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Approved List of Securities at Zerodha.
Approved List of Securities at Zerodha.
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
1 ADANIENT INE423A01024 65.17 collateral margin of Rs. 34.83 No
2 ADANIPORTS INE742F01042 19.8 80.2 No
3 APOLLOHOSP INE437A01024 13.84 86.16 No
4 ASIANPAINT INE021A01026 12.5 87.5 No
5 AXISBANK INE238A01034 12.81 87.19 No
6 BAJAJ-AUTO INE917I01010 12.5 87.5 No
7 BAJAJFINSV INE918I01026 14.28 85.72 No
8 BAJFINANCE INE296A01024 14.48 85.52 No
9 BHARTIARTL INE397D01024 12.5 87.5 No
10 BPCL INE029A01011 13.16 86.84 No
11 BRITANNIA INE216A01030 12.5 87.5 No
12 CIPLA INE059A01026 12.5 87.5 No
13 COALINDIA INE522F01014 14.07 85.93 No
14 DIVISLAB INE361B01024 14.44 85.56 No
15 DRREDDY INE089A01023 12.5 87.5 No
16 EICHERMOT INE066A01021 13.38 86.62 No
17 GRASIM INE047A01021 12.5 87.5 No
18 HCLTECH INE860A01027 12.5 87.5 No
19 HDFCBANK INE040A01034 12.5 87.5 No
20 HDFCLIFE INE795G01014 13.98 86.02 No
21 HEROMOTOCO INE158A01026 13.12 86.88 No
22 HINDALCO INE038A01020 16.54 83.46 No
23 HINDUNILVR INE030A01027 12.5 87.5 No
24 ICICIBANK INE090A01021 12.5 87.5 No
25 INDUSINDBK INE095A01012 15.88 84.12 No
26 INFY INE009A01021 13.11 86.89 No
27 ITC INE154A01025 12.5 87.5 No
28 JSWSTEEL INE019A01038 14.1 85.9 No
29 KOTAKBANK INE237A01028 12.5 87.5 No
30 LT INE018A01030 12.5 87.5 No
31 LTIM INE214T01019 15.08 84.92 No
32 M&M INE101A01026 13.57 86.43 No
33 MARUTI INE585B01010 12.5 87.5 No
34 NESTLEIND INE239A01016 12.5 87.5 No
35 NTPC INE733E01010 12.53 87.47 No
36 ONGC INE213A01029 14.14 85.86 No
37 POWERGRID INE752E01010 12.82 87.18 No
38 RELIANCE INE002A01018 12.5 87.5 No
39 SBILIFE INE123W01016 12.5 87.5 No
40 SBIN INE062A01020 12.78 87.22 No
41 SUNPHARMA INE044A01036 12.5 87.5 No
42 TATACONSUM INE192A01025 12.5 87.5 No
43 TATAMOTORS INE155A01022 15.57 84.43 No
44 TATASTEEL INE081A01020 14.94 85.06 No
45 TCS INE467B01029 12.5 87.5 No
46 TECHM INE669C01036 13.92 86.08 No
47 TITAN INE280A01028 12.5 87.5 No
48 ULTRACEMCO INE481G01011 12.5 87.5 No
49 UPL INE628A01036 13.53 86.47 No
50 WIPRO INE075A01022 12.5 87.5 No
51 360ONE INE466L01038 20 80 No
52 3IINFOLTD INE748C01038 21.75 78.25 Yes
53 3MINDIA INE470A01017 20 80 No
54 5PAISA INE618L01018 20.63 79.37 No
55 AAATECH INE0D0U01013 20 80 No
56 AARTIDRUGS INE767A01016 20.14 79.86 No
57 AARTIIND INE769A01020 20 80 No
58 AARTIPHARM INE0LRU01027 20 80 No
59 AARTISURF INE09EO01013 20 80 Yes
60 AARVI INE754X01016 23.93 76.07 Yes
61 AAVAS INE216P01012 20 80 No
62 ABB INE117A01022 20 80 No
63 ABBOTINDIA INE358A01014 20 80 No
64 ABCAPITAL INE674K01013 20 80 No
65 ABFRL INE647O01011 20 80 No
66 ABSLAMC INE404A01024 20 80 No
67 ACC INE012A01025 20 80 No
68 ACCELYA INE793A01012 20.47 79.53 No
69 ACI INE128X01021 20 80 No
70 ADANIENSOL INE931S01010 26.21 73.79 No
71 ADANIGREEN INE364U01010 25.2 74.8 No
72 ADANIPOWER INE814H01011 25.01 74.99 No
73 ADFFOODS INE982B01027 23.89 76.11 Yes
74 ADORWELD INE045A01017 20.33 79.67 Yes
75 ADSL INE102I01027 24.98 75.02 Yes
76 ADVANIHOTR INE199C01026 20 80 No
77 ADVENZYMES INE837H01020 20 80 Yes
78 AEGISCHEM INE208C01025 20.09 79.91 No
79 AEROFLEX INE024001021 20 80 No
80 AETHER INE0BWX01014 20 80 No
81 AFFLE INE00WC01027 20 80 No
82 AGARIND INE204E01012 23.72 76.28 Yes
83 AGI INE415A01038 26.98 73.02 Yes
84 AGSTRA INE583L01014 20 80 Yes
85 AHL INE00ZE01026 20 80 No
86 AHLADA INE00PV01013 24.23 75.77 No
87 AHLEAST INE926K01017 20 80 No
88 AHLUCONT INE758C01029 20 80 No
89 AIAENG INE212H01026 20 80 No
90 AJANTPHARM INE031B01049 20 80 No
91 AJMERA INE298G01027 23.48 76.52 Yes
92 AKZOINDIA INE133A01011 20 80 No
93 ALANKIT INE914E01040 23.67 76.33 Yes
94 ALBERTDAVD INE155C01010 20 80 Yes
95 ALEMBICLTD INE426A01027 20 80 Yes
96 ALICON INE062D01024 20 80 Yes
97 ALKALI INE773I01017 25.5 74.5 No
98 ALKEM INE540L01014 20 80 No
99 ALKYLAMINE INE150B01039 20 80 No
100 ALLCARGO INE418H01029 20 80 Yes
101 ALLSEC INE835G01018 20 80 Yes
102 ALMONDZ INE326B01027 21.27 78.73 Yes
103 ALOKINDS INE270A01029 24.99 75.01 Yes
104 ALPA INE385I01010 23.66 76.34 Yes
105 ALPHAGEO INE137C01018 20 80 Yes
106 AMARAJABAT INE885A01032 20 80 No
107 AMBER INE371P01015 20 80 No
108 AMBIKCO INE540G01014 20 80 Yes
109 AMBUJACEM INE079A01024 20 80 No
110 AMIORG INE00FF01017 20 80 No
111 AMJLAND INE606A01024 20 80 No
112 AMRUTANJAN INE098F01031 20 80 Yes
113 ANANTRAJ INE242C01024 22.61 77.39 No
114 ANDHRAPAP INE435A01028 20 80 No
115 ANDHRSUGAR INE715B01021 20 80 Yes
116 ANDREWYU INE449C01025 20 80 No
117 ANGELONE INE732I01013 21.27 78.73 No
118 ANUP INE294Z01018 20.85 79.15 Yes
119 ANURAS INE930P01018 20 80 No
Approved Securities List for the Month of November 2023
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
120 APARINDS INE372A01015 24.54 collateral margin of Rs. 75.46 No
121 APCL INE071F01012 20.41 79.59 Yes
122 APCOTEXIND INE116A01032 20 80 Yes
123 APEX INE346W01013 20 80 Yes
124 APLAPOLLO INE702C01027 20 80 No
125 APLLTD INE901L01018 20 80 No
126 APOLLOPIPE INE126J01016 20 80 No
127 APOLLOTYRE INE438A01022 20 80 No
128 APTECHT INE266F01018 22.12 77.88 No
129 APTUS INE852O01025 20 80 No
130 ARCHIDPLY INE877I01016 26.36 73.64 Yes
131 ARIES INE298I01015 20.86 79.14 Yes
132 ARIHANTSUP INE643K01018 21.95 78.05 Yes
133 ARMANFIN INE109C01017 20.96 79.04 Yes
134 ARTEMISMED INE025R01021 24.25 75.75 Yes
135 ARVIND INE034A01011 21.8 78.2 No
136 ARVINDFASN INE955V01021 20 80 Yes
137 ARVSMART INE034S01021 21.5 78.5 Yes
138 ASAHIINDIA INE439A01020 20 80 No
139 ASAHISONG INE228I01012 20.33 79.67 Yes
140 ASAL INE900C01027 23.88 76.12 No
141 ASALCBR INE073G01016 20 80 Yes
142 ASHIANA INE365D01021 20 80 Yes
143 ASHOKA INE442H01029 21.05 78.95 No
144 ASHOKLEY INE208A01029 20 80 No
145 ASIANTILES INE022I01019 24.08 75.92 Yes
146 ASPINWALL INE991I01015 24.02 75.98 Yes
147 ASTEC INE563J01010 20 80 Yes
148 ASTERDM INE914M01019 20 80 No
149 ASTRAL INE006I01046 20 80 No
150 ASTRAMICRO INE386C01029 20.96 79.04 No
151 ASTRAZEN INE203A01020 20 80 No
152 ATFL INE209A01019 20 80 Yes
153 ATGL INE399L01023 25.32 74.68 No
154 ATL INE0NN701020 20 80 No
155 ATUL INE100A01010 20 80 No
156 AUBANK INE949L01017 20 80 No
157 AUROPHARMA INE406A01037 20 80 No
158 AURUM INE898S01029 20 80 Yes
159 AUTOAXLES INE449A01011 20 80 No
160 AVADHSUGAR INE349W01017 21.64 78.36 Yes
161 AVALON INE0LCL01028 20 80 No
162 AVANTIFEED INE871C01038 20 80 No
163 AVG INE680Z01018 20 80 No
164 AVROIND INE652Z01017 20.44 79.56 No
165 AVTNPL INE488D01021 20 80 Yes
166 AWHCL INE01BK01022 20.82 79.18 Yes
167 AWL INE699H01024 20.61 79.39 Yes
168 AYMSYNTEX INE193B01039 20.16 79.84 Yes
169 BAJAJCON INE933K01021 20 80 No
170 BAJAJELEC INE193E01025 20 80 No
171 BAJAJHCARE INE411U01027 22.14 77.86 Yes
172 BAJAJHIND INE306A01021 28.31 71.69 No
173 BAJAJHLDNG INE118A01012 20 80 No
174 BALAJITELE INE794B01026 22.5 77.5 Yes
175 BALAMINES INE050E01027 20 80 No
176 BALAXI INE618N01014 20.41 79.59 Yes
177 BALKRISIND INE787D01026 20 80 No
178 BALMLAWRIE INE164A01016 20 80 No
179 BALPHARMA INE083D01012 20 80 Yes
180 BALRAMCHIN INE119A01028 20 80 No
181 BANARBEADS INE655B01011 20 80 No
182 BANARISUG INE459A01010 20 80 Yes
183 BANDHANBNK INE545U01014 20 80 No
184 BANG INE863I01016 24.2 75.8 No
185 BANKA INE862Y01015 20 80 Yes
186 BANKBARODA INE028A01039 20 80 No
187 BANKINDIA INE084A01016 20.65 79.35 No
188 BANSWRAS INE629D01020 23.4 76.6 Yes
189 BARBEQUE INE382M01027 20 80 No
190 BASF INE373A01013 20 80 No
191 BASML INE186H01022 20.81 79.19 Yes
192 BATAINDIA INE176A01028 20 80 No
193 BAYERCROP INE462A01022 20 80 No
194 BBL INE464A01028 20 80 No
195 BBOX INE676A01027 26.51 73.49 No
196 BBTC INE050A01025 21.12 78.88 No
197 BBTCL INE01EE01011 20 80 No
198 BCLIND INE412G01024 22.07 77.93 Yes
199 BDL INE171Z01018 20 80 No
200 BECTORFOOD INE495P01012 20.28 79.72 No
201 BEL INE263A01024 20 80 No
202 BEML INE258A01016 21.3 78.7 No
203 BEPL INE922A01025 20 80 No
204 BERGEPAINT INE463A01038 20 80 No
205 BFINVEST INE878K01010 25.41 74.59 No
206 BGRENERGY INE661I01014 24.16 75.84 Yes
207 BHAGCHEM INE414D01019 20 80 Yes
208 BHAGERIA INE354C01027 20 80 Yes
209 BHARATFORG INE465A01025 20 80 No
210 BHARATGEAR INE561C01019 21.65 78.35 No
211 BHARATRAS INE838B01013 20 80 Yes
212 BHEL INE257A01026 21.13 78.87 No
213 BIGBLOC INE412U01025 24.59 75.41 Yes
214 BIKAJI INE00E101023 20 80 No
215 BIOCON INE376G01013 20 80 No
216 BIOFILCHEM INE829A01014 22.63 77.37 Yes
217 BIRLACORPN INE340A01012 20 80 No
218 BIRLAMONEY INE865C01022 50 50 Yes
219 BLAL INE0N7W01012 20 80 Yes
220 BLBLIMITED INE791A01024 27.92 72.08 No
221 BLISSGVS INE416D01022 20 80 Yes
222 BLKASHYAP INE350H01032 75 25 Yes
223 BLS INE153T01027 23.15 76.85 No
224 BLUEDART INE233B01017 20 80 No
225 BLUESTARCO INE472A01039 20 80 No
226 BODALCHEM INE338D01028 20 80 Yes
227 BOMDYEING INE032A01023 24.46 75.54 No
228 BOROLTD INE02PY01013 20 80 Yes
229 BORORENEW INE666D01022 20 80 No
230 BOSCHLTD INE323A01026 20 80 No
231 BRIGADE INE791I01019 20 80 No
232 BSL INE594B01012 20.61 79.39 Yes
233 BSOFT INE836A01035 20 80 No
234 BURNPUR INE817H01014 23.28 76.72 No
235 BUTTERFLY INE295F01017 20 80 Yes
236 CAMLINFINE INE052I01032 20 80 Yes
237 CAMPUS INE278Y01022 20 80 No
238 CAMS INE596I01012 20 80 No
Approved Securities List for the Month of November 2023
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
239 CANBK INE476A01014 20 collateral margin of Rs. 80 No
240 CANFINHOME INE477A01020 20 80 No
241 CANTABIL INE068L01016 20 80 Yes
242 CAPACITE INE264T01014 23.43 76.57 No
243 CAPLIPOINT INE475E01026 20 80 No
244 CAPTRUST INE707C01018 26.71 73.29 No
245 CARBORUNIV INE120A01034 20 80 No
246 CAREERP INE521J01018 22.79 77.21 No
247 CARERATING INE752H01013 20 80 No
248 CARTRADE INE290S01011 20.42 79.58 No
249 CARYSIL INE482D01024 20 80 No
250 CASTROLIND INE172A01027 20 80 No
251 CCL INE421D01022 20 80 No
252 CDSL INE736A01011 20 80 No
253 CEATLTD INE482A01020 20 80 No
254 CELEBRITY INE185H01016 27.74 72.26 No
255 CENTENKA INE485A01015 20 80 Yes
256 CENTRALBK INE483A01010 23.01 76.99 No
257 CENTRUM INE660C01027 22.53 77.47 Yes
258 CENTURYPLY INE348B01021 20 80 No
259 CENTURYTEX INE055A01016 20 80 No
260 CERA INE739E01017 20 80 No
261 CESC INE486A01021 20 80 No
262 CGCL INE180C01026 20 80 No
263 CGPOWER INE067A01029 20 80 No
264 CHALET INE427F01016 20 80 No
265 CHAMBLFERT INE085A01013 20 80 No
266 CHEMBOND INE995D01025 20.6 79.4 Yes
267 CHEMCON INE03YM01018 20 80 Yes
268 CHEMFAB INE783X01023 24.21 75.79 No
269 CHEMPLASTS INE488A01050 20 80 No
270 CHENNPETRO INE178A01016 25.36 74.64 No
271 CHEVIOT INE974B01016 20 80 Yes
272 CHOICEIN INE102B01014 20 80 No
273 CHOLAFIN INE121A01024 20 80 No
274 CHOLAHLDNG INE149A01033 20 80 No
275 CIEINDIA INE536H01010 20 80 No
276 CIGNITITEC INE675C01017 20 80 No
277 CLEAN INE227W01023 20 80 No
278 CLSEL INE419D01026 22.46 77.54 No
279 CMSINFO INE925R01014 20 80 No
280 COASTCORP INE377E01016 23.91 76.09 Yes
281 COCHINSHIP INE704P01017 24.48 75.52 No
282 COFFEEDAY INE335K01011 31.72 68.28 No
283 COFORGE INE591G01017 20 80 No
284 COLPAL INE259A01022 20 80 No
285 COMPUSOFT INE453B01029 25.07 74.93 No
286 CONCOR INE111A01025 20 80 No
287 CONCORDBIO INE338H01029 20 80 No
288 CONFIPET INE552D01024 21.83 78.17 Yes
289 CONSOFINVT INE025A01027 20 80 No
290 CONTROLPR INE663B01015 20 80 No
291 CORALFINAC INE558D01021 23.14 76.86 No
292 CORDSCABLE INE792I01017 24.97 75.03 No
293 COROMANDEL INE169A01031 20 80 No
294 COSMOFIRST INE757A01017 20 80 No
295 CRAFTSMAN INE00LO01017 20 80 No
296 CREATIVE INE985W01018 21.82 78.18 Yes
297 CREDITACC INE741K01010 20 80 No
298 CREST INE559D01011 22.45 77.55 No
299 CRISIL INE007A01025 20 80 No
300 CROMPTON INE299U01018 20 80 No
301 CSBBANK INE679A01013 20 80 No
302 CSLFINANCE INE718F01018 20.89 79.11 No
303 CTE INE627H01017 26.82 73.18 Yes
304 CUB INE491A01021 20 80 No
305 CUMMINSIND INE298A01020 20 80 No
306 CUPID INE509F01011 24 76 No
307 CYBERTECH INE214A01019 21.01 78.99 Yes
308 CYIENT INE136B01020 20 80 No
309 CYIENTDLM INE055S01018 20 80 No
310 DAAWAT INE818H01020 20.47 79.53 No
311 DABUR INE016A01026 20 80 No
312 DALBHARAT INE00R701025 20 80 No
313 DALMIASUG INE495A01022 20.87 79.13 No
314 DAMODARIND INE497D01022 20 80 No
315 DATAMATICS INE365B01017 26.25 73.75 No
316 DATAPATTNS INE0IX101010 20.62 79.38 No
317 DBL INE917M01012 22.35 77.65 No
318 DBOL INE0I3401014 20 80 Yes
319 DCAL INE385W01011 23.71 76.29 Yes
320 DCBBANK INE503A01015 20 80 No
321 DCMNVL INE08KP01019 23.09 76.91 Yes
322 DCMSHRIRAM INE499A01024 20 80 No
323 DCW INE500A01029 23.13 76.87 Yes
324 DCXINDIA INE0KL801015 20.5 79.5 No
325 DECCANCE INE583C01021 20 80 Yes
326 DEEPAKFERT INE501A01019 20 80 No
327 DEEPAKNTR INE288B01029 20 80 No
328 DEEPINDS INE0FHS01024 23.22 76.78 Yes
329 DELHIVERY INE148O01028 20 80 No
330 DELTACORP INE124G01033 24.28 75.72 No
331 DEN INE947J01015 20.08 79.92 Yes
332 DENORA INE244A01016 29.88 70.12 No
333 DEVIT INE060X01026 22.06 77.94 No
334 DEVYANI INE872J01023 20 80 No
335 DHAMPURSUG INE041A01016 20.83 79.17 No
336 DHANBANK INE680A01011 50 50 Yes
337 DHANUKA INE435G01025 20 80 Yes
338 DHARMAJ INE00OQ01016 20 80 No
339 DHRUV INE506Z01015 20.98 79.02 Yes
340 DHUNINV INE320L01011 50 50 Yes
341 DIAMINESQ INE591D01014 20 80 No
342 DIAMONDYD INE393P01035 20 80 Yes
343 DICIND INE303A01010 20 80 Yes
344 DISHTV INE836F01026 28.61 71.39 Yes
345 DIVGIITTS INE753U01022 20 80 No
346 DIXON INE935N01020 20 80 No
347 DLF INE271C01023 20 80 No
348 DLINKINDIA INE250K01012 24.18 75.82 No
349 DMART INE192R01011 20 80 No
350 DMCC INE505A01010 20 80 No
351 DODLA INE021O01019 20 80 No
352 DOLATALGO INE966A01022 21.74 78.26 Yes
353 DOLLAR INE325C01035 20.44 79.56 Yes
354 DONEAR INE668D01028 26.75 73.25 No
355 DPSCLTD INE360C01024 35 65 No
356 DPWIRES INE864X01013 20 80 No
357 DREAMFOLKS INE0JS101016 20 80 No
Approved Securities List for the Month of November 2023
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
358 DREDGECORP INE506A01018 21.4 collateral margin of Rs. 78.6 No
359 DTIL INE341R01014 20 80 Yes
360 DVL INE477B01010 20 80 Yes
361 DWARKESH INE366A01041 20 80 No
362 DYNAMATECH INE221B01012 21.26 78.74 Yes
363 EASEMYTRIP INE07O001026 22.13 77.87 No
364 ECLERX INE738I01010 20 80 No
365 EDELWEISS INE532F01054 23.24 76.76 Yes
366 EIDPARRY INE126A01031 20 80 No
367 EIFFL INE546V01010 20.14 79.86 Yes
368 EIHAHOTELS INE276C01014 20 80 No
369 EIHOTEL INE230A01023 20 80 No
370 EKC INE184H01027 25.62 74.38 Yes
371 ELDEHSG INE668G01021 20 80 Yes
372 ELECON INE205B01023 23.82 76.18 No
373 ELECTCAST INE086A01029 21.79 78.21 No
374 ELGIEQUIP INE285A01027 21.63 78.37 No
375 ELIN INE050401020 20 80 No
376 EMAMILTD INE548C01032 20 80 No
377 EMAMIPAP INE830C01026 20 80 Yes
378 EMKAY INE296H01011 23.52 76.48 Yes
379 EMMBI INE753K01015 20.23 79.77 No
