
Fund
Benchmark
1.56% 2.13% 5.81% 7.13% 6.98% 6.34% 7.31% 8.49% 8.37% 8.78%
1.47% 2.36% 7.69% 10.13% 8.98% 8.00% 8.61% 9.39% 8.69% 8.03%
0
50
100
150
200
250
300
350
Mar-08 May-10 Jul-12 Sep-14 Nov-16 Jan-19 Mar-21
Fund Benchmark
50.40%
31.77%
4.53% 2.39% 2.05% 1.69%7.17%
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12.47%
82.18%
AAA Others Sovereign
3.61%
50.40%
5.35%
31.77%
1.69%
7.17%
FDs G-Secs NCDs SDLs Treps Net Receivables
Fund ObjectiveTo provide stable returns through investment in various fixed deposits, money market Instruments and short term debt instruments.
Group Liquid Fund
March 2021
Asset Class Rating Profile
*Others includes Equity, Treps, Net receivable/payable and FD
Description
SFIN Number ULGF00503/11/08GRLIQUFUND116
Launch Date 01-Nov-08
Face Value 10
Risk Profile Very Low
Benchmark CRISIL Liquid Fund Index
CIO Sampath Reddy
Fund Manager Name Deep Mehta
Number of funds managed by fund manager:
Equity -
Debt 8
Hybrid -
NAV as on 31-March-2021 23.0269
AUM (Rs. Cr) 7.83
Equity (Rs. Cr) -
Debt (Rs. Cr) 7.82
Net current asset (Rs. Cr) 0.01
Fund Details
Top 10 Sectors
Portfolio Allocation Actual (%) Stated (%)
Govt. and Govt. approved Securities 0 - 20
Corporate bonds rated AA or above by Crisil* 0 - 20
Money market and other liquid assets 0 - 100
Infrastructure sector as defined by the IRDA
Listed equities - NIL
#Net Current Assets
Total #Net current asset represents net of receivables and payables for investments held.* Including Fixed Deposits
Money Market, Deposits & Other 100.00%
Total 100.00%
Company/Issuer Rating Exposure (%)
Portfolio
Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd
Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.
4
-
-
99.84
-
-
0.16
100.00
Quantitative IndicatorsModified Duration in Years 0.32
Average Maturity in Years 0.32
Yield to Maturity in % 3.38%
Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance
PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception7 Years5 Years4 Years 10 Years
Fund
Benchmark
0.23% 1.33% 3.43% 4.37% 1.91% 2.87% 3.77% 5.05% 6.24% 6.95%
0.32% 1.79% 4.07% 5.21% 6.01% 6.22% 6.40% 7.00% 7.51% 7.16%
95.76%
4.09% 0.16%0%
20%
40%
60%
80%
100%
120%
Cen
tral
Gov
ern
men
t Se
curi
�es
Trep
s
Oth
ers
4.24%
95.76%
Others Sovereign
95.76%
4.09%
0.16%
Tbills Treps Net Receivables
Equity 31.12%
HDFC Bank Ltd Financial Service Activities, Except Insurance and Pension Funding 3.28%
Housing Development Finance Financial Service Activities, ExceptCorporation Ltd Insurance and Pension Funding 2.85%
Reliance Industries Ltd Manufacture of Coke and Refined Petroleum Products 2.69%
Infosys Ltd Computer Programming, Consultancy and Related Activities 2.68%
Tata Consultancy Services Ltd Computer Programming, Consultancy and Related Activities 2.19%
ICICI Bank Ltd Financial Service Activities, Except Insurance and Pension Funding 1.79%
Kotak Mahindra Bank Ltd Financial Service Activities, Except Insurance and Pension Funding 1.54%
ITC Ltd Manufacture of Tobacco Products 1.20%
Bharti Airtel Ltd Telecommunications Infrastructure 1.09%
Hindalco Industries Ltd Manufacture of Basic Metals 0.90%
Others 10.90%
Corporate Bond 12.29%
8.36% PGCI Ltd NCD (Part red.)(S)(MD 06/01/2029) AAA 2.97%
7.75% LIC Housing Finance Ltd NCD (S)(MD 23/07/2024) AAA 1.82%
7.6351% Kotak Mahindra Prime Ltd NCD (S)(MD 23/02/2023) AAA 1.07%
9.10% Shriram Transport Finance Co Ltd NCD(S)(MD 12/07/2021) AA+ 1.04%
5.40% HDFC LTD (S) (MD 11/08/2023) AAA 1.02%
8.45% IRFC Ltd NCD (S) (MD 04/12/2028) AAA 0.76%
8.20% GOI Oil Bond (MD 15/09/2024) SOV 0.74%
7.78% HDFC LTD (S) (MD 27/03/2027) AAA 0.73%
6.40% NABARD NCD (U)(MD 31/07/2023) AAA 0.70%
6.43% HDFC LTD (S) (MD 29/09/2025) AAA 0.69%
Others 0.75%
Sovereign 51.45%
8.60% GOI (MD 02/06/2028) SOV 10.16%
7.17% GOI (MD 08/01/2028) SOV 8.92%
8.28% GOI (MD 21/09/2027) SOV 8.49%
8.05% Tamilnadu SDL (MD 18/04/2028) SOV 4.39%
9.20% GOI (MD 30/09/2030) SOV 4.01%
7.98% Karnataka SDL (14/10/2025) SOV 3.68%
8.58% Gujarat SDL (MD 23/01/2023) SOV 3.62%
8.08% Maharashtra SDL (MD 26/12/2028) SOV 2.58%
7.95% GOI (MD 28/08/2032) SOV 1.50%
6.18% GOI (MD 04/11/2024) SOV 1.12%
Others 2.99%
Money Market, Deposits & Other 5.14%
Total 100.00%
Company/Issuer Sector/Rating Exposure (%)
Portfolio
Fund ObjectiveTo provide moderate risk with moderate returns.
Stable Gain Fund
March 2021
Portfolio Allocation Actual (%) Stated (%)
Govt. and Govt. approved Securities 0 - 80
Corporate bonds 0 - 40
Money market and other liquid assets 0 - 20
Infrastructure sector as defined by the IRDA 0 - 25
Listed equities 0 - 35
#Net Current Assets
Total #Net current asset represents net of receivables and payables for investments held.
