Approved List of Securities at Zerodha

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Approved Securities List for the Month of April 2024

Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
1 ADANIENT INE423A01024 22.59 collateral margin of Rs. 77.41 No
2 ADANIPORTS INE742F01042 15.97 84.03 No
3 APOLLOHOSP INE437A01024 10.06 89.94 No
4 ASIANPAINT INE021A01026 9 91 No
5 AXISBANK INE238A01034 9.08 90.92 No
6 BAJAJ-AUTO INE917I01010 9.58 90.42 No
7 BAJAJFINSV INE918I01026 9.55 90.45 No
8 BAJFINANCE INE296A01024 10.26 89.74 No
9 BHARTIARTL INE397D01024 9 91 No
10 BPCL INE029A01011 12.18 87.82 No
11 BRITANNIA INE216A01030 9 91 No
12 CIPLA INE059A01026 9.58 90.42 No
13 COALINDIA INE522F01014 12.32 87.68 No
14 DIVISLAB INE361B01024 9.88 90.12 No
15 DRREDDY INE089A01023 9 91 No
16 EICHERMOT INE066A01021 10.29 89.71 No
17 GRASIM INE047A01021 9 91 No
18 HCLTECH INE860A01027 9.08 90.92 No
19 HDFCBANK INE040A01034 9 91 No
20 HDFCLIFE INE795G01014 9.9 90.1 No
21 HEROMOTOCO INE158A01026 10.06 89.94 No
22 HINDALCO INE038A01020 13.23 86.77 No
23 HINDUNILVR INE030A01027 9 91 No
24 ICICIBANK INE090A01021 9 91 No
25 INDUSINDBK INE095A01012 11.4 88.6 No
26 INFY INE009A01021 9.65 90.35 No
27 ITC INE154A01025 9 91 No
28 JSWSTEEL INE019A01038 9.94 90.06 No
29 KOTAKBANK INE237A01028 9 91 No
30 LT INE018A01030 9 91 No
31 LTIM INE214T01019 11.42 88.58 No
32 M&M INE101A01026 10.53 89.47 No
33 MARUTI INE585B01010 9 91 No
34 NESTLEIND INE239A01024 9 91 No
35 NTPC INE733E01010 10.19 89.81 No
36 ONGC INE213A01029 11.61 88.39 No
37 POWERGRID INE752E01010 10.68 89.32 No
38 RELIANCE INE002A01018 9 91 No
39 SBILIFE INE123W01016 9 91 No
40 SBIN INE062A01020 9.4 90.6 No
41 SHRIRAMFIN INE721A01013 13.2 86.8 No
42 SUNPHARMA INE044A01036 9 91 No
43 TATACONSUM INE192A01025 9 91 No
44 TATAMOTORS INE155A01022 11.39 88.61 No
45 TATASTEEL INE081A01020 11.72 88.28 No
46 TCS INE467B01029 9 91 No
47 TECHM INE669C01036 10.09 89.91 No
48 TITAN INE280A01028 9 91 No
49 ULTRACEMCO INE481G01011 9 91 No
50 WIPRO INE075A01022 9.59 90.41 No
51 360ONE INE466L01038 20 80 No
52 3IINFOLTD INE748C01038 21.74 78.26 Yes
53 3MINDIA INE470A01017 20 80 No
54 5PAISA INE618L01018 20 80 No
55 AARON INE721Z01010 20 80 No
56 AARTIDRUGS INE767A01016 20 80 No
57 AARTIIND INE769A01020 20 80 No
58 AARTIPHARM INE0LRU01027 20 80 No
59 AARTISURF INE09EO01013 20 80 Yes
60 AARVI INE754X01016 21.24 78.76 No
61 AAVAS INE216P01012 20 80 No
62 ABB INE117A01022 20 80 No
63 ABBOTINDIA INE358A01014 20 80 No
64 ABCAPITAL INE674K01013 20 80 No
65 ABFRL INE647O01011 20 80 No
66 ABSLAMC INE404A01024 20 80 No
67 ACC INE012A01025 20 80 No
68 ACCELYA INE793A01012 20 80 No
69 ACE INE731H01025 22.61 77.39 No
70 ACI INE128X01021 20 80 No
71 ACL INE666E01020 20 80 No
72 ACLGATI INE152B01027 20 80 Yes
73 ADANIENSOL INE931S01010 24.2 75.8 No
74 ADANIGREEN INE364U01010 22.94 77.06 No
75 ADANIPOWER INE814H01011 20.04 79.96 No
76 ADFFOODS INE982B01027 20 80 Yes
77 ADORWELD INE045A01017 20 80 Yes
78 ADSL INE102I01027 23.73 76.27 No
79 ADVANIHOTR INE199C01026 20 80 No
80 ADVENZYMES INE837H01020 20 80 No
81 AEGISCHEM INE208C01025 20 80 No
82 AEROFLEX INE024001021 20 80 No
83 AETHER INE0BWX01014 20 80 No
84 AFFLE INE00WC01027 20 80 No
85 AGARIND INE204E01012 20 80 Yes
86 AGI INE415A01038 21.65 78.35 Yes
87 AGROPHOS INE740V01019 25.59 74.41 No
88 AHL INE00ZE01026 20 80 Yes
89 AHLADA INE00PV01013 21.65 78.35 No
90 AHLEAST INE926K01017 20 80 No
91 AHLUCONT INE758C01029 20 80 No
92 AIAENG INE212H01026 20 80 No
93 AIROLAM INE801L01010 20 80 No
94 AJANTPHARM INE031B01049 20 80 No
95 AJMERA INE298G01027 23.04 76.96 No
96 AKG INE00Y801016 20 80 No
97 AKZOINDIA INE133A01011 20 80 Yes
98 ALBERTDAVD INE155C01010 20 80 Yes
99 ALEMBICLTD INE426A01027 20 80 No
100 ALICON INE062D01024 20 80 Yes
101 ALKALI INE773I01017 21.13 78.87 No
102 ALKEM INE540L01014 20 80 No
103 ALKYLAMINE INE150B01039 20 80 No
104 ALLCARGO INE418H01029 20 80 No
105 ALLSEC INE835G01018 20 80 No
106 ALPA INE385I01010 20 80 No
107 ALPHAGEO INE137C01018 20.6 79.4 No
108 AMBER INE371P01015 20 80 No
109 AMBIKCO INE540G01014 20 80 Yes
110 AMBUJACEM INE079A01024 20 80 No
111 AMIORG INE00FF01017 20 80 No
112 AMJLAND INE606A01024 21.63 78.37 No
113 AMNPLST INE275D01022 20 80 Yes
114 AMRUTANJAN INE098F01031 20 80 Yes
115 ANANDRATHI INE463V01026 20 80 No
116 ANANTRAJ INE242C01024 20 80 No
117 ANDHRAPAP INE435A01028 20 80 No
118 ANDHRSUGAR INE715B01021 20 80 Yes
119 ANGELONE INE732I01013 20.06 79.94 No
Approved Securities List for the Month of April 2024
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
120 ANMOL INE02AR01019 20 collateral margin of Rs. 80 No
121 ANUP INE294Z01018 20 80 Yes
122 ANURAS INE930P01018 20 80 No
123 APARINDS INE372A01015 20 80 No
124 APCL INE071F01012 20 80 Yes
125 APCOTEXIND INE116A01032 20 80 Yes
126 APEX INE346W01013 20 80 No
127 APLAPOLLO INE702C01027 20 80 No
128 APLLTD INE901L01018 20 80 No
129 APOLLOPIPE INE126J01016 20 80 No
130 APOLLOTYRE INE438A01022 20 80 No
131 APTECHT INE266F01018 20.26 79.74 No
132 APTUS INE852O01025 20 80 No
133 ARCHIDPLY INE877I01016 22.03 77.97 Yes
134 ARE&M INE885A01032 20 80 No
135 ARIES INE298I01015 21.4 78.6 No
136 ARIHANTCAP INE420B01036 20.14 79.86 No
137 ARIHANTSUP INE643K01018 22.76 77.24 Yes
138 ARMANFIN INE109C01017 20 80 Yes
139 AROGRANITE INE210C01013 20.89 79.11 No
140 ARROWGREEN INE570D01018 24.36 75.64 Yes
141 ARTEMISMED INE025R01021 20 80 Yes
142 ARVIND INE034A01011 20 80 No
143 ARVINDFASN INE955V01021 20 80 No
144 ARVSMART INE034S01021 20.19 79.81 Yes
145 ASAHIINDIA INE439A01020 20 80 No
146 ASAHISONG INE228I01012 20 80 No
147 ASAL INE900C01027 23.95 76.05 No
148 ASALCBR INE073G01016 20 80 Yes
149 ASHAPURMIN INE348A01023 22.42 77.58 Yes
150 ASHIANA INE365D01021 20 80 Yes
151 ASHIMASYN INE440A01010 23.95 76.05 No
152 ASHOKA INE442H01029 20 80 No
153 ASHOKLEY INE208A01029 20 80 No
154 ASIANTILES INE022I01019 20 80 Yes
155 ASKAUTOLTD INE491J01022 20 80 No
156 ASPINWALL INE991I01015 23.88 76.12 No
157 ASTEC INE563J01010 20 80 Yes
158 ASTERDM INE914M01019 20 80 No
159 ASTRAL INE006I01046 20 80 No
160 ASTRAMICRO INE386C01029 20 80 No
161 ASTRAZEN INE203A01020 20 80 No
162 ATAM INE09KD01013 20 80 No
163 ATFL INE209A01019 20 80 No
164 ATGL INE399L01023 25.08 74.92 No
165 ATL INE0NN701020 20.29 79.71 No
166 ATUL INE100A01010 20 80 No
167 ATULAUTO INE951D01028 20.12 79.88 Yes
168 AUBANK INE949L01017 20 80 No
169 AUROPHARMA INE406A01037 20 80 No
170 AUTOAXLES INE449A01011 20 80 No
171 AVADHSUGAR INE349W01017 20 80 Yes
172 AVALON INE0LCL01028 20 80 No
173 AVANTIFEED INE871C01038 20 80 No
174 AVG INE680Z01018 20.96 79.04 Yes
175 AVONMORE INE323B01016 20 80 No
176 AVROIND INE652Z01017 20.56 79.44 Yes
177 AVTNPL INE488D01021 20 80 No
178 AWHCL INE01BK01022 20 80 No
179 AWL INE699H01024 20 80 No
180 AXISCADES INE555B01013 21.19 78.81 Yes
181 AYMSYNTEX INE193B01039 20 80 No
182 AZAD INE02IJ01035 20 80 No
183 BAIDFIN INE020D01022 20 80 No
184 BAJAJCON INE933K01021 20 80 No
185 BAJAJELEC INE193E01025 20 80 Yes
186 BAJAJHCARE INE411U01027 20 80 No
187 BAJAJHIND INE306A01021 24.68 75.32 No
188 BAJAJHLDNG INE118A01012 20 80 No
189 BALAJITELE INE794B01026 24.13 75.87 No
190 BALAMINES INE050E01027 20 80 No
191 BALAXI INE618N01014 20 80 No
192 BALKRISIND INE787D01026 20 80 No
193 BALMLAWRIE INE164A01016 20 80 No
194 BALPHARMA INE083D01012 20 80 No
195 BALRAMCHIN INE119A01028 20 80 No
196 BANARBEADS INE655B01011 20 80 No
197 BANARISUG INE459A01010 20 80 Yes
198 BANCOINDIA INE213C01025 20 80 No
199 BANDHANBNK INE545U01014 20 80 No
200 BANKBARODA INE028A01039 20 80 No
201 BANKINDIA INE084A01016 20 80 No
202 BANSWRAS INE629D01020 20 80 Yes
203 BARBEQUE INE382M01027 20 80 No
204 BASF INE373A01013 20 80 No
205 BASML INE186H01022 20 80 No
206 BATAINDIA INE176A01028 20 80 No
207 BAYERCROP INE462A01022 20 80 No
208 BBL INE464A01028 20 80 No
209 BBOX INE676A01027 20.52 79.48 Yes
210 BBTC INE050A01025 20 80 No
211 BBTCL INE01EE01011 20 80 No
212 BCG INE425B01027 20 80 No
213 BCLIND INE412G01024 22.92 77.08 No
214 BDL INE171Z01018 20 80 No
215 BECTORFOOD INE495P01012 20 80 No
216 BEL INE263A01024 20 80 No
217 BEML INE258A01016 20.9 79.1 No
218 BEPL INE922A01025 20 80 No
219 BERGEPAINT INE463A01038 20 80 No
220 BFINVEST INE878K01010 21.52 78.48 No
221 BFUTILITIE INE243D01012 22.68 77.32 Yes
222 BHAGCHEM INE414D01019 20 80 Yes
223 BHAGERIA INE354C01027 20 80 Yes
224 BHARATFORG INE465A01025 20 80 No
225 BHARATGEAR INE561C01019 20 80 No
226 BHARATRAS INE838B01013 20 80 Yes
227 BHEL INE257A01026 20 80 No
228 BIGBLOC INE412U01025 22.68 77.32 No
229 BIKAJI INE00E101023 20 80 No
230 BIOCON INE376G01013 20 80 No
231 BIOFILCHEM INE829A01014 23.16 76.84 No
232 BIRLACABLE INE800A01015 23.86 76.14 No
233 BIRLACORPN INE340A01012 20 80 No
234 BLAL INE0N7W01012 20 80 No
235 BLISSGVS INE416D01022 20.15 79.85 No
236 BLKASHYAP INE350H01032 20.16 79.84 No
237 BLS INE153T01027 20.89 79.11 No
238 BLSE INE0NLT01010 20 80 No
Approved Securities List for the Month of April 2024
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
239 BLUEDART INE233B01017 20 collateral margin of Rs. 80 No
240 BLUEJET INE0KBH01020 20 80 No
241 BLUESTARCO INE472A01039 20 80 No
242 BODALCHEM INE338D01028 20 80 Yes
243 BOMDYEING INE032A01023 22.56 77.44 No
244 BOROLTD INE02PY01013 20 80 Yes
245 BORORENEW INE666D01022 20 80 No
246 BOSCHLTD INE323A01026 20 80 No
247 BRIGADE INE791I01019 20 80 No
248 BSE INE118H01025 20 80 No
249 BSHSL INE032Z01020 20 80 Yes
250 BSL INE594B01012 20 80 No
251 BSOFT INE836A01035 20 80 No
252 BTML INE0EEJ01015 20 80 No
253 BUTTERFLY INE295F01017 20 80 Yes
254 CAMLINFINE INE052I01032 20 80 Yes
255 CAMPUS INE278Y01022 20 80 No
256 CAMS INE596I01012 20 80 No
257 CANBK INE476A01014 20 80 No
258 CANFINHOME INE477A01020 20 80 No
259 CANTABIL INE068L01024 20 80 Yes
260 CAPACITE INE264T01014 20.46 79.54 No
261 CAPITALSFB INE646H01017 20 80 No
262 CAPLIPOINT INE475E01026 20 80 No
263 CAPTRUST INE707C01018 23.8 76.2 No
264 CARBORUNIV INE120A01034 20 80 No
265 CARERATING INE752H01013 20 80 Yes
266 CARTRADE INE290S01011 20 80 No
267 CARYSIL INE482D01024 20 80 No
268 CASTROLIND INE172A01027 20 80 No
269 CCL INE421D01022 20 80 No
270 CDSL INE736A01011 20 80 No
271 CEATLTD INE482A01020 20 80 No
272 CELLO INE0LMW01024 20 80 No
273 CENTENKA INE485A01015 20 80 Yes
274 CENTRALBK INE483A01010 21.32 78.68 No
275 CENTRUM INE660C01027 23.77 76.23 No
276 CENTUM INE320B01020 23.24 76.76 Yes
277 CENTURYPLY INE348B01021 20 80 No
278 CENTURYTEX INE055A01016 20 80 No
279 CERA INE739E01017 20 80 No
280 CESC INE486A01021 20 80 No
281 CGCL INE180C01042 20 80 No
282 CGPOWER INE067A01029 20 80 No
283 CHALET INE427F01016 20 80 No
284 CHAMBLFERT INE085A01013 20 80 No
285 CHEMBOND INE995D01025 20 80 No
286 CHEMCON INE03YM01018 20 80 Yes
287 CHEMFAB INE783X01023 25.31 74.69 Yes
288 CHEMPLASTS INE488A01050 20 80 Yes
289 CHENNPETRO INE178A01016 22.88 77.12 No
290 CHEVIOT INE974B01016 20 80 Yes
291 CHOICEIN INE102B01014 20 80 No
292 CHOLAFIN INE121A01024 20 80 No
293 CHOLAHLDNG INE149A01033 20 80 No
294 CIEINDIA INE536H01010 20 80 No
295 CIGNITITEC INE675C01017 20 80 No
296 CLEAN INE227W01023 20 80 No
297 CLEDUCATE INE201M01029 20 80 No
298 CLSEL INE419D01026 20 80 No
299 CMSINFO INE925R01014 20 80 No
300 COASTCORP INE377E01016 20 80 Yes
301 COCHINSHIP INE704P01025 22.55 77.45 No
302 COFFEEDAY INE335K01011 25.74 74.26 No
303 COFORGE INE591G01017 20 80 No
304 COLPAL INE259A01022 20 80 No
305 CONCOR INE111A01025 20 80 No
306 CONCORDBIO INE338H01029 20 80 No
307 CONFIPET INE552D01024 20 80 No
308 CONSOFINVT INE025A01027 21.31 78.69 No
309 CONTROLPR INE663B01015 20 80 Yes
310 COROMANDEL INE169A01031 20 80 No
311 COSMOFIRST INE757A01017 20 80 No
312 CRAFTSMAN INE00LO01017 20 80 No
313 CREATIVE INE985W01018 20 80 Yes
314 CREDITACC INE741K01010 20 80 No
315 CREST INE559D01011 22.61 77.39 No
316 CRISIL INE007A01025 20 80 No
317 CROMPTON INE299U01018 20 80 No
318 CSBBANK INE679A01013 20 80 No
319 CSLFINANCE INE718F01018 20 80 No
320 CUB INE491A01021 20 80 No
321 CUMMINSIND INE298A01020 20 80 No
322 CYBERTECH INE214A01019 21.34 78.66 No
323 CYIENT INE136B01020 20 80 No
324 CYIENTDLM INE055S01018 20 80 No
325 DABUR INE016A01026 20 80 No
326 DALBHARAT INE00R701025 20 80 No
327 DALMIASUG INE495A01022 20 80 No
328 DAMODARIND INE497D01022 21.68 78.32 No
329 DANGEE INE688Y01022 22.08 77.92 No
330 DATAMATICS INE365B01017 21.56 78.44 Yes
331 DATAPATTNS INE0IX101010 20 80 No
332 DBL INE917M01012 20.54 79.46 No
333 DBOL INE0I3401014 20 80 Yes
334 DBREALTY INE879I01012 25.55 74.45 Yes
335 DCAL INE385W01011 22.07 77.93 Yes
336 DCBBANK INE503A01015 20 80 No
337 DCM INE498A01018 21.11 78.89 No
338 DCMNVL INE08KP01019 20.32 79.68 No
339 DCMSHRIRAM INE499A01024 20 80 No
340 DCMSRIND INE843D01027 20.09 79.91 Yes
341 DCW INE500A01029 20.11 79.89 No
342 DCXINDIA INE0KL801015 20.02 79.98 No
343 DECCANCE INE583C01021 20 80 Yes
344 DEEPAKFERT INE501A01019 20 80 No
345 DEEPAKNTR INE288B01029 20 80 No
346 DEEPINDS INE0FHS01024 20 80 Yes
347 DELHIVERY INE148O01028 20 80 No
348 DELPHIFX INE726L01019 21.19 78.81 No
349 DELTACORP INE124G01033 20 80 No
350 DEN INE947J01015 20 80 No
351 DENORA INE244A01016 23.63 76.37 Yes
352 DEVIT INE060X01026 20 80 Yes
353 DEVYANI INE872J01023 20 80 No
354 DHAMPURSUG INE041A01016 20 80 No
355 DHANI INE274G01010 22.9 77.1 Yes
356 DHANUKA INE435G01025 20 80 No
357 DHARMAJ INE00OQ01016 20 80 No
Approved Securities List for the Month of April 2024
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
358 DHUNINV INE320L01011 22.8 collateral margin of Rs. 77.2 No
359 DIAMINESQ INE591D01014 20 80 Yes
360 DIAMONDYD INE393P01035 20 80 No
361 DICIND INE303A01010 20 80 Yes
362 DIL INE411Y01011 22.18 77.82 No
363 DISHTV INE836F01026 26.29 73.71 No
364 DIVGIITTS INE753U01022 20 80 No
365 DIXON INE935N01020 20 80 No
366 DJML INE0B1K01014 20 80 No
367 DLF INE271C01023 20 80 No
368 DLINKINDIA INE250K01012 20 80 Yes
369 DMART INE192R01011 20 80 No
370 DMCC INE505A01010 20 80 Yes
371 DODLA INE021O01019 20 80 No
372 DOLATALGO INE966A01022 22.21 77.79 Yes
373 DOLLAR INE325C01035 20 80 Yes
374 DOMS INE321T01012 20 80 No
375 DONEAR INE668D01028 21.03 78.97 No
376 DPABHUSHAN INE266Y01019 20 80 No
377 DPSCLTD INE360C01024 24.3 75.7 No
378 DPWIRES INE864X01013 20 80 No
379 DREAMFOLKS INE0JS101016 20 80 No
380 DSSL INE417B01040 26.29 73.71 No
381 DTIL INE341R01014 20 80 Yes
382 DVL INE477B01010 21.34 78.66 No
383 DWARKESH INE366A01041 20 80 No
384 DYCL INE600Y01019 20 80 Yes
385 DYNAMATECH INE221B01012 20 80 Yes
386 DYNPRO INE256H01015 20 80 Yes
387 EASEMYTRIP INE07O001026 20 80 No
388 ECLERX INE738I01010 20 80 No
389 EDELWEISS INE532F01054 20 80 No
390 EIDPARRY INE126A01031 20 80 No
391 EIFFL INE546V01010 20 80 No
392 EIHAHOTELS INE276C01014 20 80 No
393 EIHOTEL INE230A01023 20 80 No
394 EIMCOELECO INE158B01016 20 80 No
395 EKC INE184H01027 22.52 77.48 Yes
396 ELDEHSG INE668G01021 20 80 Yes
397 ELECON INE205B01023 20 80 No
398 ELECTCAST INE086A01029 20.35 79.65 No
399 ELGIEQUIP INE285A01027 20 80 No
400 ELIN INE050401020 20 80 Yes
401 EMAMILTD INE548C01032 20 80 No
402 EMAMIPAP INE830C01026 20 80 No
403 EMAMIREAL INE778K01012 24.92 75.08 No
404 EMIL INE02YR01019 20 80 No
405 EMMBI INE753K01015 20 80 No
406 EMSLIMITED INE0OV601013 20 80 No
407 EMUDHRA INE01QM01018 20 80 No
408 ENDURANCE INE913H01037 20 80 No
409 ENGINERSIN INE510A01028 21.15 78.85 No
410 ENIL INE265F01028 22.47 77.53 No
411 ENTERO INE010601016 20 80 No
412 EPACK INE0G5901015 20 80 No
413 EPIGRAL INE071N01016 20 80 No
414 EPL INE255A01020 20 80 No
415 EQUITASBNK INE063P01018 20 80 No
416 ERIS INE406M01024 20 80 No
417 EROSMEDIA INE416L01017 23.78 76.22 Yes
418 ESABINDIA INE284A01012 20 80 Yes
419 ESAFSFB INE818W01011 20 80 No
420 ESCORTS INE042A01014 20 80 No
421 ESTER INE778B01029 20 80 No
422 ETHOSLTD INE04TZ01018 20 80 No
423 EVEREADY INE128A01029 20 80 Yes
424 EVERESTIND INE295A01018 20 80 Yes
425 EXCELINDUS INE369A01029 20 80 Yes
426 EXIDEIND INE302A01020 20 80 No
427 EXPLEOSOL INE201K01015 20 80 Yes
428 EXXARO INE0GFE01018 20 80 Yes
429 FACT INE188A01015 26.19 73.81 No
430 FAIRCHEMOR INE0DNW01011 20 80 Yes
431 FAZE3Q INE963C01033 20 80 No
432 FCL INE045J01026 20.01 79.99 No
433 FDC INE258B01022 20 80 No
434 FEDERALBNK INE171A01029 20 80 No
435 FEDFINA INE007N01010 20 80 No
436 FIBERWEB INE296C01020 20 80 No
437 FIEMIND INE737H01014 20 80 No
438 FILATEX INE816B01035 20 80 Yes
439 FINCABLES INE235A01022 20 80 No
440 FINEORG INE686Y01026 20 80 No
441 FINOPB INE02NC01014 20 80 Yes
442 FINPIPE INE183A01024 20 80 No
443 FIVESTAR INE128S01021 20 80 No
444 FLAIR INE00Y201027 20 80 No
445 FLUOROCHEM INE09N301011 20 80 No
446 FMGOETZE INE529A01010 20 80 Yes
447 FOCUS INE593W01028 20 80 No
448 FOODSIN INE976E01023 20 80 Yes
449 FORTIS INE061F01013 20 80 No
450 FOSECOIND INE519A01011 20 80 Yes
451 FSL INE684F01012 20 80 No
452 FUSION INE139R01012 20 80 No
453 GABRIEL INE524A01029 20 80 No
454 GAEL INE036B01030 20 80 No
455 GAIL INE129A01019 20 80 No
456 GALAXYSURF INE600K01018 20 80 No
457 GANDHAR INE717W01049 20 80 No
458 GANDHITUBE INE524B01027 20 80 No
459 GANECOS INE845D01014 20 80 Yes
460 GANESHBE INE388A01029 20 80 Yes
461 GANESHHOUC INE460C01014 22.8 77.2 Yes
462 GANGESSECU INE335W01016 20.17 79.83 No
463 GARFIBRES INE276A01018 20 80 No
464 GATEWAY INE079J01017 20 80 No
465 GEECEE INE916G01016 20 80 No
466 GENESYS INE727B01026 23.16 76.84 No
467 GENUSPAPER INE949P01018 24.39 75.61 No
468 GENUSPOWER INE955D01029 21.21 78.79 Yes
469 GEOJITFSL INE007B01023 20 80 No
470 GEPIL INE878A01011 23.05 76.95 No
471 GESHIP INE017A01032 20 80 No
472 GFLLIMITED INE538A01037 20 80 Yes
473 GHCL INE539A01019 20 80 No
474 GHCLTEXTIL INE0PA801013 20 80 Yes
475 GICHSGFIN INE289B01019 20 80 No
476 GICRE INE481Y01014 23.06 76.94 No
Approved Securities List for the Month of April 2024
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
477 GILLETTE INE322A01010 20 collateral margin of Rs. 80 No
478 GIPCL INE162A01010 20 80 No
479 GLAND INE068V01023 20 80 No
480 GLAXO INE159A01016 20 80 No
481 GLENMARK INE935A01035 20 80 No
482 GLOBAL INE291W01029 25.18 74.82 No
483 GLOBUSSPR INE615I01010 20 80 No
484 GLS INE03Q201024 20 80 No
485 GMBREW INE075D01018 20 80 Yes
486 GMDCLTD INE131A01031 24.85 75.15 No
487 GMMPFAUDLR INE541A01023 20 80 No
488 GMRINFRA INE776C01039 20 80 No
489 GNA INE934S01014 20 80 No
490 GNFC INE113A01013 20 80 No
491 GOACARBON INE426D01013 20.07 79.93 No
492 GOCLCORP INE077F01035 20.24 79.76 No
493 GOCOLORS INE0BJS01011 20 80 No
494 GODFRYPHLP INE260B01028 20 80 No
495 GODREJAGRO INE850D01014 20 80 No
496 GODREJCP INE102D01028 20 80 No
497 GODREJIND INE233A01035 20 80 No
498 GODREJPROP INE484J01027 20 80 No
499 GOKEX INE887G01027 20 80 No
500 GOKULAGRO INE314T01025 20 80 No
501 GOLDIAM INE025B01025 20 80 Yes
502 GOODLUCK INE127I01024 20 80 No
503 GPIL INE177H01021 20 80 No
504 GPPL INE517F01014 20 80 No
505 GPTHEALTH INE486R01017 20 80 No
506 GRANULES INE101D01020 20 80 No
507 GRAPHITE INE371A01025 20 80 No
508 GRAVITA INE024L01027 20 80 No
509 GREAVESCOT INE224A01026 20 80 No
510 GREENLAM INE544R01021 20 80 No
511 GREENPANEL INE08ZM01014 20 80 No
512 GREENPLY INE461C01038 20 80 No
513 GRINDWELL INE536A01023 20 80 No
514 GRINFRA INE201P01022 20 80 No
515 GRMOVER INE192H01020 20 80 Yes
516 GRSE INE382Z01011 20.77 79.23 No
517 GRWRHITECH INE291A01017 20.4 79.6 Yes
518 GSFC INE026A01025 20 80 No
519 GSLSU INE0JSX01015 20 80 No
520 GSPL INE246F01010 20 80 No
521 GTPL INE869I01013 20 80 No
522 GUFICBIO INE742B01025 20 80 Yes
523 GUJALKALI INE186A01019 20 80 No
524 GUJGASLTD INE844O01030 20 80 No
525 GULFOILLUB INE635Q01029 20 80 No
526 GULFPETRO INE586G01017 23.48 76.52 No
527 GULPOLY INE255D01024 20 80 Yes
528 HAL INE066F01020 20 80 No
529 HAPPSTMNDS INE419U01012 20 80 No
530 HAPPYFORGE INE330T01021 20 80 No
531 HARDWYN INE626Z01029 21.37 78.63 Yes
532 HARIOMPIPE INE00EV01017 20 80 Yes
533 HARRMALAYA INE544A01019 20 80 No
534 HARSHA INE0JUS01029 20 80 Yes
535 HATHWAY INE982F01036 20 80 No
536 HATSUN INE473B01035 20 80 Yes
537 HAVELLS INE176B01034 20 80 No
538 HBLPOWER INE292B01021 23.12 76.88 No
539 HCC INE549A01026 27.81 72.19 No
540 HCG INE075I01017 20 80 Yes
541 HDFCAMC INE127D01025 20 80 No
542 HEADSUP INE759V01019 25.4 74.6 No
543 HEG INE545A01016 20 80 No
544 HEIDELBERG INE578A01017 20 80 No
545 HEMIPROP INE0AJG01018 20.32 79.68 No
546 HERANBA INE694N01015 20 80 Yes
547 HERCULES INE688E01024 20 80 Yes
548 HERITGFOOD INE978A01027 20 80 No
549 HESTERBIO INE782E01017 20 80 Yes
550 HEUBACHIND INE492A01029 20 80 Yes
551 HEXATRADEX INE750M01017 20 80 No
552 HFCL INE548A01028 20.77 79.23 No
553 HGINFRA INE926X01010 20 80 No
554 HGS INE170I01016 20 80 No
555 HIKAL INE475B01022 20 80 No
556 HIL INE557A01011 20 80 Yes
557 HILTON INE788H01017 23.66 76.34 No
558 HIMATSEIDE INE049A01027 20 80 Yes
559 HINDCOMPOS INE310C01029 20 80 Yes
560 HINDCOPPER INE531E01026 21.03 78.97 No
561 HINDMOTORS INE253A01025 20 80 No
562 HINDOILEXP INE345A01011 20.14 79.86 No
563 HINDPETRO INE094A01015 20 80 No
564 HINDWAREAP INE05AN01011 20 80 Yes
565 HINDZINC INE267A01025 20 80 No
566 HITECH INE106T01025 21.27 78.73 No
567 HITECHCORP INE120D01012 20 80 No
568 HITECHGEAR INE127B01011 25.17 74.83 No
569 HLEGLAS INE461D01028 20 80 Yes
570 HLVLTD INE102A01024 26.09 73.91 No
571 HMAAGRO INE0ECP01024 20 80 No
572 HMVL INE871K01015 20 80 No
573 HNDFDS INE254N01026 20 80 No
574 HOMEFIRST INE481N01025 20 80 No
575 HONASA INE0J5401028 20 80 No
576 HONAUT INE671A01010 20 80 No
577 HONDAPOWER INE634A01018 20 80 Yes
578 HPAL INE0GSL01024 20 80 Yes
579 HPL INE495S01016 23.91 76.09 No
580 HTMEDIA INE501G01024 20.18 79.82 No
581 HUDCO INE031A01017 24.3 75.7 No
582 HUHTAMAKI INE275B01026 20 80 Yes
583 IBREALEST INE069I01010 24.85 75.15 No
584 IBULHSGFIN INE148I01020 21.61 78.39 No
585 ICEMAKE INE520Y01019 20.44 79.56 Yes
586 ICICIGI INE765G01017 20 80 No
587 ICICIPRULI INE726G01019 20 80 No
588 ICIL INE483B01026 20.19 79.81 No
589 ICRA INE725G01011 20 80 Yes
590 IDBI INE008A01015 20 80 No
591 IDEA INE669E01016 24.58 75.42 No
592 IDEAFORGE INE349Y01013 20 80 No
593 IDFC INE043D01016 20 80 No
594 IDFCFIRSTB INE092T01019 20 80 No
595 IEX INE022Q01020 20 80 No
Approved Securities List for the Month of April 2024
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
596 IFBAGRO INE076C01018 20 collateral margin of Rs. 80 Yes
597 IFBIND INE559A01017 20 80 Yes
598 IFCI INE039A01010 27.21 72.79 No
599 IFGLEXPOR INE133Y01011 21.89 78.11 No
600 IGARASHI INE188B01013 20 80 Yes
601 IGL INE203G01027 20 80 No
602 IGPL INE204A01010 20 80 Yes
603 IIFL INE530B01024 22.75 77.25 Yes
604 IIFLSEC INE489L01022 22.13 77.87 No
605 IKIO INE0LOJ01019 20 80 No
606 IMAGICAA INE172N01012 25.01 74.99 No
607 IMFA INE919H01018 20 80 Yes
608 IMPAL INE547E01014 20 80 Yes
609 INDBANK INE841B01017 27.32 72.68 No
610 INDHOTEL INE053A01029 20 80 No
611 INDIACEM INE383A01012 20 80 No
612 INDIAGLYCO INE560A01015 20 80 No
613 INDIAMART INE933S01016 20 80 No
614 INDIANB INE562A01011 20 80 No
615 INDIANCARD INE061A01014 20 80 No
616 INDIANHUME INE323C01030 20.55 79.45 Yes
617 INDIASHLTR INE922K01024 20 80 No
618 INDIGO INE646L01027 20 80 No
619 INDIGOPNTS INE09VQ01012 20 80 No
620 INDNIPPON INE092B01025 20 80 Yes
621 INDOAMIN INE760F01028 22.21 77.79 No
622 INDOBORAX INE803D01021 20 80 No
623 INDOCO INE873D01024 20 80 No
624 INDORAMA INE156A01020 20 80 No
625 INDOSTAR INE896L01010 20 80 Yes
626 INDRAMEDCO INE681B01017 20 80 Yes
627 INDSWFTLAB INE915B01019 20.44 79.56 Yes
628 INDTERRAIN INE611L01021 21.88 78.12 No
629 INDUSTOWER INE121J01017 20 80 No
630 INFIBEAM INE483S01020 23.84 76.16 No
631 INFOBEAN INE344S01016 20 80 Yes
632 INGERRAND INE177A01018 20 80 No
633 INNOVACAP INE0DUT01020 20 80 No
634 INOXINDIA INE616N01034 20 80 No
635 INOXWIND INE066P01011 23.37 76.63 Yes
636 INSECTICID INE070I01018 20 80 Yes
637 INTELLECT INE306R01017 20 80 No
638 INTLCONV INE575C01027 22.83 77.17 No
639 IOB INE565A01014 23.56 76.44 No
640 IOC INE242A01010 20 80 No
641 IOLCP INE485C01011 20 80 No
642 IONEXCHANG INE570A01022 20 80 No
643 IPCALAB INE571A01038 20 80 No
644 IPL INE0D6701023 20.04 79.96 No
645 IRB INE821I01022 22.36 77.64 No
646 IRCON INE962Y01021 24.95 75.05 No
647 IRCTC INE335Y01020 20 80 No
648 IRFC INE053F01010 24.01 75.99 No
649 IRIS INE864K01010 20.09 79.91 Yes
650 IRISDOREME INE01GN01025 20 80 No
651 IRMENERGY INE07U701015 20 80 No
652 ISEC INE763G01038 20 80 No
653 ISFT INE566K01011 22.67 77.33 No
654 ISGEC INE858B01029 20 80 No
655 ISMTLTD INE732F01019 20 80 No
656 ITDC INE353K01014 22.81 77.19 No
657 ITDCEM INE686A01026 20 80 No
658 ITI INE248A01017 25.75 74.25 No
659 IVC INE050B01023 20.65 79.35 No
660 J&KBANK INE168A01041 20 80 No
661 JAGRAN INE199G01027 20 80 Yes
662 JAGSNPHARM INE048B01027 20 80 Yes
663 JAICORPLTD INE070D01027 23.06 76.94 No
664 JAIPURKURT INE696V01013 23.26 76.74 Yes
665 JAMNAAUTO INE039C01032 20 80 No
666 JASH INE039O01011 20 80 Yes
667 JAYAGROGN INE785A01026 20 80 Yes
668 JAYBARMARU INE571B01036 20 80 Yes
669 JAYSREETEA INE364A01020 20 80 No
670 JBCHEPHARM INE572A01036 20 80 No
671 JBMA INE927D01044 21.73 78.27 Yes
672 JCHAC INE782A01015 20 80 Yes
673 JETFREIGHT INE982V01025 22.91 77.09 No
674 JINDALPHOT INE796G01012 24.75 75.25 No
675 JINDALPOLY INE197D01010 20 80 Yes
676 JINDALSAW INE324A01024 21.77 78.23 No
677 JINDALSTEL INE749A01030 20 80 No
678 JINDRILL INE742C01031 21.13 78.87 Yes
679 JINDWORLD INE247D01039 20.05 79.95 No
680 JIOFIN INE758E01017 20 80 No
681 JISLJALEQS INE175A01038 22.74 77.26 No
682 JKCEMENT INE823G01014 20 80 No
683 JKIL INE576I01022 20 80 Yes
684 JKLAKSHMI INE786A01032 20 80 No
685 JKPAPER INE789E01012 20 80 No
686 JKTYRE INE573A01042 20 80 No
687 JLHL INE682M01012 20 80 No
688 JMFINANCIL INE780C01023 20 80 No
689 JOCIL INE839G01010 20 80 No
690 JPASSOCIAT INE455F01025 28.92 71.08 No
691 JPOLYINVST INE147P01019 22.41 77.59 No
692 JSFB INE953L01027 20 80 No
693 JSL INE220G01021 20 80 No
694 JSWENERGY INE121E01018 20 80 No
695 JSWHL INE824G01012 20 80 No
696 JSWINFRA INE880J01026 20 80 No
697 JTEKTINDIA INE643A01035 20 80 Yes
698 JTLIND INE391J01024 20 80 No
699 JUBLFOOD INE797F01020 20 80 No
700 JUBLINDS INE645L01011 23.1 76.9 No
701 JUBLINGREA INE0BY001018 20 80 No
702 JUBLPHARMA INE700A01033 20 80 No
703 JUNIPER INE696F01016 20 80 No
704 JUSTDIAL INE599M01018 20 80 No
705 JWL INE209L01016 20 80 No
706 JYOTHYLAB INE668F01031 20 80 No
707 JYOTICNC INE980O01024 20 80 No
708 KABRAEXTRU INE900B01029 20 80 Yes
709 KAJARIACER INE217B01036 20 80 No
710 KAKATCEM INE437B01014 20 80 Yes
711 KALAMANDIR INE438K01021 20 80 No
712 KALYANKJIL INE303R01014 20 80 No
713 KAMATHOTEL INE967C01018 20 80 No
714 KAMDHENU INE390H01012 21.34 78.66 No
Approved Securities List for the Month of April 2024
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
715 KAMOPAINTS INE0BTI01029 21.37 collateral margin of Rs. 78.63 No
716 KANORICHEM INE138C01024 20 80 No
717 KANPRPLA INE694E01014 20 80 No
718 KANSAINER INE531A01024 20 80 No
719 KARURVYSYA INE036D01028 20 80 No
720 KAYA INE587G01015 20 80 Yes
721 KAYNES INE918Z01012 20 80 No
722 KCP INE805C01028 20 80 No
723 KDDL INE291D01011 20 80 Yes
724 KEC INE389H01022 20 80 No
725 KECL INE134B01017 24.16 75.84 No
726 KEI INE878B01027 20 80 No
727 KELLTONTEC INE164B01022 21.32 78.68 No
728 KERNEX INE202H01019 20 80 No
729 KESORAMIND INE087A01019 20 80 No
730 KFINTECH INE138Y01010 20 80 No
731 KHADIM INE834I01025 20 80 No
732 KHAICHEM INE745B01028 20.7 79.3 No
733 KICL INE029L01018 20 80 Yes
734 KIMS INE967H01017 20 80 No
735 KINGFA INE473D01015 20 80 Yes
736 KIOCL INE880L01014 28.09 71.91 No
737 KIRIINDUS INE415I01015 20 80 Yes
738 KIRLOSBROS INE732A01036 20.79 79.21 Yes
739 KIRLOSENG INE146L01010 20 80 No
740 KIRLOSIND INE250A01039 20 80 Yes
741 KIRLPNU INE811A01020 20 80 Yes
742 KITEX INE602G01020 20 80 No
743 KKCL INE401H01017 20 80 Yes
744 KMSUGAR INE157H01023 20 80 No
745 KNRCON INE634I01029 20 80 No
746 KOHINOOR INE080B01012 23.54 76.46 No
747 KOKUYOCMLN INE760A01029 20 80 Yes
748 KOLTEPATIL INE094I01018 20 80 No
749 KOPRAN INE082A01010 21.83 78.17 Yes
750 KOTARISUG INE419A01022 20 80 No
751 KOTHARIPET INE720A01015 22.41 77.59 Yes
752 KOTHARIPRO INE823A01017 20.46 79.54 No
753 KPIGREEN INE542W01017 23.38 76.62 No
754 KPIL INE220B01022 20 80 No
755 KPITTECH INE04I401011 20 80 No
756 KPRMILL INE930H01031 20 80 No
757 KRBL INE001B01026 20 80 No
758 KRISHANA INE506W01012 20 80 Yes
759 KRITI INE479D01038 21.54 78.46 No
760 KRSNAA INE08LI01020 20 80 Yes
761 KSB INE999A01015 20 80 No
762 KSCL INE455I01029 20 80 No
763 KSL INE907A01026 20.37 79.63 No
764 KSOLVES INE0D6I01015 20 80 Yes
765 KTKBANK INE614B01018 20 80 No
766 KUANTUM INE529I01021 20 80 Yes
767 L&TFH INE498L01015 20 80 No
768 LALPATHLAB INE600L01024 20 80 No
769 LAMBODHARA INE112F01022 25.39 74.61 No
770 LANDMARK INE559R01029 20 80 No
771 LAOPALA INE059D01020 20 80 No
772 LASA INE670X01014 23.41 76.59 Yes
773 LATENTVIEW INE0I7C01011 20 80 No
774 LAURUSLABS INE947Q01028 20 80 No
775 LAXMICOT INE801V01019 24.4 75.6 No
776 LAXMIMACH INE269B01029 20 80 No
777 LEMONTREE INE970X01018 20 80 No
778 LGBBROSLTD INE337A01034 20 80 Yes
779 LIBAS INE908V01012 23.74 76.26 No
780 LICHSGFIN INE115A01026 20 80 No
781 LICI INE0J1Y01017 20 80 No
782 LIKHITHA INE060901027 20 80 Yes
783 LINC INE802B01019 20 80 No
784 LINCOLN INE405C01035 20 80 Yes
785 LINDEINDIA INE473A01011 20 80 No
786 LLOYDSENGG INE093R01011 27.04 72.96 Yes
787 LLOYDSME INE281B01032 20 80 No
788 LODHA INE670K01029 20 80 No
789 LOKESHMACH INE397H01017 21.81 78.19 No
790 LOVABLE INE597L01014 20 80 Yes
791 LTFOODS INE818H01020 20 80 No
792 LTTS INE010V01017 20 80 No
793 LUMAXIND INE162B01018 20 80 Yes
794 LUMAXTECH INE872H01027 20 80 Yes
795 LUPIN INE326A01037 20 80 No
796 LUXIND INE150G01020 20 80 No
797 LXCHEM INE576O01020 20 80 No
798 LYKALABS INE933A01014 20 80 Yes
799 M&MFIN INE774D01024 20 80 No
800 MADRASFERT INE414A01015 22.33 77.67 No
801 MAGADSUGAR INE347W01011 20 80 Yes
802 MAHABANK INE457A01014 20 80 No
803 MAHEPC INE215D01010 20 80 Yes
804 MAHESHWARI INE263W01010 20 80 Yes
805 MAHLIFE INE813A01018 20 80 No
806 MAHLOG INE766P01016 20 80 No
807 MAHSCOOTER INE288A01013 20 80 No
808 MAHSEAMLES INE271B01025 20 80 No
809 MAITHANALL INE683C01011 20 80 Yes
810 MALLCOM INE389C01015 20 80 Yes
811 MANAKSIA INE015D01022 20 80 Yes
812 MANALIPETC INE201A01024 20 80 Yes
813 MANAPPURAM INE522D01027 20 80 No
814 MANGALAM INE584F01014 20 80 No
