01 Nov 2006

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scheme code;scheme name;net asset value;repurchase price;sale price;date

open ended schemes ( income )

abn amro mutual fund


102652;abn amro monthly income plan-regular plan-growth
option;12.2751;12.2751;12.2751;1-nov-2006
102653;abn amro monthly income plan-regular plan-monthly dividend
option;10.5062;10.5062;10.5062;1-nov-2006
102654;abn amro monthly income plan-regular plan-quarterly dividend
option;10.5092;10.5092;10.5092;1-nov-2006
102622;abn amro flexi debt fund-regular plan-daily dividend
option;10.0000;10.0000;10.0000;1-nov-2006
102619;abn amro flexi debt fund-regular plan-growth
option;11.1353;11.1353;11.1353;1-nov-2006
102621;abn amro flexi debt fund-regular plan-half-yearly dividend
option;10.1074;10.1074;10.1074;1-nov-2006
102620;abn amro flexi debt fund-regular plan-quarterly dividend
option;10.1132;10.1132;10.1132;1-nov-2006
102623;abn amro flexi debt fund-regular plan-weekly dividend
option;10.0104;10.0104;10.0104;1-nov-2006
103291;abn amro long term floating rate fund-institutional plan-growth
option;10.6732;10.6732;10.6732;1-nov-2006
103293;abn amro long term floating rate fund-institutional plan-monthly dividend
option;10.0055;10.0055;10.0055;1-nov-2006
103292;abn amro long term floating rate fund-institutional plan-weekly dividend
option;10.0119;10.0119;10.0119;1-nov-2006
103288;abn amro long term floating rate fund-regular plan-growth
option;10.6328;10.6328;10.6328;1-nov-2006
103290;abn amro long term floating rate fund-regular plan-monthly dividend
option;10.0077;10.0077;10.0077;1-nov-2006
103289;abn amro long term floating rate fund-regular plan-weekly dividend
option;10.0120;10.0120;10.0120;1-nov-2006

birla sun life mutual fund


101843;birla bond index fund-dividend plan (plan a);10.3311;10.3053;10.3311;1-nov-
2006
101844;birla bond index fund-growth plan (plan b);11.4498;11.4212;11.4498;1-nov-
2006
101315;birla bond plus-insititutional dividend;10.5069;10.4806;10.5069;1-nov-2006
101317;birla bond plus-institutional growth;13.6718;13.6376;13.6718;1-nov-2006
101318;birla bond plus-retail - dividend;11.2791;11.2509;11.2791;1-nov-2006
101316;birla bond plus-retail growth;13.5522;13.5183;13.5522;1-nov-2006
102767;birla dynamic bond fund-retail plan-growth;11.1876;11.1876;11.1876;1-nov-
2006
102766;birla dynamic bond fund-retail plan-quarterly
dividend;10.1438;10.1438;10.1438;1-nov-2006
102855;birla fixed maturity plan - annual series 3-
dividend;10.5774;10.3659;10.5774;1-nov-2006
102856;birla fixed maturity plan - annual series 3-
growth;11.3163;11.0900;11.3163;1-nov-2006
102754;birla fixed maturity plan - annual yearly series 1-
dividend;10.0418;9.8410;10.0418;1-nov-2006
102755;birla fixed maturity plan - annual yearly series 1-
growth;11.2632;11.0379;11.2632;1-nov-2006
102682;birla fixed maturity plan - quarterly series ii-
dividend;10.0980;9.8960;10.0980;1-nov-2006
102683;birla fixed maturity plan - quarterly series ii-
growth;11.3728;11.1453;11.3728;1-nov-2006
100037;birla income plus-retail (dividend);10.2546;10.1931;10.2546;1-nov-2006
100038;birla income plus-retail (growth);30.0762;29.8957;30.0762;1-nov-2006
100971;birla mip-plan a (dividend);11.1744;11.1074;11.1744;1-nov-2006
100972;birla mip-plan b (payment);18.9411;18.8275;18.9411;1-nov-2006
100970;birla mip-plan c (growth);18.9411;18.8275;18.9411;1-nov-2006
101711;birla mip - saving 5 plan-plan a (dividend);10.1728;10.1728;10.1728;1-nov-
2006
101712;birla mip - saving 5 plan-plan b (growth);11.3968;11.3968;11.3968;1-nov-
2006
101713;birla mip - saving 5 plan-plan c (payment);11.3968;11.3968;11.3968;1-nov-
2006
101816;birla mip - wealth 25 plan-plan a (dividend);11.3060;11.1929;11.3060;1-nov-
2006
101817;birla mip - wealth 25 plan-plan b (growth);13.3312;13.1979;13.3312;1-nov-
2006
101818;birla mip - wealth 25 plan-plan c (payment);13.3312;13.1979;13.3312;1-nov-
2006
103177;birla sun life income fund-plan a(dividend);10.5995;10.5359;10.5995;1-nov-
2006
103178;birla sun life income fund-plan b(growth);25.1082;24.9576;25.1082;1-nov-
2006
103183;birla sun life income fund-plan c(quarterly
dividend);10.2533;10.1918;10.2533;1-nov-2006
103179;birla sun life income fund-plan d(54ea dividend);11.0563;10.9900;11.0563;1-
nov-2006
103180;birla sun life income fund-plan e(54ea growth);25.0907;24.9402;25.0907;1-
nov-2006
103181;birla sun life income fund-plan f(54eb dividend);11.0682;11.0018;11.0682;1-
nov-2006
103182;birla sun life income fund-plan g(54eb growth);24.9327;24.7831;24.9327;1-
nov-2006
103184;birla sun life monthly income-plan a(dividend);10.8085;10.7004;10.8085;1-
nov-2006
103185;birla sun life monthly income-plan b(growth);24.9245;24.6753;24.9245;1-nov-
2006
103186;birla sun life monthly income-plan c(quarterly
dividend);11.2741;11.1614;11.2741;1-nov-2006
103175;birla sun life short term fund-plan a(dividend);10.3230;10.1165;10.3230;1-
nov-2006
103176;birla sun life short term fund-plan b(growth);12.9085;12.6503;12.9085;1-
nov-2006

bob mutual fund


102670;bob children fund-gift plan;10.4808;10.3760;10.4808;1-nov-2006
102671;bob children fund-study plan;10.0360;9.9356;10.0360;1-nov-2006
101155;bob income fund-dividend plan;12.4409;12.3787;12.4409;1-nov-2006
101154;bob income fund-growth plan;12.4409;12.3787;12.4409;1-nov-2006
102661;bob mip fund-growth plan;11.5385;11.4808;11.5385;1-nov-2006
102662;bob mip fund-monthly dividend plan;11.5395;11.4818;11.5395;1-nov-2006
102663;bob mip fund-quarterly dividend plan;11.5391;11.4814;11.5391;1-nov-2006
102669;bob nri fund-flexi asset plan-dividend;10.5214;10.5214;10.6266;5-may-2006
102667;bob nri fund-long term bond plan-dividend;10.5922;10.5392;10.5922;5-may-
2006
102666;bob nri fund-long term bond plan-growth;10.5922;10.5392;10.5922;5-may-2006
102665;bob nri fund-short term bond plan-dividend;10.7244;10.7244;10.7244;28-apr-
2006
102664;bob nri fund-short term bond plan-growth;10.7387;10.7387;10.7387;5-may-2006
canbank mutual fund
100601;cancigo-growth plan;0.00;0.00;0.00;1-nov-2006
100600;cancigo-income plan;0.00;0.00;0.00;1-nov-2006

101589;canincome-bonus plan;11.9054;11.9054;11.9054;1-nov-2006
101588;canincome-growth plan;12.9949;12.9949;12.9949;1-nov-2006
101587;canincome-income plan;11.8208;11.8208;11.8208;1-nov-2006

dbs chola mutual fund


100576;dbs chola freedom income -short term fund-cum- institutional
plan;11.6597;11.6597;11.6597;1-nov-2006
100575;dbs chola freedom income -short term fund-regular -
cumulative;11.5226;11.5226;11.5226;1-nov-2006
100574;dbs chola freedom income -short term fund-regular-monthly
dividend;10.9240;10.9240;10.9240;1-nov-2006
101192;dbs chola freedom income-stf regular-semi annual
dividend;11.4311;11.4311;11.4311;1-nov-2006
101958;dbs chola liquid fund - institutional plus weekly
dividend;11.9202;11.9202;11.9202;1-nov-2006
101905;dbs chola monthly income plan - regular - bonus;12.9003;12.9003;12.9003;3-
oct-2006
102019;dbs chola monthly income plan -reg.-quarterly dividend
plan;10.5649;10.5649;10.5649;1-nov-2006
102018;dbs chola monthly income plan -regular - cumulative
plan;13.0549;13.0549;13.0549;1-nov-2006
101895;dbs chola monthly income plan-regular-monthly dividend
plan;10.3043;10.3043;10.3043;1-nov-2006
103137;dbs chola short term floating rate fund-
cumulative;10.7953;10.7953;10.7953;1-nov-2006
103134;dbs chola short term floating rate fund-dividend-
daily;10.0156;10.0156;10.0156;1-nov-2006
103136;dbs chola short term floating rate fund-dividend-
monthly;10.1893;10.1893;10.1893;1-nov-2006
103135;dbs chola short term floating rate fund-dividend-
weekly;10.2162;10.2162;10.2162;1-nov-2006
100567;dbs chola triple ace-regular - quarterly
dividend;11.2360;11.2360;11.2360;1-nov-2006
100563;dbs chola triple ace-regular -cumulative;23.8637;23.8637;23.8637;1-nov-2006
100573;dbs chola triple ace-regular bonus;13.2596;13.2596;13.2596;1-nov-2006
100569;dbs chola triple ace-semi annual dividend;11.5476;11.5476;11.5476;1-nov-
2006
101784;dbs cholafreedom income-stf-institutional monthly
dividend;10.9239;10.9239;10.9239;1-nov-2006

deutsche mutual fund


102196;dws mip-dws mip plan a-dws mip plan a- growth
option;12.6205;12.6205;12.6836;1-nov-2006
102195;dws mip-dws mip plan a-dws mip plan a- annual dividend
option;11.0136;11.0136;11.0687;1-nov-2006
102193;dws mip-dws mip plan a-dws mip plan a- monthly dividend
option;10.6007;10.6007;10.6537;1-nov-2006
102194;dws mip-dws mip plan a-dws mip plan a- quarterly dividend
option;10.5755;10.5755;10.6284;1-nov-2006
102200;dws mip-dws mip plan b-dws mip plan b- growth
option;12.0395;12.0395;12.0997;1-nov-2006
102199;dws mip-dws mip plan b-dws mip plan b- annual dividend
option;10.6128;10.6128;10.6659;1-nov-2006
102197;dws mip-dws mip plan b-dws mip plan b- monthly dividend
option;10.2962;10.2962;10.3477;1-nov-2006
102198;dws mip-dws mip plan b-dws mip plan b- quarterly dividend
option;10.2801;10.2801;10.3315;1-nov-2006
101732;dws premier bond fund - regular plan-/-growth
plan;12.0799;12.0799;12.3215;1-nov-2006
101731;dws premier bond fund - regular plan-dividend(payout / reinvestment)-
annual;10.8319;10.7777;10.8319;1-nov-2006
101730;dws premier bond fund - regular plan-dividend(payout / reinvestment)-
monthly;10.6580;10.6047;10.6580;1-nov-2006
101729;dws premier bond fund - regular plan-dividend(payout / reinvestment)-
quarterly;10.3244;10.2728;10.3244;1-nov-2006
101625;dws short maturity fund-dividend-monthly;10.1360;10.1360;10.1360;1-nov-2006
101626;dws short maturity fund-dividend-weekly dividend;10.2554;10.2554;10.2554;1-
nov-2006
101627;dws short maturity fund-growth plan-growth;12.2923;12.2923;12.2923;1-nov-
2006

dsp merrill lynch mutual fund


100077;dsp merrill lynch bond fund - retail plan-
dividend;10.6324;10.6324;10.6324;1-nov-2006
100078;dsp merrill lynch bond fund - retail plan-growth;24.5578;24.5578;24.5578;1-
nov-2006
100079;dsp merrill lynch bond fund - retail plan-monthly
dividend;10.3605;10.3605;10.3605;1-nov-2006
104143;dsp merrill lynch liquid plus fund - institutional plan - daily dividend
reinvest;1000.2000;1000.2000;1000.2000;1-nov-2006
104142;dsp merrill lynch liquid plus fund - institutional plan -
growth;1017.8959;1017.8959;1017.8959;1-nov-2006
104141;dsp merrill lynch liquid plus fund - institutional plan - weekly
dividend;1001.1846;1001.1846;1001.1846;1-nov-2006
104140;dsp merrill lynch liquid plus fund - regular plan - daily dividend
reinvest;1000.2000;1000.2000;1000.2000;1-nov-2006
104138;dsp merrill lynch liquid plus fund - regular plan -
growth;1017.1424;1017.1424;1017.1424;1-nov-2006
104139;dsp merrill lynch liquid plus fund - regular plan - weekly dividend
reinvest;1001.1445;1001.1445;1001.1445;1-nov-2006
102448;dsp merrill lynch savings plus fund - aggressive-
growth;13.3997;13.3997;13.3997;1-nov-2006
102450;dsp merrill lynch savings plus fund - aggressive-monthly
dividend;10.5042;10.5042;10.5042;1-nov-2006
102451;dsp merrill lynch savings plus fund - aggressive-quarterly
dividend;10.8609;10.8609;10.8609;1-nov-2006
101742;dsp merrill lynch savings plus fund - moderate-
growth;14.8197;14.8197;14.8197;1-nov-2006
101743;dsp merrill lynch savings plus fund - moderate-monthly
dividend;10.9449;10.9449;10.9449;1-nov-2006
101744;dsp merrill lynch savings plus fund - moderate-quarterly
dividend;11.2216;11.2216;11.2216;1-nov-2006
102445;dsp merrill lynch savings plus fund-conservative-
growth;11.802;11.802;11.802;1-nov-2006
102446;dsp merrill lynch savings plus fund-conservative-monthly
dividend;10.2522;10.2522;10.2522;1-nov-2006
102447;dsp merrill lynch savings plus fund-conservative-quarterly
dividend;10.4139;10.4139;10.4139;1-nov-2006
101305;dsp merrill lynch short term fund-dividend;10.5466;10.5466;10.5466;1-nov-
2006
101304;dsp merrill lynch short term fund-growth;12.7111;12.7111;12.7111;1-nov-2006
101306;dsp merrill lynch short term fund-monthly
dividend;10.3851;10.3851;10.3851;1-nov-2006
101303;dsp merrill lynch short term fund-weekly
dividend;10.1899;10.1899;10.1899;1-nov-2006

escorts mutual fund


100176;escorts income bond-dividend;16.2264;16.2264;16.2264;1-nov-2006
100177;escorts income bond-growth;19.2216;19.2216;19.2216;1-nov-2006

100173;escorts income plan-bonus;11.7694;11.7694;11.7694;1-nov-2006


100171;escorts income plan-dividend;10.1057;10.1057;10.1057;1-nov-2006
100172;escorts income plan-growth;22.3466;22.3466;22.3466;1-nov-2006

fidelity mutual fund


104220;fidelity short term income fund - institutional plan dividend
option;10.0163;10.0163;10.0163;1-nov-2006
104219;fidelity short term income fund - institutional plan growth
option;10.1286;10.1286;10.1286;1-nov-2006
104218;fidelity short term income fund - non institutional plan dividend
option;10.0159;10.0159;10.0159;1-nov-2006
104217;fidelity short term income fund - non institutional plan growth
option;10.1252;10.1252;10.1252;1-nov-2006

franklin templeton mutual fund


101620;franklin india international fund;10.2754;10.2240;10.2754;31-oct-2006
100948;ft india monthly income plan-growth;20.4048;20.4048;20.4048;1-nov-2006
100951;ft india monthly income plan-monthly bonus;14.7575;14.7575;14.7575;1-nov-
2006
100949;ft india monthly income plan-monthly dividend;12.0077;12.0077;12.0077;1-
nov-2006
100950;ft india monthly income plan-quarterly dividend;11.9317;11.9317;11.9317;1-
nov-2006
100527;templeton india income builder account-dividend;10.5302;10.5302;10.5302;1-
nov-2006
100528;templeton india income builder account-growth;24.7025;24.7025;24.7025;1-
nov-2006
100531;templeton india income builder account-half
yearly;13.8694;13.8694;13.8694;1-nov-2006
100529;templeton india income builder account-monthly;13.9268;13.9268;13.9268;1-
nov-2006
100532;templeton india income builder account-monthly
bonus;19.4656;19.4656;19.4656;1-nov-2006
100530;templeton india income builder account-quarterly;13.9797;13.9797;13.9797;1-
nov-2006
100498;templeton india income fund-dividend;10.5238;10.4712;10.5238;1-nov-2006
100499;templeton india income fund-growth;25.3742;25.2473;25.3742;1-nov-2006
101232;templeton india short-term income plan-
growth;1336.2981;1336.2981;1336.2981;1-nov-2006
101244;templeton india short-term income plan-institutional plan -
growth;1067.7799;1065.1105;1067.7799;1-nov-2006
101246;templeton india short-term income plan-institutional plan - monthly
dividend;1047.8852;1045.2655;1047.8852;1-nov-2006
101245;templeton india short-term income plan-institutional plan - weekly
dividend;1005.8258;1003.3112;1005.8258;1-nov-2006
101236;templeton india short-term income plan-monthly
dividend;1014.7432;1014.7432;1014.7432;1-nov-2006
101238;templeton india short-term income plan-quarterly
dividend;1023.2452;1023.2452;1023.2452;1-nov-2006
101237;templeton india short-term income plan-weekly
bonus;1053.0420;1053.0420;1053.0420;1-nov-2006
101242;templeton india short-term income plan-weekly
dividend;1095.4499;1095.4499;1095.4499;1-nov-2006
100506;templeton monthly income plan-growth;19.6344;19.5362;19.6344;1-nov-2006
100505;templeton monthly income plan-half yearly
dividend;12.1779;12.1170;12.1779;1-nov-2006
100503;templeton monthly income plan-monthly dividend;10.2356;10.1844;10.2356;1-
nov-2006
100504;templeton monthly income plan-quaterly dividend;10.2649;10.2136;10.2649;1-
nov-2006

hdfc mutual fund


102453;hdfc cash management savings plus-dividend plan;10.0181;10.0181;10.0181;1-
nov-2006
102452;hdfc cash management savings plus-growth plan;15.7435;15.7435;15.7435;1-
nov-2006
101480;hdfc floating rate income fund-short term plan-dividend;0;0;0;19-jun-2006
101483;hdfc floating rate income fund-short term plan-dividend -
daily;10.0809;10.0809;10.0809;1-nov-2006
101484;hdfc floating rate income fund-short term plan-dividend -
monthly;10.1481;10.1481;10.1481;1-nov-2006
101482;hdfc floating rate income fund-short term plan-dividend -
weekly;10.1393;10.1393;10.1393;1-nov-2006
101481;hdfc floating rate income fund-short term plan-
growth;12.2172;12.2172;12.2172;1-nov-2006
101872;hdfc high interest fund-growth plan;24.4578;24.4578;24.4578;1-nov-2006
101874;hdfc high interest fund-half yearly dividend
plan;10.2734;10.2734;10.2734;1-nov-2006
101873;hdfc high interest fund-quarterly dividend plan;10.5482;10.5482;10.5482;1-
nov-2006
101875;hdfc high interest fund-yearly dividend plan;10.9625;10.9625;10.9625;1-nov-
2006
101990;hdfc high interest fund - short term plan-dividend
option;10.6132;10.6132;10.6132;1-nov-2006
101989;hdfc high interest fund - short term plan-growth
option;13.2652;13.2652;13.2652;1-nov-2006
100123;hdfc income fund-dividend;10.2609;10.2609;10.2609;1-nov-2006
100124;hdfc income fund-growth;16.5996;16.5996;16.5996;1-nov-2006
102147;hdfc mf monthly income plan-long term plan-growth
option;14.4696;14.4696;14.4696;1-nov-2006
102148;hdfc mf monthly income plan-long term plan-monthly dividend
option;11.6276;11.6276;11.6276;1-nov-2006
102149;hdfc mf monthly income plan-long term plan-quarterly dividend
option;11.862;11.862;11.862;1-nov-2006
102144;hdfc mf monthly income plan-short term plan-growth
option;12.7594;12.7594;12.7594;1-nov-2006
102145;hdfc mf monthly income plan-short term plan-monthly dividend
option;10.3843;10.3843;10.3843;1-nov-2006
102146;hdfc mf monthly income plan-short term plan-quarterly dividend
option;10.6669;10.6669;10.6669;1-nov-2006
101586;hdfc multiple yield-hdfc multiple yield -
dividend;10.0652;9.9645;10.1659;1-nov-2006
101585;hdfc multiple yield-hdfc multiple yield - growth;11.9412;11.8218;12.0606;1-
nov-2006
103130;hdfc multiple yield fund - plan 2005-dividend;10.8859;10.777;10.9948;1-nov-
2006
103131;hdfc multiple yield fund - plan 2005-growth;10.8859;10.777;10.9948;1-nov-
2006
101431;hdfc short term plan-dividend;10.3578;10.3319;10.3578;1-nov-2006
101430;hdfc short term plan-growth;13.082;13.0493;13.082;1-nov-2006

hsbc mutual fund


101687;hsbc income fund - investment plan-institutional plan-growth
option;12.5639;12.5639;12.5639;1-nov-2006
101686;hsbc income fund - investment plan-regular plan-dividend
option;10.4245;10.3724;10.4245;1-nov-2006
101685;hsbc income fund - investment plan-regular plan-growth
option;12.2350;12.1738;12.2350;1-nov-2006
101598;hsbc income fund - short term plan-institutional plan-dividend
option;10.0315;10.0315;10.0315;1-nov-2006

101597;hsbc income fund - short term plan-institutional plan-growth


option;12.4378;12.4378;12.4378;1-nov-2006
101600;hsbc income fund - short term plan-regular plan-dividend
option;10.6470;10.6470;10.6470;1-nov-2006
101599;hsbc income fund - short term plan-regular plan-growth
option;12.2901;12.2901;12.2901;1-nov-2006
104351;hsbc liquid plus fund - inst. - daily dividend;10.0002;9.9952;10.0002;1-
nov-2006
104344;hsbc liquid plus fund - inst. - growth;10.0394;10.0344;10.0394;1-nov-2006
104348;hsbc liquid plus fund - inst. - monthly dividend;0.0000;0.0000;0.0000;1-
nov-2006
104352;hsbc liquid plus fund - inst. - weekly dividend;10.0112;10.0062;10.0112;1-
nov-2006
104349;hsbc liquid plus fund - inst. plus - daily
dividend;10.0002;9.9952;10.0002;1-nov-2006
104347;hsbc liquid plus fund - inst. plus - growth;10.0399;10.0349;10.0399;1-nov-
2006
104346;hsbc liquid plus fund - inst. plus - monthly
dividend;10.0129;10.0079;10.0129;1-nov-2006
104345;hsbc liquid plus fund - inst. plus - weekly
dividend;10.0114;10.0064;10.0114;1-nov-2006
104342;hsbc liquid plus fund - regular - daily dividend;10.0002;9.9952;10.0002;1-
nov-2006
104350;hsbc liquid plus fund - regular - growth;10.0388;10.0338;10.0388;1-nov-2006
104343;hsbc liquid plus fund - regular - weekly
dividend;10.0110;10.0060;10.0110;1-nov-2006
102259;hsbc mip - regular plan-growth;12.1241;12.0635;12.1241;1-nov-2006
102257;hsbc mip - regular plan-monthly dividend;10.5740;10.5211;10.5740;1-nov-2006
102258;hsbc mip - regular plan-quarterly dividend;10.7540;10.7002;10.7540;1-nov-
2006
102262;hsbc mip - savings plan-growth;12.9370;12.8723;12.9370;1-nov-2006
102260;hsbc mip - savings plan-monthly dividend;10.8508;10.7965;10.8508;1-nov-2006
102261;hsbc mip - savings plan-quarterly dividend;11.1154;11.0598;11.1154;1-nov-
2006

ing vysya mutual fund


100185;ing vysya income fund-bonus-;10.9292;10.9292;10.9292;1-nov-2006
100180;ing vysya income fund-dividend-annual;10.5445;10.5445;10.5445;1-nov-2006
100179;ing vysya income fund-dividend-half yearly;10.2072;10.2072;10.2072;1-nov-
2006
100178;ing vysya income fund-dividend-quarterly;10.1871;10.1871;10.1871;1-nov-2006
100181;ing vysya income fund-growth-;17.9247;17.9247;17.9247;1-nov-2006
100186;ing vysya income fund-institutional option - bonus-;
11.1353;11.1353;11.1353;1-nov-2006
100184;ing vysya income fund-institutional option(dividend)-
annual;10.5432;10.5432;10.5432;1-nov-2006
100182;ing vysya income fund-institutional option(dividend)-half
yearly;10.0000;10.0000;10.0000;1-nov-2006
100183;ing vysya income fund-institutional option(dividend)-
quarterly;10.0000;10.0000;10.0000;1-nov-2006
100187;ing vysya income fund-institutional option(growth)-;
18.6013;18.6013;18.6013;1-nov-2006
101288;ing vysya income fund- short term plan-growth
option;12.8965;12.8965;12.8965;1-nov-2006
101550;ing vysya income fund-short term plan -dividend
option;11.1769;11.1769;11.1769;1-nov-2006
102223;ing vysya mip fund plan a-annual dividend option;10.5115;10.5115;10.5115;1-
nov-2006
102231;ing vysya mip fund plan a-bonus option;11.3873;11.3873;11.3873;1-nov-2006
102222;ing vysya mip fund plan a-growth option;11.3873;11.3873;11.3873;1-nov-2006
102226;ing vysya mip fund plan a-half yearly dividend
option;10.1732;10.1732;10.1732;1-nov-2006
102224;ing vysya mip fund plan a-monthly dividend
option;10.1073;10.1073;10.1073;1-nov-2006
102225;ing vysya mip fund plan a-quarterly dividend
option;10.1969;10.1969;10.1969;1-nov-2006
102236;ing vysya mip fund plan b-annual dividend option;10.7438;10.7438;10.7438;1-
nov-2006
102240;ing vysya mip fund plan b-bonus option;11.9237;11.9237;11.9237;1-nov-2006
102232;ing vysya mip fund plan b-growth option;11.9237;11.9237;11.9237;1-nov-2006
102235;ing vysya mip fund plan b-half yearly dividend
option;10.4908;10.4908;10.4908;1-nov-2006
102233;ing vysya mip fund plan b-monthly dividend
option;10.5674;10.5674;10.5674;1-nov-2006
102234;ing vysya mip fund plan b-quarterly dividend
option;10.6314;10.6314;10.6314;1-nov-2006
102714;ing vysya select debt fund-annual dividend
option;10.3483;10.3483;10.3483;1-nov-2006
102715;ing vysya select debt fund-bonus option;11.0294;11.0294;11.0294;1-nov-2006
102711;ing vysya select debt fund-growth option;11.0294;11.0294;11.0294;1-nov-2006
102713;ing vysya select debt fund-half yearly dividend
option;10.2051;10.2051;10.2051;1-nov-2006
102712;ing vysya select debt fund-quarterly dividend
option;10.1753;10.1753;10.1753;1-nov-2006

jm financial mutual fund


102904;jm equity & derivative fund-bonus-bonus option;10.3582;10.3582;10.3582;1-
nov-2006
102903;jm equity & derivative fund-dividend-dividend
option;10.3570;10.3570;10.3570;1-nov-2006
102902;jm equity & derivative fund-growth-growth option;11.1864;11.1864;11.1864;1-
nov-2006
101805;jm floater fund - long term plan-dividend option;11.7557;11.7557;11.7557;1-
nov-2006
101806;jm floater fund - long term plan-growth option;11.7174;11.7174;11.7174;1-
nov-2006
101807;jm floater fund - long term plan-premium dividend
plan;10.0636;10.0636;10.0636;1-nov-2006
101808;jm floater fund - long term plan-premium growth
plan;11.2415;11.2415;11.2415;1-nov-2006
100222;jm income fund-dividend;10.2282;10.2282;10.2282;1-nov-2006
100223;jm income fund-growth plan - growth option;28.3517;28.3517;28.3517;1-nov-
2006
101181;jm income growth - bonus option;11.5989;11.5989;11.5989;1-nov-2006
102026;jm mip fund-annual dividend;10.9050;10.9050;10.9050;1-nov-2006
102027;jm mip fund-growth;13.1063;13.1063;13.1063;1-nov-2006
102024;jm mip fund-monthly dividend;10.7289;10.7289;10.7289;1-nov-2006
102025;jm mip fund-quarterly dividend;10.7974;10.7974;10.7974;1-nov-2006
101524;jm short term fund..-- institutional plan -
dividend;10.2875;10.2875;10.2875;1-nov-2006
101521;jm short term fund..-- institutional plan -
growth;12.2773;12.2773;12.2773;1-nov-2006
101519;jm short term fund..-dividend plan;11.0037;11.0037;11.0037;1-nov-2006
101520;jm short term fund..-growth plan;13.0039;13.0039;13.0039;1-nov-2006

kotak mahindra mutual fund


100291;kotak bond-deposit-dividend;11.608;11.608;11.608;1-nov-2006

100292;kotak bond-deposit-growth;18.3669;18.3669;18.3669;1-nov-2006
100300;kotak bond-regular-annual dividend;12.822;12.822;12.822;1-nov-2006
100301;kotak bond-regular-bonus plan;12.7883;12.7883;12.7883;1-nov-2006
100299;kotak bond-regular-growth;19.1858;19.1858;19.1858;1-nov-2006
100298;kotak bond-regular-quaterly dividend;10.4606;10.4606;10.4606;1-nov-2006
101372;kotak bond short term plan-(dividend);10.0951;10.0951;10.0951;1-nov-2006
101373;kotak bond short term plan-(growth);13.1377;13.1377;13.1377;1-nov-2006
103223;kotak cash plus---dividend;10.2131;10.2131;10.2131;1-nov-2006
103224;kotak cash plus---growth;10.7796;10.7796;10.7796;1-nov-2006
102869;kotak flexi-debt-daily dividend;10.0311;10.0311;10.0311;1-nov-2006
102867;kotak flexi-debt-dividend;10.1467;10.1467;10.1467;1-nov-2006
102868;kotak flexi-debt-growth;11.2755;11.2755;11.2755;1-nov-2006
101893;kotak floater short term-(growth);11.9335;11.9335;11.9335;1-nov-2006
101892;kotak floater short term-(monthly dividend);10.0411;10.0411;10.0411;1-nov-
2006
101894;kotak floater short term-(weekly dividend);10.0091;10.0091;10.0091;1-nov-
2006
101954;kotak income plus-(growth);12.8658;12.8658;12.8658;1-nov-2006
101953;kotak income plus-(monthly dividend);10.9505;10.9505;10.9505;1-nov-2006
101955;kotak income plus-(quaterly dividend);11.0023;11.0023;11.0023;1-nov-2006

lic mutual fund


100314;lic mf bond fund-dividend;10.2593;10.2593;10.2593;1-nov-2006
100315;lic mf bond fund-growth;19.8820;19.8820;19.8820;1-nov-2006
101271;licmf children fund;14.7973;14.7973;14.7973;1-nov-2006
102816;licmf floater mip-plan a-growth;12.3280;12.3280;12.3280;1-nov-2006
102813;licmf floater mip-plan a-monthly dividend;10.2692;10.2692;10.2692;1-nov-
2006
102814;licmf floater mip-plan a-quarterly dividend;10.2772;10.2772;10.2772;1-nov-
2006
102815;licmf floater mip-plan a-yearly dividend;10.7942;10.7942;10.7942;1-nov-2006
102820;licmf floater mip-plan b-growth;11.5242;11.5242;11.5242;1-nov-2006
102817;licmf floater mip-plan b-monthly dividend;10.1064;10.1064;10.1064;1-nov-
2006
102818;licmf floater mip-plan b-quarterly dividend;10.1086;10.1086;10.1086;1-nov-
2006
102819;licmf floater mip-plan b-yearly dividend;10.5274;10.5274;10.5274;1-nov-2006
102269;licmf floating rate fund - short term plan-
dividend;10.1504;10.1504;10.1504;1-nov-2006
102268;licmf floating rate fund - short term plan-
growth;11.5729;11.5729;11.5729;1-nov-2006
101869;licmf monthly income plan-growth option;0.0000;0.0000;0.0000;1-nov-2006
101866;licmf monthly income plan-monthly option;0.0000;0.0000;0.0000;1-nov-2006
101867;licmf monthly income plan-quarterly option;0.0000;0.0000;0.0000;1-nov-2006
101868;licmf monthly income plan-yearly option;0.0000;0.0000;0.0000;1-nov-2006
101829;licmf short term plan-dividend option;10.0490;10.0490;10.0490;1-nov-2006
101830;licmf short term plan-growth option;11.7493;11.7493;11.7493;1-nov-2006

principal mutual fund


100151;principal child benefit fund-super saver-career builder
plan;50.63;49.11;51.77;1-nov-2006
100150;principal child benefit fund-super saver-future guard
plan;49.96;48.46;51.08;1-nov-2006
100136;principal deposit fund-plan 54ea/eb-plan 54ea
/eb;17.5581;17.5581;17.5581;1-nov-2006
102968;principal deposit fund 371 days plan-march 05-
dividend;10.0000;9.8100;10.4000;3-apr-2006
102969;principal deposit fund 371 days plan-march 05-
growth;10.6181;10.4164;11.0428;3-apr-2006
103296;principal deposit fund 371 days plan-oct 05-
dividend;10.62;10.4182;11.0448;30-oct-2006
103297;principal deposit fund 371 days plan-oct 05-
growth;10.62;10.4182;11.0448;30-oct-2006
103333;principal deposit fund 91 days plan-nov 05-dividend;10;9.81;10;16-aug-2006
103332;principal deposit fund 91 days plan-nov 05-
growth;10.5063;10.3067;10.5063;16-aug-2006
102719;principal floating rate fund - fmp-growth;11.3105;11.2822;11.3105;1-nov-
2006
102722;principal floating rate fund - fmp-insti. growth;11.3462;11.3462;11.3462;1-
nov-2006
102724;principal floating rate fund - fmp-insti. monthly
dividend;10.1106;10.1106;10.1106;1-nov-2006
102723;principal floating rate fund - fmp-insti. weekly
dividend;10.0126;10.0126;10.0126;1-nov-2006
102721;principal floating rate fund - fmp-monthly
dividend;10.2045;10.179;10.2045;1-nov-2006
102720;principal floating rate fund - fmp-weekly
dividend;10.0128;9.9878;10.0128;1-nov-2006
100960;principal income fund-dividend plan-annual;10.3848;10.3329;10.3848;1-nov-
2006
100957;principal income fund-dividend plan-half yearly;10.522;10.4694;10.522;1-
nov-2006
100961;principal income fund-dividend plan-institutional �
quarterly;11.0159;11.0159;11.0159;1-nov-2006
100958;principal income fund-dividend plan-quaterly;10.5322;10.4795;10.5322;1-nov-
2006
100962;principal income fund-growth plan-growth;17.244;17.1578;17.244;1-nov-2006
100963;principal income fund-growth plan-institutional �
growth;12.1603;12.1603;12.1603;1-nov-2006
101897;principal money value bond fund-dividend;10.6374;10.6374;10.5842;17-mar-
2006
101896;principal money value bond fund-growth;19.4263;19.4263;19.3292;17-mar-2006
101498;principal monthly income plan-growth;14.9075;14.833;14.9075;1-nov-2006
101499;principal monthly income plan-monthly dividend;10.639;10.5858;10.639;1-nov-
2006
101500;principal monthly income plan-quaterly dividend;10.7143;10.6607;10.7143;1-
nov-2006
102169;principal monthly income plan - plus-dividend -
monthly;10.6735;10.6201;10.6735;1-nov-2006
102170;principal monthly income plan - plus-dividend -
quarterly;10.7411;10.6874;10.7411;1-nov-2006
102171;principal monthly income plan - plus-growth;12.5119;12.4493;12.5119;1-nov-
2006
102405;principal pnb debt fund-dividend;na;na;na;17-mar-2006
102406;principal pnb debt fund-growth;19.7991;19.7001;19.7991;17-mar-2006
101462;principal short term plan-dividend;10.1706;10.1452;10.1706;1-nov-2006
101463;principal short term plan-growth;13.1639;13.131;13.1639;1-nov-2006
101466;principal short term plan-institutional � dividend
plan;10.2118;10.2118;10.2118;1-nov-2006
101465;principal short term plan-institutional � growth
plan;12.2212;12.2212;12.2212;1-nov-2006