380 EMSLIMITED INE0OV601013 20 80 No
381 EMUDHRA INE01QM01018 20 80 No
382 ENDURANCE INE913H01037 20 80 No
383 ENGINERSIN INE510A01028 20 80 No
384 ENIL INE265F01028 21.02 78.98 Yes
385 EPIGRAL INE071N01016 20.31 79.69 No
386 EPL INE255A01020 20 80 No
387 EQUITASBNK INE063P01018 20 80 No
388 ERIS INE406M01024 20 80 No
389 EROSMEDIA INE416L01017 26.21 73.79 Yes
390 ESABINDIA INE284A01012 20 80 Yes
391 ESCORTS INE042A01014 20 80 No
392 ESTER INE778B01029 20.34 79.66 Yes
393 ETHOSLTD INE04TZ01018 20 80 Yes
394 EVEREADY INE128A01029 20 80 Yes
395 EVERESTIND INE295A01018 23.2 76.8 Yes
396 EXCELINDUS INE369A01029 20 80 Yes
397 EXIDEIND INE302A01020 20 80 No
398 EXPLEOSOL INE201K01015 20 80 Yes
399 EXXARO INE0GFE01018 20 80 Yes
400 FACT INE188A01015 33.17 66.83 No
401 FAIRCHEMOR INE0DNW01011 21.94 78.06 Yes
402 FAZE3Q INE963C01033 20 80 Yes
403 FCL INE045J01026 23.66 76.34 No
404 FDC INE258B01022 20 80 No
405 FEDERALBNK INE171A01029 20 80 No
406 FIBERWEB INE296C01020 20.38 79.62 Yes
407 FIEMIND INE737H01014 20.37 79.63 No
408 FILATEX INE816B01035 21.2 78.8 Yes
409 FINCABLES INE235A01022 20.23 79.77 No
410 FINEORG INE686Y01026 20 80 No
411 FINOPB INE02NC01014 20 80 No
412 FINPIPE INE183A01024 20 80 No
413 FIVESTAR INE128S01021 20 80 No
414 FLUOROCHEM INE09N301011 20 80 No
415 FMGOETZE INE529A01010 20 80 Yes
416 FOODSIN INE976E01023 23.8 76.2 Yes
417 FORCEMOT INE451A01017 20 80 No
418 FORTIS INE061F01013 20 80 No
419 FOSECOIND INE519A01011 20.63 79.37 No
420 FSL INE684F01012 20 80 No
421 FUSION INE139R01012 20 80 No
422 GABRIEL INE524A01029 20.1 79.9 No
423 GAEL INE036B01030 22.8 77.2 No
424 GAIL INE129A01019 20 80 No
425 GALAXYSURF INE600K01018 20 80 No
426 GALLANTT INE297H01019 22.31 77.69 No
427 GANDHITUBE INE524B01027 20.5 79.5 No
428 GANECOS INE845D01014 20 80 Yes
429 GANESHBE INE388A01029 20 80 Yes
430 GANESHHOUC INE460C01014 21.96 78.04 Yes
431 GANGESSECU INE335W01016 20 80 No
432 GARFIBRES INE276A01018 20 80 No
433 GATEWAY INE079J01017 20 80 Yes
434 GATI INE152B01027 21.37 78.63 No
435 GEECEE INE916G01016 20.96 79.04 No
436 GENESYS INE727B01026 24.93 75.07 Yes
437 GENSOL INE06H201014 20 80 No
438 GENUSPAPER INE949P01018 24.13 75.87 Yes
439 GEOJITFSL INE007B01023 20 80 Yes
440 GEPIL INE878A01011 23.04 76.96 No
441 GESHIP INE017A01032 20 80 No
442 GHCL INE539A01019 20 80 No
443 GHCLTEXTIL INE0PA801013 20 80 No
444 GICHSGFIN INE289B01019 20.71 79.29 No
445 GICRE INE481Y01014 21.3 78.7 No
446 GILLETTE INE322A01010 20 80 No
447 GIPCL INE162A01010 20.66 79.34 No
448 GLAND INE068V01023 22.92 77.08 No
449 GLAXO INE159A01016 20 80 No
450 GLENMARK INE935A01035 20 80 No
451 GLOBAL INE291W01029 26.71 73.29 Yes
452 GLOBUSSPR INE615I01010 20.96 79.04 No
453 GLS INE03Q201024 20 80 No
454 GMBREW INE075D01018 20 80 Yes
455 GMDCLTD INE131A01031 28.19 71.81 No
456 GMMPFAUDLR INE541A01023 20 80 No
457 GMRINFRA INE776C01039 35 65 No
458 GNA INE934S01014 20 80 No
459 GNFC INE113A01013 20 80 No
460 GOACARBON INE426D01013 22.78 77.22 No
461 GOCLCORP INE077F01035 50 50 Yes
462 GOCOLORS INE0BJS01011 20 80 No
463 GODFRYPHLP INE260B01028 20 80 No
464 GODREJAGRO INE850D01014 20 80 No
465 GODREJCP INE102D01028 20 80 No
466 GODREJIND INE233A01035 20 80 No
467 GODREJPROP INE484J01027 20 80 No
468 GOKEX INE887G01027 25.22 74.78 No
469 GOKUL INE020J01029 27.04 72.96 Yes
470 GOKULAGRO INE314T01025 22.45 77.55 Yes
471 GOLDIAM INE025B01025 20 80 Yes
472 GOODLUCK INE127I01024 22.62 77.38 Yes
473 GOODYEAR INE533A01012 20 80 Yes
474 GPIL INE177H01021 21.35 78.65 No
475 GPPL INE517F01014 20 80 No
476 GRANULES INE101D01020 20 80 No
Approved Securities List for the Month of November 2023
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
477 GRAPHITE INE371A01025 20 collateral margin of Rs. 80 No
478 GRAUWEIL INE266D01021 20 80 Yes
479 GREAVESCOT INE224A01026 20 80 No
480 GREENLAM INE544R01021 20.35 79.65 No
481 GREENPANEL INE08ZM01014 20 80 No
482 GREENPLY INE461C01038 20 80 Yes
483 GRINDWELL INE536A01023 20 80 No
484 GRINFRA INE201P01022 20 80 Yes
485 GRMOVER INE192H01020 23.59 76.41 Yes
486 GRSE INE382Z01011 26.25 73.75 No
487 GSFC INE026A01025 20.49 79.51 No
488 GSLSU INE0JSX01015 20 80 No
489 GSPL INE246F01010 20 80 No
490 GSS INE871H01011 21.03 78.97 Yes
491 GTPL INE869I01013 21.16 78.84 Yes
492 GUFICBIO INE742B01025 20.09 79.91 Yes
493 GUJALKALI INE186A01019 20 80 No
494 GUJGASLTD INE844O01030 20 80 No
495 GULFOILLUB INE635Q01029 20 80 Yes
496 GULPOLY INE255D01024 21.39 78.61 Yes
497 HAL INE066F01020 20 80 No
498 HAPPSTMNDS INE419U01012 20 80 No
499 HARDWYN INE626Z01029 24.9 75.1 No
500 HARIOMPIPE INE00EV01017 20 80 Yes
501 HARRMALAYA INE544A01019 20 80 Yes
502 HARSHA INE0JUS01029 20 80 No
503 HATHWAY INE982F01036 20 80 Yes
504 HATSUN INE473B01035 20 80 Yes
505 HAVELLS INE176B01034 20 80 No
506 HCC INE549A01026 30.62 69.38 Yes
507 HCG INE075I01017 20 80 Yes
508 HDFCAMC INE127D01025 20 80 No
509 HEG INE545A01016 20.35 79.65 No
510 HEIDELBERG INE578A01017 20 80 No
511 HEMIPROP INE0AJG01018 20 80 No
512 HERANBA INE694N01015 20 80 Yes
513 HERCULES INE688E01024 22.13 77.87 Yes
514 HERITGFOOD INE978A01027 20.5 79.5 Yes
515 HESTERBIO INE782E01017 20 80 Yes
516 HEUBACHIND INE492A01029 20 80 Yes
517 HFCL INE548A01028 20.77 79.23 No
518 HGINFRA INE926X01010 20 80 No
519 HGS INE170I01016 20 80 No
520 HIKAL INE475B01022 20 80 No
521 HIL INE557A01011 20 80 No
522 HILTON INE788H01017 22.4 77.6 Yes
523 HIMATSEIDE INE049A01027 23.43 76.57 Yes
524 HINDCOMPOS INE310C01029 20.82 79.18 No
525 HINDCOPPER INE531E01026 20.99 79.01 No
526 HINDOILEXP INE345A01011 24.78 75.22 No
527 HINDPETRO INE094A01015 20 80 No
528 HINDWAREAP INE05AN01011 23.05 76.95 Yes
529 HINDZINC INE267A01025 20 80 No
530 HITECH INE106T01025 22.64 77.36 Yes
531 HITECHCORP INE120D01012 21.39 78.61 Yes
532 HITECHGEAR INE127B01011 23.98 76.02 No
533 HLEGLAS INE461D01028 20.24 79.76 No
534 HLVLTD INE102A01024 28.09 71.91 Yes
535 HMAAGRO INE0ECP01016 20 80 No
536 HNDFDS INE254N01026 20 80 Yes
537 HOMEFIRST INE481N01025 20 80 No
538 HONAUT INE671A01010 20 80 No
539 HONDAPOWER INE634A01018 20.03 79.97 Yes
540 HPAL INE0GSL01016 20 80 Yes
541 HPL INE495S01016 26.85 73.15 No
542 HTMEDIA INE501G01024 22.15 77.85 Yes
543 HUDCO INE031A01017 21.84 78.16 No
544 HUHTAMAKI INE275B01026 20 80 Yes
545 IBREALEST INE069I01010 26.94 73.06 No
546 IBULHSGFIN INE148I01020 25.15 74.85 No
547 ICEMAKE INE520Y01019 24.96 75.04 Yes
548 ICICIGI INE765G01017 20 80 No
549 ICICIPRULI INE726G01019 20 80 No
550 ICIL INE483B01026 24.38 75.62 No
551 ICRA INE725G01011 20 80 No
552 IDBI INE008A01015 20.08 79.92 No
553 IDEA INE669E01016 26.16 73.84 Yes
554 IDEAFORGE INE349Y01013 20 80 No
555 IDFC INE043D01016 20 80 No
556 IDFCFIRSTB INE092T01019 20 80 No
557 IEX INE022Q01020 20 80 No
558 IFBAGRO INE076C01018 20 80 Yes
559 IFBIND INE559A01017 20 80 No
560 IFCI INE039A01010 28 72 Yes
561 IGARASHI INE188B01013 21.48 78.52 Yes
562 IGL INE203G01027 20 80 No
563 IGPL INE204A01010 20 80 Yes
564 IIFL INE530B01024 20 80 No
565 IIFLSEC INE489L01022 23.19 76.81 Yes
566 IKIO INE0LOJ01019 20 80 No
567 IMAGICAA INE172N01012 27.87 72.13 Yes
568 IMFA INE919H01018 20.74 79.26 Yes
569 IMPAL INE547E01014 20 80 Yes
570 INDHOTEL INE053A01029 20 80 No
571 INDIACEM INE383A01012 20.4 79.6 No
572 INDIAGLYCO INE560A01015 20 80 No
573 INDIAMART INE933S01016 20 80 No
574 INDIANB INE562A01011 20 80 No
575 INDIANCARD INE061A01014 20.69 79.31 No
576 INDIGO INE646L01027 20 80 No
577 INDIGOPNTS INE09VQ01012 20 80 No
578 INDNIPPON INE092B01025 20 80 Yes
579 INDOAMIN INE760F01028 24.01 75.99 No
580 INDOCO INE873D01024 20 80 No
581 INDORAMA INE156A01020 22.5 77.5 Yes
582 INDSWFTLAB INE915B01019 26.94 73.06 Yes
583 INDTERRAIN INE611L01021 24.22 75.78 Yes
584 INDUSTOWER INE121J01017 20 80 No
585 INFIBEAM INE483S01020 24.15 75.85 Yes
586 INFOBEAN INE344S01016 20.14 79.86 Yes
587 INGERRAND INE177A01018 20 80 No
588 INOXGREEN INE510W01014 20 80 No
589 INOXWIND INE066P01011 24.73 75.27 Yes
590 INSECTICID INE070I01018 20 80 Yes
591 INTELLECT INE306R01017 21.08 78.92 No
592 INTENTECH INE781A01025 23.01 76.99 Yes
593 INTLCONV INE575C01027 21.54 78.46 No
594 IOB INE565A01014 25.34 74.66 No
595 IOC INE242A01010 20 80 No
Approved Securities List for the Month of November 2023
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
596 IOLCP INE485C01011 22.61 collateral margin of Rs. 77.39 No
597 IPCALAB INE571A01038 20 80 No
598 IPL INE0D6701023 20 80 Yes
599 IRB INE821I01022 22.78 77.22 Yes
600 IRCON INE962Y01021 24.85 75.15 No
601 IRCTC INE335Y01020 20 80 No
602 IRFC INE053F01010 22.7 77.3 No
603 IRISDOREME INE01GN01025 22.24 77.76 No
604 ISEC INE763G01038 20 80 No
605 ISFT INE566K01011 24.56 75.44 Yes
606 ISGEC INE858B01029 20 80 Yes
607 ISMTLTD INE732F01019 23.46 76.54 Yes
608 ITDC INE353K01014 20.73 79.27 Yes
609 ITDCEM INE686A01026 21.37 78.63 No
610 ITI INE248A01017 27.67 72.33 No
611 IVC INE050B01023 20.21 79.79 Yes
612 IVP INE043C01018 22.92 77.08 No
613 J&KBANK INE168A01041 24.08 75.92 No
614 JAGRAN INE199G01027 35 65 Yes
615 JAGSNPHARM INE048B01027 21.75 78.25 Yes
616 JAIPURKURT INE696V01013 20 80 No
617 JAMNAAUTO INE039C01032 20 80 No
618 JASH INE039O01011 20 80 Yes
619 JAYAGROGN INE785A01026 20 80 Yes
620 JAYBARMARU INE571B01036 22.39 77.61 No
621 JAYNECOIND INE854B01010 24.68 75.32 Yes
622 JAYSREETEA INE364A01020 20 80 Yes
623 JBCHEPHARM INE572A01036 20 80 No
624 JCHAC INE782A01015 20 80 No
625 JETFREIGHT INE982V01025 23.41 76.59 No
626 JINDALPOLY INE197D01010 20 80 Yes
627 JINDALSTEL INE749A01030 20 80 No
628 JINDRILL INE742C01031 25.43 74.57 Yes
629 JINDWORLD INE247D01039 23.19 76.81 Yes
630 JIOFIN INE758E01017 20 80 No
631 JISLJALEQS INE175A01038 24.94 75.06 No
632 JKCEMENT INE823G01014 20 80 No
633 JKIL INE576I01022 20 80 Yes
634 JKLAKSHMI INE786A01032 20 80 No
635 JKPAPER INE789E01012 20 80 No
636 JKTYRE INE573A01042 22.98 77.02 No
637 JLHL INE682M01012 20 80 No
638 JMA INE412C01023 20 80 Yes
639 JMFINANCIL INE780C01023 20 80 No
640 JOCIL INE839G01010 20.57 79.43 Yes
641 JPASSOCIAT INE455F01025 31.7 68.3 Yes
642 JPOLYINVST INE147P01019 29.05 70.95 No
643 JPPOWER INE351F01018 26.36 73.64 No
644 JSWENERGY INE121E01018 22.96 77.04 No
645 JSWHL INE824G01012 20 80 Yes
646 JSWINFRA INE880J01026 20 80 No
647 JTEKTINDIA INE643A01035 21.64 78.36 Yes
648 JTLIND INE391J01024 20 80 No
649 JUBLFOOD INE797F01020 20 80 No
650 JUBLINDS INE645L01011 22.53 77.47 Yes
651 JUBLINGREA INE0BY001018 20 80 No
652 JUBLPHARMA INE700A01033 21.53 78.47 No
653 JUSTDIAL INE599M01018 20 80 No
654 JYOTHYLAB INE668F01031 20 80 No
655 KABRAEXTRU INE900B01029 23.32 76.68 Yes
656 KAJARIACER INE217B01036 20 80 No
657 KAKATCEM INE437B01014 20 80 Yes
658 KALAMANDIR INE438K01021 20 80 No
659 KAMDHENU INE390H01012 21.3 78.7 Yes
660 KANORICHEM INE138C01024 23.87 76.13 Yes
661 KANPRPLA INE694E01014 21.06 78.94 No
662 KANSAINER INE531A01024 20 80 No
663 KARURVYSYA INE036D01028 20 80 No
664 KAYA INE587G01015 21.05 78.95 Yes
665 KCP INE805C01028 20 80 Yes
666 KDDL INE291D01011 23.24 76.76 Yes
667 KEC INE389H01022 20 80 No
668 KECL INE134B01017 25.96 74.04 No
669 KEI INE878B01027 20 80 No
670 KELLTONTEC INE164B01022 23.53 76.47 No
671 KENNAMET INE717A01029 20 80 Yes
672 KFINTECH INE138Y01010 20 80 No
673 KHADIM INE834I01025 23.74 76.26 No
674 KHAICHEM INE745B01028 21.66 78.34 Yes
675 KICL INE029L01018 20 80 Yes
676 KIMS INE967H01017 20 80 No
677 KINGFA INE473D01015 23.22 76.78 Yes
678 KIOCL INE880L01014 30.54 69.46 No
679 KIRIINDUS INE415I01015 20 80 Yes
680 KIRLFER INE884B01025 20 80 No
681 KIRLOSENG INE146L01010 22.26 77.74 No
682 KIRLOSIND INE250A01039 20 80 Yes
683 KIRLPNU INE811A01020 20 80 No
684 KITEX INE602G01020 20 80 Yes
685 KKCL INE401H01017 20 80 Yes
686 KMSUGAR INE157H01023 22.96 77.04 Yes
687 KNRCON INE634I01029 20 80 No
688 KOLTEPATIL INE094I01018 22.07 77.93 No
689 KOPRAN INE082A01010 26.87 73.13 No
690 KOTHARIPET INE720A01015 26.7 73.3 No
691 KOTHARIPRO INE823A01017 23.56 76.44 No
692 KOVAI INE177F01017 20 80 Yes
693 KPIGREEN INE542W01017 24.47 75.53 No
694 KPIL INE220B01022 20 80 No
695 KPITTECH INE04I401011 20.16 79.84 No
696 KPRMILL INE930H01031 20 80 No
697 KRBL INE001B01026 20 80 No
698 KRISHANA INE506W01012 20 80 Yes
699 KRITI INE479D01038 22.87 77.13 Yes
700 KRSNAA INE08LI01020 20 80 No
701 KSB INE999A01015 20 80 No
702 KSCL INE455I01029 20 80 No
703 KSL INE907A01026 20 80 Yes
704 KTKBANK INE614B01018 20.89 79.11 No
705 KUANTUM INE529I01021 22.1 77.9 Yes
706 L&TFH INE498L01015 20 80 No
707 LAGNAM INE548Z01017 22.63 77.37 No
708 LALPATHLAB INE600L01024 20 80 No
709 LAMBODHARA INE112F01022 29.89 70.11 No
710 LANDMARK INE559R01029 20 80 No
711 LAOPALA INE059D01020 20 80 Yes
712 LATENTVIEW INE0I7C01011 20 80 No
713 LAURUSLABS INE947Q01028 20 80 No
714 LAXMIMACH INE269B01029 20 80 No
Approved Securities List for the Month of November 2023
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
715 LEMONTREE INE970X01018 20 collateral margin of Rs. 80 No
716 LGBBROSLTD INE337A01034 20 80 Yes
717 LIBAS INE908V01012 24.03 75.97 No
718 LIBERTSHOE INE557B01019 23.54 76.46 No
719 LICHSGFIN INE115A01026 20 80 No
720 LICI INE0J1Y01017 20 80 No
721 LIKHITHA INE060901027 21.1 78.9 No
722 LINC INE802B01019 22.42 77.58 No
723 LINCOLN INE405C01035 20 80 Yes
724 LINDEINDIA INE473A01011 20 80 No
725 LLOYDSME INE281B01032 20 80 No
726 LODHA INE670K01029 21.78 78.22 No
727 LOKESHMACH INE397H01017 26.07 73.93 No
728 LORDSCHLO INE846D01012 20 80 No
729 LTTS INE010V01017 20 80 No
730 LUMAXIND INE162B01018 20 80 Yes
731 LUMAXTECH INE872H01027 21.78 78.22 Yes
732 LUPIN INE326A01037 20 80 No
733 LUXIND INE150G01020 20 80 No
734 LXCHEM INE576O01020 20 80 No
735 LYKALABS INE933A01014 21.89 78.11 Yes
736 M&MFIN INE774D01024 20 80 No
737 MADHAV INE925C01016 20 80 No
738 MADRASFERT INE414A01015 26.78 73.22 No
739 MAGADSUGAR INE347W01011 25.58 74.42 No
740 MAHABANK INE457A01014 22.3 77.7 No
741 MAHASTEEL INE451L01014 20 80 No
742 MAHEPC INE215D01010 20 80 Yes
743 MAHESHWARI INE263W01010 24.23 75.77 No
744 MAHLIFE INE813A01018 20 80 No
745 MAHLOG INE766P01016 20 80 No
746 MAHSCOOTER INE288A01013 20 80 Yes
747 MAHSEAMLES INE271B01025 20 80 No
748 MAITHANALL INE683C01011 20 80 Yes
749 MALLCOM INE389C01015 20 80 Yes
750 MANAKALUCO INE859Q01017 25.68 74.32 No
751 MANAKSIA INE015D01022 24.97 75.03 Yes
752 MANAKSTEEL INE824Q01011 24.81 75.19 Yes
753 MANALIPETC INE201A01024 20 80 Yes
754 MANAPPURAM INE522D01027 20 80 No
755 MANGALAM INE584F01014 20 80 Yes
756 MANGCHEFER INE558B01017 21.34 78.66 Yes
757 MANGLMCEM INE347A01017 20 80 Yes
758 MANINFRA INE949H01023 20.3 79.7 No
759 MANKIND INE634S01028 20 80 No
760 MANORAMA INE00VM01010 20 80 Yes
761 MANORG INE370D01013 21.83 78.17 Yes
762 MANYAVAR INE825V01034 20 80 No
763 MAPMYINDIA INE0BV301023 20 80 No
764 MARATHON INE182D01020 22.48 77.52 Yes