SFIN Number ULGF00115/09/04STABLEFUND116
Launch Date 31-Oct-04
Face Value 10
Risk Profile Moderate
Benchmark -
CIO Sampath Reddy
Fund Manager Name Anshul Mishra, Rohit Harlalka
Number of funds managed by fund manager:
Equity 4 -
Debt - 17
Hybrid 5 16
NAV as on 31-March-2021 49.3104
AUM (Rs. Cr) 293.36
Equity (Rs. Cr) 91.28
Debt (Rs. Cr) 199.01
Net current asset (Rs. Cr) 3.06
Description
Fund Details
Anshul Mishra Rohit Harlalka
Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd
5
52.19
7.82
4.10
3.73
31.12
1.04
100.00
Company/Issuer Sector/Rating Exposure (%)
Quantitative IndicatorsModified Duration in Years 4.54
Average Maturity in Years 6.03
Yield to Maturity in % 5.98%
6
Asset Class Rating Profile
*Others includes Equity, Treps, Net receivable/payable and FD
Top 10 Sectors
Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.
Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance
PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception7 Years5 Years4 Years 10 Years
Fund
Benchmark
0.95% 8.18% 18.91% 8.87% 8.75% 7.95% 9.33% 10.28% 10.27% 10.20%
- - - - - - - - - -
34.94%
17.26%14.39%
5.98% 4.26% 4.10% 3.47% 2.97% 1.73% 1.65%
9.25%
0%
20%
40%
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Sem
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1.04%
10.52%
36.26%
52.19%
AA+ AAA Others Sovereign
31.12%
34.20%
12.29%
17.26%
4.10%1.04%
Equity G-Secs NCDs SDLs Treps Net Receivables
Equity 17.79%
HDFC Bank Ltd Financial Service Activities, Except Insurance and Pension Funding 1.84%
Infosys Ltd Computer Programming, Consultancy and Related Activities 1.59%
Housing Development Finance Financial Service Activities, Except Corporation Ltd Insurance and Pension Funding 1.50%
Reliance Industries Ltd Manufacture of Coke and Refined Petroleum Products 1.48%
Tata Consultancy Services Ltd Computer Programming, Consultancy and Related Activities 1.24%
ICICI Bank Ltd Financial Service Activities, Except Insurance and Pension Funding 1.03%
Kotak Mahindra Bank Ltd Financial Service Activities, Except Insurance and Pension Funding 0.87%
ITC Ltd Manufacture of Tobacco Products 0.68%
Bharti Airtel Ltd Telecommunications Infrastructure 0.66%
Hindalco Industries Ltd Manufacture of Basic Metals 0.51%
Others 6.38%
Corporate Bond 12.54%
8.36% PGCI Ltd NCD (Part red.)(S)(MD 06/01/2029) AAA 2.68%
9.10% Shriram Transport Finance Co Ltd NCD(S)(MD 12/07/2021) AA+ 1.17%
8.18% NABARD NCD GOI SERVICED (U)(MD 26/12/2028) AAA 1.16%
6.40% NABARD NCD (U)(MD 31/07/2023) AAA 1.07%
8.20% GOI Oil Bond (MD 12/02/2024) SOV 1.01%
7.6351% Kotak Mahindra Prime Ltd NCD (S)(MD 23/02/2023) AAA 0.93%
8.45% IRFC Ltd NCD (S) (MD 04/12/2028) AAA 0.87%
5.40% HDFC LTD (S) (MD 11/08/2023) AAA 0.79%
7.75% LIC Housing Finance Ltd NCD (S)(MD 23/07/2024) AAA 0.73%
8.20% GOI Oil Bond (MD 15/09/2024) SOV 0.68%
Others 1.46%
Sovereign 60.40%
8.60% GOI (MD 02/06/2028) SOV 14.89%
7.17% GOI (MD 08/01/2028) SOV 10.68%
8.28% GOI (MD 21/09/2027) SOV 9.53%
8.05% Tamilnadu SDL (MD 18/04/2028) SOV 7.19%
9.20% GOI (MD 30/09/2030) SOV 4.38%
8.60% Gujarat SDL (MD 17/10/2028) SOV 3.08%
8.08% Maharashtra SDL (MD 26/12/2028) SOV 3.00%
5.60% Maharashtra SDL (MD 09/09/2024) SOV 1.96%
8.65% Gujarat SDL (MD 10/10/2028) SOV 1.34%
8.50% Gujarat SDL (MD 28/11/2028) SOV 1.33%
Others 3.02%
Money Market, Deposits & Other 9.27%
Total 100.00%
Fund ObjectiveTo provide very low principal risk with stable returns.
Secure Gain Fund
March 2021
Portfolio Allocation
Actual (%) Stated (%)
Govt. and Govt. approved Securities 0 - 90
Corporate bonds 0 - 30
Money market and other liquid assets 0 - 20
Infrastructure sector as defined by the IRDA 0 - 25
Listed equities 0 - 20
#Net Current Assets
Total #Net current asset represents net of receivables and payables for investments held.
Company/Issuer Sector/Rating Exposure (%)
Portfolio
Asset Class Rating Profile
*Others includes Equity, Treps, Net receivable/payable and FD
Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd
Description
SFIN Number ULGF00215/10/04SECUREFUND116
Launch Date 15-Oct-04
Face Value 10
Risk Profile Moderate
Benchmark -
CIO Sampath Reddy
Fund Manager Name Anshul Mishra, Rohit Harlalka
Number of funds managed by fund manager:
Equity 4 -
Debt - 17
Hybrid 5 16
NAV as on 31-March-2021 44.3752
AUM (Rs. Cr) 1910.32
Equity (Rs. Cr) 339.83
Debt (Rs. Cr) 1523.86
Net current asset (Rs. Cr) 46.62
Fund Details
Anshul Mishra Rohit Harlalka
Top 10 Sectors
Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.