101467;principal short term plan-institutional � weekly dividend


plan;10.9419;10.9419;10.9419;1-nov-2006
101613;principal trust benefit fund-annual dividend;10.6175;10.6175;12.0849;17-
mar-2006
101614;principal trust benefit fund-growth;12.2689;12.2689;12.0849;17-mar-2006
101615;principal trust benefit fund-haly yearly
dividend;10.3738;10.3738;10.2182;17-mar-2006
101612;principal trust benefit fund-quaterly dividend;10.2614;10.2614;10.1075;17-
mar-2006

prudential icici mutual fund


101759;prudential icici short term plan-fortnightly dividend; 10.7795 ; 10.7795 ;
10.7795 ;1-nov-2006
101758;prudential icici short term plan-growth; 13.8432 ; 13.8432 ; 13.8432 ;1-
nov-2006
101098;prudential icici child care -study plan; 18.9257 ; 18.7364 ; 19.2096 ;1-
nov-2006
101127;prudential icici child care- gift plan; 38.16 ; 37.78 ; 38.74 ;1-nov-2006
102421;prudential icici fixed maturity plan - 1 year-series 12-institutional;
11.2464 ; 10.9652 ; 11.2464 ;1-nov-2006
102423;prudential icici fixed maturity plan - 1 year-series 12-institutional
dividend - 1; 10.3673 ; 10.1082 ; 10.3673 ;1-nov-2006
102425;prudential icici fixed maturity plan - 1 year-series 12-institutional
growth - 1; 10.3778 ; 10.1183 ; 10.3778 ;1-nov-2006
102416;prudential icici fixed maturity plan - 1 year-series 12-retail; 11.1811 ;
10.9016 ; 11.1811 ;1-nov-2006
102422;prudential icici fixed maturity plan - 1 year-series 12-retail dividend -
1; 10.3674 ; 10.1083 ; 10.3674 ;1-nov-2006
102424;prudential icici fixed maturity plan - 1 year-series 12-retail growth - 1;
10.3674 ; 10.1083 ; 10.3674 ;1-nov-2006
101618;prudential icici flexible income plan-dividend plan fortnightly option;
10.5532 ; 10.5532 ; 10.5532 ;1-nov-2006
101617;prudential icici flexible income plan-dividend plan monthtly option;
10.5193 ; 10.5193 ; 10.5193 ;1-nov-2006
101619;prudential icici flexible income plan-growth; 13.2976 ; 13.2976 ; 13.2976
;1-nov-2006
101800;prudential icici floating rate plan-- option a - daily dividend option;
10.0020 ; 9.9520 ; 10.0020 ;1-nov-2006
101801;prudential icici floating rate plan-- option c - daily dividend option;
10.0020 ; 10.0020 ; 10.0020 ;1-nov-2006
101804;prudential icici floating rate plan-d - dividend daily; 10.0000 ; 10.0000 ;
10.0000 ;1-nov-2006
101799;prudential icici floating rate plan-daily dividend option; 10.0020 ;
10.0020 ; 10.0020 ;1-nov-2006
101796;prudential icici floating rate plan-dividend - option a; 10.0052 ; 9.9552 ;
10.0052 ;1-nov-2006
101794;prudential icici floating rate plan-dividend - option b; 10.0420 ; 10.0420
; 10.0420 ;1-nov-2006
101798;prudential icici floating rate plan-dividend - option c; 10.0053 ; 10.0053
; 10.0053 ;1-nov-2006
101795;prudential icici floating rate plan-growth - option a; 11.2838 ; 11.2274 ;
11.2838 ;1-nov-2006
101793;prudential icici floating rate plan-growth - option b; 12.0982 ; 12.0982 ;
12.0982 ;1-nov-2006
101797;prudential icici floating rate plan-growth - option c; 11.3726 ; 11.3726 ;
11.3726 ;1-nov-2006
101803;prudential icici floating rate plan-plan d - dividend; 10.0043 ; 10.0043 ;
10.0043 ;1-nov-2006
101802;prudential icici floating rate plan-plan d - growth option; 10.6365 ;
10.6365 ; 10.6365 ;1-nov-2006
102074;prudential icici fmp series 5-fmp yearly series 5-institutional
dividend;0;0;0;3-aug-2006
102078;prudential icici fmp series 5-fmp yearly series 5-institutional dividend-1;
10.3850 ; 10.2292 ; 10.3850 ;1-nov-2006
102073;prudential icici fmp series 5-fmp yearly series 5-institutional growth;
11.2146 ; 11.0464 ; 11.2146 ;1-nov-2006
102077;prudential icici fmp series 5-fmp yearly series 5-institutional growth-1;
10.3944 ; 10.2385 ; 10.3944 ;1-nov-2006
102072;prudential icici fmp series 5-fmp yearly series 5-retail dividend; 11.1733
; 11.0057 ; 11.1733 ;1-nov-2006
102076;prudential icici fmp series 5-fmp yearly series 5-retail dividend-1;
10.3831 ; 10.2274 ; 10.3831 ;1-nov-2006
102071;prudential icici fmp series 5-fmp yearly series 5-retail growth; 11.1733 ;
11.0057 ; 11.1733 ;1-nov-2006
102075;prudential icici fmp series 5-fmp yearly series 5-retail growth-1; 10.3831
; 10.2274 ; 10.3831 ;1-nov-2006
102288;prudential icici fmp yearly series 24-dividend option;0;0;0;3-aug-2006
102289;prudential icici fmp yearly series 24-growth;0;0;0;3-aug-2006
102587;prudential icici fmp-15 month - series 25-institutional plan-cumulative
option; 11.2794 ; 11.0538 ; 11.2794 ;1-nov-2006
102585;prudential icici fmp-15 month - series 25-retail plan-cumulative option;
11.1934 ; 10.9696 ; 11.1934 ;1-nov-2006
102680;prudential icici fmp-quarterly -series 26-dividend plan;0;0;0;3-aug-2006
102678;prudential icici fmp-quarterly -series 26-growth option;0;0;0;3-aug-2006
102710;prudential icici fmp-yearly -series 25; 10.3658 ; 10.1585 ; 10.3658 ;19-
jul-2006
102060;prudential icici gilt fund investment plan pf option; 11.6188 ; 11.5491 ;
11.6188 ;1-nov-2006
100364;prudential icici income plan-dividend option; 10.4948 ; 10.4423 ; 10.4948
;1-nov-2006
100365;prudential icici income plan-growth option; 21.3511 ; 21.2443 ; 21.3511 ;1-
nov-2006
101642;prudential icici income plan-institutional option-dividend;0;0;0;3-aug-2006
101643;prudential icici income plan-institutional option-growth; 21.8765 ; 21.7671
; 21.8765 ;1-nov-2006
100366;prudential icici income plan-institutional quarterly dividend; 10.2388 ;
10.1876 ; 10.2388 ;1-nov-2006
100367;prudential icici income plan-quarterly dividend; 11.0660 ; 11.0106 ;
11.0660 ;1-nov-2006
102742;prudential icici long term floating rate plan-plan a-dividend; 10.0949 ;
10.0444 ; 10.0949 ;1-nov-2006
102741;prudential icici long term floating rate plan-plan a-growth; 11.2040 ;
11.1479 ; 11.2040 ;1-nov-2006
102744;prudential icici long term floating rate plan-plan b-dividend; 10.1110 ;
10.1110 ; 10.1110 ;1-nov-2006
102743;prudential icici long term floating rate plan-plan b-growth; 11.3054 ;
11.3054 ; 11.3054 ;1-nov-2006
102746;prudential icici long term floating rate plan-plan c-dividend;0;0;0;3-aug-
2006
102745;prudential icici long term floating rate plan-plan c-growth;0;0;0;3-aug-
2006

101351;prudential icici long term plan-dividend; 10.4714 ; 10.4714 ; 10.4714 ;1-


nov-2006
101350;prudential icici long term plan-growth option; 15.2128 ; 15.2128 ; 15.2128
;1-nov-2006
100952;prudential icici mip-cumulative; 18.5975 ; 18.5045 ; 18.5975 ;1-nov-2006
100955;prudential icici mip-dividend-half yearly; 11.7528 ; 11.6940 ; 11.7528 ;1-
nov-2006
100953;prudential icici mip-dividend-monthly; 11.5672 ; 11.5094 ; 11.5672 ;1-nov-
2006
100954;prudential icici mip-dividend-quarterly; 11.9693 ; 11.9094 ; 11.9693 ;1-
nov-2006
101231;prudential icici short term plan-institutional growth-institutional growth;
13.9643 ; 13.9643 ; 13.9643 ;1-nov-2006
101230;prudential icici short term plan-institutional plan - dividend-fortnightly;
11.0268 ; 11.0268 ; 11.0268 ;1-nov-2006
101229;prudential icici short term plan-institutional plan - dividend-monthly;
11.0363 ; 11.0363 ; 11.0363 ;1-nov-2006
101165;prudential icici short term plan - div. option; 10.7720 ; 10.7720 ; 10.7720
;1-nov-2006

reliance mutual fund


100386;reliance income fund-retail plan - annual dividend
plan;11.9068;11.9068;11.9068;1-nov-2006
100388;reliance income fund-retail plan - growth plan bonus
option;10.8008;10.8008;10.8008;1-nov-2006
100387;reliance income fund-retail plan - growth plan growth
option;22.9229;22.9229;22.9229;1-nov-2006
100385;reliance income fund-retail plan - half yearly dividend
plan;11.1919;11.1919;11.1919;1-nov-2006
100383;reliance income fund-retail plan - monthly dividend
plan;11.0548;11.0548;11.0548;1-nov-2006
100384;reliance income fund-retail plan - quarterly dividend
plan;11.754;11.754;11.754;1-nov-2006
100859;reliance medium term fund-retail plan - growth plan bonus
option;10.9327;10.878;10.9327;1-nov-2006
100856;reliance medium term fund-retail plan - growth plan growth
option;15.3051;15.2286;15.3051;1-nov-2006
100857;reliance medium term fund-retail plan - monthly dividend
plan;10.2853;10.2339;10.2853;1-nov-2006
100858;reliance medium term fund-retail plan - quarterly dividend
plan;10.0866;10.0362;10.0866;1-nov-2006
102172;reliance monthly income plan-growth plan;13.5321;13.5321;13.5321;1-nov-2006
102173;reliance monthly income plan-monthly dividend
plan;11.5736;11.5736;11.5736;1-nov-2006
102174;reliance monthly income plan-quarterly diviend
plan;11.7588;11.7588;11.7588;1-nov-2006
102851;reliance nri income fund-dividend plan-dividend
option;11.0267;10.9716;11.0267;1-nov-2006
102849;reliance nri income fund-growth plan-growth
option;11.0267;10.9716;11.0267;1-nov-2006
101667;reliance short term fund-dividend re-investment
plan;10.4567;10.4567;10.4567;1-nov-2006
101665;reliance short term fund-growth plan;12.672;12.672;12.672;1-nov-2006
101669;reliance short term fund-quarterly dividend plan;12.5355;12.5355;12.5355;1-
nov-2006

sahara mutual fund


101403;sahara income fund-dividend;11.2977;11.2977;11.2977;1-nov-2006
101404;sahara income fund-growth;12.5521;12.5521;12.5521;1-nov-2006
101575;sahara short term plan-dividend;11.2452;11.2452;11.2452;4-jul-2006
101576;sahara short term plan-growth;12.4868;12.4868;12.4868;4-jul-2006

sbi mutual fund


100640;sbi magnum income fund-bonus;11.8543;11.7950;11.8543;1-nov-2006
100638;sbi magnum income fund-dividend;10.1092;10.0587;10.1092;1-nov-2006
100639;sbi magnum income fund-growth;19.5699;19.4721;19.5699;1-nov-2006
102054;sbi magnum income plus fund - investment plan
(d);10.4713;10.3666;10.4713;1-nov-2006
102053;sbi magnum income plus fund - investment plan
(g);12.7494;12.6219;12.7494;1-nov-2006
102056;sbi magnum income plus fund - savings plan (d);10.1084;10.0073;10.1084;1-
nov-2006
102055;sbi magnum income plus fund - savings plan (g);10.4464;10.3419;10.4464;1-
nov-2006
100929;sbi magnum monthly income plan-dividend-annually;10.9458;10.8911;10.9458;1-
nov-2006
100927;sbi magnum monthly income plan-dividend-monthly;10.7157;10.6621;10.7157;1-
nov-2006
100928;sbi magnum monthly income plan-dividend-quaterly;10.6641;10.6108;10.6641;1-
nov-2006
100968;sbi magnum monthly income plan - growth;16.5054;16.4229;16.5054;1-nov-2006
103409;sbi magnum monthly income plan-floater-dividend-
(annual);10.6586;10.6586;10.6586;1-nov-2006
103400;sbi magnum monthly income plan-floater-dividend-
(monthly);10.2092;10.2092;10.2092;1-nov-2006
103401;sbi magnum monthly income plan-floater-dividend-
(quarterly);10.2205;10.2205;10.2205;1-nov-2006
103408;sbi magnum monthly income plan-floater-growth;10.6467;10.6467;10.6467;1-
nov-2006
102202;sbi magnum nri - short term bond plan-dividend;10.4089;10.4089;10.4089;1-
nov-2006
102201;sbi magnum nri - short term bond plan-growth;10.6997;10.6997;10.6997;1-nov-
2006
102206;sbi magnum nri long term bond plan-dividend;10.1518;10.1010;10.1518;1-nov-
2006
102205;sbi magnum nri long term bond plan-growth;10.5708;10.5179;10.5708;1-nov-
2006

standard chartered mutual fund


102342;gcf-plan c-daily dividend;10;10;10;1-nov-2006
102340;gcf-plan c-growth;11.4818;11.4818;11.4818;1-nov-2006
102343;gcf-plan c-monthly dividend;10.0677;10.0677;10.0677;1-nov-2006
102341;gcf-plan c-weekly dividend;10.0095;10.0095;10.0095;1-nov-2006
101780;gcf daily-dividend(institutional plan);10.5816;10.5816;10.5816;1-nov-2006
101760;gcf dividend-weekly(institutional plan);10.3088;10.3088;10.3088;1-nov-2006
102348;gfrf-plan c-daily dividend;10;10;10;1-nov-2006
102347;gfrf-plan c-growth;11.4904;11.4904;11.4904;1-nov-2006
102350;gfrf-plan c-monthly divdend;10.047;10.047;10.047;1-nov-2006
102349;gfrf-plan c-weekly dividend;10;10;10;1-nov-2006
101947;gfrf (daily - dividind);10.0699;10.0699;10.0699;1-nov-2006
101948;gfrf (dividend - weekly);10.0759;10.0759;10.0759;1-nov-2006
101773;gfrf - growth(institutional plan);11.9188;11.9188;11.9188;1-nov-2006
101774;gfrf dividend-daily (institutional plan);10.0703;10.0703;10.0703;1-nov-2006
101776;gfrf dividend-monthly(institutional plan);10.0053;10.0053;10.0053;1-nov-
2006
101775;gfrf dividend-weekly(institutional plan);10.1003;10.1003;10.1003;1-nov-2006
102558;gfrf long term-plan a-dividend annual;10.4827;10.4827;10.4827;1-nov-2006

102559;gfrf long term-plan a-dividend monthly;10.0116;10.0116;10.0116;1-nov-2006


102557;gfrf long term-plan a-dividend quarterly;10.2241;10.2241;10.2241;1-nov-2006
102556;gfrf long term-plan a-growth;11.2016;11.2016;11.2016;1-nov-2006
102563;gfrf long term-plan b-dividend monthly;10.0152;10.0152;10.0152;1-nov-2006
102561;gfrf long term-plan b-dividend quarterly;10.2584;10.2584;10.2584;1-nov-2006
102564;gfrf long term-plan b-dividend weekly;10.011;10.011;10.011;1-nov-2006
102560;gfrf long term-plan b-growth;11.2463;11.2463;11.2463;1-nov-2006
101100;grindlays cash fund-dividend (daily);10.5819;10.5819;10.5819;1-nov-2006
101099;grindlays cash fund-growth;13.417;13.417;13.417;1-nov-2006
101319;grindlays cash fund - dividend (weekly);10.2006;10.2006;10.2006;1-nov-2006
101632;grindlays cash fund - plan b (d) (institutional
plan);10.034;10.034;10.034;1-nov-2006
101248;grindlays cash fund - plan b (g) (institutional
plan);13.4858;13.4858;13.4858;1-nov-2006
101258;grindlays dynamic bond fund - gdbf (annual
dividend);10.5419;10.5419;10.5419;1-nov-2006
101279;grindlays dynamic bond fund - gdbf (growth);13.2361;13.2361;13.2361;1-nov-
2006
101516;grindlays dynamic bond fund - gdbf (quarterly
dividend);10.3033;10.3033;10.3033;1-nov-2006
101455;grindlays government securities fund - ip
(growth);13.4884;13.4884;13.4884;1-nov-2006
101177;grindlays government securities fund - ip
(qtr.dividend);10.3014;10.3014;10.3014;1-nov-2006
101456;grindlays government securities fund - st
(growth);12.3375;12.3375;12.3375;1-nov-2006
101178;grindlays government securities fund - st (monthly
dividend);10.0063;10.0063;10.0063;1-nov-2006
101179;grindlays government securities fund-ip(annual
dividend);10.5408;10.5408;10.5408;1-nov-2006
101458;grindlays government securities fund-ip(h.yrly
dividend);10.2991;10.2991;10.2991;1-nov-2006
101180;grindlays government securities fund-st (quarterly
dividend);10.1848;10.1848;10.1848;1-nov-2006
100031;grindlays super saver income fund-gssif - st-
dividend;10.0168;10.0168;10.0168;1-nov-2006
100032;grindlays super saver income fund-gssif - st-
growth;14.4659;14.4659;14.4659;1-nov-2006
100030;grindlays super saver income fund-gssif-annual
dividend;10.4465;10.4465;10.4465;1-nov-2006
100029;grindlays super saver income fund-gssif-growth;16.6223;16.6223;16.6223;1-
nov-2006
100027;grindlays super saver income fund-gssif-half yearly
dividend;10.2221;10.2221;10.2221;1-nov-2006
100028;grindlays super saver income fund-gssif-quaterly
dividend;10.2355;10.2355;10.2355;1-nov-2006
101633;gssif - short term (d) plan b - institutional
plan;10.0168;10.0168;10.0168;1-nov-2006
101735;gssif - short term - (g) plan b ( inst. plan);10.5868;10.5868;10.5868;1-
nov-2006
102015;gssif- mt(div bimonthly);10.3252;10.3252;10.3252;1-nov-2006
104137;gssif-mt-plan a-monthly;10.0019;10.0019;10.0019;1-nov-2006
102373;gssif-mt-plan c-growth;10.5869;10.5869;10.5869;2-sep-2006
102376;gssif-mt-plan d-dividend-bm;9.9985;9.9985;9.9985;2-sep-2006
102375;gssif-mt-plan d-growth;10.0325;10.0325;10.0325;2-sep-2006
104045;gssif-mt(fortnightly dividend);10.0095;10.0095;10.0095;1-nov-2006
101654;gssif-mt(growth);11.6005;11.6005;11.6005;1-nov-2006
104155;gssif-st-plan a- fortnightly dividend;10.009;10.009;10.009;1-nov-2006
104157;gssif-st-plan b- fortnightly dividend;10.0103;10.0103;10.0103;1-nov-2006
104156;gssif-st-plan c- fortnightly dividend;10.0095;10.0095;10.0095;1-nov-2006
102364;gssif-st-plan c-dividend;10.0119;10.0119;10.0119;1-nov-2006
102363;gssif-st-plan c-growth;10.7036;10.7036;10.7036;1-nov-2006
102366;gssif-st-plan d-dividend;10.0082;10.0082;10.0082;1-nov-2006
102365;gssif-st-plan d-growth;10.1388;10.1388;10.1388;1-nov-2006

sundaram bnp paribas mutual fund


101545;sundaram bnp paribas income plus-appreciation;12.5960;12.5960;12.5960;1-
nov-2006
101544;sundaram bnp paribas income plus-dividend;10.3738;10.3738;10.3738;1-nov-
2006
102176;sundaram bnp paribas monthly income plan-quarterly-
dividend;10.5337;10.5337;10.5337;1-nov-2006
102178;sundaram bnp paribas monthly income plan-growth;12.5810;12.5810;12.5810;1-
nov-2006
102177;sundaram bnp paribas monthly income plan-half-yearly
dividend;10.5476;10.5476;10.5476;1-nov-2006
102175;sundaram bnp paribas monthly income plan-monthly
dividend;10.3285;10.3285;10.3285;1-nov-2006
100610;sundaram bnp paribas bond saver-annual dividend;10.3416;10.3416;10.3416;1-
nov-2006
100604;sundaram bnp paribas bond saver-bonus option;11.8460;11.8460;11.8460;1-nov-
2006
100603;sundaram bnp paribas bond saver-growth;22.4970;22.4970;22.4970;1-nov-2006
100609;sundaram bnp paribas bond saver-half-yearly
dividend;10.3363;10.3363;10.3363;1-nov-2006
100611;sundaram bnp paribas bond saver-institutional plan - bonus
option;11.4920;11.4920;11.4920;1-nov-2006
100607;sundaram bnp paribas bond saver-institutional plan(annual
dividend);0.0000;0.0000;0.0000;1-nov-2006
100608;sundaram bnp paribas bond saver-institutional
plan(growth);0.0000;0.0000;0.0000;1-nov-2006
100606;sundaram bnp paribas bond saver-institutional plan(half-yearly
dividend);0.0000;0.0000;0.0000;1-nov-2006
100605;sundaram bnp paribas bond saver-institutional plan(qtrly
dividend);0.0000;0.0000;0.0000;1-nov-2006
100602;sundaram bnp paribas bond saver-qtrly dividend;10.3428;10.3428;10.3428;1-
nov-2006
101572;sundaram bnp paribas select debt-dynamic asset plan-half-yearly
dividend;10.1816;10.1816;10.1816;1-nov-2006
101571;sundaram bnp paribas select debt-dynamic asset plan-quarterly
dividend;10.1767;10.1767;10.1767;1-nov-2006
101554;sundaram bnp paribas select debt-3-year asset plan-annual
div;0.0000;0.0000;0.0000;1-nov-2006
101555;sundaram bnp paribas select debt-3-year asset plan-appreciation
option;0.0000;0.0000;0.0000;1-nov-2006
101553;sundaram bnp paribas select debt-3-year asset plan-half-yearly
div;0.0000;0.0000;0.0000;1-nov-2006
101552;sundaram bnp paribas select debt-3-year asset plan-quarterly
div;0.0000;0.0000;0.0000;1-nov-2006
101569;sundaram bnp paribas select debt-5-year asset plan-annual
div;0.0000;0.0000;0.0000;1-nov-2006

101570;sundaram bnp paribas select debt-5-year asset plan-appreciation


option;0.0000;0.0000;0.0000;1-nov-2006
101568;sundaram bnp paribas select debt-5-year asset plan-half-yearly
div;0.0000;0.0000;0.0000;1-nov-2006
101567;sundaram bnp paribas select debt-5-year asset plan-quarterly
div;0.0000;0.0000;0.0000;1-nov-2006
101573;sundaram bnp paribas select debt-dynamic asset plan-annual
divided;10.1998;10.1998;10.1998;1-nov-2006
101574;sundaram bnp paribas select debt-dynamic asset plan-
appreciation;12.8418;12.8418;12.8418;1-nov-2006
101558;sundaram bnp paribas select debt-long-term asset plan-annual
div;0.0000;0.0000;0.0000;1-nov-2006
101559;sundaram bnp paribas select debt-long-term asset plan-appreciation
option;0.0000;0.0000;0.0000;1-nov-2006
101557;sundaram bnp paribas select debt-long-term asset plan-half-yearly
div;0.0000;0.0000;0.0000;1-nov-2006
101556;sundaram bnp paribas select debt-long-term asset plan-quarterly
div;0.0000;0.0000;0.0000;1-nov-2006
101562;sundaram bnp paribas select debt-short-term asset plan-annual
div;10.3102;10.3102;10.3102;1-nov-2006
101563;sundaram bnp paribas select debt-short-term asset plan-appreciation
option;12.6897;12.6897;12.6897;1-nov-2006
101565;sundaram bnp paribas select debt-short-term asset plan-fortnighty dividend
reinvst;10.5984;10.5984;10.5984;1-nov-2006
101561;sundaram bnp paribas select debt-short-term asset plan-half-yearly
div;10.3061;10.3061;10.3061;1-nov-2006
101566;sundaram bnp paribas select debt-short-term asset plan-monthly dividend
reinvst;10.5334;10.5334;10.5334;1-nov-2006
101560;sundaram bnp paribas select debt-short-term asset plan-quarterly
div;10.3051;10.3051;10.3051;1-nov-2006
101564;sundaram bnp paribas select debt-short-term asset plan-weekly dividend
reinvst;10.9547;10.9547;10.9547;1-nov-2006

tata mutual fund


101224;tata dynamic bond fund a - dividend;10.2652;10.1625;10.2652;1-nov-2006
101909;tata dynamic bond fund a - growth;11.7512;11.6337;11.7512;1-nov-2006
102031;tata dynamic bond fund b - dividend;10.2120;10.2120;10.2120;1-nov-2006
101910;tata dynamic bond fund b - growth;11.7691;11.7691;11.7691;1-nov-2006
102572;tata fixed horizon annual aug 04 app;0.0000;0.0000;0.0000;4-jan-2006
102571;tata fixed horizon annual aug 04 div;0.0000;0.0000;0.0000;4-jan-2006
102857;tata fixed horizon annual plan 3 (nov 04) (app);0.0000;0.0000;0.0000;4-jan-
2006
102748;tata fixed horizon annual sept 04 app;0.0000;0.0000;0.0000;4-jan-2006
102876;tata fixed horizon fund annual jan 05 appr;0.0000;0.0000;0.0000;1-nov-2006
102845;tata fixed horizon qrtly dividend (nov 04);0.0000;0.0000;0.0000;4-jan-2006
102568;tata fixed horizon qtrly aug04 app;0.0000;0.0000;0.0000;4-jan-2006
102567;tata fixed horizon qtrly aug04 div;0.0000;0.0000;0.0000;4-jan-2006
102747;tata fixed horizon qtrly sept 04 div;0.0000;0.0000;0.0000;4-jan-2006
100416;tata income fund - div qtrly;10.4059;10.1978;10.4059;1-nov-2006
100417;tata income fund - div semi;10.8143;10.5980;10.8143;1-nov-2006
100418;tata income fund - growth;24.5945;24.1026;24.5945;1-nov-2006
101419;tata income fund - growth bonus option;12.3085;12.0623;12.3085;1-nov-2006
101186;tata income fund appreciation - per dividend;14.2437;13.9588;14.2437;1-
nov-2006
101856;tata income plus fund - option c dividend;0.0000;0.0000;0.0000;1-nov-2006
101966;tata income plus fund - option c growth;0.0000;0.0000;0.0000;1-nov-2006
101703;tata income plus fund a - growth option;12.3024;12.3024;12.3024;1-nov-2006
101605;tata income plus fund a - income / bonus option;10.4654;10.4654;10.4654;1-
nov-2006
101704;tata income plus fund b - growth option;12.3343;12.3343;12.3343;1-nov-2006
101606;tata income plus fund b - income / bonus option;10.4926;10.4926;10.4926;1-
nov-2006
102283;tata m i p plus fund - growth;11.7413;11.6826;11.7413;1-nov-2006
102282;tata m i p plus fund - half yearly dividend;10.5558;10.5030;10.5558;1-nov-
2006
102280;tata m i p plus fund - monthly dividend;10.4316;10.3794;10.4316;1-nov-2006
102281;tata m i p plus fund - quarterly dividend;10.5478;10.4951;10.5478;1-nov-
2006
102118;tata monthly income fund - qrtly option;11.7829;11.7240;11.7829;1-nov-2006
101609;tata monthly income fund - regular;11.5809;11.5230;11.5809;1-nov-2006
101906;tata monthly income fund growth;14.2408;14.1696;14.2408;1-nov-2006
101548;tata short term bond fund - app option;12.9131;12.9131;12.9131;1-nov-2006
101547;tata short term bond fund - reg income option;10.9734;10.9734;10.9734;1-
nov-2006

taurus mutual fund


101113;libra bond fund-dividend;13.4812;13.4475;13.4812;1-nov-2006
101114;libra bond fund-growth;13.8602;13.8255;13.8602;1-nov-2006

uti mutual fund


102545;uti - bond advantage-institutional-bonus;11.3575;11.3575;11.3575;1-nov-2006
102538;uti - bond advantage-uba-annual dividend;11.3045;11.3045;11.3045;1-nov-2006
102539;uti - bond advantage-uba-bonus;12.3771;12.3771;12.3771;1-nov-2006
102540;uti - bond advantage-uba-growth;18.5676;18.5676;18.5676;1-nov-2006
102541;uti - bond advantage-uba-quarterly dividend;10.9635;10.9635;10.9635;1-nov-
2006
100648;uti - crts 81;107.4484;107.4484;107.4484;1-nov-2006
101079;uti - mahila unit scheme (mus);26.4442;26.4442;26.4442;1-nov-2006
101608;uti - mis-growth;13.6451;13.6451;13.6451;1-nov-2006
101607;uti - mis-income;10.9095;10.9095;10.9095;1-nov-2006
102534;uti - mis-advantage-flexi dividend;13.7065;13.7065;13.7065;1-nov-2006
102535;uti - mis-advantage-growth;13.7075;13.7075;13.7075;1-nov-2006
102536;uti - mis-advantage-monthly dividend;11.8935;11.8935;11.8935;1-nov-2006
102533;uti - mis-advantage-monthly payment;13.6887;13.6887;13.6887;1-nov-2006
100682;uti - retirement benefit pension fund;19.5791;19.5791;19.8728;1-nov-2006
100646;uti - unit linked insurance plan;15.4205;15.4205;15.4205;1-nov-2006
100741;uti bond fund-growth (for rep. after 6 months- no
load);21.3934;21.3934;21.3934;1-nov-2006
100742;uti bond fund-income (for rep. within 3 months);10.9174;10.9174;10.9174;1-
nov-2006
100678;uti c c balanced fund;14.8358;14.8358;15.1325;1-nov-2006

