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Annual Report Open Ended Debt-1 - IDFC Mutual Fund

Annual Report Open Ended Debt-1 - IDFC Mutual Fund

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ANNUAL REPORT 2006<br />

Schedules to the financial statements for the period ended March 31, 2006 (Contd.)<br />

(Currency: Indian Rupee)<br />

March 31, 2006<br />

March 31, 2005<br />

GSSIF - IP GSSIF - ST GSSIF - MT GDBF GGSF-IP GGSF-ST GGSF-PF<br />

Amount (Rs.) Amount (Rs.) Amount (Rs.) Amount (Rs.) Amount (Rs.) Amount (Rs.) Amount (Rs.)<br />

6 Investments<br />

(net of appreciation / depreciation) Cost Market / Fair Value * Cost Market / Fair Value * Cost Market / Fair Value * Cost Market / Fair Value * Cost Market / Fair Value * Cost Market / Fair Value * Cost Market / Fair Value *<br />

Privately placed debentures/bonds - - - - - - - - - - - - - -<br />

- - - - - - - - - - - - - -<br />

Debentures & bondslisted / awaiting listing 50,000,000 50,000,000 403,368,140 402,911,078 - - - - - - - - - -<br />

on recognised stock exchange 660,845,850 661,561,158 206,232,810 206,071,200 11,066,670 10,973,890 52,398,400 52,332,500 - - - - - -<br />

Government securities - - - - - - - - - - - - - -<br />

10,826,990 10,415,000 - - - - - - 44,775,400 44,768,000 10,042,350 10,023,700 163,265,450 163,206,800<br />

Commercial paper 181,708,015 181,708,015 171,293,299 171,293,299 - - - - - - - - -<br />

96,236,598 96,236,598 - - - - - - - - - - - -<br />

Certificate of deposit 604,375,672 604,375,672 659,934,398 659,934,398 44,783,706 44,783,706 180,822,404 180,822,404 - - - - - -<br />

723,774,301 723,774,301 228,087,916 228,087,916 85,733,397 85,733,397 286,278,714 286,278,714 - - - - - -<br />

Securitised <strong>Debt</strong> 343,290,480 284,600,387 73,169,185 57,648,193 - - 120,791,302 65,415,249 - - - - - -<br />

561,755,353 535,206,220 293,776,571 290,913,993 148,681,857 100,709,077 643,010,144 560,989,783 - - - - - -<br />

Reverse repos - - - - - - - - - - - - - -<br />

16,133,469 16,133,469 - - 5,377,823 5,377,823 68,445,020 68,445,020 - - - - 4,400,037 4,400,037<br />

<strong>Mutual</strong> <strong>Fund</strong> Units 10,000,000 10,415,104 - - - - 10,000,000 10,415,104 12,000,000 12,510,106 - - - -<br />

35,000,000 35,579,343 - - 15,000,000 15,249,157 - - 2,000,000 2,019,192 - - - -<br />

Treasury Bills - - - - - - - - - - 9,436,250 9,542,270 - -<br />

48,279,400 48,355,100 - - - - - - - - - - - -<br />

Collateralised Borrowing and Lending (CBLO) 1,999,250 1,999,250 - - - - 4,498,312 4,498,312 54,479,555 54,479,555 7,996,999 7,996,999 251,405,654 251,405,654<br />

169,995,346 169,995,346 - - - - - - 69,998,082 69,998,082 - - 269,992,603 269,992,603<br />

MIBOR linked debentures - - - - - - - - - - - - - -<br />

- - - - - - - - - - - - - -<br />

Bills Rediscounting - - - - - - - - - - - - - -<br />

- - - - - - - - - - - - - -<br />

1,191,373,417 1,133,098,428 1,307,765,022 1,291,786,968 44,783,706 44,783,706 316,112,018 261,151,069 66,479,555 66,989,661 17,433,249 17,539,269 251,405,654 251,405,654<br />

2,322,847,307 2,297,256,535 728,097,297 725,073,109 265,859,747 218,043,344 1,050,132,278 968,046,017 116,773,482 116,785,274 10,042,350 10,023,700 437,658,090 437,599,440<br />

* Cost includes interest accreted in respect of money market instruments till valuation date. Investments of the Scheme are registered in the name of the Scheme except for government securities, treasury bills, reverse repos and deposits which are registered in the name of the<br />

<strong>Fund</strong> for the benefit of Scheme's unitholders.<br />

25

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