7
63.24
6.48
6.42
3.63
17.79
2.44
100.00
Quantitative IndicatorsModified Duration in Years 4.84
Average Maturity in Years 6.47
Yield to Maturity in % 6.09%
Secure Gain Fund
Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance
PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception7 Years5 Years4 Years 10 Years
Fund
Benchmark
1.08% 5.51% 13.98% 8.58% 8.75% 7.91% 8.87% 9.67% 9.43% 9.47%
- - - - - - - - - -
42.97%
19.11%
11.68%6.42%
3.44% 2.68% 2.12% 1.88% 0.98% 0.92%7.78%
0%
20%
40%
60%
Cen
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1.17%9.69%
27.06%
62.08%
AA+ AAA Others Sovereign
17.79%
0.41%
41.29%12.54%
19.11%
6.42%
2.44%
Equity FDs G-Secs NCDs SDLs Treps Net Receivables
Fund ObjectiveTo provide capital appreciation through investment in equities.
Group Blue Chip Fund
March 2021
Asset Class Rating Profile
*Others includes Equity, Treps, Net receivable/payable and FD
Description
SFIN Number ULGF01118/04/11GRBLUECHIP116
Launch Date 21-Jun-11
Face Value 10
Risk Profile High
Benchmark Nifty 50 Index
CIO Sampath Reddy
Fund Manager Name Reshma Banda
Number of funds managed by fund manager:
Equity 22
Debt -
Hybrid 7
NAV as on 31-March-2021 27.5796
AUM (Rs. Cr) 4.03
Equity (Rs. Cr) 3.76
Debt (Rs. Cr) 0.22
Net current asset (Rs. Cr) 0.05
Fund Details
Equity 93.42%
HDFC Bank Ltd Financial Service Activities, Except Insurance and Pension Funding 8.20%
Reliance Industries Ltd Manufacture of Coke and Refined Petroleum Products 7.79%
ICICI Bank Ltd Financial Service Activities, Except Insurance and Pension Funding 7.37%
Hindustan Unilever Ltd Manufacture of Chemicals and Chemical Products 4.46%
Housing Development Finance Financial Service Activities, Except Corporation Ltd Insurance and Pension Funding 4.34%
Larsen & Toubro Ltd Civil Engineering Infrastructure 4.16%
ITC Ltd Manufacture of Tobacco Products 4.15%
Bharti Airtel Ltd Telecommunications Infrastructure 4.02%
Tata Steel Ltd Manufacture of Basic Metals 3.66%
Dr Reddys Laboratories Ltd Manufacture of Pharmaceuticals, Medicinal Chemical and Botanical Products 3.60%
Others 41.68%
Money Market, Deposits & Other 6.58%
Total 100.00%
Company/Issuer Sector/Rating Exposure (%)
Portfolio
Top 10 Sectors
Growth of Rs. 100
Portfolio Allocation Actual (%) Stated (%)
Equity and equity related securities 60 - 100
Debt and debt related securities /Cash /Money Market instruments**/Fixed Deposit and Mutual funds 0 - 40
#Net Current Assets
Total
#Net current asset represents net of receivables and payables for investments held.
**The exposure to money market instruments may be increased to 100%, keeping in view market conditions, market opportunities, and political, economic and other factors, depending on the perception of the Investment Manager.
Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd
Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.
8
93.42
5.46
1.12
100.00
Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance
PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception7 Years5 Years4 Years 10 Years
Fund
Benchmark
1.07% 28.31% 66.61% 14.73% 14.28% 13.01% 13.91% 11.70% - 10.93%
1.11% 30.61% 70.87% 12.40% 13.24% 12.48% 13.67% 11.85% - 11.03%
Quantitative IndicatorsModified Duration in Years 3.38
Average Maturity in Years 3.38
Yield to Maturity in % 3.38%
0
50
100
150
200
250
300
350
Jun-11 Jul-12 Aug-13 Sep-14 Oct-15 Nov-16 Dec-17 Jan-19 Feb-20 Mar-21
Fund Benchmark
23.29%
8.98% 8.17% 7.48% 6.76% 5.94% 5.46% 5.36% 5.07% 4.16%
19.33%
0%
20%
40%
Fin
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erv
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Ac�
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asic
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the
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Infr
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100.00%
Others
93.42%
5.46%
1.12%
Equity Treps Net Receivables
Fund ObjectiveTo provide capital appreciation through investment in equity shares.
Group Equity Fund
March 2021
Asset Class Rating Profile
*Others includes Equity, Treps, Net receivable/payable and FD
Description
SFIN Number ULGF01018/04/11GREQTYFUND116
Launch Date 21-Jun-11
Face Value 10
Risk Profile Very High
Benchmark Nifty 50 Index
CIO Sampath Reddy
Fund Manager Name Reshma Banda
Number of funds managed by fund manager:
Equity 22
Debt -
Hybrid 7
NAV as on 31-March-2021 32.6753
AUM (Rs. Cr) 46.01
Equity (Rs. Cr) 41.85
Debt (Rs. Cr) 4.06
Net current asset (Rs. Cr) 0.10
Fund Details
Equity 90.96%
Infosys Ltd Computer Programming, Consultancy and Related Activities 7.78%
ICICI Bank Ltd Financial Service Activities, Except Insurance and Pension Funding 6.83%
HDFC Bank Ltd Financial Service Activities, Except Insurance and Pension Funding 6.64%
Reliance Industries Ltd Manufacture of Coke and Refined Petroleum Products 6.45%
Axis Bank Ltd Financial Service Activities, Except Insurance and Pension Funding 4.27%
ITC Ltd Manufacture of Tobacco Products 4.04%
HCL Technologies Ltd Computer Programming, Consultancy and Related Activities 3.73%
NIPPON INDIA ETF BANK BEES Equity ETF 3.57%
Housing Development Finance Financial Service Activities, ExceptCorporation Ltd Insurance and Pension Funding 3.09%
ICICI Prudential IT ETF Equity ETF 2.69%
Others 41.89%
Money Market, Deposits & Other 9.04%
Total 100.00%
Company/Issuer Sector/Rating Exposure (%)
Portfolio
Top 10 Sectors
Growth of Rs. 100
Portfolio Allocation
Actual (%) Stated (%)
Equity and equity related securities 60 - 100
Debt and debt related securities, Cash/Money Market Instruments/Fixed deposits/Mutual Funds 0 - 40
#Net Current Assets
Total
#Net current asset represents net of receivables and payables for investments held.
Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd
Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.
9
90.96
8.82
0.22
100.00
Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance
PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception7 Years5 Years4 Years 10 Years
Fund
Benchmark
0.85% 26.40% 61.61% 10.95% 10.72% 11.39% 13.67% 13.90% - 12.87%
1.11% 30.61% 70.87% 12.40% 13.24% 12.48% 13.67% 11.85% - 11.03%
Quantitative IndicatorsModified Duration in Years 3.38
Average Maturity in Years 3.38
Yield to Maturity in % 3.38%
50
75
100
125
150
175
200
225
250
275
300
325
350
Jun-11 Jul-12 Aug-13 Sep-14 Oct-15 Nov-16 Dec-17 Jan-19 Feb-20 Mar-21
Fund Benchmark
22.75%
14.34%10.89%
8.82% 7.91% 7.68%4.04% 3.86% 3.78% 3.08%
12.85%
0%
20%
40%
Fin
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Man
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100.00%
Others
90.96%
8.82%
0.22%
Equity Treps Net Receivables
Fund Objective The investment objective of the fund is to provide minimum unit price growth @ 7.35% p.a. compounded annually at the fund closure date by investing in a suitable mix of assets.
Group Growth Fund- II
March 2021
Description
SFIN Number ULGF01311/05/11GRGROWFU02116
Launch Date 11-May-11
Face Value 10
Risk Profile Low
Benchmark -
CIO Sampath Reddy
Fund Manager Name Rohit Harlalka
Number of funds managed by fund manager:
Equity -
Debt 17
Hybrid 16
NAV as on 31-March-2021 19.4011
AUM (Rs. Cr) 31.49
Equity (Rs. Cr) -
Debt (Rs. Cr) 30.98
Net current asset (Rs. Cr) 0.51
Fund Details
Portfolio Allocation
Actual (%) Stated (%)
Debt and debt related securities, Cash, Fixed Deposits, Money market instruments, Mutual funds 0 - 100
Equity and equity related instruments 0 - 50
#Net Current Assets
Total
#Net current asset represents net of receivables and payables for investments held.
Company/Issuer Sector/Rating Exposure (%)
Portfolio
Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd
10
98.37
-
1.63
100.00
Top 10 Sectors
Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.
Asset Class Rating Profile
*Others includes Equity, Treps, Net receivable/payable and FD
Corporate Bond 5.26%
9.90% LICHF Ltd. NCD (S)(MD 11/11/2021) AAA 2.63%
9.90% HDFC Ltd. NCD (S)(MD 11/11/2021) AAA 2.63%
Sovereign 75.31%
6.84% GOI (MD 19/12/2022) SOV 49.64%
5.77% GOI (MD 03/08/2030) SOV 17.49%
7.80% GOI (MD 11/04/2021) SOV 8.19%
Money Market, Deposits & Other 19.43%
Total 100.00% Quantitative IndicatorsModified Duration in Years 2.69
Average Maturity in Years 3.18
Yield to Maturity in % 4.35%
Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance
PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception7 Years5 Years4 Years 10 Years
Fund
Benchmark
0.35% 1.41% 4.11% 5.96% 6.27% 6.14% 5.96% 6.54% - 6.93%
- - - - - - - - - -
75.31%
17.81%
5.26% 1.63%0%
20%
40%
60%
80%
Cen
tral
Gov
ern
men
t Se
curi
�es
Trep
s
Hou
sing
Indu
stry
Oth
ers
5.26%
19.43%
75.31%
AAA Others Sovereign
75.31%
5.26%
17.81%
1.63%
G-Secs NCDs Treps Net Receivables
73.86
23.39
2.75
100.00
Corporate Bond 4.80%
9.40% HDFC Ltd. NCD (S) (MD 13/04/2021) AAA 4.80%
Sovereign 69.06%
6.84% GOI (MD 19/12/2022) SOV 47.84%
7.80% GOI (MD 11/04/2021) SOV 17.54%
8.79% GOI (MD 08/11/2021) SOV 2.47%
6.17% GOI (MD 15/07/2021) SOV 1.21%
Money Market, Deposits & Other 26.14%
Total 100.00%
Fund Objective
Portfolio Allocation
To provide capital appreciation with reasonable risk by investing in a suitable mix of debt and equities
Group Return Shield Fund
March 2021
Actual (%) Stated (%)
Debt and Debt related securities 50 - 100
Equity and Equity related securities, Mutual funds, Money market instruments**, fixed deposits 0 - 50
#Net Current Assets
Total
#Net current asset represents net of receivables and payables for investments held.**The exposure to money market instruments may be increased to 100%, keeping in view market conditions, market opportunities, and political, economic and other factors, depending on the perception of the Investment Manager.
Top 10 Sectors
Company/Issuer Sector/Rating Exposure (%)
Portfolio
Asset Class Rating Profile
*Others includes Equity, Treps, Net receivable/payable and FD
Description
SFIN Number ULGF01421/06/11RETNSHIELD116
Launch Date 21-Jun-11
Face Value 10
Risk Profile Moderate
Benchmark -
CIO Sampath Reddy
Fund Manager Name Reshma Banda, Rohit Harlalka
Number of funds managed by fund manager: Reshma Banda Rohit Harlalka
Equity 22 -
Debt - 17
Hybrid 7 16
NAV as on 31-March-2021 21.1750
AUM (Rs. Cr) 4.17
Equity (Rs. Cr) -
Debt (Rs. Cr) 4.06
Net current asset (Rs. Cr) 0.11
Fund Details
Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd
Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.