102267;uti cc-bond-growth;10.9671;10.9671;10.9671;1-nov-2006
102266;uti cc-bond-income;10.967;10.967;10.967;1-nov-2006

open ended schemes ( growth )

abn amro mutual fund


102952;abn amro opportunities fund-dividend;16.211;16.211;16.576;1-nov-2006
102951;abn amro opportunities fund-growth;18.835;18.835;19.259;1-nov-2006
102640;abn amro equity fund-dividend plan;19.06;19.06;19.49;1-nov-2006
102639;abn amro equity fund-growth plan;25.09;25.09;25.65;1-nov-2006
103205;abn amro dividend yield fund-dividend option;10.635;10.635;10.874;1-nov-
2006
103204;abn amro dividend yield fund-growth option;10.634;10.634;10.873;1-nov-2006
103585;abn amro future leaders fund-dividend option;9.541;9.541;9.756;1-nov-2006
103584;abn amro future leaders fund-growth option;9.532;9.532;9.746;1-nov-2006

benchmark mutual fund


101296;banking index benchmark exchange traded scheme (bank
bees);570.1172;570.1172;570.1172;1-nov-2006
101325;nifty benchmark exchange traded scheme- nifty
bees;384.3095;384.3095;384.3095;1-nov-2006
101621;nifty junior benchmark exchange traded scheme (junior
bees);69.5209;69.5209;69.5209;1-nov-2006

birla sun life mutual fund


100034;birla advantage fund-plan a (dividend);85.34;85.34;87.26;1-nov-2006
100033;birla advantage fund-plan b (growth);118.96;118.96;121.64;1-nov-2006
101737;birla dividend yield plus-plan a (dividend);11.02;11.02;11.27;1-nov-2006
101738;birla dividend yield plus-plan b (growth);42.07;42.07;43.02;1-nov-2006
101313;birla index fund-plan a (dividend);21.5556;21.3400;21.5556;1-nov-2006
101314;birla index fund-plan b (growth);38.9805;38.5907;38.9805;1-nov-2006
103110;birla india gennext fund-dividend option;14.79;14.79;15.12;1-nov-2006
103111;birla india gennext fund-growth option;14.79;14.79;15.12;1-nov-2006
100065;birla india opportunities fund-plan a (dividend);20.90;20.90;21.37;1-nov-
2006
100066;birla india opportunities fund-plan b (growth);48.67;48.67;49.77;1-nov-2006
103475;birla infrastructure fund-plan a (dividend);11.31;11.31;11.56;1-nov-2006
103476;birla infrastructure fund-plan b (growth);11.31;11.31;11.56;1-nov-2006
101591;birla midcap fund-plan a (dividend);25.68;25.68;26.26;1-nov-2006
101592;birla midcap fund-plan b (growth);61.87;61.87;63.26;1-nov-2006
100063;birla mnc fund-plan a (dividend);59.92;59.92;61.27;1-nov-2006
100064;birla mnc fund-plan b (growth);119.55;119.55;122.24;1-nov-2006
103169;birla sun life buy india fund-plan a(divivdend);18.78;18.59;19.20;1-nov-
2006
103170;birla sun life buy india fund-plan b(growth);26.75;26.48;27.35;1-nov-2006
103171;birla sun life basic industries fund-plan a(dividend);36.87;36.50;37.70;1-
nov-2006
103172;birla sun life basic industries fund-plan b(growth);66.06;65.40;67.55;1-
nov-2006
103165;birla sun life equity fund-plan a(dividend);71.96;71.96;73.58;1-nov-2006
103166;birla sun life equity fund-plan b(growth);169.19;169.19;173.00;1-nov-2006
103173;birla sun life frontline equity fund-plan a
(divivdend);20.09;20.09;20.54;1-nov-2006
103174;birla sun life frontline equity fund-plan b(growth);47.65;47.65;48.72;1-
nov-2006
103167;birla sun life new millenium fund-plan a(divivdend);15.01;15.01;15.35;1-
nov-2006
103168;birla sun life new millenium fund-plan b(growth);17.61;17.61;18.01;1-nov-
2006
103308;birla top 100-dividend option;15.2814;15.1286;15.6252;1-nov-2006
103309;birla top 100-growth option;15.2814;15.1286;15.6252;1-nov-2006

bob mutual fund


103602;baroda global fund-dividend;10.4000;10.4016;10.6356;1-nov-2006
103601;baroda global fund-growth;10.4100;10.4145;10.6488;1-nov-2006
100069;bob diversified fund;30.32;30.32;31.00;1-nov-2006
102021;bob growth fund-dividend plan;18.14;18.14;18.55;1-nov-2006
102020;bob growth fund-growth plan;28.76;28.76;29.41;1-nov-2006

canbank mutual fund


103273;can d mat;29.31;29.31;29.97;1-nov-2006
102922;canemerging equities-bonus plan;14.92;14.92;15.26;1-nov-2006
102920;canemerging equities-growth plan;14.92;14.92;15.26;1-nov-2006
102921;canemerging equities-income plan;12.72;12.72;13.01;1-nov-2006
101924;canequity diversified-bonus;17.86;17.86;18.26;1-nov-2006
101922;canequity diversified-growth;28.68;28.68;29.33;1-nov-2006
101923;canequity diversified-income;17.86;17.86;18.26;1-nov-2006
100590;canexpo-growth plan;50.29;50.29;51.42;1-nov-2006
100589;canexpo-income plan;19.14;19.14;19.57;1-nov-2006
103272;canfortune 94;31.77;31.77;32.48;1-nov-2006
101715;cangrowth plus;37.66;37.66;38.51;1-nov-2006
102806;canindex-dividend;20.61;20.61;20.82;1-nov-2006
102805;canindex-growth;20.61;20.61;20.82;1-nov-2006
103389;caninfrastructure-dividend;13.12;13.12;13.42;1-nov-2006
103390;caninfrastructure-growth;13.12;13.12;13.42;1-nov-2006

dbs chola mutual fund


103540;dbs chola contra fund-cumulative option;11.34;11.34;11.60;1-nov-2006
103539;dbs chola contra fund-dividend option;11.34;11.34;11.60;1-nov-2006
103080;dbs chola global advantage fund.-cumulative option;13.74;13.74;14.05;1-nov-
2006
103079;dbs chola global advantage fund.-dividend option;12.88;12.88;13.17;1-nov-
2006
101132;dbs chola growth fund-cumulative;30.20;30.20;30.88;1-nov-2006
101131;dbs chola growth fund-quarterly dividend;16.24;16.24;16.61;1-nov-2006
102578;dbs chola mid cap fund-cumulative;24.91;24.91;25.47;1-nov-2006
102577;dbs chola mid cap fund-dividend;14.37;14.37;14.69;1-nov-2006
100716;dbs chola multi-cap fund-cumulative option;17.92;17.92;18.32;1-nov-2006
100715;dbs chola multi-cap fund-dividend option;14.29;14.29;14.61;1-nov-2006
100907;dbs chola opportunities fund-cumulative;25.68;25.68;26.26;1-nov-2006
100906;dbs chola opportunities fund-regular quarterly
dividend;16.70;16.70;17.08;1-nov-2006

deutsche mutual fund


101628;dws alpha equity fund-dividend;18.12;18.12;18.53;1-nov-2006
101629;dws alpha equity fund-growth;49.14;49.14;50.25;1-nov-2006
102203;dws investment opportunity-dws investment opportunity fund-dws investment
opportunity fund- dividend option;17.19;17.19;17.58;1-nov-2006
102204;dws investment opportunity-dws investment opportunity fund-dws investment
opportunity fund- growth option;22.52;22.52;23.03;1-nov-2006

dsp merrill lynch mutual fund


100080;dsp merrill lynch equity fund;42.69;42.69;43.65;1-nov-2006
102435;dsp merrill lynch india t.i.g.e.r. fund-dividend;21.39;21.39;21.87;1-nov-
2006
102434;dsp merrill lynch india t.i.g.e.r. fund-growth;30.20;30.20;30.88;1-nov-2006
103820;dsp merrill lynch opportunities fund-dividend;28.89;28.89;29.54;1-nov-2006
103819;dsp merrill lynch opportunities fund-growth;52.37;52.37;53.55;1-nov-2006
100090;dsp merrill lynch technology.com fund;19.95;19.95;20.4;1-nov-2006
101636;dsp merrill lynch top 100 equity fund-dividend;21.21;21.21;21.69;1-nov-2006
101635;dsp merrill lynch top 100 equity fund-growth;53.27;53.27;54.47;1-nov-2006

escorts mutual fund


100630;escorts growth plan-dividend option;15.3862;15.3862;15.7324;1-nov-2006
100631;escorts growth plan-growth option;52.2501;52.2501;53.4257;1-nov-2006
101066;escorts opportunities fund-dividend;13.8213;13.8213;13.8213;1-nov-2006
101065;escorts opportunities fund-growth;24.3482;24.3482;24.3482;1-nov-2006

fidelity mutual fund


102962;fidelity equity fund-dividend option;17.062;16.891;17.446;1-nov-2006
102961;fidelity equity fund-growth option;19.335;19.142;19.770;1-nov-2006
103768;fidelity india special situations fund-dividend
option;11.929;11.810;12.197;1-nov-2006
103767;fidelity india special situations fund-growth
option;11.929;11.810;12.197;1-nov-2006

franklin templeton mutual fund


102270;franklin fmcg fund - dividend;26.32;26.32;26.91;1-nov-2006
100523;franklin fmcg fund - growth;36.24;36.24;37.06;1-nov-2006
100470;franklin india bluechip fund-dividend;41.46;41.46;42.39;1-nov-2006
100471;franklin india bluechip fund-growth;125.01;125.01;127.82;1-nov-2006
102884;franklin india flexi cap fund-dividend plan;17.81;17.81;18.21;1-nov-2006
102883;franklin india flexi cap fund-growth plan;20.08;20.08;20.53;1-nov-2006
100483;franklin india growth fund;27.76;27.76;28.38;1-nov-2006
102320;franklin india index fund - bse plan;36.3032;35.9402;36.3032;1-nov-2006
100484;franklin india index fund- nifty plan;29.9091;29.6100;29.9091;1-nov-2006
100524;franklin india opportunities fund-dividend;17.43;17.43;17.82;1-nov-2006
103151;franklin india opportunities fund - growth;24.51;24.51;25.06;1-nov-2006
100472;franklin india prima fund-dividend;54.85;53.75;56.08;1-nov-2006
100473;franklin india prima fund-growth;196.98;193.04;201.41;1-nov-2006
100519;franklin india prima plus-dividend;37.70;37.70;38.55;1-nov-2006
100520;franklin india prima plus-growth;128.59;128.59;131.48;1-nov-2006
100521;franklin infotech fund-dividend;24.55;24.55;25.10;1-nov-2006
100522;franklin infotech fund-growth;49.74;49.74;50.86;1-nov-2006
102271;franklin pharma fund - dividend;20.28;20.28;20.74;1-nov-2006
100902;franklin pharma fund - growth;27.98;27.98;28.61;1-nov-2006
103679;templeton india equity income fund-dividend plan;11.13;11.07;11.38;1-nov-
2006
103678;templeton india equity income fund-growth plan;11.13;11.07;11.38;1-nov-2006
100497;templeton india growth fund-dividend plan;42.13;42.13;43.08;1-nov-2006
100496;templeton india growth fund-growth plan;64.44;64.44;65.89;1-nov-2006

hdfc mutual fund


101765;hdfc capital builder fund-dividend plan;24.407;24.407;24.956;1-nov-2006
101764;hdfc capital builder fund-growth plan;60.67;60.67;62.035;1-nov-2006
102761;hdfc core & satellite fund-hdfc core & satellite fund -
dividend;22.329;22.329;22.831;1-nov-2006
102760;hdfc core & satellite fund-hdfc core & satellite fund -
growth;25.223;25.223;25.791;1-nov-2006
101763;hdfc equity fund-dividend plan;41.851;41.851;42.793;1-nov-2006
101762;hdfc equity fund-growth plan;140.191;140.191;143.345;1-nov-2006
100120;hdfc growth fund-dividend plan;28.128;28.128;28.761;1-nov-2006
100119;hdfc growth fund-growth plan;45.723;45.723;46.752;1-nov-2006
101525;hdfc index fund-nifty plan(fv rs 10.326);36.7823;36.4145;36.7823;1-nov-2006
101282;hdfc index fund-sensex plus( fv-rs32.161);138.3938;137.0099;138.3938;1-nov-
2006
101281;hdfc index fundsensex plan( fv rs 32.161);121.4896;120.2747;121.4896;1-nov-
2006
102947;hdfc premier multi-cap fund-dividend;15.739;15.739;16.093;1-nov-2006
102948;hdfc premier multi-cap fund-growth;17.704;17.704;18.102;1-nov-2006
102001;hdfc top 200 fund-dividend plan;39.543;39.543;40.433;1-nov-2006
102000;hdfc top 200 fund-growth plan;105.66;105.66;108.037;1-nov-2006

hsbc mutual fund


103406;hsbc advantage india fund-dividend;11.8543;11.7950;12.1210;1-nov-2006
103407;hsbc advantage india fund-growth;11.8543;11.7950;12.1210;1-nov-2006
101593;hsbc equity fund-dividend;29.7634;29.6146;30.4331;1-nov-2006
101594;hsbc equity fund-growth;66.8072;66.4732;68.3104;1-nov-2006
102251;hsbc india opportunities fund-dividend;17.3504;17.2636;17.7408;1-nov-2006
102252;hsbc india opportunities fund-growth;26.0532;25.9229;26.6394;1-nov-2006
103007;hsbc midcap equity fund-dividend;14.4371;14.3649;14.7619;1-nov-2006
103006;hsbc midcap equity fund-growth;17.6765;17.5881;18.0742;1-nov-2006

ing vysya mutual fund


103651;ing vysya a.t.m.(against the market) fund-bonus
option;10.3900;10.3900;10.6200;1-nov-2006
103650;ing vysya a.t.m.(against the market) fund-dividend
option;10.3900;10.3900;10.6200;1-nov-2006
103649;ing vysya a.t.m.(against the market) fund-growth
option;10.3900;10.3900;10.6200;1-nov-2006
103163;ing vysya dividend yield fund-bonus option;11.2600;11.2600;11.5100;1-nov-
2006
103162;ing vysya dividend yield fund-dividend option;10.2300;10.2300;10.4600;1-
nov-2006
103161;ing vysya dividend yield fund-growth option;11.2600;11.2600;11.5100;1-nov-
2006
102718;ing vysya domestic opportunities fund-bonus
option;25.5900;25.5900;26.1700;1-nov-2006
102717;ing vysya domestic opportunities fund-dividend
option;14.0400;14.0400;14.3600;1-nov-2006
102716;ing vysya domestic opportunities fund-growth
option;25.5900;25.5900;26.1700;1-nov-2006
101172;ing vysya equity fund-dividend option;15.0000;15.0000;15.3400;1-nov-2006
101173;ing vysya equity fund-growth option;31.4600;31.4600;32.1700;1-nov-2006

103369;ing vysya l.i.o.n. fund-bonus option;12.3000;12.3000;12.5800;1-nov-2006


103368;ing vysya l.i.o.n. fund-dividend option;12.3000;12.3000;12.5800;1-nov-2006
103367;ing vysya l.i.o.n. fund-growth option;12.3000;12.3000;12.5800;1-nov-2006
102933;ing vysya midcap fund-bonus option;16.7400;16.7400;17.1200;1-nov-2006
102932;ing vysya midcap fund-dividend option;15.3100;15.3100;15.6500;1-nov-2006
102931;ing vysya midcap fund-growth option;16.7400;16.7400;17.1200;1-nov-2006
102245;ing vysya nifty plus fund-bonus option;19.3800;19.3800;19.8200;1-nov-2006
102243;ing vysya nifty plus fund-dividend option;12.9000;12.9000;13.1900;1-nov-
2006
102242;ing vysya nifty plus fund-growth option;19.3800;19.3800;19.8200;1-nov-2006
100188;ing vysya select stocks fund-dividend option;13.8500;13.8500;14.1600;1-nov-
2006
100189;ing vysya select stocks fund-growth option;26.1800;26.1800;26.7700;1-nov-
2006

jm financial mutual fund


103781;jm arbitrage advantage fund-dividend;10.2066;10.1045;10.2066;1-nov-2006
103780;jm arbitrage advantage fund-growth;10.2067;10.1046;10.2067;1-nov-2006
102478;jm auto sector fund-dividend;16.77;16.77;17.15;1-nov-2006
102479;jm auto sector fund-growth;21.89;21.89;22.38;1-nov-2006
100254;jm basic fund;17.58;17.58;17.98;1-nov-2006
103109;jm emerging leaders fund-dividend;10.55;10.55;10.79;1-nov-2006
103108;jm emerging leaders fund-growth;10.52;10.52;10.76;1-nov-2006
100218;jm equity fund-dividend;16.51;16.51;16.88;1-nov-2006
100219;jm equity fund-growth;36.73;36.73;37.56;1-nov-2006
102480;jm healthcare sector fund-dividend;12.68;12.68;12.97;1-nov-2006
102481;jm healthcare sector fund-growth;15.99;15.99;16.35;1-nov-2006
103752;jm hifi fund-dividend;10.47;10.47;10.71;1-nov-2006
103751;jm hifi fund-growth;10.47;10.47;10.71;1-nov-2006

kotak mahindra mutual fund


102874;kotak-mid-cap-dividend;13.972;13.972;14.286;1-nov-2006
102875;kotak-mid-cap-growth;18.212;18.212;18.622;1-nov-2006
101733;kotak 30-(dividend);36.278;36.278;37.094;1-nov-2006
101734;kotak 30-(growth);63.912;63.912;65.35;1-nov-2006
103039;kotak contra scheme---dividend;13.548;13.548;13.853;1-nov-2006
103040;kotak contra scheme---growth;13.548;13.548;13.853;1-nov-2006
102182;kotak global-india-dividend;19.463;19.463;19.901;1-nov-2006
102183;kotak global-india-growth;24.339;24.339;24.887;1-nov-2006
103473;kotak lifestyle fund---dividend;10.452;10.452;10.687;1-nov-2006
103474;kotak lifestyle fund---growth;10.452;10.452;10.687;1-nov-2006
100290;kotak mnc;25.794;25.794;26.374;1-nov-2006
103233;kotak opportunities---dividend;17.128;17.128;17.513;1-nov-2006
103234;kotak opportunities---growth;26.646;26.646;27.246;1-nov-2006
100289;kotak tech;9.472;9.472;9.685;1-nov-2006

lic mutual fund


100312;lic mf equity fund-dividend;10.9554;10.9554;10.9554;1-nov-2006
100313;lic mf equity fund-growth;19.8021;19.8021;19.8021;1-nov-2006
100332;licmf growth fund;10.3961;10.3961;10.3961;1-nov-2006
101200;licmf index fund-nifty-dividend;14.9557;14.9557;15.1053;1-nov-2006
101201;licmf index fund-nifty-growth;23.4737;23.4737;23.7084;1-nov-2006
101202;licmf index fund-sensex advantage-dividend;13.8699;13.8699;14.0086;1-nov-
2006
101203;licmf index fund-sensex advantage-growth;27.2632;27.2632;27.5358;1-nov-2006
101198;licmf index fund-sensex-dividend;17.7513;17.7513;17.9288;1-nov-2006
101199;licmf index fund-sensex-growth;27.9366;27.9366;28.2160;1-nov-2006
102900;licmf opportunities fund-dividend;11.0952;11.0952;11.0952;1-nov-2006
102901;licmf opportunities fund-growth;15.9906;15.9906;15.9906;1-nov-2006

principal mutual fund


103453;principal infrastructure and services industries fund-
dividend;11.11;11.11;11.36;1-nov-2006
103454;principal infrastructure and services industries fund-
growth;11.11;11.11;11.36;1-nov-2006
102808;principal dividend yield fund-dividend plan;13.06;13.06;13.35;1-nov-2006
102807;principal dividend yield fund-growth plan;16.03;16.03;16.39;1-nov-2006
100154;principal equity fund-dividend;23.53;23.53;24.06;4-aug-2006
100155;principal equity fund-growth;29.77;29.77;30.44;4-aug-2006
102896;principal focussed advantage fund-dividend;15.86;15.86;16.22;1-nov-2006
102897;principal focussed advantage fund-growth;15.87;15.87;16.23;1-nov-2006
102336;principal global opportunities fund-annual
dividend;13.3389;13.2055;13.6724;31-oct-2006
102337;principal global opportunities fund-growth;13.3389;13.2055;13.6724;31-oct-
2006
100966;principal growth fund-dividend plan;23.26;22.79;23.78;1-nov-2006
100967;principal growth fund-growth plan;48.06;47.1;49.14;1-nov-2006
100152;principal index fund-dividend;21.0944;21.09;21.31;1-nov-2006
100153;principal index fund-growth;27.2715;27.2715;27.5442;1-nov-2006
103058;principal junior cap fund-dividend option;13.66;13.66;13.97;1-nov-2006
103059;principal junior cap fund-growth option;13.67;13.67;13.98;1-nov-2006
103334;principal large cap fund-dividend;16.21;16.21;16.57;1-nov-2006
103335;principal large cap fund-growth;16.2;16.2;16.56;1-nov-2006
102427;principal resurgent india equity fund-dividend;17.76;17.76;18.16;1-nov-2006
102426;principal resurgent india equity fund-growth;68.12;68.12;69.65;1-nov-2006

prudential icici mutual fund


103313;pru icici services industries fund-dividend plan; 13.21 ; 13.21 ; 13.51 ;1-
nov-2006
103312;pru icici services industries fund-growth plan; 13.21 ; 13.21 ; 13.51 ;1-
nov-2006
103028;prudential icici blended plan a-dividend option; 10.5318 ; 10.4791 ;
10.5318 ;1-nov-2006
103027;prudential icici blended plan a-growth option; 11.0560 ; 11.0007 ; 11.0560
;1-nov-2006
103062;prudential icici blended plan b-dividend option; 10.2799 ; 10.2285 ;
10.2799 ;1-nov-2006
103061;prudential icici blended plan b-growth option; 10.9347 ; 10.8801 ; 10.9347
;1-nov-2006
103064;prudential icici blended plan b-institutional dividend option; 10.3228 ;
10.2712 ; 10.3228 ;1-nov-2006
103063;prudential icici blended plan b-institutional growth option;0;0;0;3-aug-
2006
102596;prudential icici discovery fund - institutional option - i - growth; 11.43
; 11.43 ; 11.68 ;1-nov-2006

102595;prudential icici discovery fund-dividend option; 20.66 ; 20.66 ; 21.12 ;1-


nov-2006
102594;prudential icici discovery fund-growth option; 27.00 ; 27.00 ; 27.60 ;1-
nov-2006
101143;prudential icici dynamic plan-dividend option; 20.4634 ; 20.4634 ; 20.9238
;1-nov-2006
101144;prudential icici dynamic plan-growth option; 59.8184 ; 59.8184 ; 61.1643
;1-nov-2006
102530;prudential icici emerging star fund - institutional option - i; 10.00 ;
10.00 ; 10.22 ;1-nov-2006
102529;prudential icici emerging star fund-dividend; 20.81 ; 20.81 ; 21.27 ;1-nov-
2006
102528;prudential icici emerging star fund-growth; 25.60 ; 25.60 ; 26.18 ;1-nov-
2006
100351;prudential icici fmcg plan-dividend option; 32.67 ; 32.67 ; 33.40 ;1-nov-
2006
100352;prudential icici fmcg plan-growth option; 38.96 ; 38.96 ; 39.83 ;1-nov-2006
100350;prudential icici growth plan- institutional option - i - growth; 11.76 ;
11.76 ; 12.02 ;1-nov-2006
100348;prudential icici growth plan-dividend option; 24.18 ; 24.18 ; 24.73 ;1-nov-
2006
100349;prudential icici growth plan-growth option; 88.90 ; 88.90 ; 90.90 ;1-nov-
2006
101349;prudential icici index fund; 33.4979 ; 33.3304 ; 33.4979 ;1-nov-2006
103150;prudential icici infrastructure fund-dividend; 14.90 ; 14.90 ; 15.24 ;1-
nov-2006
103149;prudential icici infrastructure fund-growth; 17.19 ; 17.19 ; 17.58 ;1-nov-
2006
101706;prudential icici power plan - dividend; 20.84 ; 20.84 ; 21.31 ;1-nov-2006
101228;prudential icici power plan - growth; 76.94 ; 76.94 ; 78.67 ;1-nov-2006
102957;prudential icici power plan - institutional option - i; 20.45 ; 20.45 ;
20.91 ;1-nov-2006
100363;prudential icici technology fund; 12.68 ; 12.68 ; 12.97 ;1-nov-2006
101705;sensex prudential icici exchange traded fund; 133.6931 ; 133.6931 ;
133.6931 ;1-nov-2006

quantum mutual fund


103491;quantum long-term equity fund-dividend plan;11.52;11.06;11.52;1-nov-2006
103490;quantum long-term equity fund-growth plan;11.52;11.06;11.52;1-nov-2006

reliance mutual fund


101864;reliance banking fund-dividend plan-dividend option;18.78;18.78;19.2;1-nov-
2006
101863;reliance banking fund-growth plan-bonus option;36.3;36.3;37.12;1-nov-2006
101862;reliance banking fund-growth plan-growth option;36.3;36.3;37.12;1-nov-2006
101264;reliance diversified power sector fund-dividend plan-
dividend;26.4843;26.4843;27.0802;1-nov-2006
101263;reliance diversified power sector fund-growth-
bonus;32.0044;32.0044;32.7245;1-nov-2006
101262;reliance diversified power sector fund-growth-
growth;32.0044;32.0044;32.7245;1-nov-2006
103749;reliance equity fund-dividend plan-dividend option;11.1;11.1;11.35;1-nov-
2006
103748;reliance equity fund-growth plan-bonus option;11.1;11.1;11.35;1-nov-2006
103747;reliance equity fund-growth plan-growth option;11.1;11.1;11.35;1-nov-2006
101163;reliance equity opportunities fund-dividend plan-dividend
option;18.7353;18.7353;19.1568;1-nov-2006
101162;reliance equity opportunities fund-growth plan-bonus
option;19.9684;19.9684;20.4177;1-nov-2006
101161;reliance equity opportunities fund-growth plan-growth
option;19.9684;19.9684;20.4177;1-nov-2006
100375;reliance growth fund-dividend plan-(d);53.48;53.48;54.68;1-nov-2006
100376;reliance growth fund-growth plan-bonus option;41.49;41.49;42.42;1-nov-2006
100377;reliance growth fund-growth plan-growth option;250.23;250.23;255.86;1-nov-
2006
102909;reliance index fund-nifty plan-bonus option;15.362;15.362;15.5156;1-nov-
2006
102910;reliance index fund-nifty plan-dividend option;15.362;15.362;15.5156;1-nov-
2006
102908;reliance index fund-nifty plan-growth option;15.362;15.362;15.5156;1-nov-
2006
102906;reliance index fund-sensex plan-bonus option;19.2953;19.2953;19.4883;1-nov-
2006
102907;reliance index fund-sensex plan-dividend option;19.2953;19.2953;19.4883;1-
nov-2006
102905;reliance index fund-sensex plan-growth option;19.2953;19.2953;19.4883;1-
nov-2006
102753;reliance media & entertainment fund-dividend plan-dividend
option;18.678;18.678;19.0983;1-nov-2006
102752;reliance media & entertainment fund-growth plan-bonus
option;19.9535;19.9535;20.4025;1-nov-2006
102751;reliance media & entertainment fund-growth plan-growth
option;19.9535;19.9535;20.4025;1-nov-2006
102848;reliance nri equity fund-dividend plan-dividend
option;22.6403;22.6403;23.1497;1-nov-2006
102847;reliance nri equity fund-growth plan-bonus
option;23.8857;23.8857;24.4231;1-nov-2006
102846;reliance nri equity fund-growth plan-growth
option;23.8857;23.8857;24.4231;1-nov-2006
102433;reliance pharma fund-dividend-dividend;18.7521;18.7521;19.174;1-nov-2006
102432;reliance pharma fund-growth plan-bonus;19.9287;19.9287;20.3771;1-nov-2006
102431;reliance pharma fund-growth plan-growth;19.9287;19.9287;20.3771;1-nov-2006
103083;reliance regular savings fund-debt plan-growth
option;10.432;10.432;10.432;1-nov-2006
103085;reliance regular savings fund-equity plan-growth
option;14.991;14.991;14.991;1-nov-2006
103087;reliance regular savings fund-hybrid plan-growth
option;11.3051;11.3051;11.3051;1-nov-2006
100378;reliance vision fund-dividend plan-d;51.46;51.46;52.62;1-nov-2006
100379;reliance vision fund-growth plan-bonus option;28.94;28.94;29.59;1-nov-2006
100380;reliance vision fund-growth plan-growth option;172.67;172.67;176.56;1-nov-
2006

sahara mutual fund


101529;sahara growth fund-dividend;23.9478;23.9478;24.4866;1-nov-2006
101528;sahara growth fund-growth;47.3324;47.3324;48.3974;1-nov-2006
103730;sahara infrastructure fund ---fixed pricing option-dividend
option;10.3638;10.3638;10.597;1-nov-2006
103731;sahara infrastructure fund ---fixed pricing option-growth
option;10.3638;10.3638;10.597;1-nov-2006
103732;sahara infrastructure fund ---variable pricing option-dividend
option;10.3978;10.3978;10.6318;1-nov-2006
103733;sahara infrastructure fund ---variable pricing option-growth
option;10.3978;10.3978;10.6318;1-nov-2006
100798;sahara midcap fund-auto payout;16.8061;16.8061;17.1842;1-nov-2006
100799;sahara midcap fund-bonus;16.8061;16.8061;17.1842;1-nov-2006

100797;sahara midcap fund-dividend plan;15.0027;15.0027;15.3403;1-nov-2006


100796;sahara midcap fund-growth plan;16.8061;16.8061;17.1842;1-nov-2006
103119;sahara wealth plus fund-fixed pricing option-dividend
option;13.7352;13.7352;14.0442;1-nov-2006
103120;sahara wealth plus fund-fixed pricing option-growth
option;13.7352;13.7352;14.0442;1-nov-2006
103121;sahara wealth plus fund-variable pricing option-dividend
option;13.8265;13.8265;14.1376;1-nov-2006
103122;sahara wealth plus fund-variable pricing option-growth
option;13.8265;13.8265;14.1376;1-nov-2006

sbi mutual fund


101295;magnum equity fund;25.64;25.38;26.22;1-nov-2006
103616;sbi blue chip fund-dividend;11.38;11.27;11.64;1-nov-2006
103504;sbi blue chip fund-growth;11.38;11.27;11.64;1-nov-2006
101169;sbi magnum children benefit plan- holding held for <= 1
year;16.7312;16.2293;16.9822;1-nov-2006
103146;sbi magnum comma fund - dividend;15.70;15.54;16.05;1-nov-2006
103145;sbi magnum comma fund - growth;15.69;15.53;16.04;1-nov-2006
102273;sbi magnum index fund - dividend;17.1506;17.1506;17.3650;1-nov-2006
102272;sbi magnum index fund - growth;34.6780;34.6780;35.1115;1-nov-2006
102942;sbi magnum midcap fund - dividend;17.16;16.99;17.55;1-nov-2006
102941;sbi magnum midcap fund - growth;19.97;19.77;20.42;1-nov-2006
103216;sbi magnum multicap fund - dividend option;14.91;14.76;15.25;1-nov-2006
103215;sbi magnum multicap fund - growth option;14.91;14.76;15.25;1-nov-2006
101530;sbi magnum multiplier plus scheme - 93 -dividend;44.23;43.79;45.23;1-nov-
2006
103024;sbi magnum multiplier plus scheme - 93 -growth;48.51;48.02;49.60;1-nov-2006
102208;sbi magnum nri flexiasset plan-dividend;23.0586;22.8280;23.5774;1-nov-2006
102207;sbi magnum nri flexiasset plan-growth;23.0618;22.8312;23.5807;1-nov-2006
103114;sbi mglf 94 - dividend;30.79;30.48;31.48;1-nov-2006
103034;sbi mglf 94 - growth;39.41;39.02;40.30;1-nov-2006
100915;sbi msfu contra-dividend;26.72;26.45;27.32;1-nov-2006
102414;sbi msfu contra-growth;35.47;35.12;36.27;1-nov-2006
102765;sbi msfu emerging businesses fund - dividend;17.04;16.87;17.42;1-nov-2006
102756;sbi msfu emerging businesses fund - growth;27.74;27.46;28.36;1-nov-2006
100645;sbi msfu fmcg;14.87;14.72;15.20;1-nov-2006
100643;sbi msfu it;23.61;23.37;24.14;1-nov-2006
100644;sbi msfu pharma - dividend;28.69;28.40;29.34;1-nov-2006
102823;sbi msfu pharma - growth;34.87;34.52;35.65;1-nov-2006

standard chartered mutual fund


103054;standard chartered classic equity fund-plan-
dividend;12.9775;12.9775;13.2695;1-nov-2006
103053;standard chartered classic equity fund-plan-
growth;14.6678;14.6678;14.9978;1-nov-2006
103488;standard chartered imperial equity fund-plan-
dividend;11.4947;11.4947;11.7533;1-nov-2006
103487;standard chartered imperial equity fund-plan-
growth;11.4947;11.4947;11.7533;1-nov-2006
103153;standard chartered premier equity fund-plan-
dividend;11.8513;11.8513;12.118;1-nov-2006
103152;standard chartered premier equity fund-plan-
growth;11.8513;11.8513;12.118;1-nov-2006

sundaram bnp paribas mutual fund


103210;sundaram bnp paribas capex opportunities fund-
dividend;15.0318;15.0318;15.3700;1-nov-2006
103211;sundaram bnp paribas capex opportunities fund-
growth;16.0940;16.0940;16.4561;1-nov-2006
100612;sundaram bnp paribas growth fund-dividend;14.0133;14.0133;14.3286;1-nov-
2006
100613;sundaram bnp paribas growth fund-growth;64.1267;64.1267;65.5696;1-nov-2006
102483;sundaram bnp paribas india leadership fund-
dividend;13.7783;13.7783;14.0883;1-nov-2006
102482;sundaram bnp paribas india leadership fund-
growth;28.2446;28.2446;28.8801;1-nov-2006
103743;sundaram bnp paribas rural india fund dividend;11.3769;11.3769;11.6329;1-
nov-2006
102142;sundaram bnp paribas rural india fund growth;11.3742;11.3742;11.6301;1-nov-
2006
100794;sundaram bnp paribas s.m.i.l.e.fund-dividend;15.5141;15.5141;15.8632;1-
nov-2006
100795;sundaram bnp paribas s.m.i.l.e.fund-growth;17.9665;17.9665;18.3707;1-nov-
2006
101536;sundaram bnp paribas select focus-dividend;15.7319;15.7319;16.0859;1-nov-
2006
101537;sundaram bnp paribas select focus-growth;56.8194;56.8194;58.0978;1-nov-2006
101538;sundaram bnp paribas select midcap-dividend;17.2991;17.2991;17.6883;1-nov-
2006
101539;sundaram bnp paribas select midcap-growth;87.1290;87.1290;89.0894;1-nov-
2006

tata mutual fund


103337;tata contra fund - dividend;11.6447;11.6447;11.9067;1-nov-2006
103336;tata contra fund - growth;11.6484;11.6484;11.9105;1-nov-2006
102858;tata dividend yield fund ( div);14.0238;14.0238;14.3393;1-nov-2006
102859;tata dividend yield fund (app);17.0714;17.0714;17.4555;1-nov-2006
101823;tata equity opportunities fund - a dividend;19.0559;19.0559;19.4847;1-nov-
2006
101824;tata equity opportunities fund - b growth;54.4737;54.4737;55.6994;1-nov-
2006
102428;tata equity p/e fund (dividend);23.2218;23.2218;23.7443;1-nov-2006
101672;tata equity p/e fund (growth option);24.2567;24.2567;24.8025;1-nov-2006
102329;tata growth fund - bonus (growth);25.1900;24.6862;25.7568;1-nov-2006
102326;tata growth fund - dividend;25.0446;24.5437;25.6081;1-nov-2006
102328;tata growth fund - growth;28.9466;28.3677;29.5979;1-nov-2006
101659;tata index fund - nifty a;23.3871;23.3871;23.6210;1-nov-2006
101745;tata index fund - nifty b;0.0000;0.0000;0.0000;1-nov-2006
101746;tata index fund - sensex a;33.1829;33.1829;33.5147;1-nov-2006
101747;tata index fund - sensex b;0.0000;0.0000;0.0000;4-jan-2006
101852;tata infrastructure fund - dividend;21.3189;21.3189;21.7986;1-nov-2006
101766;tata infrastructure fund - growth;22.1552;22.1552;22.6537;1-nov-2006
101871;tata life science & technology fund - dividend
option;38.1322;38.1322;38.9902;1-nov-2006
101000;tata life sciences & technology fund - growth;44.4008;44.4008;45.3998;1-
nov-2006
103072;tata mid cap fund - dividend;13.4440;13.4440;13.7465;1-nov-2006
103071;tata mid cap fund - growth;13.4455;13.4455;13.7480;1-nov-2006
102036;tata pure equity fund - dividend option;27.5058;27.5058;28.1247;1-nov-2006

