• Follow DSP BlackRock Mutual Fund

HomeMutual Fund ProductsFixed Maturity PlansDSPBR FMP - SERIES 16- 12M - Dividend Payout

Fixed Maturity Plans

DSP BlackRock FMP - SERIES 16 - 12M - Dividend Payout maturing on October 22, 2012


Portfolio as on April 30, 2012
Sr. No. Name of the Instrument Market Value (in Rs. lakh) % to Net Assets of the scheme
A Bonds & Debentures of :    
(I) Private Corporate Bodies                                            -   0.00%
(II) PSUs                                                                     -   0.00%
(III) Banks/FI (including NBFC)                                       -   0.00%
(IV) Others                                                                    -   0.00%
  Sub Total                         (A=I+II+III+IV)                           -   0.00%
       
B Securitised Debt Instruments    
(V) Single Loan                            -   0.00%
(VI) Pool                            -   0.00%
  Sub Total                               (B=V+VI)                           -   0.00%
       
C Money Market Instruments    
(VII) CPs                                                                         -   0.00%
(VIII) CDs                                                            14,873.10 99.92%
(IX) T Bills                                                                       -   0.00%
(X) CBLOs/Repos                                                       11.99 0.08%
(XI) Bills Rediscounting/BRDS                                          -   0.00%
(XII) Others                           -   0.00%
  Sub Total       (C=VII+VIII+IX+X+XI+XII)               14,885.10 100.00%
       
D Government Securities                             -   0.00%
       
E Fixed Deposits                            -   0.00%
       
F Cash and Net Current Assets                       (0.59) 0.00%
       
G Others (Pls specify)                            -   0.00%
       
  Net Assets      (A+B+C+D+E+F+G)               14,884.51 100.00%

Any downgrading of securities after the last disclosure may be disclosed by way of notes.

* For items A - E issuer wise details may be given as per the Annexure by providing a link

ANNEXURE
A Bonds & Debentures
Category of Issuer Name of the Issuer Market Value (in Rs. lakh) Rating % to Net Assets of the scheme
(I) Nil - - -
(II) Nil - - -
B Securitised Debt Instruments
(V) Single Loan
  Obligor Originator Trust Details Name of Guarantor/ Details of underlying Security Level of guarantee (as % of loan) Market Value (in Rs. lakh) Rating
Nil - - - - - -
(VI) Pool
  Originator Seller Trust Details Type of Pool Credit enhancement (as % of loan) Market Value (in Rs. lakh) Rating
Nil - - - - - -
C Money Market Instruments
Name of the Issuer Market Value(in Rs. lakh) Rating % to Net Assets of the scheme
(VIII) Vijaya Bank             95.49 CARE A1+ 0.64%
(VIII) Axis Bank           953.69 ICRA A1+ 6.41%
(VIII) Yes Bank         2,383.43 ICRA A1+ 16.01%
(VIII) ICICI Bank         3,812.87 ICRA A1+ 25.62%
(VIII) NABARD         3,812.87 CRISIL A1+ 25.62%
(VIII) State Bank of Mysore         3,814.76 CARE A1+ 25.63%
(X) CBLO             11.99   0.08%
D Government Securities
Details of Securities Market Value (in Rs. lakh) % to Net Assets of the scheme
Nil - -
E Fixed Deposits
Bank Name Amount (in Rs. lakh) % to Net Assets of the scheme
Nil - -