1. <i id="akeahy8i" style="display:none !important"></i>

      1. <span id="baiphe0y" style="display:none !important"></span>

            1. <s id="awb2g17s" style="display:none !important"></s><ol id="3dtlghsp" style="display:none !important"><i id="gwz5ozck" style="display:none !important"></i></ol><acronym id="c7v7a45y" style="display:none !important"><style id="ij8ttjjd" style="display:none !important"></style></acronym><dir id="5gyp2uik" style="display:none !important"><tt id="osafl8r3" style="display:none !important"></tt><bdi id="8mgh49j2" style="display:none !important"><em id="xgt0baoh" style="display:none !important"></em></bdi><s id="xe6elhuz" style="display:none !important"><ul id="9xz7pzu3" style="display:none !important"></ul></s></dir><ol id="wx70q2rh" style="display:none !important"><strike id="x7xk27d3" style="display:none !important"></strike><p id="msl9h4d2" style="display:none !important"><select id="8t0jizd5" style="display:none !important"></select></p><span id="643ij6aa" style="display:none !important"><acronym id="8r0j79ur" style="display:none !important"></acronym></span><big id="nmaezo4l" style="display:none !important"><figure id="41n40mct" style="display:none !important"></figure><tbody id="9gs0n33a" style="display:none !important"><bdo id="bh55ei7k" style="display:none !important"></bdo></tbody><h1 id="edymn9x1" style="display:none !important"><datalist id="n55h32qz" style="display:none !important"></datalist><b id="th3nyabz" style="display:none !important"><canvas id="l5zvfryi" style="display:none !important"></canvas></b></h1></big></ol><strike id="2dgga33k" style="display:none !important"><li id="1lwiom72" style="display:none !important"></li><strike id="lu3nj779" style="display:none !important"><track id="nfgzt2ge" style="display:none !important"></track></strike><a id="sscc2mj1" style="display:none !important"><h3 id="cj749ai0" style="display:none !important"></h3></a><table id="lz1imjgx" style="display:none !important"><bdo id="jm8i90qy" style="display:none !important"></bdo><rp id="60b1rb8r" style="display:none !important"><samp id="4rwlp6kt" style="display:none !important"></samp></rp><p id="4tjfv645" style="display:none !important"><param id="u7ya9xl9" style="display:none !important"></param></p></table><del id="jzjk0lrd" style="display:none !important"><code id="tmmpsv1y" style="display:none !important"></code><colgroup id="bgf1cyi7" style="display:none !important"><style id="3m9zhn17" style="display:none !important"></style></colgroup><meter id="w6jcipcz" style="display:none !important"><i id="0epqa997" style="display:none !important"></i></meter><font id="1eychi12" style="display:none !important"><legend id="oxxq0746" style="display:none !important"></legend><track id="2uf4c69t" style="display:none !important"><legend id="amk4mjxm" style="display:none !important"></legend></track><dd id="95two3w8" style="display:none !important"><bdo id="jb5d00k2" style="display:none !important"></bdo><b id="0vuf9fin" style="display:none !important"><a id="3mu2jc4b" style="display:none !important"></a></b></dd></font></del></strike>
              • MORE MARKET STATS

                <object id="umkd11gw" style="display:none !important"></object><menu id="j30w99fv" style="display:none !important"><ins id="bug1369r" style="display:none !important"></ins></menu><fieldset id="y9lq6xi3" style="display:none !important"><time id="3ggbvl54" style="display:none !important"></time></fieldset>

                        • <wbr id="ffq3yjrj" style="display:none !important"></wbr><commend id="o3epkv91" style="display:none !important"><a id="nxfndc1q" style="display:none !important"></a></commend>

                            <wbr id="ittb77re" style="display:none !important"></wbr>
                            <s id="0bzos0d0" style="display:none !important"></s>

                              • <table id="can7w9r7" style="display:none !important"></table>
                              • <var id="z9g9lact" style="display:none !important"></var>

                                  <optgroup id="nxvuf5p5" style="display:none !important"></optgroup><tbody id="89d54nsx" style="display:none !important"><rp id="4harlupt" style="display:none !important"></rp></tbody>

                                              • online casino no deposit bonus free spins,sachin,rummy rules in hindi, Debt Funds