11
Quantitative IndicatorsModified Duration in Years 1.61
Average Maturity in Years 1.68
Yield to Maturity in % 3.79%
Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance
PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception7 Years5 Years4 Years 10 Years
Fund
Benchmark
0.28% 1.59% 4.50% 6.19% 6.30% 6.10% 6.99% 8.05% - 7.97%
- - - - - - - - - -
Group Return Shield Fund
69.06%
23.25%
4.80%0.14% 2.75%
0%
20%
40%
60%
80%
Cen
tral
Gov
ern
men
tSe
curi
�es
Trep
s
Hou
sing
Indu
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Fin
anci
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erv
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Ac�
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Exce
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sura
nce
an
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ndin
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Oth
ers
4.80%
26.14%
69.06%
AAA Others Sovereign
0.14%
69.06%
4.80%
23.25%2.75%
FDs G-Secs NCDs Treps Net Receivables
Corporate Bond 7.06%
8.10% NTPC Ltd. NCD (S)(MD 27/05/2021) AAA 4.98%
9.64% Power Grid Corporation Ltd. G NCD (S) (MD 31/05/2021) AAA 2.08%
Sovereign 86.24%
6.84% GOI (MD 19/12/2022) SOV 68.68%
7.80% GOI (MD 11/04/2021) SOV 17.56%
Money Market, Deposits & Other 6.70%
Total 100.00%
Fund Objective
Portfolio Allocation
To earn moderate returns.
Group Short Term Debt Fund- II
March 2021
Actual (%) Stated (%)
Debt and debt related securities, Cash, Fixed Deposits, Money market instruments**, Mutual funds 0 - 100
#Net Current Assets
Total
#Net current asset represents net of receivables and payables for investments held.**The exposure to money market instruments may be increased to 100%, keeping in view market conditions, market opportunities, and political, economic and other factors, depending on the perception of the Investment Manager.
Asset Class Rating Profile
*Others includes Equity, Treps, Net receivable/payable and FD
Description
SFIN Number ULGF01218/04/11GRSHTRDE02116
Launch Date 21-Jun-11
Face Value 10
Risk Profile Low
Benchmark CRISIL Short Term Bond Fund Index
CIO Sampath Reddy
Fund Manager Name Rohit Harlalka
Number of funds managed by fund manager:
Equity -
Debt 17
Hybrid 16
NAV as on 31-March-2021 20.3512
AUM (Rs. Cr) 12.14
Equity (Rs. Cr) -
Debt (Rs. Cr) 11.82
Net current asset (Rs. Cr) 0.31
Fund Details
Top 10 Sectors
Portfolio
Company/Issuer Rating Exposure (%)
Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd
Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.
12
97.42
2.58
100.00
Growth of Rs. 100
Quantitative IndicatorsModified Duration in Years 1.27
Average Maturity in Years 1.37
Yield to Maturity in % 3.95%
Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance
PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception7 Years5 Years4 Years 10 Years
Fund
Benchmark
0.36% 1.76% 5.28% 6.69% 6.80% 6.24% 7.31% 7.97% - 7.53%
0.85% 2.77% 7.80% 8.79% 8.38% 7.82% 8.08% 8.45% - 8.56%
Group Short Term Debt Fund- II
0
20
40
60
80
100
120
140
160
180
200
220
240
Jun-11 Jul-12 Aug-13 Sep-14 Oct-15 Nov-16 Dec-17 Jan-19 Feb-20 Mar-21
Fund Benchmark
86.24%
7.06% 4.12% 2.58%
0%
20%
40%
60%
80%
100%
Cen
tral
Gov
ern
men
tSe
curi
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Elec
tric
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Gas
, Ste
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nd A
irC
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ning
Sup
ply
Infr
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re
Trep
s
Oth
ers
7.06%
6.70%
86.24%
AAA Others Sovereign
86.24%
7.06%
4.12%2.58%
G-Secs NCDs Treps Net Receivables
92.01
4.33
3.66
100.00
Fund Objective
Portfolio Allocation
To provide stable returns through investment in various fixed income securities.
Group Debt Fund-II
March 2021
Actual (%) Stated (%)
Debt and Debt related securities incl. FD 40 - 100
Money Market instrument 0 - 60
#Net Current Assets
Total
#Net current asset represents net of receivables and payables for investments held.
Description
SFIN Number ULGF01924/06/13GRDEBTFU02116
Launch Date 13-Sep-13
Face Value 10
Risk Profile Low
Benchmark CRISIL Composite Bond Fund Index
CIO Sampath Reddy
Fund Manager Name Rohit Harlalka
Number of funds managed by fund manager:
Equity -
Debt 17
Hybrid 16
NAV as on 31-March-2021 18.3502
AUM (Rs. Cr) 958.87
Equity (Rs. Cr) -
Debt (Rs. Cr) 923.76
Net current asset (Rs. Cr) 35.11
Fund Details
Corporate Bond 6.03%
8.45% IRFC Ltd NCD (S) (MD 04/12/2028) AAA 1.51%
6.43% HDFC LTD (S) (MD 29/09/2025) AAA 1.26%
6.85% IRFC Ltd NCD (S) (MD 29/10/2040) AAA 1.02%
8.85% Bajaj Finance Ltd. NCD (U)(MD 15/07/2026) AAA 0.87%
8.45% Bajaj Finance Ltd. NCD (U)(MD 29/09/2026) AAA 0.54%
8.85% Axis Bank Ltd. NCD (U)(MD 05/12/2024) AAA 0.39%
8.75% Bajaj Finance Ltd. NCD (U)(MD 14/08/2026) AAA 0.29%
10.09% MRF Ltd. NCD (S)(MD 27/05/2021) AAA 0.11%
7.90% LICHF Ltd. NCD (S)(MD 18/08/2026) AAA 0.06%
Sovereign 84.83%
8.60% GOI (MD 02/06/2028) SOV 32.71%
8.15% GOI (MD 24/11/2026) SOV 17.03%
7.17% GOI (MD 08/01/2028) SOV 11.46%
8.26% GOI (MD 02/08/2027) SOV 7.03%
8.15% Tamilnadu SDL (MD 09/05/2028) SOV 5.29%
8.08% Tamilnadu SDL (MD 26/12/2028) SOV 3.38%
8.69% Tamil Nadu SDL (MD 24/02/2026) SOV 2.41%
8.19% Gujarat SDL (MD 07/02/2028) SOV 1.80%
8.08% Maharashtra SDL (MD 26/12/2028) SOV 1.58%
6.47% Maharashtra SDL (MD 21/10/2028) SOV 0.79%
Others 1.35%
Money Market, Deposits & Other 9.14%
Total 100.00%
Company/Issuer Rating Exposure (%)
Portfolio
Growth of Rs. 100
Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd
Asset Class Rating Profile
*Others includes Equity, Treps, Net receivable/payable and FD
Top 10 Sectors
Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.