765 MARICO INE196A01026 20 80 No
766 MARKSANS INE750C01026 20 80 No
767 MARSHALL INE00SZ01018 21.44 78.56 No
768 MASFIN INE348L01012 20 80 Yes
769 MASTEK INE759A01021 20 80 No
770 MATRIMONY INE866R01028 20 80 Yes
771 MAWANASUG INE636A01039 23.39 76.61 No
772 MAXHEALTH INE027H01010 20 80 No
773 MAXIND INE0CG601016 21.14 78.86 Yes
774 MAYURUNIQ INE040D01038 20 80 Yes
775 MAZDA INE885E01034 22.27 77.73 No
776 MAZDOCK INE249Z01012 26.06 73.94 No
777 MBAPL INE900L01010 20 80 No
778 MCDOWELL-N INE854D01024 20 80 No
779 MCX INE745G01035 20 80 No
780 MEDANTA INE474Q01031 20 80 No
781 MEDICAMEQ INE646B01010 20.08 79.92 Yes
782 MEDPLUS INE804L01022 20 80 No
783 MENONBE INE071D01033 20.42 79.58 No
784 MEP INE776I01010 27.2 72.8 Yes
785 METROBRAND INE317I01021 20 80 No
786 METROPOLIS INE112L01020 20 80 No
787 MFSL INE180A01020 20 80 No
788 MGL INE002S01010 20 80 No
789 MHRIL INE998I01010 20 80 No
790 MIDHANI INE099Z01011 20.33 79.67 No
791 MINDACORP INE842C01021 20.27 79.73 No
792 MITCON INE828O01033 23.46 76.54 No
793 MKPL INE964W01013 20 80 Yes
794 MMFL INE227C01017 20 80 Yes
795 MMTC INE123F01029 30.04 69.96 No
796 MOIL INE490G01020 20 80 No
797 MOL INE0CT101020 20 80 Yes
798 MOLDTKPAC INE893J01029 20 80 No
799 MONARCH INE903D01011 25.66 74.34 No
800 MONTECARLO INE950M01013 20.77 79.23 Yes
801 MOREPENLAB INE083A01026 22.25 77.75 Yes
802 MOTHERSON INE775A01035 20 80 No
803 MOTILALOFS INE338I01027 20 80 No
804 MPHASIS INE356A01018 20 80 No
805 MPSLTD INE943D01017 25.87 74.13 Yes
806 MRF INE883A01011 20 80 No
807 MRPL INE103A01014 22.99 77.01 No
808 MSTCLTD INE255X01014 22.31 77.69 No
809 MSUMI INE0FS801015 20 80 No
810 MTARTECH INE864I01014 20 80 No
811 MTNL INE153A01019 26.34 73.66 Yes
812 MUKANDLTD INE304A01026 22.68 77.32 Yes
813 MUNJALAU INE672B01032 20 80 Yes
814 MUNJALSHOW INE577A01027 20 80 Yes
815 MURUDCERA INE692B01014 26.05 73.95 No
816 MUTHOOTCAP INE296G01013 22.46 77.54 Yes
817 MUTHOOTFIN INE414G01012 20 80 No
818 MVGJL INE0KNT01012 20 80 No
819 NACLIND INE295D01020 20 80 Yes
820 NAHARCAP INE049I01012 22.9 77.1 Yes
821 NAHARINDUS INE289A01011 23.91 76.09 Yes
822 NAHARPOLY INE308A01027 23.15 76.85 Yes
823 NAHARSPING INE290A01027 20.69 79.31 Yes
824 NAM-INDIA INE298J01013 20 80 No
825 NATCOPHARM INE987B01026 20 80 No
826 NATHBIOGEN INE448G01010 20 80 Yes
827 NATIONALUM INE139A01034 20 80 No
828 NAUKRI INE663F01024 20 80 No
829 NAVA INE725A01022 24.13 75.87 No
830 NAVINFLUOR INE048G01026 20 80 No
831 NAVKARCORP INE278M01019 25.22 74.78 Yes
832 NAVNETEDUL INE060A01024 20 80 Yes
833 NAZARA INE418L01021 20.1 79.9 No
Approved Securities List for the Month of November 2023
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
834 NBCC INE095N01031 21.79 collateral margin of Rs. 78.21 No
835 NCC INE868B01028 20.97 79.03 No
836 NCLIND INE732C01016 20 80 Yes
837 NDTV INE155G01029 25.32 74.68 No
838 NECCLTD INE553C01016 28.45 71.55 No
839 NECLIFE INE023H01027 23.25 76.75 Yes
840 NELCAST INE189I01024 23.95 76.05 No
841 NELCO INE045B01015 21.37 78.63 No
842 NEOGEN INE136S01016 20 80 No
843 NESCO INE317F01035 20 80 No
844 NETWEB INE0NT901020 20 80 No
845 NETWORK18 INE870H01013 23.36 76.64 Yes
846 NFL INE870D01012 22.84 77.16 No
847 NGLFINE INE887E01022 21.61 78.39 Yes
848 NH INE410P01011 20 80 No
849 NHPC INE848E01016 20 80 No
850 NIACL INE470Y01017 20.18 79.82 No
851 NIITLTD INE161A01038 26.41 73.59 No
852 NIITMTS INE342G01023 20 80 No
853 NILKAMAL INE310A01015 20 80 Yes
854 NITCO INE858F01012 24.78 75.22 Yes
855 NITINSPIN INE229H01012 20 80 Yes
856 NLCINDIA INE589A01014 20.14 79.86 No
857 NMDC INE584A01023 20 80 No
858 NOCIL INE163A01018 20 80 No
859 NOVARTIND INE234A01025 20 80 Yes
860 NRAIL INE740D01017 75 25 No
861 NRBBEARING INE349A01021 21.45 78.55 No
862 NRL INE0JM501013 20 80 Yes
863 NSIL INE023A01030 20 80 Yes
864 NSLNISP INE0NNS01018 20 80 No
865 NURECA INE0DSF01015 24.57 75.43 No
866 NUVOCO INE118D01016 20 80 No
867 NYKAA INE388Y01029 20 80 No
868 OAL INE959C01023 23.39 76.61 Yes
869 OBCL INE426Z01016 23.24 76.76 Yes
870 OBEROIRLTY INE093I01010 20 80 No
871 OCCL INE321D01016 20 80 Yes
872 OFSS INE881D01027 20 80 No
873 OIL INE274J01014 20 80 No
874 OLECTRA INE260D01016 25.34 74.66 No
875 OMAXE INE800H01010 50 50 Yes
876 ONMOBILE INE809I01019 25.86 74.14 Yes
877 ONWARDTEC INE229A01017 25.5 74.5 No
878 OPTIEMUS INE350C01017 29.52 70.48 Yes
879 ORBTEXP INE231G01010 24.87 75.13 Yes
880 ORCHPHARMA INE191A01027 20 80 No
881 ORICONENT INE730A01022 50 50 Yes
882 ORIENTBELL INE607D01018 20.36 79.64 Yes
883 ORIENTCEM INE876N01018 20.34 79.66 No
884 ORIENTCER INE569C01020 22.3 77.7 Yes
885 ORIENTELEC INE142Z01019 20 80 No
886 ORIENTHOT INE750A01020 21.28 78.72 Yes
887 ORIENTPPR INE592A01026 22.5 77.5 Yes
888 ORISSAMINE INE725E01024 27.23 72.77 Yes
889 OSWALAGRO INE142A01012 25.38 74.62 Yes
890 OSWALGREEN INE143A01010 22.07 77.93 Yes
891 OSWALSEEDS INE00IK01029 20 80 No
892 PAGEIND INE761H01022 20 80 No
893 PAISALO INE420C01059 22.01 77.99 Yes
894 PALREDTEC INE218G01033 25.51 74.49 Yes
895 PANACEABIO INE922B01023 23.13 76.87 Yes
896 PANAMAPET INE305C01029 20 80 Yes
897 PAR INE04LG01015 20 80 Yes
898 PARADEEP INE088F01024 20 80 No
899 PARAS INE045601015 20 80 No
900 PASUPTAC INE818B01023 23.31 76.69 Yes
901 PAYTM INE982J01020 21.44 78.56 No
902 PCBL INE602A01031 20.12 79.88 No
903 PCJEWELLER INE785M01013 26.75 73.25 No
904 PDMJEPAPER INE865T01018 21.8 78.2 Yes
905 PDSL INE111Q01021 22.8 77.2 Yes
906 PEARLPOLY INE844A01013 25.1 74.9 No
907 PEL INE140A01024 20 80 No
908 PENIND INE932A01024 26.25 73.75 Yes
909 PERSISTENT INE262H01013 20 80 No
910 PETRONET INE347G01014 20 80 No
911 PFC INE134E01011 20 80 No
912 PFIZER INE182A01018 20 80 No
913 PFOCUS INE367G01038 35 65 Yes
914 PFS INE560K01014 24.2 75.8 Yes
915 PGEL INE457L01011 21.44 78.56 Yes
916 PGHH INE179A01014 20 80 No
917 PGHL INE199A01012 20 80 No
918 PHOENIXLTD INE211B01039 20 80 No
919 PIDILITIND INE318A01026 20 80 No
920 PIIND INE603J01030 20 80 No
921 PILANIINVS INE417C01014 20 80 Yes
922 PITTIENG INE450D01021 23.21 76.79 Yes
923 PIXTRANS INE751B01018 20 80 No
924 PLASTIBLEN INE083C01022 20 80 Yes
925 PNB INE160A01022 20 80 No
926 PNBGILTS INE859A01011 22.01 77.99 Yes
927 PNBHOUSING INE572E01012 21.65 78.35 No
928 PNCINFRA INE195J01029 20 80 No
929 POCL INE063E01046 21.42 78.58 Yes
930 PODDARMENT INE371C01013 20 80 Yes
931 POKARNA INE637C01025 26.63 73.37 Yes
932 POLICYBZR INE417T01026 20.36 79.64 No
933 POLYCAB INE455K01017 20 80 No
934 POLYMED INE205C01021 20 80 No
935 POLYPLEX INE633B01018 20 80 No
936 PONNIERODE INE838E01017 23.39 76.61 No
937 POONAWALLA INE511C01022 20 80 No
938 POWERINDIA INE07Y701011 20 80 No
939 PPLPHARMA INE0DK501011 20 80 No
940 PRAJIND INE074A01025 20 80 No
941 PRECWIRE INE372C01037 24.33 75.67 No
942 PRESTIGE INE811K01011 20 80 No
943 PRICOLLTD INE726V01018 22 78 No
944 PRIMESECU INE032B01021 20 80 Yes
945 PRINCEPIPE INE689W01016 20 80 No
946 PRITI INE974Z01015 22.77 77.23 Yes
947 PRIVISCL INE959A01019 20 80 Yes
948 PROZONER INE195N01013 25.87 74.13 Yes
949 PRSMJOHNSN INE010A01011 20 80 Yes
950 PRUDENT INE00F201020 20 80 No
951 PSB INE608A01012 24.87 75.13 No
952 PSPPROJECT INE488V01015 20 80 No
Approved Securities List for the Month of November 2023
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
953 PTC INE877F01012 20 collateral margin of Rs. 80 No
954 PTL INE034D01049 20 80 No
955 PUNJABCHEM INE277B01014 21.92 78.08 Yes
956 PURVA INE323I01011 22.71 77.29 Yes
957 PVRINOX INE191H01014 20 80 No
958 PYRAMID INE0MIS01010 20 80 No
959 QUESS INE615P01015 20 80 No
960 RACE INE084Q01012 20 80 No
961 RADHIKAJWE INE583V01021 50 50 No
962 RADIANTCMS INE855R01021 20 80 No
963 RADICO INE944F01028 20 80 No
964 RAILTEL INE0DD101019 22.76 77.24 No
965 RAIN INE855B01025 20 80 No
966 RAINBOW INE961O01016 20 80 No
967 RAJESHEXPO INE343B01030 20 80 No
968 RAJRATAN INE451D01029 21.26 78.74 No
969 RALLIS INE613A01020 20 80 No
970 RAMAPHO INE809A01024 20.32 79.68 Yes
971 RAMASTEEL INE230R01035 22.56 77.44 Yes
972 RAMCOCEM INE331A01037 20 80 No
973 RAMCOIND INE614A01028 20 80 Yes
974 RAMCOSYS INE246B01019 23.72 76.28 Yes
975 RAMKY INE874I01013 23.18 76.82 Yes
976 RAMRAT INE207E01023 21.66 78.34 No
977 RANASUG INE625B01014 22.38 77.62 Yes
978 RANEENGINE INE222J01013 21.45 78.55 No
979 RANEHOLDIN INE384A01010 20 80 Yes
980 RATEGAIN INE0CLI01024 20 80 No
981 RATNAMANI INE703B01027 20 80 No
982 RATNAVEER INE05CZ01011 20 80 No
983 RAYMOND INE301A01014 21.73 78.27 No
984 RBA INE07T201019 20 80 No
985 RBL INE244J01017 20 80 No
986 RBLBANK INE976G01028 22.39 77.61 No
987 RCF INE027A01015 20.97 79.03 No
988 RECLTD INE020B01018 20 80 No
989 REDINGTON INE891D01026 20 80 No
990 REDTAPE INE0LXT01019 20 80 No
991 RELAXO INE131B01039 20 80 No
992 RELCHEMQ INE750D01016 20 80 Yes
993 RELIGARE INE621H01010 21.27 78.73 No
994 RENUKA INE087H01022 23.21 76.79 No
995 REPCOHOME INE612J01015 23.57 76.43 Yes
996 REPL INE364Z01019 20.25 79.75 Yes
997 REPRO INE461B01014 22.86 77.14 No
998 RGL INE722H01024 23.07 76.93 Yes
999 RHIM INE743M01012 20 80 No
1000 RHL INE508K01013 20 80 Yes
1001 RICOAUTO INE209B01025 24.81 75.19 No
1002 RIIL INE046A01015 21.51 78.49 No
1003 RISHABH INE0N2P01017 20 80 No
1004 RITES INE320J01015 20 80 No
1005 RKEC INE786W01010 30.88 69.12 No
1006 RML INE050H01012 23.87 76.13 No
1007 ROHLTD INE283H01019 24.97 75.03 No
1008 ROLEXRINGS INE645S01016 20 80 No
1009 ROSSARI INE02A801020 20 80 No
1010 ROSSELLIND INE847C01020 27.63 72.37 No
1011 ROTO INE535D01029 20 80 No
1012 ROUTE INE450U01017 20 80 No
1013 RPGLIFE INE105J01010 20.37 79.63 Yes
1014 RPOWER INE614G01033 26.93 73.07 No
1015 RPPL INE760W01015 20 80 Yes
1016 RPSGVENT INE425Y01011 20 80 Yes
1017 RRKABEL INE777K01022 20 80 No
1018 RSWM INE611A01016 20 80 Yes
1019 RTNINDIA INE834M01019 26.68 73.32 Yes
1020 RUBYMILLS INE301D01026 24.79 75.21 Yes
1021 RUCHIRA INE803H01014 21.35 78.65 No
1022 RUPA INE895B01021 20 80 Yes
1023 RUSHIL INE573K01017 24.73 75.27 Yes
1024 RUSTOMJEE INE263M01029 20 80 No
1025 RVNL INE415G01027 26.15 73.85 No
1026 SADHNANIQ INE888C01040 20 80 Yes
1027 SAFARI INE429E01023 20 80 No
1028 SAGCEM INE229C01021 20 80 Yes
1029 SAH INE035801013 20 80 No
1030 SAHYADRI INE280H01015 20 80 Yes
1031 SAIL INE114A01011 20 80 No
1032 SAKAR INE732S01012 26.02 73.98 No
1033 SAKHTISUG INE623A01011 27.2 72.8 No
1034 SALASAR INE170V01027 23.12 76.88 Yes
1035 SALONA INE498E01010 20.86 79.14 No
1036 SALZERELEC INE457F01013 23.78 76.22 No
1037 SAMHI INE08U801020 20 80 No
1038 SANDESH INE583B01015 20.14 79.86 Yes
1039 SANDHAR INE278H01035 20 80 No
1040 SANDUMA INE149K01016 20 80 Yes
1041 SANGAMIND INE495C01010 24.81 75.19 Yes
1042 SANOFI INE058A01010 20 80 No
1043 SANSERA INE953O01021 20 80 No
1044 SAPPHIRE INE806T01012 20 80 No
1045 SAREGAMA INE979A01025 20 80 Yes
1046 SARLAPOLY INE453D01025 23 77 Yes
1047 SASKEN INE231F01020 20.67 79.33 Yes
1048 SASTASUNDR INE019J01013 22.46 77.54 Yes
1049 SATIA INE170E01023 20 80 No
1050 SATIN INE836B01017 23.41 76.59 Yes
1051 SATINDLTD INE065D01027 21.7 78.3 Yes
1052 SBC INE04AK01028 20.9 79.1 Yes
1053 SBCL INE386D01027 23.38 76.62 Yes
1054 SBFC INE423Y01016 20 80 No
1055 SBICARD INE018E01016 20 80 No
1056 SCHAEFFLER INE513A01022 20 80 No
1057 SCHAND INE807K01035 23.05 76.95 Yes
1058 SCHNEIDER INE839M01018 21.78 78.22 No
1059 SCI INE109A01011 22 78 Yes
1060 SCPL INE501Y01019 20 80 No
1061 SEAMECLTD INE497B01018 24.63 75.37 Yes
1062 SECURCRED INE195Y01010 27.88 72.12 No
1063 SELAN INE818A01017 23.13 76.87 Yes
1064 SENCO INE602W01019 50 50 No
1065 SEQUENT INE807F01027 24.02 75.98 No
1066 SESHAPAPER INE630A01024 20.6 79.4 No
1067 SFL INE916U01025 20 80 No
1068 SHAILY INE151G01010 20.02 79.98 No
1069 SHALBY INE597J01018 22.39 77.61 Yes
1070 SHALPAINTS INE849C01026 20 80 Yes
1071 SHANKARA INE274V01019 20 80 Yes
Approved Securities List for the Month of November 2023
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
1072 SHANTIGEAR INE631A01022 20 collateral margin of Rs. 80 Yes
1073 SHARDACROP INE221J01015 20.6 79.4 No
1074 SHARDAMOTR INE597I01028 20.37 79.63 Yes
1075 SHAREINDIA INE932X01018 20 80 Yes
1076 SHEMAROO INE363M01019 22.06 77.94 Yes
1077 SHILPAMED INE790G01031 22.26 77.74 No
1078 SHIVALIK INE788J01021 20 80 Yes
1079 SHK INE500L01026 20 80 Yes
1080 SHOPERSTOP INE498B01024 20 80 No
1081 SHREDIGCEM INE232A01011 20 80 Yes
1082 SHREECEM INE070A01015 20 80 No
1083 SHREEPUSHK INE712K01011 21.37 78.63 Yes
1084 SHREYAS INE757B01015 30.37 69.63 Yes
1085 SHRIRAMFIN INE721A01013 20 80 No
1086 SHRIRAMPPS INE217L01019 20.63 79.37 Yes
1087 SHYAMCENT INE979R01011 22.45 77.55 Yes
1088 SHYAMMETL INE810G01011 20 80 No
1089 SIEMENS INE003A01024 20 80 No
1090 SIGACHI INE0D0K01022 20 80 Yes
1091 SIGNATURE INE903U01023 20 80 No
1092 SIKKO INE112X01017 21.23 78.77 No
1093 SILVERTUC INE625X01018 20 80 No
1094 SINTERCOM INE129Z01016 20 80 No
1095 SIRCA INE792Z01011 20 80 Yes
1096 SIS INE285J01028 20 80 No
1097 SIYSIL INE076B01028 20 80 No
1098 SJS INE284S01014 20 80 No
1099 SJVN INE002L01015 23.26 76.74 No
1100 SKFINDIA INE640A01023 20 80 No
1101 SMARTLINK INE178C01020 21.36 78.64 No
1102 SMCGLOBAL INE103C01036 20 80 Yes
1103 SMLISUZU INE294B01019 22.44 77.56 Yes
1104 SMSLIFE INE320X01016 20 80 Yes
1105 SMSPHARMA INE812G01025 20 80 Yes
1106 SNOWMAN INE734N01019 20 80 Yes
1107 SOBHA INE671H01015 21.26 78.74 No
1108 SOLARA INE624Z01016 20 80 Yes
1109 SOLARINDS INE343H01029 20 80 No
1110 SOMANYCERA INE355A01028 20 80 No
1111 SONACOMS INE073K01018 20 80 No
1112 SONATSOFTW INE269A01021 20 80 No
1113 SOTL INE035D01020 20 80 Yes
1114 SOUTHBANK INE683A01023 21.88 78.12 No
1115 SPAL INE212I01016 22.73 77.27 No
1116 SPANDANA INE572J01011 21.61 78.39 No
1117 SPARC INE232I01014 21.27 78.73 No
1118 SPCENET INE970N01027 24.15 75.85 Yes
1119 SPECIALITY INE247M01014 21.57 78.43 Yes
1120 SPENCERS INE020801028 20.61 79.39 Yes
1121 SPIC INE147A01011 23.19 76.81 Yes
1122 SPLIL INE978G01016 25.57 74.43 No
1123 SPLPETRO INE663A01033 20 80 Yes
1124 SPORTKING INE885H01011 20 80 Yes
1125 SREEL INE099F01013 20.35 79.65 Yes
1126 SRF INE647A01010 20 80 No
1127 SRGHFL INE559N01010 20 80 No
1128 SRHHYPOLTD INE917H01012 25.81 74.19 Yes
1129 SSWL INE802C01033 20.06 79.94 No
1130 STAR INE939A01011 20 80 No
1131 STARCEMENT INE460H01021 20 80 No
1132 STARHEALTH INE575P01011 20 80 No
1133 STARPAPER INE733A01018 20 80 Yes
1134 STCINDIA INE655A01013 28.68 71.32 No
1135 STEELCAS INE124E01020 20 80 No
1136 STEELCITY INE395H01011 20 80 Yes
1137 STEELXIND INE503B01021 75 25 Yes
1138 STERTOOLS INE334A01023 23.83 76.17 No
1139 STLTECH INE089C01029 20 80 No
1140 STOVEKRAFT INE00IN01015 20 80 No
1141 STYLAMIND INE239C01020 20 80 No
1142 STYRENIX INE189B01011 20 80 Yes
1143 SUBEXLTD INE754A01055 25.47 74.53 Yes
1144 SUBROS INE287B01021 20 80 Yes