815 MANGCHEFER INE558B01017 20 80 No
816 MANGLMCEM INE347A01017 20 80 No
817 MANINFRA INE949H01023 20 80 No
818 MANKIND INE634S01028 20 80 No
819 MANORAMA INE00VM01036 20 80 Yes
820 MANORG INE370D01013 20 80 Yes
821 MANYAVAR INE825V01034 20 80 No
822 MAPMYINDIA INE0BV301023 20 80 No
823 MARALOVER INE882A01013 24.14 75.86 No
824 MARATHON INE182D01020 20 80 Yes
825 MARICO INE196A01026 20 80 No
826 MARKSANS INE750C01026 20 80 No
827 MASFIN INE348L01012 20 80 No
828 MASTEK INE759A01021 20 80 No
829 MATRIMONY INE866R01028 20 80 Yes
830 MAWANASUG INE636A01039 20 80 Yes
831 MAXESTATES INE03EI01018 20 80 Yes
832 MAXHEALTH INE027H01010 20 80 No
833 MAYURUNIQ INE040D01038 20 80 Yes
Approved Securities List for the Month of April 2024
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
834 MAZDA INE885E01034 20 collateral margin of Rs. 80 No
835 MAZDOCK INE249Z01012 20 80 No
836 MBAPL INE900L01010 20 80 Yes
837 MCDOWELL-N INE854D01024 20 80 No
838 MCX INE745G01035 20 80 No
839 MEDANTA INE474Q01031 20 80 No
840 MEDIASSIST INE456Z01021 20 80 No
841 MEDICAMEQ INE646B01010 20 80 Yes
842 MEDPLUS INE804L01022 20 80 No
843 MEGASTAR INE00EM01016 20 80 No
844 MENONBE INE071D01033 20 80 Yes
845 METROBRAND INE317I01021 20 80 No
846 METROPOLIS INE112L01020 20 80 No
847 MFSL INE180A01020 20 80 No
848 MGL INE002S01010 20 80 No
849 MHRIL INE998I01010 20 80 No
850 MIDHANI INE099Z01011 20 80 No
851 MINDACORP INE842C01021 20 80 No
852 MINDTECK INE110B01017 25.64 74.36 No
853 MMFL INE227C01017 20 80 Yes
854 MMTC INE123F01029 25.43 74.57 No
855 MODISONLTD INE737D01021 22.84 77.16 No
856 MOIL INE490G01020 20 80 No
857 MOL INE0CT101020 20 80 No
858 MOLDTECH INE835B01035 22.71 77.29 No
859 MOLDTKPAC INE893J01029 20 80 No
860 MONARCH INE903D01011 20.15 79.85 No
861 MONTECARLO INE950M01013 20 80 Yes
862 MOREPENLAB INE083A01026 20 80 No
863 MOTHERSON INE775A01035 20 80 No
864 MOTILALOFS INE338I01027 20 80 No
865 MPHASIS INE356A01018 20 80 No
866 MPSLTD INE943D01017 20.37 79.63 Yes
867 MRF INE883A01011 20 80 No
868 MRO-TEK INE398B01018 27.67 72.33 No
869 MRPL INE103A01014 24.57 75.43 No
870 MSTCLTD INE255X01014 23.78 76.22 No
871 MSUMI INE0FS801015 20 80 No
872 MTARTECH INE864I01014 20 80 No
873 MTNL INE153A01019 27.4 72.6 No
874 MUFTI INE220Q01020 20 80 No
875 MUKANDLTD INE304A01026 20 80 Yes
876 MUNJALAU INE672B01032 20 80 No
877 MUNJALSHOW INE577A01027 20 80 No
878 MUTHOOTCAP INE296G01013 20 80 Yes
879 MUTHOOTFIN INE414G01012 20 80 No
880 MUTHOOTMF INE046W01019 20 80 No
881 MVGJL INE0KNT01012 20 80 No
882 NACLIND INE295D01020 20 80 Yes
883 NAGAFERT INE454M01024 20.86 79.14 No
884 NAHARCAP INE049I01012 20 80 Yes
885 NAHARINDUS INE289A01011 20.53 79.47 Yes
886 NAHARPOLY INE308A01027 20 80 Yes
887 NAHARSPING INE290A01027 20 80 Yes
888 NAM-INDIA INE298J01013 20 80 No
889 NATCOPHARM INE987B01026 20 80 No
890 NATHBIOGEN INE448G01010 20 80 Yes
891 NATIONALUM INE139A01034 20 80 No
892 NAUKRI INE663F01024 20 80 No
893 NAVA INE725A01022 20 80 No
894 NAVINFLUOR INE048G01026 20 80 No
895 NAVKARCORP INE278M01019 25.67 74.33 Yes
896 NAVNETEDUL INE060A01024 20 80 Yes
897 NAZARA INE418L01021 20 80 No
898 NBCC INE095N01031 22.75 77.25 No
899 NCC INE868B01028 20 80 No
900 NCLIND INE732C01016 20 80 Yes
901 NDL INE875G01030 21.48 78.52 Yes
902 NDTV INE155G01029 21.67 78.33 No
903 NECLIFE INE023H01027 21.21 78.79 No
904 NELCAST INE189I01024 20 80 No
905 NELCO INE045B01015 20 80 No
906 NEOGEN INE136S01016 20 80 Yes
907 NESCO INE317F01035 20 80 No
908 NETWEB INE0NT901020 20 80 No
909 NEULANDLAB INE794A01010 21.45 78.55 No
910 NFL INE870D01012 20.9 79.1 No
911 NGIL INE236Y01012 25.17 74.83 No
912 NGLFINE INE887E01022 20 80 Yes
913 NH INE410P01011 20 80 No
914 NHPC INE848E01016 20 80 No
915 NIACL INE470Y01017 23.88 76.12 No
916 NIITLTD INE161A01038 21.42 78.58 No
917 NIITMTS INE342G01023 20 80 Yes
918 NILKAMAL INE310A01015 20 80 Yes
919 NINSYS INE395U01014 20 80 No
920 NITINSPIN INE229H01012 20 80 Yes
921 NLCINDIA INE589A01014 22.53 77.47 No
922 NMDC INE584A01023 20 80 No
923 NOCIL INE163A01018 20 80 No
924 NRAIL INE740D01017 20 80 No
925 NRBBEARING INE349A01021 20 80 No
926 NRL INE0JM501013 21.39 78.61 No
927 NSIL INE023A01030 20 80 No
928 NSLNISP INE0NNS01018 20 80 No
929 NUCLEUS INE096B01018 21.31 78.69 No
930 NURECA INE0DSF01015 20 80 No
931 NUVAMA INE531F01015 20 80 No
932 NUVOCO INE118D01016 20 80 No
933 NYKAA INE388Y01029 20 80 No
934 OAL INE959C01023 20 80 Yes
935 OBCL INE426Z01016 24.19 75.81 No
936 OBEROIRLTY INE093I01010 20 80 No
937 OCCL INE321D01016 20 80 Yes
938 OFSS INE881D01027 20 80 No
939 OIL INE274J01014 20 80 No
940 OLECTRA INE260D01016 21.8 78.2 No
941 OMAXE INE800H01010 22.84 77.16 No
942 ONMOBILE INE809I01019 21.79 78.21 Yes
943 ONWARDTEC INE229A01017 20.46 79.54 Yes
944 OPTIEMUS INE350C01017 21.89 78.11 Yes
945 ORBTEXP INE231G01010 20.31 79.69 Yes
946 ORCHPHARMA INE191A01027 20 80 No
947 ORICONENT INE730A01022 24.29 75.71 No
948 ORIENTBELL INE607D01018 20 80 Yes
949 ORIENTCEM INE876N01018 20 80 No
950 ORIENTCER INE569C01020 21.66 78.34 No
951 ORIENTELEC INE142Z01019 20 80 No
952 ORIENTHOT INE750A01020 20 80 Yes
Approved Securities List for the Month of April 2024
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
953 ORIENTPPR INE592A01026 20 collateral margin of Rs. 80 No
954 ORISSAMINE INE725E01024 21.02 78.98 Yes
955 OSWALAGRO INE142A01012 25.88 74.12 Yes
956 OSWALGREEN INE143A01010 22.22 77.78 No
957 OSWALSEEDS INE00IK01029 20 80 No
958 PAGEIND INE761H01022 20 80 No
959 PAISALO INE420C01059 27.99 72.01 No
960 PAKKA INE551D01018 25.66 74.34 Yes
961 PALREDTEC INE218G01033 24.03 75.97 No
962 PANACEABIO INE922B01023 20 80 No
963 PANAMAPET INE305C01029 20 80 Yes
964 PAR INE04LG01015 20 80 Yes
965 PARADEEP INE088F01024 20 80 No
966 PARAGMILK INE883N01014 20.32 79.68 No
967 PARAS INE045601015 20 80 No
968 PARKHOTELS INE988S01028 20 80 No
969 PASUPTAC INE818B01023 22.1 77.9 No
970 PATANJALI INE619A01035 20 80 No
971 PATELENG INE244B01030 23.57 76.43 No
972 PATINTLOG INE529D01014 28 72 No
973 PAYTM INE982J01020 26.43 73.57 No
974 PCBL INE602A01031 20 80 No
975 PCJEWELLER INE785M01013 25.3 74.7 No
976 PDMJEPAPER INE865T01018 21.19 78.81 No
977 PDSL INE111Q01021 20 80 Yes
978 PEARLPOLY INE844A01013 30.79 69.21 No
979 PEL INE140A01024 20 80 No
980 PENIND INE932A01024 22.87 77.13 Yes
981 PERSISTENT INE262H01013 20 80 No
982 PETRONET INE347G01014 20 80 No
983 PFC INE134E01011 20 80 No
984 PFIZER INE182A01018 20 80 No
985 PFOCUS INE367G01038 24.96 75.04 Yes
986 PGEL INE457L01011 20 80 Yes
987 PGHH INE179A01014 20 80 No
988 PGHL INE199A01012 20 80 No
989 PHOENIXLTD INE211B01039 20 80 No
990 PIDILITIND INE318A01026 20 80 No
991 PIIND INE603J01030 20 80 No
992 PILANIINVS INE417C01014 20 80 Yes
993 PITTIENG INE450D01021 20 80 No
994 PIXTRANS INE751B01018 20 80 Yes
995 PLASTIBLEN INE083C01022 20 80 No
996 PNB INE160A01022 20 80 No
997 PNBGILTS INE859A01011 20.23 79.77 No
998 PNBHOUSING INE572E01012 20 80 No
999 PNC INE392B01011 25.25 74.75 No
1000 PNCINFRA INE195J01029 20 80 No
1001 POCL INE063E01046 22.56 77.44 Yes
1002 PODDARMENT INE371C01013 20 80 Yes
1003 POKARNA INE637C01025 20 80 Yes
1004 POLICYBZR INE417T01026 20 80 No
1005 POLYCAB INE455K01017 20 80 No
1006 POLYMED INE205C01021 20 80 No
1007 POLYPLEX INE633B01018 20 80 No
1008 PONNIERODE INE838E01017 20 80 No
1009 POONAWALLA INE511C01022 20 80 No
1010 POWERINDIA INE07Y701011 20 80 No
1011 POWERMECH INE211R01019 20 80 No
1012 PPAP INE095I01015 20.09 79.91 Yes
1013 PPL INE050001010 21.38 78.62 No
1014 PPLPHARMA INE0DK501011 20 80 No
1015 PRAJIND INE074A01025 20 80 No
1016 PRAKASH INE603A01013 22 78 Yes
1017 PRECAM INE484I01029 22.34 77.66 Yes
1018 PRECWIRE INE372C01037 21.34 78.66 No
1019 PREMEXPLN INE863B01011 20.35 79.65 No
1020 PRESTIGE INE811K01011 20 80 No
1021 PRICOLLTD INE726V01018 20 80 No
1022 PRIMESECU INE032B01021 20 80 Yes
1023 PRINCEPIPE INE689W01016 20 80 No
1024 PRITI INE974Z01015 20 80 Yes
1025 PRIVISCL INE959A01019 20 80 Yes
1026 PROZONER INE195N01013 22.97 77.03 No
1027 PRSMJOHNSN INE010A01011 20 80 No
1028 PRUDENT INE00F201020 20 80 No
1029 PSB INE608A01012 23.42 76.58 No
1030 PSPPROJECT INE488V01015 20 80 Yes
1031 PTC INE877F01012 20 80 No
1032 PTCIL INE596F01018 20 80 Yes
1033 PTL INE034D01049 20 80 No
1034 PUNJABCHEM INE277B01014 20 80 Yes
1035 PURVA INE323I01011 24.32 75.68 No
1036 PVRINOX INE191H01014 20 80 No
1037 PYRAMID INE0MIS01010 20 80 No
1038 QUESS INE615P01015 20 80 No
1039 QUICKHEAL INE306L01010 22.73 77.27 No
1040 RACE INE084Q01012 20 80 Yes
1041 RADHIKAJWE INE583V01021 24.04 75.96 No
1042 RADIANTCMS INE855R01021 20 80 No
1043 RADICO INE944F01028 20 80 No
1044 RADIOCITY INE919I01024 20.81 79.19 No
1045 RAILTEL INE0DD101019 25.67 74.33 No
1046 RAIN INE855B01025 20 80 No
1047 RAINBOW INE961O01016 20 80 No
1048 RAJESHEXPO INE343B01030 20 80 No
1049 RAJRATAN INE451D01029 20 80 Yes
1050 RALLIS INE613A01020 20 80 No
1051 RAMANEWS INE278B01020 23.74 76.26 No
1052 RAMAPHO INE809A01024 20 80 Yes
1053 RAMASTEEL INE230R01035 25.45 74.55 No
1054 RAMCOCEM INE331A01037 20 80 No
1055 RAMCOIND INE614A01028 20 80 Yes
1056 RAMCOSYS INE246B01019 20 80 Yes
1057 RAMKY INE874I01013 23.78 76.22 Yes
1058 RAMRAT INE207E01023 20 80 Yes
1059 RANASUG INE625B01014 20 80 Yes
1060 RANEHOLDIN INE384A01010 20 80 Yes
1061 RATEGAIN INE0CLI01024 20 80 No
1062 RATNAMANI INE703B01027 20 80 No
1063 RATNAVEER INE05CZ01011 20 80 No
1064 RAYMOND INE301A01014 20 80 No
1065 RBA INE07T201019 20 80 No
1066 RBL INE244J01017 20 80 No
1067 RBLBANK INE976G01028 20 80 No
1068 RCF INE027A01015 20 80 No
1069 RECLTD INE020B01018 20 80 No
1070 REDINGTON INE891D01026 20 80 No
1071 REDTAPE INE0LXT01019 20 80 Yes
Approved Securities List for the Month of April 2024
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
1072 REFEX INE056I01017 20 collateral margin of Rs. 80 No
1073 RELAXO INE131B01039 20 80 No
1074 RELCHEMQ INE750D01016 20 80 No
1075 RELIGARE INE621H01010 20 80 No
1076 RELINFRA INE036A01016 24.38 75.62 Yes
1077 RENUKA INE087H01022 20 80 No
1078 REPCOHOME INE612J01015 20 80 Yes
1079 REPL INE364Z01019 20 80 No
1080 REPRO INE461B01014 20.08 79.92 Yes
1081 RESPONIND INE688D01026 20 80 No
1082 RGL INE722H01024 20.23 79.77 No
1083 RHIM INE743M01012 20 80 No
1084 RICOAUTO INE209B01025 25.28 74.72 No
1085 RIIL INE046A01015 20 80 No
1086 RISHABH INE0N2P01017 20 80 No
1087 RITCO INE01EG01016 20.82 79.18 No
1088 RITES INE320J01015 21.43 78.57 No
1089 RKEC INE786W01010 27.8 72.2 No
1090 RKFORGE INE399G01023 20 80 No
1091 RML INE050H01012 20 80 Yes
1092 ROHLTD INE283H01019 20.91 79.09 Yes
1093 ROLEXRINGS INE645S01016 20 80 No
1094 ROSSARI INE02A801020 20 80 No
1095 ROSSELLIND INE847C01020 21.74 78.26 Yes
1096 ROTO INE535D01029 20 80 No
1097 ROUTE INE450U01017 20 80 No
1098 RPGLIFE INE105J01010 20 80 Yes
1099 RPSGVENT INE425Y01011 20 80 Yes
1100 RPTECH INE0J1F01024 20 80 No
1101 RRKABEL INE777K01022 20 80 No
1102 RSWM INE611A01016 20 80 Yes
1103 RSYSTEMS INE411H01032 20 80 Yes
1104 RTNINDIA INE834M01019 23.63 76.37 No
1105 RUBYMILLS INE301D01026 20 80 Yes
1106 RUCHIRA INE803H01014 20 80 No
1107 RUPA INE895B01021 20 80 Yes
1108 RUSHIL INE573K01017 20 80 No
1109 RUSTOMJEE INE263M01029 20 80 No
1110 RVNL INE415G01027 24.46 75.54 No
1111 SADHNANIQ INE888C01040 20 80 No
1112 SAFARI INE429E01023 20 80 No
1113 SAGCEM INE229C01021 20 80 No
1114 SAH INE035801013 20 80 No
1115 SAHYADRI INE280H01015 20 80 Yes
1116 SAIL INE114A01011 20 80 No
1117 SAKAR INE732S01012 21.12 78.88 Yes
1118 SAKHTISUG INE623A01011 24.33 75.67 No
1119 SAKSOFT INE667G01023 20 80 Yes
1120 SAKUMA INE190H01024 25 75 No
1121 SALASAR INE170V01027 24.76 75.24 No
1122 SALONA INE498E01010 20 80 No
1123 SALZERELEC INE457F01013 23.29 76.71 Yes
1124 SAMHI INE08U801020 20 80 No
1125 SANDESH INE583B01015 20 80 Yes
1126 SANDHAR INE278H01035 20 80 No
1127 SANDUMA INE149K01016 20 80 Yes
1128 SANGAMIND INE495C01010 25.01 74.99 Yes
1129 SANGHIIND INE999B01013 21 79 No
1130 SANGHVIMOV INE989A01024 21.73 78.27 Yes
1131 SANOFI INE058A01010 20 80 No
1132 SANSERA INE953O01021 20 80 No
1133 SAPPHIRE INE806T01012 20 80 No
1134 SARDAEN INE385C01021 20 80 Yes
1135 SAREGAMA INE979A01025 20 80 No
1136 SARLAPOLY INE453D01025 20.73 79.27 No
1137 SASKEN INE231F01020 20 80 Yes
1138 SASTASUNDR INE019J01013 20.44 79.56 Yes
1139 SATIA INE170E01023 20 80 No
1140 SATIN INE836B01017 20 80 Yes
1141 SATINDLTD INE065D01027 20 80 Yes
1142 SBC INE04AK01028 20 80 No
1143 SBCL INE386D01027 20 80 No
1144 SBFC INE423Y01016 20 80 No
1145 SBGLP INE05ST01010 20 80 No
1146 SBICARD INE018E01016 20 80 No
1147 SCHAEFFLER INE513A01022 20 80 No
1148 SCHAND INE807K01035 20.03 79.97 Yes
1149 SCI INE109A01011 20.47 79.53 No
1150 SCPL INE501Y01019 20 80 No
1151 SDBL INE480C01020 20.53 79.47 No
1152 SECURCRED INE195Y01010 27.28 72.72 Yes
1153 SELAN INE818A01017 20 80 Yes
1154 SENCO INE602W01019 20 80 No
1155 SEQUENT INE807F01027 20.62 79.38 No
1156 SESHAPAPER INE630A01024 20 80 Yes
1157 SFL INE916U01025 20 80 No
1158 SHAILY INE151G01028 20 80 No
1159 SHALBY INE597J01018 20 80 No
1160 SHALPAINTS INE849C01026 20 80 No
1161 SHANKARA INE274V01019 20 80 Yes
1162 SHANTIGEAR INE631A01022 20 80 Yes
1163 SHARDACROP INE221J01015 20 80 No
1164 SHARDAMOTR INE597I01028 20 80 Yes
1165 SHAREINDIA INE932X01018 20 80 Yes
1166 SHEMAROO INE363M01019 26.72 73.28 No
1167 SHILPAMED INE790G01031 20 80 No
1168 SHIVALIK INE788J01021 20 80 Yes
1169 SHIVAMILLS INE644Y01017 22.71 77.29 No
1170 SHK INE500L01026 20 80 Yes
1171 SHOPERSTOP INE498B01024 20 80 No
1172 SHRADHA INE715Y01023 20 80 No
1173 SHREDIGCEM INE232A01011 20 80 Yes
1174 SHREECEM INE070A01015 20 80 No
1175 SHREEPUSHK INE712K01011 20 80 Yes
1176 SHREYAS INE757B01015 21.92 78.08 Yes
1177 SHRIPISTON INE526E01018 20 80 No
1178 SHRIRAMPPS INE217L01019 20.07 79.93 No
1179 SHYAMMETL INE810G01011 20 80 No
1180 SIEMENS INE003A01024 20 80 No
1181 SIGACHI INE0D0K01022 22.46 77.54 No
1182 SIGIND INE529F01035 23.03 76.97 No
1183 SIGMA INE0A0S01010 20 80 No
1184 SIGNATURE INE903U01023 20 80 No
1185 SIL INE173A01025 20 80 No
1186 SILINV INE923A01015 20 80 No
1187 SILVERTUC INE625X01018 20 80 No
1188 SIMBHALS INE748T01016 25.36 74.64 No
1189 SINDHUTRAD INE325D01025 26.45 73.55 No
1190 SINTERCOM INE129Z01016 20 80 No
Approved Securities List for the Month of April 2024
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
1191 SIRCA INE792Z01011 20 collateral margin of Rs. 80 Yes
1192 SIS INE285J01028 20 80 No
1193 SIYSIL INE076B01028 20 80 Yes
1194 SJS INE284S01014 20 80 No
1195 SJVN INE002L01015 25.6 74.4 No
1196 SKFINDIA INE640A01023 20 80 No
1197 SKIPPER INE439E01022 26.44 73.56 Yes
1198 SKMEGGPROD INE411D01015 20 80 No
1199 SMARTLINK INE178C01020 20 80 Yes
1200 SMCGLOBAL INE103C01036 20 80 Yes
1201 SMLISUZU INE294B01019 22.82 77.18 Yes
1202 SMSLIFE INE320X01016 20 80 Yes
1203 SMSPHARMA INE812G01025 20 80 No
1204 SNOWMAN INE734N01019 20 80 No
1205 SOBHA INE671H01015 21.39 78.61 No
1206 SOLARA INE624Z01016 20 80 No
1207 SOLARINDS INE343H01029 20 80 No
1208 SOMANYCERA INE355A01028 20 80 Yes
1209 SONACOMS INE073K01018 20 80 No
1210 SONATSOFTW INE269A01021 20 80 No
1211 SOTL INE035D01020 20 80 No
1212 SOUTHBANK INE683A01023 20 80 No
1213 SOUTHWEST INE980Y01015 20 80 No
1214 SPAL INE212I01016 20 80 Yes
1215 SPANDANA INE572J01011 20 80 No
1216 SPCENET INE970N01027 23.54 76.46 No
1217 SPECIALITY INE247M01014 20 80 Yes
1218 SPENCERS INE020801028 22.09 77.91 Yes
1219 SPIC INE147A01011 20 80 No
1220 SPLIL INE978G01016 20 80 No
1221 SPLPETRO INE663A01033 20 80 Yes
1222 SPORTKING INE885H01011 20 80 Yes
1223 SREEL INE099F01013 20 80 No
1224 SRF INE647A01010 20 80 No
1225 SRGHFL INE559N01010 20 80 No
1226 SRHHYPOLTD INE917H01012 20 80 Yes
1227 SSWL INE802C01033 20 80 Yes
1228 STAR INE939A01011 20 80 No
1229 STARCEMENT INE460H01021 20 80 No
1230 STARHEALTH INE575P01011 20 80 No
1231 STARPAPER INE733A01018 20 80 No
1232 STCINDIA INE655A01013 24.61 75.39 No
1233 STEELCAS INE124E01020 20 80 No
1234 STEELCITY INE395H01011 20 80 No
1235 STEELXIND INE503B01021 25.48 74.52 No
1236 STEL INE577L01016 20.49 79.51 Yes
1237 STERTOOLS INE334A01023 20 80 Yes
1238 STLTECH INE089C01029 20 80 No
1239 STOVEKRAFT INE00IN01015 20 80 No
1240 STYLAMIND INE239C01020 20 80 Yes
1241 STYRENIX INE189B01011 20 80 Yes
1242 SUBEXLTD INE754A01055 23.73 76.27 No
1243 SUBROS INE287B01021 20 80 No
1244 SUDARSCHEM INE659A01023 20 80 No
1245 SUKHJITS INE450E01011 20 80 No
1246 SULA INE142Q01026 20 80 No
1247 SUMICHEM INE258G01013 20 80 No
1248 SUMMITSEC INE519C01017 20 80 Yes
1249 SUNDARMFIN INE660A01013 20 80 No
1250 SUNDARMHLD INE202Z01029 20 80 Yes
1251 SUNDRMFAST INE387A01021 20 80 No
1252 SUNFLAG INE947A01014 21.21 78.79 Yes
1253 SUNTECK INE805D01034 20 80 No
1254 SUNTV INE424H01027 20 80 No
1255 SUPERHOUSE INE712B01010 20 80 No
1256 SUPRAJIT INE399C01030 20 80 No
1257 SUPREMEIND INE195A01028 20 80 No
1258 SUPRIYA INE07RO01027 20 80 No
1259 SURAJEST INE843S01025 20 80 No
1260 SURYALAXMI INE713B01026 20 80 No
1261 SURYAROSNI INE335A01020 20.4 79.6 No
1262 SURYODAY INE428Q01011 20 80 No
1263 SUTLEJTEX INE645H01027 20 80 Yes
1264 SUVENPHAR INE03QK01018 20 80 No
1265 SWANENERGY INE665A01038 24.24 75.76 No
1266 SWARAJENG INE277A01016 20 80 Yes
1267 SWELECTES INE409B01013 29.34 70.66 No
1268 SWSOLAR INE00M201021 20 80 No
1269 SYMPHONY INE225D01027 20 80 No
1270 SYNGENE INE398R01022 20 80 No
1271 SYRMA INE0DYJ01015 20 80 No
1272 TAINWALCHM INE123C01018 20.55 79.45 No
1273 TAJGVK INE586B01026 20 80 No
1274 TAKE INE142I01023 22.56 77.44 Yes
1275 TANLA INE483C01032 20 80 No
1276 TARSONS INE144Z01023 20 80 Yes
1277 TASTYBITE INE488B01017 20 80 Yes
1278 TATACHEM INE092A01019 20 80 No
1279 TATACOMM INE151A01013 20 80 No
1280 TATAELXSI INE670A01012 20 80 No
1281 TATAMTRDVR IN9155A01020 20 80 No
1282 TATAPOWER INE245A01021 20 80 No
1283 TATATECH INE142M01025 20 80 No
1284 TATVA INE0GK401011 20 80 Yes
1285 TBZ INE760L01018 20 80 No
1286 TCI INE688A01022 20 80 Yes
1287 TCIEXP INE586V01016 20 80 No
1288 TCNSBRANDS INE778U01029 20 80 Yes
1289 TCPLPACK INE822C01015 20 80 Yes
1290 TDPOWERSYS INE419M01027 20 80 No
1291 TEAMLEASE INE985S01024 20 80 No
1292 TECHNOE INE285K01026 20 80 Yes
1293 TEGA INE011K01018 20 80 No
1294 TEJASNET INE010J01012 20 80 No
1295 TEMBO INE869Y01010 20 80 No
1296 TEXINFRA INE435C01024 22.97 77.03 No
1297 TEXMOPIPES INE141K01013 24.94 75.06 No
1298 TEXRAIL INE621L01012 24.12 75.88 No
1299 TFCILTD INE305A01015 25.6 74.4 No
1300 THANGAMAYL INE085J01014 20 80 Yes
1301 THEJO INE121N01019 20 80 Yes
1302 THEMISMED INE083B01024 20.92 79.08 Yes
1303 THERMAX INE152A01029 20 80 No
1304 THOMASCOOK INE332A01027 20 80 Yes
1305 THYROCARE INE594H01019 20 80 Yes
1306 TI INE133E01013 20 80 No
1307 TIDEWATER INE484C01030 20 80 No
1308 TIIL INE545H01011 22.35 77.65 Yes
1309 TIINDIA INE974X01010 20 80 No
Approved Securities List for the Month of April 2024
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
1310 TIMETECHNO INE508G01029 20 collateral margin of Rs. 80 No
1311 TIMKEN INE325A01013 20 80 No
1312 TIPSINDLTD INE716B01029 20 80 Yes
1313 TIRUMALCHM INE338A01024 20 80 No
1314 TITAGARH INE615H01020 20.99 79.01 No
1315 TMB INE668A01016 20 80 No
1316 TNPETRO INE148A01019 20 80 Yes
1317 TNPL INE107A01015 20 80 No
1318 TOKYOPLAST INE932C01012 20 80 No
1319 TORNTPHARM INE685A01028 20 80 No
1320 TORNTPOWER INE813H01021 20 80 No
1321 TOTAL INE336X01012 20 80 Yes
1322 TPLPLASTEH INE413G01022 24.63 75.37 No
1323 TRACXN INE0HMF01019 20 80 No
1324 TREL INE0O3901029 20 80 Yes
1325 TRENT INE849A01020 20 80 No
1326 TRIDENT INE064C01022 20 80 No
1327 TRIGYN INE948A01012 20.33 79.67 No
1328 TRITURBINE INE152M01016 20 80 No
1329 TRIVENI INE256C01024 20 80 No
1330 TRU INE615R01029 23.83 76.17 Yes
1331 TTKHLTCARE INE910C01018 20 80 Yes
1332 TTKPRESTIG INE690A01028 20 80 No
1333 TTL INE592B01016 20.11 79.89 No
1334 TTML INE517B01013 21.14 78.86 No
1335 TVSELECT INE236G01019 20 80 Yes
1336 TVSHLTD INE105A01035 20 80 Yes
1337 TVSMOTOR INE494B01023 20 80 No
1338 TVSSCS INE395N01027 20 80 No
1339 TVSSRICHAK INE421C01016 20 80 Yes
1340 TVTODAY INE038F01029 20 80 Yes
1341 UBL INE686F01025 20 80 No
1342 UCAL INE139B01016 20 80 Yes
1343 UCOBANK INE691A01018 22.16 77.84 No
1344 UDS INE851I01011 20 80 No
1345 UFLEX INE516A01017 20 80 No
1346 UFO INE527H01019 20 80 No
1347 UGARSUGAR INE071E01023 20 80 Yes
1348 UGROCAP INE583D01011 20 80 Yes
1349 UJJIVAN INE334L01012 20 80 No
1350 UJJIVANSFB INE551W01018 20 80 No
1351 UMANGDAIRY INE864B01027 21.24 78.76 No
1352 UNICHEMLAB INE351A01035 20 80 Yes
1353 UNIDT INE961D01019 20.36 79.64 Yes
1354 UNIENTER INE037A01022 20 80 Yes
1355 UNIONBANK INE692A01016 20 80 No
1356 UNIPARTS INE244O01017 20 80 No
1357 UNITEDTEA INE458F01011 20 80 No
1358 UNIVASTU INE562X01013 20.34 79.66 No
1359 UNIVCABLES INE279A01012 20 80 Yes
1360 UNIVPHOTO INE03V001013 20 80 Yes
1361 UNOMINDA INE405E01023 20 80 No
1362 UPL INE628A01036 20 80 No
1363 USHAMART INE228A01035 20 80 No
1364 UTIAMC INE094J01016 20 80 No
1365 UTKARSHBNK INE735W01017 20 80 No
1366 UTTAMSUGAR INE786F01031 20 80 No
1367 VADILALIND INE694D01016 20 80 Yes
1368 VAIBHAVGBL INE884A01027 20 80 No
1369 VAISHALI INE972X01014 20.12 79.88 Yes
1370 VAKRANGEE INE051B01021 23.58 76.42 No
1371 VALIANTLAB INE0JWS01017 20 80 No
1372 VALIANTORG INE565V01010 20 80 Yes
1373 VARDHACRLC INE116G01013 20 80 No
1374 VARROC INE665L01035 20 80 No
1375 VASCONEQ INE893I01013 23.63 76.37 Yes
1376 VBL INE200M01021 20 80 No
1377 VEDL INE205A01025 20 80 No
1378 VENKEYS INE398A01010 20 80 No
1379 VENUSPIPES INE0JA001018 20 80 No
1380 VENUSREM INE411B01019 22.24 77.76 No
1381 VERANDA INE0IQ001011 22.68 77.32 Yes
1382 VERTOZ INE188Y01015 20 80 No
1383 VESUVIUS INE386A01015 20 80 Yes
1384 VETO INE918N01018 20.08 79.92 No
1385 VGUARD INE951I01027 20 80 No
1386 VHL INE701A01023 20 80 Yes
1387 VIDHIING INE632C01026 20 80 Yes
1388 VIJAYA INE043W01024 20 80 No
1389 VIMTALABS INE579C01029 20 80 Yes
1390 VINATIORGA INE410B01037 20 80 No
1391 VINDHYATEL INE707A01012 20 80 Yes
1392 VINYLINDIA INE250B01029 20 80 Yes
1393 VIPCLOTHNG INE450G01024 20 80 No
1394 VIPIND INE054A01027 20 80 No
1395 VIRINCHI INE539B01017 20 80 No
1396 VISAKAIND INE392A01021 21.63 78.37 No
1397 VISHNU INE270I01022 20 80 Yes
1398 VISHWARAJ INE430N01022 20 80 Yes
1399 VLEGOV INE03HW01020 20 80 No
1400 VLSFINANCE INE709A01018 20 80 Yes
1401 VMART INE665J01013 20 80 No
1402 VOLTAMP INE540H01012 20.1 79.9 No
1403 VOLTAS INE226A01021 20 80 No
1404 VPRPL INE0AE001013 20 80 No
1405 VRLLOG INE366I01010 20 80 No
1406 VSSL INE050M01012 20 80 Yes
1407 VSTIND INE710A01016 20 80 Yes
1408 VSTTILLERS INE764D01017 20 80 Yes
1409 VTL INE825A01020 20 80 No
1410 WABAG INE956G01038 20 80 No
1411 WELCORP INE191B01025 20 80 No
1412 WELENT INE625G01013 20 80 Yes
1413 WELSPUNLIV INE192B01031 20 80 No
1414 WENDT INE274C01019 20 80 Yes
1415 WESTLIFE INE274F01020 20 80 No
1416 WHEELS INE715A01015 20 80 Yes
1417 WHIRLPOOL INE716A01013 20 80 No
1418 WINDLAS INE0H5O01029 20 80 No
1419 WONDERLA INE066O01014 20 80 No
1420 WORTH INE196Y01018 20 80 Yes
1421 WSTCSTPAPR INE976A01021 20 80 No
1422 XCHANGING INE692G01013 22.86 77.14 No
Approved Securities List for the Month of April 2024
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
1423 XPROINDIA INE445C01015 20 collateral margin of Rs. 80 Yes
1424 YASHO INE616Z01012 20 80 No
1425 YATHARTH INE0JO301016 20 80 No
1426 YATRA INE0JR601024 20 80 No
1427 YESBANK INE528G01035 20.34 79.66 Yes
1428 YUKEN INE384C01016 20 80 Yes
1429 ZAGGLE INE07K301024 20 80 No
1430 ZEEL INE256A01028 27.02 72.98 No
1431 ZEEMEDIA INE966H01019 24.94 75.06 No
1432 ZENSARTECH INE520A01027 20 80 No
1433 ZENTEC INE251B01027 20 80 Yes
1434 ZFCVINDIA INE342J01019 20 80 Yes
1435 ZIMLAB INE518E01015 20 80 Yes
1436 ZODIACLOTH INE206B01013 20 80 No
1437 ZOMATO INE758T01015 100 0 No
1438 ZOTA INE358U01012 20 80 Yes
1439 ZUARI INE840M01016 20.57 79.43 No
1440 ZUARIIND INE217A01012 22.6 77.4 No
1441 ZYDUSLIFE INE010B01027 20 80 No
1442 ZYDUSWELL INE768C01010 20 80 No

List of ETFs
For every Rs 100 worth of
stock pledged, you'll receive
Sr. No. Security Name ISIN Haircut % collateral margin of Rs. Broker limit reached
1 ABSLBANETF INF209KB17D5 20 80 No
2 ABSLNN50ET INF209KB16D7 6.48 93.52 No
3 ALPHAETF INF769K01KU7 20 80 Yes
4 ALPL30IETF INF109KC1N59 20 80 Yes
5 AUTOBEES INF204KC1337 20 80 No
6 AUTOIETF INF109KC10V2 20 80 Yes
7 AXISBNKETF INF846K01X63 20 80 Yes
8 AXISBPSETF INF846K01Z04 20 80 No
9 AXISCETF INF846K016C7 20 80 Yes
10 AXISGOLD INF846K01W80 20 80 No
11 AXISHCETF INF846K01Z12 20 80 Yes
12 AXISILVER INF846K011K1 20 80 No
13 AXISNIFTY INF846K01W98 6 94 No
14 AXISTECETF INF846K01Y96 20 80 Yes
15 AXSENSEX INF846K010Q0 6.96 93.04 Yes
16 BANKBEES INF204KB15I9 20 80 No
17 BANKBETF INF0QA701714 20 80 No
18 BANKETF INF769K01KR3 20 80 No
19 BANKETFADD INF740KA1RX3 20 80 No
20 BANKIETF INF109KC15I8 20 80 No
21 BBETF0432 INF754K01OB1 20 80 Yes
22 BBNPPGOLD INF251K01SU9 20 80 No
23 BFSI INF769K01HI8 20 80 No
24 BSE500IETF INF109KC1V59 6 94 No
25 BSLGOLDETF INF209KB18D3 20 80 No
26 BSLNIFTY INF209KB19D1 6 94 Yes
27 BSLSENETFG INF209KB10E8 6 94 Yes
28 COMMOIETF INF109KC19O8 20 80 No
29 CONSUMBEES INF204KA1LD7 20 80 No
30 CONSUMIETF INF109KC1V42 20 80 No
31 CPSEETF INF457M01133 20 80 No
32 DIVOPPBEES INF204KA1MS3 20 80 Yes
33 EBBETF0425 INF754K01LD3 20 80 No
34 EBBETF0430 INF754K01KO2 20 80 No
35 EBBETF0431 INF754K01LE1 20 80 No
36 EBBETF0433 INF754K01QX0 20 80 No
37 EGOLD INF754K01SE6 20 80 No
38 EQUAL50ADD INF740KA1QK2 20 80 Yes
39 ESG INF769K01GS9 20 80 Yes
40 ESILVER INF754K01SF3 20 80 No
41 FINIETF INF109KC17L8 20 80 Yes
42 FMCGIETF INF109KC1R48 20 80 No
43 GOLDBEES INF204KB17I5 20 80 No
44 GOLDCASE INF0R8F01042 20 80 No
45 GOLDETF INF769K01JP9 20 80 No
46 GOLDETFADD INF740KA1SW3 20 80 No
47 GOLDIETF INF109KC1NT3 20 80 No
48 GOLDSHARE INF789F1AUX7 20 80 No
49 HDFCBSE500 INF179KC1EZ4 8.4 91.6 No
50 HDFCGOLD INF179KC1981 20 80 No
51 HDFCGROWTH INF179KC1DJ0 20 80 No
52 HDFCLOWVOL INF179KC1HU8 20 80 Yes
53 HDFCMID150 INF179KC1HT0 6 94 Yes
54 HDFCMOMENT INF179KC1HV6 20 80 Yes
55 HDFCNEXT50 INF179KC1HS2 7.69 92.31 Yes
56 HDFCNIF100 INF179KC1HR4 6.56 93.44 No
57 HDFCNIFBAN INF179KC1HY0 20 80 Yes
58 HDFCNIFIT INF179KC1IA8 20 80 No
59 HDFCNIFTY INF179KC1965 6 94 No
60 HDFCPSUBK INF179KC1HW4 20 80 No
61 HDFCPVTBAN INF179KC1HZ7 20 80 Yes
62 HDFCQUAL INF179KC1DL6 20 80 No
63 HDFCSENSEX INF179KC1HX2 6 94 Yes
64 HDFCSILVER INF179KC1DI2 20 80 No
65 HDFCSML250 INF179KC1FB2 6 94 No
66 HDFCVALUE INF179KC1DK8 20 80 No
67 HEALTHADD INF740KA1UF4 20 80 No
68 HEALTHIETF INF109KC1Q72 20 80 No
69 HEALTHY INF209KB10C2 20 80 No
70 HNGSNGBEES INF204KB19I1 8.43 91.57 No
71 ICICIB22 INF109KB15Y7 20 80 No
72 IDFNIFTYET INF194KA1U07 8.92 91.08 Yes
73 INFRABEES INF732E01268 20 80 Yes
74 INFRAIETF INF109KC16E5 20 80 No
75 ITBEES INF204KB15V2 20 80 No
76 ITETF INF769K01KV5 20 80 No
77 ITETFADD INF740KA1SX1 20 80 No
78 ITIETF INF109KC16I6 20 80 No
79 IVZINGOLD INF205K01361 20 80 Yes
80 JUNIORBEES INF732E01045 6 94 No
81 KOTAKALPHA INF174KA1IA5 20 80 Yes
82 KOTAKBKETF INF174K01F59 20 80 Yes
83 KOTAKGOLD INF174KA1HJ8 20 80 No
84 KOTAKIT INF174KA1GC5 20 80 Yes
85 KOTAKLOVOL INF174KA1IY5 20 80 No
86 KOTAKMID50 INF174KA1IB3 6.8 93.2 Yes
Approved Securities List for the Month of April 2024
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
87 KOTAKMNC INF174KA1JF2 20 collateral margin of Rs. 80 No
88 KOTAKNIFTY INF174K014P6 6 94 Yes
89 KOTAKNV20 INF174K01Z71 20 80 Yes
90 KOTAKPSUBK INF373I01023 20 80 No
91 KOTAKSILVE INF174KA1KU9 20 80 No
92 LICMFGOLD INF397L01554 20 80 Yes
93 LICNETFN50 INF767K01OS7 7.46 92.54 No
94 LICNFNHGP INF767K01PC8 6.96 93.04 Yes
95 LOWVOL INF769K01JU9 20 80 Yes
96 LOWVOLIETF INF109KC19U5 20 80 No
97 MAFANG INF769K01HF4 20 80 No
98 MAHKTECH INF769K01HS7 20 80 Yes
99 MAKEINDIA INF769K01IB1 20 80 Yes
100 MASPTOP50 INF769K01HP3 6.15 93.85 Yes
101 MID150BEES INF204KB1V68 6 94 No
102 MIDCAPETF INF769K01IC9 6 94 Yes
103 MIDCAPIETF INF109KC1G82 6.29 93.71 No
104 MIDQ50ADD INF740KA1QL0 20 80 Yes
105 MIDSELIETF INF109KB1XT3 10.35 89.65 Yes
106 MOHEALTH INF247L01BB1 20 80 Yes
107 MOLOWVOL INF247L01BL0 20 80 No
108 MOM100 INF247L01023 6.14 93.86 Yes
109 MOM30IETF INF109KC17C7 20 80 No
110 MOM50 INF247L01536 6 94 Yes
111 MOMENTUM INF209KB14K7 20 80 Yes
112 MOMOMENTUM INF247L01BK2 20 80 No
113 MON100 INF247L01AP3 6.4 93.6 No
114 MONIFTY500 INF247L01BU1 6 94 No
115 MONQ50 INF247L01AU3 6 94 Yes
116 MOQUALITY INF247L01BH8 20 80 No
117 MOVALUE INF247L01BE5 20 80 No
118 NETF INF277K015R5 6.55 93.45 Yes
119 NEXT50IETF INF109KC1NS5 6.32 93.68 Yes
120 NIF100BEES INF204K014N5 6 94 Yes
121 NIF100IETF INF109KA1962 6 94 Yes
122 NIFMID150 INF789F1AYX9 10.59 89.41 No
123 NIFTY50ADD INF740KA1CL0 7.5 92.5 Yes
124 NIFTYBEES INF204KB14I2 6 94 No
125 NIFTYBETF INF0QA701722 6 94 No
126 NIFTYETF INF769K01EG9 6 94 No
127 NIFTYIETF INF109K012R6 6 94 No
128 NIFTYQLITY INF209KB15K4 20 80 No
129 NPBET INF277K010X4 20 80 Yes
130 NV20BEES INF204KB18I3 20 80 Yes
131 NV20IETF INF109KC11V0 20 80 Yes
132 PHARMABEES INF204KC1089 20 80 No
133 PSUBANKADD INF740KA1SY9 20 80 No
134 PSUBNKBEES INF204KB16I7 20 80 No
135 PSUBNKIETF INF109KC10S8 20 80 No
136 PVTBANIETF INF109KC18U7 20 80 No
137 PVTBANKADD INF740KA1TA7 20 80 No
138 QGOLDHALF INF082J01408 20 80 No
139 QNIFTY INF082J01028 6 94 Yes
140 QUAL30IETF INF109KC15T5 20 80 No
141 SBIETFCON INF200KA1X17 20 80 Yes
142 SBIETFIT INF200KA1S14 20 80 Yes
143 SBIETFPB INF200KA1S22 20 80 Yes
144 SBIETFQLTY INF200KA1WX6 20 80 Yes
145 SDL24BEES INF204KB18W4 20 80 No
146 SDL26BEES INF204KC1022 20 80 No
147 SENSEXADD INF740KA1SZ6 7.46 92.54 No
148 SENSEXETF INF769K01KT9 8.47 91.53 Yes
149 SENSEXIETF INF346A01034 8.48 91.52 No
150 SETFGOLD INF200KA16D8 20 80 No
151 SETFNIF50 INF200KA1FS1 6 94 No
152 SETFNIFBK INF200KA1580 20 80 Yes
153 SETFNN50 INF200KA1598 6 94 Yes
154 SHARIABEES INF732E01128 20 80 Yes
155 SILVER INF209KB19F6 20 80 No
156 SILVERADD INF740KA1RE3 20 80 No
157 SILVERBEES INF204KC1402 20 80 No
158 SILVERETF INF789F1AYK6 20 80 No
159 SILVERIETF INF109KC1Y56 20 80 No
160 SILVRETF INF769K01KG6 20 80 Yes
161 SMALLCAP INF769K01LC3 20 80 No
162 TATAGOLD INF277KA1976 20 80 Yes
163 TATSILV INF277KA1984 20 80 No
164 TECH INF209KB11D8 20 80 No
165 TNIDETF INF277KA1364 20 80 No
166 UTIBANKETF INF789F1AUV1 20 80 No
167 UTINEXT50 INF789F1AUW9 7.78 92.22 Yes
168 UTINIFTETF INF789F1AZC0 6 94 Yes
169 UTISENSETF INF789FB1X58 6.14 93.86 Yes
170 UTISXN50 INF789F1AUU3 9.98 90.02 No

Mutual Funds (OMF) forming part of Non-cash component.