100475;tata pure equity fund - growth;58.1035;58.1035;59.4108;1-nov-2006


100415;tata select equity fund;45.0490;45.0490;46.0626;1-nov-2006
101833;tata select equity fund - dividend;41.1029;41.1029;42.0277;1-nov-2006
102930;tata service industries fund - appreciation;17.4377;17.4377;17.8300;1-nov-
2006
102929;tata service industries fund - dividend;17.4978;17.4978;17.8915;1-nov-2006

taurus mutual fund


101209;bonanza exclusive growth scheme;33.56;33.56;34.32;1-nov-2006
100477;taurus discovery fund;14.86;14.86;15.19;1-nov-2006
100476;taurus star share;37.23;37.23;38.07;1-nov-2006

uti mutual fund


102518;uti - dynamic equity fund-dividend;17.52;17.52;17.91;1-nov-2006
102517;uti - dynamic equity fund-growth;32.06;32.06;32.78;1-nov-2006
100669;uti - equity fund-growth option;31.75;31.75;32.46;1-nov-2006
100668;uti - equity fund-income option;29.35;29.35;30.01;1-nov-2006
102491;uti - growth & value fund-annual dividend;21.93;21.93;22.42;1-nov-2006
102494;uti - growth & value fund-growth;54.29;54.29;55.51;1-nov-2006
102495;uti - growth & value fund-semi annual dividend;15.32;15.32;15.66;1-nov-2006
100712;uti - index select fund-growth option;33.24;33.24;33.99;1-nov-2006
100711;uti - index select fund-income option;22.42;22.42;22.92;1-nov-2006
102496;uti - india advantage equity fund-dividend;7.56;7.56;7.73;1-nov-2006
102497;uti - india advantage equity fund-growth;7.56;7.56;7.73;1-nov-2006
100664;uti - master growth 93-growth option;42.45;42.45;43.41;1-nov-2006
100663;uti - master growth 93-income option;39.14;39.14;40.02;1-nov-2006
100749;uti - master index fund-growth option;40.927;40.927;40.927;1-nov-2006
100748;uti - master index fund-income option;40.927;40.927;40.927;1-nov-2006
100656;uti - master plus unit scheme-growth option;61.97;61.97;63.36;1-nov-2006
100657;uti - master plus unit scheme-income option;55.15;55.15;56.39;1-nov-2006
100651;uti - master share-growth option;32.94;32.94;33.68;1-nov-2006
100650;uti - master share-income option;29.47;29.47;30.13;1-nov-2006
100751;uti - master value fund-growth option;28.88;28.88;29.53;1-nov-2006
100750;uti - master value fund-income option;18.83;18.83;19.25;1-nov-2006
100740;uti - mnc fund (ugs 10000)-growth option;34.17;34.17;34.94;1-nov-2006
100739;uti - mnc fund (ugs 10000)-income option;28.38;28.38;29.02;1-nov-2006
100822;uti - nifty index fund-growth option;23.9972;23.9972;23.9972;1-nov-2006
100823;uti - nifty index fund-income option;23.9972;23.9972;23.9972;1-nov-2006
102401;uti banking sector fund-growth option;18.99;18.99;19.42;1-nov-2006
102402;uti banking sector fund-income option;15.98;15.98;16.34;1-nov-2006
103534;uti contra fund-growth-growth option;9.68;9.68;9.9;1-nov-2006
103532;uti contra fund-income-dividend option;9.68;9.68;9.9;1-nov-2006
100801;uti growth sector funds-uti - gsf - brand value-growth
option;26.26;26.26;26.85;1-nov-2006
100800;uti growth sector funds-uti - gsf - brand value-income
option;20.1;20.1;20.55;1-nov-2006
100805;uti growth sector funds-uti - gsf - petro-growth option;26.2;26.2;26.79;1-
nov-2006
100804;uti growth sector funds-uti - gsf - petro-income
option;20.43;20.43;20.89;1-nov-2006
100807;uti growth sector funds-uti - gsf - pharma-growth option;21.3;21.3;21.78;1-
nov-2006
100806;uti growth sector funds-uti - gsf - pharma-income
option;18.79;18.79;19.21;1-nov-2006
100809;uti growth sector funds-uti - gsf - service-growth
option;44.8;44.8;45.81;1-nov-2006
100808;uti growth sector funds-uti - gsf - service-income
option;33.11;33.11;33.85;1-nov-2006
100802;uti growth sector funds-uti - gsf - software-growth
option;24.09;24.09;24.63;1-nov-2006
100803;uti growth sector funds-uti - gsf - software-income
option;22.09;22.09;22.59;1-nov-2006
102395;uti infrastructure fund-growth option;25.53;25.53;26.1;1-nov-2006
102396;uti infrastructure fund-income option;18.66;18.66;19.08;1-nov-2006
100382;uti large cap fund-growth option;19.4;19.4;19.84;1-nov-2006
100381;uti large cap fund-income option;16.91;16.91;17.29;1-nov-2006
103455;uti leadership equity fund-dividend-dividend option;11.48;11.48;11.74;1-
nov-2006
103457;uti leadership equity fund-growth-growth option;11.48;11.48;11.74;1-nov-
2006
102394;uti mid cap fund-growth option;21.1;21.1;21.57;1-nov-2006
102393;uti mid cap fund-income option;17.86;17.86;18.26;1-nov-2006
103097;uti opportunities fund-dividend option;12.37;12.37;12.65;1-nov-2006
103098;uti opportunities fund-growth option;14.07;14.07;14.39;1-nov-2006
102404;uti psu fund-growth option;16.06;16.06;16.42;1-nov-2006
102403;uti psu fund-income option;14.57;14.57;14.9;1-nov-2006
104074;uti spread fund - dividend option;10.2355;10.2355;10.2355;1-nov-2006
104075;uti spread fund - growth option;10.2354;10.2354;10.2354;1-nov-2006
101898;uti sunder;382.8427;382.8427;382.8427;1-nov-2006
102398;uti-auto sector fund-growth option;19.1;19.1;19.53;1-nov-2006
102397;uti-auto sector fund-income option;15.29;15.29;15.63;1-nov-2006
103026;uti-dividend yield fund.-growth;15.5;15.5;15.85;1-nov-2006
103025;uti-dividend yield fund.-income;12.9;12.9;13.19;1-nov-2006

open ended schemes ( balanced )

benchmark mutual fund


103237;benchmark derivative fund - dividend plan;1012.5168;n.a.;n.a.;1-nov-2006
100676;benchmark derivative fund - growth plan;1123.2600;n.a.;n.a.;1-nov-2006

birla sun life mutual fund


100035;birla balance-plan a (dividend);18.21;18.21;18.62;1-nov-2006
100036;birla balance-plan b (growth);27.39;27.39;28.01;1-nov-2006
103154;birla sun life 95 fund-plan a (dividend);80.00;80.00;81.80;1-nov-2006
103155;birla sun life 95 fund-plan b(growth);173.16;173.16;177.06;1-nov-2006
bob mutual fund
101913;bob balance fund-dividend plan;22.96;22.96;23.30;1-nov-2006
101912;bob balance fund-growth plan;22.90;22.90;23.24;1-nov-2006

canbank mutual fund


100587;canbalance-growth plan;27.14;27.14;27.75;1-nov-2006
100586;canbalance-income plan;16.89;16.89;17.27;1-nov-2006
103271;canbalance-ii;37.21;37.21;38.05;1-nov-2006

dsp merrill lynch mutual fund


100082;dsp merrill lynch balanced fund-dividend;21.31;21.04;21.52;1-nov-2006

100081;dsp merrill lynch balanced fund-growth;36.73;36.27;37.10;1-nov-2006

escorts mutual fund


101069;escorts balanced fund-dividend option;14.5757;14.5757;14.9037;1-nov-2006
101070;escorts balanced fund-growth option;45.0148;45.0148;46.0276;1-nov-2006

franklin templeton mutual fund


100482;franklin india balanced fund-div;29.32;29.32;29.76;1-nov-2006
100481;franklin india balanced fund-growth;33.93;33.93;34.44;1-nov-2006
100549;ft india balanced fund-dividend plan;22.3751;22.3751;22.8785;1-nov-2006
100550;ft india balanced fund-growth plan;31.4165;31.4165;32.1234;1-nov-2006
100551;templeton india children�s asset plan-education
plan;24.6161;24.6161;24.8623;1-nov-2006
100553;templeton india children�s asset plan-gift plan -
dividend;29.3819;29.3819;29.8226;1-nov-2006
100552;templeton india children�s asset plan-gift plan -
growth;29.3819;29.3819;29.8226;1-nov-2006
100535;templeton india pension plan-dividend;18.4761;18.4761;18.6609;1-nov-2006
100536;templeton india pension plan-growth;42.2527;42.2527;42.6752;1-nov-2006

hdfc mutual fund


100121;hdfc balanced fund-dividend plan;20.399;20.399;20.858;1-nov-2006
100122;hdfc balanced fund-growth plan;31.721;31.721;32.435;1-nov-2006
100900;hdfc children gift fund-investment;24.491;24.491;25.042;1-nov-2006
100899;hdfc children gift fund-savings;14.946;14.946;15.133;1-nov-2006
101978;hdfc prudence fund-dividend plan;30.43;30.43;31.115;1-nov-2006
101977;hdfc prudence fund-growth plan;108.18;108.18;110.614;1-nov-2006

ing vysya mutual fund


100202;ing vysya balanced fund-dividend option;12.3200;12.3200;12.6000;1-nov-2006
100203;ing vysya balanced fund-growth option;17.6000;17.6000;18.0000;1-nov-2006

jm financial mutual fund


100220;jm balanced fund-dividend;16.60;16.60;16.97;1-nov-2006
100221;jm balanced fund-growth;21.84;21.84;22.33;1-nov-2006

kotak mahindra mutual fund


100286;kotak balance;22.794;22.794;23.307;1-nov-2006

lic mutual fund


100321;licmf balanced fund-dividend;11.6910;11.6910;11.8664;1-nov-2006
100323;licmf balanced fund-growth;43.4396;43.4396;44.0912;1-nov-2006
100325;licmf unit linked insurance scheme;12.1530;12.1530;12.1530;1-nov-2006

principal mutual fund


101266;principal balanced fund-dividend;17.32;17.32;17.71;1-nov-2006
101265;principal balanced fund-growth;21.51;21.51;21.99;1-nov-2006

prudential icici mutual fund


100355;prudential icici balanced plan-dividend; 17.29 ; 17.29 ; 17.68 ;1-nov-2006
100356;prudential icici balanced plan-growth option; 33.16 ; 33.16 ; 33.91 ;1-nov-
2006
102330;prudential icici income multiplier fund-cumulative option; 14.0030 ;
13.8630 ; 14.0030 ;1-nov-2006
102331;prudential icici income multiplier fund-dividend option; 12.3112 ; 12.1880
; 12.3112 ;1-nov-2006

sbi mutual fund


101551;sbi magnum balanced fund - dividend;24.45;24.21;25.00;1-nov-2006
102885;sbi magnum balanced fund - growth;33.50;33.17;34.25;1-nov-2006

sundaram bnp paribas mutual fund


100617;sundaram bnp paribas balanced fund - appreciation
option;31.2289;31.2289;31.9316;1-nov-2006
101472;sundaram bnp paribas balanced fund - dividend
option;15.3006;15.3006;15.6449;1-nov-2006

tata mutual fund


101222;tata balanced fund - dividend option;38.2990;38.2990;39.1607;1-nov-2006
100414;tata balanced fund - growth;46.6715;46.6715;47.7216;1-nov-2006
101491;tata young citizen [after 7 years];21.2613;21.0487;21.7928;1-nov-2006
101490;tata young citizen fund [>3 years upto 7 years];21.2613;20.8361;21.7928;1-
nov-2006
101489;tata young citizen fund [upto 3 years];21.2613;20.6235;21.7928;1-nov-2006

uti mutual fund


101664;uti - unit scheme 2002-growth;13.74;13.74;14.05;1-nov-2006
101663;uti - unit scheme 2002-income;13.74;13.74;14.05;1-nov-2006
101662;uti - variable investment scheme-growth option;15.8687;15.8687;16.1067;1-
nov-2006
101661;uti - variable investment scheme-income option;14.5306;14.5306;14.7486;1-
nov-2006
100684;uti � balanced fund-growth;55.19;55.19;56.43;1-nov-2006
100685;uti � balanced fund-income;21.82;21.82;22.31;1-nov-2006

open ended schemes ( liquid )

abn amro mutual fund


102645;abn amro floating rate fund-institutional plan-daily dividend
option;10.0000;10.0000;10.0000;1-nov-2006
102644;abn amro floating rate fund-institutional plan-growth
option;11.2655;11.2655;11.2655;1-nov-2006
102646;abn amro floating rate fund-institutional plan-monthly dividend
option;10.0049;10.0049;10.0049;1-nov-2006
102647;abn amro floating rate fund-institutional plan-weekly dividend
option;10.0109;10.0109;10.0109;1-nov-2006
102649;abn amro floating rate fund-institutional plus plan-daily dividend
option;10.0000;10.0000;10.0000;1-nov-2006
102648;abn amro floating rate fund-institutional plus plan-growth
option;10.6839;10.6839;10.6839;1-nov-2006
102650;abn amro floating rate fund-institutional plus plan-monthly dividend
option;0.0000;0.0000;0.0000;1-nov-2006
102651;abn amro floating rate fund-institutional plus plan-weekly dividend
option;0.0000;0.0000;0.0000;1-nov-2006
102641;abn amro floating rate fund-regular plan-growth
option;11.1574;11.1574;11.1574;1-nov-2006
102642;abn amro floating rate fund-regular plan-monthly dividend
option;10.0055;10.0055;10.0055;1-nov-2006
102643;abn amro floating rate fund-regular plan-weekly dividend
option;10.0101;10.0101;10.0101;1-nov-2006
102632;abn amro cash fund-institutional plan-daily dividend
option;10.0000;10.0000;10.0000;1-nov-2006
102631;abn amro cash fund-institutional plan-growth
option;11.2555;11.2555;11.2555;1-nov-2006
102633;abn amro cash fund-institutional plan-monthly dividend payout
option;10.0077;10.0077;10.0077;1-nov-2006
102634;abn amro cash fund-institutional plan-weekly dividend
option;10.0116;10.0116;10.0116;1-nov-2006
102636;abn amro cash fund-institutional plus plan-daily dividend
option;10.0000;10.0000;10.0000;1-nov-2006
102635;abn amro cash fund-institutional plus plan-growth
option;10.6714;10.6714;10.6714;1-nov-2006
102637;abn amro cash fund-institutional plus plan-monthly dividend
option;10.0063;10.0063;10.0063;1-nov-2006

102638;abn amro cash fund-institutional plus plan-weekly dividend


option;10.0117;10.0117;10.0117;1-nov-2006
102628;abn amro cash fund-regular plan-growth option;11.1418;11.1418;11.1418;1-
nov-2006
102630;abn amro cash fund-regular plan-monthly dividend payout
option;10.0045;10.0045;10.0045;1-nov-2006
102629;abn amro cash fund-regular plan-weekly dividend
option;10.0109;10.0109;10.0109;1-nov-2006

benchmark mutual fund


101884;liquid benchmark exchange traded scheme (liquid
bees);1000.0000;1000.0000;1000.0000;1-nov-2006

birla sun life mutual fund


100043;birla cash plus-institutional (growth);19.6820;19.6820;19.6820;1-nov-2006
100048;birla cash plus-institutional - weekly dividend;10.8169;10.8169;10.8169;1-
nov-2006
100041;birla cash plus-institutional - daily dividend;10.8023;10.8023;10.8023;1-
nov-2006
100049;birla cash plus-institutional - fortnightly
dividend;10.8311;10.8311;10.8311;1-nov-2006
100051;birla cash plus-institutional premium - weekly
dividend;10.0322;10.0322;10.0322;1-nov-2006
100052;birla cash plus-institutional premium - fortnightly
dividend;10.0541;10.0541;10.0541;1-nov-2006
100047;birla cash plus-institutional premium plan
(growth);11.5507;11.5507;11.5507;1-nov-2006
100046;birla cash plus-institutional premium plan - daily
dividend;10.0195;10.0195;10.0195;1-nov-2006
100053;birla cash plus-institutional premium plan-monthly
dividend;10.0019;10.0019;10.0019;1-nov-2006
100044;birla cash plus-retail (dividend);16.3694;16.3694;16.3694;1-nov-2006
100042;birla cash plus-retail (growth);19.5518;19.5518;19.5518;1-nov-2006
101294;birla cash plus sweep plan-dividend option;10.0506;10.0506;10.0506;1-nov-
2006
103191;birla sun life cash manager-plan a(institutional daily
dividend);10.0020;10.0020;10.0020;1-nov-2006
103192;birla sun life cash manager-plan b(growth);17.8459;17.8459;17.8459;1-nov-
2006
103195;birla sun life cash manager-plan c(institutional
growth);12.1134;12.1134;12.1134;1-nov-2006
103193;birla sun life cash manager-plan d(weekly
dividend);10.0022;10.0022;10.0022;1-nov-2006
103194;birla sun life cash manager-plan e(institutional weekly
dividend);10.0022;10.0022;10.0022;1-nov-2006

bob mutual fund


101409;bob liquid fund-daily dividend;10.0365;10.0365;10.0365;1-nov-2006
101407;bob liquid fund-dividend plan;11.1678;11.1678;11.1678;1-nov-2006
101408;bob liquid fund-growth plan;13.0220;13.0220;13.0220;1-nov-2006

canbank mutual fund


101363;canliquid-canliquid- institutional-dividend
reinvestment;10.0410;10.0410;10.0410;1-nov-2006
101362;canliquid-canliquid- institutional-growth;13.2579;13.2579;13.2579;1-nov-
2006
101361;canliquid-canliquid- institutional-weekly
dividend;10.0523;10.0523;10.0523;1-nov-2006
101364;canliquid-retail-dri;10.0410;10.0410;10.0410;1-nov-2006
101365;canliquid-retail-growth;13.2453;13.2453;13.2453;1-nov-2006
102023;canshort term plan-growth;11.8858;11.8858;11.8858;1-nov-2006
102022;canshort term plan-income;11.6899;11.6899;11.6899;1-nov-2006

dbs chola mutual fund


100989;dbs chola liquid fund-cum -institutional plus;14.7921;14.7921;14.7921;1-
nov-2006
104329;dbs chola liquid fund-cum -super institutional;10.0558;10.0558;10.0558;1-
nov-2006
100978;dbs chola liquid fund-daily dividend reinvestment
plan;10.0315;10.0315;10.0315;1-nov-2006
100975;dbs chola liquid fund-regular cumulative;14.7082;14.7082;14.7082;1-nov-2006
104330;dbs chola liquid fund-weekly dividend- super
institutional;10.0064;10.0064;10.0064;1-nov-2006
101307;dbs chola liquid fund - regular weekly dividend;11.9525;11.9525;11.9525;1-
nov-2006

deutsche mutual fund


101718;dws insta cash plus fund-dividend-daily dividend;10.3010;10.3010;10.3010;1-
nov-2006
101717;dws insta cash plus fund-dividend-monthly
dividend;10.1841;10.1841;10.1841;1-nov-2006
101716;dws insta cash plus fund-dividend-weekly
dividend;10.1949;10.1949;10.1949;1-nov-2006
101719;dws insta cash plus fund-growth-growth;12.1991;12.1991;12.1991;1-nov-2006
101722;dws insta cash plus fund-institutional plan-daily
dividend;10.0195;10.0195;10.0195;1-nov-2006
101720;dws insta cash plus fund-institutional plan-
dividend;10.0541;10.0541;10.0541;1-nov-2006
101721;dws insta cash plus fund-institutional plan-
growth;11.4056;11.4056;11.4056;1-nov-2006
101723;dws insta cash plus fund-institutional plan-weekly
dividend;10.1024;10.1024;10.1024;1-nov-2006

dsp merrill lynch mutual fund


100943;dsp merril lynch liquidity fund - regular plan-daily
dividend;10.0100;10.0100;10.0100;1-nov-2006
100941;dsp merril lynch liquidity fund - regular plan-
dividend;12.4114;12.4114;12.4114;1-nov-2006
100940;dsp merril lynch liquidity fund - regular plan-
growth;17.7945;17.7945;17.7945;1-nov-2006
103349;dsp merrill lynch liquidity fund- institutional plan-daily
dividend;1000.2000;1000.2000;1000.2000;1-nov-2006
103347;dsp merrill lynch liquidity fund- institutional plan-
growth;1061.9265;1061.9265;1061.9265;1-nov-2006
103348;dsp merrill lynch liquidity fund- institutional plan-weekly
dividend;1001.1486;1001.1486;1001.1486;1-nov-2006

escorts mutual fund


103226;escorts liquid plan-daily dividend option;10.6069;10.6069;10.6069;1-nov-
2006
103225;escorts liquid plan-growth option;10.6069;10.6069;10.6069;1-nov-2006
103228;escorts liquid plan-monthly dividend option;10.6069;10.6069;10.6069;1-nov-
2006
103227;escorts liquid plan-weekly dividend option;10.6069;10.6069;10.6069;1-nov-
2006

franklin templeton mutual fund


101044;templeton india liquid plus-dividend plan;10.0000;10.0000;10.0000;1-nov-
2006
101048;templeton india liquid plus-growth plan;13.2616;13.2616;13.2616;1-nov-2006
102443;templeton india treasury management - institution-
daily;1000.2500;1000.2500;1000.2500;1-nov-2006
102441;templeton india treasury management - institution-
growth;1136.4500;1136.4500;1136.4500;1-nov-2006
102442;templeton india treasury management - institution-
weekly;1001.1659;1001.1659;1001.1659;1-nov-2006
100543;templeton india treasury management account-liquid plan - daily
dividend;1000.2500;1000.2500;1000.2500;1-nov-2006

100544;templeton india treasury management account-liquid plan -


growth;1113.1703;1113.1703;1113.1703;1-nov-2006
100542;templeton india treasury management account-liquid plan - weekly
dividend;1001.0972;1001.0972;1001.0972;1-nov-2006
100541;templeton india treasury management account-regular plan - daily
dividend;1512.3400;1512.3400;1512.3400;1-nov-2006
100538;templeton india treasury management account-regular plan -
growth;1808.0660;1808.0660;1808.0660;1-nov-2006
100537;templeton india treasury management account-regular plan - weekly
dividend;1244.9990;1244.9990;1244.9990;1-nov-2006
100547;templeton india treasury management account-super institutional plan -
daily dividend;1000.2500;1000.2500;1000.2500;1-nov-2006
100546;templeton india treasury management account-super institutional plan -
growth;1073.5539;1073.5539;1073.5539;1-nov-2006
100548;templeton india treasury management account-super institutional plan -
weekly dividend;1016.7299;1016.7299;1016.7299;1-nov-2006

hdfc mutual fund


101997;hdfc cash management fund - call plan-daily dividend
plan;10.4266;10.4266;10.4266;1-nov-2006
101996;hdfc cash management fund - call plan-growth
option;12.5234;12.5234;12.5234;1-nov-2006
101994;hdfc cash management fund - savings plan-daily dividend
option;10.6364;10.6364;10.6364;1-nov-2006
101993;hdfc cash management fund - savings plan-growth
option;15.1402;15.1402;15.1402;1-nov-2006
101995;hdfc cash management fund - savings plan-weekly dividend
option;10.635;10.635;10.635;1-nov-2006
100869;hdfc liquid fund-dividend;0;0;0;19-jun-2006
100875;hdfc liquid fund-dividend - daily;10.1982;10.1982;10.1982;1-nov-2006
100876;hdfc liquid fund-dividend - monthly;10.267;10.267;10.267;1-nov-2006
100874;hdfc liquid fund-dividend - weekly;10.3143;10.3143;10.3143;1-nov-2006
100868;hdfc liquid fund-growth;14.4158;14.4158;14.4158;1-nov-2006
100877;hdfc liquid fund-premium plan - dividend-daily;12.2598;12.2598;12.2598;1-
nov-2006
100878;hdfc liquid fund-premium plan - dividend-weekly;12.4808;12.4808;12.4808;1-
nov-2006
100881;hdfc liquid fund-premium plus plan - dividend-
weekly;12.4224;12.4224;12.4224;1-nov-2006
100871;hdfc liquid fund-premium plus- dividend;0;0;0;19-jun-2006
100872;hdfc liquid fund-premium plus- growth;14.5366;14.5366;14.5366;1-nov-2006
100870;hdfc liquid fund-premium- dividend;0;0;0;19-jun-2006
100873;hdfc liquid fund-premium- growth;14.5054;14.5054;14.5054;1-nov-2006

hsbc mutual fund


101692;hsbc cash fund-institutional plan-dividend option -
daily;10.4401;10.4401;10.4401;1-nov-2006
101694;hsbc cash fund-institutional plan-dividend option -
monthly;10.4624;10.4624;10.4624;1-nov-2006
101693;hsbc cash fund-institutional plan-dividend option -
weekly;10.4590;10.4590;10.4590;1-nov-2006
101691;hsbc cash fund-institutional plan-growth option;12.2660;12.2660;12.2660;1-
nov-2006
101700;hsbc cash fund-institutional plus-dividend option -
daily;10.0056;10.0056;10.0056;1-nov-2006
101702;hsbc cash fund-institutional plus-dividend option -
monthly;10.0179;10.0179;10.0179;1-nov-2006
101701;hsbc cash fund-institutional plus-dividend option -
weekly;10.0154;10.0154;10.0154;1-nov-2006
101699;hsbc cash fund-institutional plus-growth;11.4428;11.4428;11.4428;1-nov-2006
101697;hsbc cash fund-regular plan-dividend - daily;10.1930;10.1930;10.1930;1-nov-
2006
101698;hsbc cash fund-regular plan-dividend - weekly;10.0129;10.0129;10.0129;1-
nov-2006
101696;hsbc cash fund-regular plan-growth option;12.2349;12.2349;12.2349;1-nov-
2006

ing vysya mutual fund


100194;ing vysya liquid fund-auto sweep growth option;10.0000;10.0000;10.0000;1-
nov-2006
100195;ing vysya liquid fund-auto sweep weekly dividend
option;10.0000;10.0000;10.0000;1-nov-2006
100198;ing vysya liquid fund-institutional daily dividend
option;10.0103;10.0103;10.0103;1-nov-2006
100196;ing vysya liquid fund-institutional growth
option;11.4126;11.4126;11.4126;1-nov-2006
100197;ing vysya liquid fund-institutional weekly dividend
option;10.0577;10.0577;10.0577;1-nov-2006
100192;ing vysya liquid fund-regular daily dividend
option;10.7849;10.7849;10.7849;1-nov-2006
100190;ing vysya liquid fund-regular growth option;15.4045;15.4045;15.4045;1-nov-
2006
100191;ing vysya liquid fund-regular weekly dividend
option;10.8283;10.8283;10.8283;1-nov-2006
100200;ing vysya liquid fund-super institutional daily dividend
option;10.0024;10.0024;10.0024;1-nov-2006
100199;ing vysya liquid fund-super institutional growth
option;10.7993;10.7993;10.7993;1-nov-2006
100201;ing vysya liquid fund-super institutional weekly dividend
option;10.0881;10.0881;10.0881;1-nov-2006

jm financial mutual fund


101420;jm floater fund - short term plan-dividend
option;10.0883;10.0883;10.0883;1-nov-2006
101421;jm floater fund - short term plan-growth option;11.9849;11.9849;11.9849;1-
nov-2006
101549;jm high liquidity - bonus option;10.4803;10.4803;10.4803;1-nov-2006
101078;jm high liquidity daily dividend plan;10.4302;10.4302;10.4302;1-nov-2006
100241;jm high liquidity fund-- institutional plan -
dividend;10.1253;10.1253;10.1253;1-nov-2006
100237;jm high liquidity fund-- institutional plan -
growth;12.0395;12.0395;12.0395;1-nov-2006
100243;jm high liquidity fund-- premium plan - daily dividend
option;10.0000;10.0000;10.0000;1-nov-2006
100244;jm high liquidity fund-- quarterly dividend;11.4904;11.4904;11.4904;1-nov-
2006
100233;jm high liquidity fund-dividend;10.3597;10.3597;10.3597;1-nov-2006
100234;jm high liquidity fund-growth;19.9566;19.9566;19.9566;1-nov-2006
100238;jm high liquidity fund-institutional plan - daily
dividend;10.0159;10.0159;10.0159;1-nov-2006
100245;jm high liquidity fund-super institutional plan- daily
dividend;10.0165;10.0165;10.0165;1-nov-2006
100247;jm high liquidity fund-super institutional plan-
growth;11.4481;11.4481;11.4481;1-nov-2006
100246;jm high liquidity fund-super institutional plan- weekly
dividend;10.1130;10.1130;10.1130;1-nov-2006
104272;jm money manager fund - regular plan - dividend
option;10.0000;10.0000;10.0000;1-nov-2006

104271;jm money manager fund - regular plan - growth


option;10.0646;10.0646;10.0646;1-nov-2006
104270;jm money manager fund - super plan - dividend
option;10.0000;10.0000;10.0000;1-nov-2006
104269;jm money manager fund - super plan - growth plan;10.0698;10.0698;10.0698;1-
nov-2006
104268;jm money manager fund - super plus plan - dividend
option;10.0000;10.0000;10.0000;1-nov-2006
104267;jm money manager fund - super plus plan - growth
option;10.0713;10.0713;10.0713;1-nov-2006

kotak mahindra mutual fund


100830;kotak liquid-institutional plan (growth);14.589;14.589;14.589;1-nov-2006
100832;kotak liquid-institutional plan (weekly
dividend);10.0257;10.0257;10.0257;1-nov-2006
100831;kotak liquid-institutional plan - (daily
dividend);12.2281;12.2281;12.2281;1-nov-2006
100833;kotak liquid-institutional premium plan - (daily
dividend);12.2281;12.2281;12.2281;1-nov-2006
100834;kotak liquid-institutional premium plan -
(dividend);10.0386;10.0386;10.0386;1-nov-2006
100835;kotak liquid-institutional premium plan -
(growth);14.6767;14.6767;14.6767;1-nov-2006
100828;kotak liquid-regular (dividend);10.0231;10.0231;10.0231;1-nov-2006
100829;kotak liquid-regular (growth);14.3883;14.3883;14.3883;1-nov-2006
100836;kotak liquid-sweep (daily dividend);10.0071;10.0071;10.0071;1-nov-2006

lic mutual fund


101184;licmf liquid fund-dividend;10.9801;10.9801;10.9801;1-nov-2006
101185;licmf liquid fund-growth;13.1750;13.1750;13.1750;1-nov-2006

principal mutual fund


100892;principal cash management-liquid option-daily
dividend;10.0022;10.0022;10.0022;1-nov-2006
100887;principal cash management-liquid option-dividend
plan;10.1312;10.1312;10.1312;1-nov-2006
100888;principal cash management-liquid option-growth
plan;14.2919;14.2919;14.2919;1-nov-2006
100895;principal cash management-liquid option-insti premium - daily
dividend;10.0007;10.0007;10.0007;1-nov-2006
100898;principal cash management-liquid option-insti premium -
growth;11.3255;11.3255;11.3255;1-nov-2006
100897;principal cash management-liquid option-insti premium - monthly
dividend;10.0085;10.0085;10.0085;1-nov-2006
100896;principal cash management-liquid option-insti premium - weekly
dividend;10.0126;10.0126;10.0126;1-nov-2006
100894;principal cash management-liquid option-institutional � daily dividend
plan;10.0022;10.0022;10.0022;1-nov-2006
100893;principal cash management-liquid option-institutional � growth
plan;12.002;12.002;12.002;1-nov-2006
100891;principal cash management-liquid option-institutional � monthly dividend
plan;10.009;10.009;10.009;1-nov-2006
100890;principal cash management-liquid option-institutional � weekly dividend
plan;10.013;10.013;10.013;1-nov-2006
100889;principal cash management-liquid option-monthly
dividend;10.0084;10.0084;10.0084;1-nov-2006
102726;principal floating rate fund - smp-daily
dividend;10.0007;10.0007;10.0007;1-nov-2006
102725;principal floating rate fund - smp-growth;11.2716;11.2716;11.2716;1-nov-
2006
102730;principal floating rate fund - smp-insti. daily
dividend;10.0007;10.0007;10.0007;1-nov-2006
102729;principal floating rate fund - smp-insti. growth;11.3103;11.3103;11.3103;1-
nov-2006
102732;principal floating rate fund - smp-insti. monthly
dividend;10.2562;10.2562;10.2562;1-nov-2006
102731;principal floating rate fund - smp-insti. weekly
dividend;10.0123;10.0123;10.0123;1-nov-2006
102728;principal floating rate fund - smp-monthly
dividend;10.1254;10.1254;10.1254;1-nov-2006
102727;principal floating rate fund - smp-weekly
dividend;10.0122;10.0122;10.0122;1-nov-2006

prudential icici mutual fund


100359;prudential icici liquid plan-dividend-institutional plus - daily; 11.8515 ;
11.8515 ; 11.8515 ;1-nov-2006
100361;prudential icici liquid plan-dividend-institutional plus - monthly; 11.9194
; 11.9194 ; 11.9194 ;1-nov-2006
100360;prudential icici liquid plan-dividend-institutional plus - weekly; 11.8579
; 11.8579 ; 11.8579 ;1-nov-2006
100358;prudential icici liquid plan-dividend-institutional quarterly;0;0;0;3-aug-
2006
100357;prudential icici liquid plan-dividend-quarterly option; 10.7871 ; 10.7871 ;
10.7871 ;1-nov-2006
100362;prudential icici liquid plan-growth option-institutional plus - growth;
18.0373 ; 18.0373 ; 18.0373 ;1-nov-2006
103343;prudential icici liquid plan - -super institutional dividend daily; 10.0000
; 10.0000 ; 10.0000 ;1-nov-2006
103341;prudential icici liquid plan - -super institutional dividend monthly;
10.0040 ; 10.0040 ; 10.0040 ;1-nov-2006
103342;prudential icici liquid plan - -super institutional dividend weekly;
10.0040 ; 10.0040 ; 10.0040 ;1-nov-2006
103340;prudential icici liquid plan - -super institutional growth option; 10.6293
; 10.6293 ; 10.6293 ;1-nov-2006
104308;prudential icici liquid plan - halfyearly dividend option; 10.0713 ;
10.0713 ; 10.0713 ;1-nov-2006
103344;prudential icici liquid plan - institutional option - i - growth plan;
10.4035 ; 10.4035 ; 10.4035 ;1-nov-2006
101754;prudential icici liquid plan--dividend daily-; 11.8514 ; 11.8514 ; 11.8514
;1-nov-2006
101755;prudential icici liquid plan--dividend monthly-; 11.8370 ; 11.8370 ;
11.8370 ;1-nov-2006
101752;prudential icici liquid plan--dividend-; 11.8349 ; 11.8349 ; 11.8349 ;1-
nov-2006
101750;prudential icici liquid plan--growth-; 17.8102 ; 17.8102 ; 17.8102 ;1-nov-
2006
101753;prudential icici liquid plan--institutional plan - dividend-; 11.8457 ;
11.8457 ; 11.8457 ;1-nov-2006
101751;prudential icici liquid plan--institutional plan - growth-; 17.9824 ;
17.9824 ; 17.9824 ;1-nov-2006
101748;prudential icici liquid plan--institutional plan-daily dividend; 11.8502 ;
11.8502 ; 11.8502 ;1-nov-2006
101749;prudential icici liquid plan--institutional plan-monthly dividend; 10.0038
; 10.0038 ; 10.0038 ;1-nov-2006
101221;prudential icici sweep plan; 12.3400 ; 12.3400 ; 12.3400 ;1-nov-2006
103634;prudential icici sweep plan - cash option-dividend option-daily; 10.0000 ;
10.0000 ; 10.0000 ;1-nov-2006
103636;prudential icici sweep plan - cash option-dividend option-fortnightly;
10.0036 ; 10.0036 ; 10.0036 ;1-nov-2006