                                                        1. SCHEME NAME1M (%)3M (%)6M (%)1Y (%)3Y (%)6Y (%)
                                                          Nippon India Ultra Short Duration Fund-Segregated Portfolio 1-(G)3458.551064.17391.25195.09NANA
                                                          UTI Credit Risk Fund (Segregated - 13092019)-Reg(G)3385.051041.55382.35190.65NANA
                                                          Baroda Treasury Adv Fund(G)4.486.629.7227.43-8.57-0.48
                                                          Baroda Treasury Adv-Reg(G)4.476.619.7127.43-8.58-0.68
                                                          JM Low Duration Fund(G)4.033.783.1125.685.656.64
                                                          Nippon India FHF-XXXX-3-1265D(G)8.9128.4019.5018.70NANA
                                                          Nippon India FHF-XXXIX-5-1342D(G)9.2128.1018.7718.49NANA
                                                          Nippon India FHF-XXXVII-9-1443D(G)10.8924.8817.4317.61NANA
                                                          Nippon India FHF-XXXIX-11-1313D(G)9.0825.1117.0717.59NANA
                                                          Nippon India FHF-XXXVIII-2-1412D(G)9.2023.5216.4217.44NANA
                                                          Nippon India FHF-XXXX-8-1236D(G)8.7323.1216.3017.15NANA
                                                          Aditya Birla SL Medium Term Plan-Reg(G)7.2913.6914.4716.903.466.05
                                                          Franklin India Credit Risk Fund(G)22.5622.4120.8516.525.386.92
                                                          UTI FTIF-XXIX-XIII(1122D)(G)7.5724.5116.7315.45NANA
                                                          UTI FTIF-XXX-I(1104D)(G)7.5224.6216.7815.43NANA
                                                          UTI FTIF-XXX-III(1106D)(G)7.5524.7816.9715.34NANA
                                                          UTI FTIF-XXIX-IX(1109D)(G)7.1426.3717.8515.19NANA
                                                          BOI AXA Credit Risk Fund-Reg(G)18.5721.5412.7914.55-32.17-13.64
                                                          Nippon India FHF-XXXVIII-10-1385D(G)9.1511.9810.5414.49NANA
                                                          Franklin India Low Duration Fund(M-IDCW)16.8413.4415.1514.294.275.37
                                                          HDFC FMP-Sr 42-1487-Aug 2018(1)-Reg(G)12.2210.8810.9814.22NANA
                                                          HDFC FMP-XXVII-1846D-Aug 2013(1)-Reg(G)12.1910.9811.0514.209.398.39
                                                          Principal Short Term Debt Fund(G)8.546.523.1613.754.415.94
                                                          Nippon India FHF-XXXX-16-1210D(G)8.109.329.4313.43NANA
                                                          Nippon India FHF-XLI-4-1175D(G)7.669.109.4513.41NANA
                                                          UTI FTIF-XXX-VI(1107D)(G)6.3922.5714.7913.37NANA
                                                          HDFC FMP-Sr 42-1141D-Aug 2018(1)-Reg(G)8.539.9410.1013.32NANA
                                                          Nippon India FHF-XXXX-19-1184D(G)7.889.109.0513.28NANA
                                                          PGIM India FDF-BC-Reg(G)7.7311.8812.7012.79NANA
                                                          HDFC Credit Risk Debt Fund-(G)11.489.368.1712.738.678.51
                                                          Nippon India FHF-XLI-12-1116D(G)8.239.558.3712.64NANA
                                                          Nippon India FHF-XLI-10-1111D(G)8.309.248.4612.61NANA
                                                          Nippon India FHF-XXXVI-8-1315D(G)8.099.319.7612.509.04NA
                                                          Aditya Birla SL Credit Risk Fund-Reg(G)8.279.289.1212.426.117.48
                                                          Kotak FMP-239-1330D(G)9.519.229.4612.37NANA
                                                          Baroda Credit Risk Fund-A(G)7.2423.3516.4212.295.047.19
                                                          HDFC FMP-Sr 41-1124D-June 2018(1)-Reg(G)6.668.348.4512.25NANA
                                                          IDBI Credit Risk Fund(G)15.186.007.0712.20-1.242.95
                                                          Nippon India FHF-XXXVIII-11-1152D(G)6.938.729.1112.09NANA
                                                          Edelweiss FMP-55-Reg(G)9.888.297.2611.92NANA
                                                          PGIM India FDF-BE-Reg(G)7.8210.9611.6911.84NANA
                                                          HDFC FMP-Sr 43-1344D-Oct 2018(1)-Reg(G)8.188.367.5911.62NANA
                                                          Nippon India FHF-XXXX-12-1215D(G)6.957.947.8011.57NANA
                                                          HDFC FMP-XXXIX-1208D-March 2018(1)-Reg(G)6.567.638.1411.448.57NA
                                                          Franklin India Income Opportunities Fund(G)20.3322.6921.2611.254.086.27
                                                          Nippon India FHF-XXXVI-5-1294D(G)6.067.688.2611.188.59NA
                                                          HDFC FMP-XXXIX-1177D-March 2018(1)-Reg(G)5.476.737.3910.968.40NA
                                                          Nippon India FHF-XXXVI-2-1386D(G)7.688.609.3810.775.77NA
                                                          Kotak FMP-256-1250D(G)10.018.728.9010.74NANA
                                                          DSP FMP 243-36M-Reg(G)7.097.727.5710.67NANA
                                                          ICICI Pru Medium Term Bond Fund(G)9.749.486.0010.648.348.12
                                                          Nippon India FHF-XXXVII-3-1281D(G)5.976.967.2410.628.48NA
                                                          HDFC FMP-XXXX-1146D-April 2018(1)-Reg(G)5.016.346.9010.54NANA
                                                          ICICI Pru FMP-85-1185D-C(G)7.897.455.7110.54NANA
                                                          Aditya Birla SL Short Term Fund(G)7.636.554.2110.528.538.20
                                                          L&T FMP-XVIII-C-1178D(G)6.706.845.4810.37NANA
                                                          Axis FTP-96-1124D-Reg(G)6.117.037.5910.34NANA
                                                          Franklin India Dynamic Accrual Fund(G)18.8519.1116.9810.345.437.28
                                                          UTI FTIF-XXXI-II(1222D)(G)11.849.858.3110.32NANA
                                                          UTI FTIF-XXX-IV(1125D)(G)7.037.597.9310.29NANA
                                                          Principal Low Duration Fund(G)4.784.613.5310.23-0.473.63
                                                          ICICI Pru FMP-83-1100D-X(G)5.866.877.2110.22NANA
                                                          L&T Resurgent India Bond Fund-Reg(G)8.497.916.4510.217.237.77
                                                          Kotak Medium Term Fund(G)8.956.883.9210.216.767.60
                                                          Aditya Birla SL Dynamic Bond Fund-Reg(G)8.648.655.6610.185.266.06
                                                          UTI FTIF-XXXI-IX(1168D)(G)11.838.126.6010.15NANA
                                                          Kotak FMP-234-1162D(G)6.427.127.0910.14NANA
                                                          Aditya Birla SL FTP-RX-1200D-Reg(G)6.037.025.9110.12NANA
                                                          ICICI Pru FMP-85-1140D-R(G)7.637.025.6910.12NANA
                                                          Franklin India ST Income Plan(G)20.4619.0920.0110.093.465.91
                                                          UTI FTIF-XXXI-V(1174D)(G)11.558.967.6310.07NANA
                                                          ICICI Pru FMP-84-1235D-R(G)7.917.165.5010.05NANA
                                                          ICICI Pru FMP-84-1287D-I(G)8.637.375.5410.01NANA
                                                          UTI FTIF-XXXII-II(1111D)(G)8.526.835.1110.01NANA
                                                          UTI FTIF-XXXI-IV(1204D)(G)11.699.507.979.99NANA
                                                          Axis FTP-97-1116D-Reg(G)5.976.857.289.98NANA
                                                          DSP FMP 241-36M-Reg(G)6.247.157.039.96NANA
                                                          HDFC Medium Term Debt Fund(G)9.347.975.309.748.228.00
                                                          ICICI Pru Credit Risk Fund(G)8.496.946.249.728.578.33
                                                          SBI Credit Risk Fund-Reg(G)8.496.915.069.717.357.89
                                                          ICICI Pru FMP-83-1105D-M(G)4.875.936.429.71NANA
                                                          Kotak Credit Risk Fund(G)12.458.436.119.697.247.81
                                                          Nippon India FHF-XXXV-16-1330D(G)6.917.407.869.695.97NA
                                                          Kotak Floating Rate Fund-Reg(G)10.847.073.959.65NANA
                                                          Axis Corp Debt Fund-Reg(G)8.386.514.219.648.07NA
                                                          UTI FTIF-XXX-XIV(1209D)(G)13.0510.118.489.62NANA
                                                          Aditya Birla SL FTP-QP-1100D-Reg(G)22.5811.388.829.61NANA
                                                          UTI FTIF-XXXI-VII(1155D)(G)10.788.006.649.61NANA
                                                          UTI FTIF-XXXI-XV(1099D)(G)11.337.936.699.58NANA
                                                          UTI FTIF-XXXII-I(1126D)(G)11.247.626.149.55NANA
                                                          UTI FTIF-XXX-XIII(1224D)(G)12.9710.088.579.51NANA
                                                          UTI FTIF-XXX-XI(1246D)(G)12.099.718.319.43NANA
                                                          Axis Credit Risk Fund-Reg(G)9.398.997.239.426.437.19
                                                          ICICI Pru FMP-83-1110D-T(G)5.306.236.379.35NANA
                                                          UTI FTIF-XXXI-XII(1148D)(G)11.287.906.399.35NANA
                                                          Franklin India Ultra Short Bond Fund-Super Inst(G)14.9610.568.299.337.578.27
                                                          UTI FTIF-XXXI-XIV(1111D)(G)10.867.566.039.32NANA
                                                          SBI FMP-24-1107D-Reg(G)6.876.224.109.29NANA
                                                          ICICI Pru FMP-87-1214D-A(G)11.708.395.149.23NANA
                                                          Kotak FMP-246-1153D(G)7.426.926.939.23NANA
                                                          UTI FTIF-XXXI-XIII(1127D)(G)10.947.616.039.23NANA
                                                          UTI FTIF-XXIX-I(1134D)(G)4.836.687.719.217.30NA
                                                          Franklin India Ultra Short Bond-Ret(G)14.9510.508.189.197.257.82
                                                          Aditya Birla SL FTP-QH-1101D-Reg(G)19.6010.077.669.15NANA
                                                          SBI FMP-23-1106D-Reg(G)6.756.184.089.15NANA
                                                          Axis Strategic Bond Fund-Reg(G)9.327.615.799.138.008.26
                                                          SBI FMP-22-1106D-Reg(G)7.006.314.139.13NANA
                                                          ICICI Pru FMP-83-1113D-E(G)4.545.585.909.11NANA
                                                          IDBI ST Bond(G)7.606.704.309.105.085.98
                                                          UTI FTIF-XXIX-II(1118D)(G)5.036.567.449.105.39NA
                                                          ICICI Pru FMP-84-1103D-C(G)5.015.985.739.09NANA
                                                          SBI FMP-25-1120D-Reg(G)6.876.164.119.08NANA
                                                          Nippon India FHF-XXXVIII-14-1150D(G)4.866.175.499.07NANA
                                                          SBI FMP-26-1112D-Reg(G)7.006.184.149.06NANA
                                                          Tata Medium Term Fund-Reg(G)9.388.174.489.052.024.56
                                                          SBI FMP-21-1109D-Reg(G)6.776.334.239.04NANA
                                                          Franklin India FMP-5-E-1224D(G)6.626.304.749.04NANA
                                                          SBI FMP-27-1203D-Reg(G)10.687.954.749.04NANA
                                                          IDFC Corp Bond Fund-Reg(G)10.248.234.239.038.52NA
                                                          UTI FTIF-XXX-IX(1266D)(G)12.659.888.509.03NANA
                                                          BHARAT Bond ETF - April 202310.168.855.088.99NANA
                                                          Aditya Birla SL Corp Bond Fund(G)8.707.624.658.999.288.69
                                                          Franklin India FMP-4-F-1286D(G)5.886.044.708.98NANA
                                                          SBI FMP-20-1109D-Reg(G)6.576.304.188.98NANA
                                                          IDFC FTP-178-1154D-Reg(G)6.316.354.418.95NANA
                                                          DSP FMP 238-36M-Reg(G)4.545.725.568.94NANA
                                                          Franklin India FMP-6-C-1169D(G)5.906.004.458.92NANA
                                                          Franklin India FMP-5-D-1238D(G)6.506.154.678.92NANA
                                                          SBI Magnum Medium Duration Fund-Reg(G)6.525.383.418.919.449.23
                                                          Franklin India Corp Debt Fund-A(G)7.667.374.718.918.288.21
                                                          SBI FMP-19-1115D-Reg(G)6.426.164.178.90NANA
                                                          TATA FMP-55-E-1099D(G)7.748.108.088.88NANA
                                                          HDFC Short Term Debt Fund(G)7.916.464.168.888.838.32
                                                          Aditya Birla SL FTP-QQ-1100D-Reg(G)21.3210.778.078.88NANA
                                                          BHARAT Bond ETF - April 20307.3511.444.118.85NANA
                                                          Invesco India FMP-31-D(1468D)(G)6.166.484.588.83NANA
                                                          Nippon India Credit Risk Fund(G)8.458.308.218.820.864.46
                                                          ICICI Pru FMP-87-1174D-B(G)10.477.774.898.82NANA
                                                          IDFC FTP-166-1207D-Reg(G)5.766.144.358.81NANA
                                                          SBI FMP-28-1163D-Reg(G)10.658.064.738.80NANA
                                                          Edelweiss Government Securities Fund-Reg(G)16.1811.856.618.8010.488.90
                                                          Franklin India FMP-5-F-1203D(G)5.705.964.498.80NANA
                                                          Franklin India FMP-5-C-1259D(G)5.976.034.718.79NANA