For every Rs 100 worth of
stock pledged, you'll
receive collateral margin of
Sr. No. Security Name ISIN Scheme Name Haircut % As on 02/03/2024 Rs. Scheme Type Broker limit reached
1 B201G INF209K01165 ADITYA BIRLA SUN LIFE EQUITY ADVANTAGE FUND - GROWTH-REGULAR PLAN 7.5 92.5 NORMAL No
2 B201D-DP INF209K01157 ADITYA BIRLA SUN LIFE EQUITY ADVANTAGE FUND - IDCW PAYOUT-REGULAR PLAN 7.5 92.5 NORMAL No
3 BS201DZ-DP INF209K01VG0 ADITYA BIRLA SUN LIFE EQUITY ADVANTAGE FUND - IDCW PAYOUT-DIRECT PLAN 7.5 92.5 DIRECT No
4 BS201GZ-GR INF209K01VH8 ADITYA BIRLA SUN LIFE EQUITY ADVANTAGE FUND - GROWTH-DIRECT PLAN 7.5 92.5 DIRECT No
5 B301QD-DP INF209K01587 ADITYA BIRLA SUN LIFE INCOME FUND - QUARTERLY IDCW PAYOUT-REGULAR PLAN 7.5 92.5 NORMAL No
6 B301G INF209K01579 ADITYA BIRLA SUN LIFE INCOME FUND - GROWTH-REGULAR PLAN 7.5 92.5 NORMAL No
7 BS301GZ-GR INF209K01WY1 ADITYA BIRLA SUN LIFE INCOME FUND - GROWTH-DIRECT PLAN 7.5 92.5 DIRECT No
8 B221D-DP INF209K01314 ADITYA BIRLA SUN LIFE MNC FUND- IDCW PAYOUT 7.5 92.5 NORMAL No
9 B221G INF209K01322 ADITYA BIRLA SUN LIFE MNC FUND-GROWTH 7.5 92.5 NORMAL No
10 BS221GZ-GR INF209K01VT3 ADITYA BIRLA SUN LIFE MNC FUND - GROWTH-DIRECT PLAN 7.5 92.5 DIRECT No
11 BS221DZ-DP INF209K01Q06 ADITYA BIRLA SUN LIFE MNC FUND - DIRECT PLAN-IDCW PAYOUT 7.5 92.5 DIRECT No
12 DS30-DR INF740K01565 DSP BOND FUND - IDCW REINVESTMENT 7.5 92.5 NORMAL No
13 DSP20-GR INF740K01557 DSP BOND FUND - GROWTH 7.5 92.5 NORMAL No
14 DS701-GR INF740K01MZ3 DSP BOND FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
15 DS10-DR INF740K01011 DSP FLEXI CAP FUND - REGULAR PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
16 DSP167-GR INF740K01037 DSP FLEXI CAP FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
17 DS767-GR INF740K01PI2 DSP FLEXI CAP FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
18 DS768-DP INF740K01PJ0 DSP FLEXI CAP FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
19 DS727-GR INF740K01NY4 DSP EQUITY AND BOND FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
20 DS728-DP INF740K01NZ1 DSP EQUITY AND BOND FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
21 DSP01-GR INF740K01318 DSP EQUITY AND BOND FUND - GROWTH 7.5 92.5 NORMAL No
Approved Securities List for the Month of April 2024
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
22 DS04-DR INF740K01326 DSP EQUITY AND BOND FUND - IDCW REINVESTMENT collateral margin of Rs. 7.5 92.5 NORMAL No
23 DSP66-GR INF740K01094 DSP EQUITY OPPORTUNITIES FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
24 DS67-DR INF740K01078 DSP EQUITY OPPORTUNITIES FUND - REGULAR PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
25 DS770-GR INF740K01PL6 DSP EQUITY OPPORTUNITIES FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
26 DS771-DP INF740K01PM4 DSP EQUITY OPPORTUNITIES FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
27 GFG-HDFC INF179K01830 HDFC BALANCED ADVANTAGE FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
28 GFD-DP INF179K01814 HDFC BALANCED ADVANTAGE FUND - REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
29 GFGT-GR INF179K01WA6 HDFC BALANCED ADVANTAGE FUND - DIRECT PLAN - GROWTH OPTION 7.5 92.5 DIRECT No
30 GFDT-DP INF179K01VY8 HDFC BALANCED ADVANTAGE FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
31 HDIFD-DR INF179K01947 HDFC INCOME FUND - REGULAR PLAN - QUARTERLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
32 IFG-HDFC-DP INF179K01962 HDFC INCOME FUND - GROWTH OPTION 7.5 92.5 NORMAL No
33 HDIFDT-DR INF179K01WJ7 HDFC INCOME FUND - DIRECT PLAN - QUARTERLY IDCW REINVESTMENT 7.5 92.5 DIRECT No
34 IFGT-GR INF179K01WL3 HDFC INCOME FUND - DIRECT PLAN - GROWTH OPTION 7.5 92.5 DIRECT No
35 QUIBGP-GR INF966L01AA0 QUANT SMALL CAP FUND REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
36 QUIBD1-DP INF966L01663 QUANT SMALL CAP FUND DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
37 QUIBDG-GR INF966L01689 QUANT SMALL CAP FUND DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
38 JMEFDP-DP INF192K01585 JM LARGE CAP FUND - IDCW PAYOUT OPTION 7.5 92.5 NORMAL No
39 EFGP-GR INF192K01601 JM LARGE CAP FUND - GROWTH OPTION 7.5 92.5 NORMAL No
40 JMEFAD-DP INF192K01JS8 JM LARGE CAP FUND ANNUAL IDCW PAYOUT OPTION 7.5 92.5 NORMAL No
41 JMEFDG-GR INF192K01BZ0 JM LARGE CAP FUND (DIRECT) - GROWTH OPTION 7.5 92.5 DIRECT No
42 JMBFDP-DP INF192K01528 JM AGGRESSIVE HYBRID FUND - IDCW PAYOUT OPTION 7.5 92.5 NORMAL No
43 BFGP-GR INF192K01544 JM AGGRESSIVE HYBRID FUND - GROWTH OPTION 7.5 92.5 NORMAL No
44 BFDG-GR INF192K01BQ9 JM AGGRESSIVE HYBRID FUND (DIRECT) - GROWTH OPTION 7.5 92.5 DIRECT No
45 IFRD-DP INF192K01999 JM MEDIUM TO LONG DURATION FUND - QUARTERLY IDCW PAYOUT OPTION 7.5 92.5 NORMAL No
46 IFRG-GR INF192K01AB3 JM MEDIUM TO LONG DURATION FUND - GROWTH OPTION 7.5 92.5 NORMAL No
47 JMIFDG-GR INF192K01CW5 JM MEDIUM TO LONG DURATION FUND DIRECT PLAN - GROWTH OPTION 7.5 92.5 DIRECT No
48 BAGP-GR INF137A01037 JM VALUE FUND - GROWTH OPTION 7.5 92.5 NORMAL No
49 BADP-DP INF137A01011 JM VALUE FUND - IDCW PAYOUT OPTION 7.5 92.5 NORMAL No
50 BADG-GR INF192K01BT3 JM VALUE FUND (DIRECT) - GROWTH OPTION 7.5 92.5 DIRECT No
51 K04DP-DP INF174K01450 KOTAK EQUITY HYBRID FUND - REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
52 KO04DDP-DP INF174K01LL7 KOTAK EQUITY HYBRID FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
53 KO04GD-GR INF174K01F00 KOTAK EQUITY HYBRID FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
54 KM04G-GR INF174K01E92 KOTAK EQUITY HYBRID FUND - REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
55 KO06D-GR INF174K01JC0 KOTAK BOND FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
56 K06-GR INF174K01EM0 KOTAK BOND FUND - GROWTH 7.5 92.5 NORMAL No
57 K17DP-DP INF174K01EQ1 KOTAK BOND FUND - REGULAR PLAN - STANDARD - IDCW PAYOUT 7.5 92.5 NORMAL No
58 LCEFDP-DP INF767K01063 LIC MF FLEXI CAP FUND-REGULAR PLAN-DIVIDEND-IDCW PAYOUT 7.5 92.5 NORMAL No
59 LCEFGP-GR INF767K01071 LIC MF FLEXI CAP FUND-REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
60 LCEFD1-DDP INF767K01EF5 LIC MF FLEXI CAP FUND-DIRECT PLAN-DIVIDEND-IDCW PAYOUT 7.5 92.5 DIRECT No
61 LCEFG1-DGR INF767K01EG3 LIC MF FLEXI CAP FUND-DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
62 LCBFDP-DP INF767K01907 LIC MF BOND FUND-DIVIDEND-IDCW PAYOUT 7.5 92.5 NORMAL No
63 LCBFGP-GR INF767K01923 LIC MEDIUM TO LONG DURATION BOND FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
64 LCBFG1-GR INF767K01EW0 LIC MEDIUM TO LONG DURATION BOND FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
65 LCBLDP-DP INF767K01022 LIC AGGRESSIVE HYBRID FUND - REGULAR PLAN - IDCW - IDCW PAYOUT 7.5 92.5 NORMAL No
66 LCBLGP-GR INF767K01030 LIC AGGRESSIVE HYBRID FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
67 LCBLD1-DP INF767K01EC2 LIC AGGRESSIVE HYBRID FUND - DIRECT PLAN - IDCW - IDCW PAYOUT 7.5 92.5 DIRECT No
68 LCBLG1-GR INF767K01ED0 LIC AGGRESSIVE HYBRID FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
69 LCGFDP-DP INF767K01097 LIC MF LARGE CAP FUND-REGULAR PLAN-DIVIDEND-IDCW PAYOUT 7.5 92.5 NORMAL No
70 LCGFGP-GR INF767K01105 LIC MF LARGE CAP FUND-REGULAR PLAN-GROWTH-GROWTH 7.5 92.5 NORMAL No
71 LCGFG1-DGR INF767K01EJ7 LIC MF LARGE CAP FUND-DIRECT PLAN-GROWTH-GROWTH 7.5 92.5 DIRECT No
72 LCGFD1-DDP INF767K01EI9 LIC MF LARGE CAP FUND-DIRECT PLAN-DIVIDEND-IDCW PAYOUT 7.5 92.5 DIRECT No
73 ICICI12P-DP INF109K01EQ7 ICICI PRUDENTIAL LARGE AND MID CAP FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
74 GROWTH INF109K01431 ICICI PRUDENTIAL LARGE AND MID CAP FUND - GROWTH 7.5 92.5 NORMAL No
75 8002-GR INF109K011O5 ICICI PRUDENTIAL LARGE AND MID CAP FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
76 8003P-DP INF109K019N0 ICICI PRUDENTIAL LARGE AND MID CAP FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
77 ICICI42P-DP INF109K01EO2 ICICI PRUDENTIAL FMCG FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
78 FMCG INF109K01415 ICICI PRUDENTIAL FMCG FUND - GROWTH 7.5 92.5 NORMAL No
79 8011-GR INF109K01Z14 ICICI PRUDENTIAL FMCG FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
80 8012P-DP INF109K01Y98 ICICI PRUDENTIAL FMCG FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
81 ICICI62P-DP INF109K01DX5 ICICI PRUDENTIAL EQUITY AND DEBT FUND - MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
82 ICICI61-GR INF109K01480 ICICI PRUDENTIAL EQUITY AND DEBT FUND - GROWTH 7.5 92.5 NORMAL No
83 8017-GR INF109K01Y07 ICICI PRUDENTIAL EQUITY AND DEBT FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
84 8018P-DP INF109K01X81 ICICI PRUDENTIAL EQUITY AND DEBT FUND - DIRECT PLAN - MONTHLY IDCW PAYOUT 7.5 92.5 DIRECT No
85 IC2759P-DP INF109KB1QK6 ICICI PRUDENTIAL EQUITY AND DEBT FUND - REGULAR PLAN - ANNUAL IDCW PAYOUT 7.5 92.5 NORMAL No
86 IC8961P-DP INF109KB1QM2 ICICI PRUDENTIAL EQUITY AND DEBT FUND - DIRECT PLAN - ANNUAL IDCW PAYOUT 7.5 92.5 DIRECT No
87 TECH INF109K01506 ICICI PRUDENTIAL TECHNOLOGY FUND - GROWTH 7.5 92.5 NORMAL No
88 ICICI72P-DP INF109K01FO9 ICICI PRUDENTIAL TECHNOLOGY FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
89 8019-GR INF109K01Z48 ICICI PRUDENTIAL TECHNOLOGY FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
90 8020P-DP INF109K01Z22 ICICI PRUDENTIAL TECHNOLOGY FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
91 ICICI22-GR INF109K01365 ICICI PRUDENTIAL LONG TERM BOND FUND - GROWTH 7.5 92.5 NORMAL No
92 ICICI21QP-DP-Q INF109K01EZ8 ICICI PRUDENTIAL LONG TERM BOND FUND - QUARTERLY IDCW PAYOUT 7.5 92.5 NORMAL No
93 8007-GR INF109K017L8 ICICI PRUDENTIAL LONG TERM BOND FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
94 GFDP-DP INF204K01299 NIPPON INDIA GROWTH FUND DIVIDEND PLAN- IDCW PAYOUT OPTION 7.5 92.5 NORMAL No
95 GFBP INF204K01315 NIPPON INDIA GROWTH FUND- GROWTH PLAN - BONUS OPTION 7.5 92.5 NORMAL No
96 GFGP INF204K01323 NIPPON INDIA GROWTH FUND - GROWTH PLAN - GROWTH OPTION 7.5 92.5 NORMAL No
97 GFAD-DP INF204K01E39 NIPPON INDIA GROWTH FUND DIRECT PLAN DIVIDEND PLAN IDCW PAYOUT 7.5 92.5 DIRECT No
98 GFAG-GR INF204K01E54 NIPPON INDIA GROWTH FUND DIRECT PLAN GROWTH PLAN GROWTH 7.5 92.5 DIRECT No
99 GSDP-DP INF204K01372 NIPPON INDIA VISION FUND - DIVIDENDS PLAN IDCW PAYOUT OPTION 7.5 92.5 NORMAL No
100 GSBP INF204K01398 NIPPON INDIA VISION FUND - GROWTH PLAN - BONUS OPTION 7.5 92.5 NORMAL No
101 GSGP INF204K01406 NIPPON INDIA VISION FUND - GROWTH PLAN - GROWTH OPTION 7.5 92.5 NORMAL No
102 GSAD-DP INF204K01F04 NIPPON INDIA VISION FUND DIRECT PLAN DIVIDEND PLAN IDCW PAYOUT 7.5 92.5 DIRECT No
103 GSAG-GR INF204K01F20 NIPPON INDIA VISION FUND DIRECT PLAN GROWTH PLAN GROWTH 7.5 92.5 DIRECT No
104 RELINF-DP-M INF204K01CN7 NIPPON INDIA INCOME FUND -DIVIDEND PLAN-MONTHLY IDCW PAYOUT OPTION 7.5 92.5 NORMAL No
105 RELINF-DP-Q INF204K01CP2 NIPPON INDIA INCOME FUND - -DIVIDEND PLAN- QUARTERLY IDCW PAYOUT OPTION 7.5 92.5 NORMAL No
106 RELINF-DP-A INF204K01CT4 NIPPON INDIA INCOME FUND -DIVIDEND PLAN- ANNUAL IDCW PAYOUT OPTION 7.5 92.5 NORMAL No
107 RELINF-GR INF204K01CL1 NIPPON INDIA INCOME FUND - GROWTH PLAN - GROWTH OPTION 7.5 92.5 NORMAL No
108 RELINFB-GR INF204K01CM9 NIPPON INDIA INCOME FUND - GROWTH PLAN - BONUS OPTION 7.5 92.5 NORMAL No
109 IFAG-GR INF204K01XS2 NIPPON INDIA INCOME FUND DIRECT PLAN GROWTH PLAN - GROWTH OPTION GROWTH 7.5 92.5 DIRECT No
110 TMFSSGP-GR INF044D01989 TAURUS FLEXI CAP FUND - REGULAR PLAN GROWTH PLAN 7.5 92.5 NORMAL No
111 TMFSSDP-DP INF044D01955 TAURUS FLEXI CAP FUND - REGULAR PLAN IDCW PLAN PAYOUT 7.5 92.5 NORMAL No
112 TRSSG1-GR INF044D01BU9 TAURUS FLEXI CAP FUND - DIRECT PLAN GROWTH PLAN 7.5 92.5 DIRECT No
113 TMFDSGP-GR INF044D01815 TAURUS DISCOVERY (MIDCAP) FUND - REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
114 TMFDSDP-DP INF044D01781 TAURUS DISCOVERY (MIDCAP) FUND - REGULAR PLAN IDCW PAYOUT 7.5 92.5 NORMAL No
115 TRDSG1-GR INF044D01CA9 TAURUS DISCOVERY (MIDCAP) FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
116 F183-GR INF090I01890 FRANKLIN INDIA NSE NIFTY 50 INDEX FUND-GROWTH 7.5 92.5 NORMAL No
117 FR151P-DP INF090I01874 FRANKLIN INDIA NSE NIFTY 50 INDEX FUND-IDCW PAYOUT 7.5 92.5 NORMAL No
118 FR440P-DP INF090I01GQ8 FRANKLIN INDIA NSE NIFTY 50 INDEX FUND - DIRECT IDCW PAYOUT 7.5 92.5 DIRECT No
119 463-GR INF090I01GS4 FRANKLIN INDIA NSE NIFTY 50 INDEX FUND - DIRECT GROWTH 7.5 92.5 DIRECT No
120 FTIGF-GR INF090I01296 TEMPLETON INDIA VALUE FUND - GROWTH 7.5 92.5 NORMAL No
121 FR154P-DP INF090I01270 TEMPLETON INDIA VALUE FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
122 FR442P-DP INF090I01GW6 TEMPLETON INDIA VALUE FUND - DIRECT IDCW PAYOUT 7.5 92.5 DIRECT No
123 452-GR INF090I01GY2 TEMPLETON INDIA VALUE FUND - DIRECT GROWTH 7.5 92.5 DIRECT No
124 FR006P-DP INF090I01155 FRANKLIN INDIA BLUECHIP FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
125 FTIFIBCF-GR INF090I01171 FRANKLIN INDIA BLUECHIP FUND - GROWTH 7.5 92.5 NORMAL No
126 FR606P-DP INF090I01FO5 FRANKLIN INDIA BLUECHIP FUND - DIRECT IDCW PAYOUT 7.5 92.5 DIRECT No
127 419-GR INF090I01FN7 FRANKLIN INDIA BLUECHIP FUND - DIRECT GROWTH 7.5 92.5 DIRECT No
128 FR001P-DP INF090I01726 FRANKLIN INDIA PRIMA FUND-IDCW PAYOUT 7.5 92.5 NORMAL No
129 F036-GR INF090I01809 FRANKLIN INDIA PRIMA FUND-GROWTH 7.5 92.5 NORMAL No
130 FR601P-DP INF090I01FI7 FRANKLIN INDIA PRIMA FUND - DIRECT IDCW PAYOUT 7.5 92.5 DIRECT No
131 417-GR INF090I01FH9 FRANKLIN INDIA PRIMA FUND - DIRECT GROWTH 7.5 92.5 DIRECT No
132 FR002P-DP INF090I01213 FRANKLIN INDIA FLEXI CAP FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
133 FTIFIPP-GR INF090I01239 FRANKLIN INDIA FLEXI CAP FUND - GROWTH 7.5 92.5 NORMAL No
134 FR602P-DP INF090I01FL1 FRANKLIN INDIA FLEXI CAP FUND - DIRECT IDCW PAYOUT 7.5 92.5 DIRECT No
Approved Securities List for the Month of April 2024
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
135 418-GR INF090I01FK3 FRANKLIN INDIA FLEXI CAP FUND - DIRECT GROWTH collateral margin of Rs. 7.5 92.5 DIRECT No
136 FR026P-DP INF090I01759 FRANKLIN INDIA TECHNOLOGY FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
137 F025-GR INF090I01742 FRANKLIN INDIA TECHNOLOGY FUND - GROWTH 7.5 92.5 NORMAL No
138 FR414P-DP INF090I01FF3 FRANKLIN INDIA TECHNOLOGY FUND - DIRECT IDCW PAYOUT 7.5 92.5 DIRECT No
139 413-GR INF090I01FE6 FRANKLIN INDIA TECHNOLOGY FUND - DIRECT GROWTH 7.5 92.5 DIRECT No
140 FR048P-DP INF090I01858 FRANKLIN INDIA OPPORTUNITIES FUND-IDCW PAYOUT 7.5 92.5 NORMAL No
141 F047-GR INF090I01841 FRANKLIN INDIA OPPORTUNITIES FUND-GROWTH 7.5 92.5 NORMAL No
142 FR426P-DP INF090I01GD6 FRANKLIN INDIA OPPORTUNITIES FUND - DIRECT IDCW PAYOUT 7.5 92.5 DIRECT No
143 425-GR INF090I01GC8 FRANKLIN INDIA OPPORTUNITIES FUND - DIRECT GROWTH 7.5 92.5 DIRECT No
144 FR013P-DP INF090I01DH4 FRANKLIN INDIA CORPORATE DEBT FUND- PLAN A - ANNUAL IDCW PAYOUT 7.5 92.5 NORMAL No
145 F012-GR INF090I01DG6 FRANKLIN INDIA CORPORATE DEBT FUND- PLAN A - GROWTH 7.5 92.5 NORMAL No
146 FR039P-DP INF090I01DJ0 FRANKLIN INDIA CORPORATE DEBT FUND- PLAN A - MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
147 FR040P-DP INF090I01DL6 FRANKLIN INDIA CORPORATE DEBT FUND- PLAN A - QUARTERLY IDCW PAYOUT 7.5 92.5 NORMAL No
148 612-GR INF090I01FW8 FRANKLIN INDIA CORPORATE DEBT FUND- PLAN A - DIRECT GROWTH 7.5 92.5 DIRECT No
149 FR046P-DP INF090I01825 FRANKLIN INDIA EQUITY HYBRID FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
150 F045-GR INF090I01817 FRANKLIN INDIA EQUITY HYBRID FUND - GROWTH 7.5 92.5 NORMAL No
151 423-GR INF090I01FZ1 FRANKLIN INDIA EQUITY HYBRID FUND - DIRECT GROWTH 7.5 92.5 DIRECT No
152 FR424P-DP INF090I01GA2 FRANKLIN INDIA EQUITY HYBRID FUND - DIRECT IDCW PAYOUT 7.5 92.5 DIRECT No
153 CRMIDP-DP INF760K01308 CANARA ROBECO CONSERVATIVE HYBRID FUND REGULAR MONTHLY - IDCW PAYOUT 7.5 92.5 NORMAL No
154 CRMIGP-GR INF760K01282 CANARA ROBECO CONSERVATIVE HYBRID FUND REGULAR GROWTH 7.5 92.5 NORMAL No
155 CRMIQP-DP INF760K01AP7 CANARA ROBECO CONSERVATIVE HYBRID FUND REGULAR QUARTERLY - IDCW PAYOUT 7.5 92.5 NORMAL No
156 CAMIDG-GR INF760K01GB4 CANARA ROBECO CONSERVATIVE HYBRID FUND DIRECT GROWTH 7.5 92.5 DIRECT No
157 CAMIDM-DP INF760K01FZ5 CANARA ROBECO CONSERVATIVE HYBRID FUND DIRECT MONTHLY - IDCW PAYOUT 7.5 92.5 DIRECT No
158 SUN21P-DP INF903J01FR0 SUNDARAM MEDIUM TERM BOND FUND REGULAR QUARTERLY IDCW PAYOUT 7.5 92.5 NORMAL No
159 SUN22-GR INF903J01FQ2 SUNDARAM MEDIUM TERM BOND FUND REGULAR GROWTH 7.5 92.5 NORMAL No
160 SU22PD-GR INF903J01PO6 SUNDARAM MEDIUM TERM BOND FUND DIRECT GROWTH 7.5 92.5 DIRECT No
161 028D-DP INF200K01610 SBI MAGNUM INCOME FUND - 1998 - IDCW PAYOUT 7.5 92.5 NORMAL No
162 028G INF200K01594 SBI MAGNUM INCOME FUND - 1998 - GROWTH 7.5 92.5 NORMAL No
163 SBD028G-GR INF200K01SR2 SBI MAGNUM INCOME FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
164 034-DP INF200K01420 SBI TECHNOLOGY OPPORTUNITIES FUND REGULAR IDCW PAYOUT 7.5 92.5 NORMAL No
165 SB034G-GR INF200K01VS4 SBI TECHNOLOGY OPPORTUNITIES FUND REGULAR GROWTH 7.5 92.5 NORMAL No
166 033-DP INF200K01404 SBI CONSUMPTION OPPORTUNITIES FUND REGULAR IDCW PAYOUT 7.5 92.5 NORMAL No
167 SBI033-GR INF200K01VR6 SBI CONSUMPTION OPPORTUNITIES FUND REGULAR GROWTH 7.5 92.5 NORMAL No
168 UTIMSHARE-DP INF189A01038 UTI LARGE CAP FUND- REGULAR PLAN-IDCW PAYOUT 7.5 92.5 NORMAL No
169 UTIMSHARE-GR INF789F01976 UTI LARGE CAP FUND- REGULAR PLAN- ROWTH 7.5 92.5 NORMAL No
170 UTMRD2-GR INF789F01US8 UTI LARGE CAP FUND-DIRECT PLAN GROWTH PLAN-GROWTH 7.5 92.5 DIRECT No
171 UTIEQUITY-DP INF189A01053 UTI FLEXI CAP FUND-REGULAR PLAN-IDCW PAYOUT 7.5 92.5 NORMAL No
172 UTIEQUITY-GR INF789F01513 UTI FLEXI CAP FUND-REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
173 UTEQD2-GR INF789F01TC4 UTI FLEXI CAP FUND-DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
174 UTITOP100-DP INF189A01046 UTI LARGE & MID CAP FUND - REGULAR PLAN IDCW PAYOUT PLAN 7.5 92.5 NORMAL No
175 UTITOP100-GR INF789F01869 UTI LARGE & MID CAP FUND - REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
176 UTIBALANCE-GR INF789F01323 UTI AGGRESSIVE HYBRID FUND - GROWTH 7.5 92.5 NORMAL No
177 UTIBALANCE-DP INF789F01307 UTI AGGRESSIVE HYBRID FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
178 UTIMNC-DP INF789F01828 UTI MNC FUND - IDCW PAYOUT PLAN 7.5 92.5 NORMAL No
179 UTIMNC-GR INF789F01844 UTI MNC FUND - GROWTH PLAN 7.5 92.5 NORMAL No
180 UTIBOND-GR INF789F01406 UTI MEDIUM TO LONG DURATION FUND -REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
181 UTIBOND-DP INF789F01380 UTI MEDIUM TO LONG DURATION FUND-REGULAR PLAN QUARTERLY -IDCW PAYOUT 7.5 92.5 NORMAL No
182 UTIPHARMA-DP INF789F01679 UTI HEALTHCARE FUND - IDCW PAYOUT PLAN 7.5 92.5 NORMAL No
183 UTIPHARMA-GR INF789F01695 UTI HEALTHCARE FUND - GROWTH PLAN 7.5 92.5 NORMAL No
184 UTNIGP-GR INF789F01JN2 UTI NIFTY 50 INDEX FUND - GROWTH 7.5 92.5 NORMAL No
185 UTNIDP-DP INF789F01JL6 UTI NIFTY 50 INDEX FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
186 UTNID2-GR INF789F01XA0 UTI NIFTY 50 INDEX FUND-DIRECT GROWTH PLAN-GROWTH 7.5 92.5 DIRECT No
187 RELMTF-GR INF204K01EF9 NIPPON INDIA CORPORATE BOND FUND - GROWTH PLAN - GROWTH OPTION 7.5 92.5 NORMAL No
188 RELMTF-DP-M INF204K01EJ1 NIPPON INDIA CORPORATE BOND FUND - MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
189 RLIPDDR-DR INF204K01EG7 NIPPON INDIA CORPORATE BOND FUND - DAILY IDCW REINVESTMENT 7.5 92.5 NORMAL No
190 IDPQ-DP INF204K01C72 NIPPON INDIA CORPORATE BOND FUND - DIRECT QUARTERLY IDCW PLAN PAYOUT 7.5 92.5 DIRECT No
191 IDPG-GR INF204K01C15 NIPPON INDIA CORPORATE BOND FUND - DIRECT GROWTH PLAN - GROWTH OPTION 7.5 92.5 DIRECT No
192 F063-GR INF090I01EA7 FRANKLIN INDIA DEBT HYBRID FUND - PLAN A - GROWTH 7.5 92.5 NORMAL No
193 FR064P-DP INF090I01EB5 FRANKLIN INDIA DEBT HYBRID FUND - PLAN A - MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
194 FR065P-DP INF090I01ED1 FRANKLIN INDIA DEBT HYBRID FUND - PLAN A - QUARTERLY IDCW PAYOUT 7.5 92.5 NORMAL No
195 433-GR INF090I01GF1 FRANKLIN INDIA DEBT HYBRID FUND - DIRECT - PLAN A GROWTH 7.5 92.5 DIRECT No
196 QUOFGP-GR INF966L01176 QUANT MID CAP FUND REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
197 QUOFDP-DP INF966L01150 QUANT MID CAP FUND REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
198 QUOFD1-DP INF966L01861 QUANT MID CAP FUND DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
199 QUOFDG-GR INF966L01887 QUANT MID CAP FUND DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
200 QUBFDP-DP INF966L01242 QUANT ABSOLUTE FUND REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
201 QUBFGP-GR INF966L01267 QUANT ABSOLUTE FUND REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
202 QUBFD1-DP INF966L01531 QUANT ABSOLUTE FUND DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
203 QUBFDG-GR INF966L01556 QUANT ABSOLUTE FUND DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
204 QUGFDP-DP INF966L01218 QUANT ACTIVE FUND REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
205 QUGFGP-GR INF966L01234 QUANT ACTIVE FUND REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
206 QUGFD1-DP INF966L01598 QUANT ACTIVE FUND DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
207 QUGFDG-GR INF966L01614 QUANT ACTIVE FUND DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
208 QUGLDP-DP INF966L01184 QUANT MULTI ASSET FUND REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
209 QUGLGP-GR INF966L01200 QUANT MULTI ASSET FUND REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
210 QUGLD1-DP INF966L01564 QUANT MULTI ASSET FUND DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
211 QUGLDG-GR INF966L01580 QUANT MULTI ASSET FUND DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
212 144-DR INF090I01LN5 FRANKLIN INDIA FLOATING RATE FUND - IDCW REINVESTMENT 7.5 92.5 NORMAL No
213 FR498-GR INF090I01LK1 FRANKLIN INDIA FLOATING RATE FUND - DIRECT - GROWTH 7.5 92.5 DIRECT No
214 BFG-TATA-DP INF277K01303 TATA HYBRID EQUITY FUND REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
215 BFD-TATA-DP INF277K01DB6 TATA HYBRID EQUITY FUND REGULAR PLAN - PERIODIC IDCW PAYOUT 7.5 92.5 NORMAL No
216 BFMDP INF277K01CS2 TATA HYBRID EQUITY FUND REGULAR PLAN - MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
217 TABFGZ-GR INF277K01MN2 TATA HYBRID EQUITY FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
218 TABMDPZ-DP INF277K01MO0 TATA HYBRID EQUITY FUND DIRECT PLAN - MONTHLY IDCW PAYOUT 7.5 92.5 DIRECT No
219 TABFDPZ-DP INF277K01ML6 TATA HYBRID EQUITY FUND DIRECT PLAN - PERIODIC IDCW PAYOUT 7.5 92.5 DIRECT No
220 ICICI121-GR INF109K01613 ICICI PRUDENTIAL MULTICAP FUND - GROWTH 7.5 92.5 NORMAL No
221 ICICI122P-DP INF109K01FK7 ICICI PRUDENTIAL MULTICAP FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
222 8031P-DP INF109K012O3 ICICI PRUDENTIAL MULTICAP FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
223 8030-GR INF109K014O9 ICICI PRUDENTIAL MULTICAP FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
224 ICICI23P-DP-M INF109K01WL0 ICICI PRUDENTIAL SHORT TERM FUND - MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
225 B331G INF209K01MC8 ADITYA BIRLA SUN LIFE SAVINGS FUND-GROWTH 7.5 92.5 NORMAL No
226 BSL132G-GR INF209K01LZ1 ADITYA BIRLA SUN LIFE SAVINGS FUND - GROWTH 7.5 92.5 NORMAL No
227 132WD INF209K01MA2 ADITYA BIRLA SUN LIFE SAVINGS FUND - WEEKLY IDCW - REGULAR - PAYOUT 7.5 92.5 NORMAL No
228 BS132WZ-DR INF209K01US7 ADITYA BIRLA SUN LIFE SAVINGS FUND - WEEKLY IDCW REINVESTMENT-DIRECT PLAN 7.5 92.5 DIRECT No
229 BS132DZ-DR INF209K01UQ1 ADITYA BIRLA SUN LIFE SAVINGS FUND - DAILY IDCW REINVESTMENT-DIRECT PLAN 7.5 92.5 DIRECT No
230 BS132GZ-GR INF209K01UR9 ADITYA BIRLA SUN LIFE SAVINGS FUND - GROWTH-DIRECT PLAN 7.5 92.5 DIRECT No
231 ICICIINXNB-GR INF109K01PI0 ICICI PRUDENTIAL NIFTY 50 INDEX FUND - GROWTH 7.5 92.5 NORMAL No
232 8189-GR INF109K012M7 ICICI PRUDENTIAL NIFTY 50 INDEX FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
233 IC2718P-DP INF109KB1NN7 ICICI PRUDENTIAL NIFTY 50 INDEX FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
234 IC8920P-DP INF109KB1NL1 ICICI PRUDENTIAL NIFTY 50 INDEX FUND - DIRECT PLAN IDCW PAYOUT 7.5 92.5 DIRECT No
235 TMFBEGP-GR INF044D01773 TAURUS LARGECAP EQUITY FUND - REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
236 TMFBEDP-DP INF044D01740 TAURUS LARGECAP EQUITY FUND - REGULAR PLAN IDCW PAYOUT 7.5 92.5 NORMAL No
237 ICICI25DP-DP-W INF109K01FD2 ICICI PRUDENTIAL ALL SEASONS BOND FUND - WEEKLY IDCW PAYOUT 7.5 92.5 NORMAL No
238 ICLNGTEM26PP-GR INF109K01GN9 ICICI PRUDENTIAL ALL SEASONS BOND FUND - GROWTH 7.5 92.5 NORMAL No
239 ICICI1713P-DP INF109K01GK5 ICICI PRUDENTIAL ALL SEASONS BOND FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
240 ICICI1712P-DP-A INF109K01GO7 ICICI PRUDENTIAL ALL SEASONS BOND FUND - ANNUAL IDCW PAYOUT 7.5 92.5 NORMAL No
241 8145-GR INF109K016E5 ICICI PRUDENTIAL ALL SEASONS BOND FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
242 8010P-DP INF109K019E9 ICICI PRUDENTIAL ALL SEASONS BOND FUND - DIRECT PLAN- WEEKLY IDCW PAYOUT 7.5 92.5 DIRECT No
243 ICICI1714P-DP INF109K01GE8 ICICI PRUDENTIAL ALL SEASONS BOND FUND - QUARTERLY IDCW PAYOUT 7.5 92.5 NORMAL No
244 8142P-DP INF109K014E0 ICICI PRUDENTIAL ALL SEASONS BOND FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
245 8143P-DP INF109K012E4 ICICI PRUDENTIAL ALL SEASONS BOND FUND - DIRECT PLAN - ANNUAL IDCW PAYOUT 7.5 92.5 DIRECT No
246 8144P-DP INF109K017E3 ICICI PRUDENTIAL ALL SEASONS BOND FUND - DIRECT PLAN - QUARTERLY IDCW PAYOUT 7.5 92.5 DIRECT No
247 K10-GR INF174K01ES7 KOTAK BOND SHORT TERM FUND - GROWTH 7.5 92.5 NORMAL No
Approved Securities List for the Month of April 2024
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
248 KO10D-GR INF174K01JI7 KOTAK BOND SHORT TERM FUND - DIRECT PLAN - GROWTH collateral margin of Rs. 7.5 92.5 DIRECT No
249 KO20NDPD-DP INF174K01Z14 KOTAK BOND SHORT TERM FUND - DIRECT PLAN - STANDARD - IDCW PAYOUT 7.5 92.5 DIRECT No
250 KO20NDP-DP INF174K01Y98 KOTAK BOND SHORT TERM FUND - REGULAR PLAN STANDARD - IDCW PAYOUT 7.5 92.5 NORMAL No
251 INSP-GR INF179K01LA9 HDFC INDEX FUND - SENSEX PLAN - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
252 INSPT-GR INF179K01WN9 HDFC INDEX FUND - SENSEX PLAN - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
253 INNP-GR INF179K01KZ8 HDFC INDEX FUND - NIFTY 50 PLAN - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
254 INNPT-GR INF179K01WM1 HDFC INDEX FUND - NIFTY 50 PLAN - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
255 SBNP05P-DP INF903J01181 SUNDARAM MID CAP FUND REGULAR IDCW PAYOUT 7.5 92.5 NORMAL No
256 SBNP04-GR INF903J01173 SUNDARAM MID CAP FUND REGULAR GROWTH 7.5 92.5 NORMAL No
257 SU04PD-GR INF903J01MJ3 SUNDARAM MID CAP FUND DIRECT GROWTH 7.5 92.5 DIRECT No
258 SU05PD-DP INF903J01MH7 SUNDARAM MID CAP FUND DIRECT IDCW PAYOUT 7.5 92.5 DIRECT No
259 DSP70-GR INF740K01656 DSP SHORT TERM FUND - GROWTH 7.5 92.5 NORMAL No
260 DS71-DR INF740K01649 DSP SHORT TERM FUND - IDCW REINVESTMENT 7.5 92.5 NORMAL No
261 DS73-DR INF740K01664 DSP SHORT TERM FUND - MONTHLY - IDCW REINVESTMENT 7.5 92.5 NORMAL No
262 DS711-GR INF740K01NJ5 DSP SHORT TERM FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
263 007-DP INF200K01198 SBI MAGNUM EQUITY ESG FUND REGULAR IDCW PAYOUT 7.5 92.5 NORMAL No
264 007G INF200K01214 SBI MAGNUM EQUITY ESG FUND REGULAR GROWTH 7.5 92.5 NORMAL No
265 SBD007G-GR INF200K01SE0 SBI MAGNUM EQUITY ESG FUND DIRECT GROWTH 7.5 92.5 DIRECT No
266 CRIFDP-DP INF760K01340 CANARA ROBECO INCOME FUND REGULAR QUARTERLY - IDCW PAYOUT 7.5 92.5 NORMAL No
267 CRIFGP-GR INF760K01324 CANARA ROBECO INCOME FUND REGULAR GROWTH 7.5 92.5 NORMAL No
268 CAIFDG-GR INF760K01FI1 CANARA ROBECO INCOME FUND DIRECT GROWTH 7.5 92.5 DIRECT No
269 BS241D-DP INF209K01LA4 ADITYA BIRLA SUN LIFE NIFTY 50 INDEX FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
270 BS241G-GR INF209K01LB2 ADITYA BIRLA SUN LIFE NIFTY 50 INDEX FUND - GROWTH 7.5 92.5 NORMAL No
271 BS241GZ-GR INF209K01VY3 ADITYA BIRLA SUN LIFE NIFTY 50 INDEX FUND - GROWTH-DIRECT PLAN 7.5 92.5 DIRECT No
272 BS241DZ-DP INF209K01VX5 ADITYA BIRLA SUN LIFE NIFTY 50 INDEX FUND - DIRECT PLAN-IDCW PAYOUT 7.5 92.5 DIRECT No
273 ICICI1710P-DP-W INF109K01JO1 ICICI PRUDENTIAL SAVINGS FUND - WEEKLY IDCW PAYOUT 7.5 92.5 NORMAL No
274 ICICI1524-DR-D INF109K01738 ICICI PRUDENTIAL SAVINGS FUND - DAILY IDCW REINVESTMENT 7.5 92.5 NORMAL No
275 FLEXI INF109K01746 ICICI PRUDENTIAL SAVINGS FUND - GROWTH 7.5 92.5 NORMAL No
276 8271P-DP INF109K018Y9 ICICI PRUDENTIAL SAVINGS FUND - DIRECT PLAN - MONTHLY IDCW PAYOUT 7.5 92.5 DIRECT No
277 8270P-DP INF109K016Y3 ICICI PRUDENTIAL SAVINGS FUND - DIRECT PLAN - FORTNIGHTLY IDCW PAYOUT 7.5 92.5 DIRECT No
278 8272P-DP INF109K010Z3 ICICI PRUDENTIAL SAVINGS FUND - DIRECT PLAN - QUARTERLY IDCW PAYOUT 7.5 92.5 DIRECT No
279 ICICI2072P-DP INF109K016Z0 ICICI PRUDENTIAL SAVINGS FUND - QUARTERLY IDCW PAYOUT 7.5 92.5 NORMAL No
280 8087P-DP INF109K01P08 ICICI PRUDENTIAL SAVINGS FUND - DIRECT PLAN - WEEKLY IDCW PAYOUT 7.5 92.5 DIRECT No
281 8085-DR INF109K01O66 ICICI PRUDENTIAL SAVINGS FUND - DIRECT PLAN - DAILY IDCW REINVESTMENT 7.5 92.5 DIRECT No
282 8086-GR INF109K01O82 ICICI PRUDENTIAL SAVINGS FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
283 8127P-DP INF109K01O90 ICICI PRUDENTIAL SAVINGS FUND - DIRECT PLAN - OTHERS IDCW PAYOUT 7.5 92.5 DIRECT No
284 ICICI2071P-DP INF109K014Z5 ICICI PRUDENTIAL SAVINGS FUND - MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
285 251D-DP INF209K01355 ADITYA BIRLA SUN LIFE MIDCAP FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
286 251G INF209K01363 ADITYA BIRLA SUN LIFE MIDCAP FUND - GROWTH 7.5 92.5 NORMAL No
287 BS251DZ-DP INF209K01Q22 ADITYA BIRLA SUN LIFE MIDCAP FUND -PLAN - DIRECT PLAN-IDCW PAYOUT 7.5 92.5 DIRECT No
288 BS251GZ-GR INF209K01Q30 ADITYA BIRLA SUN LIFE MIDCAP FUND -PLAN - GROWTH-DIRECT PLAN 7.5 92.5 DIRECT No
289 ICICI16P-DP INF109K01ED5 ICICI PRUDENTIAL MULTI-ASSET FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
290 DYNMIC INF109K01761 ICICI PRUDENTIAL MULTI-ASSET FUND - GROWTH 7.5 92.5 NORMAL No
291 8004-GR INF109K015K4 ICICI PRUDENTIAL MULTI-ASSET FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
292 8005P-DP INF109K013K9 ICICI PRUDENTIAL MULTI-ASSET FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
293 HSBCEFD-DP INF336L01024 HSBC LARGE CAP FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
294 HSBCEFG-GR INF336L01016 HSBC LARGE CAP FUND - GROWTH 7.5 92.5 NORMAL No
295 HEFDP-DP INF336L01CK1 HSBC LARGE CAP FUND - IDCW PAYOUT DIRECT PLAN 7.5 92.5 DIRECT No
296 HEFG-GR INF336L01CM7 HSBC LARGE CAP FUND - GROWTH DIRECT PLAN 7.5 92.5 DIRECT No
297 HSBCIIG-GR INF336L01776 HSBC MEDIUM TO LONG DURATION FUND - GROWTH 7.5 92.5 NORMAL No
298 HSBCIIDP-DP INF336L01784 HSBC MEDIUM TO LONG DURATION FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
299 HIIG-GR INF336L01DE2 HSBC MEDIUM TO LONG DURATION FUND - GROWTH DIRECT PLAN 7.5 92.5 DIRECT No
300 IFM-DP INF277K01EE8 TATA EQUITY SAVINGS FUND REGULAR PLAN - MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
301 IFMG INF277K01907 TATA EQUITY SAVINGS FUND REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
302 IFMQ-DP INF277K01EF5 TATA EQUITY SAVINGS FUND REGULAR PLAN - PERIODIC IDCW PAYOUT 7.5 92.5 NORMAL No
303 TAIFMGZ-GR INF277K01QH5 TATA EQUITY SAVINGS FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
304 RELSTF-GR INF204K01FL4 NIPPON INDIA SHORT TERM FUND-GROWTH PLAN - GROWTH OPTION 7.5 92.5 NORMAL No
305 RELSTF-DP-M INF204K01FM2 NIPPON INDIA SHORT TERM FUND-DIVIDEND PLAN - MONTHLY IDCW PAYOUT OPTION 7.5 92.5 NORMAL No
306 RELSTDR-DP INF204KA1EQ4 NIPPON INDIA SHORT TERM FUND DIVIDEND PLAN IDCW PAYOUT 7.5 92.5 NORMAL No
307 RELSTF-DP-Q INF204K01FO8 NIPPON INDIA SHORT TERM FUND-DIVIDEND PLAN - QUARTERLY IDCW PAYOUT OPTION 7.5 92.5 NORMAL No
308 STAG-GR INF204K01B32 NIPPON INDIA SHORT TERM FUND DIRECT PLAN GROWTH PLAN GROWTH 7.5 92.5 DIRECT No
309 STAD-DP INF204K01B40 NIPPON INDIA SHORT TERM FUND DIRECT PLAN DIVIDEND PLAN IDCW PAYOUT 7.5 92.5 DIRECT No
310 B261D-DP INF209K01397 ADITYA BIRLA SUN LIFE DIVIDEND YIELD FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
311 B261G INF209K01405 ADITYA BIRLA SUN LIFE DIVIDEND YIELD FUND - GROWTH 7.5 92.5 NORMAL No
312 BS261DZ-DP INF209K01Q55 ADITYA BIRLA SUN LIFE DIVIDEND YIELD FUND - DIRECT PLAN-IDCW PAYOUT 7.5 92.5 DIRECT No
313 BS261GZ-GR INF209K01WA1 ADITYA BIRLA SUN LIFE DIVIDEND YIELD FUND - GROWTH-DIRECT PLAN 7.5 92.5 DIRECT No
314 TAINA-GR INF277K01741 TATA NIFTY 50 INDEX FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