103637;prudential icici sweep plan - cash option-dividend option-monthly; 10.0037


; 10.0037 ; 10.0037 ;1-nov-2006
103635;prudential icici sweep plan - cash option-dividend option-weekly; 10.0036 ;
10.0036 ; 10.0036 ;1-nov-2006
103633;prudential icici sweep plan - cash option-growth option-; 10.4425 ; 10.4425
; 10.4425 ;1-nov-2006

quantum mutual fund


103736;quantum liquid fund-daily dividend re-investment
plan;10.0000;10.0000;10.0000;1-nov-2006
103734;quantum liquid fund-growth plan;10.3443;10.3443;10.3443;1-nov-2006
103735;quantum liquid fund-monthly dividend payout plan;10.0130;10.0130;10.0130;1-
nov-2006

reliance mutual fund


100849;reliance liquid fund-cash plan-daily dividend
option;11.1411;11.1411;11.1411;1-nov-2006
100848;reliance liquid fund-cash plan-dividend;10.9253;10.9253;10.9253;1-nov-2006
100845;reliance liquid fund-cash plan-growth;12.7066;12.7066;12.7066;1-nov-2006
100852;reliance liquid fund-institutional plan-daily dividend
option;15.286;15.286;15.286;1-nov-2006
100851;reliance liquid fund-institutional plan-growth
option;17.6828;17.6828;17.6828;1-nov-2006
100855;reliance liquid fund-institutional plan-monthly
dividend;15.4008;15.4008;15.4008;1-nov-2006
100853;reliance liquid fund-institutional plan-weekly
dividend;15.3163;15.3163;15.3163;1-nov-2006
100842;reliance liquid fund-treasury plan-retail option - daily dividend
option;15.2413;15.2413;15.2413;1-nov-2006
100837;reliance liquid fund-treasury plan-retail option - growth option growth
plan;17.5366;17.5366;17.5366;1-nov-2006
100838;reliance liquid fund-treasury plan-retail option - weekly
dividend;10.3503;10.3503;10.3503;1-nov-2006
100843;reliance liquid fund-treasury plan-retail plan monthly
dividend;11.0681;11.0681;11.0681;1-nov-2006
100844;reliance liquid fund-treasury plan-retail plan quarterly dividend
option;17.1558;17.1558;17.1558;1-nov-2006
103049;reliance liquidity fund-bonus plan-bonus option;-;-;-;5-jan-2006
103050;reliance liquidity fund-dividend plan-daily dividend
reinvestment;10.0031;10.0031;10.0031;1-nov-2006
103052;reliance liquidity fund-dividend plan-monthly dividend
plan;10.6621;10.6621;10.6621;1-nov-2006
103051;reliance liquidity fund-dividend plan-weekly dividend
reinvesment;10.0116;10.0116;10.0116;1-nov-2006
103048;reliance liquidity fund-growth plan-growth
option;10.8756;10.8756;10.8756;1-nov-2006

sahara mutual fund


101397;sahara liquid fund-fixed pricing - weekly dividend
option;1024.6207;1024.6207;1024.6207;1-nov-2006
101393;sahara liquid fund-fixed pricing - daily dividend
option;1024.5648;1024.5648;1024.5648;1-nov-2006
101394;sahara liquid fund-fixed pricing - growth
option;1301.2320;1301.2320;1301.2320;1-nov-2006
101398;sahara liquid fund-fixed pricing - monthly dividend
option;1025.2696;1025.2696;1025.2696;1-nov-2006
101399;sahara liquid fund-variable pricing - daily dividend
option;1024.5757;1024.5757;1024.5757;1-nov-2006
101402;sahara liquid fund-variable pricing - growth
option;1304.3642;1304.3642;1304.3642;1-nov-2006
101400;sahara liquid fund-variable pricing - weekly dividend
option;1025.7224;1025.7224;1025.7224;1-nov-2006
101401;sahara liquid fund-variable pricing- monthly dividend
option;1025.8867;1025.8867;1025.8867;1-nov-2006

sbi mutual fund


102960;sbi magnum inst. income fund - savings -
fortnightly(d);10.1074;10.1074;10.1074;1-nov-2006
102870;sbi magnum inst. income fund - savings -
wkly(d);10.5688;10.5688;10.5688;1-nov-2006
103140;sbi magnum insta cash fund - liquid floater plan -
dividend;10.2335;10.2335;10.2335;1-nov-2006
101206;sbi magnum insta cash fund - liquid floater plan -
growth;12.5643;12.5643;12.5643;1-nov-2006
102058;sbi magnum institutional income fund - savings -
dividend;10.0325;10.0325;10.0325;1-nov-2006
101929;sbi magnum institutional income fund - savings -
growth;11.6958;11.6958;11.6958;1-nov-2006
100641;sbi micf cash plan;16.3010;16.3010;16.3010;1-nov-2006
103884;sbi micf dividend plan;10.6150;10.6150;10.6150;1-nov-2006

standard chartered mutual fund


103525;standard chartered liquidity manager (sclm)-a-dividend
daily;10.001;10.001;10.001;1-nov-2006
103527;standard chartered liquidity manager (sclm)-a-dividend
monthly;10.0021;10.0021;10.0021;1-nov-2006
103526;standard chartered liquidity manager (sclm)-a-dividend
weekly;10.0096;10.0096;10.0096;1-nov-2006
103524;standard chartered liquidity manager (sclm)-a-
growth;10.4565;10.4565;10.4565;1-nov-2006
103598;standard chartered liquidity manager plus-a-dividend
daily;1000.1;1000.1;1000.1;1-nov-2006
103600;standard chartered liquidity manager plus-a-dividend
monthly;1000.3546;1000.3546;1000.3546;1-nov-2006
103599;standard chartered liquidity manager plus-a-dividend
weekly;1001.0768;1001.0768;1001.0768;1-nov-2006
103597;standard chartered liquidity manager plus-a-
growth;1040.8818;1040.8818;1040.8818;1-nov-2006

sundaram bnp paribas mutual fund


100619;sundaram bnp paribas money fund-quarterly dividend
reinvestment;10.2245;10.2245;10.2245;1-nov-2006
100618;sundaram bnp paribas money fund-appreciation;15.2555;15.2555;15.2555;1-nov-
2006
100620;sundaram bnp paribas money fund-daily dividend
reinvestment;10.0953;10.0953;10.0953;1-nov-2006
100622;sundaram bnp paribas money fund-fortnightly div
reinvst;10.1895;10.1895;10.1895;1-nov-2006
100623;sundaram bnp paribas money fund-monthly div.
reinvst;10.1104;10.1104;10.1104;1-nov-2006
100621;sundaram bnp paribas money fund-weekly div.
reinvst;10.2943;10.2943;10.2943;1-nov-2006
103392;sundaram bnp paribas money fund super institutional daily div.
reinvest;10.0953;10.0953;10.0953;1-nov-2006
103395;sundaram bnp paribas money fund super institutional fortnightly
div.rein;0.0000;0.0000;0.0000;1-nov-2006
103397;sundaram bnp paribas money fund super institutional
growth;15.3385;15.3385;15.3385;1-nov-2006
103396;sundaram bnp paribas money fund super institutional monthly
div.;0.0000;0.0000;0.0000;1-nov-2006
103393;sundaram bnp paribas money fund super institutional qrtly div.
reinvest;0.0000;0.0000;0.0000;1-nov-2006

103394;sundaram bnp paribas money fund super institutional weekly div.


rein;10.3292;10.3292;10.3292;1-nov-2006
102701;sundaram bnp paribas money fund-institutional plan-daily div.
reinvestment;10.0953;10.0953;10.0953;1-nov-2006
102702;sundaram bnp paribas money fund-institutional plan-fortnightly div
reinvestment;0.0000;0.0000;0.0000;1-nov-2006
102703;sundaram bnp paribas money fund-institutional plan-growth
option;15.3014;15.3014;15.3014;1-nov-2006
102704;sundaram bnp paribas money fund-institutional plan-monthly div.
reinvestment;10.1528;10.1528;10.1528;1-nov-2006
102705;sundaram bnp paribas money fund-institutional plan-quarterly div.
reinvestment;0.0000;0.0000;0.0000;1-nov-2006
102706;sundaram bnp paribas money fund-institutional plan-weekly div.
reinvestment;10.3278;10.3278;10.3278;1-nov-2006

tata mutual fund


101859;tata high investment plan - weekly;1146.7353;1146.7353;1146.7353;1-nov-2006
101984;tata liquid high investment plan - daily;1114.3379;1114.3379;1114.3379;1-
nov-2006
101860;tata liquid high investment plan - growth;1212.0824;1212.0824;1212.0824;1-
nov-2006
101985;tata liquid high investment plan - monthly;1019.7620;1019.7620;1019.7620;1-
nov-2006
101982;tata liquid retail investment plan - daily;1116.8143;1116.8143;1116.8143;1-
nov-2006
101983;tata liquid retail investment plan -
fortnightly;1145.1881;1145.1881;1145.1881;1-nov-2006
101858;tata liquid retail investment plan -
growth;1682.3523;1682.3523;1682.3523;1-nov-2006
101847;tata liquid super high investment plan -
appreciation;1338.1522;1338.1522;1338.1522;1-nov-2006
101987;tata liquid super high investment plan -
monthly;1149.3267;1149.3267;1149.3267;1-nov-2006
101861;tata liquid super high investment plan -
weekly;1150.7272;1150.7272;1150.7272;1-nov-2006
103631;tata liquidity management fund - daily div;1002.2592;1002.2592;1002.2592;1-
nov-2006
103632;tata liquidity management fund - growth;1045.5554;1045.5554;1045.5554;1-
nov-2006
103519;tata liquidity management fund - weekly
div;1005.6680;1005.6680;1005.6680;1-nov-2006
101986;tata super high investment plan - daily;1114.5200;1114.5200;1114.5200;1-
nov-2006

taurus mutual fund


104240;taurus liquid fund-dividend;10.0027;10.0027;10.0027;1-nov-2006
104241;taurus liquid fund-growth;10.1029;10.1029;10.1029;1-nov-2006

uti mutual fund


102009;uti- liquid fund-cash plan-growth;1189.6937;1189.6937;1189.6937;1-nov-2006
102007;uti- liquid fund-cash plan-income;1016.32;1016.32;1016.32;1-nov-2006
102010;uti- liquid fund-cash plan-inst - income;1019.4457;1019.4457;1019.4457;1-
nov-2006
102012;uti- liquid fund-cash plan-inst growth;1195.3651;1195.3651;1195.3651;1-
nov-2006
102011;uti- liquid fund-cash plan-inst mthl;1029.2152;1029.2152;1029.2152;1-nov-
2006
102013;uti- liquid fund-cash plan-inst wkly;1022.6667;1022.6667;1022.6667;1-nov-
2006
102008;uti- liquid fund-cash plan-mtly;1032.4878;1032.4878;1032.4878;1-nov-2006
102004;uti- liquid fund-short term plan-growth;12.0095;12.0095;12.0095;1-nov-2006
102003;uti- liquid fund-short term plan-income;10.3434;10.3434;10.3434;1-nov-2006

open ended schemes ( money market )

deutsche mutual fund


104234;dws money plus fund - dividend - daily;10.0259;10.0109;10.0259;1-nov-2006
103590;dws money plus fund-dividend;10.0928;10.0777;10.0928;1-nov-2006
103592;dws money plus fund-dividend - weekly;10.0418;10.0267;10.0418;1-nov-2006
103591;dws money plus fund-growth;10.4693;10.4536;10.4693;1-nov-2006

escorts mutual fund


103094;escorts mutual fund unclaimed dundee balanced fund;7.8921;7.8921;7.8921;1-
nov-2006
103093;escorts mutual fund unclaimed dundee corporate bond fund-annual
dividend;10.6239;10.6239;10.6239;1-nov-2006
103089;escorts mutual fund unclaimed dundee corporate bond fund-
appreciation;13.2341;13.2341;13.2341;1-nov-2006
103092;escorts mutual fund unclaimed dundee corporate bond fund-half yearly
dividend;10.2768;10.2768;10.2768;1-nov-2006
103090;escorts mutual fund unclaimed dundee corporate bond fund-monthly
dividend;10.1601;10.1601;10.1601;1-nov-2006
103091;escorts mutual fund unclaimed dundee corporate bond fund-quarterly
dividend;10.2554;10.2554;10.2554;1-nov-2006
103041;escorts mutual fund unclaimed dundee liquidity fund-
appreciation;15.5521;15.5521;15.5521;1-nov-2006
103042;escorts mutual fund unclaimed dundee liquidity fund-
dividend;11.1932;11.1932;11.1932;1-nov-2006
103047;escorts mutual fund unclaimed dundee psu bond fund-annual
dividend;10.6356;10.6356;10.6356;1-nov-2006
103043;escorts mutual fund unclaimed dundee psu bond fund-
appreciation;13.4351;13.4351;13.4351;1-nov-2006
103046;escorts mutual fund unclaimed dundee psu bond fund-half yearly
dividend;10.2883;10.2883;10.2883;1-nov-2006
103044;escorts mutual fund unclaimed dundee psu bond fund-monthly
dividend;10.1393;10.1393;10.1393;1-nov-2006
103045;escorts mutual fund unclaimed dundee psu bond fund-quarterly
dividend;10.2670;10.2670;10.2670;1-nov-2006
103033;escorts mutual fund unclaimed dundee sovereign trust-annual
dividend;11.7886;11.7886;11.7886;1-nov-2006
103029;escorts mutual fund unclaimed dundee sovereign trust-
appreciation;17.8057;17.8057;17.8057;1-nov-2006
103032;escorts mutual fund unclaimed dundee sovereign trust-half yearly
dividend;11.1265;11.1265;11.1265;1-nov-2006
103030;escorts mutual fund unclaimed dundee sovereign trust-monthly
dividend;10.8806;10.8806;10.8806;1-nov-2006
103095;escorts mutual fund unclaimed dundee tax saver fund;9.5757;9.5757;9.5757;1-
nov-2006

franklin templeton mutual fund


100561;templeton india money market account;1.0000;1.0000;1.0000;1-nov-2006

uti mutual fund


100725;uti mmf-daily dividend;17.469;17.469;17.469;1-nov-2006
100723;uti mmf-growth;20.3854;20.3854;20.3854;1-nov-2006
100724;uti mmf-income;17.5904;17.5904;17.5904;1-nov-2006

open ended schemes ( gilt )

birla sun life mutual fund


100056;birla gilt plus-liquid plan-birla gilt plus - liquid plan (annual
dividend);11.7830;11.7830;11.7830;1-nov-2006
100054;birla gilt plus-liquid plan-dividend;10.7149;10.7149;10.7149;1-nov-2006

100055;birla gilt plus-liquid plan-growth;17.6951;17.6951;17.6951;1-nov-2006


100059;birla gilt plus-pf plan-birla gilt plus - pf plan (annual
dividend);20.4674;20.4674;20.4674;1-nov-2006
100057;birla gilt plus-pf plan-dividend;10.6898;10.5829;10.6898;1-nov-2006
100058;birla gilt plus-pf plan-growth;20.4665;20.2618;20.4665;1-nov-2006
100062;birla gilt plus-regular plan-birla gilt plus - regular plan (annual
dividend);23.0366;23.0366;23.0366;1-nov-2006
100060;birla gilt plus-regular plan-dividend;11.2431;11.2431;11.2431;1-nov-2006
100061;birla gilt plus-regular plan-growth;22.9896;22.9896;22.9896;1-nov-2006
103187;birla sun life govt, securities long term fund-plan a
(divivdend);10.2858;10.2858;10.2858;1-nov-2006
103188;birla sun life govt, securities long term fund-plan b
(growth);19.4345;19.4345;19.4345;1-nov-2006
103189;birla sun life govt, securities short term fund-plan
a(dividend);10.1084;10.1084;10.1084;1-nov-2006
103190;birla sun life govt, securities short term fund-plan
b(growth);15.3280;15.3280;15.3280;1-nov-2006

bob mutual fund


101188;bob gilt fund-dividend plan;11.0786;11.0232;11.0786;1-nov-2006
101187;bob gilt fund-growth plan;11.0775;11.0221;11.0775;1-nov-2006
101190;bob gilt fund-pf plan (growth);10.4412;10.4412;10.4412;1-nov-2006

canbank mutual fund


100597;cangilt (pgs)-growth plan;18.1910;18.1910;18.1910;1-nov-2006
100596;cangilt (pgs)-income plan;10.3821;10.3821;10.3821;1-nov-2006

dbs chola mutual fund


100580;dbs chola gilt-investment-cumulative;18.4674;18.4674;18.4674;1-nov-2006
100579;dbs chola gilt-investment-quarterly dividend;10.1574;10.1574;10.1574;1-nov-
2006

dsp merrill lynch mutual fund


100085;dsp merrill lynch government securities fund-plan a-
dividend;11.4433;11.4433;11.4433;1-nov-2006
100084;dsp merrill lynch government securities fund-plan a-
growth;22.96;22.96;22.96;1-nov-2006
100086;dsp merrill lynch government securities fund-plan a-monthly
dividend;10.1238;10.1238;10.1238;1-nov-2006
100088;dsp merrill lynch government securities fund-plan b-
dividend;10.9655;10.9655;10.9655;1-nov-2006
100087;dsp merrill lynch government securities fund-plan b-
growth;16.6224;16.6224;16.6224;1-nov-2006
100089;dsp merrill lynch government securities fund-plan b-monthly
dividend;10.0511;10.0511;10.0511;1-nov-2006

escorts mutual fund


101071;escorts gilt plan-dividend option;13.3913;13.3913;13.3913;1-nov-2006
101072;escorts gilt plan-growth option;14.6355;14.6355;14.6355;1-nov-2006

franklin templeton mutual fund


100486;templeton india govt.sec. fund-composite plan -
dividend;10.8060;10.7520;10.8060;1-nov-2006
100485;templeton india govt.sec. fund-composite plan -
growth;23.8492;23.7300;23.8492;1-nov-2006
100495;templeton india govt.sec. fund-long term plan -
bonus;12.3341;12.3341;12.3341;1-nov-2006
100494;templeton india govt.sec. fund-long term plan -
dividend;10.8777;10.8777;10.8777;1-nov-2006
100493;templeton india govt.sec. fund-long term plan -
growth;16.2818;16.2818;16.2818;1-nov-2006
100491;templeton india govt.sec. fund-pf plan -
dividend;10.4740;10.4373;10.4740;1-nov-2006
100490;templeton india govt.sec. fund-pf plan - growth;10.4740;10.4373;10.4740;1-
nov-2006
100487;templeton india govt.sec. fund-treasury plan(dividend
option);10.6937;10.6937;10.6937;1-nov-2006
100489;templeton india govt.sec. fund-treasury plan(growth
option);13.6453;13.6453;13.6453;1-nov-2006

hdfc mutual fund


101084;hdfc gilt fund-long term-dividend;10.2843;10.2843;10.2843;1-nov-2006
101083;hdfc gilt fund-long term-growth;15.5227;15.5227;15.5227;1-nov-2006
101081;hdfc gilt fund-short term-dividend;10.5074;10.5074;10.5074;1-nov-2006
101082;hdfc gilt fund-short term-growth;13.4256;13.4256;13.4256;1-nov-2006
101992;hdfc sovereign gilt fund - investment plan-dividend
option;10.7689;10.7689;10.7689;27-mar-2006
101991;hdfc sovereign gilt fund - investment plan-growth
option;15.6115;15.6115;15.6115;27-mar-2006
101879;hdfc sovereign gilt fund - provident plan-dividend
option;10.8246;10.8246;10.8246;27-mar-2006
101878;hdfc sovereign gilt fund - provident plan-growth
option;17.6396;17.6396;17.6396;27-mar-2006
101877;hdfc sovereign gilt fund - savings plan-dividend
option;10.8628;10.8628;10.8628;27-mar-2006
101876;hdfc sovereign gilt fund - savings plan-growth
option;13.729;13.729;13.729;27-mar-2006

hsbc mutual fund


102065;hsbc gilt fund-short term plan-dividend;10.7352;10.7352;10.7352;1-nov-2006
102066;hsbc gilt fund-short term plan-growth;10.9224;10.9224;10.9224;1-nov-2006

ing vysya mutual fund


101406;ing vysya gilt fund-dividend option;11.9972;11.9972;11.9972;1-nov-2006
101405;ing vysya gilt fund-growth option;11.9972;11.9972;11.9972;1-nov-2006
102386;ing vysya gilt fund provident fund - dynamic plan-cyclical series option
2005;10.2292;10.2292;10.2292;27-mar-2006
102387;ing vysya gilt fund provident fund - dynamic plan-cyclical series option
2006;10.3308;10.3308;10.3308;1-nov-2006
102382;ing vysya gilt fund provident fund - dynamic plan-growth auto income payout
option;11.3582;11.3582;11.3582;1-nov-2006
102383;ing vysya gilt fund provident fund - dynamic plan-half yearly dividend
option;10.2306;10.2306;10.2306;1-nov-2006
102381;ing vysya gilt fund provident fund - dynamic plan-regular growth
plan;11.3582;11.3582;11.3582;1-nov-2006
102384;ing vysya gilt fund provident fund - dynamic plan-yearly dividend
option;10.4550;10.4550;10.4550;1-nov-2006

jm financial mutual fund


102180;jm g-sec - pf plus-dividend plan;11.0188;11.0188;11.0188;1-nov-2006
102179;jm g-sec - pf plus-growth plan;11.0163;11.0163;11.0163;1-nov-2006
100251;jm g-sec fund-pf plan - growth plan;21.7924;21.7924;21.7924;1-nov-2006
100252;jm g-sec fund-pf plan -dividend plan;19.9684;19.9684;19.9684;1-nov-2006
100253;jm g-sec fund-regular plan- growth plan- bonus
option;10.1812;10.1812;10.1812;1-nov-2006
100249;jm g-sec fund-regular plan-dividend;10.2324;10.2324;10.2324;1-nov-2006
100250;jm g-sec fund-regular plan-growth plan - growth
option;20.9300;20.9300;20.9300;1-nov-2006
kotak mahindra mutual fund
100280;kotak gilt-investment provident fund and trust-
dividend;10.9165;10.9165;10.9165;1-nov-2006
100281;kotak gilt-investment provident fund and trust-
growth;23.8181;23.8181;23.8181;1-nov-2006
100264;kotak gilt-investment regular-dividend;11.3262;11.3262;11.3262;1-nov-2006
100265;kotak gilt-investment regular-growth;23.5463;23.5463;23.5463;1-nov-2006
100263;kotak gilt-savings-annual dividend;11.919;11.919;11.919;1-nov-2006
100262;kotak gilt-savings-growth;17.8234;17.8234;17.8234;1-nov-2006
100261;kotak gilt-savings-monthly dividend;10.4526;10.4526;10.4526;1-nov-2006

lic mutual fund


100318;lic mf govt securities fund-pf plan (d);10.7743;10.7743;10.7743;1-nov-2006
100319;lic mf govt securities fund-pf plan (g);10.7743;10.7743;10.7743;1-nov-2006
100316;lic mf govt securities fund-regular plan (d);10.8593;10.8593;10.8593;1-nov-
2006
100317;lic mf govt securities fund-regular plan (g);18.6846;18.6846;18.6846;1-nov-
2006

principal mutual fund


101119;principal gilt fund-investment-dividend - annually;13.19;13.19;13.19;1-nov-
2006
101116;principal gilt fund-investment-dividend - half
yearly;11.148;11.148;11.148;1-nov-2006
101117;principal gilt fund-investment-dividend -
quarterly;11.2339;11.2339;11.2339;1-nov-2006
101118;principal gilt fund-investment-growth;16.0552;16.0552;16.0552;1-nov-2006
101124;principal gilt fund-provident-annual;10.5162;10.4636;10.5162;1-nov-2006
101126;principal gilt fund-provident-annual rebalancing
2005;10.8023;10.7483;10.8023;1-nov-2006
101122;principal gilt fund-provident-growth;10.8488;10.7946;10.8488;1-nov-2006
101123;principal gilt fund-provident-haly yearly;10.1324;10.0817;10.1324;1-nov-
2006
101121;principal gilt fund-savings-dividend;10.2596;10.2596;10.2596;1-nov-2006
101120;principal gilt fund-savings-growth;13.8375;13.8375;13.8375;1-nov-2006

prudential icici mutual fund


100368;prudential icici gilt fund-investment-dividend; 10.7748 ; 10.7748 ; 10.7748
;1-nov-2006
100369;prudential icici gilt fund-investment-growth; 21.9543 ; 21.9543 ; 21.9543
;1-nov-2006
100370;prudential icici gilt fund-treasury-dividend; 10.5649 ; 10.5649 ; 10.5649
;1-nov-2006
100371;prudential icici gilt fund-treasury-growth; 17.7026 ; 17.7026 ; 17.7026 ;1-
nov-2006
100372;prudential icici gilt fund-treasury-half yearly dividend; 10.3095 ; 10.3095
; 10.3095 ;1-nov-2006
102248;prudential icici gilt fund treasury plan pf option; 11.2897 ; 11.1993 ;
11.2897 ;1-nov-2006

reliance mutual fund


101646;reliance gilt securities fund-retail plan - long term plan-
dividend;11.4172;11.4172;11.4172;1-nov-2006
101644;reliance gilt securities fund-retail plan - long term plan-
growth;12.5607;12.5607;12.5607;1-nov-2006
101648;reliance gilt securities fund-retail plan - short term plan-
growth;11.2491;11.2491;11.2491;1-nov-2006
102409;reliance gilt securities fund-long term-p f -plan-automatic capital
appreciation payout;12.5607;12.5607;12.5607;1-nov-2006
102410;reliance gilt securities fund-long term-p f -plan-defined maturity
debt;12.5607;12.5607;12.5607;1-nov-2006

sahara mutual fund


101171;sahara gilt fund-dividend;11.1011;11.1011;11.1011;1-nov-2006
101170;sahara gilt fund-growth;12.1391;12.1391;12.1391;1-nov-2006

sbi mutual fund


101950;sbi mglt- dividend - pf (fixed period - 1 yr)
option;10.1112;10.0606;10.1112;1-nov-2006
101951;sbi mglt- dividend - pf (fixed period - 2 yrs)
option;10.1056;10.0349;10.1056;1-nov-2006
101952;sbi mglt- dividend - pf (fixed period - 3 yrs)
option;10.0944;10.0036;10.0944;1-nov-2006
101935;sbi mglt- dividend - pf (regular) option;10.1536;10.1536;10.1536;1-nov-
2006
102061;sbi mglt- growth - pf (fixed period - 1 yr)
option;10.6764;10.6230;10.6764;1-nov-2006
101933;sbi mglt- growth - pf (fixed period - 2 yrs)
option;10.7140;10.6390;10.7140;1-nov-2006
101934;sbi mglt- growth - pf (fixed period - 3 yrs)
option;10.6051;10.5097;10.6051;1-nov-2006
101932;sbi mglt- growth - pf (regular) option;10.7992;10.7992;10.7992;1-nov-2006
100999;sbi mglt-dividend;10.1137;10.1137;10.1137;1-nov-2006
101001;sbi mglt-growth;16.8923;16.8923;16.8923;1-nov-2006
101003;sbi mgst-dividend;10.0093;10.0093;10.0093;1-nov-2006
101002;sbi mgst-growth;14.4551;14.4551;14.4551;1-nov-2006

standard chartered mutual fund


102306;grindlays government securities fund-provident fund plan-institutional
plan-plan b-growth/appreciation;10.9641;10.9641;10.9641;1-nov-2006
102311;grindlays government securities fund-provident fund plan-institutional
plan-plan b-quarterly dividend;10.3221;10.3221;10.3221;1-nov-2006
102304;grindlays government securities fund-provident fund plan-regular- plan a-
annual dividend;10.5735;10.5735;10.5735;1-nov-2006
102300;grindlays government securities fund-provident fund plan-regular- plan a-
growth/appreciation;10.9313;10.9313;10.9313;1-nov-2006
102305;grindlays government securities fund-provident fund plan-regular- plan a-
quarterly dividend;10.3276;10.3276;10.3276;1-nov-2006

sundaram bnp paribas mutual fund


101092;sundaram bnp paribas gilt fund (app. option);13.1775;13.1775;13.1775;1-nov-
2006
101059;sundaram bnp paribas gilt fund (div. option);10.5389;10.5389;10.5389;1-
nov-2006

tata mutual fund


101902;tata gilt high fund - dividend opt;12.0654;11.9447;12.0654;1-nov-2006
102016;tata gilt high fund - growth;14.0082;13.8681;14.0082;1-nov-2006
102069;tata gilt retirement plan (28-2--06) growth;0.0000;0.0000;0.0000;1-nov-2006
101946;tata gilt retirement plan (28-2-04) div;0.0000;0.0000;0.0000;1-nov-2006
101164;tata gilt retirement plan (28-2-04) growth;0.0000;0.0000;0.0000;4-jan-2006
102070;tata gilt retirement plan (28-2-07) growth;10.3650;10.3132;10.3650;1-nov-
2006
101944;tata gilt retirement plan (28-2-08) div;10.4402;10.3880;10.4402;1-nov-2006
102079;tata gilt retirement plan (28-2-09) dividend;10.3963;10.3443;10.3963;1-nov-
2006
102062;tata gilt retirement plan (28-2-09) growth;10.4468;10.3946;10.4468;1-nov-
2006
102080;tata gilt retirement plan (28-2-10) dividend;10.4756;10.4232;10.4756;1-nov-
2006