                                                          UTI FTIF-XXXI-X(1168D)(G)5.845.894.248.79NANA
                                                          SBI FMP-16-1116D-Reg(G)6.396.114.228.78NANA
                                                          DSP FMP 239-36M-Reg(G)4.545.635.428.77NANA
                                                          IDFC FTP-177-1160D-Reg(G)5.896.074.278.77NANA
                                                          ICICI Pru FMP-84-1188D-Z(G)5.866.044.608.76NANA
                                                          Nippon India FHF-XXXIX-1-1146D(G)4.635.915.218.73NANA
                                                          Sundaram FTP-IS-1120D-Reg(G)5.665.874.388.73NANA
                                                          SBI FMP-11-1178D-Reg(G)5.936.044.278.72NANA
                                                          IDFC FTP-167-1202D-Reg(G)5.886.144.358.72NANA
                                                          SBI FMP-17-1116D-Reg(G)6.366.074.218.71NANA
                                                          SBI FMP-7-1175D-Reg(G)6.295.974.218.71NANA
                                                          UTI FTIF-XXIX-III(1131D)(G)4.545.866.808.70NANA
                                                          SBI FMP-18-1108D-Reg(G)6.476.134.188.69NANA
                                                          Invesco India FMP-33-B(1311D)(G)6.166.294.728.68NANA
                                                          Aditya Birla SL FTP-QW-1099D-Reg(G)17.539.457.088.67NANA
                                                          Nippon India Floating Rate Fund(G)8.427.344.448.678.517.90
                                                          HDFC Corp Bond Fund(G)7.466.784.058.659.248.66
                                                          ICICI Pru Short Term Fund(G)6.845.714.338.648.568.28
                                                          IDFC FTP-176-1170D-Reg(G)6.176.174.328.63NANA
                                                          HSBC FTS-140-Reg(G)6.516.364.598.62NANA
                                                          Mirae Asset FMP-Sr III-1122D-Reg(G)5.566.084.508.60NANA
                                                          Kotak FMP-232-1137D(G)5.215.845.828.59NANA
                                                          SBI FMP-10-1178D-Reg(G)6.045.974.138.59NANA
                                                          SBI FMP-12-1179D-Reg(G)5.966.004.238.59NANA
                                                          Aditya Birla SL FTP-RP-1239D-Reg(G)5.845.904.328.58NANA
                                                          SBI FMP-15-1123D-Reg(G)6.025.914.208.56NANA
                                                          SBI FMP-2-1178D-Reg(G)6.165.774.208.55NANA
                                                          SBI DFS-C-44-1175D-Reg(G)6.106.014.368.55NANA
                                                          HDFC Banking and PSU Debt Fund-Reg(G)7.976.003.858.538.728.36
                                                          Nippon India FHF-XLI-1-1140D(G)6.135.914.328.53NANA
                                                          SBI FMP-13-1108D-Reg(G)6.215.754.078.52NANA
                                                          SBI FMP-3-1179D-Reg(G)6.175.834.208.52NANA
                                                          SBI DFS-C-22-1100D-Reg(G)4.465.195.078.52NANA
                                                          Aditya Birla SL FTP-QR-1126D-Reg(G)4.955.675.468.51NANA
                                                          IDFC FTP-152-1452D-Reg(G)6.316.614.588.51NANA
                                                          Franklin India FMP-5-B-1244D(G)6.055.864.508.50NANA
                                                          Franklin India FMP-5-A-1273D(G)5.986.094.798.50NANA
                                                          L&T Low Duration Fund-Reg(G)5.034.923.788.505.947.34
                                                          L&T FMP-XVII-B-1452D(G)6.316.204.378.49NANA
                                                          SBI DFS-C-48-1177D-Reg(G)6.996.184.538.49NANA
                                                          SBI FMP-9-1178D-Reg(G)6.005.904.038.49NANA
                                                          Nippon India FHF-XLI-11-1144D(G)6.015.694.158.47NANA
                                                          Nippon India FHF-XXXV-9-1343D(G)4.445.395.528.475.35NA
                                                          Aditya Birla SL FTP-SN-1099D-Reg(G)6.065.724.188.45NANA
                                                          Aditya Birla SL FTP-SK-1128D-Reg(G)5.705.544.248.44NANA
                                                          Invesco India FMP-33-D(1273D)(G)5.825.924.238.44NANA
                                                          HDFC FMP-Sr 43-1175D-Jan 2019(1)-Reg(G)5.816.084.408.44NANA
                                                          SBI FMP-8-1178D-Reg(G)6.055.894.118.43NANA
                                                          Axis FTP-100-1172D-Reg(G)5.385.654.238.43NANA
                                                          SBI DFS-C-27-1260D-Reg(G)4.966.084.768.42NANA
                                                          IDBI Dynamic Bond(G)12.926.315.158.427.055.76
                                                          ICICI Pru All Seasons Bond Fund(G)7.866.984.598.419.229.22
                                                          HDFC FMP-Sr 43-1182D-Jan 2019(1)-Reg(G)5.856.074.418.40NANA
                                                          Tata Banking & PSU Debt Fund-Reg(G)9.035.763.308.40NANA
                                                          SBI DFS-C-32-1223D-Reg(G)5.846.004.538.40NANA
                                                          Nippon India FHF-XXXIX-2-1330D(G)5.956.384.708.39NANA
                                                          UTI Corporate Bond Fund-Reg(G)8.436.893.538.38NANA
                                                          IDFC FTP-163-1223D-Reg(G)5.865.924.258.38NANA
                                                          SBI FMP-14-1102D-Reg(G)5.775.674.098.37NANA
                                                          HDFC FMP-Sr 43-1146D-Feb 2019(1)-Reg(G)5.826.004.388.37NANA
                                                          HDFC FMP-Sr 43-1168D-Jan 2019(1)-Reg(G)5.826.014.398.36NANA
                                                          Nippon India FHF-XXXX-1-1252D(G)5.805.854.208.36NANA
                                                          Aditya Birla SL FTP-RR-1240D-Reg(G)5.725.804.348.35NANA
                                                          ICICI Pru Floating Interest Fund(G)3.412.004.188.347.647.66
                                                          HDFC FMP-Sr 44-1100D-Apr 2019(1)-Reg(G)5.945.714.228.34NANA
                                                          Aditya Birla SL FTP-SJ-1135D-Reg(G)5.905.824.298.34NANA
                                                          Nippon India FHF-XXXVIII-5-1125D(G)4.845.605.198.34NANA
                                                          L&T Credit Risk Fund(G)6.416.923.898.344.086.21
                                                          Aditya Birla SL FTP-SI-1141D-Reg(G)5.575.674.168.33NANA
                                                          PGIM India Credit Risk Fund-Reg(G)4.2610.5811.198.332.555.54
                                                          Sundaram FTP-IE-1200D-Reg(G)3.055.556.408.337.77NA
                                                          SBI DFS-C-33-1216D-Reg(G)5.845.894.448.33NANA
                                                          Aditya Birla SL FTP-SF-1161D-Reg(G)5.415.604.138.33NANA
                                                          SBI DFS-C-30-1228D-Reg(G)5.665.954.458.31NANA
                                                          HDFC FMP-Sr 44-1126D-March 2019(1)-Reg(G)5.955.944.388.31NANA
                                                          Axis FTP-101-1154D-Reg(G)5.335.804.278.31NANA
                                                          HDFC FMP-Sr 43-1190D-Jan 2019(1)-Reg(G)5.626.064.408.31NANA
                                                          Nippon India FHF-XXXVIII-7-1116D(G)4.595.435.038.29NANA
                                                          Axis FTP-102-1133D-Reg(G)5.415.754.258.29NANA
                                                          SBI DFS-C-25-1100D-Reg(G)3.834.774.728.29NANA
                                                          HDFC FMP-Sr 43-1154D-Feb 2019(1)-Reg(G)5.785.934.338.28NANA
                                                          Nippon India FHF-XXXX-14-1183D(G)5.715.764.198.28NANA
                                                          Kotak FMP-223-1153D(G)4.185.075.598.288.05NA
                                                          Nippon India FHF-XXXX-5-1230D(G)5.835.744.208.28NANA
                                                          SBI DFS-C-35-1235D-Reg(G)5.785.644.258.27NANA
                                                          Invesco India Corporate Bond Fund(G)8.687.203.778.278.677.50
                                                          HDFC FMP-Sr 43-1196D-Dec 2018(1)-Reg(G)5.775.974.378.26NANA
                                                          ICICI Pru Corp Bond Fund(G)4.795.484.058.268.638.28
                                                          Kotak FMP-265-1194D(G)5.976.244.348.26NANA
                                                          Aditya Birla SL FTP-RY-1199D-Reg(G)5.205.574.128.25NANA
                                                          Sundaram Corp Bond Fund(G)8.937.924.268.249.268.48
                                                          Aditya Birla SL FTP-RW-1202D-Reg(G)5.165.544.108.24NANA
                                                          ICICI Pru FMP-85-1156D-G(G)5.946.244.428.24NANA
                                                          Nippon India FHF-XXXX-4-1235D(G)5.655.644.158.23NANA
                                                          SBI DFS-C-43-1176D-Reg(G)5.665.944.198.22NANA
                                                          Nippon India FHF-XXXIX-15-1259D(G)5.725.794.198.21NANA
                                                          HDFC FMP-Sr 42-1381D-Sep 2018(1)-Reg(G)6.386.224.508.20NANA
                                                          ICICI Pru FMP-87-1141D-G(G)9.777.944.658.20NANA
                                                          Aditya Birla SL FTP-SG-1155D-Reg(G)5.855.724.248.20NANA
                                                          Nippon India Corp Bond Fund(G)7.927.214.848.207.787.82
                                                          HSBC FTS-139-Reg(G)5.465.904.298.19NANA
                                                          Nippon India FHF-XXXX-15-1177D(G)5.535.684.178.19NANA
                                                          Aditya Birla SL FTP-RU-1225D-Reg(G)5.405.544.098.18NANA
                                                          HSBC FTS-137-Reg(G)6.596.134.658.17NANA
                                                          PGIM India Premier Bond Fund(G)10.857.434.288.167.667.06
                                                          SBI DFS-C-34-1211D-Reg(G)6.035.734.328.15NANA
                                                          HDFC FMP-Sr 44-1127D-March 2019(1)-Reg(G)5.835.814.258.15NANA
                                                          TATA FMP-55-F-1100D(G)6.486.966.798.15NANA
                                                          IDFC FTP-149-1424D-Reg(G)5.966.114.398.14NANA
                                                          Nippon India FHF-XXXX-7-1217D(G)5.865.764.188.14NANA
                                                          SBI Magnum Income Fund-Reg(G)6.576.572.918.149.328.63
                                                          HDFC FMP-Sr 43-1232D-Nov 2018(1)-Reg(G)5.775.834.328.14NANA
                                                          Aditya Birla SL FTP-SL-1120D-Reg(G)5.655.774.258.13NANA
                                                          Nippon India FHF-XXXIX-4-1323D(G)5.926.334.648.13NANA
                                                          ICICI Pru FMP-84-1204D-Y(G)5.756.074.588.12NANA
                                                          HDFC FMP-Sr 43-1203D-Dec 2018(1)-Reg(G)5.976.014.408.12NANA
                                                          L&T FMP-XVIII-D-1155D(G)5.305.584.108.12NANA
                                                          HDFC FMP-Sr 44-1133D-Feb 2019(1)-Reg(G)5.925.864.338.12NANA
                                                          Aditya Birla SL FTP-RV-1224D-Reg(G)5.465.534.078.12NANA
                                                          Nippon India FHF-XXXIX-6-1316D(G)6.076.374.678.11NANA
                                                          Baroda FMP-P-Reg(G)6.255.794.378.11NANA
                                                          Nippon India FHF-XXXX-17-1167D(G)5.555.644.168.11NANA
                                                          IDFC Banking & PSU Debt Fund-Reg(G)7.197.073.958.119.578.23
                                                          Nippon India FHF-XXXX-11-1196D(G)5.765.724.208.10NANA
                                                          Nippon India FHF-XXXX-6-1224D(G)5.765.694.158.10NANA
                                                          UTI FTIF-XXXIII-I(1135D)(G)9.097.484.428.09NANA
                                                          Aditya Birla SL Income Fund(G)9.618.583.118.089.407.97
                                                          UTI FTIF-XXX-XII(1254D)(G)6.216.154.648.08NANA
                                                          SBI DFS-C-41-1178D-Reg(G)5.515.774.098.07NANA
                                                          ICICI Pru FMP-85-1178D-B(G)5.816.054.228.07NANA
                                                          UTI FTIF-XXXI-I(1209D)(G)5.965.894.528.07NANA
                                                          ICICI Pru FMP-85-1168D-E(G)5.916.144.378.06NANA
                                                          HDFC FMP-Sr 42-1372D-Sep 2018(1)-Reg(G)6.025.904.268.06NANA
                                                          ICICI Pru FMP-84-1272D-Q(G)6.216.254.388.05NANA
                                                          HDFC FMP-Sr 43-1218D-Dec 2018(1)-Reg(G)6.015.934.368.04NANA
                                                          DSP FMP 250-39M-Reg(G)5.415.414.028.04NANA
                                                          ICICI Pru Bond Fund(G)7.367.222.618.028.988.24
                                                          Nippon India FHF-XXXVIII-6-1119D(G)4.395.174.758.02NANA
                                                          Kotak FMP-220-1150D(G)4.275.145.808.028.10NA
                                                          ICICI Pru FMP-83-1735D-P(G)11.287.924.778.00NANA
                                                          SBI FMP-31-1160D-Reg(G)10.687.934.618.00NANA
                                                          SBI DFS-C-49-1178D-Reg(G)6.055.864.148.00NANA
                                                          ICICI Pru FMP-85-1197D-A(G)5.936.224.337.99NANA
                                                          BNP Paribas Short Term Fund(G)7.986.693.637.997.557.48
                                                          HDFC FMP-Sr 44-1120D-Mar 2019(1)-Reg(G)5.865.684.237.99NANA
                                                          HDFC FMP-Sr 44-1118D-Mar 2019(1)-Reg(G)5.815.704.237.98NANA
                                                          BNP Paribas Short Term Fund-Reg(G)7.996.703.647.977.647.62