13
Quantitative IndicatorsModified Duration in Years 4.95
Average Maturity in Years 6.57
Yield to Maturity in % 6.27%
Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance
PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception7 Years5 Years4 Years 10 Years
Fund
Benchmark
1.55% 1.88% 5.62% 7.31% 7.12% 6.52% 7.45% 8.51% - 8.37%
1.47% 2.36% 7.69% 10.13% 8.98% 8.00% 8.61% 9.39% - 9.38%
95
105
115
125
135
145
155
165
175
185
195
205
Sep-13 Oct-14 Nov-15 Nov-16 Dec-17 Jan-19 Feb-20 Mar-21
Fund Benchmark
68.52%
16.31%
4.33% 2.92% 2.84% 1.32% 0.11% 3.66%
0%
20%
40%
60%
80%
Cen
tral
Gov
ern
men
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Stat
e G
over
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Sec
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Exce
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fra
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Fin
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Indu
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Man
ufac
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of R
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Pla
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Pro
duc
ts Oth
ers
6.03%
9.14%
84.83%
AAA Others Sovereign
1.14%
68.52%
6.03%
16.31%
4.33%3.66%
FDs G-Secs NCDs SDLs Treps Net Receivables
88.43
6.26
5.31
100.00
Corporate Bond 10.64%
8.10% NTPC Ltd. NCD (S)(MD 27/05/2021) AAA 5.43%
9.40% HDFC Ltd. NCD (S) (MD 13/04/2021) AAA 2.81%
10.09% MRF Ltd. NCD (S)(MD 27/05/2021) AAA 2.40%
Sovereign 75.65%
6.84% GOI (MD 19/12/2022) SOV 69.74%
7.80% GOI (MD 11/04/2021) SOV 5.82%
8.79% GOI (MD 08/11/2021) SOV 0.09%
Money Market, Deposits & Other 13.70%
Total 100.00%
Fund Objective
Portfolio Allocation
To earn moderate returns.
Group Short Term Debt Fund-III
March 2021
Actual (%) Stated (%)
Debt and Debt related securities incl. FD Cash, Mutual Funds 40 - 100
Money Market instrument 0 - 60
#Net Current Assets
Total
#Net current asset represents net of receivables and payables for investments held.
Description
SFIN Number ULGF02024/06/13GRSHTRDE03116
Launch Date 13-Sep-13
Face Value 10
Risk Profile Low
Benchmark CRISIL Short Term Bond Fund Index
CIO Sampath Reddy
Fund Manager Name Rohit Harlalka
Number of funds managed by fund manager:
Equity -
Debt 17
Hybrid 16
NAV as on 31-March-2021 16.8570
AUM (Rs. Cr) 46.31
Equity (Rs. Cr) -
Debt (Rs. Cr) 43.85
Net current asset (Rs. Cr) 2.46
Fund Details
Portfolio
Company/Issuer Rating Exposure (%)
Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd
14
Top 10 Sectors
Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.
Asset Class Rating Profile
*Others includes Equity, Treps, Net receivable/payable and FD
Growth of Rs. 100
Quantitative IndicatorsModified Duration in Years 1.42
Average Maturity in Years 1.52
Yield to Maturity in % 4.16%
Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance
PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception7 Years5 Years4 Years 10 Years
Fund
Benchmark
0.40% 1.92% 5.45% 6.56% 6.28% 6.25% 6.63% 7.55% - 7.16%
0.85% 2.77% 7.80% 8.79% 8.38% 7.82% 8.08% 8.45% - 8.64%
Group Short Term Debt Fund-III Group Short Term Debt Fund-III
90
100
110
120
130
140
150
160
170
180
Jan-14 Jan-15 Feb-16 Feb-17 Feb-18 Feb-19 Feb-20 Mar-21
Fund Benchmark
75.65%
6.26% 5.43% 2.81% 2.40% 2.14% 5.31%
0%
20%
40%
60%
80%
Cen
tral
Gov
ern
men
t Se
curi
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Trep
s
Elec
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Gas
, Ste
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Sup
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Infr
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uctu
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Indu
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Man
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of R
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Pla
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Pro
duc
ts
Fin
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erv
ice
Ac�
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Exce
pt In
sura
nce
an
d Pe
nsio
nFu
ndin
g
Oth
ers
10.64%
13.70%
75.65%
AAA Others Sovereign
2.14%
75.65%
10.64%
6.26%5.31%
FDs G-Secs NCDs Treps Net Receivables
Fund Objective
Portfolio Allocation
To provide stable returns through investment in various fixed deposits, money market Instruments and short term debt instruments.
Group Liquid Fund-II
March 2021
Actual (%) Stated (%)
Debt and Debt related securities incl. FD Cash, Mutual Funds 0 - 60
Money Market instrument 40 - 100
#Net Current Assets
Total
#Net current asset represents net of receivables and payables for investments held.
Asset Class Rating Profile
*Others includes Equity, Treps, Net receivable/payable and FD
Description
SFIN Number ULGF02124/06/13GRLIQUFU02116
Launch Date 13-Sep-13
Face Value 10
Risk Profile Very Low
Benchmark CRISIL Liquid Fund Index
CIO Sampath Reddy
Fund Manager Name Deep Mehta
Number of funds managed by fund manager:
Equity -
Debt 8
Hybrid -
NAV as on 31-March-2021 12.8650
AUM (Rs. Cr) 1.44
Equity (Rs. Cr) -
Debt (Rs. Cr) 1.42
Net current asset (Rs. Cr) 0.01
Fund Details
Top 10 Sectors
Money Market, Deposits & Other 100.00%
Total 100.00%
Company/Issuer Rating Exposure (%)
Portfolio
Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd
Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.