102045;tata gilt retirement plan (28-2-10) growth;10.4448;10.3926;10.4448;1-nov-


2006
102067;tata gilt retirement plan (28-2-11) growth;10.4510;10.3987;10.4510;1-nov-
2006
102086;tata gilt retirement plan (28-2-13) dividend;10.5750;10.5221;10.5750;1-nov-
2006
101956;tata gilt retirement plan (28-2-13) growth;10.5026;10.4501;10.5026;1-nov-
2006
102088;tata gilt retirement plan (28-2-14) growth;0.0000;0.0000;0.0000;1-nov-2006
102126;tata gilt retirement plan (28-2-15) growth;10.3730;10.3211;10.3730;1-nov-
2006
102116;tata gilt retirement plan (28-2-16) growth;10.3518;10.3000;10.3518;1-nov-
2006
101927;tata gilt retirement plan (28-2-2006) dividend;0.0000;0.0000;0.0000;1-nov-
2006
101471;tata gilt retirement plan (28/2/2008) growth;10.3250;10.2734;10.3250;1-nov-
2006
101936;tata gilt retirement plan - 28/2/07 dividend
option;10.3715;10.3196;10.3715;1-nov-2006
101949;tata gilt retirement plan 28/2/05 dividend option;0.0000;0.0000;0.0000;4-
jan-2006
102048;tata gilt retirement plan 28/2/05 growth option;0.0000;0.0000;0.0000;4-jan-
2006
102047;tata gilt retirement plan 28/2/11 dividend option;0.0000;0.0000;0.0000;1-
nov-2006
101945;tata gilt retirement plan 28/2/25 growth option;10.3606;10.3088;10.3606;1-
nov-2006
102119;tata gilt retirement plan28/2/18 dividend option;0.0000;0.0000;0.0000;1-
nov-2006
102046;tata gilt retirement plan28/2/25 dividend option;10.3358;10.2841;10.3358;1-
nov-2006
101049;tata gilt securities fund - dividend;11.7303;11.7303;11.7303;1-nov-2006
101042;tata gilt securities fund - growth;22.8577;22.8577;22.8577;1-nov-2006
102263;tata gilt securities fund rip ( bonus);11.4124;11.4124;11.4124;1-nov-2006
101828;tata gilt securities short maturity fund -
dividend;10.1902;10.1902;10.1902;1-nov-2006
101883;tata gilt securities short maturity fund -
growth;11.8201;11.8201;11.8201;1-nov-2006

taurus mutual fund


101094;libra gilt fund-dividend;12.4008;12.3698;12.4008;1-nov-2006
101095;libra gilt fund-growth;12.7225;12.6907;12.7225;1-nov-2006

uti mutual fund


100812;uti - g-sec fund-growth;18.8737;18.8737;18.8737;1-nov-2006
100811;uti - g-sec fund-income;10.3864;10.3864;10.3864;1-nov-2006
100814;uti - g-sec fund-stp growth;11.4434;11.4434;11.4434;1-nov-2006
100813;uti - g-sec fund-stp income;10.48;10.48;10.48;1-nov-2006
102513;uti - gilt advantage-long term pf-( prescribed appreciation auto
redemption;11.2137;11.2137;11.2137;1-nov-2006
102511;uti - gilt advantage-long term pf-dividend;10.5272;10.5272;10.5272;1-nov-
2006
102512;uti - gilt advantage-long term pf-growth;11.1972;11.1972;11.1972;1-nov-2006
102514;uti - gilt advantage-long term pf-prescribed date auto
redemption;11.1998;11.1998;11.1998;1-nov-2006
102509;uti - gilt advantage-long term-dividend;10.5738;10.5738;10.5738;1-nov-2006
102510;uti - gilt advantage-long term-growth;15.0562;15.0562;15.0562;1-nov-2006

open ended schemes ( elss )

abn amro mutual fund


103446;abn amro tax advantage plan (elss)-dividend option;12.792;12.792;13.080;1-
nov-2006
103445;abn amro tax advantage plan (elss)-growth option;12.794;12.794;13.082;1-
nov-2006

birla sun life mutual fund


100067;birla equity plan dividend option;55.65;55.65;56.90;1-nov-2006
104331;birla equity plan growth option;10.58;10.58;10.82;1-nov-2006
103164;birla sun life relief 96;188.48;188.48;192.72;1-nov-2006

bob mutual fund


100068;bob elss 96;24.26;24.26;24.87;1-nov-2006

canbank mutual fund


100593;canequity - taxsaver;20.61;20.61;21.07;1-nov-2006

dbs chola mutual fund


103357;dbs chola tax saver fund-cumulative option;12.85;12.85;13.14;1-nov-2006
103356;dbs chola tax saver fund-dividend option;12.85;12.85;13.14;1-nov-2006

deutsche mutual fund


103559;dws tax saving fund-dividend;10.2597;10.2597;10.4905;1-nov-2006
103558;dws tax saving fund-growth;10.2597;10.2597;10.4905;1-nov-2006

escorts mutual fund


100174;escorts tax plan-dividend;14.5029;14.5029;14.8292;1-nov-2006
100175;escorts tax plan-growth;41.2012;41.2012;42.1282;1-nov-2006

fidelity mutual fund


103421;fidelity tax advantage fund-dividend option;11.576;11.576;11.836;1-nov-2006
103420;fidelity tax advantage fund-growth option;11.576;11.576;11.836;1-nov-2006

franklin templeton mutual fund


101037;franklin india index tax fund;29.3725;29.3725;29.6662;1-nov-2006
100525;franklin india taxshield-dividend;38.95;38.95;39.73;1-nov-2006
100526;franklin india taxshield-growth;123.53;123.53;126.00;1-nov-2006

hdfc mutual fund


100997;hdfc long term advantage fund formerly hdfc tax plan 2000-
dividend;44.427;44.427;45.427;1-nov-2006
100998;hdfc long term advantage fund formerly hdfc tax plan 2000-
growth;88.992;88.992;90.994;1-nov-2006
101980;hdfc taxsaver-dividend plan;67.174;67.174;68.685;1-nov-2006
101979;hdfc taxsaver-growth plan;140.405;140.405;143.564;1-nov-2006

ing vysya mutual fund


102317;ing vysya tax savings fund-bonus option;24.7600;24.7600;25.3200;1-nov-2006
102316;ing vysya tax savings fund-dividend option;16.1100;16.1100;16.4700;1-nov-
2006
102315;ing vysya tax savings fund-growth option;24.7200;24.7200;25.2800;1-nov-2006

kotak mahindra mutual fund


103338;kotak tax saver-scheme-dividend;12.915;12.915;13.206;1-nov-2006
103339;kotak tax saver-scheme-growth;12.915;12.915;13.206;1-nov-2006

lic mutual fund


100864;licmf taxplan-dividend;11.0430;11.0430;11.2639;1-nov-2006
100865;licmf taxplan-growth;25.1697;25.1697;25.6731;1-nov-2006

principal mutual fund


101815;principal personal tax saver fund;116.28;116.28;118.9;1-nov-2006
100156;principal tax saving fund;74.35;74.35;76.02;1-nov-2006

prudential icici mutual fund


100353;prudential icici tax plan-dividend; 29.50 ; 29.50 ; 30.16 ;1-nov-2006
100354;prudential icici tax plan-growth option; 91.89 ; 91.89 ; 93.96 ;1-nov-2006

reliance mutual fund


103197;reliance tax saver (elss) fund-dividend plan-dividend
option;13.62;13.62;13.93;1-nov-2006
103196;reliance tax saver (elss) fund-growth plan-growth
option;13.62;13.62;13.93;1-nov-2006

sahara mutual fund


100337;saharatax gain-dividend;17.3838;17.3838;17.7749;1-nov-2006

100338;saharatax gain-growth;19.9010;19.9010;20.3488;1-nov-2006

sbi mutual fund


103883;sbi mtgs 93;50.71;50.71;51.85;1-nov-2006

sundaram bnp paribas mutual fund


100614;sundaram bnp paribas tax saver oe - dividend;16.4303;16.4303;16.8000;1-nov-
2006
101853;sundaram bnp paribas taxsaver oe- app;25.4190;25.4190;25.9909;1-nov-2006

tata mutual fund


100474;tata tax saving fund;40.4101;40.4101;41.3193;1-nov-2006

taurus mutual fund


100480;taurus libra tax shield 96;16.89;16.89;17.27;1-nov-2006

uti mutual fund


100821;uti - etsp-growth option;29.92;29.92;30.59;1-nov-2006
100820;uti - etsp-income option;18.38;18.38;18.79;1-nov-2006

open ended schemes ( floating rate )

birla sun life mutual fund


101968;birla floating rate fund-long term plan-dividend;10.3733;10.3214;10.3733;1-
nov-2006
101969;birla floating rate fund-long term plan-growth;11.9508;11.8910;11.9508;1-
nov-2006
101972;birla floating rate fund-short term plan-daily
dividend;10.0015;10.0015;10.0015;1-nov-2006
101970;birla floating rate fund-short term plan-
dividend;10.3844;10.3844;10.3844;1-nov-2006
101971;birla floating rate fund-short term plan-growth;11.9557;11.9557;11.9557;1-
nov-2006
101973;birla floating rate fund-short term plan-institutional
dividend;10.0086;10.0086;10.0086;1-nov-2006
101976;birla floating rate fund-short term plan-institutional
growth;10.6349;10.6349;10.6349;1-nov-2006
101974;birla floating rate fund-short term plan-institutional weekly
dividend;10.0173;10.0173;10.0173;1-nov-2006

canbank mutual fund


102914;canfloating rate-short term plan-dividend;10.6736;10.6736;10.6736;1-nov-
2006
102913;canfloating rate-short term plan-growth;11.0980;11.0980;11.0980;1-nov-2006
102915;canfloating rate-short term plan-weekly dividend
reinvestment;10.2717;10.2717;10.2717;1-nov-2006

dbs chola mutual fund


102660;dbs chola floating rate fund-cumulative;11.2290;11.1953;11.2290;1-nov-2006
102659;dbs chola floating rate fund-dividend;10.3361;10.3051;10.3361;1-nov-2006

deutsche mutual fund


104233;dws floating rate fund - dividend plan - daily
dividend;10.0147;10.0147;10.0147;1-nov-2006
101943;dws floating rate fund-.-growth plan;11.7596;11.7596;11.7596;1-nov-2006
101938;dws floating rate fund-dividend plan-monthly
dividend;10.2514;10.2514;10.2514;1-nov-2006
101937;dws floating rate fund-dividend plan-weekly
dividend;10.3436;10.3436;10.3436;1-nov-2006

dsp merrill lynch mutual fund


103275;dsp merrill lynch floating rate fund - institutional plan-daily dividend
reinvest;1001.0600;1001.0600;1001.0600;1-nov-2006
103274;dsp merrill lynch floating rate fund - institutional plan-
dividend;n.a.;n.a.;n.a.;6-aug-2006
103277;dsp merrill lynch floating rate fund - institutional plan-
growth;1063.7846;1063.7846;1063.7846;1-nov-2006
103276;dsp merrill lynch floating rate fund - institutional plan-weekly dividend
reinvest;1001.9909;1001.9909;1001.9909;1-nov-2006
101840;dsp merrill lynch floating rate fund - regular plan-daily
dividend;10.0312;10.0312;10.0312;1-nov-2006
101839;dsp merrill lynch floating rate fund - regular plan-
dividend;10.2552;10.2552;10.2552;1-nov-2006
101837;dsp merrill lynch floating rate fund - regular plan-
growth;11.9953;11.9953;11.9953;1-nov-2006
101838;dsp merrill lynch floating rate fund - regular plan-weekly
dividend;10.0434;10.0434;10.0434;1-nov-2006

escorts mutual fund


103465;escorts floating rate fund-dividend option;10.3713;10.3713;10.3713;1-nov-
2006
103464;escorts floating rate fund-growth option;10.3713;10.3713;10.3713;1-nov-2006

franklin templeton mutual fund


101356;templeton floating rate income fund-long term plan-dividend
option;10.4199;10.3886;10.4199;1-nov-2006
101357;templeton floating rate income fund-long term plan-growth
option;13.0750;13.0358;13.0750;1-nov-2006
101359;templeton floating rate income fund-long term plan-institutional option -
dividend;10.3445;10.3186;10.3445;1-nov-2006
101358;templeton floating rate income fund-long term plan-institutional option -
growth;10.6870;10.6603;10.6870;1-nov-2006
101352;templeton floating rate income fund-short term plan-dividend
option;10.0141;10.0141;10.0141;1-nov-2006
101353;templeton floating rate income fund-short term plan-growth
option;13.0693;13.0693;13.0693;1-nov-2006
101355;templeton floating rate income fund-short term plan-institutional option -
dividend;10.0142;10.0142;10.0142;1-nov-2006
101354;templeton floating rate income fund-short term plan-institutional option -
growth;10.7064;10.7064;10.7064;1-nov-2006

hdfc mutual fund


101670;hdfc floating rate income fund-long term plan-
dividend;10.1994;10.1994;10.1994;1-nov-2006
101671;hdfc floating rate income fund-long term plan-
growth;12.0712;12.0712;12.0712;1-nov-2006

hsbc mutual fund


102831;hsbc floating rate fund - long term plan-institutional option-dividend -
monthly;10.0499;10.0499;10.0499;1-nov-2006
102830;hsbc floating rate fund - long term plan-institutional option-dividend -
weekly;10.2530;10.2530;10.2530;1-nov-2006
102829;hsbc floating rate fund - long term plan-institutional option-
growth;11.1707;11.1707;11.1707;1-nov-2006
102828;hsbc floating rate fund - long term plan-regular option-dividend -
monthly;10.0079;9.9579;10.0079;1-nov-2006
102827;hsbc floating rate fund - long term plan-regular option-
growth;11.1274;11.0718;11.1274;1-nov-2006
102836;hsbc floating rate fund - short term plan-institutional option-dividend -
daily;10.0132;10.0132;10.0132;1-nov-2006
102838;hsbc floating rate fund - short term plan-institutional option-dividend -
monthly;10.0263;10.0263;10.0263;1-nov-2006
102837;hsbc floating rate fund - short term plan-institutional option-dividend -
weekly;10.0315;10.0315;10.0315;1-nov-2006
102835;hsbc floating rate fund - short term plan-institutional option-
growth;11.1851;11.1851;11.1851;1-nov-2006
102840;hsbc floating rate fund - short term plan-institutional plus-dividend
daily;10.0262;10.0262;10.0262;1-nov-2006
102842;hsbc floating rate fund - short term plan-institutional plus-dividend
monthly;0.0000;0.0000;0.0000;1-nov-2006

102839;hsbc floating rate fund - short term plan-institutional plus-


growth;10.5982;10.5982;10.5982;1-nov-2006
102841;hsbc floating rate fund - short term plan-institutional plus-weekly
dividend;0.0000;0.0000;0.0000;1-nov-2006
102833;hsbc floating rate fund - short term plan-regular option-dividend -
daily;10.0000;10.0000;10.0000;1-nov-2006
102834;hsbc floating rate fund - short term plan-regular option-dividend -
weekly;10.0107;10.0107;10.0107;1-nov-2006
102832;hsbc floating rate fund - short term plan-regular option-
growth;11.1419;11.1419;11.1419;1-nov-2006

ing vysya mutual fund


102802;ing vysya floating rate fund-annual dividend
option;10.5055;10.5055;10.5055;1-nov-2006
102803;ing vysya floating rate fund-bonus option;11.2075;11.2075;11.2075;1-nov-
2006
102804;ing vysya floating rate fund-daily dividend
option;10.0138;10.0138;10.0138;1-nov-2006
102798;ing vysya floating rate fund-growth plan;11.2075;11.2075;11.2075;1-nov-
2006
102801;ing vysya floating rate fund-half yearly dividend
option;10.2240;10.2240;10.2240;1-nov-2006
102800;ing vysya floating rate fund-quarterly dividend
option;10.2608;10.2608;10.2608;1-nov-2006
102799;ing vysya floating rate fund-weekly dividend
option;10.2182;10.2182;10.2182;1-nov-2006

kotak mahindra mutual fund


102591;kotak floater long-term-growth;11.3375;11.3375;11.3375;1-nov-2006
102592;kotak floater long-term-monthly dividend;10.0398;10.0398;10.0398;1-nov-2006
102590;kotak floater long-term-weekly dividend;10.0366;10.0366;10.0366;1-nov-2006

reliance mutual fund


102676;reliance floating rate fund-dividend plan-daily dividend
option;10.0618;10.0618;10.0618;1-nov-2006
102675;reliance floating rate fund-dividend plan-dividend
option;10.141;10.141;10.141;1-nov-2006
102677;reliance floating rate fund-dividend plan-weekly dividend
option;10.0866;10.0866;10.0866;1-nov-2006
102673;reliance floating rate fund-growth-growth option;11.3035;11.3035;11.3035;1-
nov-2006

sbi mutual fund


102508;sbi magnum income fund - f r p - long term - inst.
(d);10.4441;10.4441;10.4441;1-nov-2006
102507;sbi magnum income fund - f r p - long term - inst.
(g);11.3089;11.3089;11.3089;1-nov-2006
102506;sbi magnum income fund - f r p - long term - regular
(d);10.2801;10.2287;10.2801;1-nov-2006
102505;sbi magnum income fund - f r p - long term - regular
(g);11.2094;11.1534;11.2094;1-nov-2006
102504;sbi magnum income fund - f r p - short term (d);10.0688;10.0487;10.0688;1-
nov-2006
102503;sbi magnum income fund - f r p - short term -
(g);11.2945;11.2719;11.2945;1-nov-2006
102860;sbi magnum income fund - f r p - short term - weekly
(d);10.1927;10.1723;10.1927;1-nov-2006

standard chartered mutual fund


101630;grindlays floating rate fund - growth;12.0688;12.0688;12.0688;1-nov-2006
101631;grindlays floating rate fund- dividend monthly;10.0295;10.0295;10.0295;1-
nov-2006

sundaram bnp paribas mutual fund


100792;sundaram bnp paribas floating rate-long term plan institutional -
growth;11.0086;11.0086;11.0086;1-nov-2006
100790;sundaram bnp paribas floating rate-long term plan institutional - monthly
dividend;10.2271;10.2271;10.2271;1-nov-2006
100791;sundaram bnp paribas floating rate-long term plan institutional - quarterly
dividend;0.0000;0.0000;0.0000;1-nov-2006
100788;sundaram bnp paribas floating rate-long term plan regular - annual
dividend;10.2112;10.2112;10.2112;1-nov-2006
100789;sundaram bnp paribas floating rate-long term plan regular -
growth;11.0109;11.0109;11.0109;1-nov-2006
100787;sundaram bnp paribas floating rate-long term plan regular - half yearly
dividend;10.2149;10.2149;10.2149;1-nov-2006
100785;sundaram bnp paribas floating rate-long term plan regular - monthly
dividend;10.2240;10.2240;10.2240;1-nov-2006
100786;sundaram bnp paribas floating rate-long term plan regular - quarterly
dividend;10.2141;10.2141;10.2141;1-nov-2006
100782;sundaram bnp paribas floating rate-short term plan - institutional daily
dividend;10.0519;10.0519;10.0519;1-nov-2006
100784;sundaram bnp paribas floating rate-short term plan - institutional
growth;11.1383;11.1383;11.1383;1-nov-2006
100793;sundaram bnp paribas floating rate-short term plan - institutional monthly
dividend;10.1829;10.1829;10.1829;1-nov-2006
100783;sundaram bnp paribas floating rate-short term plan - institutional weekly
dividend;0.0000;0.0000;0.0000;1-nov-2006
100781;sundaram bnp paribas floating rate-short term plan regular -
growth;11.0340;11.0340;11.0340;1-nov-2006
100780;sundaram bnp paribas floating rate-sundaram floating rate -short term plan
regular monthly;10.1608;10.1608;10.1608;1-nov-2006

tata mutual fund


103160;tata floater fund daily dividend;10.0037;10.0037;10.0537;1-nov-2006
103159;tata floater fund growth;10.6955;10.6955;10.7490;1-nov-2006
103158;tata floater fund weekly dividend;10.0703;10.0703;10.1207;1-nov-2006
102155;tata floating rate fund - long term growth;11.2655;11.2655;11.2655;1-nov-
2006
102154;tata floating rate fund - long term option bonus/
dividend;10.2830;10.2830;10.2830;1-nov-2006
102152;tata floating rate fund - short term option bonus/
dividend;10.1508;10.1508;10.1508;1-nov-2006
102153;tata floating rate fund - short term option
growth;11.6325;11.6325;11.6325;1-nov-2006
101714;tata floating short term institutional plan
(dividend);10.0055;10.0055;10.0055;1-nov-2006
102672;tata floating short term institutional plan
(growth);11.3373;11.3373;11.3373;1-nov-2006

uti mutual fund


102531;uti - floating rate stp-dividend;1014.4228;1014.4228;1014.4228;1-nov-2006
102532;uti - floating rate stp-growth;1187.4557;1187.4557;1187.4557;1-nov-2006

open ended schemes ( fund of funds )

birla sun life mutual fund


102184;birla asset allocation fund-aggressive plan-dividend
plan;19.7419;19.7419;19.7419;1-nov-2006
102185;birla asset allocation fund-aggressive plan-growth
plan;19.7419;19.7419;19.7419;1-nov-2006
102188;birla asset allocation fund-conservative plan-dividend
plan;13.8092;13.8092;13.8092;1-nov-2006
102189;birla asset allocation fund-conservative plan-growth
plan;13.8092;13.8092;13.8092;1-nov-2006

102186;birla asset allocation fund-moderate plan-dividend


plan;17.1690;17.1690;17.1690;1-nov-2006
102187;birla asset allocation fund-moderate plan-growth
plan;17.1690;17.1690;17.1690;1-nov-2006
fidelity mutual fund
103419;fidelity multimanager cash fund-dividend re-investment
option;10.0078;10.0078;10.0078;31-oct-2006
103418;fidelity multimanager cash fund-growth option;10.5104;10.5104;10.5104;31-
oct-2006

franklin templeton mutual fund


101657;ft india dynamic pe ratio fund of funds-dividend;24.1616;24.1616;24.7052;1-
nov-2006
101656;ft india dynamic pe ratio fund of funds-growth;24.1616;24.1616;24.7052;1-
nov-2006
102108;ft india life stage fund of funds - the 20s plan
(d);22.4290;22.4290;22.8776;1-nov-2006
102107;ft india life stage fund of funds - the 20s plan
(g);22.4290;22.4290;22.8776;1-nov-2006
102110;ft india life stage fund of funds - the 30s plan
(d);17.9382;17.9382;18.2073;1-nov-2006
102109;ft india life stage fund of funds - the 30s plan
(g);17.9382;17.9382;18.2073;1-nov-2006
102111;ft india life stage fund of funds - the 40s plan
(d);13.7503;13.7503;13.8878;1-nov-2006
102112;ft india life stage fund of funds - the 40s plan
(g);15.1594;15.1594;15.3110;1-nov-2006
102113;ft india life stage fund of funds - the 50+s plan
(d);11.8089;11.8089;11.8679;1-nov-2006
102114;ft india life stage fund of funds - the 50+s plan
(g);12.9332;12.9332;12.9979;1-nov-2006
102547;ft india life stage fund of funds - the 50s plus flo
(gro);13.2984;13.2984;13.3649;1-nov-2006
102546;ft india life stage fund of funds the 50s plus flo
(div);12.0957;12.0957;12.1562;1-nov-2006

ing vysya mutual fund


104174;optimix asset allocator multi-manager fof scheme -
dividend;11.9414;11.9414;12.2399;1-nov-2006
104175;optimix asset allocator multi-manager fof scheme -
growth;11.9414;11.9414;12.2399;1-nov-2006
103739;optimix income growth multi-manager fof scheme-15% equity plan-
dividend;10.4039;10.4039;10.5079;1-nov-2006
103740;optimix income growth multi-manager fof scheme-15% equity plan-
growth;10.4039;10.4039;10.5079;1-nov-2006
103741;optimix income growth multi-manager fof scheme-30% equity plan-
dividend;10.2875;10.2875;10.3904;1-nov-2006
103742;optimix income growth multi-manager fof scheme-30% equity plan-
growth;10.2875;10.2875;10.3904;1-nov-2006

kotak mahindra mutual fund


102573;kotak equity-fof-dividend;23.908;23.908;24.446;31-oct-2006
102574;kotak equity-fof-growth;23.908;23.908;24.446;31-oct-2006

prudential icici mutual fund


102133;prudential icici aggressive plan; 20.0329 ; 20.0329 ; 20.3334 ;1-nov-2006
102134;prudential icici aggressive plan-dividend option; 20.0329 ; 20.0329 ;
20.3334 ;1-nov-2006
102139;prudential icici cautious plan; 13.1322 ; 13.1322 ; 13.1322 ;1-nov-2006
102140;prudential icici cautious plan-dividend option; 13.1322 ; 13.1322 ; 13.1322
;1-nov-2006
102137;prudential icici moderate plan; 16.6451 ; 16.6451 ; 16.8115 ;1-nov-2006
102138;prudential icici moderate plan-dividend option; 16.6451 ; 16.6451 ; 16.8115
;1-nov-2006
102135;prudential icici very aggressive plan; 23.8285 ; 23.8285 ; 24.2455 ;1-nov-
2006
102136;prudential icici very aggressive plan-dividend option; 23.8285 ; 23.8285 ;
24.2455 ;1-nov-2006
102141;prudential icici very cautious plan; 11.5873 ; 11.5873 ; 11.5873 ;1-nov-
2006
102143;prudential icici very cautious plan-dividend option; 11.5873 ; 11.5873 ;
11.5873 ;1-nov-2006

standard chartered mutual fund


102736;standard chartered all seasons bond fund-plan a-dividend -
annual;10.5505;10.5505;10.5505;1-nov-2006
102735;standard chartered all seasons bond fund-plan a-dividend - half
yearly;10.2733;10.2733;10.2733;1-nov-2006
102733;standard chartered all seasons bond fund-plan a-dividend -
quarterly;10.2403;10.2403;10.2403;1-nov-2006
102734;standard chartered all seasons bond fund-plan a-
growth;11.1411;11.1411;11.1411;1-nov-2006

close ended schemes ( income )

abn amro mutual fund


103503;abn amro fixed term plan - series 1 - regular plan-regular plan-dividend
option;10.5369;10.5369;10.5369;1-nov-2006
103502;abn amro fixed term plan - series 1 - regular plan-regular plan-growth
option;10.5369;10.5369;10.5369;1-nov-2006
103583;abn amro fixed term plan - series 2 - thirteen month plan-dividend
option;10.5078;10.1926;10.5078;1-nov-2006
103582;abn amro fixed term plan - series 2 - thirteen month plan-growth
option;10.5078;10.1926;10.5078;1-nov-2006
104120;abn amro fixed term plan - series 2: quarterly plan e - dividend
option;10.0000;9.7000;10.0000;19-oct-2006
104119;abn amro fixed term plan - series 2: quarterly plan e - growth
option;10.1748;9.8696;10.1748;19-oct-2006
104152;abn amro fixed term plan - series 3 - quarterly plan a - dividend
option;10.0847;9.7822;10.0847;1-nov-2006
104153;abn amro fixed term plan - series 3 - quarterly plan a - growth
option;10.1653;9.8603;10.1653;1-nov-2006
104214;abn amro fixed term plan - series 3: quarterly plan b - dividend
option;10.0844;9.7819;10.0844;1-nov-2006
104213;abn amro fixed term plan - series 3: quarterly plan b - growth
option;10.1247;9.8210;10.1247;1-nov-2006
104250;abn amro fixed term plan � series 3: quarterly plan c - dividend
option;10.0963;9.7934;10.0963;1-nov-2006
104249;abn amro fixed term plan � series 3: quarterly plan c - growth
option;10.0963;9.7934;10.0963;1-nov-2006
104303;abn amro fixed term plan � series 3: quarterly plan d - dividend
option;10.0731;9.7709;10.0731;1-nov-2006
104302;abn amro fixed term plan � series 3: quarterly plan d - growth
option;10.0731;9.7709;10.0731;1-nov-2006
104366;abn amro fixed term plan � series 3: quarterly plan e - dividend
option;10.0268;9.7260;10.0268;1-nov-2006
104365;abn amro fixed term plan � series 3: quarterly plan e - growth
option;10.0268;9.7260;10.0268;1-nov-2006
104191;abn amro fixed term plan � series 3: yearly plan a - dividend
option;10.1222;9.8185;10.1222;1-nov-2006
104190;abn amro fixed term plan � series 3: yearly plan a - growth
option;10.1496;9.8451;10.1496;1-nov-2006
103779;abn amro fixed term plan- series 2 - half-yearly plan a-dividend
option;10.0000;9.7000;10.0000;30-oct-2006

103778;abn amro fixed term plan- series 2 - half-yearly plan a-growth


option;10.3652;10.0542;10.3652;30-oct-2006

birla sun life mutual fund


103075;birla fixed term debt fund - series 1-18 months-
dividend;10.8555;10.7469;0.0000;1-nov-2006
103076;birla fixed term debt fund - series 1-18 months-
growth;10.8555;10.7469;0.0000;1-nov-2006
103077;birla fixed term debt fund - series 1-36 months-
dividend;10.7708;10.5554;0.0000;1-nov-2006
103078;birla fixed term debt fund - series 1-36 months-
growth;10.7708;10.5554;0.0000;1-nov-2006
103115;birla fixed term debt fund series 2-18 months-
dividend;10.8140;10.7059;0.0000;1-nov-2006
103116;birla fixed term debt fund series 2-18 months-
growth;10.8140;10.7059;0.0000;1-nov-2006
103141;birla fixed term debt fund series 3-18 months-
dividend;10.7182;10.6110;0.0000;1-nov-2006
103142;birla fixed term debt fund series 3-18 months-
growth;10.7182;10.6110;0.0000;1-nov-2006
103143;birla fixed term debt fund series 3-36 months-
dividend;10.5697;10.3583;0.0000;1-nov-2006
103144;birla fixed term debt fund series 3-36 months-
growth;10.5697;10.3583;0.0000;1-nov-2006
102923;birla fixed term plan - series a-dividend;10.8451;10.5197;0.0000;7-jun-2006
102924;birla fixed term plan - series a-growth;10.8451;10.5197;0.0000;7-jun-2006
102927;birla fixed term plan - series b-dividend;10.6872;10.6872;0;24-mar-2006
102928;birla fixed term plan - series b-growth;10.6872;10.6872;0;24-mar-2006
102990;birla fixed term plan - series c-dividend;10.7690;10.6613;0.0000;21-jun-
2006
102991;birla fixed term plan - series c-growth;10.7690;10.6613;0.0000;21-jun-2006
103345;birla fixed term plan - series d-dividend;0.0000;0.0000;0.0000;21-jun-2006
103346;birla fixed term plan - series d-growth;10.5719;10.4662;0.0000;1-nov-2006
103466;birla fixed term plan - series e-dividend;10.5182;10.4130;0.0000;1-nov-2006
103467;birla fixed term plan - series e-growth;10.5182;10.4130;0.0000;1-nov-2006
103690;birla fixed term plan - series g-dividend;0.0000;0.0000;0.0000;21-jun-2006
103691;birla fixed term plan - series g-growth;10.4999;10.2899;0.0000;1-nov-2006
103692;birla fixed term plan - series h-dividend;10.5220;10.4168;0.0000;1-nov-2006
103693;birla fixed term plan - series h-growth;10.5220;10.4168;0.0000;1-nov-2006
104151;birla fixed term plan quarterly series 3-dividend;10.0021;9.9521;0.0000;1-
nov-2006
104150;birla fixed term plan quarterly series 3-growth;10.0000;9.9500;0.0000;1-
nov-2006
103541;birla fixed term plan series-f-dividend;10.5259;10.4206;0.0000;1-nov-2006
103542;birla fixed term plan series-f-growth;10.5259;10.4206;0.0000;1-nov-2006
103506;birla fixed term plan-quarterly series 1-dividend;10.0000;9.9500;0.0000;17-
may-2006
103507;birla fixed term plan-quarterly series 1-growth;10.1820;10.1311;0.0000;17-
may-2006
103552;birla fixed term plan-quarterly series 2-dividend;10.0000;9.9500;0.0000;7-
jun-2006
103553;birla fixed term plan-quarterly series 2-growth;10.2026;10.1516;0.0000;7-
jun-2006
104149;birla fixed term plan series-l-dividend;10.1858;10.1349;0.0000;1-nov-2006
104148;birla fixed term plan series-l-growth;10.1858;10.1349;0.0000;1-nov-2006

dbs chola mutual fund


103538;dbs chola fixed maturity plan - 14 months-cumulative
option;10.5378;10.3270;10.5378;1-nov-2006
103537;dbs chola fixed maturity plan - 14 months-dividend payout
option;10.5378;10.3270;10.5378;1-nov-2006
103403;dbs chola fixed maturity plan - series 1 (annual plan)-
cumulative;10.5912;10.3794;10.5912;1-nov-2006
103402;dbs chola fixed maturity plan - series 1 (annual plan)-dividend
payout;10.5912;10.3794;10.5912;1-nov-2006
104328;dbs chola fixed maturity plan � series 5 (quarterly plan � i)-
cumulative;10.0550;10.0047;10.0550;1-nov-2006
104327;dbs chola fixed maturity plan � series 5 (quarterly plan � i)-dividend
payout;10.0550;10.0047;10.0550;1-nov-2006
104341;dbs chola fixed maturity plan � series 5 (quarterly plan � ii)-
cumulative;10.0436;9.9934;10.0436;1-nov-2006
104340;dbs chola fixed maturity plan � series 5 (quarterly plan � ii)-
dividend;10.0436;9.9934;10.0436;1-nov-2006

deutsche mutual fund


104238;dws fixed term fund - series 12 - dividend option;10.1198;9.8162;0.0000;1-
nov-2006
104237;dws fixed term fund - series 12 - growth option;10.1198;9.8162;0.0000;1-
nov-2006
104235;dws fixed term fund - series 15 - dividend option;10.1314;9.9288;0.0000;1-
nov-2006
104236;dws fixed term fund - series 15 - growth option;10.1314;9.9288;0.0000;1-
nov-2006
104014;dws fixed term fund sr 10 - dividend;10.2968;9.9879;0.0000;1-nov-2006
104015;dws fixed term fund sr 10 - growth;10.2968;9.9879;0.0000;1-nov-2006
104307;dws fixed term fund series 13- growth option;10.0706;9.7685;0.0000;1-nov-
2006
104306;dws fixed term fund series 13-dividend option;10.0706;9.7685;0.0000;1-nov-
2006
103105;dws fixed term fund series 3-dividend;10.0000;9.8000;0.0000;21-aug-2006
103104;dws fixed term fund series 3-growth;10.6148;10.4025;0.0000;21-aug-2006
103378;dws fixed term fund sr 4-dividend;10.5274;10.2116;0.0000;1-nov-2006
103377;dws fixed term fund sr 4-growth;10.5274;10.2116;0.0000;1-nov-2006
103123;dws fixed trem fund series 2-deutsche fixed term fund series 2-
dividend;10.6189;10.4065;0.0000;12-jul-2006
103124;dws fixed trem fund series 2-deutsche fixed term fund series 2-
growth;10.6189;10.4065;0.0000;12-jul-2006

dsp merrill lynch mutual fund


103608;dsp merrill lynch fixed term plan - series 1c-
dividend;1000.2214;1000.2214;1000.2214;29-jun-2006
103607;dsp merrill lynch fixed term plan - series 1c-
growth;1022.8214;1015.1502;1022.8214;29-jun-2006
104071;dsp merrill lynch fixed term plan - series 1d -
growth;1016.9251;1009.2982;1016.9251;27-sep-2006
104070;dsp merrill lynch fixed term plan - series id -
dividend;1016.9251;1009.2982;1016.9251;27-sep-2006
103509;dsp merrill lynch fixed term plan - series 2-
dividend;10.0048;9.9048;10.0048;16-aug-2006
103508;dsp merrill lynch fixed term plan - series 2-
growth;10.3670;10.2633;10.3670;16-aug-2006
103664;dsp merrill lynch fixed term plan - series 3a-
dividend;1054.094;1033.0121;1054.094;1-nov-2006