                                                          DSP FMP 251-38M-Reg(G)5.655.333.967.97NANA
                                                          Nippon India FHF-XLII-4-1159D(G)11.588.164.857.96NANA
                                                          Edelweiss Banking and PSU Debt Fund-Reg(G)7.529.683.117.9610.268.59
                                                          ICICI Pru FMP-84-1288D-O(G)6.316.204.417.96NANA
                                                          TATA FMP-56-F-1225D(G)5.355.403.967.95NANA
                                                          HDFC FMP-Sr 43-1211D-Dec 2018(1)-Reg(G)5.895.914.367.95NANA
                                                          L&T FMP-XVIII-B-1229D(G)5.425.473.987.95NANA
                                                          HDFC FMP-Sr 43-1265D-Oct 2018(1)-Reg(G)5.785.964.387.94NANA
                                                          ICICI Pru FMP-85-1175D-D(G)5.766.134.307.94NANA
                                                          Axis FTP-104-1112D-Reg(G)5.285.514.047.94NANA
                                                          Nippon India FHF-XXXIX-9-1296D(G)5.706.324.647.94NANA
                                                          Aditya Birla SL Banking & PSU Debt-Ret(G)7.976.603.547.938.878.60
                                                          Aditya Birla SL Banking & PSU Debt(G)7.976.603.547.938.878.60
                                                          HDFC FMP-Sr 43-1246D-Nov 2018(1)-Reg(G)5.845.994.377.93NANA
                                                          Kotak FMP-247-1308D(G)6.406.584.977.93NANA
                                                          Aditya Birla SL FTP-SO-1099D-Reg(G)5.775.424.037.92NANA
                                                          UTI FTIF-XXXI-III(1174D)(G)5.875.854.467.92NANA
                                                          UTI FTIF-XXIX-V(1113D)(G)4.205.095.797.92NANA
                                                          Nippon India FHF-XXXX-2-1245D(G)5.645.714.157.92NANA
                                                          UTI FTIF-XXX-VIII(1286D)(G)6.116.094.677.91NANA
                                                          HDFC FMP-Sr 43-1224D-Dec 2018(1)-Reg(G)5.835.774.297.90NANA
                                                          Union Corporate Bond Fund-Reg(G)9.147.543.177.90NANA
                                                          HDFC FMP-Sr 42-1113D-Aug 2018(1)-Reg(G)3.994.484.327.90NANA
                                                          Nippon India Short Term Fund(G)7.978.164.907.908.097.77
                                                          Kotak FMP-243-1319D(G)6.046.304.647.90NANA
                                                          HDFC Floating Rate Debt Fund(G)6.685.454.907.897.967.93
                                                          Nippon India Banking & PSU Debt Fund(G)6.047.203.717.889.12NA
                                                          Kotak FMP-267-1182D(G)5.975.804.277.88NANA
                                                          ICICI Pru FMP-84-1247D-W(G)6.396.144.307.87NANA
                                                          UTI FTIF-XXXI-VI(1167D)(G)5.405.474.057.87NANA
                                                          ICICI Pru FMP-85-1156D-F(G)5.756.044.227.85NANA
                                                          HDFC FMP-Sr 43-1280D-Oct 2018(1)-Reg(G)5.665.964.367.85NANA
                                                          SBI DFS-C-50-1177D-Reg(G)6.406.034.367.85NANA
                                                          ICICI Pru FMP-85-1129D-P(G)5.896.114.407.84NANA
                                                          UTI ST Income Fund-Reg(G)7.095.723.577.833.755.80
                                                          ICICI Pru FMP-85-1127D-Q(G)5.655.974.237.82NANA
                                                          SBI DFS-C-40-1177D-Reg(G)5.475.704.047.81NANA
                                                          Axis Short Term Fund-Reg(G)7.175.323.617.818.468.01
                                                          Aditya Birla SL FTP-RO-1241D-Reg(G)5.775.694.357.80NANA
                                                          SBI DFS-C-46-1178D-Reg(G)5.655.694.057.80NANA
                                                          SBI DFS-C-28-1240D-Reg(G)5.155.303.887.79NANA
                                                          TATA FMP-56-B-1105D(G)5.025.575.277.79NANA
                                                          Nippon India FHF-XXXIX-8-1308D(G)5.806.284.667.79NANA
                                                          Kotak Corporate Bond Fund(G)5.636.193.677.788.398.16
                                                          HDFC FMP-XXXX-1434D-May 2018(1)-Reg(G)5.515.654.167.76NANA
                                                          ICICI Pru FMP-84-1279D-P(G)6.226.134.297.76NANA
                                                          L&T Banking and PSU Debt Fund-Reg(G)8.666.823.737.748.427.95
                                                          ICICI Pru FMP-86-1099D-A(G)5.736.124.257.73NANA
                                                          IDFC Credit Risk Fund-Reg(G)7.485.754.827.737.08NA
                                                          ICICI Pru Banking & PSU Debt Fund(G)6.344.724.037.728.108.33
                                                          Kotak FMP-248-1300D(G)6.216.494.867.72NANA
                                                          Aditya Birla SL FTP-PV-1462D-Reg(G)5.826.034.327.71NANA
                                                          TATA FMP-56-D-1134D(G)4.675.024.237.70NANA
                                                          Aditya Birla SL FTP-SA-1180D-Reg(G)5.425.644.087.70NANA
                                                          HDFC FMP-Sr 43-1274D-Oct 2018(1)-Reg(G)5.895.934.367.68NANA
                                                          UTI FTIF-XXX-XV(1223D)(G)6.716.104.577.67NANA
                                                          Nippon India FHF-XXXVII-10-1131D(G)4.174.894.677.67NANA
                                                          Kotak FMP-253-1260D(G)6.106.274.467.67NANA
                                                          Aditya Birla SL FTP-RN-1240D-Reg(G)5.435.434.047.67NANA
                                                          ICICI Pru FMP-84-1224D-S(G)5.815.974.267.67NANA
                                                          Kotak Banking and PSU Debt Fund(G)6.304.993.067.668.938.34
                                                          Franklin India FMP-4-D-1098D(G)4.154.684.297.66NANA
                                                          Kotak FMP-252-1261D(G)5.996.074.237.66NANA
                                                          UTI FTIF-XXX-X(1267D)(G)6.186.304.747.65NANA
                                                          ICICI Pru FMP-84-1245D-N(G)5.705.874.147.65NANA
                                                          IIFL Dynamic Bond Fund-Reg(G)11.388.455.407.647.017.13
                                                          ICICI Pru FMP-84-1254D-U(G)6.206.044.287.63NANA
                                                          Kotak Dynamic Bond Fund-Reg(G)6.194.881.867.619.549.15
                                                          PGIM India FDF-AY-Reg(G)5.996.324.557.59NANA
                                                          Nippon India FHF-XXXVII-6-1417D(G)5.456.234.467.59NANA
                                                          DSP Corp Bond Fund-Reg(G)5.255.063.677.58NANA
                                                          Kotak FMP-226-1470D(G)6.706.494.617.56NANA
                                                          Kotak FMP-259-1265D(G)7.356.344.567.56NANA
                                                          Axis Banking & PSU Debt Fund-Reg(G)6.705.933.807.568.818.28
                                                          Aditya Birla SL FTP-PU-1463D-Reg(G)5.946.134.377.55NANA
                                                          Aditya Birla SL FTP-QC-1116D-Reg(G)14.427.656.297.54NANA
                                                          Kotak FMP-261-1265D(G)7.236.344.597.54NANA
                                                          Kotak FMP-250-1314D(G)6.686.464.667.54NANA
                                                          BNP Paribas Corp Bond Fund-Reg(G)6.855.082.447.534.976.36
                                                          Kotak FMP-257-1267D(G)6.816.314.577.52NANA
                                                          HDFC FMP-Sr 43-1260D-Oct 2018(1)-Reg(G)5.575.754.147.51NANA
                                                          IDFC Bond Fund - Short Term Plan-Reg(G)7.616.573.557.508.407.82
                                                          DSP Bond Fund-Reg(G)6.966.573.757.505.236.48
                                                          Axis Dynamic Bond Fund-Reg(G)8.199.142.617.509.778.54
                                                          UTI FTIF-XXXI-VIII(1153D)(G)5.565.423.997.49NANA
                                                          SBI DFS-C-26-1125D-Reg(G)4.514.874.067.49NANA
                                                          Kotak FMP-255-1250D(G)5.846.054.227.48NANA
                                                          L&T Triple Ace Bond Fund-Reg(G)7.137.452.157.4610.017.99
                                                          Kotak FMP-254-1250D(G)6.026.174.367.46NANA
                                                          Nippon India FHF-XXXIX-14-1275D(G)5.575.323.987.46NANA
                                                          UTI ST Income Fund-Discontinued-Reg(G)6.775.403.247.463.335.39
                                                          SBI FMP-32-1140D-Reg(G)9.387.684.317.45NANA
                                                          ICICI Pru FMP-85-1127D-O(G)5.845.744.137.45NANA
                                                          SBI DFS-C-38-1224D-Reg(G)5.465.644.007.39NANA
                                                          BNP Paribas Corp Bond Fund(G)6.384.602.117.354.966.34
                                                          HDFC FMP-Sr 41-1133D-July 2018(1)-Reg(G)4.424.974.497.34NANA
                                                          ICICI Pru Savings Fund(G)4.313.124.227.347.727.88
                                                          DSP Banking & PSU Debt Fund-Reg(G)8.077.123.607.348.848.25
                                                          PGIM India Banking & PSU Debt Fund(G)12.147.023.807.338.637.99
                                                          TATA FMP-56-C-1099D(G)4.014.693.997.31NANA
                                                          Kotak FMP-251-1265D(G)5.335.654.027.30NANA
                                                          Franklin India FMP-4-B-1098D(G)4.234.694.377.30NANA
                                                          Franklin India FMP-4-E-1098D(G)3.824.423.997.29NANA
                                                          ICICI Pru FMP-85-1143D-J(G)6.125.894.257.25NANA
                                                          IDFC FTP-161-1098D-Reg(G)4.014.733.987.24NANA
                                                          HDFC Low Duration Fund(G)5.184.044.317.237.257.26
                                                          Kotak FMP-263-1203D(G)6.105.904.207.23NANA
                                                          Aditya Birla SL FTP-RD-1293D-Reg(G)4.885.213.947.19NANA
                                                          ICICI Pru FMP-84-1286D-F(G)5.495.944.307.19NANA
                                                          SBI Corp Bond Fund-Reg(G)7.405.853.007.19NANA
                                                          Franklin India FMP-4-C-1098D(G)4.014.453.947.19NANA
                                                          Sundaram Short Term Debt Fund(G)6.175.023.257.193.055.05
                                                          Invesco India FMP-32-D(1099D)(G)4.334.733.997.16NANA
                                                          Kotak Bond Short Term Fund(G)5.974.942.867.168.227.80
                                                          ICICI Pru FMP-84-1275D-K(G)5.315.894.167.13NANA
                                                          Tata ST Bond Fund(G)7.355.282.677.125.756.49
                                                          Invesco India FMP-32-E(1099D)(G)4.014.653.917.11NANA
                                                          Invesco India FMP-32-C(1099D)(G)4.294.774.177.11NANA
                                                          ICICI Pru FMP-84-1288D-E(G)5.515.874.237.10NANA
                                                          TATA FMP-55-I-1113D(G)3.744.393.837.10NANA
                                                          TATA FMP-55-G-1100D(G)4.054.543.857.08NANA
                                                          Aditya Birla SL FTP-RC-1295D-Reg(G)5.235.303.947.07NANA
                                                          Aditya Birla SL FTP-RL-1254D-Reg(G)5.385.273.907.05NANA
                                                          Canara Rob Short Duration Fund-Reg(G)6.405.643.357.057.507.44
                                                          Aditya Birla SL Floating Rate Fund-Ret(G)7.656.333.977.057.848.00
                                                          Aditya Birla SL Floating Rate Fund(G)7.656.333.977.057.848.00
                                                          ICICI Pru FMP-84-1293D-D(G)5.956.014.417.04NANA
                                                          SBI Banking and PSU Fund-Reg(G)6.694.372.617.048.478.02
                                                          Kotak Low Duration Fund(G)5.044.463.437.027.407.78
                                                          Aditya Birla SL FTP-RH-1281D-Reg(G)5.455.543.987.00NANA
                                                          Canara Rob Corp Bond Fund-Reg(G)7.806.553.166.977.937.46
                                                          HDFC FMP-Sr 42-1105D-Aug 2018(1)-Reg(G)4.004.504.026.97NANA
                                                          SBI DFS-C-24-1100D-Reg(G)3.664.293.806.95NANA
                                                          Aditya Birla SL FTP-QF-1385D-Reg(G)5.916.194.336.95NANA
                                                          Tata Income Fund-Reg(G)6.686.051.436.897.877.31
                                                          Aditya Birla SL FTP-RE-1100D-Reg(G)3.834.394.186.85NANA
                                                          LIC MF Savings Fund(G)4.594.094.506.845.666.52
                                                          Baroda ST Bond Fund(G)6.446.453.956.837.487.88
                                                          Franklin India FMP-4-A-1098D(G)3.303.933.806.83NANA
                                                          Nippon India Low Duration Fund(G)5.225.794.496.826.957.29
                                                          Invesco India Banking & PSU Debt Fund(G)6.228.582.176.818.127.32
                                                          Invesco India Short Term Fund(G)7.485.842.886.797.717.33
                                                          IDFC FTP-160-1105D-Reg(G)3.874.413.726.76NANA
                                                          SBI DFS-C-23-1100D-Reg(G)3.734.393.806.75NANA
                                                          DSP Short Term Fund-Reg(G)8.026.303.296.747.907.48
                                                          Nippon India Low Duration Fund-Ret(G)5.145.714.416.746.636.89