15
-
99.00
1.00
100.00
Quantitative IndicatorsModified Duration in Years 0.96
Average Maturity in Years 0.96
Yield to Maturity in % 3.36%
Group Liquid Fund-II
Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance
PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception7 Years5 Years4 Years 10 Years
Fund
Benchmark
0.24% 1.32% 2.88% 4.11% -1.14% 0.51% 1.85% 3.66% - 3.39%
0.32% 1.79% 4.07% 5.21% 6.01% 6.22% 6.40% 7.00% - 7.23%
76.74%
22.25%
1.00%0%
20%
40%
60%
80%
100%
Cen
tral
Gov
ern
men
tSe
curi
�es
Trep
s
Oth
ers
23.26%
76.74%
Others Sovereign
76.74%
22.25%
1.00%
Tbills Treps Net Receivables
Fund ObjectiveTo provide stable returns through investment in various fixed income securities.
Group Debt Fund-III
March 2021
Asset Class Rating Profile
*Others includes Equity, Treps, Net receivable/payable and FD
Description
SFIN Number ULGF02202/03/15GRDEBTFU03116
Launch Date 29-Sep-16
Face Value 10
Risk Profile Low
Benchmark CRISIL Composite Bond Index
CIO Sampath Reddy
Fund Manager Name Rohit Harlalka
Number of funds managed by fund manager:
Equity -
Debt 17
Hybrid 16
NAV as on 31-March-2021 13.2128
AUM (Rs. Cr) 118.87
Equity (Rs. Cr) -
Debt (Rs. Cr) 115.16
Net current asset (Rs. Cr) 3.72
Fund Details
Top 10 Sectors
Growth of Rs. 100
Portfolio Allocation
Actual (%) Stated (%)
Debt and debt related securities incl. Fixed deposits 60 - 100
Money market instruments, Cash, Mutual funds 0 - 40
#Net Current Assets
Total
#Net current asset represents net of receivables and payables for investments held.
Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd
Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.
94.56
2.31
3.13
100.00
16
Quantitative IndicatorsModified Duration in Years 5.08
Average Maturity in Years 6.75
Yield to Maturity in % 6.37%
Corporate Bond 10.89%
8.45% IRFC Ltd NCD (S) (MD 04/12/2028) AAA 4.67%
8.35% IRFC Ltd NCD (S)(MD 13/03/2029) AAA 4.66%
6.43% HDFC LTD (S) (MD 29/09/2025) AAA 1.27%
8.45% Bajaj Finance Ltd. NCD (U)(MD 29/09/2026) AAA 0.28%
Sovereign 82.84%
8.60% GOI (MD 02/06/2028) SOV 24.12%
8.15% GOI (MD 24/11/2026) SOV 12.91%
8.28% GOI (MD 21/09/2027) SOV 9.78%
8.08% Tamilnadu SDL (MD 26/12/2028) SOV 9.09%
7.17% GOI (MD 08/01/2028) SOV 8.80%
8.08% Maharashtra SDL (MD 26/12/2028) SOV 5.45%
8.26% GOI (MD 02/08/2027) SOV 3.72%
8.15% Tamilnadu SDL (MD 09/05/2028) SOV 3.63%
8.69% Tamil Nadu SDL (MD 24/02/2026) SOV 1.85%
8.19% Gujarat SDL (MD 07/02/2028) SOV 1.82%
Others 1.68%
Money Market, Deposits & Other 6.27%
Total 100.00%
Company/Issuer Rating Exposure (%)
Portfolio
Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance
PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception7 Years5 Years4 Years 10 Years
Fund
Benchmark
1.59% 2.04% 5.97% 7.70% 6.68% 6.12% - - - 6.38%
1.47% 2.36% 7.69% 10.13% 8.98% 8.00% - - - 7.91%
90
95
100
105
110
115
120
125
130
135
140
145
Sep-16 Mar-17 Sep-17 Mar-18 Sep-18 Mar-19 Sep-19 Mar-20 Sep-20 Mar-21
Fund Benchmark
59.34%
23.50%
9.34%2.31% 1.27% 1.11% 3.13%
0%
20%
40%
60%
80%
Cen
tral
Gov
ern
men
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Stat
e G
over
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Sec
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Fin
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fra
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Fin
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Ac�
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Exce
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an
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nsio
nFu
ndin
g
Oth
ers
10.89%
6.27%
82.84%
AAA Others Sovereign
0.83%
59.34%10.89%
23.50%
2.31%
3.13%
FDs G-Secs NCDs SDLs Treps Net Receivables
Equity 36.79%
HDFC Bank Ltd Financial Service Activities, Except Insurance and Pension Funding 5.03%
Infosys Ltd Computer Programming, Consultancy and Related Activities 5.02%
ICICI Bank Ltd Financial Service Activities, Except Insurance and Pension Funding 4.37%
Larsen & Toubro Ltd Civil Engineering Infrastructure 4.04%
Hindustan Unilever Ltd Manufacture of Chemicals and Chemical Products 3.15%
Reliance Industries Ltd Manufacture of Coke and Refined Petroleum Products 3.11%
Maruti Suzuki India Ltd Manufacture of Motor Vehicles, Trailers and Semi-Trailers 3.04%
Dr Reddys Laboratories Ltd Manufacture of Pharmaceuticals, Medicinal Chemical and Botanical Products 2.92%
ITC Ltd Manufacture of Tobacco Products 2.85%
Bharti Airtel Ltd Telecommunications Infrastructure 2.34%
Others 0.92%
Sovereign 41.98%
7.17% GOI (MD 08/01/2028) SOV 23.35%
6.84% GOI (MD 19/12/2022) SOV 11.18%
5.77% GOI (MD 03/08/2030) SOV 7.44%
Money Market, Deposits & Other 21.24%
Total 100.00%
Fund Objective
Group Balanced Gain Fund-II
March 2021
Asset Class Rating Profile
*Others includes Equity, Treps, Net receivable/payable and FD
Description
SFIN Number ULGF02402/03/15GRBALCGA02116
Launch Date 25-Apr-17
Face Value 10
Risk Profile High
Benchmark CRISIL Balanced Fund – Aggressive Index
CIO Sampath Reddy
Fund Manager Name Reshma Banda, Rohit Harlalka
Number of funds managed by fund manager:
Equity 22 -
Debt - 17
Hybrid 7 16
NAV as on 31-March-2021 11.1532
AUM (Rs. Cr) 3.86
Equity (Rs. Cr) 1.42
Debt (Rs. Cr) 2.40
Net current asset (Rs. Cr) 0.04
Fund Details
Company/Issuer Sector/Rating Exposure (%)
Portfolio
Top 10 Sectors
Portfolio Allocation
Actual (%) Stated (%)
Equity 0 - 80
Debt and Debt related securities,Money Market
instrument/Mutual Funds 20 - 80
Money market instruments, Cash, Mutual funds 0 - 40
#Net Current Assets
Total
#Net current asset represents net of receivables and payables for investments held.