103665;dsp merrill lynch fixed term plan - series 3a-


growth;1054.094;1033.0121;1054.094;1-nov-2006

franklin templeton mutual fund


103056;franklin templeton fixed tenure fund-series i(60 month plan)-
dividend;11.8732;11.5170;11.8732;1-nov-2006
103055;franklin templeton fixed tenure fund-series i(60 month plan)-
growth;12.9587;12.5699;12.9587;1-nov-2006
103580;franklin templeton fixed tenure fund-series v-13 months plan-dividend
plan;10.5417;10.3836;10.5417;1-nov-2006
103579;franklin templeton fixed tenure fund-series v-13 months plan-growth
plan;10.5417;10.3836;10.5417;1-nov-2006
104079;franklin templeton fixed tenure fund - series vi (60 months plan) - annual
dividend plan;10.6466;10.2207;10.6466;1-nov-2006
104078;franklin templeton fixed tenure fund - series vi (60 months plan) - growth
plan;10.6466;10.2207;10.6466;1-nov-2006
103203;franklin templeton fixed tenure fund-seriesii (60monthsplan)-annual
dividend plan;10.7444;10.4221;10.7444;1-nov-2006
103202;franklin templeton fixed tenure fund-seriesii (60monthsplan)-growth
plan;11.7547;11.4021;11.7547;1-nov-2006
103549;franklin templeton fixed tenure fund-seriesiv(60monthsplan)-annual dividend
plan;10.8350;10.4016;10.8350;1-nov-2006
103548;franklin templeton fixed tenure fund-seriesiv(60monthsplan)-growth
plan;10.8350;10.4016;10.8350;1-nov-2006
103359;franklin templeton fixed tenure fund�series iii (36 months)-annual
dividend;11.0023;10.7272;11.0023;1-nov-2006
103358;franklin templeton fixed tenure fund�series iii (36 months)-
growth;11.0023;10.7272;11.0023;1-nov-2006

hdfc mutual fund


104180;hdfc fmp 13m august 2006 ip - dividend;10.1218;10.0206;0;1-nov-2006
104181;hdfc fmp 13m august 2006 ip - growth;10.1218;10.0206;0;1-nov-2006
104183;hdfc fmp 13m august 2006 retail - dividend;10.1159;10.0147;0;1-nov-2006
104182;hdfc fmp 13m august 2006 retail - growth;10.1159;10.0147;0;1-nov-2006
104101;hdfc fmp 13m july 2006-ip-dividend;10.25294103;10.1504;0;1-nov-2006
104104;hdfc fmp 13m july 2006-ip-growth;10.25294103;10.1504;0;1-nov-2006
104103;hdfc fmp 13m july 2006-retail-dividend;10.24183712;10.1394;0;1-nov-2006
104102;hdfc fmp 13m july 2006-retail-growth;10.24183712;10.1394;0;1-nov-2006
104022;hdfc fmp 13m june 2006-ip-dividend;10.0787;9.9779;0;25-jul-2006
104020;hdfc fmp 13m june 2006-ip-growth;10.2859085;10.183;0;1-nov-2006
104021;hdfc fmp 13m june 2006-retail-dividend;10.2859085;10.183;0;1-nov-2006
104023;hdfc fmp 13m june 2006-retail-grwoth;10.2859085;10.183;0;1-nov-2006
103701;hdfc fmp 13m march 2006-institutional plan-dividend;10.5205994;10.4154;0;1-
nov-2006
103700;hdfc fmp 13m march 2006-institutional plan-grwoth;10.5205994;10.4154;0;1-
nov-2006
103702;hdfc fmp 13m march 2006-retail plan-growth;10.5205994;10.4154;0;1-nov-2006
103703;hdfc fmp 13m march 2006-retail plan-retail;10.5205994;10.4154;0;1-nov-2006
104325;hdfc fmp 13m september 2006 ip - dividend;10.0672;9.9665;0;1-nov-2006
104323;hdfc fmp 13m september 2006 ip - growth;10.0672;9.9665;0;1-nov-2006
104326;hdfc fmp 13m september 2006 retail - dividend;10.0672;9.9665;0;1-nov-2006
104324;hdfc fmp 13m september 2006 retail - growth;10.0672;9.9665;0;1-nov-2006
104184;hdfc fmp 26m august 2006 ip - dividend;10.1291;10.0278;0;1-nov-2006
104185;hdfc fmp 26m august 2006 ip - growth;10.1229;10.0216;0;1-nov-2006
104186;hdfc fmp 26m august 2006 retail - dividend;10.1229;10.0216;0;1-nov-2006
104187;hdfc fmp 26m august 2006 retail - growth;10.1291;10.0278;0;1-nov-2006
104173;hdfc fmp 3m august 2006 ip- dividend;10.15751612;10.0559;0;1-nov-2006
104170;hdfc fmp 3m august 2006 ip- growth;10.15751612;10.0559;0;1-nov-2006
104171;hdfc fmp 3m august 2006 retail - dividend;10.15751612;10.0559;0;1-nov-2006
104172;hdfc fmp 3m august 2006 retail - growth;10.15751612;10.0559;0;1-nov-2006
104096;hdfc fmp 3m july 2006-ip-dividend;10.0017;9.9017;0;31-oct-2006
104095;hdfc fmp 3m july 2006-ip-growth;10.17;10.0683;0;31-oct-2006
104094;hdfc fmp 3m july 2006-retail-div;10.0017;9.9017;0;31-oct-2006
104093;hdfc fmp 3m july 2006-retail-growth;10.17;10.0683;0;31-oct-2006
104025;hdfc fmp 3m june-ip-dividend;10.0019;10.0019;0;27-sep-2006
104024;hdfc fmp 3m june-ip-growth;10.1729;10.1729;0;27-sep-2006
104027;hdfc fmp 3m june-retail-dividend;10.0019;10.0019;0;27-sep-2006
104026;hdfc fmp 3m june-retail-growth;10.1729;10.1729;0;27-sep-2006
103697;hdfc fmp 3m march 2006-institutional plan-dividend;0;0;0;28-jun-2006
103696;hdfc fmp 3m march 2006-institutional plan-growth;0;0;0;28-jun-2006
103699;hdfc fmp 3m march 2006-retail plan-dividend;0;0;0;28-jun-2006
103698;hdfc fmp 3m march 2006-retail plan-growth;0;0;0;28-jun-2006
100283;hdfc fmp 3m may 2006(1)-institutional plan-dividend;10.0017;9.9017;0;10-
aug-2006
100282;hdfc fmp 3m may 2006(1)-institutional plan-growth;10.0017;9.9017;0;10-aug-
2006
100285;hdfc fmp 3m may 2006(1)-retail-dividend;10.0017;9.9017;0;10-aug-2006
100284;hdfc fmp 3m may 2006(1)-retail-growth;10.0017;9.9017;0;10-aug-2006
104278;hdfc fmp 3m september 2006 ip - dividend;10.0682;9.9675;0;1-nov-2006
104279;hdfc fmp 3m september 2006 ip - growth;10.0682;9.9675;0;1-nov-2006
104276;hdfc fmp 3m september 2006 retail - dividend;10.0682;9.9675;0;1-nov-2006
104277;hdfc fmp 3m september 2006 retail - growth;10.0682;9.9675;0;1-nov-2006
104098;hdfc fmp 6m july 2006 ip-dividend;10.1744;10.0727;0;1-nov-2006
104100;hdfc fmp 6m july 2006 ip-growth;10.1744;10.0727;0;1-nov-2006
104099;hdfc fmp 6m july 2006 retail-dividend;10.1744;10.0727;0;1-nov-2006
104097;hdfc fmp 6m july 2006 retail-growth;10.1744;10.0727;0;1-nov-2006
104017;hdfc fmp 6m june 2006-ip-dividend;10.2677;10.165;0;1-nov-2006
104016;hdfc fmp 6m june 2006-ip-growth;10.2677;10.165;0;1-nov-2006
104018;hdfc fmp 6m june 2006-retail-dividend;10.2677;10.165;0;1-nov-2006
104019;hdfc fmp 6m june 2006-retail-growth;10.2677;10.165;0;1-nov-2006

hsbc mutual fund


103315;hsbc fixed term series - i-dividend;10.5443;10.1225;0.0000;1-nov-2006
103314;hsbc fixed term series - i-growth;10.5443;10.1225;0.0000;1-nov-2006

103405;hsbc fixed term series - ii-dividend;10.5406;10.1190;0.0000;1-nov-2006


103404;hsbc fixed term series - ii-growth;10.5406;10.1190;0.0000;1-nov-2006
103630;hsbc fixed term series - iii-dividend;10.0018;9.9018;0.0000;7-sep-2006
103629;hsbc fixed term series - iii-growth;10.4106;10.3065;0.0000;7-sep-2006
103673;hsbc fixed term series - iv-dividend;10.5541;10.3430;0.0000;1-nov-2006
103672;hsbc fixed term series - iv-growth;10.5541;10.3430;0.0000;1-nov-2006
103442;hsbc fixed term series - v-dividend;10.5434;10.1217;0.0000;1-nov-2006
103441;hsbc fixed term series - v-growth;10.5434;10.1217;0.0000;1-nov-2006
103618;hsbc fixed term series - vi-dividend;10.5181;10.0974;0.0000;1-nov-2006
103617;hsbc fixed term series - vi-growth;10.5181;10.0974;0.0000;1-nov-2006
103620;hsbc fixed term series - vii-dividend;10.0007;9.9007;0.0000;23-may-2006
103619;hsbc fixed term series - vii-growth;10.1850;10.0832;0.0000;23-may-2006
103677;hsbc fixed term series - viii-dividend;10.0011;9.9511;0;22-jun-2006
103676;hsbc fixed term series - viii-growth;10.212;10.1609;0;22-jun-2006
104196;hsbc fixed term series 14 dividend;10.1450;9.9421;0.0000;1-nov-2006
104195;hsbc fixed term series 14 growth;10.1450;9.9421;0.0000;1-nov-2006
104285;hsbc fixed term series 15 institutional dividend;10.0825;9.8808;0.0000;1-
nov-2006
104286;hsbc fixed term series 15 institutional growth;10.0825;9.8808;0.0000;1-nov-
2006
104284;hsbc fixed term series 15 regular dividend;10.0786;9.8770;0.0000;1-nov-2006
104287;hsbc fixed term series 15 regular growth;10.0786;9.8770;0.0000;1-nov-2006
104048;hsbc fixed term series ix dividend;10.2705;10.0651;0.0000;1-nov-2006
104046;hsbc fixed term series ix growth;10.2705;10.0651;0.0000;1-nov-2006
103718;hsbc fixed term series xiii-institutional-dividend;0.0000;0.0000;0.0000;1-
nov-2006
103717;hsbc fixed term series xiii-institutional-growth;10.5127;10.3024;0.0000;1-
nov-2006
103716;hsbc fixed term series xiii-regular-dividend;10.4854;10.2757;0.0000;1-nov-
2006
103715;hsbc fixed term series xiii-regular-growth;10.4854;10.2757;0.0000;1-nov-
2006

ing vysya mutual fund


102899;ing vysya fixed maturity fund - series ii-dividend
option;10.7527;10.7527;10.7527;28-apr-2006
102898;ing vysya fixed maturity fund - series ii-growth
option;10.7527;10.7527;10.7527;28-apr-2006
102959;ing vysya fixed maturity fund - series iii-dividend
option;10.6658;10.6658;10.6658;20-apr-2006
102958;ing vysya fixed maturity fund - series iii-growth
option;10.6658;10.6658;10.6658;20-apr-2006
102822;ing vysya fixed maturity fund - series iv-dividend
option;10.1582;10.1582;10.1582;27-feb-2006
102821;ing vysya fixed maturity fund - series iv-growth
option;10.1582;10.1582;10.1582;27-feb-2006
103572;ing vysya fixed maturity fund - series vi-bonus
option;10.0000;10.0000;10.0000;1-nov-2006
103571;ing vysya fixed maturity fund - series vi-dividend
option;10.5512;10.5512;10.5512;1-nov-2006
103570;ing vysya fixed maturity fund - series vi-growth
option;10.5512;10.5512;10.5512;1-nov-2006
104085;ing vysya fixed maturity fund-seriesxi - bonus
option;10.0000;10.0000;10.0000;5-oct-2006
104084;ing vysya fixed maturity fund-seriesxi - dividend
option;10.1827;10.1827;10.1827;5-oct-2006
104083;ing vysya fixed maturity fund-seriesxi - growth
option;10.1827;10.1827;10.1827;5-oct-2006
104132;ing vysya fixed maturity fund - series xv - bonus
option;10.0000;10.0000;10.0000;1-nov-2006
104131;ing vysya fixed maturity fund - series xv - dividend
option;10.1106;10.1106;10.1106;1-nov-2006
104130;ing vysya fixed maturity fund - series xv - growth
option;10.2213;10.2213;10.2213;1-nov-2006
104193;ing vysya fixed maturity fund-series xiv-bonus
option;10.0000;10.0000;10.0000;1-nov-2006
104194;ing vysya fixed maturity fund-series xiv-dividend
option;10.0972;10.0972;10.0972;1-nov-2006
104192;ing vysya fixed maturity fund-series xiv-growth
option;10.1506;10.1506;10.1506;1-nov-2006
104001;ing vysya fixed maturity series vii - bonus;10.0000;10.0000;10.0000;1-nov-
2006
104000;ing vysya fixed maturity series vii - dividend;10.3021;10.3021;10.3021;1-
nov-2006
103999;ing vysya fixed maturity series vii - growth;10.3021;10.3021;10.3021;1-nov-
2006
jm financial mutual fund
104203;jm fmf- series iii - quarterly plan (fmf - q2) -
dividend;10.1293;10.0280;10.1293;1-nov-2006
104204;jm fmf- series iii - quarterly plan (fmf - q2) -
growth;10.1293;10.0280;10.1293;1-nov-2006
104353;jm fixed maturity fund series iii - monthly plan (fmf m2) - dividend
option;10.0312;9.9309;9.9309;1-nov-2006
104354;jm fixed maturity fund series iii - monthly plan (fmf m2)- growth
option;10.0312;9.9309;9.9309;1-nov-2006
104355;jm fixed maturity fund series iii - quarterly plan (fmf q3) - growth
option;10.0289;9.9286;10.0289;1-nov-2006
104356;jm fixed maturity fund series iii - quarterly plan (fmf q3)- dividend
option;10.0289;9.9286;10.0289;1-nov-2006
103653;jm fmf series ii - yearly "a"-growth plan;10.5173;10.2018;10.5173;1-nov-
2006

kotak mahindra mutual fund


103710;kotak fmp-series - 13-dividend;10.5348;10.5348;10.5348;1-nov-2006
103711;kotak fmp-series - 13-growth;10.5348;10.5348;10.5348;1-nov-2006
104362;kotak fmp 15m series 1 - dividend;10.0421;10.0421;10.0421;1-nov-2006
104361;kotak fmp 15m series 1 - growth;10.0421;10.0421;10.0421;1-nov-2006
104288;kotak fmp 3m series 3 - dividend;10.0816;10.0816;10.0816;1-nov-2006
104289;kotak fmp 3m series 3 - growth;10.0816;10.0816;10.0816;1-nov-2006
104304;kotak fmp 3m series 4 - dividend;10.0714;10.0714;10.0714;1-nov-2006
104305;kotak fmp 3m series 4 - growth;10.0714;10.0714;10.0714;1-nov-2006
104363;kotak fmp 3m series 5 - dividend;10.0304;10.0304;10.0304;1-nov-2006
104364;kotak fmp 3m series 5 - growth;10.0304;10.0304;10.0304;1-nov-2006
104033;kotak fmp 6m series 1 - dividend;10.2591;10.2591;10.2591;1-nov-2006
104034;kotak fmp 6m series 1 - growth;10.259;10.259;10.259;1-nov-2006
103485;kotak fmp series --xiv-dividend;10.4445;10.4445;10.4445;1-nov-2006
103486;kotak fmp series --xiv-growth;10.519;10.519;10.519;1-nov-2006

103606;kotak fmp series 25---dividend;10.5003;10.5003;10.5003;1-nov-2006


103605;kotak fmp series 25---growth;10.5003;10.5003;10.5003;1-nov-2006
104111;kotak fmp series 26 - dividend;10.2403;10.2403;10.2403;1-nov-2006
104112;kotak fmp series 26 - growth;10.2403;10.2403;10.2403;1-nov-2006
103501;kotak fmp series xxi---dividend;10.4941;10.4941;10.4941;1-nov-2006
103500;kotak fmp series xxi---growth;10.5415;10.5415;10.5415;1-nov-2006
103795;kotak twin advantage-series ii-dividend;10.3006;10.3006;10.3006;1-nov-2006
103796;kotak twin advantage-series ii-growth;10.3005;10.3005;10.3005;1-nov-2006
104266;kotak twin advantage series iii- dividend;10.1478;10.1478;10.1478;1-nov-
2006
104265;kotak twin advantage series iii- growth;10.1478;10.1478;10.1478;1-nov-2006

lic mutual fund


103231;licmf fixed maturity plan - sr-i-one year-dividend;0.0000;0.0000;0.0000;25-
sep-2006
103232;licmf fixed maturity plan - sr-i-one year-growth;0.0000;0.0000;0.0000;25-
sep-2006
103229;licmf fixed maturity plan - sr-i-six month-
dividend;0.0000;0.0000;0.0000;28-jun-2006
103230;licmf fixed maturity plan - sr-i-six month-growth;0.0000;0.0000;0.0000;28-
jun-2006
104242;licmf fixed maturity plan series 9 growth option;10.1244;10.1244;0.0000;1-
nov-2006
104318;licmf fixed maturity plan series 10 growth option;10.0701;10.0701;0.0000;1-
nov-2006
104317;licmf fixed maturity plan series 10 dividend
option;10.0701;10.0701;0.0000;1-nov-2006
103387;licmf fixed maturity plan series 2-dividend option;0.0000;0.0000;0.0000;28-
jun-2006
103388;licmf fixed maturity plan series 2-growth option;0.0000;0.0000;0.0000;28-
jun-2006
103414;licmf fixed maturity plan series 3-dividend option;0.0000;0.0000;0.0000;28-
jun-2006
103415;licmf fixed maturity plan series 3-growth option;0.0000;0.0000;0.0000;28-
jun-2006
103613;licmf fixed maturity plan series 4-dividend
option;10.5736;10.5736;0.0000;1-nov-2006
103614;licmf fixed maturity plan series 4-growth option;10.5736;10.5736;0.0000;1-
nov-2006
103662;licmf fixed maturity plan series 6-dividend
option;10.0000;10.0000;0.0000;28-jun-2006
103663;licmf fixed maturity plan series 6-growth option;10.2149;10.2149;0.0000;28-
jun-2006
104077;licmf fixed maturity plan series 7 - dividend
option;10.0000;10.0000;0.0000;28-sep-2006
104076;licmf fixed maturity plan series 7 - growth
option;10.1845;10.1845;0.0000;28-sep-2006
104127;licmf fixed maturity plan series 8 - dividend
option;10.0000;10.0000;0.0000;19-oct-2006
104128;licmf fixed maturity plan series 8 - growth
option;10.1836;10.1836;0.0000;19-oct-2006
104239;licmf fixed maturity plan series 9 dividend
option;10.1244;10.1244;0.0000;1-nov-2006
103603;licmf fixed maturity plan series5-dividend option;10.5208;10.5208;0.0000;1-
nov-2006
103604;licmf fixed maturity plan series5-growth option;10.5208;10.5208;0.0000;1-
nov-2006
104371;licmf fixed maturity plan series 15 - dividend
option;10.0248;10.0248;0.0000;1-nov-2006
104376;licmf fixed maturity plan series 15 - growth
option;10.0248;10.0248;0.0000;1-nov-2006

principal mutual fund


104081;principal pnb fixed duration fund 3 year plan- series i-dividend
payout;10.5582;10.2415;10.5582;1-nov-2006
104080;principal pnb fixed duration fund 3 year plan- series i-growth
option;10.5582;10.2415;10.5582;1-nov-2006
103784;principal pnb fixed maturity plan - 385 days - series ii-regular paln -
growth;10.3087;10.1438;10.3087;1-nov-2006
103785;principal pnb fixed maturity plan - 385 days - series ii-regular plan -
dividend;10.3087;10.1438;10.3087;1-nov-2006
103646;principal pnb fixed maturity plan - 385 days - serires i-institutional plan
- dividend;10.5633;10.3943;10.5633;1-nov-2006
103645;principal pnb fixed maturity plan - 385 days - serires i-institutional
plan- growth;10.5633;10.3943;10.5633;1-nov-2006
103643;principal pnb fixed maturity plan - 385 days - serires i-regular paln -
growth;10.5644;10.3954;10.5644;1-nov-2006
103644;principal pnb fixed maturity plan - 385 days - serires i-regular plan -
dividend;10.5634;10.3944;10.5634;1-nov-2006
104166;principal pnb fmp -460days -series ii - insti -
growth;10.1939;10.092;10.1939;1-nov-2006
104167;principal pnb fmp -460days -series ii - insti-
div;10.1939;10.092;10.1939;1-nov-2006
104164;principal pnb fmp -460days -series ii - regular-
div;10.1832;10.0814;10.1832;1-nov-2006
104165;principal pnb fmp -460days -series ii - regular-
growth;10.1832;10.0814;10.1832;1-nov-2006
103531;principal pnb fixed maturity plan 460 days - series i-
dividend;10.5556;10.355;10.5556;1-nov-2006
103530;principal pnb fixed maturity plan 460 days - series i-
growth;10.5556;10.355;10.5556;1-nov-2006
103669;principal pnb fixed maturity plan 91 days - series ii-
dividend;10;9.81;10;24-aug-2006
103668;principal pnb fixed maturity plan 91 days - series ii-
growth;10.3584;10.1616;10.3584;24-aug-2006
104105;principal pnb fixed maturity plan 91 days - series iv-dividend
payout;10.0395;9.9391;10.0395;1-nov-2006
104107;principal pnb fixed maturity plan 91 days - series iv-growth
option;10.2135;10.1114;10.2135;1-nov-2006
104264;principal pnb fixed maturity plan 91 days - series v -
dividend;10.0974;9.9964;10.0974;1-nov-2006
104263;principal pnb fixed maturity plan 91 days - series v -
growth;10.0974;9.9964;10.0974;1-nov-2006
103682;principal pnb fixed maturity plan 91 days series iii-dividend;10;9.9;10;21-
sep-2006
103681;principal pnb fixed maturity plan 91 days series iii-
growth;10.385;10.2812;10.385;21-sep-2006
103451;principal pnb fmp series i-dividend plan;10;9.81;10;20-jul-2006
103452;principal pnb fmp series i-growth plan;10.3362;10.1398;10.3362;20-jul-2006

prudential icici mutual fund


104036;pru icici fmp series 32 - 3 mths plan a - retail cumulative option; 10.1719
; 10.0702 ; 10.1719 ;21-sep-2006
104035;pru icici fmp series 32 - 3 mths plan a - retail dividend option; 10.0119 ;
9.9117 ; 10.0119 ;21-sep-2006
103565;pru icici fmp series 28 - 16 mths plan-dividend option; 10.4619 ; 10.3573 ;
10.4619 ;1-nov-2006
103564;pru icici fmp series 28 - 16 mths plan-growth option; 10.4619 ; 10.3573 ;
10.4619 ;1-nov-2006

103567;pru icici fmp series 28 - 16 mths plan-institutional dividend option;


10.4817 ; 10.3769 ; 10.4817 ;1-nov-2006
103566;pru icici fmp series 28 - 16 mths plan-institutional growth option; 10.4817
; 10.3769 ; 10.4817 ;1-nov-2006
103459;pru icici fmp series 28 - 4 mths plan-dividend plan;0;0;0;3-aug-2006
103458;pru icici fmp series 28 - 4 mths plan-growth plan;0;0;0;3-aug-2006
104116;pru icici fmp series 30 - 13 mths plan - institutional dividend option;
10.1051 ; 9.9030 ; 10.1051 ;4-sep-2006
104114;pru icici fmp series 30 - 13 mths plan - institutional growth option;
10.2315 ; 10.0268 ; 10.2315 ;1-nov-2006
104115;pru icici fmp series 30 - 13 mths plan - retail dividend option; 10.2240 ;
10.0195 ; 10.2240 ;1-nov-2006
104113;pru icici fmp series 30 - 13 mths plan - retail growth option; 10.2240 ;
10.0195 ; 10.2240 ;1-nov-2006
104135;pru icici fmp series 32 - 3 mths plan b - retail cumulative option; 10.1737
; 10.0720 ; 10.1737 ;26-oct-2006
104136;pru icici fmp series 32 - 3 mths plan b - retail dividend option; 10.0000 ;
9.9000 ; 10.0000 ;26-oct-2006
104321;pru icici fmp series 32 - 3 mths plan c - retail cumulative option; 10.0741
; 9.9734 ; 10.0741 ;1-nov-2006
104322;pru icici fmp series 32 - 3 mths plan c - retail dividend option; 10.0741 ;
9.9734 ; 10.0741 ;1-nov-2006
104370;pru icici fmp series 32 - 3 mths plan d - retail cumulative option; 10.0285
; 9.9282 ; 10.0285 ;1-nov-2006
104369;pru icici fmp series 32 - 3 mths plan d - retail dividend option; 10.0285 ;
9.9282 ; 10.0285 ;1-nov-2006
104205;pru icici hybrid fmp 13 mths plan-institutional growth; 10.1542 ; 9.9511 ;
10.1542 ;1-nov-2006
104207;pru icici hybrid fmp 13 mths plan-institutional quarterly dividend; 10.1542
; 9.9511 ; 10.1542 ;1-nov-2006
104209;pru icici hybrid fmp 13 mths plan-retail annual dividend; 10.1463 ; 9.9434
; 10.1463 ;1-nov-2006
104208;pru icici hybrid fmp 13 mths plan-retail growth; 10.1463 ; 9.9434 ; 10.1463
;1-nov-2006
104210;pru icici hybrid fmp 13 mths plan-retail quarterly dividend; 10.1463 ;
9.9434 ; 10.1463 ;1-nov-2006
103705;prudemtial icici fmp 31 - 4 months plan-dividend plan;0;0;0;3-aug-2006
103704;prudemtial icici fmp 31 - 4 months plan-growth plan;0;0;0;3-aug-2006
103674;prudential icici fmp - sr 27 monthly plan-dividend plan;0;0;0;3-aug-2006
103675;prudential icici fmp - sr 27 monthly plan-growth plan;0;0;0;3-aug-2006
103706;prudential icici fmp-yearly -series 25 div plan; 10.0000 ; 9.8000 ;
10.0000 ;19-jul-2006
103729;prudential icici fmpy 28 sr - 13 mth-institutional plan-cumulative option;
10.5047 ; 10.5047 ; 10.5047 ;1-nov-2006
103728;prudential icici fmpy 28 sr - 13 mth-institutional plan-dividend option;
10.5047 ; 10.5047 ; 10.5047 ;1-nov-2006
103727;prudential icici fmpy 28 sr - 13 mth-retail plan-cumulative option; 10.4830
; 10.4830 ; 10.4830 ;1-nov-2006
103726;prudential icici fmpy 28 sr - 13 mth-retail plan-dividend option; 10.4830 ;
10.4830 ; 10.4830 ;1-nov-2006
102989;prudential icici plan i � year plus plan-dividend-
direct;10.7045;10.7045;10.7045;24-may-2006
102988;prudential icici plan i � year plus plan-dividend-
normal;10.6796;10.6796;10.6796;24-may-2006
102987;prudential icici plan i � year plus plan-growth-
direct;10.7045;10.7045;10.7045;24-may-2006
102986;prudential icici plan i � year plus plan-growth-
normal;10.6796;10.6796;10.6796;24-may-2006

reliance mutual fund


104297;reliance fixed horizon fund-i-annual plan series-ii- institutional plan-
growth option;10.0701;10.0701;10.0701;1-nov-2006
104294;reliance fixed horizon fund-i-annual plan series-ii- retail plan growth
option;10.0701;10.0701;10.0701;1-nov-2006
104295;reliance fixed horizon fund-i-annual plan series-ii- retail plan-dividend
option;10.0701;10.0701;10.0701;1-nov-2006
104231;reliance fixed horizon fund -i annual plan series-i-institutional plan
-dividend option;10.1601;10.1601;10.1601;1-nov-2006
104232;reliance fixed horizon fund -i annual plan series-i-institutional plan
-growth option;10.1601;10.1601;10.1601;1-nov-2006
104229;reliance fixed horizon-i annual plan series-i- retail plan growth
option;10.1601;10.1601;10.1601;1-nov-2006
104230;reliance fixed horizon-i annual plan series-i- retail plan-dividend
option;10.1601;10.1601;10.1601;1-nov-2006
104293;reliance fixed horizon fund -i- quarterly plan-series-i- dividend
option;10.0776;10.0776;10.0776;1-nov-2006
104292;reliance fixed horizon fund -i- quarterly plan-series-i- growth
option;10.0776;10.0776;10.0776;1-nov-2006
104399;reliance fixed horizon fund -i-annual plan series-iii-institutional plan
dividend option;9.9946;9.9946;9.9946;1-nov-2006
104401;reliance fixed horizon fund -i-annual plan series-iii-institutional plan
growth option;9.9946;9.9946;9.9946;1-nov-2006
104398;reliance fixed horizon fund -i-annual plan series-iii-retail plan dividend
option;9.9946;9.9946;9.9946;1-nov-2006
104400;reliance fixed horizon fund -i-annual plan series-iii-retail plan growth
option;9.9946;9.9946;9.9946;1-nov-2006
104403;reliance fixed horizon fund -i-annual plan series-iv-institutional plan-
growth option;10.0039;10.0039;10.0039;1-nov-2006
104404;reliance fixed horizon fund -i-annual plan series-iv-retail plan dividend
option;10.0039;10.0039;10.0039;1-nov-2006
104402;reliance fixed horizon fund -i-annual plan series-iv-retail plan growth
option;10.0039;10.0039;10.0039;1-nov-2006
103995;reliance fixed horizon fund plan 'a' series-iii - dividend plan - dividend
option;10;10;10;6-jul-2006
103996;reliance fixed horizon fund plan 'a' series-iii - growth plan - growth
option;10.0543;10.0543;10.0543;6-jul-2006
104163;reliance fixed horizon fund plan 'a' series-v-dividend option;10;10;10;6-
sep-2006
104162;reliance fixed horizon fund plan 'a' series-v-growth
option;10.0574;10.0574;10.0574;6-sep-2006
104244;reliance fixed horizon fund plan 'a' series-vi-dividend
option;10.0572;10.0572;10.0572;6-oct-2006
104243;reliance fixed horizon fund plan 'a' series-vi-growth
option;10.0572;10.0572;10.0572;6-oct-2006
104086;reliance fixed horizon fund plan 'a' series-iv dividend
option;10.053;10.053;10.053;4-aug-2006