                                                          TATA FMP-56-A-1104D(G)3.594.123.556.72NANA
                                                          L&T FMP-XVII-C-1114D(G)3.604.163.596.71NANA
                                                          Aditya Birla SL Low Duration Fund(G)5.305.103.746.697.337.37
                                                          UTI FTIF-XXX-V(1135D)(G)3.864.283.696.66NANA
                                                          ICICI Pru FMP-83-1101D-Z(G)3.974.403.886.66NANA
                                                          Aditya Birla SL FTP-PY-1409D-Reg(G)6.146.254.366.65NANA
                                                          DSP Credit Risk Fund-Reg(G)4.494.443.816.652.065.14
                                                          Canara Rob FMP-8-Reg(G)3.924.343.806.64NANA
                                                          Edelweiss FMP-49-Reg(G)3.473.933.766.64NANA
                                                          HSBC FTS-136-Reg(G)4.406.386.026.63NANA
                                                          IDFC FTP-159-1098D-Reg(G)3.433.973.746.61NANA
                                                          PGIM India FDF-BA-Reg(G)5.425.454.096.58NANA
                                                          Franklin India Banking & PSU Debt Fund(G)8.767.263.946.589.078.18
                                                          TATA FMP-55-D-1100D(G)3.593.973.546.57NANA
                                                          Kotak FMP-237-1186D(G)4.244.674.196.56NANA
                                                          Invesco India Credit Risk Fund(G)6.645.992.556.511.975.24
                                                          HDFC FMP-Sr 42-1115D-Sep 2018(1)-Reg(G)3.704.303.776.50NANA
                                                          Invesco India FMP-32-A(1105D)(G)3.343.983.646.49NANA
                                                          UTI FTIF-XXIX-IV(1422D)(G)5.515.514.076.48NANA
                                                          L&T Short Term Bond Fund-Reg(G)8.445.913.316.488.157.72
                                                          Franklin India FMP-3-F-1098D(G)3.213.723.786.47NANA
                                                          SBI Short Term Debt Fund-Ret(G)6.794.352.656.457.967.77
                                                          SBI Short Term Debt Fund-Reg(G)6.794.342.656.457.967.76
                                                          Invesco India FMP-32-B(1100D)(G)3.303.953.626.43NANA
                                                          Axis FTP-95-1185D-Reg(G)3.293.863.366.42NANA
                                                          HDFC FMP-Sr 42-1105D-Aug 2018(2)-Reg(G)3.684.173.716.41NANA
                                                          HDFC FMP-Sr 42-1122D-Aug 2018(1)-Reg(G)3.724.293.796.41NANA
                                                          ICICI Pru FMP-74-9Y-U(G)13.267.684.656.399.659.29
                                                          IDFC FTP-156-1103D-Reg(G)3.474.043.626.38NANA
                                                          PGIM India Short Maturity Fund(G)9.805.643.146.373.925.93
                                                          DSP FMP 244-36M-Reg(G)3.433.863.416.37NANA
                                                          ICICI Pru FMP-83-1111D-Y(G)3.984.343.766.36NANA
                                                          L&T FMP-XVIII-A-1104D(G)3.423.843.396.35NANA
                                                          TATA FMP-55-B-1098D(G)3.133.643.486.34NANA
                                                          Axis Treasury Advantage Fund-Reg(G)5.144.943.916.347.457.49
                                                          UTI FTIF-XXX-II(1107D)(G)3.704.153.596.32NANA
                                                          Tata Treasury Advantage Fund(G)5.535.073.786.305.306.51
                                                          HDFC Dynamic Debt Fund(G)7.163.152.336.295.306.10
                                                          Nippon India FHF-XXXVIII-12-1159D(G)3.684.283.626.29NANA
                                                          Aditya Birla SL Savings-Ret(G)4.614.874.016.277.347.75
                                                          Aditya Birla SL Savings Fund-Reg(G)4.614.874.016.277.347.75
                                                          BNP Paribas Low Duration Fund-Reg(G)5.295.714.306.277.447.50
                                                          SBI DFS-C-21-1100D-Reg(G)3.384.043.726.25NANA
                                                          JM Dynamic Debt Fund-Reg(G)8.866.113.056.246.467.26
                                                          Nippon India FHF-XXXVIII-3-1105D(G)3.694.073.766.24NANA
                                                          ICICI Pru FMP-83-1107D-Q(G)3.874.143.776.23NANA
                                                          Tata Dynamic Bond Fund-Reg(G)10.077.453.476.207.157.06
                                                          DSP FMP 236-36M-Reg(G)3.253.693.376.20NANA
                                                          IL&FS Infra Debt Fund - Series 3-B-Reg(IDCW)NA6.235.946.19NANA
                                                          HDFC FMP-Sr 41-1122D-July 2018(1)-Reg(G)3.754.113.776.19NANA
                                                          ICICI Pru FMP-84-1101D-A(G)3.653.953.656.18NANA
                                                          UTI FTIF-XXIX-XI(1112D)(G)3.374.083.886.17NANA
                                                          Kotak FMP-240-1160D(G)3.994.383.796.16NANA
                                                          TATA FMP-55-A-1098D(G)3.113.573.466.16NANA
                                                          IDFC FTP-179-3652D-Reg(G)7.127.032.596.15NANA
                                                          Kotak FMP-242-1152D(G)4.074.463.826.15NANA
                                                          Sundaram FTP-IJ-1099D-Reg(G)3.363.873.696.15NANA
                                                          Invesco India Treasury Advantage Fund(G)5.505.143.756.157.407.42
                                                          ICICI Pru Ultra Short Term Fund Fund(G)4.214.724.156.157.117.75
                                                          ICICI Pru FMP-83-1100D-R(G)3.754.013.656.14NANA
                                                          Mirae Asset Short Term Fund(G)7.476.463.436.147.57NA
                                                          TATA FMP-54-A-1136D(G)3.023.553.466.12NANA
                                                          Nippon India FHF-XLI-8-3654D(G)8.937.452.816.11NANA
                                                          IDFC FTP-154-1098D-Reg(G)3.123.823.596.11NANA
                                                          UTI FTIF-XXIX-VII(1135D)(G)3.383.993.706.10NANA
                                                          Franklin India FMP-3-E-1104D(G)3.193.503.586.09NANA
                                                          ICICI Pru Constant Maturity Gilt Fund(G)10.756.141.756.0911.369.81
                                                          UTI Banking & PSU Debt Fund-Reg(G)6.144.962.716.064.446.47
                                                          IDFC Bond Fund - Medium Term Plan-Reg(G)8.375.242.386.068.367.75
                                                          DSP FMP 237-36M-Reg(G)3.473.783.396.06NANA
                                                          Sundaram FTP-IK-1098D-Reg(G)3.503.943.656.05NANA
                                                          UTI Treasury Advantage Fund-Reg(G)4.844.903.786.052.985.45
                                                          LIC MF Banking & PSU Debt Fund(G)6.545.592.676.048.127.43
                                                          Sundaram Banking & PSU Debt Fund(G)3.643.843.296.037.867.40
                                                          Sundaram Banking & PSU Debt Fund-Ret(G)3.643.843.296.037.867.03
                                                          Aditya Birla SL FTP-RI-1100D-Reg(G)3.654.023.416.03NANA
                                                          ICICI Pru FMP-85-10Y-I(G)6.927.112.356.03NANA
                                                          ICICI Pru FMP-83-1100D-S(G)3.764.013.586.00NANA
                                                          SBI DFS-C-20-1100D-Reg(G)3.383.803.425.99NANA
                                                          UTI FTIF-XXIX-XIV(1131D)(G)3.493.823.545.97NANA
                                                          HDFC FMP-Sr 41-1113D-June 2018(1)-Reg(G)3.463.863.745.97NANA
                                                          Nippon India FHF-XXXVII-12-1119D(G)3.393.783.505.97NANA
                                                          SBI FMP-1-3668D-Reg(G)6.746.512.495.97NANA
                                                          SBI FMP-33-1128D-Reg(G)9.806.303.835.96NANA
                                                          DSP FMP 223-39M-Reg(G)3.103.433.395.967.78NA
                                                          UTI FTIF-XXIX-VI(1135D)(G)3.313.753.595.94NANA
                                                          ICICI Pru FMP-83-1103D-L(G)3.433.903.775.94NANA
                                                          DSP FMP 227-39M-Reg(G)2.973.403.395.947.70NA
                                                          Invesco India FMP-30-D(1169D)(G)3.173.503.535.947.89NA
                                                          HDFC FMP-XXXX-1119D-June 2018(1)-Reg(G)3.423.883.725.94NANA
                                                          UTI FTIF-XXIX-VIII(1127D)(G)3.553.913.575.91NANA
                                                          Canara Rob Income Fund-Reg(G)9.016.291.875.918.337.59
                                                          Aditya Birla SL FTP-QV-1100D-Reg(G)3.573.963.495.90NANA
                                                          DSP FMP 226-39M-Reg(G)3.083.463.395.897.79NA
                                                          DSP FMP 235-36M-Reg(G)2.973.453.285.88NANA
                                                          Kotak FMP-216-1240D(G)3.543.903.765.868.11NA
                                                          HDFC FMP-XXX-3360D-Mar 2014(1)-Reg(G)10.786.553.975.869.368.98
                                                          Nippon India FHF-XXXVIII-1-1106D(G)3.223.623.405.85NANA
                                                          Mirae Asset Savings Fund-Reg Savings Plan(G)4.584.423.345.835.996.20
                                                          Aditya Birla SL FTP-RQ-1103D-Reg(G)3.894.163.455.83NANA
                                                          PGIM India FDF-AZ-Reg(G)2.813.213.145.81NANA
                                                          ICICI Pru FMP-83-1412D-B(G)6.346.144.315.81NANA
                                                          Aditya Birla SL FTP-QU-1100D-Reg(G)3.423.793.385.81NANA
                                                          BNP Paribas Low Duration Fund(G)4.855.273.855.806.837.05
                                                          UTI Floater Fund-Reg(G)4.934.703.165.80NANA
                                                          UTI FTIF-XXIX-XV(1124D)(G)3.533.803.545.80NANA
                                                          DSP FMP 233-36M-Reg(G)2.953.413.325.78NANA
                                                          Kotak Bond Fund-Reg(G)5.100.971.945.788.697.42
                                                          Kotak FMP-217-1239D(G)3.463.823.715.778.09NA
                                                          DSP FMP 232-36M-Reg(G)2.893.303.235.77NANA
                                                          DSP FMP 220-40M-Reg(G)3.083.423.345.767.69NA
                                                          UTI FTIF-XXVIII-XII(1154D)(G)3.193.493.535.757.94NA
                                                          ICICI Pru FMP-83-1100D-O(G)3.393.803.545.74NANA
                                                          ICICI Pru FMP-83-1392D-J(G)6.346.104.335.74NANA
                                                          SBI DFS-C-19-1100D-Reg(G)3.053.493.305.73NANA
                                                          Aditya Birla SL FTP-QX-1103D-Reg(G)3.433.833.365.73NANA
                                                          ICICI Pru FMP-83-1406D-D(G)6.216.074.265.73NANA
                                                          Nippon India FHF-XXXVI-6-1160D(G)3.203.473.525.737.69NA
                                                          Nippon India FHF-XXXVII-15-1114D(G)3.243.583.405.73NANA
                                                          ICICI Pru FMP-82-1175D-Q(G)3.093.463.475.727.80NA
                                                          Kotak FMP-245-1140D(G)3.764.223.725.71NANA
                                                          ICICI Pru FMP-82-1185D-M(G)3.203.503.535.697.91NA
                                                          UTI FTIF-XXIV-XIV(1831D)(G)3.383.743.665.698.04NA
                                                          IDFC Low Duration Fund-Reg(G)5.025.083.755.687.147.51
                                                          Nippon India FHF-XXXVI-7-1153D(G)3.123.423.445.677.85NA
                                                          Nippon India FHF-XXXV-15-1207D(G)3.253.563.635.677.88NA
                                                          SBI DFS-C-18-1100D-Reg(G)2.923.373.285.67NANA
                                                          BOI AXA Short Term Income Fund-Reg(G)8.535.783.665.66-3.272.23
                                                          DSP FMP 224-39M-Reg(G)3.133.443.405.667.59NA
                                                          HDFC FMP-XXXX-1181D-April 2018(1)-Reg(G)3.183.533.465.667.81NA
                                                          Nippon India FHF-XXXVI-9-1139D(G)3.153.423.395.667.73NA
                                                          Sundaram Medium Term Bond Fund(G)7.445.081.575.666.076.61
                                                          DSP Low Duration Fund-Reg(G)5.184.913.695.667.227.43
                                                          DSP FMP 221-40M-Reg(G)3.013.333.255.647.46NA
                                                          Kotak FMP-235-1140D(G)3.623.893.545.64NANA
                                                          SBI FMP-6-3668D-Reg(G)6.366.342.185.63NANA
                                                          SBI FMP-34-3682D-Reg(G)5.986.592.535.62NANA
                                                          HDFC FMP-Sr 43-1261D-Oct 2018(1)-Reg(G)6.085.884.155.62NANA
                                                          Nippon India FHF-XXXV-14-1214D(G)3.153.493.585.627.85NA
                                                          Nippon India FHF-XXXVII-4-1438D(G)6.195.994.165.628.94NA
                                                          Franklin India Floating Rate Fund(G)4.963.403.815.626.336.21
                                                          HDFC FMP-Sr 41-1099D-June 2018(1)-Reg(G)3.313.713.605.61NANA
                                                          Kotak FMP-228-1141D(G)3.433.733.615.61NANA
                                                          Aditya Birla SL FTP-QT-1100D-Reg(G)3.223.603.355.59NANA
                                                          Nippon India Nivesh Lakshya Fund(G)-0.803.342.975.59NANA
                                                          Nippon India FHF-XXXV-13-1221D(G)3.263.583.625.597.86NA