315 TAINAZ-GR INF277K01PJ3 TATA NIFTY 50 INDEX FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
316 DSP15-GR INF740K01243 DSP TOP 100 EQUITY FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
317 DS16-DR INF740K01227 DSP TOP 100 EQUITY FUND - REGULAR PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
318 DS777-DP INF740K01PS1 DSP TOP 100 EQUITY FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
319 DS776-GR INF740K01PR3 DSP TOP 100 EQUITY FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
320 ICICI24-GR INF109K01654 ICICI PRUDENTIAL SHORT TERM FUND - GROWTH OPTION 7.5 92.5 NORMAL No
321 8009-GR INF109K013N3 ICICI PRUDENTIAL SHORT TERM FUND - DIRECT PLAN - GROWTH OPTION 7.5 92.5 DIRECT No
322 8008P-DP INF109K014N1 ICICI PRUDENTIAL SHORT TERM FUND - DIRECT PLAN - MONTHLY IDCW PAYOUT 7.5 92.5 DIRECT No
323 8128P-DP INF109K01P65 ICICI PRUDENTIAL FLOATING INTEREST FUND - DIRECT PLAN - OTHERS IDCW PAYOUT 7.5 92.5 DIRECT No
324 8088-DR INF109K01P24 ICICI PRUDENTIAL FLOATING INTEREST FUND - DIRECT PLAN - DAILY IDCW REINVESTMENT 7.5 92.5 DIRECT No
325 8090P-DP INF109K01P73 ICICI PRUDENTIAL FLOATING INTEREST FUND - DIRECT PLAN - WEEKLY IDCW PAYOUT 7.5 92.5 DIRECT No
326 8089-GR INF109K01P57 ICICI PRUDENTIAL FLOATING INTEREST FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
327 ICICI1544P-DP-W INF109K01EN4 ICICI PRUDENTIAL FLOATING INTEREST FUND - WEEKLY IDCW PAYOUT 7.5 92.5 NORMAL No
328 ICICI1543-GR INF109K01AX1 ICICI PRUDENTIAL FLOATING INTEREST FUND - GROWTH 7.5 92.5 NORMAL No
329 ICICI1542-DR-D INF109K01AW3 ICICI PRUDENTIAL FLOATING INTEREST FUND - DAILY IDCW REINVESTMENT 7.5 92.5 NORMAL No
330 DSP78-GR INF740K01599 DSP CREDIT RISK FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
331 DS79-DR INF740K01581 DSP CREDIT RISK FUND - REGULAR PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
332 DS513-DR INF740K01JW6 DSP CREDIT RISK FUND - REGULAR PLAN - MONTHLY - IDCW REINVESTMENT 7.5 92.5 NORMAL No
333 DS749-GR INF740K01OS4 DSP CREDIT RISK FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
334 B341QD-DP INF209K01975 ADITYA BIRLA SUN LIFE SHORT TERM FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
335 B341G INF209K01942 ADITYA BIRLA SUN LIFE SHORT TERM FUND - GROWTH 7.5 92.5 NORMAL No
336 BS341WD-DP INF209K01BU3 ADITYA BIRLA SUN LIFE SHORT TERM FUND QUARTERLY IDCW PAYOUT REGULAR PLAN 7.5 92.5 NORMAL No
337 BS341DZ-DP INF209KA1KQ6 ADITYA BIRLA SUN LIFE SHORT TERM FUND - DIRECT PLAN IDCW PAYOUT 7.5 92.5 DIRECT No
338 BS341WZ-DP INF209K01R96 ADITYA BIRLA SUN LIFE SHORT TERM FUND -QUARTERLY IDCW PAYOUT - DIRECT PLAN 7.5 92.5 DIRECT No
339 BS341GZ-GR INF209K01XK8 ADITYA BIRLA SUN LIFE SHORT TERM FUND - GROWTH - DIRECT PLAN 7.5 92.5 DIRECT No
340 BFGP INF204K01927 NIPPON INDIA BANKING AND FINANCIAL SERVICES FUND - GROWTH PLAN- GROWTH OPTION 7.5 92.5 NORMAL No
341 BFBP INF204K01919 NIPPON INDIA BANKING AND FINANCIAL SERVICES FUND - GROWTH PLAN- BONUS OPTION 7.5 92.5 NORMAL No
342 BFDP-DP INF204K01893 NIPPON INDIA BANKING AND FINANCIAL SERVICES FUND - DIVIDEND PLAN-IDCW PAYOUT OPTION 7.5 92.5 NORMAL No
343 BFAG-GR INF204K01XO1 NIPPON INDIA BANKING AND FINANCIAL SERVICES FUND DIRECT PLAN GROWTH PLAN GROWTH 7.5 92.5 DIRECT No
344 BFAD-DP INF204K01XM5 NIPPON INDIA BANKING AND FINANCIAL SERVICES FUND DIRECT PLAN DIVIDEND PLAN IDCW PAYOUT7.5 92.5 DIRECT No
345 LCMIMD-DP INF767K01816 LIC MF CONSERVATIVE HYBRID FUND-REGULAR PLAN-MONTHLY DIVIDEND-IDCW PAYOUT 7.5 92.5 NORMAL No
346 LCMIQD-DP INF767K01832 LIC MF CONSERVATIVE HYBRID FUND-REGULAR PLAN-QUARTERLY DIVIDEND-IDCW PAYOUT 7.5 92.5 NORMAL No
347 LCMIYD-DP INF767K01857 LIC MF CONSERVATIVE HYBRID FUND-REGULAR PLAN-YEARLY DIVIDEND-IDCW PAYOUT 7.5 92.5 NORMAL No
348 LCMIGP-GR INF767K01808 LIC MF CONSERVATIVE HYBRID FUND-REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
349 LCMIG1-DGR INF767K01EO7 LIC MF CONSERVATIVE HYBRID FUND-DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
350 LCSTGP-GR INF767K01AO5 LIC MF LOW DURATION FUND-REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
351 LCSTDD-DP INF767K01AK3 LIC MF LOW DURATION FUND-REGULAR PLAN-DAILY DIVIDEND-IDCW PAYOUT 7.5 92.5 NORMAL No
352 LCSTG1-DGR INF767K01FM8 LIC MF LOW DURATION FUND-DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
353 LCSTD1-DDP INF767K01FL0 LIC MF LOW DURATION FUND-DIRECT PLAN-DAILY DIVIDEND-IDCW PAYOUT 7.5 92.5 DIRECT No
354 2 INF179K01608 HDFC FLEXICAP FUND - GROWTH OPTION 7.5 92.5 NORMAL No
355 01-DP INF179K01582 HDFC FLEXICAP FUND - IDCW PAYOUT OPTION 7.5 92.5 NORMAL No
356 01T-DP INF179K01VL5 HDFC FLEXICAP FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
357 02T-GR INF179K01UT0 HDFC FLEXICAP FUND - DIRECT PLAN - GROWTH OPTION 7.5 92.5 DIRECT No
358 62 INF179K01426 HDFC CAPITAL BUILDER VALUE FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
359 61-DP INF179K01400 HDFC CAPITAL BUILDER VALUE FUND - REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
360 61T-DP INF179K01VA8 HDFC CAPITAL BUILDER VALUE FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
Approved Securities List for the Month of April 2024
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
361 62T-GR INF179K01VC4 HDFC CAPITAL BUILDER VALUE FUND - DIRECT PLAN - GROWTH OPTION collateral margin of Rs. 7.5 92.5 DIRECT No
362 12 INF179K01848 HDFC DYNAMIC DEBT FUND - REGULAR PLAN- GROWTH 7.5 92.5 NORMAL No
363 11-DP INF179K01871 HDFC DYNAMIC DEBT FUND - REGULAR PLAN - QUARTERLY IDCW PAYOUT 7.5 92.5 NORMAL No
364 28-DP INF179K01921 HDFC DYNAMIC DEBT FUND - REGULAR PLAN - YEARLY IDCW PAYOUT 7.5 92.5 NORMAL No
365 12T-GR INF179K01WB4 HDFC DYNAMIC DEBT FUND - DIRECT - GROWTH OPTION 7.5 92.5 DIRECT No
366 30 INF179K01913 HDFC MEDIUM TERM DEBT FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
367 29-DP INF179K01897 HDFC MEDIUM TERM DEBT FUND - FORTNIGHTLY IDCW PAYOUT 7.5 92.5 NORMAL No
368 HD29NT-DP INF179KA1D90 HDFC MEDIUM TERM DEBT FUND - DIRECT PLAN NORMAL-IDCW PAYOUT 7.5 92.5 DIRECT No
369 HD29T-DP INF179KA1NP8 HDFC MEDIUM TERM DEBT FUND - DIRECT PLAN FORTNIGHTLY IDCW PAYOUT 7.5 92.5 DIRECT No
370 30T-GR INF179K01WI9 HDFC MEDIUM TERM DEBT FUND - DIRECT PLAN GROWTH OPTION 7.5 92.5 DIRECT No
371 44 INF179K01BE2 HDFC TOP 100 FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
372 41-DP INF179K01BC6 HDFC TOP 100 FUND - REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
373 41T-DP INF179K01YT2 HDFC TOP 100 FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
374 44T-GR INF179K01YV8 HDFC TOP 100 FUND - DIRECT PLAN - GROWTH OPTION 7.5 92.5 DIRECT No
375 FFLG-GR INF192K01700 JM DYNAMIC BOND FUND - GROWTH OPTION 7.5 92.5 NORMAL No
376 FFD4-GR INF192K01DD3 JM DYNAMIC BOND FUND - DIRECT PLAN - GROWTH OPTION 7.5 92.5 DIRECT No
377 BPGRGP-GR INF955L01674 BARODA BNP PARIBAS MULTI CAP FUND REGULAR GROWTH 7.5 92.5 NORMAL No
378 BPGRDP-DP INF955L01658 BARODA BNP PARIBAS MULTI CAP FUND REGULAR IDCW PAYOUT 7.5 92.5 NORMAL No
379 BO106-DP INF955L01AE5 BARODA BNP PARIBAS MULTI CAP FUND DIRECT IDCW PAYOUT 7.5 92.5 DIRECT No
380 BO107-GR INF955L01AG0 BARODA BNP PARIBAS MULTI CAP FUND DIRECT GROWTH 7.5 92.5 DIRECT No
381 CRDVGP-GR INF760K01019 CANARA ROBECO FLEXI CAP FUND REGULAR GROWTH 7.5 92.5 NORMAL No
382 CRDVDP-DP INF760K01027 CANARA ROBECO FLEXI CAP FUND REGULAR - IDCW PAYOUT 7.5 92.5 NORMAL No
383 CADVDG-GR INF760K01EF0 CANARA ROBECO FLEXI CAP FUND DIRECT GROWTH 7.5 92.5 DIRECT No
384 CADVDD-DP INF760K01ED5 CANARA ROBECO FLEXI CAP FUND DIRECT - IDCW PAYOUT 7.5 92.5 DIRECT No
385 FTIFTDPEF-GR INF090I01262 FRANKLIN INDIA DYNAMIC ASSET ALLOCATION FUND OF FUNDS - GROWTH 7.5 92.5 NORMAL No
386 FR171P-DP INF090I01247 FRANKLIN INDIA DYNAMIC ASSET ALLOCATION FUND OF FUNDS - IDCW PAYOUT 7.5 92.5 NORMAL No
387 FR453P-DP INF090I01HT0 FRANKLIN INDIA DYNAMIC ASSET ALLOCATION FUND OF FUNDS - DIRECT IDCW PAYOUT 7.5 92.5 DIRECT No
388 454-GR INF090I01HV6 FRANKLIN INDIA DYNAMIC ASSET ALLOCATION FUND OF FUNDS - DIRECT GROWTH 7.5 92.5 DIRECT No
389 ICICIAAP-GR INF109K01795 ICICI PRUDENTIAL PASSIVE STRATEGY FUND (FOF) - GROWTH 7.5 92.5 NORMAL No
390 8149-GR INF109K01W58 ICICI PRUDENTIAL PASSIVE STRATEGY FUND (FOF) - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
391 ICICIAAPDP-DP INF109K01DW7 ICICI PRUDENTIAL PASSIVE STRATEGY FUND (FOF) - IDCW PAYOUT 7.5 92.5 NORMAL No
392 ICICIAVAP-GR INF109K01852 ICICI PRUDENTIAL THEMATIC ADVANTAGE FUND (FOF) - GROWTH 7.5 92.5 NORMAL No
393 8162-GR INF109K01X40 ICICI PRUDENTIAL THEMATIC ADVANTAGE FUND (FOF) - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
394 ICICIVAPDP-DP INF109K01FR2 ICICI PRUDENTIAL THEMATIC ADVANTAGE FUND (FOF) - IDCW PAYOUT 7.5 92.5 NORMAL No
395 ICICIAMP-GR INF109K01837 ICICI PRUDENTIAL ASSET ALLOCATOR FUND (FOF) - GROWTH 7.5 92.5 NORMAL No
396 8157-GR INF109K01X16 ICICI PRUDENTIAL ASSET ALLOCATOR FUND (FOF) - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
397 ICICIAMPDP-DP INF109K01FJ9 ICICI PRUDENTIAL ASSET ALLOCATOR FUND (FOF) - IDCW PAYOUT 7.5 92.5 NORMAL No
398 ICICIACP-GR INF109K01811 ICICI PRUDENTIAL INCOME OPTIMIZER FUND (FOF) - GROWTH 7.5 92.5 NORMAL No
399 8153-GR INF109K01W82 ICICI PRUDENTIAL INCOME OPTIMIZER FUND (FOF) - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
400 ICICIACPDP-DP INF109K01EB9 ICICI PRUDENTIAL INCOME OPTIMIZER FUND (FOF) - IDCW PAYOUT 7.5 92.5 NORMAL No
401 ICICIAVCP-GR INF109K01878 ICICI PRUDENTIAL DEBT MANAGEMENT FUND (FOF) - GROWTH 7.5 92.5 NORMAL No
402 8166-GR INF109K01X73 ICICI PRUDENTIAL DEBT MANAGEMENT FUND (FOF) - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
403 ICICIVCPDP-DP INF109K01FS0 ICICI PRUDENTIAL DEBT MANAGEMENT FUND (FOF) - IDCW PAYOUT 7.5 92.5 NORMAL No
404 MILTG INF179K01AE4 HDFC HYBRID DEBT FUND - GROWTH OPTION 7.5 92.5 NORMAL No
405 HDMILTM-DR INF179K01AA2 HDFC HYBRID DEBT FUND - MONTHLY IDCW REINVESTMENT OPTION 7.5 92.5 NORMAL No
406 HDMILTQ-DR INF179K01AC8 HDFC HYBRID DEBT FUND - QUARTERLY IDCW REINVESTMENT OPTION 7.5 92.5 NORMAL No
407 MLTGT-GR INF179K01XE6 HDFC HYBRID DEBT FUND - DIRECT PLAN - GROWTH OPTION 7.5 92.5 DIRECT No
408 HDMLTMT-DR INF179K01XF3 HDFC HYBRID DEBT FUND - DIRECT PLAN - IDCW REINVESTMENT OPTION 7.5 92.5 DIRECT No
409 HDMLTQT-DR INF179K01XH9 HDFC HYBRID DEBT FUND- DIRECT PLAN - QUARTERLY IDCW REINVESTMENT 7.5 92.5 DIRECT No
410 RELMIP-GR INF204K01FD1 NIPPON INDIA HYBRID BOND FUND - GROWTH PLAN GROWTH OPTION 7.5 92.5 NORMAL No
411 RELMIP-DP-M INF204K01FE9 NIPPON INDIA HYBRID BOND FUND - MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
412 RELMIP-DP-Q INF204K01FG4 NIPPON INDIA HYBRID BOND FUND - QUARTERLY IDCW PLAN PAYOUT 7.5 92.5 NORMAL No
413 MIAG-GR INF204K01YV4 NIPPON INDIA HYBRID BOND FUND - DIRECT GROWTH PLAN GROWTH OPTION 7.5 92.5 DIRECT No
414 MIAM-DP INF204K01YW2 NIPPON INDIA HYBRID BOND FUND - DIRECT MONTHLY IDCW PAYOUT 7.5 92.5 DIRECT No
415 HSBCEOIDP-DP INF336L01AE8 HSBC FLEXI CAP FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
416 HSBCEOIG-GR INF336L01AF5 HSBC FLEXI CAP FUND - GROWTH 7.5 92.5 NORMAL No
417 HEODP-DP INF336L01DF9 HSBC FLEXI CAP FUND - IDCW PAYOUT DIRECT PLAN 7.5 92.5 DIRECT No
418 HEOIG-GR INF336L01DH5 HSBC FLEXI CAP FUND - GROWTH DIRECT PLAN 7.5 92.5 DIRECT No
419 HSBCMIPSM-DP-M INF336L01107 HSBC CONSERVATIVE HYBRID FUND -MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
420 HSBCMIPSQ-DP-Q INF336L01123 HSBC CONSERVATIVE HYBRID FUND -QUARTERLY IDCW PAYOUT 7.5 92.5 NORMAL No
421 HSBCMIPSG-GR INF336L01099 HSBC CONSERVATIVE HYBRID FUND -GROWTH 7.5 92.5 NORMAL No
422 HMPSG-GR INF336L01DW4 HSBC CONSERVATIVE HYBRID FUND -GROWTH DIRECT PLAN 7.5 92.5 DIRECT No
423 ICICIIMPG-GR INF109K01902 ICICI PRUDENTIAL REGULAR SAVINGS FUND - GROWTH 7.5 92.5 NORMAL No
424 ICICIIMPDP-DP-M INF109K01ER5 ICICI PRUDENTIAL REGULAR SAVINGS FUND - MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
425 ICICIIMPDQ-DP-QR INF109K01IX4 ICICI PRUDENTIAL REGULAR SAVINGS FUND - QUARTERLY IDCW PAYOUT 7.5 92.5 NORMAL No
426 ICICIIMPDH-DR-H INF109K01IW6 ICICI PRUDENTIAL REGULAR SAVINGS FUND - HALF YEARLY IDCW PAYOUT 7.5 92.5 NORMAL No
427 8186P-DP INF109K01S47 ICICI PRUDENTIAL REGULAR SAVINGS FUND - DIRECT PLAN - HALF YEARLY IDCW PAYOUT 7.5 92.5 DIRECT No
428 8187P-DP INF109K01S88 ICICI PRUDENTIAL REGULAR SAVINGS FUND - DIRECT PLAN - QUARTERLY IDCW PAYOUT 7.5 92.5 DIRECT No
429 8185P-DP INF109K01S62 ICICI PRUDENTIAL REGULAR SAVINGS FUND - DIRECT PLAN - MONTHLY IDCW PAYOUT 7.5 92.5 DIRECT No
430 8188-GR INF109K01S39 ICICI PRUDENTIAL REGULAR SAVINGS FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
431 UTIMIDCAP-DP INF789F01794 UTI MID CAP FUND - IDCW PAYOUT PLAN 7.5 92.5 NORMAL No
432 UTIMIDCAP-GR INF789F01810 UTI MID CAP FUND - GROWTH PLAN 7.5 92.5 NORMAL No
433 UTMCD2-GR INF789F01UA6 UTI MID CAP FUND-DIRECT GROWTH PLAN-GROWTH 7.5 92.5 DIRECT No
434 UTIINFRA-GR INF789F01752 UTI INFRASTRUCTURE FUND - GROWTH PLAN 7.5 92.5 NORMAL No
435 UTIINFRA-DP INF789F01737 UTI INFRASTRUCTURE FUND - IDCW PAYOUT PLAN 7.5 92.5 NORMAL No
436 UTITRNSPRT-DP INF789F01273 UTI TRANSPORTATION AND LOGISTIC SECTOR - IDCW PAYOUT PLAN 7.5 92.5 NORMAL No
437 UTITRNSPRT-GR INF789F01299 UTI TRANSPORTATION AND LOGISTIC SECTOR - GROWTH PLAN 7.5 92.5 NORMAL No
438 UTIBANKING-GR INF789F01372 UTI BANKING AND FINANCIAL SERVICES FUND - GROWTH PLAN 7.5 92.5 NORMAL No
439 UTITRESADV-DP INF789F01356 UTI BANKING AND FINANCIAL SERVICES FUND - IDCW PAYOUT PLAN 7.5 92.5 NORMAL No
440 PSGP INF204K01AE0 NIPPON INDIA POWER AND INFRA FUND- GROWTH PLAN-GROWTH OPT 7.5 92.5 NORMAL No
441 PSBP INF204K01AD2 NIPPON INDIA POWER AND INFRA FUND GROWTH PLAN-BONUS OPT 7.5 92.5 NORMAL No
442 PSDP-DP INF204K01AB6 NIPPON INDIA POWER AND INFRA FUND- DIV PLAN-IDCW PAYOUT OPTION 7.5 92.5 NORMAL No
443 PSAD-DP INF204K01I76 NIPPON INDIA POWER AND INFRA FUND DIRECT PLAN DIVIDEND PLAN IDCW PAYOUT 7.5 92.5 DIRECT No
444 PSAG-GR INF204K01I92 NIPPON INDIA POWER AND INFRA FUND DIRECT PLAN GROWTH PLAN - GROWTH OPTION GROWTH 7.5 92.5 DIRECT No
445 B313MD-DP INF209K01769 ADITYA BIRLA SUN LIFE REGULAR SAVINGS FUND-MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
446 B313G INF209K01751 ADITYA BIRLA SUN LIFE REGULAR SAVINGS FUND-GROWTH 7.5 92.5 NORMAL No
447 BS313DZ-DP INF209K01R47 ADITYA BIRLA SUN LIFE REGULAR SAVINGS FUND- MONTHLY DIRECT PLAN-IDCW PAYOUT 7.5 92.5 DIRECT No
448 BS313GZ-GR INF209K01XH4 ADITYA BIRLA SUN LIFE REGULAR SAVINGS FUND- GROWTH-DIRECT PLAN 7.5 92.5 DIRECT No
449 PHGP INF204K01968 NIPPON INDIA PHARMA FUND - GROWTH PLAN - GROWTH OPTION 7.5 92.5 NORMAL No
450 PHBP INF204K01950 NIPPON INDIA PHARMA FUND - BONUS PLAN 7.5 92.5 NORMAL No
451 PHDP-DP INF204K01935 NIPPON INDIA PHARMA FUND - IDCW PAYOUT OPTION 7.5 92.5 NORMAL No
452 PHAD-DP INF204K01I35 NIPPON INDIA PHARMA FUND DIRECT PLAN DIVIDEND PLAN IDCW PAYOUT 7.5 92.5 DIRECT No
453 PHAG-GR INF204K01I50 NIPPON INDIA PHARMA FUND DIRECT PLAN GROWTH PLAN - GROWTH OPTION GROWTH 7.5 92.5 DIRECT No
454 DSP13-GR INF740K01151 DSP INDIA T.I.G.E.R. FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
455 DS14-DR INF740K01136 DSP INDIA T.I.G.E.R. FUND - REGULAR PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
456 DS779-GR INF740K01PU7 DSP INDIA T.I.G.E.R. FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
457 DS780-DP INF740K01PV5 DSP INDIA T.I.G.E.R. FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
458 DSP84-GR INF740K01441 DSP REGULAR SAVINGS FUND - GROWTH 7.5 92.5 NORMAL No
459 DS85-DR INF740K01458 DSP REGULAR SAVINGS FUND - MONTHLY - IDCW REINVESTMENT 7.5 92.5 NORMAL No
460 DS86-DR INF740K01474 DSP REGULAR SAVINGS FUND - IDCW - QUARTERLY REINVESTMENT 7.5 92.5 NORMAL No
461 DS717-GR INF740K01NO5 DSP REGULAR SAVINGS FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
462 54 INF179K01442 HDFC LOW DURATION FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
463 HD58-DP INF179K01475 HDFC LOW DURATION FUND - RETAIL OPTION - REGULAR PLAN - WEEKLY IDCW PAYOUT 7.5 92.5 NORMAL No
464 60-DP INF179K01459 HDFC LOW DURATION FUND - RETAIL - REGULAR PLAN - MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
465 54T-GR INF179K01VF7 HDFC LOW DURATION FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
466 60T-DP INF179K01VG5 HDFC LOW DURATION FUND - DIRECT PLAN - RETAIL PLAN - MONTHLY IDCW PAYOUT 7.5 92.5 DIRECT No
467 59-DR INF179K01434 HDFC LOW DURATION FUND - RETAIL - REGULAR PLAN - DAILY IDCW REINVESTMENT 7.5 92.5 NORMAL No
468 UTIFLOTNGW-DR-W INF789F01562 UTI ULTRA SHORT DURATION FUND - REGULAR PLAN WEEKLY -IDCW REINVESTMENT 7.5 92.5 NORMAL No
469 UTIFLOTNG-GR INF789F01570 UTI ULTRA SHORT DURATION FUND -REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
470 UTIFLOTNGD-DR-D INF789F01554 UTI ULTRA SHORT DURATION FUND -REGULAR PLAN DAILY- IDCW REINVESTMENT 7.5 92.5 NORMAL No
471 UTFSADD-DP INF789FA1P43 UTI ULTRA SHORT DURATION FUND -REGULAR PLAN ANNUAL-IDCW PAYOUT 7.5 92.5 NORMAL No
472 UTIMISADVP-DP-M INF789F01927 UTI CONSERVATIVE HYBRID FUND-REGULAR PLAN-REGULAR MONTHLY PAYMENT PLAN-IDCW PAYOUT7.5 92.5 NORMAL No
473 UTIMISADV-DP INF789F01877 UTI CONSERVATIVE HYBRID FUND-REGULAR PLAN - FLEXI IDCW PAYOUT 7.5 92.5 NORMAL No
Approved Securities List for the Month of April 2024
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
474 UTIMISADV-GR INF789F01893 UTI CONSERVATIVE HYBRID FUND-REGULAR PLAN - GROWTH PLAN collateral margin of Rs. 7.5 92.5 NORMAL No
475 UTIMISADVM-DP-M INF789F01901 UTI CONSERVATIVE HYBRID FUND-REGULAR PLAN - MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
476 UTITRESADV-GR INF789F01331 UTI LOW DURATION FUND DISCONTINUED - REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
477 UTIBFIGG-GR INF789F01OT9 UTI LOW DURATION FUND-REGULAR GROWTH 7.5 92.5 NORMAL No
478 UTITRESADV-DR-D INF789F01349 UTI LOW DURATION FUND DISCONTINUED PERIODIC-REGULAR PLAN-IDCW REINVESTMENT 7.5 92.5 NORMAL No
479 UTIBFIDR-DR INF789F01ON2 UTI LOW DURATION FUND-REGULAR DAILY -IDCW REINVESTMENT 7.5 92.5 NORMAL No
480 UTIBFWID-DP INF789F01PB4 UTI LOW DURATION FUND WEEKLY-REGULAR PLAN-IDCW PAYOUT 7.5 92.5 NORMAL No
481 K117DP-DP INF174K01484 KOTAK MULTI ASSET ALLOCATOR FUND OF FUND - DYNAMIC - IDCW PAYOUT 7.5 92.5 NORMAL No
482 K107EFOF-GR INF174K01468 KOTAK MULTI ASSET ALLOCATOR FUND OF FUND - DYNAMIC - GROWTH 7.5 92.5 NORMAL No
483 KO117DD-DP INF174K01LO1 KOTAK MULTI ASSET ALLOCATOR FUND OF FUND - DYNAMIC - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
484 KO107D-GR INF174K01LN3 KOTAK MULTI ASSET ALLOCATOR FUND OF FUND - DYNAMIC - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
485 K135-GR INF174K01FD6 KOTAK SAVINGS FUND - GROWTH 7.5 92.5 NORMAL No
486 K145-DR INF174K01FH7 KOTAK SAVINGS FUND - MONTHLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
487 KO135D-GR INF174K01JP2 KOTAK SAVINGS FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
488 KO145D-DR INF174K01JQ0 KOTAK SAVINGS FUND - DIRECT PLAN - MONTHLY IDCW REINVESTMENT 7.5 92.5 DIRECT No
489 DFG INF109K01AF8 ICICI PRUDENTIAL VALUE DISCOVERY FUND - GROWTH 7.5 92.5 NORMAL No
490 ICICIDFDP-DP INF109K01EC7 ICICI PRUDENTIAL VALUE DISCOVERY FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
491 8175P-DP INF109K011K3 ICICI PRUDENTIAL VALUE DISCOVERY FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
492 8176-GR INF109K012K1 ICICI PRUDENTIAL VALUE DISCOVERY FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
493 RELFRF-GR INF204K01CG1 NIPPON INDIA FLOATING RATE FUND - GROWTH PLAN 7.5 92.5 NORMAL No
494 RELFRF-DP-M INF204K01CH9 NIPPON INDIA FLOATING RATE FUND - MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
495 RLFRWD-DP INF204K01OQ5 NIPPON INDIA FLOATING RATE FUND - WEEKLY IDCW PLAN PAYOUT 7.5 92.5 NORMAL No
496 FRAG-GR INF204K01E05 NIPPON INDIA FLOATING RATE FUND - DIRECT GROWTH PLAN 7.5 92.5 DIRECT No
497 ICICILFRAG-GR INF109K01AH4 ICICI PRUDENTIAL MEDIUM TERM BOND FUND - GROWTH 7.5 92.5 NORMAL No
498 ICICI1729-DP-Q INF109K01UF6 ICICI PRUDENTIAL MEDIUM TERM BOND FUND - QUARTERLY IDCW PAYOUT 7.5 92.5 NORMAL No
499 8190-GR INF109K015A5 ICICI PRUDENTIAL MEDIUM TERM BOND FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
500 8192P-DP INF109K018A9 ICICI PRUDENTIAL MEDIUM TERM BOND FUND - DIRECT PLAN - QUARTERLY IDCW PAYOUT 7.5 92.5 DIRECT No
501 MEGP INF204K01AQ4 NIPPON INDIA CONSUMPTION FUND - GROWTH PLAN - GROWTH OPTION 7.5 92.5 NORMAL No
502 MEDP-DP INF204K01AN1 NIPPON INDIA CONSUMPTION FUND - IDCW PAYOUT PLAN 7.5 92.5 NORMAL No
503 MEAG-GR INF204K01G52 NIPPON INDIA CONSUMPTION FUND DIRECT PLAN GROWTH PLAN - GROWTH OPTION GROWTH 7.5 92.5 DIRECT No
504 MEAD-DP INF204K01G37 NIPPON INDIA CONSUMPTION FUND DIRECT PLAN DIVIDEND PLAN IDCW PAYOUT 7.5 92.5 DIRECT No
505 HDMULG-GR INF179K01AM7 HDFC EQUITY SAVINGS FUND- GROWTH 7.5 92.5 NORMAL No
506 HDMULD-DP INF179K01AK1 HDFC EQUITY SAVINGS FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
507 HDMULGT-GR INF179K01XT4 HDFC EQUITY SAVINGS FUND - DIRECT PLAN - GROWTH OPTION 7.5 92.5 DIRECT No
508 HDMULDT-DP INF179K01XR8 HDFC EQUITY SAVINGS FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
509 CORG INF179K01574 HDFC FOCUSED 30 FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
510 CORD-DP INF179K01558 HDFC FOCUSED 30 FUND - REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
511 CORDT-DP INF179K01VI1 HDFC FOCUSED 30 FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
512 CORGT-GR INF179K01VK7 HDFC FOCUSED 30 FUND - DIRECT PLAN - GROWTH OPTION 7.5 92.5 DIRECT No
513 B321QD-DP INF209K01819 ADITYA BIRLA SUN LIFE DYNAMIC BONDRETAIL-QUARTERLY IDCW PAYOUT 7.5 92.5 NORMAL Yes
514 B321G INF209K01793 ADITYA BIRLA SUN LIFE DYNAMIC BOND RETAIL-GROWTH 7.5 92.5 NORMAL No
515 B321MD-DP INF209K01801 ADITYA BIRLA SUN LIFE DYNAMIC BONDRETAIL-MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
516 BS321X-DP INF209KA1TX3 ADITYA BIRLA SUN LIFE DYNAMIC BOND FUND - DIRECT PLAN-IDCW PAYOUT 7.5 92.5 DIRECT No
517 BS321GZ-GR INF209K01N82 ADITYA BIRLA SUN LIFE MUTUAL FUND DYNAMIC BOND FUND DIRECT GROWTH 7.5 92.5 DIRECT No
518 BS321A-DP INF209KA1TV7 ADITYA BIRLA SUN LIFE DYNAMIC BOND FUND IDCW PAYOUT REGULAR PLAN 7.5 92.5 NORMAL No
519 ESG INF109K01AN2 ICICI PRUDENTIAL MIDCAP FUND - GROWTH 7.5 92.5 NORMAL No
520 ICICIESDP-DP INF109K01EH6 ICICI PRUDENTIAL MIDCAP FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
521 8181P-DP INF109K019M2 ICICI PRUDENTIAL MIDCAP FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
522 8182-GR INF109K011N7 ICICI PRUDENTIAL MIDCAP FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
523 NEGP INF204K01604 NIPPON INDIA BALANCED ADVANTAGE FUND - GROWTH PLAN - GROWTH OPTION 7.5 92.5 NORMAL No
524 NEDP-DP INF204K01570 NIPPON INDIA BALANCED ADVANTAGE FUND - IDCW PAYOUT OPTION 7.5 92.5 NORMAL No
525 NEAG-GR INF204K01G94 NIPPON INDIA BALANCED ADVANTAGE FUND DIRECT PLAN GROWTH PLAN - GROWTH OPTION GROWTH 7.5 92.5 DIRECT No
526 NEAD-DP INF204K01G78 NIPPON INDIA BALANCED ADVANTAGE FUND DIRECT PLAN DIVIDEND PLAN IDCW PAYOUT 7.5 92.5 DIRECT No
527 RELNIGP-GR INF204K01FI0 NIPPON INDIA DYNAMIC BOND FUND - GROWTH PLAN 7.5 92.5 NORMAL No
528 RELNIDP-DP INF204K01FJ8 NIPPON INDIA DYNAMIC BOND FUND - DIVIDEND PLAN (IDCW PAYOUT) 7.5 92.5 NORMAL No
529 RMFNIQP-DP-Q INF204K01XB8 NIPPON INDIA DYNAMIC BOND FUND - QUARTERLY DIVIDEND PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
530 NIAG-GR INF204K01A25 NIPPON INDIA DYNAMIC BOND FUND DIRECT PLAN GROWTH PLAN - GROWTH OPTION GROWTH 7.5 92.5 DIRECT No
531 SUN157-GR INF903J01HW6 SUNDARAM CORPORATE BOND FUND REGULAR GROWTH 7.5 92.5 NORMAL No
532 SU157DP-GR INF903J01NR4 SUNDARAM CORPORATE BOND FUND DIRECT GROWTH 7.5 92.5 DIRECT No
533 SBNP71P-DP INF903J01454 SUNDARAM SMALL CAP FUND REGULAR IDCW PAYOUT 7.5 92.5 NORMAL No
534 SBNP72-GR INF903J01470 SUNDARAM SMALL CAP FUND REGULAR GROWTH 7.5 92.5 NORMAL No
535 SU71PD-DP INF903J01NI3 SUNDARAM SMALL CAP FUND DIRECT IDCW PAYOUT 7.5 92.5 DIRECT No
536 SU72PD-GR INF903J01NK9 SUNDARAM SMALL CAP FUND DIRECT GROWTH 7.5 92.5 DIRECT No
537 K114DP-DP INF174K01237 KOTAK SMALL CAP FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
538 K104M-GR INF174K01211 KOTAK SMALL CAP FUND - GROWTH 7.5 92.5 NORMAL No
539 KO114DD-DP INF174K01KU0 KOTAK SMALL CAP FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
540 KO104D-GR INF174K01KT2 KOTAK SMALL CAP FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
541 FTIFIFCAP-GR INF090I01205 FRANKLIN INDIA EQUITY ADVANTAGE FUND - GROWTH 7.5 92.5 NORMAL No
542 FR200P-DP INF090I01189 FRANKLIN INDIA EQUITY ADVANTAGE FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
543 FR472P-DP INF090I01IL5 FRANKLIN INDIA EQUITY ADVANTAGE FUND - DIRECT IDCW PAYOUT 7.5 92.5 DIRECT No
544 473-GR INF090I01IN1 FRANKLIN INDIA EQUITY ADVANTAGE FUND - DIRECT GROWTH 7.5 92.5 DIRECT No
545 CRFRDD-DR INF760K01803 CANARA ROBECO SAVINGS FUND REGULAR DAILY - IDCW REINVESTMENT 7.5 92.5 NORMAL No
546 CAFRDG-GR INF760K01ET1 CANARA ROBECO SAVINGS FUND DIRECT GROWTH 7.5 92.5 DIRECT No
547 CAFRDR-DR INF760K01EM6 CANARA ROBECO SAVINGS FUND DIRECT DAILY - IDCW REINVESTMENT 7.5 92.5 DIRECT No
548 CRFRGP-GR INF760K01795 CANARA ROBECO SAVINGS FUND REGULAR GROWTH 7.5 92.5 NORMAL No
549 CRFRDP-DP INF760K01779 CANARA ROBECO SAVINGS FUND REGULAR - IDCW PAYOUT 7.5 92.5 NORMAL No
550 CREQGP-GR INF760K01167 CANARA ROBECO EMERGING EQUITIES REGULAR -GROWTH 7.5 92.5 NORMAL No
551 CREQDP-DP INF760K01175 CANARA ROBECO EMERGING EQUITIES REGULAR - IDCW PAYOUT 7.5 92.5 NORMAL No
552 CAEQDD-DP INF760K01EG8 CANARA ROBECO EMERGING EQUITIESDIRECT - IDCW PAYOUT 7.5 92.5 DIRECT No
553 CAEQDG-GR INF760K01EI4 CANARA ROBECO EMERGING EQUITIESDIRECT GROWTHGROWTH 7.5 92.5 DIRECT No
554 EOGP INF204K01489 NIPPON INDIA MULTI CAP FUND - GROWTH PLAN 7.5 92.5 NORMAL No
555 EODP-DP INF204K01455 NIPPON INDIA MULTI CAP FUND - DIV PLAN-IDCW PAYOUT OPTION 7.5 92.5 NORMAL No
556 EOAG-GR INF204K01XF9 NIPPON INDIA MULTI CAP FUND - DIRECT GROWTH PLAN 7.5 92.5 DIRECT No
557 EOAD-DP INF204K01XD4 NIPPON INDIA MULTI CAP FUND DIRECT PLAN DIVIDEND PLAN IDCW PAYOUT 7.5 92.5 DIRECT No
558 HDPRED-DR INF179K01AQ8 HDFC HYBRID EQUITY FUND - REGULAR PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
559 PREG INF179K01AS4 HDFC HYBRID EQUITY FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
560 PREGT-GR INF179K01XZ1 HDFC HYBRID EQUITY FUND - DIRECT PLAN - GROWTH OPTION 7.5 92.5 DIRECT No
561 HDPREDT-DR INF179K01XX6 HDFC HYBRID EQUITY FUND - DIRECT PLAN - IDCW REINVESTMENT 7.5 92.5 DIRECT No
562 UTIDYF-DP INF789F01448 UTI DIVIDEND YIELD FUND - IDCW PAYOUT OPTION 7.5 92.5 NORMAL No
563 UTIDYF-GR INF789F01463 UTI DIVIDEND YIELD FUND - GROWTH OPTION 7.5 92.5 NORMAL No
564 K134DP-DP INF174K01260 KOTAK INDIA EQ CONTRA FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
565 K124C-GR INF174K01245 KOTAK INDIA EQ CONTRA FUND - GROWTH 7.5 92.5 NORMAL No
566 KO134DD-DP INF174K01LA0 KOTAK INDIA EQ CONTRA FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
567 KO124D-GR INF174K01KZ9 KOTAK INDIA EQ CONTRA FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
568 RELSEGP-GR INF204K01GB3 NIPPON INDIA VALUE FUND - GROWTH OPTION 7.5 92.5 NORMAL No
569 RELSEDP-DP INF204K01GC1 NIPPON INDIA VALUE FUND - DIVIDEND PLAN - IDCW PAYOUT OPTION 7.5 92.5 NORMAL No
570 SEAD-DP INF204K01K23 NIPPON INDIA VALUE FUND DIRECT PLAN DIVIDEND PLAN IDCW PAYOUT 7.5 92.5 DIRECT No
571 SEAG-GR INF204K01K49 NIPPON INDIA VALUE FUND DIRECT PLAN GROWTH OPTION GROWTH 7.5 92.5 DIRECT No
572 B291D-DP INF209K01439 ADITYA BIRLA SUN LIFE GENNEXT FUND- IDCW PAYOUT 7.5 92.5 NORMAL No
573 B291G INF209K01447 ADITYA BIRLA SUN LIFE GENNEXT FUND-GROWTH 7.5 92.5 NORMAL No
574 BS291DZ-DP INF209K01Q63 ADITYA BIRLA SUN LIFE INDIA GENNEXT FUND - DIRECT PLAN-IDCW PAYOUT 7.5 92.5 DIRECT No
575 BS291GZ-GR INF209K01WC7 ADITYA BIRLA SUN LIFE INDIA GENNEXT FUND - GROWTH-DIRECT PLAN 7.5 92.5 DIRECT No
576 UTIOPRTUNE-DP INF789F01AE0 UTI VALUE FUND -REGULAR PLAN- IDCW PAYOUT 7.5 92.5 NORMAL No
577 UTIOPRTUNE-GR INF789F01AG5 UTI VALUE FUND -REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
578 UTOPD2-GR INF789F01VB2 UTI VALUE FUND -DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
579 HDMYD05-DR INF179K01AN5 HDFC MULTI-ASSET FUND - REGULAR PLAN -IDCW REINVESTMENT 7.5 92.5 NORMAL No
580 MYG05 INF179K01AP0 HDFC MULTI-ASSET FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
581 HDMYD5T-DR INF179K01XU2 HDFC MULTI-ASSET FUND - DIRECT PLAN - IDCW REINVESTMENT 7.5 92.5 DIRECT No
582 MYG5T-GR INF179K01XW8 HDFC MULTI-ASSET FUND - DIRECT PLAN - GROWTH OPTION 7.5 92.5 DIRECT No
583 IFG-ICICIPRU-GR INF109K01AV5 ICICI PRUDENTIAL INFRASTRUCTURE FUND - GROWTH 7.5 92.5 NORMAL No
584 ICICIIFDP-DP INF109K01FB6 ICICI PRUDENTIAL INFRASTRUCTURE FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
585 8184-GR INF109K018M4 ICICI PRUDENTIAL INFRASTRUCTURE FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
586 8183P-DP INF109K016M8 ICICI PRUDENTIAL INFRASTRUCTURE FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
Approved Securities List for the Month of April 2024
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
587 BA-DP INF209K01BS7 ADITYA BIRLA SUN LIFE EQUITY HYBRID 95 FUND IDCW PAYOUT collateral margin of Rs. 7.5 92.5 NORMAL No
588 BAG INF209K01BT5 ADITYA BIRLA SUN LIFE EQUITY HYBRID 95 FUND GROWTH 7.5 92.5 NORMAL No
589 BSAGZ-GR INF209K01ZC0 ADITYA BIRLA SUN LIFE EQUITY HYBRID 95 FUND - GROWTH-DIRECT PLAN 7.5 92.5 DIRECT No
590 BSAZ-DP INF209KA1LH3 ADITYA BIRLA SUN LIFE EQUITY HYBRID 95 FUND - DIRECT PLAN-IDCW PAYOUT 7.5 92.5 DIRECT No
591 52-DP INF209K01AQ3 ADITYA BIRLA SUN LIFE FLEXI CAP FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
592 51 INF209K01AJ8 ADITYA BIRLA SUN LIFE FLEXI CAP FUND - GROWTH 7.5 92.5 NORMAL No
593 BS51Z-GR INF209K01XX1 ADITYA BIRLA SUN LIFE FLEXI CAP FUND - GROWTH-DIRECT PLAN 7.5 92.5 DIRECT No
594 BS52Z-DP INF209KA1LE0 ADITYA BIRLA SUN LIFE FLEXI CAP FUND - IDCW PAYOUT-DIRECT PLAN 7.5 92.5 DIRECT No
595 B15-DP INF209K01132 ADITYA BIRLA SUN LIFE DIGITAL INDIA FUND- IDCW PAYOUT 7.5 92.5 NORMAL No
596 B16 INF209K01140 ADITYA BIRLA SUN LIFE DIGITAL INDIA FUND-GROWTH 7.5 92.5 NORMAL No
597 BS15Z-DP INF209K01P49 ADITYA BIRLA SUN LIFE DIGITAL INDIA FUND - DIRECT PLAN-IDCW PAYOUT 7.5 92.5 DIRECT No
598 BS16Z-GR INF209K01VF2 ADITYA BIRLA SUN LIFE DIGITAL INDIA FUND - GROWTH-DIRECT PLAN 7.5 92.5 DIRECT No
599 91-DP INF209K01BO6 ADITYA BIRLA SUN LIFE FRONTLINE EQUITY FUND -IDCW PAYOUT 7.5 92.5 NORMAL No
600 92 INF209K01BR9 ADITYA BIRLA SUN LIFE FRONTLINE EQUITY FUND - GROWTH 7.5 92.5 NORMAL No
601 BS91Z-DP INF209K01YX9 ADITYA BIRLA SUN LIFE FRONTLINE EQUITY FUND -DIRECT PLAN-IDCW PAYOUT 7.5 92.5 DIRECT No
602 BS92Z-GR INF209K01YY7 ADITYA BIRLA SUN LIFE FRONTLINE EQUITY FUND - DIRECT - GROWTH 7.5 92.5 DIRECT No
603 BS85NIF-DP INF209K01LX6 ADITYA BIRLA SUN LIFE BANKING & PSU DEBT FUND - REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
604 BS85NIG-GR INF209K01LV0 ADITYA BIRLA SUN LIFE BANKING AND PSU DEBT FUND - GROWTH-REGULAR PLAN 7.5 92.5 NORMAL No
605 BS85NIM-DP INF209K01LN7 ADITYA BIRLA SUN LIFE BANKING AND PSU DEBT FUND - QUARTERLY IDCW PAYOUT 7.5 92.5 NORMAL No
606 BS85NDD-DP INF209K01LU2 ADITYA BIRLA SUN LIFE BANKING AND PSU DEBT FUND - MONTHLY IDCW PAYOUT-REGULAR PLAN 7.5 92.5 NORMAL No
607 BS85NGZ-GR INF209K01YN0 ADITYA BIRLA SUN LIFE BANKING AND PSU DEBT FUND - GROWTH-DIRECT PLAN 7.5 92.5 DIRECT No
608 BS85IFZ-DP INF209KA12Z1 ADITYA BIRLA SUN LIFE BANKING AND PSU DEBT FUND - IDCW PAYOUT- DIRECT PLAN 7.5 92.5 DIRECT No
609 BS85NDZ-DP INF209K01YM2 ADITYA BIRLA SUN LIFE BANKING AND PSU DEBT FUND - MONTHLY IDCW PAYOUT-DIRECT PLAN 7.5 92.5 DIRECT No
610 B32 INF209K01785 ADITYA BIRLA SUN LIFE CORPORATE BOND FUND - GROWTH-REGULAR PLAN 7.5 92.5 NORMAL No
611 B37-DP INF209K01983 ADITYA BIRLA SUN LIFE CORPORATE BOND FUND - MONTHLY IDCW PAYOUT-REGULAR PLAN 7.5 92.5 NORMAL No
612 BS37Z-DP INF209K01N90 ADITYA BIRLA SUN LIFE CORPORATE BOND FUND - MONTHLY IDCW PAYOUT-DIRECT PLAN 7.5 92.5 DIRECT No
613 BS32Z-GR INF209K01S38 ADITYA BIRLA SUN LIFE CORPORATE BOND FUND - GROWTH-DIRECT PLAN 7.5 92.5 DIRECT No
614 BS37AZ-DP INF209KA1KT0 ADITYA BIRLA SUN LIFE CORPORATE BOND FUND-DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
615 BS37A-DP INF209KA1KS2 ADITYA BIRLA SUN LIFE CORPORATE BOND FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
616 BSL43N-GR INF209K01LQ0 ADITYA BIRLA SUN LIFE LOW DURATION FUND - GROWTH-REGULAR PLAN 7.5 92.5 NORMAL No
617 BS44NRD-DR INF209KA1LQ4 ADITYA BIRLA SUN LIFE LOW DURATION FUND - WEEKLY IDCW REINVESTMENT-REGULAR PLAN 7.5 92.5 NORMAL No
618 BS44RDZ-DR INF209K01XV5 ADITYA BIRLA SUN LIFE LOW DURATION FUND DIRECT PLAN - WEEKLY IDCW REINVESTMENT 7.5 92.5 DIRECT No