104088;reliance fixed horizon fund plan 'a' series-iv growth


option;10.053;10.053;10.053;4-aug-2006
104198;reliance fixed horizon fund plan 'b' series- v-dividend
option;10.1389;10.1389;10.1389;1-nov-2006
104197;reliance fixed horizon fund plan 'b' series- v-growth
option;10.1389;10.1389;10.1389;1-nov-2006
104039;reliance fixed horizon fund plan 'b' series-iii growth
option;10.1685;10.1685;10.1685;22-sep-2006
104040;reliance fixed horizon fund plan'b' series-iii dividend
option;10.1685;10.1685;10.1685;22-sep-2006
104144;reliance fixed horizon fund plan'b' series-iv dividend
option;10.1792;10.1792;10.1792;1-nov-2006
104145;reliance fixed horizon fund plan'b' series-iv grwoth
option;10.1792;10.1792;10.1792;1-nov-2006
104225;reliance fixed horizon fund plan 'c' series -i retail plan-dividend
option;10.0778;10.0778;10.0778;1-nov-2006
104226;reliance fixed horizon fund plan 'c' series -i retail plan-growth
option;10.0778;10.0778;10.0778;1-nov-2006
104227;reliance fixed horizon fund plan 'c' series-i institutional plan-dividend
option;10.1377;10.1377;10.1377;1-nov-2006
104228;reliance fixed horizon fund plan 'c' series-i institutional plan-growth
option;10.1377;10.1377;10.1377;1-nov-2006
104300;reliance fixed horizon fund plan 'c' series-iii-institutional plan growth
option;9.9572;9.9572;9.9572;1-nov-2006
104299;reliance fixed horizon fund plan 'c' series-iii-retail plan dividend
option;9.7688;9.7688;9.7688;1-nov-2006
104298;reliance fixed horizon fund plan 'c' series-iii-retail plan growth
option;9.7688;9.7688;9.7688;1-nov-2006
104334;reliance fixed horizon fund -i monthly plan series-i-dividend
option;10.0459;10.0459;10.0459;1-nov-2006
104335;reliance fixed horizon fund -i monthly plan series-i-growth
option;10.0459;10.0459;10.0459;1-nov-2006
103772;reliance fixed horizon fund-plan "a" series-i-plan "a"-dividend
option;10.0566;10.0566;10.0566;5-may-2006
103771;reliance fixed horizon fund-plan "a" series-i-plan "a"-growth
option;10.0566;10.0566;10.0566;5-may-2006
103666;reliance fixed horizon fund-plan "a" series-ii-plan "a"-dividend
option;10;10;10;6-jun-2006
103667;reliance fixed horizon fund-plan "a" series-ii-plan "a"-growth
option;10.0547;10.0547;10.0547;6-jun-2006
103799;reliance fixed horizon fund-plan "b" series - i-plan "b"-dividend
option;10;10;10;22-aug-2006
103798;reliance fixed horizon fund-plan "b" series - i-plan "b"-growth
option;10.1653;10.1653;10.1653;22-aug-2006
103610;reliance fixed horizon fund-plan "b" series-ii-plan "b"-dividend
option;10;10;10;31-jul-2006
103609;reliance fixed horizon fund-plan "b" series-ii-plan "b"-growth
option;10.1907;10.1907;10.1907;31-jul-2006
103463;reliance fixed maturity fuind series-2 quarterly plan-3-quarterly plan-iii-
dividend option;10;10;10;24-apr-2006
103462;reliance fixed maturity fuind series-2 quarterly plan-3-quarterly plan-iii-
growth option;10.1683;10.1683;10.1683;24-apr-2006
102979;reliance fixed maturity fund-annual plan series-1-dividend
option;10;10;10;29-may-2006
102978;reliance fixed maturity fund-annual plan series-1-growth
option;10.722;10.722;10.722;29-may-2006
103520;reliance fixed maturity fund -monthly plan-11-series-2-monthly plan-11-
growth option;10.0643;10.0643;10.0643;5-apr-2006
103521;reliance fixed maturity fund -monthly plan-11-series-2-monthly plan-11-
monthly dividend option;10.0643;10.0643;10.0643;5-apr-2006
103477;reliance fixed maturity fund monthly plan -10 series-ii-monthly plan-10-
growth option;10.0507;10.0507;10.0507;3-mar-2006
103478;reliance fixed maturity fund monthly plan -10 series-ii-monthly plan-10-
monthly dividend option;10.0507;10.0507;10.0507;3-mar-2006
103139;reliance fixed maturity fund- annual plan-3-series-2-annual plan-3-dividend
option;10.602;10.602;10.602;4-aug-2006
103138;reliance fixed maturity fund- annual plan-3-series-2-annual plan-3-growth
option;10.602;10.602;10.602;4-aug-2006
103038;reliance fixed maturity fund- series-2-annual plan series-2-dividend
option;10;10;10;20-jun-2006
103037;reliance fixed maturity fund- series-2-annual plan series-2-growth
option;10.6141;10.6141;10.6141;20-jun-2006
103299;reliance fixed maturity fund-quarterly plan-2-series-ii-quarterly plan-2-
dividend plan;10;10;10;23-jan-2006
103298;reliance fixed maturity fund-quarterly plan-2-series-ii-quarterly plan-2-
growth plan;10.1459;10.1459;10.1459;23-jan-2006
103426;reliance fixed maturity fund-series-2 -plan-9-monthly plan -9-dividend
option;10;10;10;1-feb-2006
103425;reliance fixed maturity fund-series-2 -plan-9-monthly plan -9-growth
option;10.051;10.051;10.051;1-feb-2006
103413;reliance fixed tenor fund-plan "a"-dividend
option;10.4594;10.4594;10.4594;1-nov-2006
103412;reliance fixed tenor fund-plan "a"-growth option;10.4594;10.4594;10.4594;1-
nov-2006
103481;reliance fixed tenor fund plan ""b''-plan-dividend
option;10.2287;10.2287;10.2287;1-nov-2006
103480;reliance fixed tenor fund plan ""b''-plan-growth
option;10.4311;10.4311;10.4311;1-nov-2006
sbi mutual fund
104134;sbi debt fund series - 15 months -1- dividend;10.1418;10.0404;0;1-nov-2006
104133;sbi debt fund series - 15 months -1-growth;10.1999;10.0979;0;1-nov-2006
104188;sbi debt fund series - 180 days - 2 -d;10.0149;9.9648;0;1-nov-2006
104189;sbi debt fund series - 180 days - 2 -g;10.1479;10.0972;0;1-nov-2006
104246;sbi debt fund series - 180days-3-dividend;10.1126;10.0620;0;1-nov-2006
104245;sbi debt fund series - 180days-3-growth;10.1126;10.0620;0;1-nov-2006
104090;sbi debt fund series - 90 days-2-div.;10.0000;10.0000;0;9-oct-2006
104089;sbi debt fund series - 90 days-2-gr.;10.1710;10.1710;0;9-oct-2006
104169;sbi debt fund series -60 days -2-dividend;10.0000;10.0000;0;9-oct-2006
104168;sbi debt fund series -60 days -2-growth;10.1203;10.1203;0;9-oct-2006
104319;sbi debt fund series -60 days -3-dividend;10.0717;10.0213;0;1-nov-2006
104320;sbi debt fund series -60 days -3-growth;10.0719;10.0215;0;1-nov-2006
104212;sbi debt fund series 90 days-3 dividend;10.1183;10.0677;0;1-nov-2006
104291;sbi debt fund series 90 days-4-dividend;10.0820;10.0316;0;1-nov-2006

104290;sbi debt fund series 90 days-4-growth;10.0819;10.0315;0;1-nov-2006


104211;sbi debt fund series 90-days - 3 growth;10.1183;10.0677;0;1-nov-2006
104051;sbi debt fund series-13months-1-dividend;10.2560;10.1534;0;1-nov-2006
104050;sbi debt fund series-13months-1-growth;10.2561;10.1535;0;1-nov-2006
104053;sbi debt fund series-180 days-1-dividend;10.2459;10.1947;0;1-nov-2006
104054;sbi debt fund series-180 days-1-growth;10.2473;10.2473;0;1-nov-2006
103998;sbi debt fund series-60 days-1-dividend;10.0000;10.0000;0;11-aug-2006
103997;sbi debt fund series-60 days-1-growth;10.1092;10.1092;0;11-aug-2006
103764;sbi debt fund series-90 days-1-dividend;10.1564;10.1056;0;23-aug-2006
103800;sbi debt fund series-90 days-1-growth;10.1563;10.1055;0;23-aug-2006
104332;sbi debt fund series-90 days-5-dividend;10.0446;9.9944;0;1-nov-2006
104333;sbi debt fund series-90 days-5-growth;10.0446;9.9944;0;1-nov-2006
102975;sbi magnum debt fund series - 13 months - 1 - dividend;0;0;0;5-jul-2006
102415;sbi magnum debt fund series - 13 months - 2 - dividend;10.6042;10.5247;0;1-
nov-2006
102030;sbi magnum debt fund series - 13 months - 2-growth;10.6063;10.5268;0;1-nov-
2006
102974;sbi magnum debt fund series - 13 months-1 - growth;0;0;0;5-jul-2006
102889;sbi magnum debt fund series - 15 months-1- dividend;0;0;0;5-jul-2006
102888;sbi magnum debt fund series - 15 months-1- growth;0;0;0;5-jul-2006
102866;sbi magnum debt fund series - 180 days - 1 - dividend;0;0;0;5-jul-2006
102865;sbi magnum debt fund series - 180 days - 1 - growth;0;0;0;5-jul-2006
100917;sbi magnum debt fund series - 180 days - 2 -
dividend;10.0799;10.0295;n.a.;27-sep-2006
102873;sbi magnum debt fund series - 180 days - 2 - growth;10.0148;9.9647;n.a.;27-
sep-2006
100717;sbi magnum debt fund series - 60 days - 2 - dividend;0;0;0;5-jul-2006
101160;sbi magnum debt fund series - 60 days - 2 - growth;0;0;0;5-jul-2006
103008;sbi magnum debt fund series - 60 days - 3 - dividend;0;0;0;5-jul-2006
103009;sbi magnum debt fund series - 60 days - 3 - growth;0;0;0;5-jul-2006
103354;sbi magnum debt fund series-180 days-3-dividend;0;0;0;5-jul-2006
103366;sbi magnum debt fund series-180 days-3-growth;0;0;0;5-jul-2006

standard chartered mutual fund


100714;grindays fixed maturity - 5th plan-a-dividend;10.8545;10.8545;10.8545;17-
may-2006
100713;grindays fixed maturity - 5th plan-a-growth;10.8545;10.8545;10.8545;17-may-
2006
102946;grindlays fixed maturity 9th plan-plan a-
dividend;10.3534;10.3534;10.3534;1-nov-2006
102945;grindlays fixed maturity 9th plan-plan a-growth;10.7075;10.7075;10.7075;1-
nov-2006
102872;grindlays fixed maturity - 6th plan-a-dividend;11.0933;11.0933;11.0933;1-
nov-2006
102871;grindlays fixed maturity - 6th plan-a-growth;11.0931;11.0931;11.0931;1-nov-
2006
102862;grindlays fixed maturity -3rd plan-a-dividend;10.0253;10.0253;10.0253;12-
apr-2006
102861;grindlays fixed maturity -3rd plan-a-growth;10.0928;10.0928;10.0928;12-apr-
2006
103066;grindlays fixed maturity 12th plan-plan a-
dividend;10.6069;10.6069;10.6069;7-jun-2006
103065;grindlays fixed maturity 12th plan-plan a-growth;10.6069;10.6069;10.6069;7-
jun-2006
103279;grindlays fixed maturity 15th plan (gfmp-15)-a-
dividend;10.6079;10.6079;10.6079;16-oct-2006
103278;grindlays fixed maturity 15th plan (gfmp-15)-a-
growth;10.6079;10.6079;10.6079;16-oct-2006
103281;grindlays fixed maturity 15th plan (gfmp-15)-b-
dividend;10.3191;10.3191;10.3191;26-apr-2006
103280;grindlays fixed maturity 15th plan (gfmp-15)-b-
growth;10.6079;10.6079;10.6079;16-oct-2006
103305;grindlays fixed maturity 16th plan-a-dividend;10.5011;10.5011;10.5011;1-
nov-2006
103304;grindlays fixed maturity 16th plan-a-growth;10.5011;10.5011;10.5011;1-nov-
2006
103285;grindlays fixed maturity 17th plan-a-dividend;10.1372;10.1372;10.1372;18-
jan-2006
103284;grindlays fixed maturity 17th plan-a-growth;10.1372;10.1372;10.1372;18-jan-
2006
103301;grindlays fixed maturity 18th plan-a-dividend;10.1390;10.1390;10.1390;25-
jan-2006
103300;grindlays fixed maturity 18th plan-a-growth;10.1390;10.1390;10.1390;25-jan-
2006
103440;grindlays fixed maturity 19th plan-a-dividend;10.0220;10.0220;10.0220;12-
apr-2006
103439;grindlays fixed maturity 19th plan-a-growth;10.1464;10.1464;10.1464;12-apr-
2006
103448;grindlays fixed maturity 20th plan (gfmp-20)-a-
dividend;10.5022;10.5022;10.5022;1-nov-2006
103447;grindlays fixed maturity 20th plan (gfmp-20)-a-
growth;10.5022;10.5022;10.5022;1-nov-2006
103561;grindlays fixed maturity 21st plan-a-dividend;10.0498;10.0498;10.0498;26-
apr-2006
103560;grindlays fixed maturity 21st plan-a-growth;10.1657;10.1657;10.1657;26-apr-
2006
103624;grindlays fixed maturity 22nd plan-a-dividend;10.5285;10.5285;10.5285;1-
nov-2006
103623;grindlays fixed maturity 22nd plan-a-growth;10.5285;10.5285;10.5285;1-nov-
2006
102996;grindlays fixed maturity 4th plan-a-dividend;10.5876;10.5876;10.5876;12-
apr-2006
102995;grindlays fixed maturity 4th plan-a-growth;10.5876;10.5876;10.5876;12-apr-
2006
102997;grindlays fixed maturity 4th plan-b-growth;10.6237;10.6237;10.6237;12-apr-
2006
103068;grindlays fixed maturity 8th plan-plan a-
dividend;10.7028;10.7028;10.7028;1-nov-2006
103067;grindlays fixed maturity 8th plan-plan a-growth;10.7028;10.7028;10.7028;1-
nov-2006
102685;grindlays fixed maturity plan - 7-a-dividend;10.2922;10.2922;10.2922;1-nov-
2006
102684;grindlays fixed maturity plan - 7-a-growth;11.1064;11.1064;11.1064;1-nov-
2006
102687;grindlays fixed maturity plan - 7-b-dividend;10.8382;10.8382;10.8382;1-nov-
2006
102686;grindlays fixed maturity plan - 7-b-growth;11.154;11.154;11.154;1-nov-2006
103574;grindlays fixed maturity plus plan - ii-a-
dividend;10.6676;10.6676;10.6676;1-nov-2006
103573;grindlays fixed maturity plus plan - ii-a-growth;10.6676;10.6676;10.6676;1-
nov-2006
103384;grindlays fixed maturity plus plan i-a-dividend;10.7141;10.7141;10.7141;1-
nov-2006
103383;grindlays fixed maturity plus plan i-a-growth;10.7141;10.7141;10.7141;1-
nov-2006
103386;grindlays fixed maturity plus plan i-b-dividend;10.7134;10.7134;10.7134;1-
nov-2006

103385;grindlays fixed maturity plus plan i-b-growth;10.7134;10.7134;10.7134;1-


nov-2006
103769;standard chartered fixed maturity 1st plan-plan a-
dividend;10.5027;10.5027;10.5027;1-nov-2006
103770;standard chartered fixed maturity 1st plan-plan a-
growth;10.5027;10.5027;10.5027;1-nov-2006
103557;standard chartered fixed maturity 2nd plan-a-
dividend;10.5329;10.5329;10.5329;1-nov-2006
103556;standard chartered fixed maturity 2nd plan-a-
growth;10.5329;10.5329;10.5329;1-nov-2006
103511;standard chartered fixed maturity 3rd plan-a-
dividend;10.1133;10.1133;10.1133;24-may-2006
103510;standard chartered fixed maturity 3rd plan-a-
growth;10.1814;10.1814;10.1814;24-may-2006
103587;standard chartered fixed maturity 4th plan-a-
dividend;10.1529;10.1529;10.1529;7-jun-2006
103586;standard chartered fixed maturity 4th plan-a-
growth;10.2007;10.2007;10.2007;7-jun-2006
103766;standard chartered fixed maturity 5th plan-a-
dividend;10.1652;10.1652;10.1652;6-sep-2006
103765;standard chartered fixed maturity 5th plan-a-
growth;10.1652;10.1652;10.1652;6-sep-2006
104147;standard chartered fixed maturity 6th plan-a-
dividend;10.2331;10.2331;10.2331;1-nov-2006
104146;standard chartered fixed maturity 6th plan-a-
growth;10.2331;10.2331;10.2331;1-nov-2006
104043;standard chartered fixed maturity 7th plan a-
dividend;10.2572;10.2572;10.2572;1-nov-2006
104044;standard chartered fixed maturity 7th plan a-
growth;10.2572;10.2572;10.2572;1-nov-2006
104063;standard chartered fixed maturity 8th plan-
dividend;10.1563;10.1563;10.1563;20-sep-2006
104064;standard chartered fixed maturity 8th plan-
growth;10.1563;10.1563;10.1563;20-sep-2006
104316;standard chartered fixed maturity 9th plan-
dividend;10.0724;10.0724;10.0724;1-nov-2006
104315;standard chartered fixed maturity 9th plan-
growth;10.0724;10.0724;10.0724;1-nov-2006
104385;standard chartered fixed maturity plan - yearly series 1-
growth;10.042;10.042;10.042;1-nov-2006
104386;standard chartered fixed maturity plan - yearly series 1-
dividend;10.042;10.042;10.042;1-nov-2006
103380;standard chartered tristar series i-a-dividend;10.6805;10.6805;10.6805;1-
nov-2006
103379;standard chartered tristar series i-a-growth;10.6805;10.6805;10.6805;1-nov-
2006
103382;standard chartered tristar series i-b-dividend;10;10;10;1-nov-2006
103381;standard chartered tristar series i-b-growth;10;10;10;1-nov-2006

sundaram bnp paribas mutual fund


104313;sundaram bnp paribas fixed term plan series ix 90 days-
dividend;10.0731;10.0731;0.0000;1-nov-2006
104314;sundaram bnp paribas fixed term plan series ix 90 days-
growth;10.0731;10.0731;0.0000;1-nov-2006
104337;sundaram bnp paribas fixed term plan series viii-
div;10.0447;10.0447;0.0000;1-nov-2006
104336;sundaram bnp paribas fixed term plan series viii-
growth;10.0447;10.0447;0.0000;1-nov-2006
101510;sundaram bnp paribas fixed maturity plan a - series i-plan a - series i-
dividend;0.0000;0.0000;0.0000;1-nov-2006
103515;sundaram bnp paribas fixed term plan series i div;0.0000;0.0000;0.0000;4-
jul-2006
103514;sundaram bnp paribas fixed term plan series i
growth;0.0000;0.0000;0.0000;4-jul-2006
103670;sundaram bnp paribas fixed term plan series iii
div;10.5579;10.5579;0.0000;1-nov-2006
103516;sundaram bnp paribas fixed term plan series iii
growth;10.5579;10.5579;0.0000;1-nov-2006
104058;sundaram bnp paribas fixed term plan series vi
dividend;10.0054;10.0054;0.0000;9-oct-2006
104057;sundaram bnp paribas fixed term plan series vi growth;10.1975;10.1975;0;9-
oct-2006
104059;sundaram bnp paribas fixed term plan seiries vii
growth;10.2730;10.2730;0.0000;1-nov-2006
104062;sundaram bnp paribas fixed term plan series vii
dividend;10.2730;10.2730;0.0000;1-nov-2006
103375;sundaram bnp paribas value plus-3 year-div;10.6768;10.6768;0.0000;1-nov-
2006

tata mutual fund


102992;tata fixed horizon fund - 371 days march 05 -
appreciation;0.0000;0.0000;0.0000;1-nov-2006
102967;tata fixed horizon fund - 371 days march 05 -
dividend;0.0000;0.0000;0.0000;1-nov-2006
103217;tata fixed horizon fund series 1 - option c [371 days]
div;0.0000;0.0000;0.0000;1-nov-2006
103218;tata fixed horizon fund series 1 -option c [371 days]
growth;0.0000;0.0000;0.0000;1-nov-2006
103374;tata fixed horizon fund series 2 - plan b -
growth;10.5427;10.3846;10.5427;1-nov-2006
103489;tata fixed horizon fund series 2 - plan c - 18 months -
divi;10.5388;10.3807;10.5388;1-nov-2006
103528;tata fixed horizon fund series 2 - plan c- 18 month -
growth;10.5387;10.3806;10.5387;1-nov-2006
103498;tata fixed horizon fund series 3 scheme a - div;0.0000;0.0000;0.0000;1-nov-
2006
103529;tata fixed horizon fund series 3 scheme a - grw;0.0000;0.0000;0.0000;1-nov-
2006
103543;tata fixed horizon fund series 3 scheme b - div;0.0000;0.0000;0.0000;1-nov-
2006
103627;tata fixed horizon fund series 3 scheme b - growth;0.0000;0.0000;0.0000;1-
nov-2006
103628;tata fixed horizon fund series 3 scheme c - div;10.5459;10.4404;10.5459;1-
nov-2006
103671;tata fixed horizon fund series 3 scheme c -
growth;10.5459;10.4404;10.5459;1-nov-2006
103639;tata fixed horizon fund series 3 scheme d - div;10.5395;10.4341;10.5395;1-
nov-2006
103640;tata fixed horizon fund series 3 scheme d -
growth;10.5394;10.4340;10.5394;1-nov-2006
103499;tata fixed horizon fund series 3 scheme f - div;10.5426;10.3845;10.5426;1-
nov-2006
103482;tata fixed horizon fund series 3 scheme f - grw;10.5424;10.3843;10.5424;1-
nov-2006
103683;tata fixed horizon fund series 3 scheme g - div;10.5232;10.3654;10.5232;1-
nov-2006
103744;tata fixed horizon fund series 3 scheme g -
growth;10.5232;10.3654;10.5232;1-nov-2006
103684;tata fixed horizon fund series 5 scheme a - div;0.0000;0.0000;0.0000;1-nov-
2006
103685;tata fixed horizon fund series 5 scheme a - growth;0.0000;0.0000;0.0000;1-
nov-2006
103714;tata fixed horizon fund series 5 scheme b - div;0.0000;0.0000;0.0000;1-nov-
2006
103750;tata fixed horizon fund series 5 scheme b - growth;0.0000;0.0000;0.0000;1-
nov-2006
104069;tata fixed horizon fund series 5 scheme c - div;10.0590;10.0087;10.0590;1-
nov-2006

104049;tata fixed horizon fund series 5 scheme c -


growth;10.2223;10.1712;10.2223;1-nov-2006
104216;tata fixed horizon fund series 5 scheme d - div;10.0673;10.0170;10.0673;1-
nov-2006
104215;tata fixed horizon fund series 5 scheme d -
growth;10.1248;10.0742;10.1248;1-nov-2006
104254;tata fixed horizon fund series 5 scheme e - div;0.0000;0.0000;0.0000;31-
oct-2006
104253;tata fixed horizon fund series 5 scheme e - growth;0.0000;0.0000;0.0000;31-
oct-2006
104258;tata fixed horizon fund series 5 scheme g - div;10.0314;9.8308;10.0314;1-
nov-2006
104257;tata fixed horizon fund series 5 scheme g -
growth;10.0314;9.8308;10.0314;1-nov-2006
104125;tata fixed horizon fund series 6 scheme a - div;10.2042;10.0511;0.0000;1-
nov-2006
104126;tata fixed horizon fund series 6 scheme a -
growth;10.2041;10.0510;0.0000;1-nov-2006
104247;tata fixed horizon fund series 6 scheme g - div;10.0281;9.9278;10.0281;1-
nov-2006
104248;tata fixed horizon fund series 6 scheme g -
growth;10.0971;9.9961;10.0971;1-nov-2006
103423;tata fixed horizon fund series ii plan a (dece
05);10.5696;10.4111;10.5696;1-nov-2006

uti mutual fund


103806;uti fixed maturity plan quarterly may 2006 - series ii-dividend
option;10.0166;9.9665;0;31-aug-2006
103807;uti fixed maturity plan quarterly may 2006 - series ii-growth
option;10.1732;10.1223;0;31-aug-2006
104222;uti fixed maturity plan august 06 series ii - growth
option;10.127;10.0764;0;1-nov-2006
104221;uti fixed maturity plan august 06 series ii dividend
option;10.127;10.0764;0;1-nov-2006
104309;uti fmp quarterly sep06 - dividend option;10.0755;9.874;0;1-nov-2006
104310;uti fmp quarterly sep06 - growth option;10.0755;9.874;0;1-nov-2006
101767;uti fixed maturity plan yearly series - nov04-dividend
plan;10.0539;9.9534;0;2-jan-2006
101768;uti fixed maturity plan yearly series - nov04-growth
plan;10.6668;10.5601;0;2-jan-2006
104312;uti fmp yearly series sept 06 -dividend option;10.0944;9.7916;0;1-nov-2006
104311;uti fmp yearly series sept 06 -growth option;10.0944;9.7916;0;1-nov-2006
103647;uti fixed term income fund - q18 s-i-dividend option;10.5242;10.3137;0;1-
nov-2006
103648;uti fixed term income fund - q18 s-i-growth option;10.5242;10.3137;0;1-nov-
2006
103449;uti fixed term income fund series - i-dividend option;10.5251;10.4462;0;1-
nov-2006
103450;uti fixed term income fund series - i-growth option;10.526;10.4471;0;1-nov-
2006
103686;uti fmp march quarterly series - i-dividend option;10.0225;10.0225;0;26-
jun-2006
103687;uti fmp march quarterly series - i-growth option;10.2162;10.2162;0;26-jun-
2006
103611;uti fmp quarterly january, 2006 series - ii-dividend
option;10.0242;9.9741;0;11-may-2006
103612;uti fmp quarterly january, 2006 series - ii-growth
option;10.1874;10.1365;0;11-may-2006
103364;uti fmp quarterly november, 2005 ii-dividend option;10.0182;9.9681;0;27-
feb-2006
103365;uti fmp quarterly november, 2005 ii-growth option;10.1613;10.1105;0;27-feb-
2006
103410;uti fmp quarterly series dec05 series - i-dividend
option;10.0105;9.9604;0;23-mar-2006
103411;uti fmp quarterly series dec05 series - i-growth
option;10.1625;10.1117;0;23-mar-2006
104041;uti fmp yearly series june 2006 - dividend option;10.2666;10.1639;0;1-nov-
2006
104042;uti fmp yearly series june 2006 - growth option;10.2666;10.1639;0;1-nov-
2006
104383;uti fmp quarterly series oct06- ii -dividend option;10.0265;9.826;0;1-nov-
2006
104384;uti fmp quarterly series oct06- ii -growth option;10.0265;9.826;0;1-nov-
2006
103512;uti-fixed maturity plan feb 06-ii-dividend option;10.0232;9.9731;0;29-may-
2006
103513;uti-fixed maturity plan feb 06-ii-growth option;10.1948;10.1438;0;29-may-
2006
101207;uti-fixed maturity plan yearly series - july 2005-dividend
option;10.0618;9.9612;0;11-sep-2006
101208;uti-fixed maturity plan yearly series - july 2005-growth
option;10.6566;10.55;0;11-sep-2006
104199;uti fmp yearly series aug06 - dividend option;10.1535;10.052;0;1-nov-2006
104200;uti fmp yearly series aug06 - growth option;10.1535;10.052;0;1-nov-2006
102953;uti-fmp yearly series feb05-dividend option;10.008;9.9079;0;10-apr-2006
102954;uti-fmp yearly series feb05-growth option;10.6599;10.5533;0;10-apr-2006
101623;uti-fmp yearly series sep05-dividend option;10.0693;9.9686;0;1-nov-2006
101624;uti-fmp yearly series sep05-growth option;10.6744;10.5677;0;1-nov-2006

close ended schemes ( growth )

birla sun life mutual fund


104339;birla long term fund- growth option;10.48;10.48;0.00;1-nov-2006
104338;birla long term fund-dividend option;10.48;10.48;0.00;1-nov-2006

deutsche mutual fund


104118;dws fixed term fund series 14 - dividend;10.1914;9.8857;0.0000;1-nov-2006
104117;dws fixed term fund series 14 - growth;10.2317;9.9247;0.0000;1-nov-2006
104161;dws fixed term fund series 16 regular dividend;10.1433;9.8390;0.0000;1-nov-
2006
104160;dws fixed trem fund series 16 regular growth;10.1735;9.8683;0.0000;1-nov-
2006
104159;dws fixed term fund series 16 institutional
dividend;10.1468;9.8424;0.0000;1-nov-2006
104158;dws fixed term fund series 16 institutional growth;10.1770;9.8717;0.0000;1-
nov-2006
103721;dws fixed term fund series 5-dividend;10.5128;10.1974;0.0000;1-nov-2006
103722;dws fixed term fund series 5-growth;10.5128;10.1974;0.0000;1-nov-2006
103428;dws fixed term fund series 7-dividend;10;9.7;0;28-mar-2006
103427;dws fixed term fund series 7-growth;10.1615;9.8567;0;28-mar-2006
103588;dws fixed term fund series 8-dividend;10;9.7;0;6-jun-2006
103589;dws fixed term fund series 8-growth;10.1997;9.8937;0;6-jun-2006
103594;dws fixed term fund series 9-dividend;10.5890;10.1654;0.0000;1-nov-2006
103593;dws fixed term fund series 9-growth;10.5890;10.1654;0.0000;1-nov-2006

franklin templeton mutual fund


103361;franklin india smaller companies fund-dividend;10.69;10.26;10.69;1-nov-2006
103360;franklin india smaller companies fund-growth;10.69;10.26;10.69;1-nov-2006

hdfc mutual fund


103468;hdfc long term equity fund-dividend;11.14;0;0;1-nov-2006
103469;hdfc long term equity fund-growth;11.14;0;0;1-nov-2006

ing vysya mutual fund


104273;ing vysya c.u.b (competitive upcoming businesses) fund-bonus
option;10.7300;10.7300;10.7300;1-nov-2006
104274;ing vysya c.u.b (competitive upcoming businesses) fund-dividend
option;10.7300;10.7300;10.7300;1-nov-2006
104275;ing vysya c.u.b (competitive upcoming businesses) fund-growth
option;10.7300;10.7300;10.7300;1-nov-2006
103709;ing vysya fixed maturity fund -series viii-bonus
option;10.0000;10.0000;10.0000;14-jun-2006
103708;ing vysya fixed maturity fund -series viii-dividend
option;10.2089;10.2089;10.2089;14-jun-2006
103707;ing vysya fixed maturity fund -series viii-growth
option;10.2089;10.2089;10.2089;14-jun-2006
103725;ing vysya fixed maturity fund- seriesix-bonus
option;10.0000;10.0000;10.0000;27-jun-2006
103723;ing vysya fixed maturity fund- seriesix-dividend
option;10.2131;10.2131;10.2131;27-jun-2006
103724;ing vysya fixed maturity fund- seriesix-growth
option;10.2131;10.2131;10.2131;27-jun-2006
103777;ing vysya fixed maturity fund-series x-bonus
option;10.0000;10.0000;10.0000;20-oct-2006
103775;ing vysya fixed maturity fund-series x-dividend
option;10.3506;10.3506;10.3506;20-oct-2006
103776;ing vysya fixed maturity fund-series x-growth
option;10.3506;10.3506;10.3506;20-oct-2006

morgan stanley mutual fund


100347;morgan stanley growth fund;48.02;0;0;1-nov-2006

prudential icici mutual fund


103659;prudential icici fusion fund - institutional option - i - growth; 11.49
;0;0;1-nov-2006
103661;prudential icici fusion fund-dividend plan; 11.41 ;0;0;1-nov-2006
103660;prudential icici fusion fund-growth plan; 11.41 ;0;0;1-nov-2006

reliance mutual fund


101855;reliance fixed maturity fund-series-ii-annual plan series-1-dividend
option;10.6576;10.6576;10.6576;9-jun-2006
101854;reliance fixed maturity fund-series-ii-annual plan series-1-growth
option;10.6576;10.6576;10.6576;9-jun-2006

standard chartered mutual fund


104373;grindlays fixed maturity plus plan - iii plan a
dividend;10.0906;10.0906;10.0906;1-nov-2006
104372;grindlays fixed maturity plus plan - iii plan a
growth;10.0906;10.0906;10.0906;1-nov-2006
104374;grindlays fixed maturity plus plan - iii plan b
dividend;10.0907;10.0907;10.0907;1-nov-2006
104375;grindlays fixed maturity plus plan - iii plan b
growth;10.0907;10.0907;10.0907;1-nov-2006
103754;standard chartered enterprise equity fund-a-
dividend;11.1767;11.1767;11.1767;1-nov-2006
103753;standard chartered enterprise equity fund-a-
growth;11.1767;11.1767;11.1767;1-nov-2006

tata mutual fund


104123;tata capital builder fund - div;10.6977;10.1390;0.0000;1-nov-2006
104124;tata capital builder fund - growth;10.6978;10.1391;0.0000;1-nov-2006
103760;tata equity management fund - div;11.1089;10.6739;0.0000;1-nov-2006
103761;tata equity management fund - growth;11.1088;10.6738;0.0000;1-nov-2006

close ended schemes ( balanced )

benchmark mutual fund


103128;benchmark split capital fund - balanced-benchmark split capital fund -
balanced-class a;123.5843;0;0;1-nov-2006
103129;benchmark split capital fund - balanced-benchmark split capital fund -
balanced-class b;124.2237;0;0;1-nov-2006

close ended schemes ( money market )

dbs chola mutual fund


104223;dbs chola fixed maturity plan � series 4 (quarterly plan � iii)-
cumulative;10.1300;10.0794;10.1300;1-nov-2006
104224;dbs chola fixed maturity plan � series 4 (quarterly plan � iii)-dividend
payout;10.1300;10.0794;10.1300;1-nov-2006
dsp merrill lynch mutual fund
103399;dsp merrill lynch fixed term plan- series 3-
dividend;10.4075;10.1993;10.4075;1-nov-2006
103398;dsp merrill lynch fixed term plan- series 3-
growth;10.5948;10.3829;10.5948;1-nov-2006

close ended schemes ( elss )

birla sun life mutual fund


100956;birla tax plan 98;194.77;194.77;0.00;1-nov-2006

bob mutual fund


100071;bob elss 97;47.06;47.06;0.00;1-nov-2006

franklin templeton mutual fund


100556;franklin india taxshield 97;117.79;117.79;117.79;1-nov-2006
100557;franklin india taxshield 98;115.91;115.91;115.91;1-nov-2006
100558;franklin india taxshield 99;68.42;68.42;68.42;1-nov-2006

lic mutual fund


100903;lic dhan tax saver 1996;11.6747;11.0910;na;13-mar-2006

sbi mutual fund


100934;sbi mels 95;0;0;0;5-jul-2006
100935;sbi mels 96;0;0;0;14-mar-2006

sundaram bnp paribas mutual fund


100615;sundaram bnp paribas tax saver 97;35.2164;35.2164;0.0000;1-nov-2006
100616;sundaram bnp paribas tax saver 98;66.4113;66.4113;0.0000;1-nov-2006

tata mutual fund


103470;tata tax advantage fund -1;10.0802;0.0000;0.0000;1-nov-2006

uti mutual fund


101834;uti - master equity plan unit scheme;38.67;38.67;0;1-nov-2006

close ended schemes ( assured return )

deutsche mutual fund


103759;dws fixed term fund series 11-dividend;10.1513;9.8468;0.0000;19-jul-2006
103758;dws fixed term fund series 11-growth;10.1513;9.8468;0.0000;19-jul-2006
103621;dws fixed term fund series 6-dividend;10.5344;10.1130;0.0000;1-nov-2006
103622;dws fixed term fund series 6-growth;10.5344;10.1130;0.0000;1-nov-2006

close ended schemes ( fund of funds )

abn amro mutual fund


103774;abn amro multi manager fund-dividend option;10.2154;9.8681;10.2154;1-nov-
2006
103773;abn amro multi manager fund-growth option;10.2156;9.8683;10.2156;1-nov-2006
104252;amro multi manager fund � series 2a - dividend option with compulsory
dividend reinvestment;10.0733;9.6583;10.0733;1-nov-2006
104251;amro multi manager fund � series 2a - growth
option;10.0733;9.6583;10.0733;1-nov-2006

ing vysya mutual fund


104368;optimix dynamic multi-manager fof scheme -
dividend;10.3164;9.8438;0.0000;1-nov-2006
104367;optimix dynamic multi-manager fof scheme - growth;10.3164;9.8438;0.0000;1-
nov-2006

kotak mahindra mutual fund


103001;kotak dynamic fof---growth;16.433;16.433;16.433;31-oct-2006
103791;kotak flexi fund of fund-series i-dividend;9.566;9.566;9.566;31-oct-2006
103792;kotak flexi fund of fund-series i-growth;9.566;9.566;9.566;31-oct-2006
103282;kotak flexi fund of funds---dividend;13.079;13.079;13.079;31-oct-2006

103283;kotak flexi fund of funds---growth;13.079;13.079;13.079;31-oct-2006


104129;kotak flexi fund of funds series ii - dividend;10.781;10.781;10.781;31-oct-
2006

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