1145 SUDARSCHEM INE659A01023 20 80 No
1146 SUKHJITS INE450E01011 20 80 Yes
1147 SULA INE142Q01026 20 80 No
1148 SUMICHEM INE258G01013 20 80 No
1149 SUMMITSEC INE519C01017 20 80 Yes
1150 SUNDARMFIN INE660A01013 20 80 No
1151 SUNDARMHLD INE202Z01029 20 80 Yes
1152 SUNDRMFAST INE387A01021 20 80 No
1153 SUNFLAG INE947A01014 25.26 74.74 Yes
1154 SUNTECK INE805D01034 20 80 No
1155 SUNTV INE424H01027 20 80 No
1156 SUPERHOUSE INE712B01010 22.5 77.5 No
1157 SUPRAJIT INE399C01030 20 80 No
1158 SUPREMEIND INE195A01028 20 80 No
1159 SUPRIYA INE07RO01027 20 80 No
1160 SURANASOL INE272L01022 20 80 No
1161 SURYALAXMI INE713B01026 21.57 78.43 No
1162 SURYAROSNI INE335A01020 22.74 77.26 No
1163 SURYODAY INE428Q01011 21.51 78.49 No
1164 SUTLEJTEX INE645H01027 21.4 78.6 Yes
1165 SUVEN INE495B01038 22.75 77.25 Yes
1166 SUVENPHAR INE03QK01018 20 80 No
1167 SWANENERGY INE665A01038 24.47 75.53 Yes
1168 SWARAJENG INE277A01016 20 80 Yes
1169 SYMPHONY INE225D01027 20 80 No
1170 SYNCOMF INE312C01025 20.91 79.09 Yes
1171 SYNGENE INE398R01022 20 80 No
1172 SYRMA INE0DYJ01015 20 80 No
1173 TAINWALCHM INE123C01018 25.65 74.35 Yes
1174 TAJGVK INE586B01026 20 80 No
1175 TANLA INE483C01032 24.07 75.93 No
1176 TARC INE0EK901012 21.33 78.67 Yes
1177 TARMAT INE924H01018 28.16 71.84 No
1178 TARSONS INE144Z01023 20 80 Yes
1179 TASTYBITE INE488B01017 20 80 Yes
1180 TATACHEM INE092A01019 20 80 No
1181 TATACOFFEE INE493A01027 20 80 No
1182 TATACOMM INE151A01013 20 80 No
1183 TATAELXSI INE670A01012 20 80 No
1184 TATAINVEST INE672A01018 20 80 No
1185 TATAMETALI INE056C01010 20 80 No
1186 TATAMTRDVR IN9155A01020 20 80 No
1187 TATAPOWER INE245A01021 20 80 No
1188 TATASTLLP INE674A01014 20 80 No
1189 TATVA INE0GK401011 20 80 Yes
1190 TBZ INE760L01018 20.5 79.5 No
Approved Securities List for the Month of November 2023
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
1191 TCI INE688A01022 20 collateral margin of Rs. 80 No
1192 TCIEXP INE586V01016 20 80 Yes
1193 TCNSBRANDS INE778U01029 20.21 79.79 Yes
1194 TCPLPACK INE822C01015 23.35 76.65 No
1195 TEAMLEASE INE985S01024 20 80 No
1196 TECHNOE INE285K01026 20 80 Yes
1197 TEGA INE011K01018 20 80 No
1198 TEJASNET INE010J01012 21.16 78.84 No
1199 TEMBO INE869Y01010 20 80 No
1200 TEXINFRA INE435C01024 23.03 76.97 Yes
1201 TFCILTD INE305A01015 23.07 76.93 No
1202 THEJO INE121N01019 20 80 No
1203 THEMISMED INE083B01024 20.54 79.46 Yes
1204 THERMAX INE152A01029 20 80 No
1205 THYROCARE INE594H01019 20 80 No
1206 TI INE133E01013 35 65 Yes
1207 TIDEWATER INE484C01030 20 80 No
1208 TIINDIA INE974X01010 20 80 No
1209 TIMETECHNO INE508G01029 20.94 79.06 No
1210 TIMKEN INE325A01013 20 80 No
1211 TINPLATE INE422C01014 20 80 No
1212 TIPSINDLTD INE716B01029 21.14 78.86 Yes
1213 TIRUMALCHM INE338A01024 20.57 79.43 No
1214 TITAGARH INE615H01020 24.45 75.55 No
1215 TMB INE668A01016 20 80 No
1216 TNPETRO INE148A01019 20 80 Yes
1217 TNPL INE107A01015 20.1 79.9 No
1218 TOKYOPLAST INE932C01012 21.49 78.51 No
1219 TORNTPHARM INE685A01028 20 80 No
1220 TORNTPOWER INE813H01021 20 80 No
1221 TOTAL INE336X01012 24.62 75.38 No
1222 TPLPLASTEH INE413G01022 27.14 72.86 Yes
1223 TRACXN INE0HMF01019 20 80 Yes
1224 TRENT INE849A01020 20 80 No
1225 TRF INE391D01019 24.37 75.63 No
1226 TRIDENT INE064C01022 20 80 No
1227 TRIGYN INE948A01012 23.56 76.44 No
1228 TRITURBINE INE152M01016 21.28 78.72 No
1229 TRIVENI INE256C01024 21.53 78.47 No
1230 TTKHLTCARE INE910C01018 20 80 Yes
1231 TTKPRESTIG INE690A01028 20 80 No
1232 TTML INE517B01013 25.89 74.11 No
1233 TV18BRDCST INE886H01027 23.1 76.9 No
1234 TVSELECT INE236G01019 24.35 75.65 No
1235 TVSHLTD INE105A01035 22.17 77.83 Yes
1236 TVSMOTOR INE494B01023 20 80 No
1237 TVSSCS INE395N01027 20 80 No
1238 TVSSRICHAK INE421C01016 20 80 Yes
1239 TVTODAY INE038F01029 20 80 Yes
1240 UBL INE686F01025 20 80 No
1241 UCOBANK INE691A01018 23.61 76.39 No
1242 UDAICEMENT INE225C01029 20 80 Yes
1243 UDS INE851I01011 20 80 No
1244 UFLEX INE516A01017 20 80 No
1245 UGARSUGAR INE071E01023 23.56 76.44 No
1246 UGROCAP INE583D01011 20.14 79.86 Yes
1247 UJJIVAN INE334L01012 20.68 79.32 No
1248 UJJIVANSFB INE551W01018 20.24 79.76 No
1249 UMAEXPORTS INE0GIU01018 21.77 78.23 No
1250 UNICHEMLAB INE351A01035 20 80 No
1251 UNIDT INE961D01019 21.69 78.31 Yes
1252 UNIENTER INE037A01022 20.12 79.88 Yes
1253 UNIONBANK INE692A01016 20.63 79.37 No
1254 UNIPARTS INE244O01017 20 80 No
1255 UNITEDTEA INE458F01011 20 80 No
1256 UNIVASTU INE562X01013 27.59 72.41 No
1257 UNIVCABLES INE279A01012 25.7 74.3 Yes
1258 UNOMINDA INE405E01023 20 80 No
1259 URJA INE550C01020 24.99 75.01 No
1260 USK INE0N0Y01013 20 80 Yes
1261 UTIAMC INE094J01016 20 80 No
1262 UTKARSHBNK INE735W01017 20 80 No
1263 UTTAMSUGAR INE786F01031 23.86 76.14 Yes
1264 VADILALIND INE694D01016 21.67 78.33 Yes
1265 VAIBHAVGBL INE884A01027 20 80 No
1266 VAISHALI INE972X01014 25.1 74.9 Yes
1267 VAKRANGEE INE051B01021 25.64 74.36 Yes
1268 VALIANTORG INE565V01010 21.77 78.23 Yes
1269 VARDHACRLC INE116G01013 20 80 Yes
1270 VARROC INE665L01035 20 80 No
1271 VBL INE200M01021 20 80 No
1272 VEDL INE205A01025 20 80 No
1273 VENKEYS INE398A01010 20 80 No
1274 VENUSPIPES INE0JA001018 20 80 No
1275 VERANDA INE0IQ001011 21.55 78.45 Yes
1276 VETO INE918N01018 22.14 77.86 Yes
1277 VGUARD INE951I01027 20 80 No
1278 VHL INE701A01023 20 80 Yes
1279 VIDHIING INE632C01026 20 80 Yes
1280 VIJAYA INE043W01024 20 80 No
1281 VIKASLIFE INE161L01027 29.86 70.14 No
1282 VIMTALABS INE579C01029 22.98 77.02 Yes
1283 VINATIORGA INE410B01037 20 80 No
1284 VINDHYATEL INE707A01012 20.93 79.07 Yes
1285 VINEETLAB INE505Y01010 24.09 75.91 Yes
1286 VINYLINDIA INE250B01029 25.15 74.85 No
1287 VIPIND INE054A01027 20 80 No
1288 VISAKAIND INE392A01021 20 80 Yes
1289 VISHAL INE755Q01025 21.71 78.29 Yes
1290 VISHNU INE270I01022 20 80 Yes
1291 VISHWARAJ INE430N01022 20.09 79.91 No
1292 VLSFINANCE INE709A01018 20 80 Yes
1293 VMART INE665J01013 20 80 No
1294 VOLTAMP INE540H01012 21.54 78.46 No
1295 VOLTAS INE226A01021 20 80 No
1296 VPRPL INE0AE001013 20 80 No
1297 VRLLOG INE366I01010 20 80 No
1298 VSSL INE050M01012 21.07 78.93 Yes
1299 VSTIND INE710A01016 20 80 No
1300 VSTTILLERS INE764D01017 20 80 Yes
1301 VTL INE825A01020 20 80 No
1302 WABAG INE956G01038 20 80 No
1303 WATERBASE INE054C01015 20 80 Yes
1304 WEBELSOLAR INE855C01015 50 50 Yes
1305 WELCORP INE191B01025 21.1 78.9 No
1306 WELSPUNIND INE192B01031 22.88 77.12 No
1307 WENDT INE274C01019 21 79 Yes
1308 WESTLIFE INE274F01020 20 80 No
1309 WHEELS INE715A01015 20 80 Yes
Approved Securities List for the Month of November 2023
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
1310 WHIRLPOOL INE716A01013 20 collateral margin of Rs. 80 No
1311 WINDLAS INE0H5O01029 20 80 Yes
1312 WOCKPHARMA INE049B01025 20 80 No
1313 WONDERLA INE066O01014 20.66 79.34 No
1314 WORTH INE196Y01018 22.46 77.54 Yes
1315 WSTCSTPAPR INE976A01021 22 78 No
1316 XCHANGING INE692G01013 22.43 77.57 Yes
1317 XELPMOC INE01P501012 20 80 No
1318 XPROINDIA INE445C01015 24.11 75.89 No
1319 YASHO INE616Z01012 20 80 Yes
1320 YATHARTH INE0JO301016 20 80 No
1321 YATRA INE0JR601024 20 80 No
1322 YESBANK INE528G01035 20 80 Yes
1323 YUKEN INE384C01016 20 80 No
1324 ZAGGLE INE07K301024 20 80 No
1325 ZEEL INE256A01028 21.18 78.82 No
1326 ZEEMEDIA INE966H01019 27.87 72.13 Yes
1327 ZENSARTECH INE520A01027 20.16 79.84 No
1328 ZFCVINDIA INE342J01019 20 80 Yes
1329 ZIMLAB INE518E01015 20.99 79.01 No
1330 ZODIACLOTH INE206B01013 21.71 78.29 No
1331 ZOMATO INE758T01015 22.59 77.41 No
1332 ZOTA INE358U01012 20.21 79.79 Yes
1333 ZUARI INE840M01016 22.55 77.45 Yes
1334 ZUARIIND INE217A01012 20 80 Yes
1335 ZYDUSLIFE INE010B01027 20 80 No
1336 ZYDUSWELL INE768C01010 20 80 No
List of ETFs
For every Rs 100 worth of
stock pledged, you'll receive
Sr. No. Security Name ISIN Haircut % collateral margin of Rs. Broker limit reached
1 ABSLBANETF INF209KB17D5 20 80 No
2 ABSLNN50ET INF209KB16D7 8.09 91.91 No
3 AUTOBEES INF204KC1337 20 80 No
4 AXISBNKETF INF846K01X63 20 80 Yes
5 AXISBPSETF INF846K01Z04 20 80 Yes
6 AXISCETF INF846K016C7 20 80 Yes
7 AXISGOLD INF846K01W80 20 80 No
8 AXISHCETF INF846K01Z12 20 80 Yes
9 AXISILVER INF846K011K1 20 80 Yes
10 AXISNIFTY INF846K01W98 8 92 Yes
11 AXISTECETF INF846K01Y96 20 80 Yes
12 AXSENSEX INF846K010Q0 8 92 Yes
13 BANKBEES INF204KB15I9 20 80 No
14 BANKETF INF769K01KR3 20 80 Yes
15 BBETF0432 INF754K01OB1 12.5 87.5 No
16 BFSI INF769K01HI8 20 80 Yes
17 BSLGOLDETF INF209KB18D3 20 80 No
18 BSLNIFTY INF209KB19D1 8 92 Yes
19 BSLSENETFG INF209KB10E8 8 92 Yes
20 CONSUMBEES INF204KA1LD7 20 80 Yes
21 CPSEETF INF457M01133 20 80 No
22 DIVOPPBEES INF204KA1MS3 20 80 Yes
23 DSPBANKETF INF740KA1RX3 20 80 Yes
24 DSPGOLDETF INF740KA1SW3 20 80 Yes
25 DSPITETF INF740KA1SX1 20 80 No
26 DSPN50ETF INF740KA1CL0 10.67 89.33 Yes
27 DSPNEWETF INF740KA1QK2 20 80 Yes
28 DSPPVBKETF INF740KA1TA7 20 80 Yes
29 DSPQ50ETF INF740KA1QL0 20 80 Yes
30 DSPSENXETF INF740KA1SZ6 8.03 91.97 Yes
31 DSPSILVETF INF740KA1RE3 20 80 Yes
32 EBBETF0425 INF754K01LD3 20 80 No
33 EBBETF0430 INF754K01KO2 20 80 No
34 EBBETF0431 INF754K01LE1 20 80 No
35 EBBETF0433 INF754K01QX0 20 80 No
36 ESG INF769K01GS9 20 80 Yes
37 GOLDBEES INF204KB17I5 20 80 No
38 GOLDETF INF769K01JP9 20 80 Yes
39 GOLDSHARE INF789F1AUX7 20 80 Yes
40 HDFCGOLD INF179KC1981 20 80 No
41 HDFCGROWTH INF179KC1DJ0 20 80 Yes
42 HDFCLOWVOL INF179KC1DN2 20 80 Yes
43 HDFCMID150 INF179KC1FA4 20 80 Yes
44 HDFCMOMENT INF179KC1DM4 20 80 Yes
45 HDFCNEXT50 INF179KC1DA9 20 80 Yes
46 HDFCNIF100 INF179KC1DB7 20 80 Yes
47 HDFCNIFBAN INF179KC1AN8 20 80 Yes
48 HDFCNIFIT INF179KC1DX1 20 80 Yes
49 HDFCNIFTY INF179KC1965 8 92 Yes
50 HDFCPVTBAN INF179KC1DW3 20 80 Yes
51 HDFCQUAL INF179KC1DL6 20 80 Yes
52 HDFCSENSEX INF179KC1973 8 92 Yes
53 HDFCSILVER INF179KC1DI2 20 80 No
54 HDFCSML250 INF179KC1FB2 8 92 No
55 HDFCVALUE INF179KC1DK8 20 80 Yes
56 HEALTHY INF209KB10C2 20 80 No
57 HNGSNGBEES INF204KB19I1 10.33 89.67 No
58 ICICI500 INF109KC1V59 8 92 No
59 ICICIALPLV INF109KC1N59 20 80 Yes
60 ICICIAUTO INF109KC1Y49 20 80 Yes
61 ICICIB22 INF109KB15Y7 20 80 No
62 ICICIBANKN INF109KC15I8 20 80 No
63 ICICIBANKP INF109KC1E35 20 80 Yes
64 ICICICOMMO INF109KC19O8 20 80 Yes
65 ICICICONSU INF109KC1V42 20 80 Yes
66 ICICIFIN INF109KC17L8 20 80 No
67 ICICIFMCG INF109KC1R48 20 80 Yes
68 ICICIGOLD INF109KC1NT3 20 80 No
69 ICICIINFRA INF109KC16E5 20 80 Yes
70 ICICILOVOL INF109KB10T8 20 80 No
71 ICICIM150 INF109KC1G82 8.09 91.91 Yes
72 ICICIMCAP INF109KB1XT3 8 92 Yes
73 ICICIMOM30 INF109KC17C7 20 80 Yes
74 ICICINF100 INF109KA1962 8 92 Yes
75 ICICINIFTY INF109K012R6 8 92 No
Approved Securities List for the Month of November 2023
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
76 ICICINV20 INF109KB1WY5 20 collateral margin of Rs. 80 No
77 ICICINXT50 INF109KC1NS5 8.16 91.84 Yes
78 ICICIPHARM INF109KC1Q72 20 80 No
79 ICICIQTY30 INF109KC15T5 20 80 Yes
80 ICICISENSX INF346A01034 8 92 Yes
81 ICICISILVE INF109KC1Y56 20 80 No
82 ICICITECH INF109KC16I6 20 80 No
83 IDFNIFTYET INF194KA1U07 12.51 87.49 Yes
84 INFRABEES INF732E01268 20 80 Yes
85 ITBEES INF204KB15V2 20 80 No
86 IVZINGOLD INF205K01361 20 80 Yes
87 JUNIORBEES INF732E01045 8 92 No
88 KOTAKALPHA INF174KA1IA5 20 80 Yes
89 KOTAKBKETF INF174K01F59 20 80 Yes
90 KOTAKCONS INF174KA1JE5 20 80 Yes
91 KOTAKGOLD INF174KA1HJ8 20 80 No
92 KOTAKIT INF174KA1GC5 20 80 Yes
93 KOTAKLOVOL INF174KA1IY5 20 80 No
94 KOTAKMID50 INF174KA1IB3 9.11 90.89 Yes
95 KOTAKMNC INF174KA1JF2 20 80 Yes
96 KOTAKNIFTY INF174K014P6 8 92 Yes
97 KOTAKNV20 INF174K01Z71 20 80 Yes
98 KOTAKPSUBK INF373I01023 20 80 No
99 KOTAKSILVE INF174KA1KU9 20 80 Yes
100 LICMFGOLD INF397L01554 20 80 Yes
101 LICNETFN50 INF767K01OS7 8.01 91.99 Yes
102 LICNFNHGP INF767K01PC8 8.78 91.22 Yes
103 LOWVOL INF769K01JU9 20 80 Yes
104 MAFANG INF769K01HF4 20 80 No
105 MAHKTECH INF769K01HS7 20 80 Yes
106 MAKEINDIA INF769K01IB1 20 80 Yes
107 MASPTOP50 INF769K01HP3 8.25 91.75 Yes
108 MID150BEES INF204KB1V68 8 92 No
109 MIDCAPETF INF769K01IC9 8 92 No
110 MOHEALTH INF247L01BB1 20 80 Yes
111 MOLOWVOL INF247L01BL0 20 80 Yes
112 MOM100 INF247L01023 8.13 91.87 Yes
113 MOM50 INF247L01536 8 92 Yes
114 MOMENTUM INF209KB14K7 20 80 Yes
115 MOMOMENTUM INF247L01BK2 20 80 No
116 MON100 INF247L01AP3 9.23 90.77 No
117 MONIFTY500 INF247L01BU1 6 94 No
118 MONQ50 INF247L01AU3 8.28 91.72 Yes
119 MOQUALITY INF247L01BH8 20 80 Yes
120 MOVALUE INF247L01BE5 20 80 Yes
121 NETF INF277K015R5 8.94 91.06 Yes
122 NEXT50 INF769K01FN2 8 92 Yes
123 NIF100BEES INF204K014N5 8 92 Yes
124 NIFMID150 INF789F1AYX9 6.81 93.19 Yes
125 NIFTYBEES INF204KB14I2 8 92 No
126 NIFTYETF INF769K01EG9 8 92 No
127 NIFTYQLITY INF209KB15K4 20 80 No
128 NPBET INF277K010X4 20 80 Yes
129 NV20BEES INF204KB18I3 20 80 Yes
130 PHARMABEES INF204KC1089 20 80 No
131 PSUBANKICI INF109KC10S8 20 80 No
132 PSUBNKBEES INF204KB16I7 20 80 No
133 QGOLDHALF INF082J01408 20 80 Yes
134 QNIFTY INF082J01028 8 92 Yes
135 SBIETFCON INF200KA1X17 20 80 Yes
136 SBIETFIT INF200KA1S14 20 80 Yes
137 SBIETFPB INF200KA1S22 20 80 Yes
138 SBIETFQLTY INF200KA1WX6 20 80 Yes
139 SDL24BEES INF204KB18W4 20 80 No
140 SDL26BEES INF204KC1022 20 80 No
141 SETFGOLD INF200KA16D8 20 80 No
142 SETFNIF50 INF200KA1FS1 8 92 No
143 SETFNIFBK INF200KA1580 20 80 No
144 SETFNN50 INF200KA1598 8 92 Yes
145 SHARIABEES INF732E01128 20 80 Yes
146 SILVER INF209KB19F6 20 80 No
147 SILVERBEES INF204KC1402 20 80 No
148 SILVERETF INF789F1AYK6 20 80 Yes
149 SILVRETF INF769K01KG6 20 80 Yes
150 TECH INF209KB11D8 20 80 Yes
151 TNIDETF INF277KA1364 20 80 Yes
152 UTIBANKETF INF789F1AUV1 20 80 No
153 UTINEXT50 INF789F1AUW9 10.83 89.17 No
154 UTINIFTETF INF789F1AZC0 8 92 Yes
155 UTISENSETF INF789FB1X58 8.47 91.53 Yes
156 UTISXN50 INF789F1AUU3 11.99 88.01 Yes
Notes
1) Haircut as applicable subject to a minimum of VaR+ELM+Adhoc
2) The clearing corporation has set a certain limit on the number of shares/units that can be pledged per security through a
broker. If the broker limit is reached, you will not be able to further pledge such securities for margin.
3) For stocks pledged before 5pm, collateral margin will be available on T+1 day.
4) The collateral margin received by pledging cash component securities can be used fully towards any margin requirement for
your open positions. You will not be required to maintain cash separately if the collateral from cash component securities
covers the margin requirement.
5) The collateral margin received by pledging non-cash component securities can be used only up to 50% of the margin
requirement for your open positions. The exchange stipulates for the remaining 50% margin to come in the form of cash or
cash equivalent collateral. Any additional utilisation of the non-cash collateral, over and above 50% of the margin requirement
will be liable to delayed payment charges.