619 BS43NZ-GR INF209K01XU7 ADITYA BIRLA SUN LIFE LOW DURATION FUND - GROWTH-DIRECT PLAN 7.5 92.5 DIRECT No
620 BS48NZ-DR INF209K01XW3 ADITYA BIRLA SUN LIFE LOW DURATION FUND - DAILY IDCW REINVESTMENT-DIRECT PLAN 7.5 92.5 DIRECT No
621 K118DP-DP INF174K01203 KOTAK EQUITY OPPORTUNITIES FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
622 K108O-GR INF174K01187 KOTAK EQUITY OPPORTUNITIES FUND - GROWTH 7.5 92.5 NORMAL No
623 KO118DD-DP INF174K01LG7 KOTAK EQUITY OPPORTUNITIES FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
624 KO108D-GR INF174K01LF9 KOTAK EQUITY OPPORTUNITIES FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
625 CRGBOE-GR INF760K01050 CANARA ROBECO EQUITY HYBRID FUND REGULAR GROWTH 7.5 92.5 NORMAL No
626 CRGBDP-DP INF760K01068 CANARA ROBECO EQUITY HYBRID FUND REGULAR MONTHLY - IDCW PAYOUT 7.5 92.5 NORMAL No
627 CAGBDD-DP INF760K01EX3 CANARA ROBECO EQUITY HYBRID FUND DIRECT MONTHLY - IDCW PAYOUT 7.5 92.5 DIRECT No
628 CAGBDG-GR INF760K01EZ8 CANARA ROBECO EQUITY HYBRID FUND DIRECT GROWTH 7.5 92.5 DIRECT No
629 B292D-DP INF209K01454 ADITYA BIRLA SUN LIFE FOCUSED FUND- IDCW PAYOUT 7.5 92.5 NORMAL No
630 B292G INF209K01462 ADITYA BIRLA SUN LIFE FOCUSED FUND-GROWTH 7.5 92.5 NORMAL No
631 BS292DZ-DP INF209K01Q71 ADITYA BIRLA SUN LIFE FOCUSED FUND - DIRECT PLAN-IDCW PAYOUT 7.5 92.5 DIRECT No
632 BS292GZ-GR INF209K01WE3 ADITYA BIRLA SUN LIFE FOCUSED FUND - GROWTH-DIRECT PLAN 7.5 92.5 DIRECT No
633 F219-GR INF090I01569 FRANKLIN INDIA SMALLER COMPANIES FUND-GROWTH 7.5 92.5 NORMAL No
634 FR218P-DP INF090I01544 FRANKLIN INDIA SMALLER COMPANIES FUND-IDCW PAYOUT 7.5 92.5 NORMAL No
635 FR477P-DP INF090I01IO9 FRANKLIN INDIA SMALLER COMPANIES FUND - DIRECT IDCW PAYOUT 7.5 92.5 DIRECT No
636 478-GR INF090I01IQ4 FRANKLIN INDIA SMALLER COMPANIES FUND - DIRECT GROWTH 7.5 92.5 DIRECT No
637 SIG-ICICI-DP INF109K01BB5 ICICI PRUDENTIAL EXPORTS AND SERVICES - GROWTH 7.5 92.5 NORMAL No
638 ICICISIDP-DP INF109K01FL5 ICICI PRUDENTIAL EXPORTS AND SERVICES - IDCW PAYOUT 7.5 92.5 NORMAL No
639 8193P-DP INF109K01W09 ICICI PRUDENTIAL EXPORTS AND SERVICES - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
640 8194-GR INF109K01W25 ICICI PRUDENTIAL EXPORTS AND SERVICES - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
641 CRINDP-DP INF760K01258 CANARA ROBECO INFRASTRUCTURE REGULAR - IDCW PAYOUT 7.5 92.5 NORMAL No
642 CRINGP-GR INF760K01274 CANARA ROBECO INFRASTRUCTURE REGULAR -GROWTH 7.5 92.5 NORMAL No
643 CAINDG-GR INF760K01FO9 CANARA ROBECO INFRASTRUCTUREDIRECT GROWTHGROWTH 7.5 92.5 DIRECT No
644 CAINDD-DP INF760K01FM3 CANARA ROBECO INFRASTRUCTUREDIRECT - IDCW PAYOUT 7.5 92.5 DIRECT No
645 293D-DP INF209K01470 ADITYA BIRLA SUN LIFE INFRASTRUCTURE FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
646 293G INF209K01504 ADITYA BIRLA SUN LIFE INFRASTRUCTURE FUND - GROWTH 7.5 92.5 NORMAL No
647 BS293GZ-GR INF209K01WH6 ADITYA BIRLA SUN LIFE INFRASTRUCTURE FUND -PLAN - GROWTH-DIRECT PLAN 7.5 92.5 DIRECT No
648 BS293DZ-DP INF209K01WG8 ADITYA BIRLA SUN LIFE INFRASTRUCTURE FUND -PLAN-DIRECT PLAN-IDCW PAYOUT 7.5 92.5 DIRECT No
649 QMFEF-GP INF082J01036 QUANTUM LONG TERM EQUITY VALUE FUND - DIRECT PLAN GROWTH OPTION 7.5 92.5 DIRECT No
650 QMFEF-DP INF082J01044 QUANTUM LONG TERM EQUITY VALUE FUND - DIRECT PLAN IDCW PAYOUT OPTION 7.5 92.5 DIRECT No
651 QTEFRG-GR INF082J01242 QUANTUM LONG TERM EQUITY VALUE FUND - REGULAR PLAN GROWTH OPTION 7.5 92.5 NORMAL No
652 QTEFRD-DP INF082J01259 QUANTUM LONG TERM EQUITY VALUE FUND - REGULAR PLAN IDCW PAYOUT OPTION 7.5 92.5 NORMAL No
653 F225-GR INF090I01957 TEMPLETON INDIA EQUITY INCOME FUND-GROWTH 7.5 92.5 NORMAL No
654 FR224P-DP INF090I01932 TEMPLETON INDIA EQUITY INCOME FUND-IDCW PAYOUT 7.5 92.5 NORMAL No
655 FR479P-DP INF090I01IR2 TEMPLETON INDIA EQUITY INCOME FUND - DIRECT IDCW PAYOUT 7.5 92.5 DIRECT No
656 480-GR INF090I01IT8 TEMPLETON INDIA EQUITY INCOME FUND - DIRECT GROWTH 7.5 92.5 DIRECT No
657 SBNP92-GR INF903J01561 SUNDARAM CONSUMPTION FUND REGULAR GROWTH 7.5 92.5 NORMAL No
658 SBNP91P-DP INF903J01546 SUNDARAM CONSUMPTION FUND REGULAR IDCW PAYOUT 7.5 92.5 NORMAL No
659 SU91PD-DP INF903J01NF9 SUNDARAM CONSUMPTION FUND DIRECT IDCW PAYOUT 7.5 92.5 DIRECT No
660 SU92PD-GR INF903J01NH5 SUNDARAM CONSUMPTION FUND DIRECT GROWTH 7.5 92.5 DIRECT No
661 AAGP-GR INF192K01510 JM ARBITRAGE FUND - GROWTH OPTION 7.5 92.5 NORMAL No
662 AADP-DP INF192K01494 JM ARBITRAGE FUND - IDCW PAYOUT OPTION 7.5 92.5 NORMAL No
663 AADG-GR INF192K01BN6 JM ARBITRAGE FUND (DIRECT) - GROWTH OPTION 7.5 92.5 DIRECT No
664 UTSFDPD-DP INF789FB1RH4 UTI ARBITRAGE FUND - DIVIDEND PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
665 UTSFGPG-GR INF789FB1RJ0 UTI ARBITRAGE FUND - GROWTH PLAN 7.5 92.5 NORMAL No
666 DSP98-GR INF740K01QQ3 DSP ULTRA SHORT FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
667 DS509-DR INF740K01QS9 DSP ULTRA SHORT FUND - REGULAR PLAN - MONTHLY - IDCW REINVESTMENT 7.5 92.5 NORMAL No
668 DS526-DR INF740K01MK5 DSP ULTRA SHORT FUND - REGULAR PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
669 DS742-GR INF740K01ON5 DSP ULTRA SHORT FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
670 DSP104-GR INF740K01128 DSP MIDCAP FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
671 DS105-DR INF740K01102 DSP MIDCAP FUND - REGULAR PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
672 DS783-DP INF740K01PY9 DSP MIDCAP FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
673 DS782-GR INF740K01PX1 DSP MIDCAP FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
674 QUHYGP-GR INF966L01341 QUANT LARGE AND MID CAP FUND REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
675 QUHYDP-DP INF966L01325 QUANT LARGE AND MID CAP FUND REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
676 QUHYD1-DP INF966L01622 QUANT LARGE AND MID CAP FUND DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
677 QUHYDG-GR INF966L01648 QUANT LARGE AND MID CAP FUND DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
678 RELLEGP-GR INF204K01GE7 NIPPON INDIA FOCUSED EQUITY FUND - GROWTH PLAN 7.5 92.5 NORMAL No
679 RELLEDP-DP INF204K01GF4 NIPPON INDIA FOCUSED EQUITY FUND - DIVIDEND PLAN - IDCW PAYOUT OPTION 7.5 92.5 NORMAL No
680 LEAG-GR INF204K01F95 NIPPON INDIA FOCUSED EQUITY FUND - DIRECT PLAN GROWTH OPTION GROWTH 7.5 92.5 DIRECT No
681 LEAD-DP INF204K01F79 NIPPON INDIA FOCUSED EQUITY FUND - DIRECT PLAN DIVIDEND OPTION IDCW PAYOUT 7.5 92.5 DIRECT No
682 ICICIEDIRP-DP INF109K01EF0 ICICI PRUDENTIAL EQUITY ARBITRAGE FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
683 ICICIEDIRG-GR INF109K01BF6 ICICI PRUDENTIAL EQUITY ARBITRAGE FUND - GROWTH 7.5 92.5 NORMAL No
684 8178-GR INF109K016O4 ICICI PRUDENTIAL EQUITY ARBITRAGE FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
685 8177P-DP INF109K017O2 ICICI PRUDENTIAL EQUITY ARBITRAGE FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
686 EDWRG INF109K01BH2 ICICI PRUDENTIAL BALANCED ADVANTAGE FUND - GROWTH 7.5 92.5 NORMAL No
687 ICICIEDWRP-DP INF109K01EG8 ICICI PRUDENTIAL BALANCED ADVANTAGE FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
688 8179P-DP INF109K010B4 ICICI PRUDENTIAL BALANCED ADVANTAGE FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
689 8180-GR INF109K012B0 ICICI PRUDENTIAL BALANCED ADVANTAGE FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
690 ICICI2059P-DP INF109K018W3 ICICI PRUDENTIAL BALANCED ADVANTAGE FUND - MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
691 RGUSIWD-DP INF205K01IB6 INVESCO INDIA LOW DURATION FUND - WEEKLY IDCW PAYOUT 7.5 92.5 NORMAL No
692 RGFUSIG-GR INF205K01HY0 INVESCO INDIA LOW DURATION FUND - GROWTH 7.5 92.5 NORMAL No
693 RGUSD1-GR INF205K01NY8 INVESCO INDIA LOW DURATION FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
694 KM133-DP INF174K01DU5 KOTAK EMERGING EQUITY FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
695 K123-GR INF174K01DS9 KOTAK EMERGING EQUITY FUND - GROWTH 7.5 92.5 NORMAL No
696 KO133DD-DP INF174K01LU8 KOTAK EMERGING EQUITY FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
697 KO123D-GR INF174K01LT0 KOTAK EMERGING EQUITY FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
698 SEMDP-DP INF903J01DU9 SUNDARAM LARGE AND MID CAP FUND REGULAR IDCW PAYOUT 7.5 92.5 NORMAL No
699 SEMG-GR INF903J01DT1 SUNDARAM LARGE AND MID CAP FUND REGULAR GROWTH 7.5 92.5 NORMAL No
Approved Securities List for the Month of April 2024
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
700 SUEMDDP-DP INF903J01PP3 SUNDARAM LARGE AND MID CAP FUND DIRECT IDCW PAYOUT collateral margin of Rs. 7.5 92.5 DIRECT No
701 SUEMGPD-GR INF903J01PR9 SUNDARAM LARGE AND MID CAP FUND DIRECT GROWTH 7.5 92.5 DIRECT No
702 RGF-STRG-GR INF205K01UN6 INVESCO INDIA SHORT DURATION FUND - GROWTH 7.5 92.5 NORMAL No
703 RGF-STRM-DP INF205K01UO4 INVESCO INDIA SHORT DURATION FUND - MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
704 RGSTD1-GR INF205K01UH8 INVESCO INDIA SHORT DURATION FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
705 TMFITGP-GR INF044D01906 TAURUS INFRASTRUCTURE FUND GROWTH 7.5 92.5 NORMAL No
706 TMFITDP-DP INF044D01872 TAURUS INFRASTRUCTURE FUND IDCW PAYOUT 7.5 92.5 NORMAL No
707 RGFCF-DP INF205K01205 INVESCO INDIA CONTRA FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
708 RGFCF-GR INF205K01189 INVESCO INDIA CONTRA FUND - GROWTH 7.5 92.5 NORMAL No
709 RGCFD1-GR INF205K01LE4 INVESCO INDIA CONTRA FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
710 RGCFD2-DP INF205K01LC8 INVESCO INDIA CONTRA FUND - DIRECT PLAN IDCW PAYOUT 7.5 92.5 DIRECT No
711 RGFMCGP-GR INF205K01BC9 INVESCO INDIA MIDCAP FUND - GROWTH 7.5 92.5 NORMAL No
712 RGFMCDP-DP INF205K01BD7 INVESCO INDIA MIDCAP FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
713 RGMCD2-DP INF205K01MT0 INVESCO INDIA MIDCAP FUND - DIRECT PLAN IDCW PAYOUT 7.5 92.5 DIRECT No
714 RGMCD1-GR INF205K01MV6 INVESCO INDIA MIDCAP FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
715 RGFAFGP-GR INF205K01122 INVESCO INDIA ARBITRAGE GROWTH 7.5 92.5 NORMAL No
716 RGFAFDP-DP INF205K01148 INVESCO INDIA ARBITRAGE IDCW PAYOUT 7.5 92.5 NORMAL No
717 RGAFD2-DP INF205K01KP2 INVESCO INDIA ARBITRAGE FUND - DIRECT PLAN IDCW PAYOUT 7.5 92.5 DIRECT No
718 RGAFD1-GR INF205K01KR8 INVESCO INDIA ARBITRAGE FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
719 DSP154-GR INF740K01GK7 DSP STRATEGIC BOND FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
720 DS791-GR INF740K01QG4 DSP STRATEGIC BOND FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
721 HDFCMCOD-DP INF179K01CS0 HDFC MID-CAP OPPORTUNITIES FUND - IDCW PAYOUT OPTION 7.5 92.5 NORMAL No
722 HDFCMCOG-GR INF179K01CR2 HDFC MID-CAP OPPORTUNITIES FUND - GROWTH OPTION 7.5 92.5 NORMAL No
723 HDMCODT-DR INF179K01XO5 HDFC MID-CAP OPPORTUNITIES FUND - DIRECT PLAN - IDCW REINVESTMENT 7.5 92.5 DIRECT No
724 MCOGT-GR INF179K01XQ0 HDFC MID-CAP OPPORTUNITIES FUND - DIRECT PLAN - GROWTH OPTION 7.5 92.5 DIRECT No
725 BSL295G-GR INF209K01EN2 ADITYA BIRLA SUN LIFE SMALL CAP FUND GROWTH 7.5 92.5 NORMAL No
726 BS295D-DR INF209K01EO0 ADITYA BIRLA SUN LIFE SMALL CAP FUND IDCW REINVESTMENT 7.5 92.5 NORMAL No
727 BS295GZ-GR INF209K01WN4 ADITYA BIRLA SUN LIFE SMALL CAP FUND GROWTH-DIRECT PLAN 7.5 92.5 DIRECT No
728 BS295DZ-DP INF209K01WM6 ADITYA BIRLA SUN LIFE SMALL CAP FUND DIRECT PLAN-IDCW PAYOUT 7.5 92.5 DIRECT No
729 FR272P-DP INF090I01965 FRANKLIN INDIA FOCUSED EQUITY FUND-IDCW PAYOUT 7.5 92.5 NORMAL No
730 F273-GR INF090I01981 FRANKLIN INDIA FOCUSED EQUITY FUND-GROWTH 7.5 92.5 NORMAL No
731 FR481P-DP INF090I01IU6 FRANKLIN INDIA FOCUSED EQUITY FUND - DIRECT IDCW PAYOUT 7.5 92.5 DIRECT No
732 482-GR INF090I01IW2 FRANKLIN INDIA FOCUSED EQUITY FUND - DIRECT GROWTH 7.5 92.5 DIRECT No
733 LCLPDD-DP INF767K01519 LIC MF BANKING AND PSU DEBT FUND-REGULAR PLAN-DAILY DIVIDEND-IDCW PAYOUT 7.5 92.5 NORMAL No
734 LCLPGP-GR INF767K01535 LIC MF BANKING AND PSU DEBT FUND-REGULAR PLAN-GROWTH-GROWTH 7.5 92.5 NORMAL No
735 LCPWD-DP INF767K01568 LIC MF BANKING AND PSU DEBT FUND-REGULAR PLAN-WEEKLY DIVIDEND-IDCW PAYOUT 7.5 92.5 NORMAL No
736 LCLPG1-DGR INF767K01GI4 LIC MF BANKING AND PSU DEBT FUND-DIRECT PLAN-GROWTH-GROWTH 7.5 92.5 DIRECT No
737 K133DP-DP INF174K01328 KOTAK EQUITY ARBITRAGE FUND - REGULAR PLAN - MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
738 K179EA-GR INF174K01302 KOTAK EQUITY ARBITRAGE FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
739 KO189D-DP INF174K01LE2 KOTAK EQUITY ARBITRAGE FUND - DIRECT PLAN- MONTHLY IDCW PAYOUT 7.5 92.5 DIRECT No
740 KO179D-GR INF174K01LC6 KOTAK EQUITY ARBITRAGE FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
741 DSP157-GR INF740K01797 DSP SMALL CAP FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
742 DS357-DR INF740K01805 DSP SMALL CAP FUND - REGULAR PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
743 DS788-GR INF740K01QD1 DSP SMALL CAP FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
744 DS789-DP INF740K01QE9 DSP SMALL CAP FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
745 RGFGF-DP INF205K01262 INVESCO INDIA LARGE & MID CAP FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
746 RGFGF-GR INF205K01247 INVESCO INDIA LARGE & MID CAP FUND - GROWTH 7.5 92.5 NORMAL No
747 RGGFD2-DP INF205K01LY2 INVESCO INDIA LARGE & MID CAP FUND - DIRECT PLAN IDCW PAYOUT 7.5 92.5 DIRECT No
748 RGGFD1-GR INF205K01MA0 INVESCO INDIA LARGE & MID CAP FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
749 QUISDP-DP INF966L01507 QUANT INFRASTRUCTURE FUND REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
750 QUISGP-GR INF966L01523 QUANT INFRASTRUCTURE FUND REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
751 QUISD1-DP INF966L01705 QUANT INFRASTRUCTURE FUND DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
752 QUISDG-GR INF966L01721 QUANT INFRASTRUCTURE FUND DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
753 RGF-AIRG-GR INF205K01RM4 INVESCO INDIA CORPORATE BOND FUND - GROWTH 7.5 92.5 NORMAL No
754 RGAID1-GR INF205K01RF8 INVESCO INDIA CORPORATE BOND FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
755 EARG INF204K01562 NIPPON INDIA LARGE CAP FUND - GROWTH PLAN - GROWTH 7.5 92.5 NORMAL No
756 EARD-DP INF204K01539 NIPPON INDIA LARGE CAP FUND - DIVIDEND PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
757 EARB INF204K01554 NIPPON INDIA LARGE CAP FUND - GROWTH PLAN - BONUS OPTION - BONUS 7.5 92.5 NORMAL No
758 EAAG-GR INF204K01XI3 NIPPON INDIA LARGE CAP FUND DIRECT PLAN GROWTH PLAN GROWTH 7.5 92.5 DIRECT No
759 EAAD-DP INF204K01XG7 NIPPON INDIA LARGE CAP FUND DIRECT PLAN DIVIDEND PLAN IDCW PAYOUT 7.5 92.5 DIRECT No
760 RGFEF-DP INF205K01239 INVESCO INDIA BALANCED ADVANTAGE FUND - REGULAR PLAN IDCW PAYOUT 7.5 92.5 NORMAL No
761 RGFEF-GR INF205K01213 INVESCO INDIA BALANCED ADVANTAGE FUND - REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
762 RGEFD2-DP INF205K01LL9 INVESCO INDIA BALANCED ADVANTAGE FUND - DIRECT PLAN IDCW PAYOUT 7.5 92.5 DIRECT No
763 RGEFD1-GR INF205K01LN5 INVESCO INDIA BALANCED ADVANTAGE FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
764 CATADG-GR INF760K01GM1 CANARA ROBECO ULTRA SHORT TERM FUND DIRECT GROWTH 7.5 92.5 DIRECT No
765 CRTASG-GR INF760K01DC9 CANARA ROBECO ULTRA SHORT TERM FUND REGULAR GROWTH 7.5 92.5 NORMAL No
766 S93P-DP INF903J01EY9 SUNDARAM GLOBAL BRAND FUND IDCW PAYOUT 7.5 92.5 NORMAL No
767 S94-GR INF903J01EX1 SUNDARAM GLOBAL BRAND FUND GROWTH 7.5 92.5 NORMAL No
768 SU94DG-GR INF903J01OB6 SUNDARAM GLOBAL BRAND FUND DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
769 UTISTINCME-DP INF789F01AH3 UTI SHORT TERM INCOME FUND-DISCONTINUED REGULAR QUARTERLY IDCW PAYOUT 7.5 92.5 NORMAL No
770 UTISTINCME-GR INF789F01AJ9 UTI SHORT TERM INCOME FUND-DISCONTINUED REGULAR REGULAR GROWTH 7.5 92.5 NORMAL No
771 UTISTIGG-GR INF789F01QA4 UTI SHORT DURATION FUND-REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
772 UTSTAID-DP INF789FA1Q91 UTI SHORT DURATION FUND-REGULAR PLAN ANNUAL-IDCW PAYOUT 7.5 92.5 NORMAL No
773 UTISTIMD-DP INF789F01QB2 UTI SHORT DURATION FUND-REGULAR PLAN MONTHLY-IDCW PAYOUT 7.5 92.5 NORMAL No
774 UTIILF-GR INF789F01CE6 UTI INDIA CONSUMER FUND - GROWTH 7.5 92.5 NORMAL No
775 UTIILF-DP INF789F01CF3 UTI INDIA CONSUMER FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
776 K143-GR INF174K01DV3 KOTAK GLOBAL EMERGING MARKET FUND GROWTH 7.5 92.5 NORMAL No
777 K153DP-DP INF174K01DX9 KOTAK GLOBAL EMERGING MARKET FUND IDCW PAYOUT 7.5 92.5 NORMAL No
778 KO143D-GR INF174K01LW4 KOTAK GLOBAL EMERGING MARKET FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
779 DSP179-GR INF740K01250 DSP WORLD GOLD FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
780 DS758-GR INF740K01OZ9 DSP WORLD GOLD FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
781 DS759-DP INF740K01PA9 DSP WORLD GOLD FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
782 RGFISDP-DP INF205K01CE3 INVESCO INDIA INFRASTRUCTURE FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
783 RGFISGP-GR INF205K01CD5 INVESCO INDIA INFRASTRUCTURE FUND - GROWTH 7.5 92.5 NORMAL No
784 RGISD2-DP INF205K01MB8 INVESCO INDIA INFRASTRUCTURE FUND - DIRECT PLAN IDCW PAYOUT 7.5 92.5 DIRECT No
785 RGISD1-GR INF205K01MD4 INVESCO INDIA INFRASTRUCTURE FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
786 HDAFWG-GR INF179K01343 HDFC ARBITRAGE FUND-WHOLESALE PLAN - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
787 HDAFWDQ-DP INF179KA1KM1 HDFC ARBITRAGE FUND-WHOLESALE PLAN - REGULAR PLAN - NORMAL IDCW PAYOUT 7.5 92.5 NORMAL No
788 AFRG INF179K01319 HDFC ARBITRAGE FUND - RETAIL PLAN - GROWTH OPTION 7.5 92.5 NORMAL No
789 AFRDQ-DP INF179K01327 HDFC ARBITRAGE FUND - RETAIL PLAN - QUARTERLY IDCW PAYOUT OPTION 7.5 92.5 NORMAL No
790 HDAFWDM-DP INF179KA1KO7 HDFC ARBITRAGE FUND-WHOLESALE PLAN - REGULAR PLAN - MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
791 HDAFWGT-GR INF179KA1KT6 HDFC ARBITRAGE FUND-WHOLESALE PLAN - DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
792 HDAFWDT-DP INF179KA1KQ2 HDFC ARBITRAGE FUND - WHOLESALE PLAN - NORMAL DIVIDEND- DIRECT PLAN-IDCW PAYOUT 7.5 92.5 DIRECT No
793 HDAFWMT-DP INF179KA1KS8 HDFC ARBITRAGE FUND - WHOLESALE PLAN -MONTHLY DIVIDEND - DIRECT PLAN-IDCW PAYOUT 7.5 92.5 DIRECT No
794 ICICI1024P-DP INF109K01FA8 ICICI PRUDENTIAL SMALLCAP FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
795 INASIA-RETAIL INF109K01BI0 ICICI PRUDENTIAL SMALLCAP FUND - GROWTH 7.5 92.5 NORMAL No
796 8034-GR INF109K015M0 ICICI PRUDENTIAL SMALLCAP FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
797 8035P-DP INF109K013M5 ICICI PRUDENTIAL SMALLCAP FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
798 HDISWDD-DR INF179K01699 HDFC FLOATING RATE DEBT FUND - WHOLESALE OPTION - REGULAR PLAN - IDCW REINVESTMENT - DAILY 7.5 REINVESTMENT 92.5 NORMAL No
799 HDFCISWDM-DP INF179K01715 HDFC FLOATING RATE DEBT FUND - WHOLESALE OPTION - REGULAR PLAN - IDCW QUARTERLY PAYOUT7.5 92.5 NORMAL No
800 HDFCISWG-GR INF179K01707 HDFC FLOATING RATE DEBT FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
801 ISWGT-GR INF179K01VQ4 HDFC FLOATING RATE DEBT FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
802 B297D-DP INF209K01512 ADITYA BIRLA SUN LIFE INTERNATIONAL EQUITY FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
803 B297G INF209K01520 ADITYA BIRLA SUN LIFE INTERNATIONAL EQUITY FUND - GROWTH 7.5 92.5 NORMAL No
804 BS297DZ-DP INF209K01Q89 ADITYA BIRLA SUN LIFE INTERNATIONAL EQUITY FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
805 BS297GZ-GR INF209K01WS3 ADITYA BIRLA SUN LIFE INTERNATIONAL EQUITY FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
806 FR303P-DP INF090I01999 FRANKLIN ASIAN EQUITY FUND-IDCW PAYOUT 7.5 92.5 NORMAL No
807 F304-GR INF090I01AB3 FRANKLIN ASIAN EQUITY FUND-GROWTH 7.5 92.5 NORMAL No
808 484-GR INF090I01IZ5 FRANKLIN ASIAN EQUITY FUND - DIRECT GROWTH 7.5 92.5 DIRECT No
809 RGFMSDP-DP INF205K01DO0 INVESCO INDIA MULTICAP FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
810 RGFMSGR-GR INF205K01DN2 INVESCO INDIA MULTICAP FUND - GROWTH 7.5 92.5 NORMAL No
811 RGMSD2-DP INF205K01MQ6 INVESCO INDIA MULTICAP FUND - DIRECT PLAN IDCW PAYOUT 7.5 92.5 DIRECT No
812 RGMSD1-GR INF205K01MS2 INVESCO INDIA MULTICAP FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
Approved Securities List for the Month of April 2024
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
813 CRDP-DP INF192K01551 JM FOCUSED FUND - IDCW PAYOUT OPTION collateral margin of Rs. 7.5 92.5 NORMAL No
814 CRGP-GR INF192K01577 JM FOCUSED FUND - GROWTH OPTION 7.5 92.5 NORMAL No
815 CRDG-GR INF192K01BW7 JM FOCUSED FUND DIRECT - GROWTH OPTION 7.5 92.5 DIRECT No
816 HDFCINFG-GR INF179K01GF8 HDFC INFRASTRUCTURE FUND - GROWTH OPTION 7.5 92.5 NORMAL No
817 HDFCINFD-DP INF179K01GE1 HDFC INFRASTRUCTURE FUND - IDCW PAYOUT OPTION 7.5 92.5 NORMAL No
818 HDINFDT-DR INF179K01WP4 HDFC INFRASTRUCTURE FUND - DIRECT PLAN - IDCW REINVESTMENT 7.5 92.5 DIRECT No
819 INFGT-DP INF179K01WQ2 HDFC INFRASTRUCTURE FUND - DIRECT PLAN - GROWTH OPTION 7.5 92.5 DIRECT No
820 MAFIORG-GR INF769K01010 MIRAE ASSET LARGE CAP FUND - REGULAR - GROWTH 7.5 92.5 NORMAL No
821 MAFIORD-DP INF769K01036 MIRAE ASSET LARGE CAP FUND - REGULAR - IDCW PAYOUT 7.5 92.5 NORMAL No
822 MAFIOD1-GR INF769K01AX2 MIRAE ASSET LARGE CAP FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
823 MAFIOD2-DP INF769K01AY0 MIRAE ASSET LARGE CAP FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
824 MAFLPD1-GR INF769K01BO9 MIRAE ASSET LOW DURATION FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
825 MAFLPIG-GR INF769K01937 MIRAE ASSET LOW DURATION FUND - REGULAR SAVINGS PLAN - GROWTH PLAN 7.5 92.5 NORMAL No
826 LCIRGP-GR INF767K01501 LIC MF INFRASTRUCTURE FUND-GROWTH-GROWTH 7.5 92.5 NORMAL No
827 LCIRDP-DP INF767K01485 LIC MF INFRASTRUCTURE FUND-DIVIDEND-IDCW PAYOUT 7.5 92.5 NORMAL No
828 LCIRG1-DGR INF767K01GW5 LIC MF INFRASTRUCTURE FUND-DIRECT - GROWTH PLAN-GROWTH 7.5 92.5 DIRECT No
829 HSEMFG-GR INF336L01446 HSBC GLOBAL EMERGING MARKETS FUND - GROWTH 7.5 92.5 NORMAL No
830 HSEMFDP-DP INF336L01438 HSBC GLOBAL EMERGING MARKETS FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
831 HSHEMFG-GR INF336L01CJ3 HSBC GLOBAL EMERGING MARKETS FUND - GROWTH DIRECT PLAN 7.5 92.5 DIRECT No
832 BS296D-DR INF209K01LE6 ADITYA BIRLA SUN LIFE PURE VALUE FUND - IDCW REINVESTMENT 7.5 92.5 NORMAL No
833 BSL296G-GR INF209K01LF3 ADITYA BIRLA SUN LIFE PURE VALUE FUND - GROWTH 7.5 92.5 NORMAL No
834 BS296DZ-DP INF209K01WP9 ADITYA BIRLA SUN LIFE PURE VALUE FUND - DIRECT PLAN-IDCW PAYOUT 7.5 92.5 DIRECT No
835 BS296GZ-GR INF209K01WQ7 ADITYA BIRLA SUN LIFE PURE VALUE FUND - GROWTH-DIRECT PLAN 7.5 92.5 DIRECT No
836 DSP232-GR INF740K01060 DSP NATURAL RESOURCES AND NEW ENERGY FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
837 DS233-DR INF740K01045 DSP NATURAL RESOURCES AND NEW ENERGY FUND - REGULAR PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
838 DS785-GR INF740K01QA7 DSP NATURAL RESOURCES AND NEW ENERGY FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
839 DS786-DP INF740K01QB5 DSP NATURAL RESOURCES AND NEW ENERGY FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
840 QPRG INF204K01760 NIPPON INDIA QUANT FUND- GROWTH PLAN - GROWTH OPTION 7.5 92.5 NORMAL No
841 QPRD-DP INF204K01745 NIPPON INDIA QUANT FUND- DIVIDEND PLAN IDCW PAYOUT OPT 7.5 92.5 NORMAL No
842 QDPD-DP INF204K01J18 NIPPON INDIA QUANT FUND DIRECT PLAN DIVIDEND PLAN IDCW PAYOUT 7.5 92.5 DIRECT No
843 QDPG-GR INF204K01J34 NIPPON INDIA QUANT FUND DIRECT PLAN GROWTH PLAN GROWTH 7.5 92.5 DIRECT No
844 RGFBF-DP INF205K01171 INVESCO INDIA FINANCIAL SERVICES FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
845 RGFBF-GR INF205K01155 INVESCO INDIA FINANCIAL SERVICES FUND - GROWTH 7.5 92.5 NORMAL No
846 RGBFD1-GR INF205K01KY4 INVESCO INDIA FINANCIAL SERVICES FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
847 ICICI1192P-DP INF109K01EP9 ICICI PRUDENTIAL BLUECHIP FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
848 FOCUS-RET INF109K01BL4 ICICI PRUDENTIAL BLUECHIP FUND - GROWTH 7.5 92.5 NORMAL No
849 8043P-DP INF109K014L5 ICICI PRUDENTIAL BLUECHIP FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
850 8042-GR INF109K016L0 ICICI PRUDENTIAL BLUECHIP FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
851 197-GR INF174K01FA2 KOTAK DYNAMIC BOND FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
852 KO200-DP INF174K01IY6 KOTAK DYNAMIC BOND FUND - REGULAR PLAN - STANDARD - IDCW PAYOUT 7.5 92.5 NORMAL No
853 KO200DD-DP INF174K01JX6 KOTAK DYNAMIC BOND FUND - DIRECT PLAN - STANDARD - IDCW PAYOUT 7.5 92.5 DIRECT No
854 KO197D-GR INF174K01JU2 KOTAK DYNAMIC BOND FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
855 IDFC51-GR INF194K01SE5 BANDHAN ALL SEASONS BOND FUND -REGULAR PLAN- GROWTH OPTION 7.5 92.5 NORMAL No
856 D51-GR INF194K01U72 BANDHAN ALL SEASONS BOND FUND-DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
857 IDDQB-DR INF194K01QI0 BANDHAN DYNAMIC BOND FUND - QUARTERLY - IDCW REINVESTMENT 7.5 92.5 NORMAL No
858 IDFC205-GR INF194K01466 BANDHAN FOCUSED EQUITY FUND-REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
859 ID206-DR INF194K01474 BANDHAN FOCUSED EQUITY FUND-REGULAR PLAN-IDCW REINVESTMENT 7.5 92.5 NORMAL No
860 D205-GR INF194K01W21 BANDHAN FOCUSED EQUITY FUND-DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
861 D206-DP INF194K01W39 BANDHAN FOCUSED EQUITY FUND-DIRECT PLAN-IDCW PAYOUT 7.5 92.5 DIRECT No
862 IDFC203-GR INF194K01391 BANDHAN FLEXI CAP FUND - REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
863 ID204-DR INF194K01409 BANDHAN FLEXI CAP FUND - REGULAR PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
864 D204-DP INF194K01W70 BANDHAN FLEXI CAP FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
865 D203-GR INF194K01W62 BANDHAN FLEXI CAP FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
866 IDFC201-GR INF194K01524 BANDHAN CORE EQUITY FUND-REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
867 ID202-DR INF194K01532 BANDHAN CORE EQUITY FUND-REGULAR PLAN-IDCW REINVESTMENT 7.5 92.5 NORMAL No
868 D201-GR INF194K01V89 BANDHAN CORE EQUITY FUND-GROWTH-(DIRECT PLAN) 7.5 92.5 DIRECT No
869 D202-DP INF194K01V97 BANDHAN CORE EQUITY FUND (DIRECT PLAN)-IDCW PAYOUT 7.5 92.5 DIRECT No
870 IDFC65-GR INF194K01FU8 BANDHAN LOW DURATION FUND-REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
871 ID68-DR INF194K01FZ7 BANDHAN LOW DURATION FUND-MONTHLY-IDCW REINVESTMENT 7.5 92.5 NORMAL No
872 D65-GR INF194K01J77 BANDHAN LOW DURATION FUND-GROWTH-(DIRECT PLAN) 7.5 92.5 DIRECT No
873 D67-DR INF194K01K33 BANDHAN LOW DURATION FUND-WEEKLY IDCW REINVESTMENT-(DIRECT PLAN) 7.5 92.5 DIRECT No
874 IDSTF-DP INF194K01HK5 BANDHAN BOND FUND - SHORT TERM PLAN -FORTNIGHTLY-IDCW PAYOUT 7.5 92.5 NORMAL No
875 ID326-DP INF194KA12K7 BANDHAN BOND FUND - SHORT TERM PLAN- REGULAR PLAN- QUARTERLY IDCW PAYOUT 7.5 92.5 NORMAL No
876 IDD326-DP INF194KA18K4 BANDHAN BOND FUND - SHORT TERM PLAN- DIRECT PLAN- QUARTERLY IDCW PAYOUT 7.5 92.5 DIRECT No
877 IDDSTF-DP INF194K01U56 BANDHAN BOND FUND - SHORT TERM PLAN-FORTNIGHTLY (DIRECT PLAN)-IDCW PAYOUT 7.5 92.5 DIRECT No
878 DSTG-GR INF194K01U07 BANDHAN BOND FUND - SHORT TERM PLAN-GROWTH-(DIRECT PLAN) 7.5 92.5 DIRECT No
879 IDMTM-DR INF194K01KC6 BANDHAN BOND FUND - MEDIUM TERM PLAN - MONTHLY - IDCW REINVESTMENT 7.5 92.5 NORMAL No
880 IDFCMTG-GR INF194K01JU0 BANDHAN BOND FUND - MEDIUM TERM PLAN-REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
881 ID259-DR INF194K01JZ9 BANDHAN BOND FUND - MEDIUM TERM PLAN - QUARTERLY - IDCW REINVESTMENT 7.5 92.5 NORMAL No
882 IDD291-DP INF194KA1TD2 BANDHAN BOND FUND - MEDIUM TERM PLAN - PERIODIC (DIRECT PLAN)-IDCW PAYOUT 7.5 92.5 DIRECT No
883 DMTG-GR INF194K01S50 BANDHAN BOND FUND - MEDIUM TERM PLAN - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
884 IDSSD-DR INF194K01IT4 BANDHAN BOND FUND - LONG TERM PLAN - REGULAR PLAN - QUARTERLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
885 IDFCSSG-GR INF194K01IL1 BANDHAN BOND FUND - LONG TERM PLAN-REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
886 IDSTD-DR INF194K01HH1 BANDHAN BOND FUND - SHORT TERM PLAN-MONTHLY-IDCW REINVESTMENT 7.5 92.5 NORMAL No
887 IDFCSTG-GR INF194K01HF5 BANDHAN BOND FUND - SHORT TERM PLAN -REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
888 DSSG-GR INF194K01R51 BANDHAN BOND FUND - LONG TERM PLAN - GROWTH - DIRECT PLAN 7.5 92.5 DIRECT No
889 IDFC207-GR INF194K01516 BANDHAN LARGE CAP FUND-REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
890 ID208-DR INF194K01490 BANDHAN LARGE CAP FUND-REGULAR PLAN-IDCW REINVESTMENT 7.5 92.5 NORMAL No
891 D208-DP INF194K01Z51 BANDHAN LARGE CAP FUND (DIRECT PLAN)-IDCW PAYOUT 7.5 92.5 DIRECT No
892 D207-GR INF194K01Z44 BANDHAN LARGE CAP FUND-GROWTH-(DIRECT PLAN) 7.5 92.5 DIRECT No
893 IDFC209-GR INF194K01649 BANDHAN ARBITRAGE FUND-REGULAR PLAN- GROWTH 7.5 92.5 NORMAL No
894 ID210-DR INF194K01656 BANDHAN ARBITRAGE FUND REGULAR MONTHLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
895 D209-GR INF194K01Y60 BANDHAN ARBITRAGE FUND-GROWTH-(DIRECT PLAN) 7.5 92.5 DIRECT No
896 D210-DP INF194K01Y78 BANDHAN ARBITRAGE FUND-MONTHLY (DIRECT PLAN)-IDCW PAYOUT 7.5 92.5 DIRECT No
897 ID216-DR INF194K01359 BANDHAN STERLING VALUE FUND-REGULAR PLAN-IDCW REINVESTMENT 7.5 92.5 NORMAL No
898 IDFC215-GR INF194K01342 BANDHAN STERLING VALUE FUND-REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
899 D216-DP INF194K01Z93 BANDHAN STERLING VALUE FUND (DIRECT PLAN)-IDCW PAYOUT 7.5 92.5 DIRECT No
900 D215-GR INF194K01Z85 BANDHAN STERLING VALUE FUND-GROWTH-(DIRECT PLAN) 7.5 92.5 DIRECT No
901 ID218-DR INF194K01599 BANDHAN EQUITY SAVINGS FUND REGULAR MONTHLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
902 IDFC217-GR INF194K01581 BANDHAN EQUITY SAVINGS FUND-REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
903 D218-DP INF194K01Z10 BANDHAN EQUITY SAVINGS FUND-DIRECT PLAN-MONTHLY IDCW PAYOUT 7.5 92.5 DIRECT No
904 D217-GR INF194K01Z02 BANDHAN EQUITY SAVINGS FUND-DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
905 SBNP97P-DP INF903J01603 SUNDARAM FINANCIAL SERVICES OPPORTUNITIES FUND - REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
906 SBNP98-GR INF903J01629 SUNDARAM FINANCIAL SERVICES OPPORTUNITIES FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
907 SU98PD-GR INF903J01NB8 SUNDARAM FINANCIAL SERVICES OPPORTUNITIES FUND DIRECT GROWTH 7.5 92.5 DIRECT No
908 BAFTFRG-GR INF761K01298 BANK OF INDIA ULTRA SHORT DURATION FUND REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
909 TFRDR-DR INF761K01CW7 BANK OF INDIA ULTRA SHORT DURATION FUND - REGULAR PLAN - DAILY IDCW REINVESTMENT 7.5 92.5 NORMAL No
910 BXBA081-GR INF761K01892 BANK OF INDIA ULTRA SHORT DURATION FUND DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
911 QULSGP-GR INF966L01374 QUANT FOCUSED FUND REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
912 QULSDG-GR INF966L01853 QUANT FOCUSED FUND DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
913 QULSD1-DP INF966L01838 QUANT FOCUSED FUND DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
914 BAFIN INF109K01BU5 ICICI PRUDENTIAL BANKING AND FINANCIAL SERVICES FUND - GROWTH 7.5 92.5 NORMAL No
915 BAFIN-DP INF109K01DY3 ICICI PRUDENTIAL BANKING AND FINANCIAL SERVICES FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
916 8044-GR INF109K013J1 ICICI PRUDENTIAL BANKING AND FINANCIAL SERVICES FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
917 8045P-DP INF109K011J5 ICICI PRUDENTIAL BANKING AND FINANCIAL SERVICES FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
918 MSGP-GR INF192K01635 JM FLEXICAP FUND - GROWTH OPTION 7.5 92.5 NORMAL No
919 MSDP-DP INF192K01619 JM FLEXICAP FUND - IDCW PAYOUT OPTION 7.5 92.5 NORMAL No
920 MSDG-GR INF192K01CC7 JM FLEXICAP FUND (DIRECT) - GROWTH OPTION 7.5 92.5 DIRECT No
921 ICICI1262-GR INF109K01BO8 ICICI PRUDENTIAL BOND FUND - GROWTH 7.5 92.5 NORMAL No
922 ICICI1263P-DP-M INF109K01EU9 ICICI PRUDENTIAL BOND FUND - MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
923 8050P-DP INF109K01V75 ICICI PRUDENTIAL BOND FUND - DIRECT PLAN - QUARTERLY IDCW PAYOUT 7.5 92.5 DIRECT No
924 8048-GR INF109K01V83 ICICI PRUDENTIAL BOND FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
925 IC2527P-DP INF109KA1X51 ICICI PRUDENTIAL BOND FUND - HALF YEARLY IDCW PAYOUT 7.5 92.5 NORMAL No
Approved Securities List for the Month of April 2024
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
926 QUPEGP-GR INF966L01457 QUANT FLEXI CAP FUND REGULAR PLAN - GROWTH collateral margin of Rs. 7.5 92.5 NORMAL No