                                                          Nippon India FHF-XXXVI-1-1179D(G)3.143.433.545.587.84NA
                                                          LIC MF ST Debt Fund-Reg(G)7.335.032.405.57NANA
                                                          SBI DFS-C-16-1100D-Reg(G)2.913.343.285.56NANA
                                                          ICICI Pru FMP-82-1215D-H(G)3.163.503.535.567.86NA
                                                          UTI Treasury Advantage-Discontinued-Reg(G)4.404.463.345.562.494.94
                                                          ICICI Pru FMP-82-1185D-N(G)3.093.423.445.557.80NA
                                                          Nippon India FHF-XXXVI-3-1173D(G)3.183.453.545.547.65NA
                                                          ICICI Pru FMP-83-1108D-H(G)3.303.763.605.54NANA
                                                          ICICI Pru FMP-84-1247D-M(G)5.565.814.045.53NANA
                                                          UTI FTIF-XXVIII-XI(1161D)(G)3.163.453.535.527.88NA
                                                          ICICI Pru FMP-82-1199D-L(G)3.263.613.585.517.81NA
                                                          Invesco India Treasury Advantage Fund-Reg(G)4.904.533.145.516.766.87
                                                          Nippon India FHF-XXXV-12-1227D(G)3.153.413.535.517.84NA
                                                          HDFC FMP-XXXX-1134D-May 2018(1)-Reg(G)3.433.733.685.51NANA
                                                          UTI FTIF-XXVIII-XIV(1147D)(G)3.113.403.495.507.82NA
                                                          HDFC FMP-XXXIX-1183D-April 2018(1)-Reg(G)3.083.433.375.507.75NA
                                                          ICICI Pru FMP-82-1170D-R(G)3.203.503.495.507.80NA
                                                          UTI FTIF-XXXI-XI(1169D)(G)7.665.963.945.48NANA
                                                          DSP G-Sec Fund-Reg(G)8.737.042.145.4810.698.98
                                                          Kotak FMP-230-1140D(G)3.393.623.475.48NANA
                                                          Nippon India FHF-XXXV-7-1269D(G)2.803.173.435.487.83NA
                                                          Tata Money Market Fund-Reg(G)4.384.704.025.474.405.84
                                                          HDFC Income Fund(G)7.995.042.145.477.306.73
                                                          HDFC FMP-XXXIX-1147D-March 2018(1)-Reg(G)2.973.283.315.467.67NA
                                                          Aditya Birla SL FTP-QS-1100D-Reg(G)3.233.593.345.46NANA
                                                          Aditya Birla SL Money Manager Fund-Ret(G)4.204.493.875.447.147.28
                                                          Aditya Birla SL Money Manager Fund(G)4.204.493.875.447.147.27
                                                          Kotak FMP-215-1240D(G)3.313.573.585.427.86NA
                                                          ICICI Pru Gilt Fund(G)4.714.442.475.429.418.95
                                                          HSBC FTS-135-Reg(G)3.353.833.515.41NANA
                                                          HDFC Ultra Short Term Fund-Reg(G)4.124.393.705.41NANA
                                                          Nippon India FHF-XXXV-11-1242D(G)2.872.993.325.407.85NA
                                                          HDFC FMP-XXXVIII-1430D-July 2017(1)-Reg(G)3.153.523.435.407.76NA
                                                          Kotak FMP-233-1140D(G)3.233.553.435.39NANA
                                                          Aditya Birla SL FTP-QY-1100D-Reg(G)3.503.873.385.39NANA
                                                          HDFC FMP-XXXIX-1145D-March 2018(1)-Reg(G)2.973.243.275.377.64NA
                                                          ICICI Pru FMP-83-1105D-F(G)3.003.433.375.36NANA
                                                          ICICI Pru FMP-82-1141D-Y(G)3.023.373.425.367.80NA
                                                          Baroda Dynamic Bond Fund(G)8.234.557.625.354.036.06
                                                          IDFC G-Sec-Invest-Reg(G)9.214.861.075.3511.269.07
                                                          ICICI Pru FMP-82-1203D-K(G)3.173.523.505.357.77NA
                                                          DSP 10Y G-Sec Fund-Reg(G)12.407.662.915.359.938.63
                                                          PGIM India FDF-BB-Reg(G)3.213.443.325.34NANA
                                                          SBI Magnum Low Duration Fund(G)4.043.723.245.337.027.31
                                                          Nippon India Ultra Short Duration Fund(G)4.495.334.825.314.125.31
                                                          ICICI Pru FMP-82-1223D-G(G)3.123.393.465.317.75NA
                                                          HDFC Money Market Fund(G)4.034.333.785.316.987.07
                                                          Aditya Birla SL FTP-QB-1113D-Reg(G)3.343.753.545.30NANA
                                                          Nippon India FHF-XXXVII-1-1122D(G)3.163.343.325.307.64NA
                                                          Aditya Birla SL FTP-QO-1100D-Reg(G)3.213.563.325.25NANA
                                                          Aditya Birla SL FTP-PZ-1120D-Reg(G)3.373.763.525.24NANA
                                                          Mahindra Manulife Low Duration Fund-Reg(G)4.494.323.265.246.59NA
                                                          Indiabulls Dynamic Bond Fund-Reg(G)8.675.874.255.23NANA
                                                          ICICI Pru FMP-82-1219D-D(G)3.083.353.405.197.71NA
                                                          HSBC FTS-134-Reg(G)2.953.493.385.18NANA
                                                          Aditya Birla SL FTP-QN-1100D-Reg(G)3.193.523.295.17NANA
                                                          ICICI Pru Money Market Fund(G)4.004.173.695.176.857.10
                                                          Aditya Birla SL FTP-RA-1100D-Reg(G)3.323.773.315.17NANA
                                                          Kotak FMP-224-1150D(G)3.043.323.315.167.70NA
                                                          Nippon India FHF-XXXVII-5-1105D(G)3.153.283.275.15NANA
                                                          Canara Rob Savings Fund-Reg(G)4.154.043.295.126.737.18
                                                          Kotak FMP-219-1173D(G)3.073.243.275.117.63NA
                                                          Axis Money Market Fund-Reg(G)3.914.213.785.10NANA
                                                          UTI Money Market Fund-Reg(G)3.714.193.755.086.877.11
                                                          Aditya Birla SL FTP-QG-1100D-Reg(G)2.913.353.205.08NANA
                                                          UTI Bond Fund-Reg(G)5.284.091.265.06-0.723.39
                                                          ICICI Pru FMP-83-1105D-A(G)2.913.253.285.06NANA
                                                          ICICI Pru FMP-82-1223D-E(G)3.053.313.375.037.66NA
                                                          IDFC Dynamic Bond Fund-Reg(G)9.084.520.925.039.938.36
                                                          Aditya Birla SL FTP-QE-1101D-Reg(G)3.123.563.325.03NANA
                                                          Sundaram Low Duration Fund-Reg(G)4.033.833.145.023.055.15
                                                          Sundaram Low Duration Fund-Ret(G)4.033.833.145.023.054.89
                                                          SBI Magnum Gilt Fund-Reg(G)4.816.222.415.0110.069.07
                                                          BNP Paribas Medium Term Fund(G)9.345.582.325.012.834.93
                                                          Aditya Birla SL FTP-QL-1099D-Reg(G)2.993.423.295.01NANA
                                                          Quantum Dynamic Bond Fund(G)-Direct Plan8.596.313.824.998.77NA
                                                          IDBI Ultra ST(G)3.653.403.874.975.946.45
                                                          IDFC G-Sec-Constant Maturity Plan-Reg(G)6.744.410.754.9712.1610.13
                                                          Axis Gilt Fund-Reg(G)10.633.302.414.9610.208.34
                                                          DSP Savings Fund-Reg(G)4.514.433.674.956.646.56
                                                          Nippon India Money Market Fund(G)3.724.243.834.946.947.11
                                                          Aditya Birla SL FTP-QJ-1098D-Reg(G)2.963.413.184.92NANA
                                                          Kotak FMP-214-1240D(G)3.073.273.304.927.53NA
                                                          Union Dynamic Bond(G)8.315.741.064.928.216.83
                                                          HSBC Flexi Debt Fund(G)8.885.271.654.917.936.80
                                                          Aditya Birla SL FTP-QK-1099D-Reg(G)2.953.353.204.88NANA
                                                          Franklin India Savings Fund(G)4.043.993.544.866.957.30
                                                          Invesco India Money Market Fund(G)4.194.513.684.846.366.92
                                                          Aditya Birla SL FTP-QI-1100D-Reg(G)2.933.323.214.84NANA
                                                          PGIM India Dynamic Bond Fund(G)10.985.752.004.808.508.06
                                                          Kotak Savings Fund(G)3.423.763.234.776.587.09
                                                          SBI Magnum Ultra Short Duration Fund-Reg(G)3.733.953.374.776.807.06
                                                          Mahindra Manulife Dynamic Bond Yojana-Reg(G)4.673.982.824.76NANA
                                                          LIC MF G-Sec Fund-Reg(G)11.096.312.234.739.757.98
                                                          SBI Savings Fund-Reg(G)3.603.893.444.736.456.94
                                                          DSP Strategic Bond Fund-Reg(G)10.176.751.634.719.538.01
                                                          PGIM India Ultra ST Fund-Reg(G)3.823.983.494.718.136.89
                                                          Aditya Birla SL FTP-QM-1100D-Reg(G)3.043.463.224.69NANA
                                                          Aditya Birla SL G-Sec Fund(G)8.836.292.014.6910.079.15
                                                          UTI Ultra Short Term Fund-Reg(G)3.523.633.614.674.796.28
                                                          HSBC Flexi Debt-Reg(G)8.635.021.404.657.666.54
                                                          Mahindra Manulife Ultra Short Term Fund-Reg(G)3.663.783.214.63NANA
                                                          Kotak Money Market Fund(G)3.714.123.634.626.707.05
                                                          Kotak FMP-225-1128D(G)3.023.213.184.627.40NA
                                                          Axis Ultra Short Term Fund-Reg(G)3.533.843.324.62NANA
                                                          Nippon India Dynamic Bond(G)4.804.981.054.588.027.48
                                                          UTI Money Market Fund-Discontinued-Reg(G)3.213.693.244.556.336.55
                                                          PGIM India Ultra ST Fund(G)3.643.803.314.538.608.20
                                                          Quant Liquid Plan(G)4.214.304.244.516.126.82
                                                          HSBC Ultra Short Duration Fund-Reg(G)3.464.003.394.50NANA
                                                          Kotak Gilt Fund-Reg(G)7.773.782.484.499.668.29
                                                          Nippon India ETF Long Term Gilt10.855.831.634.489.82NA
                                                          UTI Dynamic Bond Fund-Reg(G)4.293.411.034.471.815.11
                                                          HDFC Gilt Fund(G)6.664.441.144.457.907.60
                                                          SBI Magnum Constant Maturity Fund(G)7.584.730.924.4310.419.58
                                                          IDFC Ultra Short Term Fund-Reg(G)3.613.763.224.42NANA
                                                          IDFC Bond Fund - Income Plan-Reg(G)8.414.380.654.419.277.89
                                                          PGIM India Gilt Fund(G)12.106.212.184.408.537.88
                                                          L&T Gilt Fund-Reg(G)6.382.58-0.084.368.027.73
                                                          JM Income Fund(G)8.982.47-0.254.352.063.41
                                                          L&T Ultra Short Term Fund(G)3.523.803.304.346.417.04
                                                          L&T Ultra ST-Reg(G)3.533.803.294.346.417.04
                                                          HSBC Short Duration Fund(G)8.636.403.594.333.295.10
                                                          Aditya Birla SL FTP-PT-1100D-Reg(G)2.913.093.134.28NANA
                                                          Indiabulls Short Term Fund(G)5.963.932.624.275.706.73
                                                          L&T Flexi Bond Fund-Reg(G)5.892.430.234.258.127.95
                                                          LIC MF G-Sec LT ETF-(G)10.695.511.214.259.478.16
                                                          Baroda Ultra Short Duration Fund(G)4.464.423.594.24NANA
                                                          Aditya Birla SL FTP-PW-1100D-Reg(G)3.053.193.194.22NANA
                                                          Invesco India Ultra Short Term Fund(G)3.513.663.074.176.217.16
                                                          BOI AXA Ultra Short Duration Fund-Reg(G)3.493.673.074.116.177.29
                                                          Nippon India Inv-Annual-I-Ret(G)3.743.903.744.116.256.87
                                                          Nippon India Inv-Annual-I(G)3.733.903.744.116.256.87
                                                          Invesco India Money Market Fund-Reg(G)3.493.802.974.115.596.18
                                                          SBI Dynamic Bond Fund-Reg(G)3.004.250.944.099.268.49
                                                          LIC MF Bond Fund(G)8.235.501.344.087.816.87
                                                          Sundaram Money Market Fund-Reg(G)3.183.453.364.07NANA
                                                          Tata Ultra Short Term Fund-Reg(G)3.543.583.054.02NANA
                                                          IDFC Money Manager Fund-Reg(G)3.263.622.954.015.686.44
                                                          IIFCL MF-Infra Debt Fund-Sr INA-15.14-8.723.99-1.913.61
                                                          Baroda Gilt Fund(G)7.113.920.793.958.017.22
                                                          L&T Money Market Fund-Reg(G)2.602.852.763.916.447.33
                                                          LIC MF Ultra Short Term Fund-Reg(G)3.743.333.123.88NANA
                                                          Nippon India Gilt Securities Fund(G)9.265.481.183.8710.059.20