6) Cost of pledge: Rs.30 + GST per scrip irrespective of quantity of stock pledged.
7) For all unpledge requests placed before 3.30 pm, stock will be available in demat account for trading on T+1 day.
Disclaimer The broker limit is indicative in nature. Raising a pledge request for a stock does not guarantee that the pledge will be accepted.
Approved Securities List for the Month of November 2023
List of ETFs that can be pledged
For every Rs 100 worth of stock
pledged, you'll receive collateral
Sr. No. Security Name ISIN Haircut % margin of Rs. Broker limit reached
1 ABSLLIQUID INF209KB18T9 10 90 No
2 GILT5YBEES INF204KC1030 10 90 Yes
3 HDFCLIQUID INF179KC1HE2 10 90 No
4 ICICI5GSEC INF109KC14A8 10 90 Yes
5 ICICILIQ INF109KC1KT9 10 90 No
6 LICNETFGSC INF767K01MV5 10 90 Yes
7 LIQUID INF769K01KS1 10 90 No
8 LIQUIDBEES INF732E01037 10 90 No
9 LIQUIDETF INF740KA1EU7 10 90 No
10 LTGILTBEES INF204KB1882 10 90 No
11 MOGSEC INF247L01AK4 10 90 No
12 SETF10GILT INF200KA1JT1 10 90 No
Mutual funds
For every Rs 100 worth of
stock pledged, you'll
receive collateral margin Broker limit
Sr. No. Security Name ISIN Scheme Name Haircut % of Rs. Scheme Type reached
1 AXISCFDD INF846K01420 AXIS LIQUID FUND - REGULAR DAILY IDCW REINVESTMENT 10 90 NORMAL
2 AXISCFDG INF846K01CX4 AXIS LIQUID FUND - DIRECT GROWTH 10 90 DIRECT
3 AXISCFDM INF846K01CY2 AXIS LIQUID FUND - DIRECT PLAN - MONTHLY IDCW PAYOUT 10 90 DIRECT
4 AXISCFDM INF846K01CZ9 AXIS LIQUID FUND - DIRECT PLAN - MONTHLY IDCW REINVESTMENT 10 90 DIRECT
5 AXISCFDP INF846K01453 AXIS LIQUID FUND - REGULAR MONTHLY IDCW PAYOUT 10 90 NORMAL
6 AXISCFDP INF846K01461 AXIS LIQUID FUND - REGULAR MONTHLY IDCW REINVESTMENT 10 90 NORMAL
7 AXISCFDR INF846K01DA0 AXIS LIQUID FUND - DIRECT PLAN - DAILY IDCW REINVESTMENT 10 90 DIRECT
8 AXISCFDW INF846K01DB8 AXIS LIQUID FUND - DIRECT PLAN - WEEKLY IDCW PAYOUT 10 90 DIRECT Yes
9 AXISCFDW INF846K01DC6 AXIS LIQUID FUND - DIRECT PLAN - WEEKLY IDCW REINVESTMENT 10 90 DIRECT Yes
10 AXISCFGP INF846K01412 AXIS LIQUID FUND - REGULAR GROWTH 10 90 NORMAL
11 AXISCFWD INF846K01438 AXIS LIQUID FUND - REGULAR WEEKLY IDCW PAYOUT 10 90 NORMAL
12 AXISCFWD INF846K01446 AXIS LIQUID FUND - REGULAR WEEKLY IDCW REINVESTMENT 10 90 NORMAL
13 AXISCMDG INF846K01DD4 AXIS GILT FUND - DIRECT PLAN - GROWTH OPTION 10 90 DIRECT
14 AXISCMGP INF846K01AX8 AXIS GILT FUND - REGULAR GROWTH OPTION 10 90 NORMAL
15 AXISMDGP INF846K01Q62 AXIS MONEY MARKET FUND DIRECT GROWTH 10 90 DIRECT
16 AXISMMDDR INF846K01R53 AXIS MONEY MARKET FUND REGULAR DAILY IDCW REINVESTMENT 10 90 NORMAL
17 AXISMMGPG INF846K01R46 AXIS MONEY MARKET FUND REGULAR GROWTH 10 90 NORMAL
18 AXISONDDR INF846K01O56 AXIS OVERNIGHT FUND REGULAR DAILY IDCW REINVESTMENT 10 90 NORMAL
19 AXISONDGG INF846K01N65 AXIS OVERNIGHT FUND DIRECT PLAN - GROWTH 10 90 DIRECT
20 AXISONGPG INF846K01O23 AXIS OVERNIGHT FUND REGULAR PLAN - GROWTH 10 90 NORMAL
21 B115B INF209KB10O7 ADITYA BIRLA SUN LIFE CRISIL IBX GILT APR 2029 INDEX FUND-REGULAR GROWTH 10 90 NORMAL
22 B151DZ INF209K01UT5 ADITYA BIRLA SUN LIFE MONEY MANAGER FUND - DAILY IDCW REINVESTMENT-DIRECT PLAN 10 90 DIRECT
23 B151GZ INF209K01UU3 ADITYA BIRLA SUN LIFE MONEY MANAGER FUND - GROWTH-DIRECT PLAN 10 90 DIRECT
24 B151IG INF209K01RV7 ADITYA BIRLA SUN LIFE MONEY MANAGER FUND - GROWTH-REGULAR PLAN 10 90 NORMAL
25 B153DZ INF209K01UZ2 ADITYA BIRLA SUN LIFE LIQUID FUND - DAILY IDCW REINVESTMENT-DIRECT PLAN 10 90 DIRECT
26 B153G INF209K01RU9 ADITYA BIRLA SUN LIFE LIQUID FUND REGULAR PLAN - GROWTH 10 90 NORMAL
27 B153GZ INF209K01VA3 ADITYA BIRLA SUN LIFE LIQUID FUND DIRECT PLAN - GROWTH 10 90 DIRECT
28 B153WZ INF209K01VC9 ADITYA BIRLA SUN LIFE LIQUID FUND - WEEKLY IDCW PAYOUT - DIRECT PLAN 10 90 DIRECT
29 B153Z INF209K01VD7 ADITYA BIRLA SUN LIFE LIQUID FUND - DIRECT PLAN-IDCW PAYOUT 10 90 DIRECT
30 B402AZ INF209K01XP7 ADITYA BIRLA SUN LIFE GOVERNMENT SECURITIES FUND- GROWTH-DIRECT PLAN 10 90 DIRECT
31 B403DZ INF209KA1LC4 ADITYA BIRLA SUN LIFE GOVERNMENT SECURITIES FUND- QUARTERLY DIRECT PLAN-IDCW PAYOUT 10 90 DIRECT Yes
32 B501G INF209K01ME4 ADITYA BIRLA SUN LIFE LIQUID FUND RETAIL GROWTH 10 90 NORMAL
33 B511G INF209K01MJ3 ADITYA BIRLA SUN LIFE MONEY MANAGER FUND - RETAIL - GROWTH 10 90 NORMAL
34 BAFOVDG INF761K01EU7 BANK OF INDIA OVERNIGHT FUND DIRECT PLAN - GROWTH 10 90 DIRECT
35 BAFOVRG INF761K01EZ6 BANK OF INDIA OVERNIGHT FUND REGULAR PLAN - GROWTH 10 90 NORMAL
36 BOILFRDR INF761K01CO4 BANK OF INDIA LIQUID FUND - REGULAR PLAN - DAILY IDCW REINVESTMENT 10 90 NORMAL
37 BOILFRGG INF761K01306 BANK OF INDIA LIQUID FUNDREGULAR PLAN - GROWTH 10 90 NORMAL
38 BPGFG INF955L01450 BARODA BNP PARIBAS GILT FUND REGULAR GROWTH 10 90 NORMAL
39 BPLFG INF955L01484 BARODA BNP PARIBAS LIQUID FUND REGULAR GROWTH 10 90 NORMAL
40 BPMFBMD2 INF955L01ID0 BARODA BNP PARIBAS MONEY MARKET FUND DIRECT PLAN GROWTH GROWTH 10 90 DIRECT
41 BPMFBMGP INF955L01HY8 BARODA BNP PARIBAS MONEY MARKET FUND REGULAR PLAN GROWTH GROWTH 10 90 NORMAL
42 BPMFGFD2 INF955L01AD7 BARODA BNP PARIBAS GILT FUND PLAN B GROWTH-GROWTH 10 90 DIRECT
43 BPMFLFD1 INF955L01AK2 BARODA BNP PARIBAS LIQUID FUND PLAN B DAILY IDCW REINVESTMENT 10 90 DIRECT
44 BPMFLFD2 INF955L01AL0 BARODA BNP PARIBAS LIQUID FUND PLAN B GROWTH 10 90 DIRECT
45 BPMFOFD1 INF955L01HW2 BARODA BNP PARIBAS OVERNIGHT FUND DIRECT PLAN DAILY IDCW REINVESTMENT 10 90 DIRECT
46 BPMFOFD2 INF955L01HV4 BARODA BNP PARIBAS OVERNIGHT FUND DIRECT PLAN GROWTH 10 90 DIRECT
47 BPMFOFIG INF955L01HS0 BARODA BNP PARIBAS OVERNIGHT FUND REGULAR PLAN GROWTH 10 90 NORMAL
48 BSL402AG INF209K01AC3 ADITYA BIRLA SUN LIFE GOVERNMENT SECURITIES FUND-GROWTH 10 90 NORMAL
49 BSL402IG INF209K01AD1 ADITYA BIRLA SUN LIFE GOVERNMENT SECURITIES FUND-INSTANT GAIN-GROWTH 10 90 NORMAL
50 BSL403QD INF209K01AF6 ADITYA BIRLA SUN LIFE GOVERNMENT SECURITIES FUND-QUARTERLY IDCW PAYOUT 10 90 NORMAL
51 BSL403QD INF209K01DP9 ADITYA BIRLA SUN LIFE GOVERNMENT SECURITIES FUND-QUARTERLY IDCW REINVESTMENT 10 90 NORMAL
52 CIGIF26B INF277KA1588 TATA CRISIL-IBX GILT INDEX - APRIL 2026 INDEX FUND - REGULAR PLAN - GROWTH 10 90 NORMAL
53 CIGIF26D INF277KA1554 TATA CRISIL-IBX GILT INDEX - APRIL 2026 INDEX FUND - DIRECT PLAN - GROWTH 10 90 DIRECT
54 CPD1R INF789F01XP8 UTI LIQUID CASH PLAN-DIRECT DAILY DIVIDEND PLAN-IDCW REINVESTMENT 10 90 DIRECT
55 CPD2G INF789F01XQ6 UTI LIQUID CASH PLAN-DIRECT GROWTH 10 90 DIRECT
56 CPFTD INF789FA1J09 UTI LIQUID CASH PLAN-REGULAR FORTNIGHTLY DIVIDEND PLAN-IDCW PAYOUT 10 90 NORMAL
57 CPFTR INF789FA1J17 UTI LIQUID CASH PLAN-REGULAR FORTNIGHTLY DIVIDEND PLAN-IDCW REINVESTMENT 10 90 NORMAL
58 CPIDR INF789F01PG3 UTI LIQUID CASH PLAN-REGULAR DAILY DIVIDEND PLAN-IDCW REINVESTMENT 10 90 NORMAL
59 CPIGG INF789F01PH1 UTI LIQUID CASH PLAN - REGULAR GROWTH 10 90 NORMAL
60 CPIMD INF789F01PI9 UTI LIQUID CASH PLAN-REGULAR MONTHLY DIVIDEND PLAN-IDCW PAYOUT 10 90 NORMAL
61 CPIMR INF789F01PJ7 UTI LIQUID CASH PLAN-REGULAR MONTHLY DIVIDEND PLAN-IDCW REINVESTMENT 10 90 NORMAL
62 CPIWR INF789F01PK5 UTI LIQUID CASH PLAN-REGULAR WEEKLY DIVIDEND PLAN-IDCW REINVESTMENT 10 90 NORMAL
63 CRGLDG INF760K01FC4 CANARA ROBECO GILT FUND DIRECT GROWTH 10 90 DIRECT
64 CRGLDPD INF760K01AB7 CANARA ROBECO GILT FUND REGULAR - IDCW PAYOUT 10 90 NORMAL
65 CRGLDPR INF760K01AC5 CANARA ROBECO GILT FUND REGULAR - IDCW REINVESTMENT 10 90 NORMAL
66 CRGLGPG INF760K01AE1 CANARA ROBECO GILT FUND REGULAR GROWTH 10 90 NORMAL
67 CRLIDD INF760K01FS0 CANARA ROBECO LIQUID FUND DIRECT DAILY - IDCW REINVESTMENT 10 90 DIRECT
68 CRLIDG INF760K01FU6 CANARA ROBECO LIQUID FUND DIRECT GROWTH 10 90 DIRECT
69 CRLISDR INF760K01CU3 CANARA ROBECO LIQUID FUND REGULAR DAILY - IDCW REINVESTMENT 10 90 NORMAL
70 CRLISGG INF760K01CW9 CANARA ROBECO LIQUID FUND REGULAR GROWTH 10 90 NORMAL
71 CROFDG INF760K01JM5 CANARA ROBECO OVERNIGHT FUND DIRECT GROWTH 10 90 DIRECT
72 CROFDR INF760K01JN3 CANARA ROBECO OVERNIGHT FUND DIRECT DAILY - IDCW REINVESTMENT 10 90 DIRECT
73 CROFGP INF760K01JO1 CANARA ROBECO OVERNIGHT FUND REGULAR GROWTH 10 90 NORMAL
74 DSP10YDGR INF740K019I5 DSP 10Y G-SEC FUND - DIR - GROWTH 10 90 DIRECT
75 DSP10YRGR INF740K012I0 DSP 10Y G-SEC FUND - REGULAR PLAN - GROWTH 10 90 NORMAL
76 DSPBRGSDF INF740K01607 DSP GOVERNMENT SECURITIES FUND - IDCW REINVESTMENT 10 90 NORMAL
77 DSPBRGSDF INF740K01AD5 DSP GOVERNMENT SECURITIES FUND - IDCW REINVESTMENT 10 90 NORMAL
78 DSPBRGSF INF740K01615 DSP GOVERNMENT SECURITIES FUND - GROWTH 10 90 NORMAL
79 DSPBRLIGF INF740K01FK9 DSP LIQUIDITY FUND - GROWTH 10 90 NORMAL
80 DSPBRTBF INF740K01714 DSP SAVINGS FUND - GROWTH 10 90 NORMAL
81 DSPGSCDGR INF740K01NF3 DSP GOVERNMENT SECURITIES FUND - DIRECT PLAN - GROWTH 10 90 DIRECT
82 DSPLQDGR INF740K01QL4 DSP LIQUIDITY FUND - DIRECT PLAN - GROWTH 10 90 DIRECT
83 DSPONDGR INF740KA1MC8 DSP OVERNIGHT FUND - DIRECT PLAN - GROWTH 10 90 DIRECT
84 DSPONRGR INF740KA1MB0 DSP OVERNIGHT FUND - REGULAR PLAN - GROWTH 10 90 NORMAL
85 DSPTREDGR INF740K01NU2 DSP SAVINGS FUND - DIRECT PLAN - GROWTH 10 90 DIRECT
86 EMFLIQDDDR INF754K01GP7 EDELWEISS LIQUID FUND - DIRECT PLAN DAILY IDCW REINVESTMENT 10 90 DIRECT
87 EMFLIQDDMP INF754K01GW3 EDELWEISS LIQUID FUND - DIRECT PLAN - MONTHLY IDCW PAYOUT 10 90 DIRECT
88 EMFLIQDDMR INF754K01GS1 EDELWEISS LIQUID FUND - DIRECT PLAN - MONTHLY IDCW REINVESTMENT 10 90 DIRECT
89 EMFLIQDGP INF754K01GM4 EDELWEISS LIQUID FUND - DIRECT PLAN GROWTH OPTION 10 90 DIRECT
90 EMFLIQDRGR INF754K01GZ6 EDELWEISS LIQUID FUND - REGULAR PLAN GROWTH - GROWTH 10 90 NORMAL
91 EMFONFDRGP INF754K01JV9 EDELWEISS OVERNIGHT FUND - DIRECT PLAN - GROWTH 10 90 DIRECT
92 EMFONFRGGP INF754K01KE3 EDELWEISS OVERNIGHT FUND - REGULAR PLAN - GROWTH 10 90 NORMAL
93 FIGSFGP INF090I01HS2 FRANKLIN INDIA GOVERNMENT SECURITIES FUND - DIRECT GROWTH 10 90 DIRECT
94 FILFDSIPDD INF090I01JW0 FRANKLIN INDIA LIQUID FUND - SUPER INSTITUTIONAL PLAN - DIRECT DAILY IDCW REINVESTMENT 10 90 DIRECT
95 FILFDSIPDP INF090I01JX8 FRANKLIN INDIA LIQUID FUND - SUPER INSTITUTIONAL PLAN - DIRECT WEEKLY IDCW PAYOUT 10 90 DIRECT
96 FILFDSIPDP INF090I01JY6 FRANKLIN INDIA LIQUID FUND - SUPER INSTITUTIONAL PLAN - DIRECT WEEKLY IDCW PAYOUT 10 90 DIRECT
97 FILFDSIPGP INF090I01JV2 FRANKLIN INDIA LIQUID FUND - SUPER INSTITUTIONAL PLAN - DIRECT -GROWTH 10 90 DIRECT
98 FILFGP INF090I01BB1 FRANKLIN INDIA LIQUID FUND - REGULAR PLAN - GROWTH 10 90 NORMAL
99 FILFSIPDD INF090I01BF2 FRANKLIN INDIA LIQUID FUND - SUPER INSTITUTIONAL PLAN-DAILY IDCW REINVESTMENT 10 90 NORMAL
100 FILFSIPGP INF090I01BG0 FRANKLIN INDIA LIQUID FUND - SUPER INSTITUTIONAL PLAN-GROWTH 10 90 NORMAL
101 FILFSIPWDP INF090I01BM8 FRANKLIN INDIA LIQUID FUND - SUPER INSTITUTIONAL PLAN WEEKLY IDCW PAYOUT 10 90 NORMAL
102 FILFSIPWDP INF090I01BH8 FRANKLIN INDIA LIQUID FUND - SUPER INSTITUTIONAL PLAN-WEEKLY IDCW REINVESTMENT 10 90 NORMAL
103 FILFWDP INF090I01BI6 FRANKLIN INDIA LIQUID FUND - REGULAR PLAN WEEKLY IDCW PAYOUT 10 90 NORMAL
104 FIONFGP INF090I01SO8 FRANKLIN INDIA OVERNIGHT FUND - GROWTH 10 90 NORMAL
105 FLDDP INF090I01GT2 FRANKLIN INDIA MONEY MARKET FUND - DIRECT QUARTERLY IDCW PAYOUT 10 90 DIRECT
106 FLDDR INF090I01GU0 FRANKLIN INDIA MONEY MARKET FUND - DIRECT QUARTERLY IDCW PAYOUT 10 90 DIRECT
107 FLDGP INF090I01GV8 FRANKLIN INDIA MONEY MARKET FUND - DIRECT GROWTH 10 90 DIRECT
108 FLDP INF090I01BZ0 FRANKLIN INDIA MONEY MARKET FUND QUARTERLY IDCW PAYOUT 10 90 NORMAL
109 FLDR INF090I01BY3 FRANKLIN INDIA MONEY MARKET FUND QUARTERLY IDCW PAYOUT 10 90 NORMAL
110 FLGP INF090I01CA1 FRANKLIN INDIA MONEY MARKET FUND-GROWTH 10 90 NORMAL
111 FLMDDP INF090I01LC8 FRANKLIN INDIA MONEY MARKET FUND - DIRECT MONTHLY IDCW PAYOUT 10 90 DIRECT
112 FLMDDR INF090I01LD6 FRANKLIN INDIA MONEY MARKET FUND - DIRECT MONTHLY IDCW PAYOUT 10 90 DIRECT
113 FLMDP INF090I01LA2 FRANKLIN INDIA MONEY MARKET FUND-MONTHLY IDCW PAYOUT 10 90 NORMAL
114 FLMDR INF090I01LB0 FRANKLIN INDIA MONEY MARKET FUND-MONTHLY IDCW PAYOUT 10 90 NORMAL
115 GEDDR INF789FB1T13 UTI OVERNIGHT FUND - DAILY IDCW REINVESTMENT OPTION PLAN 10 90 NORMAL
116 GIF1226B INF277KA1828 TATA NIFTY G-SEC DEC 2026 INDEX FUND - REGULAR PLAN - GROWTH 10 90 NORMAL
117 GIF1226D INF277KA1794 TATA NIFTY G-SEC DEC 2026 INDEX FUND - DIRECT PLAN - GROWTH 10 90 DIRECT
118 GIF1229B INF277KA1760 TATA NIFTY G-SEC DEC 2029 INDEX FUND - REGULAR PLAN - GROWTH 10 90 NORMAL
119 GIF1229D INF277KA1737 TATA NIFTY G-SEC DEC 2029 INDEX FUND - DIRECT PLAN - GROWTH 10 90 DIRECT
120 GLG1G INF767K01EZ3 LIC MF GILT FUND-DIRECT - REGULAR GROWTH PLAN-GROWTH 10 90 DIRECT
121 H53TGR INF179KB1HU9 HDFC MONEY MARKET FUND - DIRECT PLAN - GROWTH 10 90 DIRECT
122 H57TGR INF179KB1HT1 HDFC OVERNIGHT FUND DIRECT PLAN - GROWTH 10 90 DIRECT
123 HCIDG INF336L01QT2 HSBC CRISIL IBX GILT JUNE 2027 INDEX FUND - DIRECT PLAN GROWTH 10 90 DIRECT
124 HCIRD INF336L01QY2 HSBC CRISIL IBX GILT JUNE 2027 INDEX FUND - REGULAR PLAN IDCW PAYOUT 10 90 NORMAL
125 HCIRG INF336L01QW6 HSBC CRISIL IBX GILT JUNE 2027 INDEX FUND - REGULAR PLAN GROWTH 10 90 NORMAL
126 HCIRP INF336L01QX4 HSBC CRISIL IBX GILT JUNE 2027 INDEX FUND - REGULAR PLAN IDCW PAYOUT 10 90 NORMAL
127 HDFCGLD INF179K01772 HDFC GILT FUND - REGULAR PLAN - IDCW PAYOUT 10 90 NORMAL
128 HDFCGLDR INF179K01764 HDFC GILT FUND - REGULAR PLAN - IDCW REINVESTMENT REINVESTMENT 10 90 NORMAL
129 HDFCGLG INF179K01756 HDFC GILT FUND - REGULAR PLAN- GROWTH 10 90 NORMAL