927 QUPEDP-DP INF966L01432 QUANT FLEXI CAP FUND REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
928 QUPED1-DP INF966L01895 QUANT FLEXI CAP FUND DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
929 QUPEDG-GR INF966L01911 QUANT FLEXI CAP FUND DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
930 BAFEFRQ-DP-Q INF761K01116 BANK OF INDIA LARGE AND MID CAP EQUITY FUND REGULAR PLAN - QUARTERLY IDCW PAYOUT 7.5 92.5 NORMAL No
931 BAFEFRG-GR INF761K01108 BANK OF INDIA LARGE AND MID CAP EQUITY FUND REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
932 BAFEFRD-DP INF761K01082 BANK OF INDIA LARGE AND MID CAP EQUITY FUND REGULAR PLAN - REGULAR IDCW PAYOUT 7.5 92.5 NORMAL No
933 BXBA063-GR INF761K01652 BANK OF INDIA LARGE AND MID CAP EQUITY FUND DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
934 IDFC82-GR INF194K01QG4 BANDHAN DYNAMIC BOND FUND-REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
935 D82-GR INF194K01N63 BANDHAN DYNAMIC BOND FUND-GROWTH-(DIRECT PLAN) 7.5 92.5 DIRECT No
936 BAFIFRG-GR INF761K01579 BANK OF INDIA SHORT TERM INCOME FUNDREGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
937 BXBA068-GR INF761K01736 BANK OF INDIA SHORT TERM INCOME FUNDDIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
938 UTW2GP-GR INF789F01AP6 UTI MULTI ASSET ALLOCATION FUND -REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
939 UTW2DP-DP INF789F01AN1 UTI MULTI ASSET ALLOCATION FUND - REGULAR PLAN-IDCW PAYOUT 7.5 92.5 NORMAL No
940 BAFRRRG-GR INF761K01462 BANK OF INDIA CONSERVATIVE HYBRID FUND REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
941 BXBA075-GR INF761K01819 BANK OF INDIA CONSERVATIVE HYBRID FUND DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
942 RMFLPIB-GR INF204K01EW4 NIPPON INDIA LOW DURATION FUND - BONUS PLAN BONUS OPTION 7.5 92.5 NORMAL No
943 RC353-DR INF204K01EX2 NIPPON INDIA LOW DURATION FUND - DAILY IDCW REINVESTMENT 7.5 92.5 NORMAL No
944 RELMMF-GR INF204K01EN3 NIPPON INDIA LOW DURATION FUND - RETAIL OPTION - GROWTH PLAN 7.5 92.5 NORMAL No
945 LDPB-GR INF204K01G03 NIPPON INDIA LOW DURATION FUND - DIRECT BONUS PLAN BONUS OPTION 7.5 92.5 DIRECT No
946 RLPADR-DR INF204K01ZV1 NIPPON INDIA LOW DURATION FUND - DAILY DIRECT IDCW REINVESTMENT 7.5 92.5 DIRECT No
947 LDPQ-DP INF204K01ZZ2 NIPPON INDIA LOW DURATION FUND - DIRECT QUARTERLY IDCW PLAN PAYOUT 7.5 92.5 DIRECT No
948 RLLPAWD-DP INF204K01A17 NIPPON INDIA LOW DURATION FUND - DIRECT WEEKLY IDCW PLAN PAYOUT 7.5 92.5 DIRECT No
949 LDPG-GR INF204K01ZU3 NIPPON INDIA LOW DURATION FUND - DIRECT GROWTH PLAN GROWTH OPTION 7.5 92.5 DIRECT No
950 RMFLPIM-DP INF204K01EZ7 NIPPON INDIA LOW DURATION FUND - MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
951 RMFLPIG-GR INF204K01EV6 NIPPON INDIA LOW DURATION FUND - GROWTH PLAN GROWTH OPTION 7.5 92.5 NORMAL No
952 RC361-DP INF204K01OO0 NIPPON INDIA LOW DURATION FUND - WEEKLY IDCW PLAN PAYOUT 7.5 92.5 NORMAL No
953 TMFEFGP-GR INF044D01864 TAURUS ETHICAL FUND GROWTH 7.5 92.5 NORMAL No
954 TMFEFDP-DP INF044D01831 TAURUS ETHICAL FUND IDCW PAYOUT 7.5 92.5 NORMAL No
955 TREFG1-GR INF044D01CJ0 TAURUS ETHICAL FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
956 TREFD1-DP INF044D01CK8 TAURUS ETHICAL FUND - DIRECT PLAN IDCW PAYOUT 7.5 92.5 DIRECT No
957 B303G INF209K01603 ADITYA BIRLA SUN LIFE MEDIUM TERM PLAN - GROWTH 7.5 92.5 NORMAL No
958 303WD-DP INF209K01637 ADITYA BIRLA SUN LIFE MEDIUM TERM PLAN-REGULAR PLAN-QUARTERLY IDCW PAYOUT 7.5 92.5 NORMAL No
959 B303FD-DP INF209K01595 ADITYA BIRLA SUN LIFE MEDIUM TERM PLAN - HALF YEARLY IDCW PAYOUT 7.5 92.5 NORMAL No
960 B303MD-DP INF209K01611 ADITYA BIRLA SUN LIFE MEDIUM TERM PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
961 BS303MZ-DP INF209KA1KO1 ADITYA BIRLA SUN LIFE MEDIUM TERM PLAN - DIRECT PLAN-IDCW PAYOUT 7.5 92.5 DIRECT No
962 BS303GZ-GR INF209K01XA9 ADITYA BIRLA SUN LIFE MEDIUM TERM PLAN - GROWTH-DIRECT PLAN 7.5 92.5 DIRECT No
963 BS303WZ-DP INF209KA1KP8 ADITYA BIRLA SUN LIFE MEDIUM TERM PLAN - QUARTERLY DIRECT PLAN-IDCW PAYOUT 7.5 92.5 DIRECT No
964 EDELEGADD-DP INF754K01012 EDELWEISS LARGE CAP FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
965 EDELEGAGG-GR INF754K01046 EDELWEISS LARGE CAP FUND - GROWTH OPTION 7.5 92.5 NORMAL No
966 EGDG-GR INF754K01BW4 EDELWEISS LARGE CAP FUND - DIRECT PLAN GROWTH OPTION 7.5 92.5 DIRECT No
967 TARGET INF109K01BZ4 ICICI PRUDENTIAL FOCUSED EQUITY FUND - GROWTH 7.5 92.5 NORMAL No
968 IC1452P-DP INF109K01FM3 ICICI PRUDENTIAL FOCUSED EQUITY FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
969 8073-GR INF109K018N2 ICICI PRUDENTIAL FOCUSED EQUITY FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
970 8074P-DP INF109K016N6 ICICI PRUDENTIAL FOCUSED EQUITY FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
971 CRDBGP-GR INF760K01449 CANARA ROBECO DYNAMIC BOND FUND REGULAR GROWTH 7.5 92.5 NORMAL No
972 CADBDG-GR INF760K01EC7 CANARA ROBECO DYNAMIC BOND FUNDDIRECT GROWTHGROWTH 7.5 92.5 DIRECT No
973 8082P-DP INF109K017B9 ICICI PRUDENTIAL CORPORATE BOND FUND - DIRECT PLAN - MONTHLY IDCW PAYOUT 7.5 92.5 DIRECT No
974 ICICI1481P-DP INF109K01SK0 ICICI PRUDENTIAL CORPORATE BOND FUND - MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
975 ICICI1482P-DP INF109K01SN4 ICICI PRUDENTIAL CORPORATE BOND FUND - QUARTERLY IDCW PAYOUT 7.5 92.5 NORMAL No
976 8078-GR INF109K016B1 ICICI PRUDENTIAL CORPORATE BOND FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
977 8083P-DP INF109K019B5 ICICI PRUDENTIAL CORPORATE BOND FUND - DIRECT PLAN - QUARTERLY IDCW PAYOUT 7.5 92.5 DIRECT No
978 ICICI1477-GR INF109K01CQ1 ICICI PRUDENTIAL CORPORATE BOND FUND - GROWTH 7.5 92.5 NORMAL No
979 EDELENAGG-GR INF754K01202 EDELWEISS AGGRESSIVE HYBRID FUND - GROWTH PLAN 7.5 92.5 NORMAL No
980 EDELENADD-DP INF754K01178 EDELWEISS AGGRESSIVE HYBRID FUND - IDCW PAYOUT PLAN 7.5 92.5 NORMAL No
981 ENDG-GR INF754K01CE0 EDELWEISS AGGRESSIVE HYBRID FUND - DIRECT GROWTH 7.5 92.5 DIRECT No
982 QMFFE-DP INF082J01101 QUANTUM EQUITY FUND OF FUNDS - DIRECT PLAN IDCW PAYOUT OPTION 7.5 92.5 DIRECT No
983 QMFFE-GR INF082J01093 QUANTUM EQUITY FUND OF FUNDS - DIRECT PLAN GROWTH OPTION 7.5 92.5 DIRECT No
984 QTFERG-GR INF082J01275 QUANTUM EQUITY FUND OF FUNDS - REGULAR PLAN GROWTH OPTION 7.5 92.5 NORMAL No
985 B205RD-DP INF209K01256 ADITYA BIRLA SUN LIFE ARBITRAGE FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
986 B205RG INF209K01264 ADITYA BIRLA SUN LIFE ARBITRAGE FUND - GROWTH 7.5 92.5 NORMAL No
987 BS205DZ-DP INF209K01P80 ADITYA BIRLA SUN LIFE ARBITRAGE FUND - DIRECT PLAN-IDCW PAYOUT 7.5 92.5 DIRECT No
988 BS205GZ-GR INF209K01VP1 ADITYA BIRLA SUN LIFE ARBITRAGE FUND - GROWTH-DIRECT PLAN 7.5 92.5 DIRECT No
989 K178DP-DP INF174K01351 KOTAK FLEXICAP FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
990 K168SF-GR INF174K01336 KOTAK FLEXICAP FUND - GROWTH 7.5 92.5 NORMAL No
991 KO178DD-DP INF174K01LQ6 KOTAK FLEXICAP FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
992 KO168D-GR INF174K01LS2 KOTAK FLEXICAP FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
993 F387-GR INF090I01AE7 FRANKLIN BUILD INDIA FUND-GROWTH 7.5 92.5 NORMAL No
994 FR386P-DP INF090I01AC1 FRANKLIN BUILD INDIA FUND-IDCW PAYOUT 7.5 92.5 NORMAL No
995 FR488P-DP INF090I01JD0 FRANKLIN BUILD INDIA FUND - DIRECT IDCW PAYOUT 7.5 92.5 DIRECT No
996 489-GR INF090I01JF5 FRANKLIN BUILD INDIA FUND - DIRECT GROWTH 7.5 92.5 DIRECT No
997 RGFBL-GR INF205K01304 INVESCO INDIA LARGECAP FUND - GROWTH 7.5 92.5 NORMAL No
998 RGFBL-DP INF205K01320 INVESCO INDIA LARGECAP FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
999 RGBLD1-GR INF205K01LB0 INVESCO INDIA LARGECAP FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
1000 RGBLD2-DP INF205K01KZ1 INVESCO INDIA LARGECAP FUND - DIRECT PLAN IDCW PAYOUT 7.5 92.5 DIRECT No
1001 EDELARGPG-GR INF754K01285 EDELWEISS BALANCED ADVANTAGE FUND - GROWTH OPTION 7.5 92.5 NORMAL No
1002 EDELARDPD-DP INF754K01251 EDELWEISS BALANCED ADVANTAGE FUND - QUARTERLY IDCW PAYOUT 7.5 92.5 NORMAL No
1003 ARDD-DP INF754K01BP8 EDELWEISS BALANCED ADVANTAGE FUND - DIRECT PLAN QUARTERLY IDCW PAYOUT 7.5 92.5 DIRECT No
1004 ARDG-GR INF754K01BS2 EDELWEISS BALANCED ADVANTAGE FUND - DIRECT PLAN GROWTH OPTION 7.5 92.5 DIRECT No
1005 EDARMD-DP INF754K01IH0 EDELWEISS BALANCED ADVANTAGE FUND-DIRECT PLAN MONTHLY IDCW PAYOUT 7.5 92.5 DIRECT No
1006 EDARMR-DP INF754K01IK4 EDELWEISS BALANCED ADVANTAGE FUND-REGULAR PLAN MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
1007 DSP333-GR INF740K01284 DSP WORLD ENERGY FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
1008 DS334-DR INF740K01292 DSP WORLD ENERGY FUND - REGULAR PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
1009 DS761-GR INF740K01PC5 DSP WORLD ENERGY FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
1010 CRCFGP-GR INF760K01241 CANARA ROBECO CONSUMER TRENDS FUND REGULAR GROWTH 7.5 92.5 NORMAL No
1011 CRCFDP-DP INF760K01225 CANARA ROBECO CONSUMER TRENDS FUND REGULAR - IDCW PAYOUT 7.5 92.5 NORMAL No
1012 CACFDG-GR INF760K01DU1 CANARA ROBECO CONSUMER TRENDS FUND DIRECTGROWTH 7.5 92.5 DIRECT No
1013 CACFDD-DP INF760K01DS5 CANARA ROBECO CONSUMER TRENDS FUND DIRECT - IDCW PAYOUT 7.5 92.5 DIRECT No
1014 RGFPS-GR INF205K01338 INVESCO INDIA PSU EQUITY FUND - GROWTH 7.5 92.5 NORMAL No
1015 RGFPS-DP INF205K01353 INVESCO INDIA PSU EQUITY FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
1016 RGPSD1-GR INF205K01NG5 INVESCO INDIA PSU EQUITY FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
1017 AXFTAGP-GR INF846K01537 AXIS TREASURY ADVANTAGE FUND - REGULAR GROWTH 7.5 92.5 NORMAL No
1018 AXFTADD-DR-D INF846K01545 AXIS TREASURY ADVANTAGE FUND - REGULAR DAILY IDCW REINVESTMENT 7.5 92.5 NORMAL No
1019 AXFTAWD-DP-W INF846K01552 AXIS TREASURY ADVANTAGE FUND - REGULAR WEEKLY IDCW PAYOUT 7.5 92.5 NORMAL No
1020 AXFTADP-DP-M INF846K01578 AXIS TREASURY ADVANTAGE FUND - RETAIL MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
1021 TADG-GR INF846K01EN1 AXIS TREASURY ADVANTAGE FUND - DIRECT GROWTH 7.5 92.5 DIRECT No
1022 TADR-DR INF846K01EQ4 AXIS TREASURY ADVANTAGE FUND - DIRECT PLAN - DAILY IDCW REINVESTMENT 7.5 92.5 DIRECT No
1023 AXFTARG-GR INF846K01479 AXIS TREASURY ADVANTAGE FUND - RETAIL GROWTH 7.5 92.5 NORMAL No
1024 AXEFDG-GR INF846K01DP8 AXIS BLUECHIP FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
1025 EFD1-DP INF846K01DN3 AXIS BLUECHIP FUND - DIRECT PLAN -IDCW PAYOUT 7.5 92.5 DIRECT No
1026 AXFEFGP-GR INF846K01164 AXIS BLUECHIP FUND - REGULAR GROWTH 7.5 92.5 NORMAL No
1027 AXFEFDP-DP INF846K01172 AXIS BLUECHIP FUND - REGULAR IDCW PAYOUT 7.5 92.5 NORMAL No
1028 DSP341-GR INF740K01730 DSP WORLD MINING FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
1029 DS342-DR INF740K01748 DSP WORLD MINING FUND - REGULAR PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
1030 DS764-GR INF740K01PF8 DSP WORLD MINING FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
1031 IDFCCP-GR INF194K01987 BANDHAN ASSET ALLOCATION FUND OF FUND-CONSERVATIVE PLAN-REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
1032 D237-GR INF194K016A9 BANDHAN ASSET ALLOCATION FUND OF FUND-CONSERVATIVE PLAN-DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
1033 IDFCMP-GR INF194K01AB9 BANDHAN ASSET ALLOCATION FUND OF FUND-MODERATE PLAN-REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
1034 ID240-DR INF194K01AC7 BANDHAN ASSET ALLOCATION FUND OF FUND-MODERATE PLAN-REGULAR PLAN-IDCW REINVESTMENT 7.5 92.5 NORMAL No
1035 D239-GR INF194K019A3 BANDHAN ASSET ALLOCATION FUND OF FUND-MODERATE PLAN-DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
1036 ID242-DR INF194K01961 BANDHAN ASSET ALLOCATION FUND OF FUND-AGGRESSIVE PLAN-REGULAR PLAN-IDCW REINVESTMENT 7.5 92.5 NORMAL No
1037 IDFCAP-GR INF194K01953 BANDHAN ASSET ALLOCATION FUND OF FUND-AGGRESSIVE PLAN-REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
1038 D241-GR INF194K012B6 BANDHAN ASSET ALLOCATION FUND OF FUNDS-AGGRESSIVE PLAN-GROWTH-(DIRECT PLAN) 7.5 92.5 DIRECT No
Approved Securities List for the Month of April 2024
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
1039 ICICI1587-GR INF109K01RT3 ICICI PRUDENTIAL BANKING AND PSU DEBT FUND - GROWTH collateral margin of Rs. 7.5 92.5 NORMAL No
1040 ICICI1839P-DP INF109K01YE1 ICICI PRUDENTIAL BANKING AND PSU DEBT FUND - QUARTERLY IDCW PAYOUT 7.5 92.5 NORMAL No
1041 8104-GR INF109K010A6 ICICI PRUDENTIAL BANKING AND PSU DEBT FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
1042 8132P-DP INF109K011A4 ICICI PRUDENTIAL BANKING AND PSU DEBT FUND - DIRECT PLAN - QUARTERLY IDCW PAYOUT 7.5 92.5 DIRECT No
1043 ID244-DR INF194K01RY5 BANDHAN REGULAR SAVINGS FUND - REGULAR - IDCW REINVESTMENT 7.5 92.5 NORMAL No
1044 IDFC243-GR INF194K01RW9 BANDHAN REGULAR SAVINGS FUND -REGULAR PLAN - GROWTH OPTION 7.5 92.5 NORMAL No
1045 ID264-DR INF194K01SB1 BANDHAN REGULAR SAVINGS FUND - QUARTERLY - IDCW REINVESTMENT 7.5 92.5 NORMAL No
1046 D243-GR INF194K015B9 BANDHAN REGULAR SAVINGS FUND-GROWTH-(DIRECT PLAN) 7.5 92.5 DIRECT No
1047 AXFSTGP-GR INF846K01644 AXIS SHORT TERM FUND - REGULAR GROWTH 7.5 92.5 NORMAL No
1048 AXFSTDP-DP-M INF846K01651 AXIS SHORT TERM FUND - REGULAR MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
1049 AXFSTWD-DP-W INF846K01677 AXIS SHORT TERM FUND - REGULAR WEEKLY IDCW PAYOUT 7.5 92.5 NORMAL No
1050 AXFSTRG-GR INF846K01594 AXIS SHORT TERM FUND - RETAIL GROWTH 7.5 92.5 NORMAL No
1051 AXSTRD-DP INF846K01RJ1 AXIS SHORT TERM FUND REGULAR IDCW PAYOUT 7.5 92.5 NORMAL No
1052 AXSTDG-GR INF846K01EI1 AXIS SHORT TERM FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
1053 STDM-DP INF846K01EJ9 AXIS SHORT TERM FUND - DIRECT PLAN - MONTHLY IDCW PAYOUT 7.5 92.5 DIRECT No
1054 BAFFIRG-GR INF761K01199 BANK OF INDIA MANUFACTURING AND INFRASTRUCTURE FUND - REGULAR - GROWTH 7.5 92.5 NORMAL No
1055 BAFFIRQ-DP-Q INF761K01231 BANK OF INDIA MANUFACTURING AND INFRASTRUCTURE FUND - REGULAR - QUARTERLY IDCW PAYOUT 7.5 92.5 NORMAL No
1056 BAFFIRD-DP INF761K01215 BANK OF INDIA MANUFACTURING AND INFRASTRUCTURE FUND - REGULAR - IDCW PAYOUT 7.5 92.5 NORMAL No
1057 BXBA065-DP INF761K01694 BANK OF INDIA MANUFACTURING AND INFRASTRUCTURE FUNDDIRECT REGULAR IDCW PAYOUT 7.5 92.5 DIRECT No
1058 BXBA066-GR INF761K01702 BANK OF INDIA MANUFACTURING AND INFRASTRUCTURE FUNDDIRECT GROWTH 7.5 92.5 DIRECT No
1059 SUNMIMAP-DP INF903J01HC8 SUNDARAM DEBT ORIENTED HYBRID FUND REGULAR HALF YEARLY IDCW PAYOUT 7.5 92.5 NORMAL No
1060 SUNMIGA-GR INF903J01HB0 SUNDARAM DEBT ORIENTED HYBRID FUND REGULAR GROWTH 7.5 92.5 NORMAL No
1061 SUMIGAD-GR INF903J01OP6 SUNDARAM DEBT ORIENTED HYBRID FUND DIRECT GROWTH 7.5 92.5 DIRECT No
1062 SUNMIQAP-DP INF903J01HD6 SUNDARAM DEBT ORIENTED HYBRID FUND REGULAR QUARTERLY IDCW PAYOUT 7.5 92.5 NORMAL No
1063 D258-DP INF194K013A6 BANDHAN NIFTY 50 INDEX FUND (DIRECT PLAN)-IDCW PAYOUT 7.5 92.5 DIRECT No
1064 IDFCNF-GR INF194K01920 BANDHAN NIFTY 50 INDEX FUND-REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
1065 ID258-DR INF194K01938 BANDHAN NIFTY 50 INDEX FUND-REGULAR PLAN-IDCW REINVESTMENT 7.5 92.5 NORMAL No
1066 D257-GR INF194K012A8 BANDHAN NIFTY 50 INDEX FUND-GROWTH-(DIRECT PLAN) 7.5 92.5 DIRECT No
1067 DSP349-GR INF740K01532 DSP FOCUS FUND - GROWTH 7.5 92.5 NORMAL No
1068 DS350-DR INF740K01540 DSP FOCUS FUND - IDCW REINVESTMENT 7.5 92.5 NORMAL No
1069 DS731-DP INF740K01OC8 DSP FOCUS FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
1070 DS730-GR INF740K01OB0 DSP FOCUS FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
1071 SBIPSU-DP INF200K01BD8 SBI PSU FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
1072 SBIPSU-GR INF200K01BC0 SBI PSU FUND - GROWTH 7.5 92.5 NORMAL No
1073 AXFISGP-GR INF846K01693 AXIS REGULAR SAVER FUND - REGULAR GROWTH OPTION 7.5 92.5 NORMAL No
1074 AXFISQD-DP-Q INF846K01701 AXIS REGULAR SAVER FUND - REGULAR QUARTERLY IDCW PAYOUT 7.5 92.5 NORMAL No
1075 ISDG-GR INF846K01EA8 AXIS REGULAR SAVER FUND - DIRECT PLAN - GROWTH OPTION 7.5 92.5 DIRECT No
1076 MAFEBRD-DP INF769K01127 MIRAE ASSET LARGE & MIDCAP FUND - REGULAR PLAN - IDCW PAYOUT OPTION 7.5 92.5 NORMAL No
1077 MAFEBRG-GR INF769K01101 MIRAE ASSET LARGE & MIDCAP FUND - REGULAR PLAN - GROWTH OPTION 7.5 92.5 NORMAL No
1078 MAFEBD1-GR INF769K01BI1 MIRAE ASSET LARGE & MIDCAP FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
1079 MAFEBD2-DP INF769K01BJ9 MIRAE ASSET LARGE & MIDCAP FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
1080 RELRSFB-GR INF204K01FW1 NIPPON INDIA EQUITY HYBRID FUND GROWTH PLAN 7.5 92.5 NORMAL No
1081 RELRSFB-DP INF204K01FX9 NIPPON INDIA EQUITY HYBRID FUND DIVIDEND PLAN IDCW PAYOUT OPTION 7.5 92.5 NORMAL No
1082 SHAD-DP INF204K01B16 NIPPON INDIA EQUITY HYBRID FUND DIRECT PLAN DIVIDEND PLAN IDCW PAYOUT 7.5 92.5 DIRECT No
1083 SHAG-GR INF204K01B08 NIPPON INDIA EQUITY HYBRID FUND DIRECT PLAN GROWTH OPTION 7.5 92.5 DIRECT No
1084 RELSHQD-DP INF204K013R8 NIPPON INDIA EQUITY HYBRID FUND QUARTERLY IDCW PAYOUT 7.5 92.5 NORMAL No
1085 RLSHAQ-DP INF204K011R2 NIPPON INDIA EQUITY HYBRID FUND DIRECT QUARTERLY IDCW PAYOUT PLAN 7.5 92.5 DIRECT No
1086 RLSHAM-DP INF204KB1BD7 NIPPON INDIA EQUITY HYBRID FUND DIRECT MONTHLY IDCW PAYOUT 7.5 92.5 DIRECT No
1087 RLSHMPD-DP INF204KB1BF2 NIPPON INDIA EQUITY HYBRID FUND DIVIDEND PLAN MONTHLTY IDCW PAYOUT 7.5 92.5 NORMAL No
1088 RELRSFD-GR INF204K01FQ3 NIPPON INDIA CREDIT RISK FUND - GROWTH PLAN 7.5 92.5 NORMAL No
1089 RELRSFD-DP INF204K01FR1 NIPPON INDIA CREDIT RISK FUND - QUARTERLY IDCW PLAN PAYOUT 7.5 92.5 NORMAL No
1090 SDAG-GR INF204K01A74 NIPPON INDIA CREDIT RISK FUND - DIRECT GROWTH PLAN GROWTH OPTION 7.5 92.5 DIRECT No
1091 TMFNIGP-GR INF044D01948 TAURUS NIFTY INDEX FUND GROWTH 7.5 92.5 NORMAL No
1092 TRNIG1-GR INF044D01CQ5 TAURUS NIFTY INDEX FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
1093 ICICI1615-GR INF109K01IF1 ICICI PRUDENTIAL NIFTY NEXT 50 INDEX FUND - GROWTH 7.5 92.5 NORMAL No
1094 ICICI1616P-DP INF109K01PR1 ICICI PRUDENTIAL NIFTY NEXT 50 INDEX FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
1095 8108P-DP INF109K01Y64 ICICI PRUDENTIAL NIFTY NEXT 50 INDEX FUND- DIRECT IDCW PAYOUT 7.5 92.5 DIRECT No
1096 8107-GR INF109K01Y80 ICICI PRUDENTIAL NIFTY NEXT 50 INDEX FUND- DIRECT GROWTH 7.5 92.5 DIRECT No
1097 PLIPGPG-GR INF959L01130 NAVI REGULAR SAVING FUND - GROWTH 7.5 92.5 NORMAL No
1098 PLIPQDD-DP INF959L01114 NAVI REGULAR SAVING FUND - QUARTERLY IDCW PAYOUT 7.5 92.5 NORMAL No
1099 PLPL60-GR INF959L01676 NAVI REGULAR SAVING FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
1100 BPSIGP-GR INF955L01153 BARODA BNP PARIBAS SHORT DURATION FUND REGULAR GROWTH 7.5 92.5 NORMAL No
1101 BPSIDP-DP INF955L01138 BARODA BNP PARIBAS SHORT DURATION FUND REGULAR MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
1102 BPSID2-GR INF955L01BD5 BARODA BNP PARIBAS SHORT DURATION FUND DIRECT GROWTH 7.5 92.5 DIRECT No
1103 HDFCSTOG-GR INF179K01CU6 HDFC SHORT TERM DEBT FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
1104 HDFCSTOD-DP INF179K01CV4 HDFC SHORT TERM DEBT FUND - REGULAR PLAN - FORTNIGHTLY IDCW PAYOUT 7.5 92.5 NORMAL No
1105 STOGT-GR INF179K01YM7 HDFC SHORT TERM DEBT FUND - DIRECT PLAN - GROWTH OPTION 7.5 92.5 DIRECT No
1106 HDSTONT-DP INF179KA1Q53 HDFC SHORT TERM DEBT FUND - DIRECT PLAN - NORMAL IDCW PAYOUT 7.5 92.5 DIRECT No
1107 HDSTON-DP INF179KA1Q79 HDFC SHORT TERM DEBT FUND - REGULAR PLAN - NORMAL IDCW PAYOUT 7.5 92.5 NORMAL No
1108 AXFTPGP-GR INF846K01768 AXIS MULTI ASSET ALLOCATION FUND - REGULAR GROWTH - GROWTH 7.5 92.5 NORMAL No
1109 AXFTPDP-DP INF846K01776 AXIS MULTI ASSET ALLOCATION FUND - REGULAR IDCW PAYOUT 7.5 92.5 NORMAL No
1110 TPD1-DP INF846K01ET8 AXIS MULTI ASSET ALLOCATION FUND - DIRECT IDCW PAYOUT 7.5 92.5 DIRECT No
1111 TPDG-GR INF846K01EV4 AXIS MULTI ASSET ALLOCATION FUND - DIRECT GROWTH 7.5 92.5 DIRECT No
1112 HDMTND-DP INF179KA1D33 HDFC CORPORATE BOND FUND - REGULAR PLAN - NORMAL IDCW PAYOUT 7.5 92.5 NORMAL No
1113 HDMTNDT-DP INF179KA1D17 HDFC CORPORATE BOND FUND - DIRECT PLAN - NORMAL-IDCW PAYOUT 7.5 92.5 DIRECT No
1114 HDFCMTOG-GR INF179K01DC2 HDFC CORPORATE BOND FUND - GROWTH OPTION 7.5 92.5 NORMAL No
1115 HDFCMTOD-DP INF179K01DD0 HDFC CORPORATE BOND FUND - QUARTERLY IDCW PAYOUT OPTION 7.5 92.5 NORMAL No
1116 HDMTODT-DR INF179K01XB2 HDFC CORPORATE BOND FUND - DIRECT PLAN - QUARTERLY IDCW REINVESTMENT OPTION 7.5 92.5 DIRECT No
1117 MTOGT-GR INF179K01XD8 HDFC CORPORATE BOND FUND - DIRECT PLAN - GROWTH OPTION 7.5 92.5 DIRECT No
1118 UTIDBGPG-GR INF789F01JQ5 UTI DYNAMIC BOND FUND - GROWTHPLAN 7.5 92.5 NORMAL No
1119 UTIDBDPD-DP INF789F01JO0 UTI DYNAMIC BOND FUND - QUARTERLY IDCW PAYOUT 7.5 92.5 NORMAL No
1120 RMFSCPGP-GR INF204K01HY3 NIPPON INDIA SMALL CAP FUND - GROWTH PLAN - GROWTH OPTION 7.5 92.5 NORMAL No
1121 RMFSCFDP-DP INF204K01IA1 NIPPON INDIA SMALL CAP FUND - DIVIDEND PLAN - IDCW PAYOUT OPTION 7.5 92.5 NORMAL No
1122 SCAD-DP INF204K01J91 NIPPON INDIA SMALL CAP FUND DIRECT PLAN DIVIDEND PLAN IDCW PAYOUT 7.5 92.5 DIRECT No
1123 SCAB-GR INF204K01J83 NIPPON INDIA SMALL CAP FUND DIRECT PLAN GROWTH PLAN - BONUS OPTION BONUS 7.5 92.5 DIRECT No
1124 SCAG-GR INF204K01K15 NIPPON INDIA SMALL CAP FUND DIRECT PLAN GROWTH PLAN GROWTH 7.5 92.5 DIRECT No
1125 CRLCGP-GR INF760K01AR3 CANARA ROBECO BLUECHIP EQUITY FUND REGULARGROWTH 7.5 92.5 NORMAL No
1126 CRLCDP-DP INF760K01AS1 CANARA ROBECO BLUECHIP EQUITY FUND REGULAR - IDCW PAYOUT 7.5 92.5 NORMAL No
1127 CALCDG-GR INF760K01FR2 CANARA ROBECO BLUECHIP EQUITY FUND DIRECT GROWTH 7.5 92.5 DIRECT No
1128 CALCDD-DP INF760K01FP6 CANARA ROBECO BLUECHIP EQUITY FUND DIRECT - IDCW PAYOUT 7.5 92.5 DIRECT No
1129 RMFSFGP-GR INF204K01IM6 NIPPON INDIA INDEX FUND - S&P BSE SENSEX PLAN- GROWTH OPTION 7.5 92.5 NORMAL No
1130 RMFSFDP-DP-A INF204K01IQ7 NIPPON INDIA INDEX FUND - S&P BSE SENSEX PLAN- ANNUAL IDCW PAYOUT 7.5 92.5 NORMAL No
1131 SFAD-DP INF204K01K64 NIPPON INDIA INDEX FUND - S&P BSE SENSEX PLANDIRECT PLAN YEARLY - DIVIDEND PLAN IDCW PAYOUT7.5 92.5 DIRECT No
1132 SFAQ-DP INF204K01L14 NIPPON INDIA INDEX FUND - S&P BSE SENSEX PLANDIRECT PLAN QUARTERLY - DIVIDEND PLAN IDCW7.5 PAYOUT 92.5 DIRECT No
1133 SFAG-GR INF204K01K80 NIPPON INDIA INDEX FUND - S&P BSE SENSEX PLANDIRECT PLAN GROWTH PLAN GROWTH 7.5 92.5 DIRECT No
1134 RMFNFDP-DP-A INF204K01II4 NIPPON INDIA INDEX FUND - NIFTY 50 PLAN - ANNUAL IDCW PAYOUT 7.5 92.5 NORMAL No
1135 NFAQ-DP INF204K01H69 NIPPON INDIA INDEX FUND - NIFTY 50 PLAN DIRECT PLAN QUARTERLY - DIVIDEND PLAN IDCW PAYOUT 7.5 92.5 DIRECT No
1136 NFAG-GR INF204K01H36 NIPPON INDIA INDEX FUND - NIFTY 50 PLAN DIRECT PLAN GROWTH PLAN GROWTH 7.5 92.5 DIRECT No
1137 NFAD-DP INF204K01H10 NIPPON INDIA INDEX FUND - NIFTY 50 PLAN DIRECT PLAN YEARLY - DIVIDEND PLAN IDCW PAYOUT 7.5 92.5 DIRECT No
1138 RMFSCBP-GR INF204K01IE3 NIPPON INDIA INDEX FUND - NIFTY 50 PLAN - GROWTH OPTION 7.5 92.5 NORMAL No
1139 RMFSCDP-DP-Q INF204K01IG8 NIPPON INDIA INDEX FUND - NIFTY 50 PLAN - QUARTERLY IDCW PAYOUT 7.5 92.5 NORMAL No
1140 RMFAF-GR INF204K01IY1 NIPPON INDIA ARBITRAGE FUND - GROWTH 7.5 92.5 NORMAL No
1141 RMFAF-DP INF204K01IZ8 NIPPON INDIA ARBITRAGE FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
1142 AFAG-GR INF204K01XZ7 NIPPON INDIA ARBITRAGE FUND DIRECT PLAN GROWTH PLAN GROWTH 7.5 92.5 DIRECT No
1143 AFAD-DP INF204K01YA8 NIPPON INDIA ARBITRAGE FUND DIRECT PLAN DIVIDEND PLAN IDCW PAYOUT 7.5 92.5 DIRECT No
1144 AFMP-DP INF204KA1MT1 NIPPON INDIA ARBITRAGE FUND - MONTHLY DIVIDEND PLAN - IDCW PAYOUT OPTION 7.5 92.5 NORMAL No
1145 RLAFAMD-DP INF204KA1MV7 NIPPON INDIA ARBITRAGE FUND DIRECT MONTHLY IDCW PAYOUT PLAN 7.5 92.5 DIRECT No
1146 ICICI1637-GR INF109K01GU4 ICICI PRUDENTIAL CREDIT RISK FUND - GROWTH 7.5 92.5 NORMAL No
1147 ICICI1638P-DP-Q INF109K01GV2 ICICI PRUDENTIAL CREDIT RISK FUND - QUARTERLY IDCW PAYOUT 7.5 92.5 NORMAL No
1148 8111P-DP INF109K01V34 ICICI PRUDENTIAL CREDIT RISK FUND - DIRECT PLAN - QUARTERLY IDCW PAYOUT 7.5 92.5 DIRECT No
1149 8110-GR INF109K01V00 ICICI PRUDENTIAL CREDIT RISK FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
1150 RGF-MTGP-GR INF205K01TM0 INVESCO INDIA ULTRA SHORT DURATION FUND - GROWTH 7.5 92.5 NORMAL No
1151 RGMTD1-GR INF205K01TH0 INVESCO INDIA ULTRA SHORT DURATION FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
Approved Securities List for the Month of April 2024
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
1152 K03DP-DP INF174K01179 KOTAK BLUECHIP FUND - IDCW PAYOUT collateral margin of Rs. 7.5 92.5 NORMAL No
1153 K133U-GR INF174K01153 KOTAK BLUECHIP FUND - GROWTH 7.5 92.5 NORMAL No
1154 KO13D-GR INF174K01KW6 KOTAK BLUECHIP FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
1155 KO03D-DP INF174K01KY2 KOTAK BLUECHIP FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
1156 IDFC265-GR INF194K01BY9 BANDHAN INFRASTRUCTURE FUND-REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
1157 ID266-DR INF194K01BZ6 BANDHAN INFRASTRUCTURE FUND-REGULAR PLAN-IDCW REINVESTMENT 7.5 92.5 NORMAL No
1158 D266-DP INF194K01X53 BANDHAN INFRASTRUCTURE FUND (DIRECT PLAN)-IDCW PAYOUT 7.5 92.5 DIRECT No
1159 D265-GR INF194K01X46 BANDHAN INFRASTRUCTURE FUND-GROWTH-(DIRECT PLAN) 7.5 92.5 DIRECT No
1160 AXFMCGP-GR INF846K01859 AXIS MID CAP FUND - REGULAR GROWTH PLAN - GROWTH 7.5 92.5 NORMAL No
1161 AXFMCDP-DP INF846K01867 AXIS MID CAP FUND - REGULAR IDCW PAYOUT 7.5 92.5 NORMAL No
1162 MCD1-DP INF846K01EF7 AXIS MID CAP FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
1163 MCDG-GR INF846K01EH3 AXIS MID CAP FUND - DIRECT GROWTH 7.5 92.5 DIRECT No
1164 RMFGDGP-GR INF204K01KN0 NIPPON INDIA GOLD SAVINGS FUND - GROWTH OPTION 7.5 92.5 NORMAL No
1165 RMFGDDP-DP INF204K01KO8 NIPPON INDIA GOLD SAVINGS FUND - IDCW PAYOUT OPTION 7.5 92.5 NORMAL No
1166 GDAD-DP INF204K01YD2 NIPPON INDIA GOLD SAVINGS FUND DIRECT PLAN DIVIDEND PLAN IDCW PAYOUT 7.5 92.5 DIRECT No
1167 GDAG-GR INF204K01YC4 NIPPON INDIA GOLD SAVINGS FUND DIRECT PLAN GROWTH PLAN GROWTH 7.5 92.5 DIRECT No
1168 K47DP-DP INF174K01AU1 KOTAK GOLD FUND IDCW PAYOUT 7.5 92.5 NORMAL No
1169 K46G-GR INF174K01AT3 KOTAK GOLD FUND-GROWTH 7.5 92.5 NORMAL No
1170 KO47D-DP INF174K01MQ4 KOTAK GOLD FUND - DIRECT PLAN-IDCW PAYOUT 7.5 92.5 DIRECT No
1171 KO46D-GR INF174K01MP6 KOTAK GOLD FUND - DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
1172 K42DP-DP-M INF174K01419 KOTAK DEBT HYBRID FUND - MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
1173 K41MAIP-GR INF174K01393 KOTAK DEBT HYBRID FUND - GROWTH 7.5 92.5 NORMAL No
1174 KO41D-GR INF174K01JZ1 KOTAK DEBT HYBRID FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
1175 KO42DD-DP INF174K01KA2 KOTAK DEBT HYBRID FUND - DIRECT PLAN - MONTHLY IDCW PAYOUT 7.5 92.5 DIRECT No
1176 MAFICRD-DP INF769K01150 MIRAE ASSET GREAT CONSUMER FUND - REGULAR PLAN IDCW PAYOUT 7.5 92.5 NORMAL No
1177 MAFICRG-GR INF769K01135 MIRAE ASSET GREAT CONSUMER FUND - REGULAR PLAN GROWTH OPTION 7.5 92.5 NORMAL No
1178 MAFICD1-GR INF769K01BL5 MIRAE ASSET GREAT CONSUMER FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
1179 MAFICD2-DP INF769K01BM3 MIRAE ASSET GREAT CONSUMER FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
1180 AXFDB-GR INF846K01917 AXIS DYNAMIC BOND FUND - REGULAR GROWTH - GROWTH 7.5 92.5 NORMAL No
1181 AXFQDDB-DP INF846K01925 AXIS DYNAMIC BOND FUND - REGULAR QUARTERLY IDCW PAYOUT 7.5 92.5 NORMAL No
1182 DBDG-GR INF846K01DI3 AXIS DYNAMIC BOND FUND - DIRECT PLAN - GROWTH PLAN 7.5 92.5 DIRECT No
1183 CRCYGP-GR INF760K01BM2 CANARA ROBECO SHORT DURATION FUND REGULAR GROWTH 7.5 92.5 NORMAL No
1184 CRCYDP-DP INF760K01BO8 CANARA ROBECO SHORT DURATION FUND REGULAR MONTHLY - IDCW PAYOUT 7.5 92.5 NORMAL No
1185 CRCYQP-DP INF760K01BQ3 CANARA ROBECO SHORT DURATION FUND REGULAR QUARTERLY - IDCW PAYOUT 7.5 92.5 NORMAL No
1186 CACYDG-GR INF760K01DX5 CANARA ROBECO SHORT DURATION FUND DIRECT GROWTH 7.5 92.5 DIRECT No
1187 CACYDM-DP INF760K01DV9 CANARA ROBECO SHORT DURATION FUND DIRECT MONTHLY - IDCW PAYOUT 7.5 92.5 DIRECT No
1188 ICICI1748P-DP-Q INF109K01TT9 ICICI PRUDENTIAL ULTRA SHORT TERM FUND - QUARTERLY IDCW PAYOUT 7.5 92.5 NORMAL No
1189 IC1746-GR INF109K01TP7 ICICI PRUDENTIAL ULTRA SHORT TERM FUND - GROWTH 7.5 92.5 NORMAL No
1190 ICICI1747P-DP-M INF109K01TR3 ICICI PRUDENTIAL ULTRA SHORT TERM FUND - MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
1191 8125P-DP INF109K01T53 ICICI PRUDENTIAL ULTRA SHORT TERM FUND - DIRECT PLAN - QUARTERLY IDCW PAYOUT 7.5 92.5 DIRECT No
1192 8123-GR INF109K01T04 ICICI PRUDENTIAL ULTRA SHORT TERM FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
1193 8124P-DP INF109K01T38 ICICI PRUDENTIAL ULTRA SHORT TERM FUND - DIRECT PLAN - MONTHLY IDCW PAYOUT 7.5 92.5 DIRECT No
1194 IC9418-DP INF109KC1NA3 ICICI PRUDENTIAL ULTRA SHORT TERM FUND - DIRECT PLAN - WEEKLY IDCW PAYOUT 7.5 92.5 DIRECT No
1195 QMFQSGP-GR INF082J01150 QUANTUM GOLD SAVINGS FUND - DIRECT PLAN GROWTH OPTION 7.5 92.5 DIRECT No
1196 QTQSRG-GR INF082J01358 QUANTUM GOLD SAVINGS FUND - REGULAR PLAN GROWTH OPTION 7.5 92.5 NORMAL No
1197 UNEFGR-GR INF582M01104 UNION FLEXICAP FUND - GROWTH 7.5 92.5 NORMAL No
1198 UNEFDP-DP INF582M01120 UNION FLEXICAP FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
1199 UNEFGD-GR INF582M01633 UNION FLEXICAP FUND - GROWTH-DIRECT PLAN 7.5 92.5 DIRECT No
1200 SBI246G-GR INF200K01HA1 SBI GOLD FUND - GROWTH 7.5 92.5 NORMAL No
1201 SBI246D-DP INF200K01HB9 SBI GOLD FUND-IDCW PAYOUT 7.5 92.5 NORMAL No
1202 SBD246G-GR INF200K01RP8 SBI GOLD FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
1203 ICICI1815-GR INF109K01TK8 ICICI PRUDENTIAL REGULAR GOLD SAVINGS FUND (FOF) - GROWTH 7.5 92.5 NORMAL No
1204 ICICI1816P-DP INF109K01TM4 ICICI PRUDENTIAL REGULAR GOLD SAVINGS FUND (FOF) - IDCW PAYOUT 7.5 92.5 NORMAL Yes
1205 8130-GR INF109K01U92 ICICI PRUDENTIAL REGULAR GOLD SAVINGS FUND (FOF) - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
1206 8131P-DP INF109K01U76 ICICI PRUDENTIAL REGULAR GOLD SAVINGS FUND (FOF) - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
1207 DSP506-GR INF740K01EK2 DSP WORLD AGRICULTURE FUND - GROWTH 7.5 92.5 NORMAL No
1208 DS733-GR INF740K01OE4 DSP WORLD AGRICULTURE FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
1209 AXFXS123-GR INF846K01AL3 AXIS GOLD FUND - GROWTH 7.5 92.5 NORMAL No
1210 AXFXS124-DP INF846K01AM1 AXIS GOLD FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
1211 GOD1-DP INF846K01DQ6 AXIS GOLD FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
1212 GODG-GR INF846K01DS2 AXIS GOLD FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
1213 HDFCGFOF-GR INF179K01LC5 HDFC GOLD FUND 7.5 92.5 NORMAL No
1214 GFOFT-GR INF179K01VX0 HDFC GOLD FUND - DIRECT PLAN - GROWTH OPTION 7.5 92.5 DIRECT No
1215 PRMBFGP-GR INF663L01484 PGIM INDIA DYNAMIC BOND FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
1216 PRBFG1-GR INF663L01AD7 PGIM INDIA DYNAMIC BOND FUND - DIRECT PLAN - GROWTH OPTION - GROWTH 7.5 92.5 DIRECT No
1217 INBCGP-GR INF666M01162 GROWW LARGE CAP FUND - REGULAR PLAN - GROWTH OPTION 7.5 92.5 NORMAL No
1218 INBCDP-DP INF666M01188 GROWW LARGE CAP FUND - REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
1219 INBCG1-GR INF666M01600 GROWW LARGE CAP FUND - DIRECT PLAN - GROWTH OPTION 7.5 92.5 DIRECT No
1220 UNDBG-GR INF582M01336 UNION DYNAMIC BOND FUND - GROWTH 7.5 92.5 NORMAL No
1221 UNDBGD-GR INF582M01799 UNION DYNAMIC BOND FUND - GROWTH-DIRECT PLAN 7.5 92.5 DIRECT No
1222 FR409P-DP INF090I01EV3 FRANKLIN INDIA FEEDER - FRANKLIN U.S. OPPORTUNITIES FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
1223 410-GR INF090I01EW1 FRANKLIN INDIA FEEDER - FRANKLIN U.S. OPPORTUNITIES FUND - GROWTH 7.5 92.5 NORMAL No
1224 FR495P-DP INF090I01JP4 FRANKLIN INDIA FEEDER - FRANKLIN U.S. OPPORTUNITIES FUND - DIRECT IDCW PAYOUT 7.5 92.5 DIRECT No
1225 FR496-GR INF090I01JR0 FRANKLIN INDIA FEEDER - FRANKLIN U.S. OPPORTUNITIES FUND - DIRECT GROWTH 7.5 92.5 DIRECT No
1226 BS916D-DR INF209K01PG2 ADITYA BIRLA SUN LIFE GOLD FUND - IDCW REINVESTMENT 7.5 92.5 NORMAL No
1227 BSL916G-GR INF209K01PF4 ADITYA BIRLA SUN LIFE GOLD FUND - GROWTH 7.5 92.5 NORMAL No
1228 BS916DZ-DP INF209K01YT7 ADITYA BIRLA SUN LIFE GOLD FUND DIRECT PLAN-IDCW PAYOUT 7.5 92.5 DIRECT No
1229 BS916GZ-GR INF209K01YU5 ADITYA BIRLA SUN LIFE GOLD FUND GROWTH-DIRECT PLAN 7.5 92.5 DIRECT No
1230 AXFXS153-GR INF846K01BP2 AXIS STRATEGIC BOND FUND - REGULAR GROWTH 7.5 92.5 NORMAL No
1231 AXFXS154-DP-Q INF846K01BQ0 AXIS STRATEGIC BOND FUND - REGULAR QUARTERLY IDCW PAYOUT 7.5 92.5 NORMAL No
1232 AXIFDG-GR INF846K01DT0 AXIS STRATEGIC BOND FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
1233 IFDQ-DP INF846K01DW4 AXIS STRATEGIC BOND FUND - DIRECT PLAN - QUARTERLY IDCW PAYOUT 7.5 92.5 DIRECT No