To provide capital appreciation, subject to minimum guaranteed unit price at fund closure. The fund strategy would be to achieve potential upside by investing adequately in debt securities, equities, mutual funds and highly rated debentures.
Reshma Banda Rohit Harlalka
Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd
Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.
36.79
41.98
20.19
1.05
100.00
17
Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance
** During the period of Feb 2018 - May 2020 scheme AUM was Nil. Return is from 04th June'2020
PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception7 Years5 Years4 Years 10 Years
Fund
Benchmark
0.70% 7.84% - - - - - - - 11.53%
1.30% 19.89% - - - - - - - 30.78%
Quantitative IndicatorsModified Duration in Years 4.19
Average Maturity in Years 5.07
Yield to Maturity in % 4.99%
41.98%
20.19%
9.40%5.02% 4.04% 3.15% 3.11% 3.04% 2.92% 2.85% 4.31%
0%
20%
40%
60%
Cen
tral
Gov
ern
men
t Se
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58.02%41.98%
Others Sovereign
36.79%
41.98%
20.19%
1.05%
Equity G-Secs Treps Net Receivables
Corporate Bond 4.24%
7.90% LICHF Ltd. NCD (S)(MD 18/08/2026) AAA 4.24%
Sovereign 86.04%
5.77% GOI (MD 03/08/2030) SOV 69.61%
7.27% GOI (MD 08/04/2026) SOV 8.82%
6.19% GOI (MD 16/09/2034) SOV 7.61%
Money Market, Deposits & Other 9.72%
Total 100.00%
Fund Objective
Group Debt Pension Fund
March 2021
Description
SFIN Number ULGF02518/08/16GRDBTPENFU116
Launch Date 31- Aug-17
Face Value 10
Risk Profile LOW
Benchmark CRISIL Composite Bond Fund Index
CIO Sampath Reddy
Fund Manager Name Rohit Harlalka
Number of funds managed by fund manager:
Equity -
Debt 17
Hybrid 16
NAV as on 31-March-2021 12.3721
AUM (Rs. Cr) 2.51
Equity (Rs. Cr) -
Debt (Rs. Cr) 2.47
Net current asset (Rs. Cr) 0.04
Fund Details
Company/Issuer Sector/Rating Exposure (%)
Portfolio
Top 10 Sectors
Portfolio Allocation Actual (%) Stated (%)
Debt 40 - 100
Money market instruments, Mutual funds* 0 - 60
#Net Current Assets
Total
#Net current asset represents net of receivables and payables for investments held.
The investment objective of this fund is to provide accumulation of income through investment in high quality fixed income securities
Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd
Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.
90.28
7.95
1.77
100.00
18
Asset Class Rating Profile
*Others includes Equity, Treps, Net receivable/payable and FD
Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance
PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception7 Years5 Years4 Years 10 Years
Fund
Benchmark
0.51% 0.52% 4.74% 7.73% 7.17% - - - - 6.12%
1.47% 2.36% 7.69% 10.13% 13.76% - - - - 7.63%
Quantitative IndicatorsModified Duration in Years 6.47
Average Maturity in Years 8.63
Yield to Maturity in % 6.08%
86.04%
7.95% 4.24% 1.77%
0%
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40%
60%
80%
100%
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Indu
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Oth
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4.24%
9.72%
86.04%
AAA Others SovereignTreps
86.04%
4.24%
7.95%1.77%
G-Secs NCDs Net Receivables
Fund Objective
Portfolio Allocation
To provide stable returns through investment in various fixed deposits, money market Instruments and short term debt instruments.
Group Liquid Fund-III
March 2021
Actual (%) Stated (%)
Debt and Debt related securities incl. FD Cash, Mutual Funds 0 - 60
Money Market instrument 40 - 100
#Net Current Assets
Total
#Net current asset represents net of receivables and payables for investments held.
Asset Class Rating Profile
*Others includes Equity, Treps, Net receivable/payable and FD
Description
SFIN Number ULGF02302/03/15GRLIQUFU03116
Launch Date 02-Aug-19
Face Value 10
Risk Profile Very Low
Benchmark CRISIL Liquid Fund Index
CIO Sampath Reddy
Fund Manager Name Deep Mehta
Number of funds managed by fund manager:
Equity -
Debt 8
Hybrid -
NAV as on 31-March-2021 10.7603
AUM (Rs. Cr) 0.33
Equity (Rs. Cr) -
Debt (Rs. Cr) 0.32
Net current asset (Rs. Cr) 0.01
Fund Details
Top 10 Sectors
Money Market, Deposits & Other 100.00%
Total 100.00%
Company/Issuer Rating Exposure (%)
Portfolio
Bajaj Allianz Life Insurance Company LtdBajaj Allianz Life Insurance Company Ltd
Note : ‘Financial & insurance activities’ sector includes exposure to ‘Fixed Deposits’ & ‘Certificate of Deposits’.
19
-
96.18
3.82
100.00
Quantitative IndicatorsModified Duration in Years 2.07
Average Maturity in Years 2.07
Yield to Maturity in % 3.39%
Returns less than or equal to 1 year are absolute. Returns greater than 1 year are compounded annualised growth rate (CAGR), Past performance is not indicative of future performance
PerformancePeriod 1 Month 6 Months 1 Year 2 Years 3 Years Inception7 Years5 Years4 Years 10 Years
Fund
Benchmark
0.21% 1.25% 3.01% - - - - - - 4.50%
0.32% 1.79% 4.07% 4.77%
56.85%
39.33%
3.82%
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40%
60%
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60.67%39.33%
Others Sovereign
39.33%
56.85%
3.82%
Tbills Treps Net Receivables