                                                          ICICI Pru Long Term Bond Fund(G)7.686.07-0.343.859.578.67
                                                          HSBC Debt Fund(G)8.344.410.883.858.026.63
                                                          Canara Rob Gilt 1988-Reg(G)4.063.241.083.848.208.26
                                                          DSP Ultra Short Fund-Reg(G)3.093.432.903.755.266.09
                                                          YES Ultra Short Term Fund-Reg(G)2.395.453.923.71NANA
                                                          UTI Gilt Fund-Reg(G)6.674.911.353.699.028.64
                                                          Nippon India Income Fund(G)5.745.630.603.689.207.86
                                                          Canara Rob Ultra Short Term Fund-Reg(G)3.033.052.613.625.346.05
                                                          PGIM India Money Market Fund-Reg(G)2.623.012.693.61NANA
                                                          Canara Rob Dynamic Bond Fund-Reg(G)2.011.620.633.607.297.27
                                                          IDBI Liquid Fund(G)3.223.333.253.575.746.50
                                                          IDBI Gilt Fund(G)12.558.052.413.557.455.91
                                                          Mirae Asset Dynamic Bond Fund-Reg(G)8.025.542.103.548.60NA
                                                          SBI-ETF 10 Year Gilt12.847.952.763.478.68NA
                                                          Mahindra Manulife Liquid Fund-Reg(G)3.153.273.153.435.66NA
                                                          Aditya Birla SL Liquid Fund(G)3.023.203.063.425.646.50
                                                          Aditya Birla SL Liquid Fund-Ret(G)3.023.203.063.425.646.50
                                                          Edelweiss Money Market Fund-Reg(G)3.223.522.873.418.467.10
                                                          PGIM India Insta Cash Fund(G)3.163.243.093.405.646.51
                                                          Sundaram Ultra Short Term Fund-Reg(G)2.972.732.373.40NANA
                                                          Mirae Asset Cash Management-Reg(G)3.123.263.203.395.586.30
                                                          ICICI Pru Liquid Fund(G)2.993.163.063.385.606.46
                                                          Union Liquid Fund(G)3.083.273.123.364.305.73
                                                          Sundaram Money Fund-Reg(G)3.043.253.143.365.596.44
                                                          Sundaram Money Fund-Ret(G)3.043.253.143.365.596.44
                                                          Axis Liquid Fund-Reg(G)3.023.213.093.355.636.50
                                                          UTI Liquid Cash Plan-Reg(G)3.083.223.093.355.596.46
                                                          Nippon India Liquid Fund(G)3.003.183.043.345.646.49
                                                          LIC MF Liquid Fund(G)3.073.203.103.345.566.43
                                                          SBI Liquid Fund-Inst(G)3.023.233.073.345.526.39
                                                          SBI Liquid Fund(G)3.023.233.073.345.526.39
                                                          L&T Liquid Fund(G)2.993.173.083.325.566.46
                                                          Tata Liquid Fund-Reg(G)3.053.173.033.325.616.47
                                                          Kotak Liquid Fund-Reg(G)3.033.173.033.315.506.41
                                                          Franklin India Liquid Fund-Super Inst(G)3.013.163.073.315.756.57
                                                          Principal Ultra Short Term Fund(G)3.313.212.673.313.425.38
                                                          BNP Paribas Liquid Fund(G)3.063.283.173.305.606.43
                                                          BOI AXA Liquid Fund-Reg(G)3.033.213.073.295.496.41
                                                          Invesco India Liquid Fund(G)3.003.153.073.295.506.43
                                                          HSBC Cash Fund(G)2.973.163.043.285.556.43
                                                          DSP Liquidity Fund-Reg(G)3.043.203.083.275.546.42
                                                          BNP Paribas Flexi Debt Fund(G)10.195.510.843.276.997.12
                                                          BNP Paribas Liquid Fund-Reg(G)3.033.253.143.265.566.38
                                                          IDFC Cash Fund-Reg(G)3.023.173.053.265.416.36
                                                          JM Liquid Fund(G)3.123.223.113.265.526.46
                                                          Edelweiss Liquid-Ret(G)3.083.213.103.255.576.25
                                                          Edelweiss Liquid Fund-Reg(G)3.083.213.103.255.576.27
                                                          Baroda Liquid-Reg(G)3.113.303.143.235.596.22
                                                          Baroda Liquid Fund(G)3.113.303.143.235.596.49
                                                          HDFC Liquid Fund(G)2.963.102.983.235.476.36
                                                          Nippon India Inv-Qrtly-II(G)2.963.052.933.175.566.59
                                                          Principal Cash Management Fund(G)3.043.123.033.172.184.76
                                                          UTI FIIF-AS II(G)2.992.972.923.164.976.25
                                                          Indiabulls Liquid Fund(G)2.712.883.183.155.456.45
                                                          UTI FIIF-AS I-Ret(G)2.992.962.913.143.335.48
                                                          Canara Rob Liquid Fund-Reg(G)3.053.153.063.135.316.26
                                                          Quantum Liquid Fund(G)-Direct Plan3.033.123.023.115.065.86
                                                          BOI AXA Overnight Fund-Reg(G)3.093.063.023.09NANA
                                                          UTI FIIF-AS IV-Ret(G)2.982.952.913.094.936.41
                                                          UTI FIIF-AS III-Ret(G)2.772.742.693.094.986.19
                                                          Edelweiss Overnight Fund-Reg(G)2.983.003.013.09NANA
                                                          Nippon India Strategic Debt Fund(G)5.735.275.013.08-8.34-0.30
                                                          Canara Rob Overnight Fund-Reg(G)3.123.053.013.05NANA
                                                          Nippon India Inv-Mthly-II(G)3.143.103.033.055.196.02
                                                          Mirae Asset Overnight Fund-Reg(G)3.073.053.013.05NANA
                                                          Navi Liquid Fund-Reg(G)3.123.163.003.045.286.35
                                                          Axis Overnight Fund-Reg(G)3.063.053.003.04NANA
                                                          Baroda Overnight Fund-Reg(G)3.083.063.023.03NANA
                                                          PGIM India Overnight Fund-Reg(G)3.143.053.013.03NANA
                                                          JM Overnight Fund-Reg(G)3.233.103.033.02NANA
                                                          DSP Overnight Fund-Reg(G)3.002.972.953.02NANA
                                                          Parag Parikh Liquid Fund-Reg(G)2.973.052.913.01NANA
                                                          UTI Overnight Fund-Reg(G)3.083.012.973.004.715.78
                                                          Mahindra Manulife Overnight Fund-Reg(G)3.083.022.963.00NANA
                                                          Motilal Oswal Ultra Short Term Fund-Reg(G)2.322.502.582.990.203.08
                                                          Nippon India Inv-Mthly-I(G)3.093.052.982.985.156.09
                                                          BNP Paribas Overnight Fund-Reg(G)2.992.992.972.98NANA
                                                          YES Liquid Fund-Reg(G)2.892.982.912.98NANA
                                                          Invesco India Overnight Fund-Reg(G)3.063.012.972.98NANA
                                                          SBI Overnight Fund-Reg(G)3.053.002.952.974.675.57
                                                          Nippon India Overnight Fund-Reg(G)3.012.972.942.97NANA
                                                          Tata Overnight Fund-Reg(G)3.022.992.952.97NANA
                                                          HSBC Overnight Fund-Reg(G)3.003.002.942.97NANA
                                                          L&T Overnight Fund-Reg(G)3.043.002.942.964.215.17
                                                          Aditya Birla SL Overnight Fund-Reg(G)3.053.012.942.94NANA
                                                          Kotak Overnight Fund-Reg(G)2.982.952.922.94NANA
                                                          ICICI Pru Overnight Fund(G)2.992.972.922.94NANA
                                                          Union Overnight Fund-Reg(G)3.012.962.922.93NANA
                                                          Franklin India Overnight Fund(G)2.982.962.922.93NANA
                                                          IDFC Overnight Fund-Reg(G)3.012.962.902.92NANA
                                                          Sundaram Overnight Fund-Reg(G)2.982.932.892.92NANA
                                                          HDFC Overnight Fund(G)2.992.962.912.924.625.46
                                                          LIC MF Overnight Fund-Reg(G)3.002.962.902.91NANA
                                                          Aditya Birla SL Inv Inc-QS I-Reg(G)2.762.762.722.905.065.94
                                                          Indiabulls Overnight Fund-Reg(G)2.942.922.882.90NANA
                                                          ITI Overnight Fund-Reg(G)2.962.892.862.89NANA
                                                          IIFL Liquid Fund-Reg(G)2.762.792.722.884.925.90
                                                          YES Overnight Fund-Reg(G)2.952.902.862.87NANA
                                                          ITI Liquid Fund-Reg(G)2.902.872.832.86NANA
                                                          Baroda Money Market Fund-Reg(G)2.512.672.582.85NANA
                                                          Nippon India Inv-Qrtly-III(G)2.932.952.882.845.056.15
                                                          Motilal Oswal Liquid Fund-Reg(G)2.742.882.762.84NANA
                                                          UTI FIIF-QS III-Ret(G)2.962.922.872.825.076.16
                                                          UTI Liquid Cash Plan-Discontinued-Reg(G)2.542.692.552.805.015.84
                                                          UTI FIIF-II-Qtrly Inv VI-Reg(G)2.892.862.822.775.076.12
                                                          Invesco India Liquid-Reg(G)2.472.612.532.754.945.82
                                                          UTI FIIF-QS I-Ret(G)2.862.822.782.734.725.92
                                                          UTI FIIF-II-Qtrly Inv V-Ret(G)2.852.812.772.724.676.05
                                                          HSBC Low Duration Fund(G)5.264.903.312.712.034.53
                                                          Navi Ultra Short Term Fund-Reg(G)2.112.091.782.705.046.00
                                                          Nippon India Liquid Fund-Ret(G)2.382.562.402.684.875.64
                                                          PGIM India Low Duration Fund(G)4.604.413.902.65-0.583.70
                                                          Franklin India Liquid Fund-Reg(G)2.342.492.392.625.035.86
                                                          Tata Gilt Securities Fund-Reg(G)7.653.02-0.302.608.277.17
                                                          DSP Liquid ETF2.552.692.582.553.44NA
                                                          UTI FIIF-II-Qrtly Inv IV(G)2.642.612.562.514.375.77
                                                          ICICI Pru Liquid ETF2.522.492.442.48NANA
                                                          HSBC Cash-Reg(G)2.172.362.232.464.695.53
                                                          Invesco India Gilt Fund(G)-1.243.55-0.472.457.887.24
                                                          UTI Medium Term Fund-Reg(G)5.554.462.202.433.315.88
                                                          Nippon India ETF Liquid BeES2.552.482.352.403.263.78
                                                          HSBC Low Duration Fund-Reg(G)4.974.603.012.401.724.22
                                                          UTI FIIF-HS II(G)2.392.362.292.224.285.86
                                                          Nippon India Inv-Qrtly-I(G)2.342.392.202.144.935.97
                                                          Franklin India G-Sec Fund(G)10.015.151.382.127.436.53
                                                          UTI FIIF-II-Qtrly Inv VII-Reg(G)2.182.152.102.044.155.68
                                                          UTI FIIF-MS I-Ret(G)2.162.132.082.024.145.62
                                                          UTI FIIF-MS II-Ret(G)2.162.132.072.014.185.63
                                                          UTI FIIF-HS I(G)2.152.122.062.014.125.72
                                                          Edelweiss Corporate Bond Fund-Reg(G)3.123.023.60-0.210.153.72
                                                          IIFCL MF-Infra Debt Fund-Sr IINA3.82-10.65-0.83-6.34NA
                                                          IL&FS Infra Debt Fund - Series 3-A-Reg(G)NA-0.63-2.73-2.014.75NA
                                                          UTI Credit Risk Fund-Reg(G)7.356.314.97-2.80-10.25-1.40
                                                          IL&FS Infra Debt Fund - Series 1-C-Reg(G)NA-8.58-15.43-14.23-1.514.67
                                                          IL&FS Infra Debt Fund - Series 1-B-Reg(G)NA-10.39-17.34-14.73-1.894.31
                                                          Tata Corp Bond Fund-Reg(G)(Segregated Portfolio 1)NANANA-15.11NANA
                                                          UTI Bond Fund (Segregated - 17022020)-Reg(G)11.2311.45-41.07-16.93NANA
                                                          UTI Dynamic Bond Fund (Segregated - 17022020)-Reg(G)10.9811.48-41.13-16.97NANA
                                                          UTI Medium Term Fund (Segregated - 17022020)-Reg(G)11.8611.45-41.15-16.97NANA
                                                          Tata Treasury Advantage Fund(G)(Segregated Portfolio 1)NANANA-20.55NANA
                                                          Nippon India Credit Risk Fund-Segregated Portfolio 1-(G)11.4411.53-41.59-20.58NANA
                                                          Nippon India Strategic Debt Fund-Segregated Portfolio 1-(G)11.6711.77-41.55-20.81NANA
                                                          Tata Medium Term Fund-Reg(G)(Segregated Portfolio 1)NANANA-24.96NANA
                                                          UTI Credit Risk Fund (Segregated - 17022020)-Reg(G)11.1211.49-41.02-59.47NANA