130 HGLDRTDR INF179K01VT8 HDFC GILT FUND - DIRECT PLAN - IDCW REINVESTMENT OPTION REINVESTMENT 10 90 DIRECT
131 HGLDTDP INF179K01VR2 HDFC GILT FUND - DIRECT PLAN - IDCW PAYOUT 10 90 DIRECT Yes
132 HGLGTGR INF179K01VS0 HDFC GILT FUND - DIRECT PLAN - GROWTH OPTION 10 90 DIRECT
133 HHGADGMF INF179KC1FQ0 HDFC NIFTY G-SEC APR 2029 INDEX FUND DIRECT PLAN GROWTH 10 90 DIRECT
134 HHGARGMF INF179KC1FR8 HDFC NIFTY G-SEC APR 2029 INDEX FUND REGULAR PLAN GROWTH 10 90 NORMAL
135 HHGJDGMF INF179KC1FS6 HDFC NIFTY G- SEC JUN 2036 INDEX FUND DIRECT PLAN GROWTH 10 90 DIRECT
136 HHGJRGMF INF179KC1FT4 HDFC NIFTY G- SEC JUN 2036 INDEX FUND REGULAR PLAN GROWTH 10 90 NORMAL
137 HHJDGRHMF INF179KC1EJ8 HDFC NIFTY G- SEC JUN 2027 INDEX FUND DIRECT GROWTH 10 90 DIRECT
138 HHJRGRHMF INF179KC1EK6 HDFC NIFTY G- SEC JUN 2027 INDEX FUND REGULAR GROWTH 10 90 NORMAL
139 HHSDGRHMF INF179KC1EL4 HDFC NIFTY G-SEC SEP 2032 V1 INDEX FUND DIRECT GROWTH 10 90 DIRECT
140 HHSRGRHMF INF179KC1EM2 HDFC NIFTY G-SEC SEP 2032 V1 INDEX FUND REGULAR GROWTH 10 90 NORMAL
141 HLFDDR INF179KB1IC5 HDFC LIQUID FUND - IDCW - DAILY REINVESTMENT 10 90 NORMAL
142 HLFDMTDP INF179KB1HO2 HDFC LIQUID FUND - DIRECT PLAN - MONTHLY IDCW PAYOUT OPTION 10 90 DIRECT
143 HLFGTGR INF179KB1HP9 HDFC LIQUID FUND - DIRECT PLAN - GROWTH OPTION 10 90 DIRECT
144 HLFMRTDR INF179KB1HQ7 HDFC LIQUID FUND - DIRECT PLAN - MONTHLY IDCW REINVESTMENT OPTION 10 90 DIRECT
145 HLQD53 INF179KB1HR5 HDFC MONEY MARKET FUND - REGULAR PLAN - GROWTH 10 90 NORMAL
146 HLQD57 INF179KB1HS3 HDFC OVERNIGHT FUND REGULAR PLAN - GROWTH 10 90 NORMAL
147 HLQDLFDM INF179KB1HM6 HDFC LIQUID FUND - MONTHLY IDCW PAYOUT 10 90 NORMAL
148 HLQDLFDMR INF179KB1HL8 HDFC LIQUID FUND - MONTHLY IDCW REINVESTMENT 10 90 NORMAL
149 HLQDLFG INF179KB1HK0 HDFC LIQUID FUND - GROWTH 10 90 NORMAL
150 HNGSDGHMF INF179KC1EE9 HDFC NIFTY G SEC DEC 2026 INDEX FUND DIRECT GROWTH 10 90 DIRECT
151 HNGSRGHMF INF179KC1EG4 HDFC NIFTY G SEC DEC 2026 INDEX FUND REGULAR GROWTH 10 90 NORMAL
152 HNJSDGHMF INF179KC1EH2 HDFC NIFTY G SEC JULY 2031 INDEX FUND DIRECT GROWTH 10 90 DIRECT
153 HNJSRGHMF INF179KC1EI0 HDFC NIFTY G SEC JULY 2031 INDEX FUND REGULAR GROWTH 10 90 NORMAL
154 IBMFOFG1 INF666M01GL8 GROWW OVERNIGHT FUND DIRECT PLAN - GROWTH 10 90 DIRECT
155 IBMLFG1 INF666M01451 GROWW LIQUID FUND - DIRECT PLAN - GROWTH 10 90 DIRECT
156 IBMLFGP INF666M01014 GROWW LIQUID FUND - EXISTING PLAN - GROWTH 10 90 NORMAL
157 IBMLFM1 INF666M01519 GROWW LIQUID FUND - DIRECT PLAN - MONTHLY IDCW PAYOUT 10 90 DIRECT
158 IBMLFM1 INF666M01493 GROWW LIQUID FUND - DIRECT PLAN - MONTHLY IDCW REINVESTMENT 10 90 DIRECT
159 IDDFCCMDP INF194K01J36 BANDHAN LIQUID FUND-MONTHLY (DIRECT PLAN)-IDCW PAYOUT 10 90 DIRECT
160 IDDFCCMDR INF194K01J28 BANDHAN LIQUID FUND-MONTHLY IDCW REINVESTMENT-(DIRECT PLAN) 10 90 DIRECT
161 IDDFCCWDR INF194K01J51 BANDHAN LIQUID FUND -DIRECT PLAN -WEEKLY IDCW REINVESTMENT 10 90 DIRECT
162 IDDFRDDR INF194K01M98 BANDHAN MONEY MANAGER FUND-DAILY IDCW REINVESTMENT-(DIRECT PLAN) 10 90 DIRECT
163 IDDGQBDP INF194K01R02 BANDHAN GOVERNMENT SECURITIES FUND-INVESTMENT PLAN-QUARTERLY (DIRECT PLAN)-IDCW PAYOUT 10 90 DIRECT
164 IDDGQBDR INF194K01Q94 BANDHAN GOVERNMENT SECURITIES FUND-INVESTMENT PLAN-QUARTERLY IDCW REINVESTMENT-(DIRECT PLAN) 10 90 DIRECT
165 IDDGSQDP INF194K01P87 BANDHAN GOVERNMENT SECURITIES FUND - CONSTANT MATURITY PLAN -DIRECT PLAN-QUARTERLY IDCW PAYOUT 10 90 DIRECT
166 IDDGSQDR INF194K01P79 BANDHAN GOVERNMENT SECURITIES FUND - CONSTANT MATURITY PLAN -DIRECT PLAN-QUARTERLY IDCW REINVESTMENT
10 90 DIRECT
167 IDFC295 INF194KA1RW6 BANDHAN GOVERNMENT SECURITIES FUND - INVESTMENT PLAN- PERIODIC (REGULAR PLAN)-IDCW PAYOUT 10 90 NORMAL
168 IDFC295R INF194KA1RX4 BANDHAN GOVERNMENT SECURITIES FUND INVESTMENT PLAN-REGULAR PLAN -PERIODIC IDCW REINVESTMENT 10 90 NORMAL
169 IDFC86 INF194K01DZ2 BANDHAN GOVERNMENT SECURITIES FUND- INVESTMENT PLAN-REGULAR PLAN-GROWTH 10 90 NORMAL
170 IDFCD86 INF194K01Q29 BANDHAN GOVERNMENT SECURITIES FUND-INVESTMENT PLAN-GROWTH-(DIRECT PLAN) 10 90 DIRECT
171 IDFCDFCCD INF194K01I78 BANDHAN LIQUID FUND-DAILY IDCW REINVESTMENT-(DIRECT PLAN) 10 90 DIRECT
172 IDFCDFCCG INF194K01I60 BANDHAN LIQUID FUND-GROWTH-(DIRECT PLAN) 10 90 DIRECT
173 IDFCDFRG INF194K01M80 BANDHAN MONEY MANAGER FUND-GROWTH-(DIRECT PLAN) 10 90 DIRECT
174 IDFCDGSG INF194K01P38 BANDHAN GOVERNMENT SECURITIES FUND - CONSTANT MATURITY PLAN-GROWTH-(DIRECT PLAN) 10 90 DIRECT
175 IDFCFCCD INF194K01VY7 BANDHAN LIQUID FUND - DAILY IDCW REINVESTMENT - REGULAR 10 90 NORMAL
176 IDFCFCCG INF194K01VX9 BANDHAN LIQUID FUND -REGULAR PLAN-GROWTH 10 90 NORMAL
177 IDFCFCCM INF194K01WF4 BANDHAN LIQUID FUND - MONTHLY - IDCW REINVESTMENT 10 90 NORMAL
178 IDFCFCCMR INF194K01WE7 BANDHAN LIQUID FUND - MONTHLY - IDCW REINVESTMENT 10 90 NORMAL
179 IDFCFRG INF194K01LJ9 BANDHAN MONEY MANAGER FUND -REGULAR PLAN-GROWTH 10 90 NORMAL
180 IDFCFRM INF194K01LO9 BANDHAN MONEY MANAGER FUND - MONTHLY - IDCW REINVESTMENT 10 90 NORMAL
181 IDFCFRMR INF194K01LN1 BANDHAN MONEY MANAGER FUND - MONTHLY - IDCW REINVESTMENT 10 90 NORMAL
182 IDFCFRW INF194K01LQ4 BANDHAN MONEY MANAGER FUND-WEEKLY-IDCW REINVESTMENT 10 90 NORMAL
183 IDFCGFRD INF194K01LK7 BANDHAN MONEY MANAGER FUND REGULAR DAILY IDCW REINVESTMENT 10 90 NORMAL
184 IDFCGQB INF194K01EH8 BANDHAN GOVERNMENT SECURITIES FUND - INVESTMENT PLAN-QUARTERLY-IDCW REINVESTMENT 10 90 NORMAL
185 IDFCGQBR INF194K01EG0 BANDHAN GOVERNMENT SECURITIES FUND - INVESTMENT PLAN-QUARTERLY-IDCW REINVESTMENT 10 90 NORMAL
186 IDFCGSG INF194K01FA0 BANDHAN GOVERNMENT SECURITIES FUND - CONSTANT MATURITY PLAN -REGULAR PLAN-GROWTH 10 90 NORMAL
187 IDFCONF INF194KB1314 BANDHAN OVERNIGHT FUND REGULAR PLAN-GROWTH 10 90 NORMAL
188 IDFCONFDG INF194KB1447 BANDHAN OVERNIGHT FUND DIRECT PLAN-GROWTH 10 90 DIRECT
189 IDG26DG INF194KB1EH4 BANDHAN CRISIL IBX GILT APRIL 2026 INDEX FUND DIRECT PLAN-GROWTH 10 90 DIRECT
190 IDG26RG INF194KB1EK8 BANDHAN CRISIL IBX GILT APRIL 2026 INDEX FUND REGULAR PLAN-GROWTH 10 90 NORMAL
191 IDGI32DG INF194KB1FF5 BANDHAN CRISIL IBX GILT APRIL 2032 INDEX FUND DIRECT PLAN-GROWTH 10 90 DIRECT
192 IDGI32RG INF194KB1FI9 BANDHAN CRISIL IBX GILT APRIL 2032 INDEX FUND REGULAR PLAN-GROWTH 10 90 NORMAL
193 IDGIF2027G INF194KB1BL2 BANDHAN CRISIL IBX GILT JUNE 2027 INDEX FUND REGULAR PLAN-GROWTH 10 90 NORMAL
194 IDGIF2028G INF194KB1BS7 BANDHAN CRISIL IBX GILT APRIL 2028 INDEX FUND REGULAR PLAN-GROWTH 10 90 NORMAL
195 IDGIF2028P INF194KB1BT5 BANDHAN CRISIL IBX GILT APRIL 2028 INDEX FUND REGULAR PLAN-IDCW PAYOUT 10 90 NORMAL
196 IDGIF2028R INF194KB1BU3 BANDHAN CRISIL IBX GILT APRIL 2028 INDEX FUND REGULAR PLAN-IDCW REINVESTMENT 10 90 NORMAL
197 IDLFM1D INF397L01AK7 LIC LIQUID FUND - DIRECT PLAN - MONTHLY IDCW - PAYOUT 10 90 DIRECT
198 IDLFM1R INF397L01AJ9 LIC LIQUID FUND - DIRECT PLAN - MONTHLY IDCW - REINVESTMENT 10 90 DIRECT
199 IGIF2027DG INF194KB1BP3 BANDHAN CRISIL IBX GILT JUNE 2027 INDEX FUND DIRECT PLAN-GROWTH 10 90 DIRECT
200 IGIF2027DP INF194KB1BQ1 BANDHAN CRISIL IBX GILT JUNE 2027 INDEX FUND DIRECT PLAN-IDCW PAYOUT 10 90 DIRECT
201 IGIF2027DR INF194KB1BR9 BANDHAN CRISIL IBX GILT JUNE 2027 INDEX FUND DIRECT PLAN-IDCW REINVESTMENT 10 90 DIRECT
202 IGIF2028DG INF194KB1BV1 BANDHAN CRISIL IBX GILT APRIL 2028 INDEX FUND DIRECT PLAN-GROWTH 10 90 DIRECT
203 IMF272TD1G INF205KA1775 INVESCO INDIA NIFTY G-SEC JUL 2027 INDEX FUND DIRECT PLAN GROWTH 10 90 DIRECT
204 IMF272TGPG INF205KA1759 INVESCO INDIA NIFTY G-SEC JUL 2027 INDEX FUND REGULAR PLAN GROWTH 10 90 NORMAL
205 IMF321TD1G INF205KA1817 INVESCO INDIA NIFTY G-SEC SEP 2032 INDEX FUND DIRECT PLAN GROWTH 10 90 DIRECT
206 IMF321TGPG INF205KA1791 INVESCO INDIA NIFTY G-SEC SEP 2032 INDEX FUND REGULAR PLAN GROWTH 10 90 NORMAL
207 IMFCOD1GR INF205K01RY9 INVESCO INDIA MONEY MARKET FUND - DIRECT PLAN GROWTH 10 90 DIRECT
208 IMFGLD1GR INF205K01SN0 INVESCO INDIA GILT FUND - DIRECT PLAN GROWTH 10 90 DIRECT
209 IMFLFD1GR INF205K01MF9 INVESCO INDIA LIQUID FUND - DIRECT PLAN GROWTH 10 90 DIRECT
210 IMFLFSDDR INF205K01HN3 INVESCO INDIA LIQUID FUND-DAILY IDCW REINVESTMENT 10 90 NORMAL
211 IMFONDRDRD INF205KA1114 INVESCO INDIA OVERNIGHT FUND-REGULAR -GROWTH 10 90 NORMAL
212 IMFONFRGDR INF205KA1163 INVESCO INDIA OVERNIGHT FUND-DIRECT-GROWTH 10 90 DIRECT
213 IP54P INF109K01JQ6 ICICI PRUDENTIAL GILT FUND - IDCW PAYOUT 10 90 NORMAL
214 IPRU1564 INF109K01VP3 ICICI PRUDENTIAL LIQUID FUND - DAILY IDCW REINVESTMENT 10 90 NORMAL
215 IPRU1565 INF109K01VQ1 ICICI PRUDENTIAL LIQUID FUND - GROWTH 10 90 NORMAL
216 IPRU1567 INF109K01VS7 ICICI PRUDENTIAL LIQUID FUND - WEEKLY IDCW PAYOUT 10 90 NORMAL
217 IPRU1569 INF109K01TY9 ICICI PRUDENTIAL MONEY MARKET FUND - DAILY IDCW REINVESTMENT 10 90 NORMAL
218 IPRU1571 INF109K01TX1 ICICI PRUDENTIAL MONEY MARKET FUND - GROWTH 10 90 NORMAL Yes
219 IPRU1573 INF109K01TZ6 ICICI PRUDENTIAL MONEY MARKET FUND - WEEKLY IDCW REINVESTMENT 10 90 NORMAL
220 IPRU1780 INF109K01VT5 ICICI PRUDENTIAL LIQUID FUND - IDCW PAYOUT 10 90 NORMAL Yes
221 IPRU1780P INF109K01VU3 ICICI PRUDENTIAL LIQUID FUND - IDCW PAYOUT 10 90 NORMAL
222 IPRU2498 INF109KA1N46 ICICI PRUDENTIAL CONSTANT MATURITY GILT FUND - GROWTH 10 90 NORMAL
223 IPRU2500 INF109KA1O03 ICICI PRUDENTIAL CONSTANT MATURITY GILT FUND - QUARTERLY IDCW PAYOUT 10 90 NORMAL
224 IPRU2500P INF109KA1N61 ICICI PRUDENTIAL CONSTANT MATURITY GILT FUND - QUARTERLY IDCW PAYOUT 10 90 NORMAL
225 IPRU3223 INF109KC17E3 ICICI PRUDENTIAL OVERNIGHT FUND GROWTH 10 90 NORMAL
226 IPRU3224 INF109KC18E1 ICICI PRUDENTIAL OVERNIGHT FUND DAILY IDCW REINVESTMENT 10 90 NORMAL
227 IPRU3225 INF109KC11F3 ICICI PRUDENTIAL OVERNIGHT FUND WEEKLY IDCW PAYOUT 10 90 NORMAL
228 IPRU3225P INF109KC12F1 ICICI PRUDENTIAL OVERNIGHT FUND WEEKLY IDCW PAYOUT 10 90 NORMAL
229 IPRU3505 INF109KC15K4 ICICI PRUDENTIAL NIFTY G-SEC DEC 2030 INDEX FUND - GROWTH 10 90 NORMAL
230 IPRU53 INF109K01JR4 ICICI PRUDENTIAL GILT FUND - GROWTH 10 90 NORMAL
231 IPRU54 INF109K01JP8 ICICI PRUDENTIAL GILT FUND - IDCW PAYOUT 10 90 NORMAL
232 IPRU8015 INF109K018C5 ICICI PRUDENTIAL GILT FUND - DIRECT PLAN - GROWTH 10 90 DIRECT Yes
233 IPRU8016 INF109K017C7 ICICI PRUDENTIAL GILT FUND - DIRECT PLAN - IDCW PAYOUT 10 90 DIRECT
234 IPRU8016P INF109K016C9 ICICI PRUDENTIAL GILT FUND - DIRECT PLAN - IDCW PAYOUT 10 90 DIRECT Yes
235 IPRU8095 INF109K01Q15 ICICI PRUDENTIAL LIQUID FUND - DIRECT PLAN - DAILY IDCW REINVESTMENT 10 90 DIRECT
236 IPRU8096 INF109K01Q49 ICICI PRUDENTIAL LIQUID FUND - DIRECT PLAN - GROWTH 10 90 DIRECT
237 IPRU8098 INF109K01Q98 ICICI PRUDENTIAL LIQUID FUND - DIRECT PLAN - WEEKLY IDCW REINVESTMENT 10 90 DIRECT
238 IPRU8099 INF109K01R22 ICICI PRUDENTIAL MONEY MARKET FUND - DIRECT PLAN - DAILY IDCW REINVESTMENT 10 90 DIRECT
239 IPRU8101 INF109K01R14 ICICI PRUDENTIAL MONEY MARKET FUND - DIRECT PLAN - GROWTH 10 90 DIRECT
240 IPRU8129 INF109K01Q23 ICICI PRUDENTIAL LIQUID FUND - DIRECT PLAN - IDCW REINVESTMENT 10 90 DIRECT
241 IPRU8129P INF109K01Q31 ICICI PRUDENTIAL LIQUID FUND - DIRECT PLAN - IDCW PAYOUT OTHERS 10 90 DIRECT
ICICI PRUDENTIAL CONSTANT MATURITY GILT FUND - DIRECT PLAN -
242 IPRU8698 INF109KA1O37 GROWTH 10 90 DIRECT
243 IPRU8700 INF109KA1O94 ICICI PRUDENTIAL CONSTANT MATURITY GILT FUND - DIRECT PLAN - QUARTERLY IDCW PAYOUT 10 90 DIRECT
244 IPRU8700P INF109KA1O52 ICICI PRUDENTIAL CONSTANT MATURITY GILT FUND - DIRECT PLAN - QUARTERLY IDCW PAYOUT 10 90 DIRECT
245 IPRU9425 INF109KC11G1 ICICI PRUDENTIAL OVERNIGHT FUND DIRECT PLAN GROWTH 10 90 DIRECT
246 IPRU9426 INF109KC12G9 ICICI PRUDENTIAL OVERNIGHT FUND DIRECT PLAN DAILY IDCW REINVESTMENT 10 90 DIRECT
247 IPRU9427 INF109KC15G2 ICICI PRUDENTIAL OVERNIGHT FUND DIRECT PLAN WEEKLY IDCW PAYOUT 10 90 DIRECT
248 IPRU9707 INF109KC18K8 ICICI PRUDENTIAL NIFTY G-SEC DEC 2030 INDEX FUND - DIRECT PLAN - GROWTH 10 90 DIRECT
249 ITIDPG INF00XX01283 ITI LIQUID FUND DIRECT PLAN GROWTH 10 90 DIRECT
250 ITIDPG1GO INF00XX01564 ITI OVERNIGHT FUND-DIRECT PLAN-GROWTH 10 90 DIRECT
251 ITIRPDDR INF00XX01200 ITI LIQUID FUND REGULAR PLAN DAILY IDCW REINVESTMENT 10 90 NORMAL
252 ITIRPG INF00XX01192 ITI LIQUID FUND REGULAR PLAN GROWTH 10 90 NORMAL
253 ITIRPGO INF00XX01473 ITI OVERNIGHT FUND REGULAR PLAN GROWTH 10 90 NORMAL
254 JAIGR INF843K01377 EDELWEISS MONEY MARKET FUND - INSTITUTIONAL PLAN - GROWTH OPTION 10 90 NORMAL
255 JARDI INF843K01351 EDELWEISS MONEY MARKET FUND - REGULAR PLAN - IDCW PAYOUT 10 90 NORMAL
256 JARDI INF843K01369 EDELWEISS MONEY MARKET FUND - REGULAR PLAN - IDCW REINVESTMENT 10 90 NORMAL
257 JARGR INF843K01344 EDELWEISS MONEY MARKET FUND - REGULAR PLAN - GROWTH OPTION 10 90 NORMAL
258 JDGDP INF843K01GU8 EDELWEISS GOVERNMENT SECURITIES FUND - DIRECT PLAN - IDCW PAYOUT 10 90 DIRECT
259 JDGDR INF843K01GV6 EDELWEISS GOVERNMENT SECURITIES FUND - DIRECT PLAN - IDCW REINVESTMENT 10 90 DIRECT
260 JDGGR INF843K01GS2 EDELWEISS GOVERNMENT SECURITIES FUND - DIRECT PLAN GROWTH 10 90 DIRECT
261 JMLFDD INF192K01CH6 JM LIQUID FUND (DIRECT) - DAILY IDCW REINVESTMENT OPTION 10 90 DIRECT
262 JMLFDG INF192K01CM6 JM LIQUID FUND (DIRECT) - GROWTH OPTION 10 90 DIRECT
263 JMLFDP INF192K01833 JM LIQUID FUND - DAILY IDCW REINVESTMENT OPTION 10 90 NORMAL
264 JMLFRG INF192K01882 JM LIQUID FUND - GROWTH OPTION 10 90 NORMAL
265 JMONDG INF192K01MB8 JM OVERNIGHT FUND - DIRECT - GROWTH 10 90 DIRECT
266 JMONRG INF192K01LX4 JM OVERNIGHT FUND - REGULAR - GROWTH 10 90 NORMAL