1234 TMFTBGP-GR INF044D01BI4 TAURUS BANKING AND FINANCIAL SERVICES FUND - GROWTH 7.5 92.5 NORMAL No
1235 TRTBG1-GR INF044D01CN2 TAURUS BANKING AND FINANCIAL SERVICES FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
1236 AXFBDGP-GR INF846K01CB0 AXIS BANKING AND PSU DEBT FUND - REGULAR GROWTH 7.5 92.5 NORMAL No
1237 AXBDDD-DR INF846K01CC8 AXIS BANKING AND PSU DEBT FUND - REGULAR DAILY IDCW REINVESTMENT 7.5 92.5 NORMAL No
1238 AXBDWD-DP INF846K01CD6 AXIS BANKING AND PSU DEBT FUND - REGULAR WEEKLY IDCW PAYOUT 7.5 92.5 NORMAL No
1239 AXFBDDP-DP INF846K01CF1 AXIS BANKING AND PSU DEBT FUND - REGULAR MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
1240 BDDR-DR INF846K01CU0 AXIS BANKING AND PSU DEBT FUND - DIRECT PLAN - DAILY IDCW REINVESTMENT 7.5 92.5 DIRECT No
1241 BDDG-GR INF846K01CR6 AXIS BANKING AND PSU DEBT FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
1242 BDDM-DP INF846K01CT2 AXIS BANKING AND PSU DEBT FUND - DIRECT MONTHLY IDCW PAYOUT 7.5 92.5 DIRECT No
1243 BPBSDP-DP INF955L01831 BARODA BNP PARIBAS BANKING AND FINANCIAL SERVICES FUND REGULAR IDCW PAYOUT 7.5 92.5 NORMAL No
1244 BPBSGP-GR INF955L01856 BARODA BNP PARIBAS BANKING AND FINANCIAL SERVICES FUND REGULAR GROWTH 7.5 92.5 NORMAL No
1245 BO101-GR INF955L01971 BARODA BNP PARIBAS BANKING AND FINANCIAL SERVICES FUND DIRECT GROWTH 7.5 92.5 DIRECT No
1246 AXFAFDP-DP INF846K01CI5 AXIS FOCUSED 25 FUND REGULAR IDCW PAYOUT 7.5 92.5 NORMAL No
1247 AXFAFGP-GR INF846K01CH7 AXIS FOCUSED 25 FUND REGULAR GROWTH 7.5 92.5 NORMAL No
1248 AFD1-DP INF846K01CO3 AXIS FOCUSED 25 FUND - DIRECT IDCW PAYOUT 7.5 92.5 DIRECT No
1249 AFDG-GR INF846K01CQ8 AXIS FOCUSED 25 FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
1250 QMFMA-GR INF082J01168 QUANTUM MULTI ASSET FUND OF FUNDS - DIRECT PLAN GROWTH OPTION 7.5 92.5 DIRECT No
1251 QTMARG-GR INF082J01341 QUANTUM MULTI ASSET FUND OF FUNDS - REGULAR PLAN GROWTH OPTION 7.5 92.5 NORMAL No
1252 ICICI1951P-DP INF109K01E43 ICICI PRUDENTIAL US BLUECHIP EQUITY FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
1253 ICICI1950-GR INF109K01E35 ICICI PRUDENTIAL US BLUECHIP EQUITY FUND - GROWTH 7.5 92.5 NORMAL No
1254 8134P-DP INF109K01Z55 ICICI PRUDENTIAL US BLUECHIP EQUITY FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
1255 8133-GR INF109K01Z71 ICICI PRUDENTIAL US BLUECHIP EQUITY FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
1256 DSP521-GR INF740K01LP6 DSP US FLEXIBLE EQUITY FUND - GROWTH 7.5 92.5 NORMAL No
1257 DS522-DR INF740K01LQ4 DSP US FLEXIBLE EQUITY FUND - IDCW REINVESTMENT 7.5 92.5 NORMAL No
1258 DS736-GR INF740K01OH7 DSP US FLEXIBLE EQUITY FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
1259 DS737-DP INF740K01OI5 DSP US FLEXIBLE EQUITY FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
1260 K194DP-DP INF174K01EG2 KOTAK CREDIT RISK FUND - REGULAR PLAN - STANDARD - IDCW PAYOUT 7.5 92.5 NORMAL No
1261 K190-GR INF174K01DY7 KOTAK CREDIT RISK FUND - GROWTH 7.5 92.5 NORMAL No
1262 KO190D-GR INF174K01LZ7 KOTAK CREDIT RISK FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
1263 UTICOGPG-GR INF789F01QZ1 UTI CREDIT RISK FUND - GROWTH 7.5 92.5 NORMAL No
1264 UTICODPD-DP INF789F01RA2 UTI CREDIT RISK FUND-REGULAR PLAN QUARTERLY DIVIDEND-IDCW PAYOUT 7.5 92.5 NORMAL No
Approved Securities List for the Month of April 2024
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
1265 RGFBDGP-GR INF205K01JV2 INVESCO INDIA BANKING AND PSU FUND - GROWTH collateral margin of Rs. 7.5 92.5 NORMAL No
1266 RGBDD1-GR INF205K01KT4 INVESCO INDIA BANKING AND PSU FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
1267 PEF INF277K01931 TATA LARGE CAP FUND REGULAR GROWTH 7.5 92.5 NORMAL No
1268 PEFD-DP INF277K01EG3 TATA LARGE CAP FUND REGULAR IDCW PAYOUT 7.5 92.5 NORMAL No
1269 TAPEDPZ-DP INF277K01QX2 TATA LARGE CAP FUND DIRECT PLAN IDCW PAYOUT 7.5 92.5 DIRECT No
1270 TAPEFZ-GR INF277K01QZ7 TATA LARGE CAP FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
1271 SSF INF277K01956 TATA ETHICAL FUND REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
1272 SSFD-DP INF277K01EH1 TATA ETHICAL FUND REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
1273 TASSDPZ-DP INF277K01NE9 TATA ETHICAL FUND DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
1274 TASSFZ-GR INF277K01NG4 TATA ETHICAL FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
1275 GROD-DP INF277K01DS0 TATA MID CAP GROWTH FUND REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
1276 GROG INF277K01626 TATA MID CAP GROWTH FUND REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
1277 TAGRDPZ-DP INF277K01PW6 TATA MID CAP GROWTH FUND DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
1278 TAGROGZ-GR INF277K01PY2 TATA MID CAP GROWTH FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
1279 EOD-DP INF277K01DH3 TATA LARGE AND MID CAP FUND REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
1280 EOG INF277K01428 TATA LARGE AND MID CAP FUND REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
1281 TAEODPZ-DP INF277K01MI2 TATA LARGE AND MID CAP FUND DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
1282 TAEOGZ-GR INF277K01MK8 TATA LARGE AND MID CAP FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
1283 EPEG INF277K01451 TATA EQUITY P/E FUND REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
1284 EPED-DP INF277K01DJ9 TATA EQUITY P/E FUND REGULAR PLAN - IDCW TRIGGER B (10%) PAYOUT 7.5 92.5 NORMAL No
1285 EPE5-DP INF277K01DI1 TATA EQUITY P/E FUND REGULAR PLAN - IDCW TRIGGER A (5%) PAYOUT 7.5 92.5 NORMAL No
1286 TAEPEGZ-GR INF277K01ND1 TATA EQUITY P/E FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
1287 TAEP5PZ-DP INF277K01MZ6 TATA EQUITY P/E FUND DIRECT PLAN - IDCW TRIGGER A (5%) PAYOUT 7.5 92.5 DIRECT No
1288 TAEPDPZ-DP INF277K01NB5 TATA EQUITY P/E FUND DIRECT PLAN - IDCW TRIGGER B (10%) PAYOUT 7.5 92.5 DIRECT No
1289 INFG INF277K01782 TATA INFRASTRUCTURE FUND REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
1290 INFD-DP INF277K01DY8 TATA INFRASTRUCTURE FUND REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
1291 TAINFGZ-GR INF277K01PQ8 TATA INFRASTRUCTURE FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
1292 TAINDPZ-DP INF277K01PO3 TATA INFRASTRUCTURE FUND DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
1293 TAISA-GR INF277K01758 TATA S&P BSE SENSEX INDEX FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
1294 TAISAZ-GR INF277K01PK1 TATA S&P BSE SENSEX INDEX FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
1295 FLW-DP INF277K01MD3 TATA TREASURY ADVANTAGE FUND REGULAR PLAN - WEEKLY IDCW PAYOUT 7.5 92.5 NORMAL No
1296 FG1 INF277K01MA9 TATA TREASURY ADVANTAGE FUND REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
1297 FLD-DR INF277K01LZ8 TATA TREASURY ADVANTAGE FUND REGULAR PLAN - DAILY IDCW REINVESTMENT 7.5 92.5 NORMAL No
1298 TAFG1Z-GR INF277K01OK4 TATA TREASURY ADVANTAGE FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
1299 TAFD1Z-DR INF277K018B3 TATA TREASURY ADVANTAGE FUND DIRECT PLAN - DAILY IDCW REINVESTMENT 7.5 92.5 DIRECT No
1300 STDP INF277K01EI9 TATA SHORT TERM BOND FUND REGULAR PLAN - MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
1301 STG-TATA-DP INF277K01972 TATA SHORT TERM BOND FUND REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
1302 TASTGZ-GR INF277K01QR4 TATA SHORT TERM BOND FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
1303 TASTDPZ-DP INF277K01QP8 TATA SHORT TERM BOND FUND DIRECT PLAN - MONTHLY IDCW PAYOUT 7.5 92.5 DIRECT No
1304 TASTPPZ-DP INF277K01P38 TATA SHORT TERM BOND FUND DIRECT PLAN PERIODIC IDCW PAYOUT 7.5 92.5 DIRECT No
1305 TASTPDP-DP INF277K01P12 TATA SHORT TERM BOND FUND REGULAR PLAN - PERIODIC IDCW PAYOUT 7.5 92.5 NORMAL No
1306 D280-GR INF194K015G8 BANDHAN BANKING AND PSU DEBT FUND-DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
1307 IDFC280-GR INF194K01SN6 BANDHAN BANKING AND PSU DEBT FUND-REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
1308 ID281-DR INF194K01SO4 BANDHAN BANKING AND PSU DEBT FUND-REGULAR PLAN-IDCW REINVESTMENT 7.5 92.5 NORMAL No
1309 IF284-DP INF194K014M9 BANDHAN BANKING AND PSU DEBT FUND-REGULAR PLAN-QUARTERLY-IDCW PAYOUT 7.5 92.5 NORMAL No
1310 IDD284-DP INF194K018M0 BANDHAN BANKING AND PSU DEBT FUND-DIRECT PLAN-QUARTERLY-IDCW PAYOUT 7.5 92.5 DIRECT No
1311 ID289-DR INF194KA1JC5 BANDHAN BANKING AND PSU DEBT FUND-REGULAR PLAN-DAILY-IDCW REINVESTMENT 7.5 92.5 NORMAL No
1312 IF283-DR INF194K017M2 BANDHAN BANKING AND PSU DEBT FUND-REGULAR PLAN-MONTHLY-IDCW REINVESTMENT 7.5 92.5 NORMAL No
1313 IDD283-DR INF194K011N3 BANDHAN BANKING AND PSU DEBT FUND-DIRECT PLAN-MONTHLY-IDCW REINVESTMENT 7.5 92.5 DIRECT No
1314 MFGP-GR INF247L01155 MOTILAL OSWAL FOCUSED FUND - REGULAR GROWTH 7.5 92.5 NORMAL No
1315 MFDP-DP INF247L01171 MOTILAL OSWAL FOCUSED FUND - REGULAR IDCW PAYOUT 7.5 92.5 NORMAL No
1316 MFGD-GRD INF247L01189 MOTILAL OSWAL FOCUSED FUND - DIRECT GROWTH 7.5 92.5 DIRECT No
1317 MFPD-DPD INF247L01205 MOTILAL OSWAL FOCUSED FUND - DIRECT IDCW PAYOUT 7.5 92.5 DIRECT No
1318 PP001ZG-GR INF879O01027 PARAG PARIKH FLEXI CAP FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
1319 PP001RG-GR INF879O01019 PARAG PARIKH FLEXI CAP FUND- REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
1320 IIFL-DRG-GR INF579M01183 360 ONE DYNAMIC BOND FUND REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
1321 DDG-GR INF579M01266 360 ONE DYNAMIC BOND FUND DIRECT PLAN- GROWTH 7.5 92.5 DIRECT No
1322 BS152ID-DP INF209KA1LN1 ADITYA BIRLA SUN LIFE FLOATING RATE FUND - REGULAR PLAN - DAILY IDCW PAYOUT 7.5 92.5 NORMAL No
1323 BS152IG-GR INF209K01MG9 ADITYA BIRLA SUN LIFE FLOATING RATE FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
1324 BS152GZ-GR INF209K01UX7 ADITYA BIRLA SUN LIFE FLOATING RATE FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
1325 BS152IZ-DR INF209K01UY5 ADITYA BIRLA SUN LIFE FLOATING RATE FUND - DIRECT PLAN - WEEKLY IDCW REINVESTMENT 7.5 92.5 DIRECT No
1326 B512G INF209K01MF1 ADITYA BIRLA SUN LIFE FLOATING RATE FUND - GROWTH 7.5 92.5 NORMAL No
1327 ICICI2144-GR INF109KA1CB6 ICICI PRUDENTIAL GLOBAL STABLE EQUITY FUND (FOF) GROWTH 7.5 92.5 NORMAL No
1328 8344-GR INF109KA1CE0 ICICI PRUDENTIAL GLOBAL STABLE EQUITY FUND (FOF) DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
1329 K01-GR INF174K01FO3 KOTAK BANKING AND PSU FUND - GROWTH 7.5 92.5 NORMAL No
1330 K11DP-DP INF174K01FQ8 KOTAK BANKING AND PSU FUND - MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
1331 KO01D-GR INF174K01KH7 KOTAK BANKING AND PSU FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
1332 INSTDG-GR INF666M01AC0 GROWW SHORT DURATION FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
1333 INSTRG-GR INF666M01AJ5 GROWW SHORT DURATION FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
1334 DSP529-GR INF740K01ZP6 DSP BANKING AND PSU DEBT FUND - REG - GROWTH 7.5 92.5 NORMAL No
1335 DS802-GR INF740K01ZW2 DSP BANKING AND PSU DEBT FUND - DIR - GROWTH 7.5 92.5 DIRECT No
1336 MOUSGPG-GR INF247L01213 MOTILAL OSWAL ULTRA SHORT TERM FUND - REGULAR GROWTH 7.5 92.5 NORMAL No
1337 USGD-GRD INF247L01247 MOTILAL OSWAL ULTRA SHORT TERM FUND - DIRECT GROWTH 7.5 92.5 DIRECT No
1338 MOUSRDR-DR INF247L01270 MOTILAL OSWAL ULTRA SHORT TERM FUND - REGULAR-DAILY IDCW REINVESTMENT OPTION 7.5 92.5 NORMAL No
1339 PRMOD1-DP INF663L01DW1 PGIM INDIA MIDCAP OPPORTUNITIES FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
1340 MOGP-GR INF663L01DZ4 PGIM INDIA MIDCAP OPPORTUNITIES FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
1341 MODP-DP INF663L01EA5 PGIM INDIA MIDCAP OPPORTUNITIES FUND - REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
1342 PRMOG1-GR INF663L01DV3 PGIM INDIA MIDCAP OPPORTUNITIES FUND - DIRECT PLAN - GROWTH OPTION - GROWTH 7.5 92.5 DIRECT No
1343 AXSCGP-GR INF846K01K01 AXIS SMALL CAP FUND - REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
1344 AXSCD1-DP INF846K01K43 AXIS SMALL CAP FUND - DIRECT PLAN IDCW PAYOUT 7.5 92.5 DIRECT No
1345 AXSCDP-DP INF846K01K19 AXIS SMALL CAP FUND - REGULAR PLAN IDCW PAYOUT 7.5 92.5 NORMAL No
1346 AXSCDG-GR INF846K01K35 AXIS SMALL CAP FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
1347 SB346G-GR INF200K01T28 SBI SMALL CAP FUND REGULAR GROWTH 7.5 92.5 NORMAL No
1348 SB346DP-DP INF200K01T36 SBI SMALL CAP FUND REGULAR IDCW PAYOUT 7.5 92.5 NORMAL No
1349 SBD346G-GR INF200K01T51 SBI SMALL CAP FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
1350 SBI348RG-GR INF200K01U41 SBI BANKING AND PSU FUND REGULAR GROWTH 7.5 92.5 NORMAL No
1351 1180B-GR INF209K011W7 ADITYA BIRLA SUN LIFE BANKING AND FINANCIAL SERVICES FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
1352 1180A-DP INF209K010W9 ADITYA BIRLA SUN LIFE BANKING AND FINANCIAL SERVICES FUND - REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
1353 BS1180Y-GR INF209K014W1 ADITYA BIRLA SUN LIFE BANKING AND FINANCIAL SERVICES FUND - GROWTH DIRECT 7.5 92.5 DIRECT No
1354 BS1180X-DP INF209K013W3 ADITYA BIRLA SUN LIFE BANKING AND FINANCIAL SERVICES FUND - DIRECT-IDCW PAYOUT 7.5 92.5 DIRECT No
1355 101D-GR INF680P01042 SHRIRAM AGGRESSIVE HYBRID FUND DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
1356 SHRI101-GR INF680P01018 SHRIRAM AGGRESSIVE HYBRID FUND REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
1357 SHRI102P-DP INF680P01026 SHRIRAM AGGRESSIVE HYBRID FUND REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
1358 PEGP-GR INF205K01ZZ9 INVESCO INDIA - INVESCO PAN EUROPEAN EQUITY FUND OF FUND - REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
1359 RGPED1-GR INF205K01A24 INVESCO INDIA - INVESCO PAN EUROPEAN EQUITY FUND OF FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
1360 DS813-DP INF740K01K99 DSP DYNAMIC ASSET ALLOCATION FUND - DIR - IDCW MONTHLY PAYOUT 7.5 92.5 DIRECT No
1361 540-DP INF740K01K65 DSP DYNAMIC ASSET ALLOCATION FUND - REGULAR PLAN - IDCW MONTHLY PAYOUT 7.5 92.5 NORMAL No
1362 DS812-GR INF740K01K81 DSP DYNAMIC ASSET ALLOCATION FUND - DIR - GROWTH 7.5 92.5 DIRECT No
1363 539-GR INF740K01K57 DSP DYNAMIC ASSET ALLOCATION FUND - REGULAR - GROWTH 7.5 92.5 NORMAL No
1364 CAMODG-GR INF760K01HB2 CANARA ROBECO CORPORATE BOND FUND DIRECT GROWTH 7.5 92.5 DIRECT No
1365 CRMOGP-GR INF760K01GY6 CANARA ROBECO CORPORATE BOND FUND REGULAR GROWTH 7.5 92.5 NORMAL No
1366 BPGP-GR INF789F014Z9 UTI BANKING & PSU FUND-REGULAR PLAN - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
1367 BPDP-DP INF789F012Z3 UTI BANKING & PSU FUND-REGULAR PLAN-REGULAR PLAN - QUARTERLY -IDCW PAYOUT 7.5 92.5 NORMAL No
1368 UTBPFDD-DP INF789FA1U61 UTI BANKING AND PSU FUND REGULAR PLANFLEXI IDCW PAYOUT 7.5 92.5 NORMAL No
1369 FMGP-GR INF247L01411 MOTILAL OSWAL MIDCAP FUND - REGULAR GROWTH 7.5 92.5 NORMAL No
1370 FMDP-DP INF247L01437 MOTILAL OSWAL MIDCAP FUND - REGULAR IDCW PAYOUT 7.5 92.5 NORMAL No
1371 MOFMGD-GR INF247L01445 MOTILAL OSWAL MIDCAP FUND - DIRECT GROWTH 7.5 92.5 DIRECT No
1372 MOFMPD-DP INF247L01460 MOTILAL OSWAL MIDCAP FUND - DIRECT IDCW PAYOUT 7.5 92.5 DIRECT No
1373 HSHAPDG-GR INF336L01HF0 HSBC ASIA PACIFIC(EX JAPAN) DIVIDEND YIELD FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
1374 HSAPDG-GR INF336L01HC7 HSBC ASIA PACIFIC(EX JAPAN) DIVIDEND YIELD FUND GROWTH 7.5 92.5 NORMAL No
1375 BXBA139-GR INF761K01BR9 BANK OF INDIA BALANCED ADVANTAGE FUND - REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
1376 BXBA141-GR INF761K01BO6 BANK OF INDIA BALANCED ADVANTAGE FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
1377 BXBA140-DP INF761K01BP3 BANK OF INDIA BALANCED ADVANTAGE FUND - REGULAR IDCW PAYOUT 7.5 92.5 NORMAL No
Approved Securities List for the Month of April 2024
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
1378 KO48D-GR INF174K01VQ5 KOTAK MEDIUM TERM FUND - DIRECT PLAN - GROWTH collateral margin of Rs. 7.5 92.5 DIRECT No
1379 48-GR INF174K01VL6 KOTAK MEDIUM TERM FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
1380 50DP-DP INF174K01VN2 KOTAK MEDIUM TERM FUND - REGULAR PLAN - STANDARD - IDCW PAYOUT 7.5 92.5 NORMAL No
1381 HDCDNDT-DP INF179KA1I61 HDFC CREDIT RISK DEBT FUND - DIRECT PLAN - NORMAL IDCW PAYOUT 7.5 92.5 DIRECT No
1382 HDCDNDR-DP INF179KA1I87 HDFC CREDIT RISK DEBT FUND - REGULAR PLAN - NORMAL IDCW PAYOUT 7.5 92.5 NORMAL No
1383 CDOGT-GR INF179KA1FZ3 HDFC CREDIT RISK DEBT FUND - DIRECT - GROWTH 7.5 92.5 DIRECT No
1384 CDODR-DP INF179KA1GD8 HDFC CREDIT RISK DEBT FUND - REGULAR - QUARTERLY IDCW PAYOUT 7.5 92.5 NORMAL No
1385 CDOGR-GR INF179KA1GC0 HDFC CREDIT RISK DEBT FUND - REGULAR - GROWTH 7.5 92.5 NORMAL No
1386 CDODT-DP INF179KA1GA4 HDFC CREDIT RISK DEBT FUND- DIRECT - QUARTERLY IDCW PAYOUT 7.5 92.5 DIRECT No
1387 HBPDT-DP INF179KA1JA8 HDFC BANKING AND PSU DEBT FUND - DIRECT PLAN- IDCW PAYOUT OPTION 7.5 92.5 DIRECT No
1388 HBPDR-DP INF179KA1JD2 HDFC BANKING AND PSU DEBT FUND - REGULAR IDCW PAYOUT OPTION 7.5 92.5 NORMAL No
1389 HBPGR-GR INF179KA1JC4 HDFC BANKING AND PSU DEBT FUND - REGULAR GROWTH OPTION 7.5 92.5 NORMAL No
1390 HBPGT-GR INF179KA1IZ7 HDFC BANKING AND PSU DEBT FUND - DIRECT GROWTH OPTION 7.5 92.5 DIRECT No
1391 702-GR INF090I01KO5 FRANKLIN INDIA BANKING AND PSU DEBT FUND -GROWTH 7.5 92.5 NORMAL No
1392 FR704-GR INF090I01KR8 FRANKLIN INDIA BANKING AND PSU DEBT FUND - DIRECT GROWTH 7.5 92.5 DIRECT No
1393 CPGD-GR INF247L01502 MOTILAL OSWAL FLEXI CAP FUND - DIRECT GROWTH 7.5 92.5 DIRECT No
1394 CPPD-DP INF247L01528 MOTILAL OSWAL FLEXI CAP FUND - DIRECT IDCW PAYOUT 7.5 92.5 DIRECT No
1395 CPGP-GR INF247L01478 MOTILAL OSWAL FLEXI CAP FUND - REGULAR GROWTH 7.5 92.5 NORMAL No
1396 CPDP-DP INF247L01494 MOTILAL OSWAL FLEXI CAP FUND - REGULAR IDCW PAYOUT 7.5 92.5 NORMAL No
1397 GEGP-GR INF205K01B15 INVESCO INDIA - INVESCO GLOBAL EQUITY INCOME FUND OF FUND - REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
1398 RGGED1-GR INF205K01B49 INVESCO INDIA - INVESCO GLOBAL EQUITY INCOME FUND OF FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
1399 539-DP INF903J01F76 SUNDARAM INFRASTRUCTURE ADVANTAGE FUND-REGULAR PLAN-IDCW PAYOUT 7.5 92.5 NORMAL No
1400 SU540-DP INF903J01G00 SUNDARAM INFRASTRUCTURE ADVANTAGE FUND DIRECT IDCW PAYOUT 7.5 92.5 DIRECT No
1401 SU82PD-GR INF903J01F92 SUNDARAM INFRASTRUCTURE ADVANTAGE FUND DIRECT GROWTH 7.5 92.5 DIRECT No
1402 82-GR INF903J01F68 SUNDARAM INFRASTRUCTURE ADVANTAGE FUND-REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
1403 8573-GR INF109KA1UA0 ICICI PRUDENTIAL DIVIDEND YIELD EQUITY FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
1404 8574P-DP INF109KA1UB8 ICICI PRUDENTIAL DIVIDEND YIELD EQUITY FUND DIRECT PLAN IDCW PAYOUT 7.5 92.5 DIRECT No
1405 2373-GR INF109KA1TX4 ICICI PRUDENTIAL DIVIDEND YIELD EQUITY FUND - GROWTH 7.5 92.5 NORMAL No
1406 IC237P-DP INF109KA1TY2 ICICI PRUDENTIAL DIVIDEND YIELD EQUITY FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
1407 FT708-GR INF090I01KX6 FRANKLIN INDIA FEEDER - FRANKLIN EUROPEAN GROWTH FUND - DIRECT GROWTH 7.5 92.5 DIRECT No
1408 UNSMFG-GR INF582M01BY1 UNION SMALL CAP FUND REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
1409 UNSMFP-DP INF582M01CA9 UNION SMALL CAP FUND REGULAR PLAN-IDCW PAYOUT 7.5 92.5 NORMAL No
1410 UNSMFGD-GR INF582M01BU9 UNION SMALL CAP FUND DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
1411 CBGP-GR INF204KA1PZ1 NIPPON INDIA STRATEGIC DEBT FUND- GROWTH PLAN 7.5 92.5 NORMAL No
1412 RLCBAG-GR INF204KA1QF1 NIPPON INDIA STRATEGIC DEBT FUND- DIRECT GROWTH PLAN 7.5 92.5 DIRECT No
1413 CBDP-DP INF204KA1QB0 NIPPON INDIA STRATEGIC DEBT FUND- IDCW PLAN PAYOUT 7.5 92.5 NORMAL No
1414 EDATGP-GR INF754K01EF3 EDELWEISS ARBITRAGE FUND GROWTH OPTION 7.5 92.5 NORMAL No
1415 EDATDG-GR INF754K01EA4 EDELWEISS ARBITRAGE FUND - DIRECT PLAN GROWTH OPTION 7.5 92.5 DIRECT No
1416 EDATDP-DP INF754K01EG1 EDELWEISS ARBITRAGE FUND IDCW PAYOUT 7.5 92.5 NORMAL No
1417 EDATDDD-DP INF754K01EB2 EDELWEISS ARBITRAGE FUND DIRECT PLAN IDCW PAYOUT 7.5 92.5 DIRECT No
1418 EDATMD-DP INF754K01HT7 EDELWEISS ARBITRAGE FUND-REGULAR PLAN-MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
1419 EDATMR-DP INF754K01HW1 EDELWEISS ARBITRAGE FUND-DIRECT PLAN-MONTHLY IDCW PAYOUT 7.5 92.5 DIRECT No
1420 AXIODP-DP INF846K01PR8 AXIS CREDIT RISK FUND - REGULAR PLAN MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
1421 AXIODG-GR INF846K01PJ5 AXIS CREDIT RISK FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
1422 AXIOGP-GR INF846K01PO5 AXIS CREDIT RISK FUND - REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
1423 DS543-DP INF740K01Z35 DSP GLOBAL ALLOCATION FUND - REGULAR - IDCW PAYOUT 7.5 92.5 NORMAL No
1424 DS542-GR INF740K01Z27 DSP GLOBAL ALLOCATION FUND - REGULAR - GROWTH 7.5 92.5 NORMAL No
1425 DS815-GR INF740K01Z50 DSP GLOBAL ALLOCATION FUND - DIR - GROWTH 7.5 92.5 DIRECT No
1426 HDGFGPG-GR INF179KA1RT1 HDFC LARGE AND MID CAP FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
1427 HDGFDPD-DP INF179KA1RU9 HDFC LARGE AND MID CAP FUND - REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
1428 HDGFG1G-GR INF179KA1RQ7 HDFC LARGE AND MID CAP FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
1429 HDGFD1D-DP INF179KA1RR5 HDFC LARGE AND MID CAP FUND - DIRECT PLAN - IDCW PLAN PAYOUT 7.5 92.5 DIRECT No
1430 HDACDPD-DP INF179KA1SA9 HDFC SMALL CAP FUND - REGULAR PLAN - IDCW PAYOUT OPTION 7.5 92.5 NORMAL No
1431 HDACGPG-GR INF179KA1RZ8 HDFC SMALL CAP FUND - REGULAR PLAN - GROWTH OPTION 7.5 92.5 NORMAL No
1432 HDACG1G-GR INF179KA1RW5 HDFC SMALL CAP FUND - DIRECT PLAN - GROWTH OPTION 7.5 92.5 DIRECT No
1433 HDACD1D-DP INF179KA1RX3 HDFC SMALL CAP FUND - DIRECT PLAN - IDCW PAYOUT OPTION 7.5 92.5 DIRECT No
1434 HDMAGPG-GR INF179KA1SF8 HDFC DYNAMIC PE RATIO FUND OF FUNDS - REGULAR PLAN - GROWTH (ERSTWHILE MORGAN STANLEY 7.5MULTI ASSET FUND) 92.5 NORMAL No
1435 HDMAQDD-DP INF179KA1SG6 HDFC DYNAMIC PE RATIO FUND OF FUNDS - REGULAR PLAN - DIVIDEND (ERSTWHILE MORGAN STANLEY 7.5 MULTI ASSET FUND)-IDCW 92.5
PAYOUT
NORMAL No
1436 HDMAG1G-GR INF179KA1SC5 HDFC DYNAMIC PE RATIO FUND OF FUNDS - DIRECT PLAN - GROWTH (ERSTWHILE MORGAN STANLEY7.5 MULTI ASSET FUND) 92.5 DIRECT No
1437 RGCBD1-GR INF205K01I83 INVESCO INDIA CREDIT RISK FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
1438 RGCBGP-GR INF205K01I34 INVESCO INDIA CREDIT RISK FUND - REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
1439 AXEAGP-GR INF846K01QC8 AXIS ARBITRAGE FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
1440 AXEADG-GR INF846K01PZ1 AXIS ARBITRAGE FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
1441 AXEAD1DP-DP INF846K01QA2 AXIS ARBITRAGE FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
1442 AXEADP-DP INF846K01QD6 AXIS ARBITRAGE FUND - REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
1443 RLJEAG-GR INF204KA1SI1 NIPPON INDIA JAPAN EQUITY FUND - DIRECT PLAN - GROWTH PLAN - GROWTH OPTION 7.5 92.5 DIRECT No
1444 RLJEGP-GR INF204KA1SH3 NIPPON INDIA JAPAN EQUITY FUND - GROWTH PLAN - GROWTH OPTION 7.5 92.5 NORMAL No
1445 ID300-DP INF194KA1UF5 BANDHAN BALANCED ADVANTAGE FUND REGULAR PLAN IDCW PAYOUT 7.5 92.5 NORMAL No
1446 IDD299-GR INF194KA1UH1 BANDHAN BALANCED ADVANTAGE FUND DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
1447 ID299-GR INF194KA1UE8 BANDHAN BALANCED ADVANTAGE FUND REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
1448 KM35-GR INF174K01C78 KOTAK EQUITY SAVINGS FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
1449 KO35D-GR INF174K01D28 KOTAK EQUITY SAVINGS FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
1450 KM36DP-DP INF174K01C86 KOTAK EQUITY SAVINGS FUND - REGULAR PLAN - MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
1451 KO36D-DP INF174K01D36 KOTAK EQUITY SAVINGS FUND - DIRECT PLAN - MONTHLY IDCW PAYOUT 7.5 92.5 DIRECT No
1452 IFIGDG-GR INF579M01902 360 ONE FOCUSED EQUITY FUND DIRECT PLAN- GROWTH 7.5 92.5 DIRECT No
1453 IFIGDDP-DP INF579M01910 360 ONE FOCUSED EQUITY FUND DIRECT PLAN- IDCW PAYOUT 7.5 92.5 DIRECT No
1454 IFIGRG-GR INF579M01878 360 ONE FOCUSED EQUITY FUND REGULAR PLAN- GROWTH 7.5 92.5 NORMAL No
1455 IFIGRDP-DP INF579M01886 360 ONE FOCUSED EQUITY FUND REGULAR PLAN- IDCW PAYOUT 7.5 92.5 NORMAL No
1456 BS106DP-DP INF084M01AC6 ADITYA BIRLA SUN LIFE BALANCED ADVANTAGE FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
1457 BS105G-GR INF084M01AB8 ADITYA BIRLA SUN LIFE BALANCED ADVANTAGE FUND - GROWTH OPTION 7.5 92.5 NORMAL No
1458 BSD105-GR INF084M01DJ5 ADITYA BIRLA SUN LIFE BALANCED ADVANTAGE FUND - GROWTH DIRECT 7.5 92.5 DIRECT No
1459 BSD106P-DP INF084M01DK3 ADITYA BIRLA SUN LIFE BALANCED ADVANTAGE FUND DIRECT PLAN IDCW PAYOUT OPTION 7.5 92.5 DIRECT No
1460 BS103B-GR INF084M01AE2 ADITYA BIRLA SUN LIFE ASSET ALLOCATOR FOF SCHEME - GROWTH 7.5 92.5 NORMAL No
1461 BS103Y-GR INF084M01DM9 ADITYA BIRLA SUN LIFE ASSET ALLOCATOR FOF SCHEME DIRECT PLAN GROWTH OPTION 7.5 92.5 DIRECT No
1462 BS103A-DP INF084M01AF9 ADITYA BIRLA SUN LIFE ASSET ALLOCATOR FOF SCHEME - IDCW PAYOUT 7.5 92.5 NORMAL No
1463 BS104B-GR INF084M01AH5 ADITYA BIRLA SUN LIFE ACTIVE DEBT MULTI-MANAGER FOF SCHEME - GROWTH 7.5 92.5 NORMAL No
1464 BS104Y-GR INF084M01DP2 ADITYA BIRLA SUN LIFE ACTIVE DEBT MULTI MANAGER FOF SCHEME DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
1465 BS374-GR INF084M01AZ7 ADITYA BIRLA SUN LIFE GLOBAL EXCELLENCE EQUITY FUND OF FUND RETAIL PLAN GROWTH 7.5 92.5 NORMAL No
1466 BSD374-GR INF084M01EH7 ADITYA BIRLA SUN LIFE GLOBAL EXCELLENCE EQUITY FUND OF FUND RETAIL PLAN DIRECT PLAN GROWTH
7.5 92.5 DIRECT No
1467 BS1050-GR INF084M01AT0 ADITYA BIRLA SUN LIFE GLOBAL EMERGING OPPORTUNITIES FUND GROWTH 7.5 92.5 NORMAL No
1468 BS1049P-DP INF084M01AU8 ADITYA BIRLA SUN LIFE GLOBAL EMERGING OPPORTUNITIES FUND IDCW PAYOUT 7.5 92.5 NORMAL No
1469 BSD1050-GR INF084M01EB0 ADITYA BIRLA SUN LIFE GLOBAL EMERGING OPPORTUNITIES FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
1470 FT615-GR INF090I01LE4 FRANKLIN INDIA MULTI-ASSET SOLUTION FUND - GROWTH 7.5 92.5 NORMAL No
1471 FR614P-DP INF090I01LF1 FRANKLIN INDIA MULTI-ASSET SOLUTION FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
1472 FT617-GR INF090I01LH7 FRANKLIN INDIA MULTI - ASSET SOLUTION FUND - DIRECT GROWTH 7.5 92.5 DIRECT No
1473 BS249Y-GR INF209KA1TP9 ADITYA BIRLA SUN LIFE EQUITY SAVINGS FUND - GROWTH DIRECT 7.5 92.5 DIRECT No
1474 BS249X-DP INF209KA1TQ7 ADITYA BIRLA SUN LIFE EQUITY SAVINGS FUND - DIRECT-IDCW PAYOUT 7.5 92.5 DIRECT No
1475 BS249A-DR INF209KA1TT1 ADITYA BIRLA SUN LIFE EQUITY SAVINGS FUND REGULAR PLAN IDCW REINVESTMENT 7.5 92.5 NORMAL No
1476 BSL249B-GR INF209KA1TS3 ADITYA BIRLA SUN LIFE EQUITY SAVINGS FUND REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
1477 IC2556-GR INF109KA14I5 ICICI PRUDENTIAL EQUITY SAVINGS FUND CUMULATIVE 7.5 92.5 NORMAL No
1478 IC8760P-DP INF109KA13J5 ICICI PRUDENTIAL EQUITY SAVINGS FUND DIRECT PLAN QUARTERLY IDCW PAYOUT 7.5 92.5 DIRECT No
1479 IC2558P-DP INF109KA16I0 ICICI PRUDENTIAL EQUITY SAVINGS FUND QUARTERLY IDCW PAYOUT 7.5 92.5 NORMAL No
1480 IC8758-GR INF109KA11J9 ICICI PRUDENTIAL EQUITY SAVINGS FUND DIRECT PLAN CUMULATIVE 7.5 92.5 DIRECT No
1481 BPCOGP-GR INF955L01FP0 BARODA BNP PARIBAS CREDIT RISK FUND (SCHEME HAS ONE SEGREGATED PORTFOLIO) REGULAR GROWTH 7.5 92.5 NORMAL No
1482 BPCOD2-GR INF955L01FR6 BARODA BNP PARIBAS CREDIT RISK FUND (SCHEME HAS ONE SEGREGATED PORTFOLIO) DIRECT GROWTH 7.5 92.5 DIRECT No
1483 BS250B-GR INF209KA1YH6 ADITYA BIRLA SUN LIFE MANUFACTURING EQUITY FUND-REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
1484 BS250X-DP INF209KA1YL8 ADITYA BIRLA SUN LIFE MANUFACTURING EQUITY FUND-DIRECT IDCW PAYOUT 7.5 92.5 DIRECT No
1485 BS250A-DP INF209KA1YI4 ADITYA BIRLA SUN LIFE MANUFACTURING EQUITY FUND-REGULAR PLAN-IDCW PAYOUT 7.5 92.5 NORMAL No
1486 BS250Y-GR INF209KA1YK0 ADITYA BIRLA SUN LIFE MANUFACTURING EQUITY FUND-DIRECT GROWTH 7.5 92.5 DIRECT No
1487 LCMCD1-DP INF767K01ND1 LIC MF LARGE AND MIDCAP FUND-DIRECT PLAN-DIVIDEND-IDCW PAYOUT 7.5 92.5 DIRECT No
1488 LCMCG1-GR INF767K01NE9 LIC MF LARGE AND MIDCAP FUND-DIRECT PLAN-GROWTH-GROWTH 7.5 92.5 DIRECT No
1489 LCMCGP-GR INF767K01NB5 LIC MF LARGE AND MIDCAP FUND-REGULAR PLAN-GROWTH-GROWTH 7.5 92.5 NORMAL No
1490 LCMCDP-DP INF767K01NA7 LIC MF LARGE AND MIDCAP FUND-REGULAR PLAN-DIVIDEND-IDCW PAYOUT 7.5 92.5 NORMAL No
Approved Securities List for the Month of April 2024
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
1491 KO208GD-GR INF178L01BY0 KOTAK CORPORATE BOND FUND - DIRECT PLAN - GROWTH collateral margin of Rs. 7.5 92.5 DIRECT No
1492 KO208G-GR INF178L01BO1 KOTAK CORPORATE BOND FUND STANDARD GROWTH 7.5 92.5 NORMAL No
1493 KO208MP-DP INF178L01BQ6 KOTAK CORPORATE BOND FUND STANDARD MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
1494 KO03G-GR INF178L01095 KOTAK INFRASTRUCTURE AND ECONOMIC REFORM FUND STANDARD GROWTH 7.5 92.5 NORMAL No
1495 KOP03DP-DP INF178L01079 KOTAK INFRASTRUCTURE AND ECONOMIC REFORM FUND STANDARD IDCW PAYOUT 7.5 92.5 NORMAL No
1496 KOP03DD-DP INF178L01AK1 KOTAK INFRASTRUCTURE AND ECONOMIC REFORM FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
1497 KO03GD-GR INF178L01AL9 KOTAK INFRASTRUCTURE AND ECONOMIC REFORM FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
1498 KO205G-GR INF178L01202 KOTAK LOW DURATION FUND GROWTH 7.5 92.5 NORMAL No
1499 KO205MP-DP INF178L01210 KOTAK LOW DURATION FUND - REGULAR PLAN - STANDARD - IDCW PAYOUT 7.5 92.5 NORMAL No
1500 KO205GD-GR INF178L01AX4 KOTAK LOW DURATION FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
1501 PRDEGP-GR INF663L01FJ3 PGIM INDIA FLEXI CAP FUND - REGULAR PLAN - GROWTH OPTION 7.5 92.5 NORMAL No
1502 PRDED1-DP INF663L01FG9 PGIM INDIA FLEXI CAP FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
1503 PRDEDP-DP INF663L01FK1 PGIM INDIA FLEXI CAP FUND - REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
1504 PRDEG1-GR INF663L01FF1 PGIM INDIA FLEXI CAP FUND - DIRECT PLAN - GROWTH OPTION - GROWTH 7.5 92.5 DIRECT No
1505 SB464G-GR INF200KA1473 SBI BANKING AND FINANCIAL SERVICES FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
1506 SBD464G-GR INF200KA1507 SBI BANKING AND FINANCIAL SERVICES FUND - DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
1507 SB464DP-DP INF200KA1481 SBI BANKING AND FINANCIAL SERVICES FUND - REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
1508 BACSRG-GR INF761K01DH6 BANK OF INDIA CREDIT RISK FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
1509 BACSDG-GR INF761K01DG8 BANK OF INDIA CREDIT RISK FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
1510 LCBKDP-DP INF767K01NG4 LIC MF BANKING AND FINANCIAL SERVICES FUND-DIVIDEND PLAN-IDCW PAYOUT 7.5 92.5 NORMAL No
1511 LCBKGP-GR INF767K01NH2 LIC MF BANKING AND FINANCIAL SERVICES FUND- GROWTH PLAN 7.5 92.5 NORMAL No
1512 LCBKG1-GR INF767K01NK6 LIC MF BANKING AND FINANCIAL SERVICES FUND-DIRECT - GROWTH PLAN-GROWTH 7.5 92.5 DIRECT No
1513 DS827-GR INF740K013Q1 DSP LOW DURATION FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
1514 DS554-GR INF740K018P2 DSP LOW DURATION FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
1515 SUN153-GR INF903J01IN3 SUNDARAM BANKING AND PSU DEBT FUND REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
1516 SUN156P-DP INF903J01IO1 SUNDARAM BANKING AND PSU DEBT FUND REGULAR MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
1517 SUN153PB-GR INF903J01LY4 SUNDARAM BANKING AND PSU DEBT FUND- REGULAR - BONUS 7.5 92.5 NORMAL No
1518 SU153DP-GR INF903J01PA5 SUNDARAM BANKING AND PSU DEBT FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
1519 BL380B-GR INF209KA1K47 ADITYA BIRLA SUN LIFE CREDIT RISK FUND - GROWTH REGULAR 7.5 92.5 NORMAL No
1520 BS380X-DP INF209KA1K96 ADITYA BIRLA SUN LIFE CREDIT RISK FUND - IDCW DIRECT 7.5 92.5 DIRECT No
1521 BL380A-DP INF209KA1K54 ADITYA BIRLA SUN LIFE CREDIT RISK FUND - IDCW PAYOUT REGULAR 7.5 92.5 NORMAL No
1522 BS380Y-GR INF209KA1K88 ADITYA BIRLA SUN LIFE CREDIT RISK FUND - GROWTH DIRECT 7.5 92.5 DIRECT No
1523 QDBGP-GR INF082J01176 QUANTUM DYNAMIC BOND FUND - DIRECT PLAN GROWTH OPTION 7.5 92.5 DIRECT No
1524 QTDBRG-GR INF082J01218 QUANTUM DYNAMIC BOND FUND - REGULAR PLAN GROWTH OPTION 7.5 92.5 NORMAL No
1525 UTMZGPG-GR INF789FB1JU4 UTI MEDIUM DURATION FUND -REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
1526 RLBPGP-GR INF204KA1T56 NIPPON INDIA BANKING AND PSU DEBT FUND - GROWTH PLAN-GROWTH OPTION 7.5 92.5 NORMAL No
1527 RLBPAG-GR INF204KA1U53 NIPPON INDIA BANKING AND PSU DEBT FUND - DIRECT GROWTH PLAN - GROWTH 7.5 92.5 DIRECT No
1528 RLBPDP-DP INF204KA1T72 NIPPON INDIA BANKING AND PSU DEBT FUND - DIVIDEND PLAN-IDCW PAYOUT OPTION 7.5 92.5 NORMAL No