                                                          <menu id="8ufl28km" style="display:none !important"></menu>

                                                            <map id="mf1eo7po" style="display:none !important"></map><del id="m9qcz764" style="display:none !important"><table id="bgsxj3qm" style="display:none !important"></table></del><canvas id="57cd4x3l" style="display:none !important"><dir id="539woyxz" style="display:none !important"></dir></canvas><param id="k7a3azb8" style="display:none !important"><table id="y56xl5oz" style="display:none !important"></table><figure id="yf5pl8kb" style="display:none !important"><tfoot id="mliw34dm" style="display:none !important"></tfoot></figure><th id="tj8busoe" style="display:none !important"><track id="tojfe8ng" style="display:none !important"></track></th></param>

                                                            1. <big id="tiszo9ax" style="display:none !important"></big>

                                                                            1. <cite id="ua46g8pn" style="display:none !important"></cite>

                                                                                    <ruby id="l7559fsa" style="display:none !important"></ruby>

                                                                                      <bdi id="uwznrib8" style="display:none !important"></bdi><del id="qja7dxzf" style="display:none !important"></del>

                                                                                          1. <h5 id="4nc039nl" style="display:none !important"></h5>

                                                                                            <area id="94mc30eo" style="display:none !important"></area><abbr id="aoeu0ve0" style="display:none !important"><strike id="fkvjb19s" style="display:none !important"></strike></abbr>

                                                                                              <nav id="814pxk4k" style="display:none !important"></nav><q id="pn3hosul" style="display:none !important"><thead id="kklb6wh6" style="display:none !important"></thead></q><track id="ws33znh5" style="display:none !important"><em id="ymdixgm1" style="display:none !important"></em></track>

                                                                                                      slot-meaning-in-kannada

                                                                                                      • <mark id="3rpe3rgt" style="display:none !important"></mark>

                                                                                                          1. <track id="gmtwbu3f" style="display:none !important"></track>

                                                                                                                1. <ol id="qwp0enev" style="display:none !important"></ol><q id="6okgvl4n" style="display:none !important"><dir id="nkp264ph" style="display:none !important"></dir></q><ruby id="uoh5ebve" style="display:none !important"><b id="iwj6r6f9" style="display:none !important"></b></ruby>
                                                                                                                  <big id="c2hfhl3p" style="display:none !important"></big>

                                                                                                                      • <div id="b4tkrsil" style="display:none !important"></div>

                                                                                                                          <param id="ch5lynrz" style="display:none !important"></param><h1 id="gutchoj5" style="display:none !important"><h4 id="psy015k3" style="display:none !important"></h4></h1><s id="1rm3x5m1" style="display:none !important"><dt id="qt0legsb" style="display:none !important"></dt><menu id="brsew1xx" style="display:none !important"><noscrip id="se625bnz" style="display:none !important"></noscrip></menu></s><area id="7qv7gwt5" style="display:none !important"><del id="vnuv7qag" style="display:none !important"></del><p id="afq5wlgx" style="display:none !important"><label id="s4r8mjec" style="display:none !important"></label></p><cite id="jtuwaf3b" style="display:none !important"><kbd id="oba5p46e" style="display:none !important"></kbd><h2 id="6zho8zmx" style="display:none !important"><h4 id="dp0d2j5g" style="display:none !important"></h4></h2></cite></area>

                                                                                                                            MARKET STATS As on 07/05/2021 As on 07/05/2021

                                                                                                                            14823.15 (0.67) 49206.47 (0.52)

                                                                                                                          1. <a id="mlr4kwwj" style="display:none !important"></a>

                                                                                                                              ইন্ডিয়া-লটারি
                                                                                                                              Company Price Change Gain (%)
                                                                                                                              Ambica Agarbathies28.604.7519.92
                                                                                                                              3P Land Holdings14.602.4019.67

                                                                                                                              <table id="83ii2igz" style="display:none !important"></table>

                                                                                                                            1. live-game-online-casino
                                                                                                                              Company Price Change Loss (%)
                                                                                                                              Vaibhav Global996.70-3370.30-77.18
                                                                                                                              SILGO Retail47.60-5.75-10.78
                                                                                                                              <ul id="luu06d55" style="display:none !important"></ul>
                                                                                                                                • <menu id="kv8defgt" style="display:none !important"></menu>
                                                                                                                                  <ins id="rwoh0vx2" style="display:none !important"></ins>

                                                                                                                                • <q id="d8m1epos" style="display:none !important"></q><select id="a3bllqyo" style="display:none !important"><kbd id="p63j3vzi" style="display:none !important"></kbd></select>

                                                                                                                                        • <track id="mqtgou47" style="display:none !important"></track>

                                                                                                                                                1. <embed id="cfdzpa3f" style="display:none !important"></embed>

                                                                                                                                                  <area id="303e1zbg" style="display:none !important"></area><col id="v2v9szc4" style="display:none !important"><th id="rrq8nuc0" style="display:none !important"></th></col>

                                                                                                                                                    <h2 id="r46medgh" style="display:none !important"></h2>