267 JPGGR INF843K01HC4 EDELWEISS GOVERNMENT SECURITIES FUND - REGULAR PLAN - GROWTH OPTION 10 90 NORMAL
268 KFLRG INF174K01NA6 KOTAK MONEY MARKET FUND - GROWTH 10 90 NORMAL
269 KFLRG252D INF174K01MW2 KOTAK MONEY MARKET FUND - DIRECT PLAN - GROWTH 10 90 DIRECT
270 KFLRM255D INF174K01MX0 KOTAK MONEY MARKET FUND - DIRECT PLAN - MONTHLY IDCW REINVESTMENT 10 90 DIRECT
271 KFLRMDR INF174K01NB4 KOTAK MONEY MARKET FUND - MONTHLY IDCW REINVESTMENT 10 90 NORMAL
272 KGIREGG INF174K01FI5 KOTAK GILT FUND - REGULAR PLAN - GROWTH 10 90 NORMAL
273 KGIREGQDP INF174K01FK1 KOTAK GILT FUND - REGULAR PLAN - QUARTERLY IDCW PAYOUT 10 90 NORMAL
274 KGIREGQDR INF174K01FJ3 KOTAK GILT FUND - REGULAR PLAN - QUARTERLY IDCW REINVESTMENT 10 90 NORMAL
275 KKGIG02D INF174K01KE4 KOTAK GILT FUND - DIRECT PLAN - GROWTH 10 90 DIRECT
276 KKGIG102D INF174K01KM7 KOTAK GILT FUND - PROVIDEND FUND AND TRUST - DIRECT PLAN - GROWTH 10 90 DIRECT
277 KLIQD463D INF174K01NH1 KOTAK LIQUID FUND - DIRECT PLAN - DAILY IDCW REINVESTMENT 10 90 DIRECT
278 KLIQG462D INF174K01NE8 KOTAK LIQUID FUND - DIRECT PLAN - GROWTH 10 90 DIRECT
279 KLIQPREG INF174K01NI9 KOTAK LIQUID FUND - REGULAR PLAN - GROWTH 10 90 NORMAL
280 KTAKOVFGR INF174KA1BC6 KOTAK OVERNIGHT FUND - REGULAR PLAN - GROWTH 10 90 NORMAL
281 KTKGILT INF174K01FL9 KOTAK GILT FUND - PROVIDEND FUND AND TRUST - GROWTH 10 90 NORMAL
282 KTKLIQDR INF174K01NL3 KOTAK LIQUID FUND - REGULAR PLAN - DAILY IDCW REINVESTMENT 10 90 NORMAL
283 KTKOVFGRD INF174KA1BF9 KOTAK OVERNIGHT FUND - DIRECT PLAN - GROWTH 10 90 DIRECT
284 151ID INF209K01SZ6 ADITYA BIRLA SUN LIFE MONEY MANAGER FUND - DAILY IDCW REINVESTMENT 10 90 NORMAL
285 157D INF209KB1ZL4 ADITYA BIRLA SUN LIFE OVERNIGHT FUND - DIRECT PLAN - MONTHLY IDCW PAYOUT 10 90 DIRECT
286 157G INF209KB1ZC3 ADITYA BIRLA SUN LIFE OVERNIGHT FUND - REGULAR PLAN - GROWTH 10 90 NORMAL
287 157WD INF209KB1ZE9 ADITYA BIRLA SUN LIFE OVERNIGHT FUND - REGULAR PLAN - WEEKLY IDCW REINVESTMENT 10 90 NORMAL
288 157Z INF209KB1ZH2 ADITYA BIRLA SUN LIFE OVERNIGHT FUND - DIRECT PLAN - GROWTH 10 90 DIRECT
289 166GGDG INF966L01BF7 QUANT GILT FUND-DIRECT PLAN - GROWTH 10 90 DIRECT
290 166GGGP INF966L01BI1 QUANT GILT FUND-REGULAR PLAN - GROWTH 10 90 NORMAL
291 166LFDG INF966L01820 QUANT LIQUID FUND DIRECT PLAN - GROWTH 10 90 DIRECT
292 166LFDM INF966L01796 QUANT LIQUID FUND DIRECT PLAN - MONTHLY IDCW PAYOUT 10 90 DIRECT
293 166LFDM INF966L01812 QUANT LIQUID FUND DIRECT PLAN - MONTHLY IDCW REINVESTMENT 10 90 DIRECT
294 166LFGP INF966L01317 QUANT LIQUID FUND REGULAR PLAN - GROWTH 10 90 NORMAL
295 166LFMD INF966L01291 QUANT LIQUID FUND REGULAR PLAN - MONTHLY IDCW PAYOUT 10 90 NORMAL
296 166LFMD INF966L01309 QUANT LIQUID FUND REGULAR PLAN - MONTHLY IDCW REINVESTMENT 10 90 NORMAL
297 166ONDG INF966L01AZ7 QUANT OVERNIGHT FUND - DIRECT PLAN GROWTH - GROWTH 10 90 DIRECT
298 166ONGP INF966L01BC4 QUANT OVERNIGHT FUND - REGULAR PLAN GROWTH - GROWTH 10 90 NORMAL
299 185LFDGGR INF0GCD01255 TRUSTMF LIQUID FUND-DIRECT PLAN - GROWTH 10 90 DIRECT
300 185LFRGGR INF0GCD01198 TRUSTMF LIQUID FUND-REGULAR PLAN - GROWTH 10 90 NORMAL
301 185MMDGGR INF0GCD01503 TRUSTMF MONEY MARKET FUND-DIRECT PLAN-GROWTH 10 90 DIRECT
302 185MMGPGR INF0GCD01479 TRUSTMF MONEY MARKET FUND-REGULAR PLAN-GROWTH 10 90 NORMAL
303 LDG INF579M01621 360 ONE LIQUID FUND - DIRECT PLAN - GROWTH 10 90 DIRECT
304 LFD1D INF767K01DL5 LIC MF LIQUID FUND-DIRECT - DIVIDEND PLAN-IDCW PAYOUT 10 90 DIRECT
305 LFD1R INF767K01DM3 LIC MF LIQUID FUND-DIRECT - DIVIDEND PLAN-IDCW REINVESTMENT 10 90 DIRECT
306 LFDG INF761K01785 BANK OF INDIA LIQUID FUNDDIRECT PLAN - GROWTH 10 90 DIRECT
307 LFDPD INF767K01IQ3 LIC MF LIQUID FUND-DIVIDEND-IDCW PAYOUT 10 90 NORMAL
308 LFDPR INF767K01IR1 LIC MF LIQUID FUND-DIVIDEND-IDCW REINVESTMENT 10 90 NORMAL
309 LFG1G INF767K01DN1 LIC MF LIQUID FUND-DIRECT - GROWTH PLAN-GROWTH 10 90 DIRECT
310 LFGDG INF247L01734 MOTILAL OSWAL LIQUID FUND DIRECT GROWTH 10 90 DIRECT
311 LFGPG INF767K01IS9 LIC MF LIQUID FUND-GROWTH-GROWTH 10 90 NORMAL
312 LFGPGR INF247L01726 MOTILAL OSWAL LIQUID FUND REGULAR GROWTH 10 90 NORMAL
313 LGD INF03VN01043 WOC LIQUID FUND DIRECT - GROWTH 10 90 DIRECT
314 LGR INF03VN01126 WOC LIQUID FUND REGULAR - GROWTH 10 90 NORMAL
315 LICNGLDPD INF767K01683 LIC MF GILT FUND-REGULAR DIVIDEND-IDCW PAYOUT 10 90 NORMAL
316 LICNGLDPR INF767K01691 LIC MF GILT FUND-REGULAR DIVIDEND-IDCW REINVESTMENT 10 90 NORMAL
317 LICNGLGPG INF767K01709 LIC MF GILT FUND-REGULAR GROWTH-GROWTH 10 90 NORMAL
318 LICNGLPGG INF767K01733 LIC MF GILT FUND-PF GROWTH-GROWTH 10 90 NORMAL
319 LNT125 INF917K01AY5 HSBC MONEY MARKET FUND - DAILY IDCW REINVESTENT PLAN 10 90 NORMAL
320 LNT128 INF917K01BC9 HSBC MONEY MARKET FUND - GROWTH 10 90 NORMAL
321 LNT128D INF917K01FE6 HSBC MONEY MARKET FUND DIRECT PLAN - GROWTH 10 90 DIRECT
322 LNT44 INF917K01BP1 HSBC GILT FUND - GROWTH PLAN 10 90 NORMAL
323 LNT44D INF917K01FI7 HSBC GILT FUND DIRECT PLAN - GROWTH 10 90 DIRECT
324 LRG INF579M01506 360 ONE LIQUID FUND REGULAR PLAN - GROWTH 10 90 NORMAL
325 MGFD040A INF200K01SH3 SBI MAGNUM GILT FUND DIRECT GROWTH 10 90 DIRECT
326 MG-LPR-G INF200K01AK5 SBI MAGNUM GILT FUND - LONG TERM - PF - REGULAR 10 90 NORMAL
327 MG-LR-DP INF200K01990 SBI MAGNUM GILT FUND REGULAR IDCW PAYOUT 10 90 NORMAL
328 MG-LR-DR INF200K01AA6 SBI MAGNUM GILT FUND REGULAR IDCW REINVESTMENT 10 90 NORMAL
329 MG-LR-G INF200K01982 SBI MAGNUM GILT FUND REGULAR GROWTH 10 90 NORMAL
330 MG-S-DP INF200K01AO7 SBI MAGNUM CONSTANT MATURITY FUND REGULAR IDCW PAYOUT 10 90 NORMAL
331 MG-S-DR INF200K01AP4 SBI MAGNUM CONSTANT MATURITY FUND REGULAR IDCW REINVESTMENT 10 90 NORMAL
332 MG-S-G INF200K01AN9 SBI MAGNUM CONSTANT MATURITY FUND REGULAR GROWTH 10 90 NORMAL
333 MIF-FS-DP INF200K01644 SBI SAVINGS FUND - REGULAR PLAN - IDCW PAYOUT 10 90 NORMAL
334 MIF-FS-DR INF200K01651 SBI SAVINGS FUND - REGULAR PLAN - IDCW REINVESTMENT 10 90 NORMAL
335 MIF-FS-G INF200K01636 SBI SAVINGS FUND - REGULAR PLAN - GROWTH 10 90 NORMAL
336 MIF-FS-WDP INF200K01669 SBI SAVINGS FUND - REGULAR PLAN - WEEKLY IDCW PAYOUT 10 90 NORMAL
337 MIF-FS-WDR INF200K01677 SBI SAVINGS FUND - REGULAR PLAN - WEEKLY IDCW REINVESTMENT 10 90 NORMAL
338 MIRAECFD1 INF769K01CM1 MIRAE ASSET CASH MANAGEMENT FUND - DIRECT PLAN - GROWTH 10 90 DIRECT
339 MIRAECFD4 INF769K01CN9 MIRAE ASSET CASH MANAGEMENT FUND - DIRECT PLAN - MONTHLY IDCW PAYOUT 10 90 DIRECT
340 MIRAECFD4 INF769K01CQ2 MIRAE ASSET CASH MANAGEMENT FUND - DIRECT PLAN - MONTHLY IDCW REINVESTMENT 10 90 DIRECT
341 MIRAECFDWR INF769K01812 MIRAE ASSET CASH MANAGEMENT FUND - WEEKLY IDCW REINVESTMENT 10 90 NORMAL
342 MIRAECFGPG INF769K01788 MIRAE ASSET CASH MANAGEMENT FUND - GROWTH OPTION 10 90 NORMAL
MIRAE ASSET CRISIL IBX GILT INDEX - APRIL 2033 INDEX FUND REGULAR
343 MIRAECIRG INF769K01IU1 PLAN GROWTH 10 90 NORMAL
344 MIRAEMMRG INF769K01HK4 MIRAE ASSET MONEY MARKET FUND REGULAR GROWTH 10 90 NORMAL
345 MIRAEOND1 INF769K01FG6 MIRAE ASSET OVERNIGHT FUND - DIRECT PLAN - GROWTH 10 90 DIRECT
346 MIRAEONRG INF769K01FE1 MIRAE ASSET OVERNIGHT FUND - REGULAR GROWTH PLAN 10 90 NORMAL
UTI MONEY MARKET FUND-DIRECT DAILY DIVIDEND PLAN-IDCW
347 MMD1R INF789F01XU8 REINVESTMENT 10 90 DIRECT
348 MMD2G INF789F01XV6 UTI MONEY MARKET FUND-DIRECT GROWTH 10 90 DIRECT
UTI MONEY MARKET FUND-DIRECT QUARTERLY DIVIDEND PLAN-IDCW
349 MMD6D INF789FA1M61 PAYOUT 10 90 DIRECT
UTI MONEY MARKET FUND-DIRECT QUARTERLY DIVIDEND PLAN-IDCW
350 MMD6R INF789FA1M79 REINVESTMENT 10 90 DIRECT
351 MMG1G INF767K01RE0 LIC MF MONEY MARKET FUND DIRECT PLAN-GROWTH 10 90 DIRECT
352 MMGPG INF767K01RB6 LIC MF MONEY MARKET FUND REGULAR PLAN-GROWTH 10 90 NORMAL
UTI MONEY MARKET FUND-REGULAR DAILY DIVIDEND PLAN-IDCW
353 MMIDR INF789F01PW0 REINVESTMENT 10 90 NORMAL
354 MMIGG INF789F01PX8 UTI MONEY MARKET FUND-REGULAR GROWTH 10 90 NORMAL
355 MMMLFDG INF174V01044 MAHINDRA MANULIFE LIQUID FUND - DIRECT - GROWTH 10 90 DIRECT
356 MMMLFRG INF174V01010 MAHINDRA MANULIFE LIQUID FUND - REGULAR - GROWTH 10 90 NORMAL
357 MMMOFDG INF174V01838 MAHINDRA MANULIFE OVERNIGHT FUND - DIRECT - GROWTH 10 90 DIRECT
358 MMMOFRG INF174V01812 MAHINDRA MANULIFE OVERNIGHT FUND - REGULAR - GROWTH 10 90 NORMAL
NIPPON INDIA NIFTY G-SEC- SEP 2027 MATURITY INDEX FUND DIRECT
359 NIMFNKAG INF204KC1881 GROWTH PLAN 10 90 DIRECT
NIPPON INDIA NIFTY G-SEC- SEP 2027 MATURITY INDEX FUND GROWTH
360 NIMFNKGP INF204KC1857 PLAN 10 90 NORMAL
NIPPON INDIA NIFTY G-SEC- JUN 2036 MATURITY INDEX FUND DIRECT
361 NIMFNQAG INF204KC1AC0 GROWTH PLAN 10 90 DIRECT
NIPPON INDIA NIFTY G-SEC- JUN 2036 MATURITY INDEX FUND GROWTH
362 NIMFNQGP INF204KC1998 PLAN 10 90 NORMAL
NIPPON INDIA NIFTY G-SEC OCT 2028 MATURITY INDEX FUND DIRECT
363 NIMFNWAG INF204KC1AO5 GROWTH PLAN 10 90 DIRECT
NIPPON INDIA NIFTY G-SEC OCT 2028 MATURITY INDEX FUND GROWTH
364 NIMFNWGP INF204KC1AL1 PLAN 10 90 NORMAL
365 OCAPDD INF336L01BM9 HSBC LIQUID FUND - DAILY IDCW REINVESTMENT 10 90 NORMAL
366 OCAPG INF336L01BN7 HSBC LIQUID FUND - GROWTH 10 90 NORMAL
367 OCAPMD INF336L01BO5 HSBC LIQUID FUND - MONTHLY IDCW REINVESTMENT 10 90 NORMAL
368 OCAPMP INF336L01BP2 HSBC LIQUID FUND - MONTHLY IDCW PAYOUT 10 90 NORMAL
369 OCAPWD INF336L01BQ0 HSBC LIQUID FUND - WEEKLY IDCW PAYOUT 10 90 NORMAL
370 OCAPWP INF336L01LJ4 HSBC LIQUID FUND - REGULAR WEEKLY IDCW PAYOUT 10 90 NORMAL
371 OFDGOFDGL INF0GCD01453 TRUSTMF OVERNIGHT FUND - DIRECT PLAN - GROWTH 10 90 DIRECT
372 OFRGOFRGL INF0GCD01438 TRUSTMF OVERNIGHT FUND - REGULAR PLAN - GROWTH 10 90 NORMAL
373 OHCAPG INF336L01CC8 HSBC LIQUID FUND - GROWTH DIRECT PLAN 10 90 DIRECT
374 OHCPDD INF336L01CB0 HSBC LIQUID FUND - DAILY IDCW DIRECT PLAN -REINVESTMENT 10 90 DIRECT
375 OHCPWD INF336L01CD6 HSBC LIQUID FUND - WEEKLY DIVIDEND DIRECT PLAN-IDCW PAYOUT 10 90 DIRECT
376 OHCPWP INF336L01LK2 HSBC LIQUID FUND - DIRECT WEEKLY IDCW PAYOUT 10 90 DIRECT
377 OHNOG INF336L01OF6 HSBC OVERNIGHT FUND - GROWTH DIRECT PLAN 10 90 DIRECT
378 OHNOWP INF336L01OP5 HSBC OVERNIGHT FUND - WEEKLY IDCW PAYOUT 10 90 NORMAL
379 ONDG INF0K1H01040 SAMCO OVERNIGHT FUND-DIRECT GROWTH 10 90 DIRECT
380 ONG1G INF767K01QI3 LIC MF OVERNIGHT FUND - DIRECT PLAN-GROWTH 10 90 DIRECT
381 ONGPG1 INF767K01QD4 LIC MF OVERNIGHT FUND - REGULAR PLAN-GROWTH 10 90 NORMAL
382 ONODD INF336L01OM2 HSBC OVERNIGHT FUND - DAILY IDCW REINVESTMENT 10 90 NORMAL
383 ONOG INF336L01OL4 HSBC OVERNIGHT FUND - GROWTH 10 90 NORMAL
384 ONOWD INF336L01ON0 HSBC OVERNIGHT FUND - WEEKLY IDCW PAYOUT 10 90 NORMAL
385 ONRG INF0K1H01032 SAMCO OVERNIGHT FUND-REGULAR GROWTH 10 90 NORMAL
386 OVDGG INF0J8L01081 NJ OVERNIGHT FUND DIRECT PLAN - GROWTH 10 90 DIRECT
387 OVRGG INF0J8L01073 NJ OVERNIGHT FUND REGULAR PLAN - GROWTH 10 90 NORMAL
388 PGIMMDD1 INF663L01T84 PGIM INDIA MONEY MARKET FUND - DIRECT PLAN - GROWTH 10 90 DIRECT
PGIM INDIA MONEY MARKET FUND - DIRECT PLAN - DAILY IDCW
389 PGIMMDDD INF663L01U16 REINVESTMENT 10 90 DIRECT
390 PGIMMDGP INF663L01U24 PGIM INDIA MONEY MARKET FUND - REGULAR PLAN - GROWTH 10 90 NORMAL
391 PGIMOFD1G INF663L01T01 PGIM INDIA OVERNIGHT FUND - DIRECT PLAN - GROWTH 10 90 DIRECT
392 PGIMOFGPG INF663L01T43 PGIM INDIA OVERNIGHT FUND - REGULAR PLAN - GROWTH 10 90 NORMAL
393 PLFLFGD INF959L01GF1 NAVI LIQUID FUND - DIRECT PLAN GROWTH 10 90 DIRECT
394 PLFLFSG INF959L01GL9 NAVI LIQUID FUND - REGULAR PLAN GROWTH 10 90 NORMAL
395 PMFLFPD INF173K01DB7 SUNDARAM LIQUID FUND - REGULAR PLAN IDCW DAILY REINVESTMENT 10 90 NORMAL
396 PMFLFPG INF173K01DA9 SUNDARAM LIQUID FUND - REGULAR PLAN GROWTH 10 90 NORMAL
397 PMFLFZD INF173K01GT2 SUNDARAM LIQUID FUND - DIRECT PLAN IDCW DAILY REINVESTMENT 10 90 DIRECT
398 PMFLFZG INF173K01GU0 SUNDARAM LIQUID FUND - DIRECT PLAN GROWTH 10 90 DIRECT
399 PPLFLFG INF879O01035 PARAG PARIKH LIQUID FUND-REGULAR PLAN-GROWTH 10 90 NORMAL
400 PPLFLFGZ INF879O01068 PARAG PARIKH LIQUID FUND-DIRECT PLAN-GROWTH 10 90 DIRECT
401 PPLFLFMDPZ INF879O01076 PARAG PARIKH LIQUID FUND-DIRECT PLAN-MONTHLY - IDCW PAYOUT 10 90 DIRECT
402 PPLFLFMDZ INF879O01084 PARAG PARIKH LIQUID FUND-DIRECT PLAN-MONTHLY - IDCW PAYOUT 10 90 DIRECT
403 PRMCFD1 INF223J01NS5 PGIM INDIA LIQUID FUND DIRECT PLAN - GROWTH 10 90 DIRECT
404 PRMCFD2 INF223J01NR7 PGIM INDIA LIQUID FUND DIRECT PLAN - DAILY IDCW REINVESTMENT 10 90 DIRECT
PGIM INDIA CRISIL IBX GILT INDEX - APR 2028 FUND DIRECT PLAN -
405 PRMCGG1 INF663L01X21 GROWTH 10 90 DIRECT
PGIM INDIA CRISIL IBX GILT INDEX - APR 2028 FUND REGULAR PLAN -
406 PRMCGGP INF663L01X54 GROWTH 10 90 NORMAL
407 PRMGFD1 INF223J01ND7 PGIM INDIA GILT FUND - DIRECT PLAN - GROWTH - GROWTH 10 90 DIRECT
408 PRMGFGP INF223J01AQ6 PGIM INDIA GILT FUND - REGULAR PLAN - GROWTH 10 90 NORMAL Yes
QUANTUM LIQUID FUND - DIRECT PLAN DAILY IDCW REINVESTMENT
409 QMFLFDDR INF082J01135 OPTION 10 90 DIRECT
410 QMFLFGPG INF082J01127 QUANTUM LIQUID FUND - DIRECT PLAN GROWTH OPTION 10 90 DIRECT
411 QMFLFMDP INF082J01143 QUANTUM LIQUID FUND - DIRECT PLAN MONTHLY IDCW PAYOUT OPTION 10 90 DIRECT
QUANTUM LIQUID FUND - DIRECT PLAN MONTHLY IDCW REINVESTMENT
412 QMFLFMDR INF082J01200 OPTION 10 90 DIRECT
413 QMFLFRGG INF082J01309 QUANTUM LIQUID FUND - REGULAR PLAN GROWTH OPTION 10 90 NORMAL
NIPPON INDIA GILT SECURITIES FUND DIRECT PLAN AUTOMATIC ANNUAL
414 RELGILDPAA INF204K01E62 REINVEST OPTION IDCW REINVESTMENT 10 90 DIRECT
NIPPON INDIA GILT SECURITIES FUND DIRECT PLAN AUTOMATIC CAPITAL
415 RELGILDPAC INF204K01E70 APPRECIATION PAYOUT OPTION IDCW PAYOUT 10 90 DIRECT Yes
NIPPON INDIA GILT SECURITIES FUND DIRECT PLAN DEFINED MATURITY
416 RELGILDPDM INF204K01E88 DATE OPTION GROWTH 10 90 DIRECT
NIPPON INDIA GILT SECURITIES FUND DIRECT PLAN DIVIDEND PLAN IDCW
417 RELGILDPDP INF204K01XQ6 PAYOUT 10 90 DIRECT
NIPPON INDIA GILT SECURITIES FUND DIRECT PLAN DIVIDEND PLAN IDCW
418 RELGILDPDP INF204K01XR4 REINVESTMENT 10 90 DIRECT
NIPPON INDIA GILT SECURITIES FUND DIRECT PLAN GROWTH PLAN
419 RELGILDPGP INF204K01XP8 GROWTH 10 90 DIRECT Yes
420 RELGLSRACA INF204K01CC0 NIPPON INDIA GILT SEC FUND- P F OPT-AUTO CAP APPRECIATION PAYOUT 10 90 NORMAL
NIPPON INDIA GILT SECURITIES FUND-P F OPT-DEFINED MATURITY DATE
421 RELGLSRMDO INF204K01CB2 OPT 10 90 NORMAL
422 RELGLSRPDP INF204K01BV2 NIPPON INDIA GILT SECURITIES FUND - DIV PLAN-IDCW PAYOUT OPTION 10 90 NORMAL
423 RELGLSRPDR INF204K01BW0 NIPPON INDIA GILT SECURITIES FUND -IDCW REINVESTMENT OPTION 10 90 NORMAL
424 RELGLSRPGP INF204K01BU4 NIPPON INDIA GILT SECURITIES FUND - GROWTH OPTION 10 90 NORMAL
NIPPON INDIA MONEY MARKET FUND - DIRECT GROWTH PLAN GROWTH
425 RELLIQDPGP INF204K01ZP3 OPTION 10 90 DIRECT
NIPPON INDIA MONEY MARKET FUND - DIRECT PLAN MONTHLY IDCW
426 RELLIQDPMD INF204K01ZQ1 PAYOUT 10 90 DIRECT Yes
NIPPON INDIA MONEY MARKET FUND - DIRECT PLAN MONTHLY IDCW
427 RELLIQDPMD INF204K01ZR9 REINVESTMENT 10 90 DIRECT Yes
428 RELLIQTIDR INF204K01UM1 NIPPON INDIA LIQUID FUND - DAILY IDCW REINVESTMENT 10 90 NORMAL
429 RELLIQTIMP INF204K01UO7 NIPPON INDIA LIQUID FUND - MONTHLY IDCW PAYOUT 10 90 NORMAL
430 RELLIQTIMR INF204K01UP4 NIPPON INDIA LIQUID FUND - MONTHLY IDCW REINVESTMENT 10 90 NORMAL
431 RELLIQTIWR INF204K01US8 NIPPON INDIA LIQUID FUND - WEEKLY IDCW REINVESTMENT 10 90 NORMAL
432 RELLIQTPGP INF204K01UL3 NIPPON INDIA LIQUID FUND - RETAIL OPTION - GROWTH OPTION 10 90 NORMAL
433 RELLIQTPIG INF204K01UN9 NIPPON INDIA LIQUID FUND - GROWTH PLAN - GROWTH OPTION 10 90 NORMAL
434 RELLQDTDDR INF204K01UY6 NIPPON INDIA MONEY MARKET FUND - DAILY IDCW REINVESTMENT 10 90 NORMAL
435 RELLQDTMDP INF204K01VB2 NIPPON INDIA MONEY MARKET FUND - MONTHLY IDCW PAYOUT 10 90 NORMAL
436 RELLQDTMDR INF204K01VC0 NIPPON INDIA MONEY MARKET FUND - MONTHLY IDCW REINVESTMENT 10 90 NORMAL
437 RELLQDTWDR INF204K01UZ3 NIPPON INDIA MONEY MARKET FUND - WEEKLY IDCW REINVESTMENT 10 90 NORMAL
438 RELLQDTYGP INF204K01VA4 NIPPON INDIA MONEY MARKET FUND - GROWTH PLAN GROWTH OPTION 10 90 NORMAL
439 RELLTPDPGP INF204K01ZH0 NIPPON INDIA LIQUID FUND - DIRECT GROWTH PLAN - GROWTH OPTION 10 90 DIRECT
440 RELLTPDPMD INF204K01ZI8 NIPPON INDIA LIQUID FUND - DIRECT MONTHLY IDCW PAYOUT 10 90 DIRECT
441 RELLTPDPMD INF204K01ZJ6 NIPPON INDIA LIQUID FUND - DIRECT MONTHLY IDCW REINVESTMENT 10 90 DIRECT
442 RELLTPDPQD INF204K01ZK4 NIPPON INDIA LIQUID FUND - DIRECT QUARTERLY IDCW PAYOUT 10 90 DIRECT
443 RELLTPDPQD INF204K01ZL2 NIPPON INDIA LIQUID FUND - DIRECT QUARTERLY IDCW REINVESTMENT 10 90 DIRECT
444 RGFCOG INF205K01SD1 INVESCO INDIA MONEY MARKET FUND - GROWTH 10 90 NORMAL
445 RGFLFD4DR INF205K01ME2 INVESCO INDIA LIQUID FUND - DIRECT PLAN DAILY IDCW REINVESTMENT 10 90 DIRECT
446 RMFGLDRG INF205K01SR1 INVESCO INDIA INDIA GILT FUND - GROWTH 10 90 NORMAL
447 RMFLFSIG INF205K01HM5 INVESCO INDIA LIQUID FUND - GROWTH 10 90 NORMAL
NIPPON INDIA OVERNIGHT FUND - DIRECT DAILY PLAN IDCW
448 RMFONADDR INF204KB1R49 REINVESTMENT 10 90 DIRECT
449 RMFONADGP INF204KB1R31 NIPPON INDIA OVERNIGHT FUND - DIRECT GROWTH PLAN 10 90 DIRECT
450 RMFONDGP INF204KB1Q65 NIPPON INDIA OVERNIGHT FUND - GROWTH PLAN 10 90 NORMAL
451 RMFONMDP INF204KB1Q99 NIPPON INDIA OVERNIGHT FUND - MONTHLY IDCW PAYOUT 10 90 NORMAL
452 RMFONMDR INF204KB1R07 NIPPON INDIA OVERNIGHT FUND - MONTHLY IDCW REINVESTMENT 10 90 NORMAL
453 SBILFDG INF200K01UT4 SBI LIQUID FUND DIRECT GROWTH 10 90 DIRECT
454 SBIMICFFLT INF200K01LQ9 SBI OVERNIGHT FUND REGULAR GROWTH 10 90 NORMAL
455 SBIOFDG INF200K01TK5 SBI OVERNIGHT FUND DIRECT GROWTH 10 90 DIRECT
456 SBIPLF INF200K01MA1 SBI LIQUID FUND REGULAR GROWTH 10 90 NORMAL
457 SBISGDG INF200K01SZ5 SBI SAVINGS FUND - DIRECT PLAN - GROWTH 10 90 DIRECT
458 SCIGI663G INF200KA19P6 SBI CRISIL IBX GILT INDEX - JUNE 2036 FUND - REGULAR PLAN - GROWTH 10 90 NORMAL
SBI CRISIL IBX GILT INDEX - APRIL 2029 FUND - REGULAR PLAN - IDCW
459 SCIGI664D INF200KA17Q8 PAYOUT 10 90 NORMAL
SBI CRISIL IBX GILT INDEX - APRIL 2029 FUND - REGULAR PLAN - IDCW
460 SCIGI664DP INF200KA16Q0 PAYOUT 10 90 NORMAL
461 SCIGI664G INF200KA15Q2 SBI CRISIL IBX GILT INDEX - APRIL 2029 FUND - REGULAR PLAN - GROWTH 10 90 NORMAL
462 SCIGID663G INF200KA12Q9 SBI CRISIL IBX GILT INDEX - JUNE 2036 FUND - DIRECT PLAN - GROWTH 10 90 DIRECT
463 SCIGID664G INF200KA18Q6 SBI CRISIL IBX GILT INDEX - APRIL 2029 FUND - DIRECT PLAN - GROWTH 10 90 DIRECT
FRANKLIN INDIA GOVERNMENT SECURITIES FUND-QUARTERLY IDCW
464 SFLDP INF090I01CS3 PAYOUT 10 90 NORMAL
FRANKLIN INDIA GOVERNMENT SECURITIES FUND-QUARTERLY IDCW
465 SFLDR INF090I01CT1 PAYOUT 10 90 NORMAL
466 SFLGP INF090I01CU9 FRANKLIN INDIA GOVERNMENT SECURITIES FUND-GROWTH 10 90 NORMAL
467 SMMDG INF903JA1FR6 SUNDARAM MONEY MARKET FUND DIRECT GROWTH 10 90 DIRECT
468 SMMRG INF903JA1FJ3 SUNDARAM MONEY MARKET FUND REGULAR GROWTH 10 90 NORMAL
469 SODGGR INF903JA1HG5 SUNDARAM OVERNIGHT FUND DIRECT GROWTH 10 90 DIRECT
470 SORGGR INF903JA1GZ7 SUNDARAM OVERNIGHT FUND REGULAR GROWTH 10 90 NORMAL
471 TATAFRSIG INF277K01YD8 TATA LIQUID FUND REGULAR PLAN GROWTH 10 90 NORMAL
472 TATAGFD INF277K01DN1 TATA GILT SECURITIES FUND REGULAR PLAN - IDCW PAYOUT 10 90 NORMAL
473 TATAGFD INF277K01535 TATA GILT SECURITIES FUND REGULAR PLAN - IDCW REINVESTMENT 10 90 NORMAL
474 TATAGFG INF277K01519 TATA GILT SECURITIES FUND REGULAR PLAN GROWTH 10 90 NORMAL
475 TATALSD01 INF277K014C0 TATA MONEY MARKET REGULAR PLAN DAILY IDCW REINVESTMENT 10 90 NORMAL
476 TATALSG01 INF277K01LQ7 TATA MONEY MARKET FUND REGULAR PLAN GROWTH 10 90 NORMAL
477 TFRSTF INF277K01YE6 TATA LIQUID FUND DIRECT PLAN GROWTH 10 90 DIRECT
478 TGSFR INF277K01OX7 TATA GILT SECURITIES FUND DIRECT PLAN GROWTH 10 90 DIRECT
479 TLF INF277K01PR6 TATA MONEY MARKET FUND DIRECT PLAN GROWTH 10 90 DIRECT
480 TOFA INF277K017T7 TATA OVERNIGHT FUND - REGULAR PLAN - DAILY IDCW REINVESTMENT 10 90 NORMAL
481 TOFB INF277K016T9 TATA OVERNIGHT FUND REGULAR PLAN GROWTH 10 90 NORMAL
482 TOFD INF277K018T5 TATA OVERNIGHT FUND DIRECT PLAN GROWTH 10 90 DIRECT
483 UNGDG INF582M01HW2 UNION GILT FUND - DIRECT GROWTH 10 90 DIRECT
484 UNGRG INF582M01ID0 UNION GILT FUND - REGULAR GROWTH 10 90 NORMAL
485 UNLDDR INF582M01021 UNION LIQUID FUND DAILY IDCW REINVESTMENT 10 90 NORMAL
486 UNLDRD INF582M01682 UNION LIQUID FUND DAILY IDCW REINVESTMENT-DIRECT PLAN 10 90 DIRECT
487 UNLGR INF582M01013 UNION LIQUID FUND GROWTH 10 90 NORMAL
488 UNLGRD INF582M01674 UNION LIQUID FUND GROWTH-DIRECT PLAN 10 90 DIRECT
489 UNMMGD INF582M01HG5 UNION MONEY MARKET FUND - DIRECT PLAN - GROWTH 10 90 DIRECT
490 UNMMGR INF582M01HO9 UNION MONEY MARKET FUND - REGULAR PLAN - GROWTH 10 90 NORMAL
491 UNODDRD INF582M01FB0 UNION OVERNIGHT FUND DAILY IDCW REINVESTMENT - DIRECT PLAN 10 90 DIRECT
492 UNOGRD INF582M01FA2 UNION OVERNIGHT FUND GROWTH - DIRECT PLAN 10 90 DIRECT
493 UNOGRR INF582M01FJ3 UNION OVERNIGHT FUND REGULAR PLAN GROWTH OPTION 10 90 NORMAL
494 UTIGED2G INF789FB1S71 UTI OVERNIGHT FUND-DIRECT GROWTH PLAN-GROWTH 10 90 DIRECT
UTI GILT FUND WITH 10 YEAR CONSTANT DURATION- DIRECT PLAN -
495 UTIGFG1G INF789F1AVR7 GROWTH 10 90 DIRECT
UTI GILT FUND WITH 10 YEAR CONSTANT DURATION- REGULAR PLAN -
496 UTIGFGPG INF789F1AVI6 GROWTH 10 90 NORMAL
497 UTIGILTLTP INF789F01646 UTI GILT FUND-REGULAR DIVIDEND PLAN-IDCW PAYOUT 10 90 NORMAL
498 UTIGILTLTP INF789F01661 UTI GILT FUND-REGULAR REGULAR GROWTH 10 90 NORMAL
499 UTIGILTLTP INF789F01653 UTI GILT FUND-REGULAR DIVIDEND PLAN-IDCW REINVESTMENT 10 90 NORMAL
500 UTIGSECSTP INF789F01604 UTI OVERNIGHT FUND - GROWTH PLAN 10 90 NORMAL
501 UTILIQUDRI INF789F01AZ5 UTI LIQUID CASH PLAN - REGULAR-IDCW REINVESTMENT 10 90 NORMAL
502 UTILIQUMDR INF789F01BB4 UTI LIQUID CASH PLAN - REGULAR-IDCW REINVESTMENT 10 90 NORMAL
503 UTIMMFGP INF789F01BF5 UTI MONEY MARKET FUND-DISCONTINUED REGULAR PLAN-GROWTH 10 90 NORMAL
Government Securities
For every Rs 100 worth of stock
pledged, you'll receive collateral
Sr. No. Security Name ISIN Haircut % margin of Rs.
1 7.32% GS 2024 IN0020180488 10 90
2 7.35% GOVT.STOCK 2024IN0020090034 10 90
3 6.69% G.S. 2024 IN0020220052 10 90
4 8.40% GS 2024 IN0020140045 10 90
5 6.18% GS 2024 IN0020190396 10 90
6 9.15% GOVT.STOCK 2024IN0020110048 10 90
7 6.89% G.S. 2025 IN0020220128 10 90
8 7.72% GS 2025 IN0020150036 10 90
9 5.22% GS 2025 IN0020200112 10 90
10 8.20% GOVT.STOCK 2025IN0020120047 10 90
11 5.97% GOVT. STOCK 2025
IN0020030071 10 90
12 5.15% GS 2025 IN0020200278 10 90
13 7.59% GS 2026 IN0020150093 10 90
14 7.27% GS 2026 IN0020190016 10 90
15 5.63% GS 2026 IN0020210012 10 90
16 6.99% G.S. 2026 IN0020230028 10 90
17 8.33% GOVT.STOCK 2026IN0020120039 10 90
18 6.97% GS 2026 IN0020160035 10 90
19 10.18% GS 2026 IN0020010081 10 90
20 5.74% G.S. 2026 IN0020210186 10 90
21 8.15% GS 2026 IN0020140060 10 90
22 8.24% GOVT.STOCK 2027IN0020060078 10 90
23 6.79% GS 2027 IN0020170026 10 90
24 7.38% G.S. 2027 IN0020220037 10 90
25 8.26% GOVT.STOCK 2027IN0020070036 10 90
26 8.28% GOVT.STOCK 2027IN0020070069 10 90
27 7.17% GS 2028 IN0020170174 10 90
28 7.10% GOI SGrB 2028 IN0020220136 10 90
29 6.01% GOVT. STOCK 2028
IN0020020247 10 90
30 7.06% G.S. 2028 IN0020230010 10 90
31 8.60% GS 2028 IN0020140011 10 90
32 6.13% G.S. 2028 IN0020030022 10 90
33 7.26% GS 2029 IN0020180454 10 90
34 7.59% GS 2029 IN0020150069 10 90
35 7.10% G.S. 2029 IN0020220011 10 90
36 6.45% GS 2029 IN0020190362 10 90
37 6.79% GS 2029 IN0020160118 10 90
38 7.88% GS 2030 IN0020150028 10 90
39 7.17% G.S. 2030 IN0020230036 10 90
40 7.61% GS 2030 IN0020160019 10 90
41 5.79% GS 2030 IN0020200070 10 90
42 5.77% GS 2030 IN0020200153 10 90
43 9.20% GOVT. STOCK 2030
IN0020130053 10 90
44 5.85% GS 2030 IN0020200294 10 90
45 8.97% GOVT.STOCK 2030IN0020110055 10 90
46 6.10% GS 2031 IN0020210095 10 90
47 6.68% GS 2031 IN0020170042 10 90
48 6.54% GS 2032 IN0020210244 10 90
49 8.28% GOVT.STOCK 2032IN0020060086 10 90
50 8.32% GOVT.STOCK 2032IN0020070044 10 90
51 7.26% G.S. 2032 IN0020220060 10 90
52 7.95% G.S 2032 IN0020020106 10 90
53 8.33% GOVT.STOCK 2032IN0020070077 10 90
54 7.29% GOI SGrB 2033 IN0020220144 10 90
55 7.26% G.S. 2033 IN0020220151 10 90
56 7.57% GS 2033 IN0020190065 10 90
57 7.18% G.S. 2033 IN0020230085 10 90
58 8.24% GS 2033 IN0020140052 10 90
59 6.57% GS 2033 IN0020160100 10 90
60 7.5% GOVT. STOCK 2034IN0020040039 10 90
61 6.19% GS 2034 IN0020200096 10 90
62 7.73% GS 2034 IN0020150051 10 90
63 6.22% GS 2035 IN0020200245 10 90
64 6.64% GS 2035 IN0020210020 10 90
65 7.40% GOVT.STOCK 2035IN0020050012 10 90
66 6.67% GS 2035 IN0020210152 10 90
67 7.54% G.S. 2036 IN0020220029 10 90
68 8.33% GOVT.STOCK 2036IN0020060045 10 90
69 7.41% G.S. 2036 IN0020220102 10 90
70 7.18% G.S. 2037 IN0020230077 10 90
71 6.83% GOVT.STOCK 2039IN0020080050 10 90
72 7.62% GS 2039 IN0020190024 10 90
73 8.30% GOVT.STOCK 2040IN0020100031 10 90
74 8.83% GOVT.STOCK 2041IN0020110063 10 90
75 8.30% GOVT STOCK 2042IN0020120062 10 90
76 7.69% GS 2043 IN0020190040 10 90
77 9.23% Govt Stock 2043 IN0020130079 10 90
78 8.17% GS 2044 IN0020140078 10 90
79 8.13% GS 2045 IN0020150044 10 90
80 7.06% GS 2046 IN0020160068 10 90
81 7.72% GS 2049 IN0020190032 10 90
82 7.16% GS 2050 IN0020200054 10 90
83 6.67% GS 2050 IN0020200252 10 90
84 6.62% GS 2051 IN0020160092 10 90
85 6.99% GS 2051 IN0020210194 10 90
86 7.36% G.S. 2052 IN0020220086 10 90
87 7.30% G.S. 2053 IN0020230051 10 90
88 7.72% GS 2055 IN0020150077 10 90
89 7.63% GS 2059 IN0020190057 10 90
90 7.19% GS 2060 IN0020200039 10 90
91 6.80% GS 2060 IN0020200187 10 90
92 6.76% GS 2061 IN0020200401 10 90
93 6.95% GS 2061 IN0020210202 10 90
94 7.40% G.S. 2062 IN0020220094 10 90
95 7.25% G.S. 2063 IN0020230044 10 90
Notes
1) Haircut as applicable subject to a minimum of VaR+ELM+Adhoc
2) The clearing corporation has set a certain limit on the number of shares/units that can be pledged per security through a broker. If the broker limit is reached, you will not be able to further
pledge such securities for margin.
3) For stocks pledged before 4pm, collateral margin will be available on T+1 day.
4) The collateral margin received by pledging cash component securities can be used fully towards any margin requirement for your open positions. You will not be required to maintain cash
separately if the collateral from cash component securities covers the margin requirement.
5) The collateral margin received by pledging non-cash component securities can be used only up to 50% of the margin requirement for your open positions. The exchange stipulates for the
remaining 50% margin to come in the form of cash or cash equivalent collateral. Any additional utilisation of the non-cash collateral, over and above 50% of the margin requirement will be liable
to delayed payment charges.
6) Cost of pledge: Rs.30 + GST per scrip irrespective of quantity of stock pledged.
7) For all unpledge requests placed before 2 pm, stock will be available in demat account for trading on T+1 day.