1529 RLBPMP-DP INF204KA1U38 NIPPON INDIA BANKING AND PSU DEBT FUND - MONTHLY DIVIDEND PLAN-IDCW PAYOUT OPTION 7.5 92.5 NORMAL No
1530 RLESGP-GR INF204KA1V94 NIPPON INDIA EQUITY SAVINGS FUND--GROWTH 7.5 92.5 NORMAL No
1531 RLESAG-GR INF204KA1W77 NIPPON INDIA EQUITY SAVINGS FUND- DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
1532 RLESDP-DP INF204KA1W10 NIPPON INDIA EQUITY SAVINGS FUND--IDCW PAYOUT 7.5 92.5 NORMAL No
1533 RLESMP-DP INF204KA1W51 NIPPON INDIA EQUITY SAVINGS FUND--MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
1534 RLESQP-DP INF204KA1W36 NIPPON INDIA EQUITY SAVINGS FUND--QUARTERLY IDCW PAYOUT 7.5 92.5 NORMAL No
1535 SB473MP-DP INF200KA1DB2 SBI EQUITY SAVINGS FUND - REGULAR PLAN - MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
1536 SB473QP-DP INF200KA1DD8 SBI EQUITY SAVINGS FUND - REGULAR PLAN - QUARTERLY IDCW PAYOUT 7.5 92.5 NORMAL No
1537 SB473G-GR INF200KA1DA4 SBI EQUITY SAVINGS FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
1538 MAFPFD1-GR INF769K01DH9 MIRAE ASSET AGGRESSIVE HYBRID FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
1539 MAFPFD2-DP INF769K01DI7 MIRAE ASSET AGGRESSIVE HYBRID FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
1540 MAPFRG-GR INF769K01DE6 MIRAE ASSET AGGRESSIVE HYBRID FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
1541 MAPFRD-DP INF769K01DF3 MIRAE ASSET AGGRESSIVE HYBRID FUND - REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
1542 RLUEGP-GR INF204KA12G2 NIPPON INDIA US EQUITY OPPORTUNITIES FUND--GROWTH PLAN-GROWTH 7.5 92.5 NORMAL No
1543 RLUEAG-GR INF204KA15G5 NIPPON INDIA US EQUITY OPPORTUNITES FUND - DIRECT GROWTH PLAN - GROWTH 7.5 92.5 DIRECT No
1544 RLUEDP-DP INF204KA13G0 NIPPON INDIA US EQUITY OPPORTUNITIES FUND--DIVIDEND PLAN-IDCW PAYOUT 7.5 92.5 NORMAL No
1545 RLUEAD-DP INF204KA16G3 NIPPON INDIA US EQUITY OPPORTUNITES FUND - DIRECT IDCW PAYOUT 7.5 92.5 DIRECT No
1546 AXESRD-DP INF846K01XR2 AXIS EQUITY SAVER FUND - REGULAR PLAN - REGULAR IDCW PAYOUT 7.5 92.5 NORMAL No
1547 AXESDG-GR INF846K01VJ3 AXIS EQUITY SAVER FUND DIRECT GROWTH 7.5 92.5 DIRECT No
1548 AXESDM-DP INF846K01VK1 AXIS EQUITY SAVER FUND DIRECT MONTHLY IDCW PAYOUT 7.5 92.5 DIRECT No
1549 AXESGP-GR INF846K01VO3 AXIS EQUITY SAVER FUND REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
1550 AXESDP-DP INF846K01VP0 AXIS EQUITY SAVER FUND REGULAR PLAN MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
1551 AXESQD-DP INF846K01VR6 AXIS EQUITY SAVER FUND REGULAR PLAN QUARTERLY IDCW PAYOUT 7.5 92.5 NORMAL No
1552 INVDDG-GR INF666M01BE4 GROWW VALUE FUND - DIRECT PLAN - GROWTH OPTION 7.5 92.5 DIRECT No
1553 INVDRG-GR INF666M01BH7 GROWW VALUE FUND - REGULAR PLAN - GROWTH OPTION 7.5 92.5 NORMAL No
1554 PLMCGDG-GR INF959L01CH6 NAVI LARGE AND MIDCAP FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
1555 PLMCGP-GR INF959L01CK0 NAVI LARGE AND MIDCAP FUND - REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
1556 PLMCDPD-DP INF959L01CL8 NAVI LARGE AND MIDCAP FUND - REGULAR NORMAL IDCW PAYOUT 7.5 92.5 NORMAL No
1557 TABSDZ-DP INF277K01Z36 TATA BANKING AND FINANCIAL SERVICES FUND DIRECT PLAN IDCW PAYOUT 7.5 92.5 DIRECT No
1558 TABSGZ-GR INF277K01Z10 TATA BANKING AND FINANCIAL SERVICES FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
1559 TABSG-GR INF277K01Y86 TATA BANKING AND FINANCIAL SERVICES FUND REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
1560 TABSD-DP INF277K01Z02 TATA BANKING AND FINANCIAL SERVICES FUND REGULAR PLAN IDCW PAYOUT 7.5 92.5 NORMAL No
1561 TADIFG-GR INF277K01Z44 TATA DIGITAL INDIA FUND REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
1562 TADIFDZ-DP INF277K01Z93 TATA DIGITAL INDIA FUND DIRECT PLAN IDCW PAYOUT 7.5 92.5 DIRECT No
1563 TADIFD-DP INF277K01Z69 TATA DIGITAL INDIA FUND REGULAR PLAN IDCW PAYOUT 7.5 92.5 NORMAL No
1564 TADIFGZ-GR INF277K01Z77 TATA DIGITAL INDIA FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
1565 TAICFDZ-DP INF277K015A1 TATA INDIA CONSUMER FUND DIRECT PLAN IDCW PAYOUT 7.5 92.5 DIRECT No
1566 TAICFD-DP INF277K012A8 TATA INDIA CONSUMER FUND REGULAR PLAN IDCW PAYOUT 7.5 92.5 NORMAL No
1567 TAICFG-GR INF277K010A2 TATA INDIA CONSUMER FUND REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
1568 TAICFGZ-GR INF277K013A6 TATA INDIA CONSUMER FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
1569 TAIPHDZ-DP INF277K011B8 TATA INDIA PHARMA AND HEALTHCARE FUND DIRECT PLAN IDCW PAYOUT 7.5 92.5 DIRECT No
1570 TAIPHGZ-GR INF277K019A3 TATA INDIA PHARMA AND HEALTHCARE FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
1571 TAIPHD-DP INF277K018A5 TATA INDIA PHARMA AND HEALTHCARE FUND REGULAR PLAN IDCW PAYOUT 7.5 92.5 NORMAL No
1572 TAIPHG-GR INF277K016A9 TATA INDIA PHARMA AND HEALTHCARE FUND REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
1573 TAREFGZ-GR INF277K015B9 TATA RESOURCES AND ENERGY FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
1574 TAREFG-GR INF277K012B6 TATA RESOURCES AND ENERGY FUND REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
1575 TAREFDZ-DP INF277K017B5 TATA RESOURCES AND ENERGY FUND DIRECT PLAN IDCW PAYOUT 7.5 92.5 DIRECT No
1576 TAREFD-DP INF277K014B2 TATA RESOURCES AND ENERGY FUND REGULAR PLAN IDCW PAYOUT 7.5 92.5 NORMAL No
1577 ID303-GR INF194KA1L81 BANDHAN CORPORATE BOND FUND REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
1578 IDD303-GR INF194KA1M23 BANDHAN CORPORATE BOND FUND DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
1579 IDD305-DP INF194KA1S43 BANDHAN CORPORATE BOND FUND DIRECT PLAN-MONTHLY IDCW PAYOUT 7.5 92.5 DIRECT No
1580 ID305-DP INF194KA1R28 BANDHAN CORPORATE BOND FUND-REGULAR PLAN -MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
1581 DS835-GR INF740KA1504 DSP EQUITY SAVINGS FUND - DIR - GROWTH 7.5 92.5 DIRECT No
1582 DS562-GR INF740KA1439 DSP EQUITY SAVINGS FUND - REG - GROWTH 7.5 92.5 NORMAL No
1583 DS563-DP INF740KA1447 DSP EQUITY SAVINGS FUND - REG - IDCW PAYOUT 7.5 92.5 NORMAL No
1584 PRFEDP-DP INF663L01GU8 PGIM INDIA LARGE CAP FUND - REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
1585 PRFEGP-GR INF663L01GW4 PGIM INDIA LARGE CAP FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
1586 PRFED1-GR INF663L01GR4 PGIM INDIA LARGE CAP FUND - DIRECT PLAN - GROWTH - GROWTH 7.5 92.5 DIRECT No
1587 PRFED2-DP INF663L01GS2 PGIM INDIA LARGE CAP FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
1588 DWBFRG-GR INF223J01DB2 PGIM INDIA CORPORATE BOND FUND REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
1589 PRFBD1-GR INF223J01OO2 PGIM INDIA CORPORATE BOND FUND DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
1590 PR2FD2-DR INF223J01QL3 PGIM INDIA ULTRA SHORT DURATION FUND DIRECT PLAN - DAILY IDCW REINVESTMENT 7.5 92.5 DIRECT No
1591 PR2FD1-GR INF223J01QO7 PGIM INDIA ULTRA SHORT DURATION FUND DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
1592 DWSFFIG-GR INF223J01FK8 PGIM INDIA ULTRA SHORT DURATION FUND REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
1593 DWMARM-DP INF223J01FC5 PGIM INDIA EQUITY SAVINGS FUND - REGULAR PLAN - MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
1594 DWMARG-GR INF223J01FB7 PGIM INDIA EQUITY SAVINGS FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
1595 PRMAD1-GR INF223J01QD0 PGIM INDIA EQUITY SAVINGS FUND - DIRECT PLAN - GROWTH - GROWTH 7.5 92.5 DIRECT No
1596 PRIODP-DP INF663L01HA8 PGIM INDIA HYBRID EQUITY FUND - REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
1597 PRIOGP-GR INF663L01HC4 PGIM INDIA HYBRID EQUITY FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
1598 PRIOD1-GR INF663L01GX2 PGIM INDIA HYBRID EQUITY FUND - DIRECT PLAN - GROWTH - GROWTH 7.5 92.5 DIRECT No
1599 PRIOMD-DP INF663L01NY6 PGIM INDIA HYBRID EQUITY FUND - REGULAR PLAN - MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
1600 DWGTGP-GR INF223J01AY0 PGIM INDIA EMERGING MARKETS EQUITY FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
1601 PRGTD1-GR INF223J01NL0 PGIM INDIA EMERGING MARKETS EQUITY FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
1602 DWGAGR-GR INF223J01AU8 PGIM INDIA GLOBAL EQUITY OPPORTUNITIES FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
1603 PRGAD1-GR INF223J01NF2 PGIM INDIA GLOBAL EQUITY OPPORTUNITIES FUND - DIRECT PLAN - GROWTH - GROWTH 7.5 92.5 DIRECT No
Approved Securities List for the Month of April 2024
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
1604 PRARD1-GR INF223J013N7 PGIM INDIA ARBITRAGE FUND - DIRECT PLAN-GROWTH - GROWTH collateral margin of Rs. 7.5 92.5 DIRECT No
1605 DWARGPG-GR INF223J019N4 PGIM INDIA ARBITRAGE FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
1606 DWARMD-DP INF223J011M3 PGIM INDIA ARBITRAGE FUND - REGULAR PLAN - MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
1607 BAMCDG-GR INF761K01DM6 BANK OF INDIA MID & SMALL CAP EQUITY & DEBT FUND DIRECT PLAN - GROWTHGROWTH 7.5 92.5 DIRECT No
1608 BAMCRD-DP INF761K01DQ7 BANK OF INDIA MID & SMALL CAP EQUITY & DEBT FUND REGULAR - IDCW PAYOUT 7.5 92.5 NORMAL No
1609 BAMCRG-GR INF761K01DP9 BANK OF INDIA MID & SMALL CAP EQUITY & DEBT FUND REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
1610 BAMCDD-DP INF761K01DN4 BANK OF INDIA MID & SMALL CAP EQUITY & DEBT FUND DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
1611 MODEAD-DP INF247L01601 MOTILAL OSWAL BALANCE ADVANTAGE FUND - REGULAR ANNUAL IDCW PAYOUT 7.5 92.5 NORMAL No
1612 MODEDQ-DP INF247L01643 MOTILAL OSWAL BALANCE ADVANTAGE FUND - DIRECT QUARTERLY IDCW PAYOUT 7.5 92.5 DIRECT No
1613 MODEGP-GR INF247L01585 MOTILAL OSWAL BALANCE ADVANTAGE FUND - REGULAR GROWTH 7.5 92.5 NORMAL No
1614 MODEQD-DP INF247L01593 MOTILAL OSWAL BALANCE ADVANTAGE FUND - REGULAR QUARTERLY IDCW PAYOUT 7.5 92.5 NORMAL No
1615 MODEGD-GR INF247L01635 MOTILAL OSWAL BALANCE ADVANTAGE FUND - DIRECT GROWTH 7.5 92.5 DIRECT No
1616 EDEFRG-GR INF843K01047 EDELWEISS LARGE AND MID CAP FUND - REGULAR PLAN - GROWTH OPTION 7.5 92.5 NORMAL No
1617 EDEFRD-DP INF843K01054 EDELWEISS LARGE AND MID CAP FUND - REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
1618 EDEFD2-DP INF843K01AM8 EDELWEISS LARGE AND MID CAP FUND - DIRECT PLAN IDCW PAYOUT 7.5 92.5 DIRECT No
1619 EDEFD1-GR INF843K01AL0 EDELWEISS LARGE AND MID CAP FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
1620 EDMSRG-GR INF843K01013 EDELWEISS MID CAP FUND - REGULAR PLAN - GROWTH OPTION 7.5 92.5 NORMAL No
1621 EDMSRD-DP INF843K01021 EDELWEISS MID CAP FUND - REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
1622 EDMSD2-DP INF843K01AP1 EDELWEISS MID CAP FUND - DIRECT PLAN IDCW PAYOUT 7.5 92.5 DIRECT No
1623 EDMSD1-GR INF843K01AO4 EDELWEISS MID CAP FUND - DIRECT PLAN GROWTH OPTION 7.5 92.5 DIRECT No
1624 EDGCGP-GR INF843K01138 EDELWEISS GREATER CHINA EQUITY OFF-SHORE FUND - REGULAR PLAN - GROWTH OPTION 7.5 92.5 NORMAL No
1625 EDGCD1-GR INF843K01AU1 EDELWEISS GREATER CHINA EQUITY OFF-SHORE FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
1626 EDASGP-GR INF843K01609 EDELWEISS ASEAN EQUITY OFF-SHORE FUND - REGULAR PLAN - GROWTH OPTION 7.5 92.5 NORMAL No
1627 EDASD1-GR INF843K01AW7 EDELWEISS ASEAN EQUITY OFF-SHORE FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
1628 EDUSRG-GR INF843K01ED9 EDELWEISS US VALUE EQUITY OFF-SHORE FUND- REGULAR PLAN- GROWTH OPTION 7.5 92.5 NORMAL No
1629 EDUSD1-GR INF843K01EC1 EDELWEISS US VALUE EQUITY OFF SHORE FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
1630 EDPSRG-GR INF843K01FK1 EDELWEISS BANKING AND PSU DEBT FUND - REGULAR PLAN - GROWTH OPTION 7.5 92.5 NORMAL No
1631 EDPSD1-GR INF843K01FC8 EDELWEISS BANKING AND PSU DEBT FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
1632 EDEDGP-GR INF843K01GJ1 EDELWEISS EUROPE DYNAMIC EQUITY OFF-SHORE FUND - REGULAR PLAN - GROWTH OPTION 7.5 92.5 NORMAL No
1633 EDEDD1-GR INF843K01GI3 EDELWEISS EUROPE DYNAMIC EQUITY OFF-SHORE FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
1634 EDEMD1-GR INF843K01IZ3 EDELWEISS EMERGING MARKETS OPPORTUNITIES EQUITY OFF-SHORE FUND - DIRECT PLAN - GROWTH 7.5OPTION 92.5 DIRECT No
1635 EDEMGP-GR INF843K01IY6 EDELWEISS EMERGING MARKETS OPPORTUNITIES EQUITY OFF-SHORE FUND - REGULAR PLAN - GROWTH 7.5 OPTION 92.5 NORMAL No
1636 EDEID1-GR INF843K01KC8 EDELWEISS EQUITY SAVINGS FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
1637 EDEIRD-DP INF843K01KI5 EDELWEISS EQUITY SAVINGS FUND - REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
1638 EDEIRG-GR INF843K01KG9 EDELWEISS EQUITY SAVINGS FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
1639 EDEIMR-DP INF754K01IP3 EDELWEISS EQUITY SAVINGS FUND-REGULAR PLAN MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
1640 EDERD1-GR INF843K01KK1 EDELWEISS FLEXI CAP FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
1641 EDERGP-GR INF843K01KN5 EDELWEISS FLEXI CAP FUND - REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
1642 EDERRD-DP INF843K01KO3 EDELWEISS FLEXI CAP FUND - REGULAR IDCW PAYOUT 7.5 92.5 NORMAL No
1643 ID311-GR INF194KA1U15 BANDHAN HYBRID EQUITY FUND REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
1644 IDD311-GR INF194KA1U56 BANDHAN HYBRID EQUITY FUND DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
1645 IDD312-DP INF194KA1U64 BANDHAN HYBRID EQUITY FUND DIRECT PLAN-IDCW PAYOUT 7.5 92.5 DIRECT No
1646 ID312-DP INF194KA1U23 BANDHAN HYBRID EQUITY FUND REGULAR PLAN- IDCW PAYOUT 7.5 92.5 NORMAL No
1647 MHMDYDG-GR INF174V01184 MAHINDRA MANULIFE EQUITY SAVINGS FUND - DIRECT - GROWTH 7.5 92.5 DIRECT No
1648 MHMDYRP-DP INF174V01168 MAHINDRA MANULIFE EQUITY SAVINGS FUND - REGULAR - IDCW PAYOUT 7.5 92.5 NORMAL No
1649 MHMDYRG-GR INF174V01150 MAHINDRA MANULIFE EQUITY SAVINGS FUND - REGULAR - GROWTH 7.5 92.5 NORMAL No
1650 IDD313-GR INF194KA1X61 BANDHAN CREDIT RISK FUND-DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
1651 ID313-GR INF194KA1W39 BANDHAN CREDIT RISK FUND-REGULAR PLAN -GROWTH 7.5 92.5 NORMAL No
1652 MHMSYDG-GR INF174V01267 MAHINDRA MANULIFE LOW DURATION FUND - DIRECT - GROWTH 7.5 92.5 DIRECT No
1653 MHMSYRG-GR INF174V01218 MAHINDRA MANULIFE LOW DURATION FUND - REGULAR - GROWTH 7.5 92.5 NORMAL No
1654 MADBRD-DP INF769K01DP2 MIRAE ASSET DYNAMIC BOND FUND-REGULAR PLAN IDCW PAYOUT 7.5 92.5 NORMAL No
1655 MADBDG-GR INF769K01DR8 MIRAE ASSET DYNAMIC BOND FUND-DIRECT GROWTH 7.5 92.5 DIRECT No
1656 MADBRG-GR INF769K01DO5 MIRAE ASSET DYNAMIC BOND FUND-REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
1657 MHMBYDP-DP INF174V01366 MAHINDRA MANULIFE MULTI CAP FUND - DIRECT - IDCW PAYOUT 7.5 92.5 DIRECT No
1658 MHMBYRG-GR INF174V01317 MAHINDRA MANULIFE MULTI CAP FUND - REGULAR - GROWTH 7.5 92.5 NORMAL No
1659 MHMBYRP-DP INF174V01333 MAHINDRA MANULIFE MULTI CAP FUND - REGULAR - IDCW PAYOUT 7.5 92.5 NORMAL No
1660 MHMBYDG-GR INF174V01341 MAHINDRA MANULIFE MULTI CAP FUND - DIRECT - GROWTH 7.5 92.5 DIRECT No
1661 UNFLFG-GR INF582M01CQ5 UNION LARGECAP FUND REGULAR GROWTH 7.5 92.5 NORMAL No
1662 UNFLFGD-GR INF582M01CU7 UNION LARGECAP FUND DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
1663 UNFLFPD-DP INF582M01CV5 UNION LARGECAP FUND DIRECT PLAN-IDCW PAYOUT 7.5 92.5 DIRECT No
1664 UNFLFP-DP INF582M01CR3 UNION LARGECAP FUND REGULAR PLAN IDCW PAYOUT 7.5 92.5 NORMAL No
1665 AXCODG-GR INF846K01ZM8 AXIS CORPORATE DEBT FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
1666 AXCOGP-GR INF846K01ZU1 AXIS CORPORATE DEBT FUND - REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
1667 AXCODP-DP INF846K01ZY3 AXIS CORPORATE DEBT FUND - REGULAR PLAN MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
1668 AXDEDG-GR INF846K01A29 AXIS BALANCED ADVANTAGE FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
1669 AXDED1-DP INF846K01A37 AXIS BALANCED ADVANTAGE FUND DIRECT PLAN IDCW PAYOUT 7.5 92.5 DIRECT No
1670 AXDEGP-GR INF846K01A52 AXIS BALANCED ADVANTAGE FUND REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
1671 AXDEDP-DP INF846K01A60 AXIS BALANCED ADVANTAGE FUND REGULAR PLAN IDCW PAYOUT 7.5 92.5 NORMAL No
1672 IC3007-GR INF109KB17W7 ICICI PRUDENTIAL S&P BSE SENSEX INDEX FUND GROWTH 7.5 92.5 NORMAL No
1673 IC3008-DP INF109KB19W3 ICICI PRUDENTIAL S&P BSE SENSEX INDEX FUND IDCW 7.5 92.5 NORMAL No
1674 IC9209-GR INF109KB10X0 ICICI PRUDENTIAL S&P BSE SENSEX INDEX FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
1675 IC9210-DP INF109KB12X6 ICICI PRUDENTIAL S&P BSE SENSEX INDEX FUND DIRECT PLAN IDCW 7.5 92.5 DIRECT No
1676 DS573-GR INF740KA1CO4 DSP NIFTY 50 EQUAL WEIGHT INDEX FUND - REG - GROWTH 7.5 92.5 NORMAL No
1677 DS574-DP INF740KA1CP1 DSP NIFTY 50 EQUAL WEIGHT INDEX FUND - REG - IDCW PAYOUT 7.5 92.5 NORMAL No
1678 DS842-GR INF740KA1CR7 DSP NIFTY 50 EQUAL WEIGHT INDEX FUND - DIR - GROWTH 7.5 92.5 DIRECT No
1679 DS843-DP INF740KA1CS5 DSP NIFTY 50 EQUAL WEIGHT INDEX FUND - DIR - IDCW PAYOUT 7.5 92.5 DIRECT No
1680 HDHO1DT-DP INF179KC1AV1 HDFC HOUSING OPPORTUNITIES FUND - DIRECT PLAN - IDCW PAYOUT OPTION 7.5 92.5 DIRECT No
1681 HDHO1DR-DP INF179KC1AY5 HDFC HOUSING OPPORTUNITIES FUND - REGULAR PLAN - IDCW PAYOUT OPTION 7.5 92.5 NORMAL No
1682 HDHO1GR-GR INF179KC1AX7 HDFC HOUSING OPPORTUNITIES FUND - REGULAR PLAN - GROWTH OPTION 7.5 92.5 NORMAL No
1683 HDHO1GT-GR INF179KC1AU3 HDFC HOUSING OPPORTUNITIES FUND - DIRECT PLAN - GROWTH OPTION 7.5 92.5 DIRECT No
1684 AXMLDG-GR INF846K01B28 AXIS FLEXI CAP FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
1685 AXMLD1-DP INF846K01B02 AXIS FLEXI CAP FUND DIRECT PLAN IDCW PAYOUT 7.5 92.5 DIRECT No
1686 AXMLGP-GR INF846K01B51 AXIS FLEXI CAP FUND REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
1687 AXMLDP-DP INF846K01B36 AXIS FLEXI CAP FUND REGULAR PLAN IDCW PAYOUT 7.5 92.5 NORMAL No
1688 UNPFG-GR INF582M01DI0 UNION BALANCED ADVANTAGE FUND REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
1689 UNPFP-DP INF582M01DK6 UNION BALANCED ADVANTAGE FUND REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
1690 UNPFGD-GR INF582M01DE9 UNION BALANCED ADVANTAGE FUND DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
1691 MHEBYRP-DP INF174V01499 MAHINDRA MANULIFE MID CAP FUND - REGULAR - IDCW PAYOUT 7.5 92.5 NORMAL No
1692 MHEBYDP-DP INF174V01523 MAHINDRA MANULIFE MID CAP FUND - DIRECT - IDCW PAYOUT 7.5 92.5 DIRECT No
1693 MHEBYRG-GR INF174V01473 MAHINDRA MANULIFE MID CAP FUND - REGULAR - GROWTH 7.5 92.5 NORMAL No
1694 MHEBYDG-GR INF174V01507 MAHINDRA MANULIFE MID CAP FUND - DIRECT - GROWTH 7.5 92.5 DIRECT No
1695 DS579-DP INF740KA1DL8 DSP ARBITRAGE FUND - REG - IDCW MONTHLY PAYOUT 7.5 92.5 NORMAL No
1696 DS846-DP INF740KA1DO2 DSP ARBITRAGE FUND - DIR - IDCW PAYOUT 7.5 92.5 DIRECT No
1697 DS577-DP INF740KA1DJ2 DSP ARBITRAGE FUND - REG - IDCW PAYOUT 7.5 92.5 NORMAL No
1698 DS848-DP INF740KA1DQ7 DSP ARBITRAGE FUND - DIR - IDCW MONTHLY PAYOUT 7.5 92.5 DIRECT No
1699 DS576-GR INF740KA1DI4 DSP ARBITRAGE FUND - REG - GROWTH 7.5 92.5 NORMAL No
1700 DS845-GR INF740KA1DN4 DSP ARBITRAGE FUND - DIR - GROWTH 7.5 92.5 DIRECT No
1701 EDMORG-GR INF754K01MH2 EDELWEISS RECENTLY LISTED IPO FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
1702 EDMORD-DP INF754K01MI0 EDELWEISS RECENTLY LISTED IPO FUND - REGULAR PLAN - IDCW - PAYOUT 7.5 92.5 NORMAL No
1703 EDMODD-DP INF754K01MM2 EDELWEISS RECENTLY LISTED IPO FUND - DIRECT PLAN - IDCW - PAYOUT 7.5 92.5 DIRECT No
1704 EDMODG-GR INF754K01ML4 EDELWEISS RECENTLY LISTED IPO FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
1705 MASTD1-GR INF769K01DX6 MIRAE ASSET SHORT DURATION FUND DIRECT - GROWTH 7.5 92.5 DIRECT No
1706 MASTRG-GR INF769K01DU2 MIRAE ASSET SHORT DURATION FUND REGULAR - GROWTH 7.5 92.5 NORMAL No
1707 ESEHGPG-GR INF959L01DI2 NAVI EQUITY HYBRID FUND REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
1708 ESEHGDG-GR INF959L01CX3 NAVI EQUITY HYBRID FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
1709 ESEHDPD-DP INF959L01DJ0 NAVI EQUITY HYBRID FUND - REGULAR PLAN NORMAL IDCW PAYOUT 7.5 92.5 NORMAL No
1710 UNCBG-GR INF582M01DY7 UNION CORPORATE BOND FUND REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
1711 UNCBGD-GR INF582M01DU5 UNION CORPORATE BOND FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
1712 UTNYGP-GR INF789FC11T3 UTI NIFTY NEXT 50 INDEX FUND - REGULAR GROWTH PLAN 7.5 92.5 NORMAL No
1713 UTNYG1-GR INF789FC12T1 UTI NIFTY NEXT 50 INDEX FUND - DIRECT GROWTH PLAN 7.5 92.5 DIRECT No
1714 BPUSIG-GR INF955L01GX2 BARODA BNP PARIBAS ULTRA SHORT DURATION FUND - REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
1715 BPUSD2-GR INF955L01HA8 BARODA BNP PARIBAS ULTRA SHORT DURATION FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
1716 BPUSD5-DP INF251K01SM6 BARODA BNP PARIBAS ULTRA SHORT DURATION FUND DIRECT PLAN WEEKLY IDCW PAYOUT 7.5 92.5 DIRECT No
Approved Securities List for the Month of April 2024
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
1717 BPUSD1-DR INF955L01GZ7 BARODA BNP PARIBAS ULTRA SHORT DURATION FUND - DIRECT PLAN DAILY collateral margin of Rs. 7.5
IDCW REINVESTMENT 92.5 DIRECT No
1718 CPMP-DP INF204K01UF5 NIPPON INDIA ULTRA SHORT DURATION FUND - MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
1719 RELLFCP-GR INF204K01UE8 NIPPON INDIA ULTRA SHORT DURATION FUND - GROWTH OPTION 7.5 92.5 NORMAL No
1720 CDPG-GR INF204K01YH3 NIPPON INDIA ULTRA SHORT DURATION FUND - DIRECT GROWTH PLAN 7.5 92.5 DIRECT No
1721 RELRC12-DR INF204K01UD0 NIPPON INDIA ULTRA SHORT DURATION FUND - WEEKLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
1722 RELRC55-DR INF204K01UC2 NIPPON INDIA ULTRA SHORT DURATION FUND - DAILY IDCW REINVESTMENT 7.5 92.5 NORMAL No
1723 RGEBDP-DP INF205K010Q5 INVESCO INDIA AGGRESSIVE HYBRID FUND - REGULAR PLAN IDCW PAYOUT 7.5 92.5 NORMAL No
1724 RGEBGP-GR INF205K011Q3 INVESCO INDIA AGGRESSIVE HYBRID FUND - REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
1725 RGEBD1-GR INF205K014Q7 INVESCO INDIA AGGRESSIVE HYBRID FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
1726 JMMMPD-DR INF192K01AV1 JM LOW DURATION FUND - DAILY IDCW REINVESTMENT OPTION 7.5 92.5 NORMAL No
1727 MMPG-GR INF192K01AY5 JM LOW DURATION FUND - GROWTH 7.5 92.5 NORMAL No
1728 MMP5-GR INF192K01FL1 JM LOW DURATION FUND - (DIRECT) - BONUS OPTION - PRINCIPAL UNITS 7.5 92.5 DIRECT No
1729 MMP4-GR INF192K01DW3 JM LOW DURATION FUND (DIRECT) - GROWTH OPTION 7.5 92.5 DIRECT No
1730 BAAFDG-GR INF761K01ED3 BANK OF INDIA ARBITRAGE FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
1731 BAAFDM-DP INF761K01EE1 BANK OF INDIA ARBITRAGE FUND - DIRECT PLAN - MONTHLY IDCW PAYOUT 7.5 92.5 DIRECT No
1732 BAAFRG-GR INF761K01DW5 BANK OF INDIA ARBITRAGE FUND- REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
1733 RLNLGP-GR INF204KB1ZB0 NIPPON INDIA NIVESH LAKSHYA FUND - GROWTH PLAN GROWTH 7.5 92.5 NORMAL No
1734 RLNLAG-GR INF204KB1YQ1 NIPPON INDIA NIVESH LAKSHYA FUND - DIRECT GROWTH PLAN GROWTH 7.5 92.5 DIRECT No
1735 RLNLAM-DP INF204KB1YT5 NIPPON INDIA NIVESH LAKSHYA FUND - DIRECT MONTHLY DIVIDEND PLAN IDCW PAYOUT 7.5 92.5 DIRECT No
1736 RLNLAR-DP INF204KB1YR9 NIPPON INDIA NIVESH LAKSHYA FUND - DIRECT DIVIDEND PLAN IDCW PAYOUT 7.5 92.5 DIRECT No
1737 RLNLAQ-DP INF204KB1YV1 NIPPON INDIA NIVESH LAKSHYA FUND - DIRECT QUARTERLY DIVIDEND PLAN IDCW PAYOUT 7.5 92.5 DIRECT No
1738 RLNLAD-DP INF204KB1YZ2 NIPPON INDIA NIVESH LAKSHYA FUND - DIRECT ANNUAL DIVIDEND PLAN IDCW PAYOUT 7.5 92.5 DIRECT No
1739 MAHCD1-GR INF769K01ED6 MIRAE ASSET HEALTHCARE FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
1740 MAHCD2-DP INF769K01EE4 MIRAE ASSET HEALTHCARE FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
1741 MAHCRG-GR INF769K01EA2 MIRAE ASSET HEALTHCARE FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
1742 MAHCRD-DP INF769K01EB0 MIRAE ASSET HEALTHCARE FUND - REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
1743 ESMFGP-GR INF959L01EE9 NAVI FLEXI CAP FUND REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
1744 ESMFDP-DP INF959L01EF6 NAVI FLEXI CAP FUND? REGULAR PLAN NORMAL IDCW PAYOUT 7.5 92.5 NORMAL No
1745 ESMFGD-GR INF959L01DT9 NAVI FLEXI CAP FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
1746 IC3131-GR INF109KC1GE9 ICICI PRUDENTIAL PHARMA HEALTHCARE AND DIAGNOSTICS (P.H.D) FUND GROWTH 7.5 92.5 NORMAL No
1747 IC9333-GR INF109KC1GH2 ICICI PRUDENTIAL PHARMA HEALTHCARE AND DIAGNOSTICS (P.H.D) FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
1748 IC3132-DP INF109KC1GG4 ICICI PRUDENTIAL PHARMA HEALTHCARE AND DIAGNOSTICS (P.H.D) FUND IDCW PAYOUT 7.5 92.5 NORMAL No
1749 IC9334-DP INF109KC1GJ8 ICICI PRUDENTIAL PHARMA HEALTHCARE AND DIAGNOSTICS (P.H.D) FUND DIRECT PLAN IDCW PAYOUT 7.5 92.5 DIRECT No
1750 IC5005-GR INF109KC1FX1 ICICI PRUDENTIAL BHARAT 22 FOF DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
1751 IC5004-GR INF109KC1FW3 ICICI PRUDENTIAL BHARAT 22 FOF - GROWTH 7.5 92.5 NORMAL No
1752 ID327-GR INF194KA10Q8 BANDHAN ULTRA SHORT TERM FUND REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
1753 IDD327-GR INF194KA16R3 BANDHAN ULTRA SHORT TERM FUND DIRECT PLAN -GROWTH 7.5 92.5 DIRECT No
1754 IDD331-DP INF194KA11S2 BANDHAN ULTRA SHORT TERM FUND DIRECT PLAN -MONTHLY-IDCW PAYOUT 7.5 92.5 DIRECT No
1755 ID331-DP INF194KA15Q7 BANDHAN ULTRA SHORT TERM FUND REGULAR PLAN-MONTHLY-IDCW PAYOUT 7.5 92.5 NORMAL No
1756 UNESFG-GR INF582M01EG2 UNION EQUITY SAVINGS FUND REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
1757 UNESFGD-GR INF582M01EC1 UNION EQUITY SAVINGS FUND DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
1758 KO477-GR INF174KA1186 KOTAK BALANCED ADVANTAGE FUND -REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
1759 KO478DD-DP INF174KA1194 KOTAK BALANCED ADVANTAGE FUND -DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
1760 KO477D-GR INF174KA1210 KOTAK BALANCED ADVANTAGE FUND -DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
1761 KO478DP-DP INF174KA1160 KOTAK BALANCED ADVANTAGE FUND -REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
1762 UTCEGP-GR INF789F1A447 UTI CORPORATE BOND FUND - REGULAR GROWTH PLAN-GROWTH 7.5 92.5 NORMAL No
1763 UTCEG1-GR INF789F1A538 UTI CORPORATE BOND FUND - DIRECT GROWTH PLAN-GROWTH 7.5 92.5 DIRECT No
1764 AXEHGP-GR INF846K01E90 AXIS EQUITY HYBRID FUND - REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
1765 AXEHDG-GR INF846K01E25 AXIS EQUITY HYBRID FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
1766 AXEHRD-DP INF846K01E74 AXIS EQUITY HYBRID FUND - REGULAR PLAN REGULAR IDCW PAYOUT 7.5 92.5 NORMAL No
1767 AXEHDM-DP INF846K01E33 AXIS EQUITY HYBRID FUND - DIRECT PLAN MONTHLY IDCW PAYOUT 7.5 92.5 DIRECT No
1768 AXEHDP-DP INF846K01F08 AXIS EQUITY HYBRID FUND - REGULAR PLAN MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
1769 AXEHQD-DP INF846K01F24 AXIS EQUITY HYBRID FUND - REGULAR PLAN QUARTERLY IDCW PAYOUT 7.5 92.5 NORMAL No
1770 MHCRYRG-GR INF174V01531 MAHINDRA MANULIFE DYNAMIC BOND FUND - REGULAR - GROWTH 7.5 92.5 NORMAL No
1771 MHCRYDG-GR INF174V01580 MAHINDRA MANULIFE DYNAMIC BOND FUND - DIRECT - GROWTH 7.5 92.5 DIRECT No
1772 FR780-GR INF090I01PD7 FRANKLIN INDIA EQUITY SAVINGS FUND - DIRECT GROWTH 7.5 92.5 DIRECT No
1773 FR777P-DP INF090I01OZ3 FRANKLIN INDIA EQUITY SAVINGS FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
1774 FR778-GR INF090I01PA3 FRANKLIN INDIA EQUITY SAVINGS FUND - GROWTH 7.5 92.5 NORMAL No
1775 FR783P-DP INF090I01PJ4 FRANKLIN INDIA EQUITY SAVINGS FUND - QTR IDCW PAYOUT 7.5 92.5 NORMAL No
1776 FR781P-DP INF090I01PF2 FRANKLIN INDIA EQUITY SAVINGS FUND - MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
1777 UTESGP-GR INF789F1A744 UTI EQUITY SAVINGS FUND - REGULAR GROWTH PLAN - GROWTH 7.5 92.5 NORMAL No
1778 UTESDP-DP INF789F1A736 UTI EQUITY SAVINGS FUND - REGULAR DIVIDEND PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
1779 UTESQD-DP INF789F1A835 UTI EQUITY SAVINGS FUND - REGULAR QUARTERLY DIVIDEND PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
1780 UTESG1-GR INF789F1A777 UTI EQUITY SAVINGS FUND - DIRECT GROWTH PLAN - GROWTH 7.5 92.5 DIRECT No
1781 TAMTCDZ-DP INF277K016K8 TATA FLEXI CAP FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
1782 TAMTCD-DP INF277K010L9 TATA FLEXI CAP FUND - REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
1783 TAMTCGZ-GR INF277K015K0 TATA FLEXI CAP FUND - DIRECT PLAN - GROWTH OPTION 7.5 92.5 DIRECT No
1784 TAMTCG-GR INF277K019K2 TATA FLEXI CAP FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
1785 DS583-DP INF740KA1JY8 DSP CORPORATE BOND FUND - REGULAR - IDCW PAYOUT 7.5 92.5 NORMAL No
1786 DS582-GR INF740KA1JX0 DSP CORPORATE BOND FUND - REGULAR - GROWTH 7.5 92.5 NORMAL No
1787 DS850-GR INF740KA1KE8 DSP CORPORATE BOND FUND - DIRECT - GROWTH 7.5 92.5 DIRECT No
1788 AXUSDG-GR INF846K01F40 AXIS ULTRA SHORT TERM FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
1789 AXUSDW-DP INF846K01F73 AXIS ULTRA SHORT TERM FUND - DIRECT PLAN WEEKLY IDCW PAYOUT 7.5 92.5 DIRECT No
1790 AXUSDD-DR INF846K01G31 AXIS ULTRA SHORT TERM FUND - REGULAR PLAN DAILY IDCW REINVESTMENT 7.5 92.5 NORMAL No
1791 AXUSGP-GR INF846K01G23 AXIS ULTRA SHORT TERM FUND - REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
1792 AXUSDP-DP INF846K01G72 AXIS ULTRA SHORT TERM FUND - REGULAR PLAN MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
1793 AXUSWD-DP INF846K01G56 AXIS ULTRA SHORT TERM FUND - REGULAR PLAN WEEKLY IDCW PAYOUT 7.5 92.5 NORMAL No
1794 SUSSFRD-DR INF903JA1EZ2 SUNDARAM SERVICES FUND-REGULAR PLAN-IDCW REINVESTMENT 7.5 92.5 NORMAL No
1795 SUSSFDG-GR INF903JA1FA2 SUNDARAM SERVICES FUND DIRECT GROWTH 7.5 92.5 DIRECT No
1796 SUSSFDD-DR INF903JA1FC8 SUNDARAM SERVICES FUND DIRECT IDCW REINVESTMENT 7.5 92.5 DIRECT No
1797 SUSSFRG-GR INF903JA1EX7 SUNDARAM SERVICES FUND-REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
1798 SH103-GR INF680P01075 SHRIRAM FLEXI CAP FUND REGULAR - GROWTH 7.5 92.5 NORMAL No
1799 SH104P-DP INF680P01083 SHRIRAM FLEXI CAP FUND REGULAR - IDCW PAYOUT 7.5 92.5 NORMAL No
1800 SH103D-GR INF680P01109 SHRIRAM FLEXI CAP FUND DIRECT - GROWTH 7.5 92.5 DIRECT No
1801 HDUSRDM-DP INF179KB16R2 HDFC ULTRA SHORT TERM FUND - REGULAR PLAN - MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
1802 HDUSRWD-DP INF179KB14R7 HDFC ULTRA SHORT TERM FUND - REGULAR PLAN - WEEKLY IDCW PAYOUT 7.5 92.5 NORMAL No
1803 HDUSTGR-GR INF179KB11R3 HDFC ULTRA SHORT TERM FUND - REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
1804 HDUSRDD-DR INF179KB12R1 HDFC ULTRA SHORT TERM FUND - REGULAR PLAN - DAILY IDCW REINVESTMENT 7.5 92.5 NORMAL No
1805 IC9392-GR INF109KC1LJ8 ICICI PRUDENTIAL MANUFACTURING FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
1806 IC9393-DP INF109KC1LK6 ICICI PRUDENTIAL MANUFACTURING FUND DIRECT PLAN IDCW PAYOUT 7.5 92.5 DIRECT No
1807 IC3190-GR INF109KC1LG4 ICICI PRUDENTIAL MANUFACTURING FUND REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
1808 IC3191-DP INF109KC1LH2 ICICI PRUDENTIAL MANUFACTURING FUND REGULAR PLAN IDCW PAYOUT 7.5 92.5 NORMAL No
1809 AXOGD1-DP INF846K01J53 AXIS GROWTH OPPORTUNITIES FUND - DIRECT PLAN IDCW PAYOUT 7.5 92.5 DIRECT No
1810 AXOGDG-GR INF846K01J46 AXIS GROWTH OPPORTUNITIES FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
1811 AXOGDP-DP INF846K01J87 AXIS GROWTH OPPORTUNITIES FUND - REGULAR PLAN IDCW PAYOUT 7.5 92.5 NORMAL No
1812 AXOGGP-GR INF846K01J79 AXIS GROWTH OPPORTUNITIES FUND - REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
1813 RGSCD1-GR INF205K013T3 INVESCO INDIA SMALL CAP FUND - DIRECT GROWTH 7.5 92.5 DIRECT No
1814 RGSCD2-DP INF205K012T5 INVESCO INDIA SMALL CAP FUND - DIRECT IDCW PAYOUT 7.5 92.5 DIRECT No
1815 RGSCGP-GR INF205K011T7 INVESCO INDIA SMALL CAP FUND - REGULAR GROWTH 7.5 92.5 NORMAL No
1816 RGSCDP-DP INF205K010T9 INVESCO INDIA SMALL CAP FUND - REGULAR IDCW PAYOUT 7.5 92.5 NORMAL No
1817 TASCFGZ-GR INF277K011O1 TATA SMALL CAP FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
1818 TASCFG-GR INF277K015O2 TATA SMALL CAP FUND REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
1819 TASCFDZ-DP INF277K012O9 TATA SMALL CAP FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
1820 TASCFD-DP INF277K016O0 TATA SMALL CAP FUND - REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
1821 UTFNGP-GR INF789F1ACO4 UTI FLOATER FUND-REGULAR GROWTH PLAN 7.5 92.5 NORMAL No
1822 UTFNAD-DP INF789F1ACR7 UTI FLOATER FUND-REGULAR ANNUAL DIVIDEND PLAN-IDCW PAYOUT 7.5 92.5 NORMAL No
1823 UTFNQD-DP INF789F1ACP1 UTI FLOATER FUND-REGULAR QUARTERLY DIVIDEND PLAN-IDCW PAYOUT 7.5 92.5 NORMAL No
1824 MHMRBRG-GR INF174V01630 MAHINDRA MANULIFE CONSUMPTION FUND - REGULAR - GROWTH 7.5 92.5 NORMAL No
1825 MHMRBDG-GR INF174V01663 MAHINDRA MANULIFE CONSUMPTION FUND - DIRECT - GROWTH 7.5 92.5 DIRECT No
1826 MHMRBRP-DP INF174V01655 MAHINDRA MANULIFE CONSUMPTION FUND - REGULAR - IDCW PAYOUT 7.5 92.5 NORMAL No
1827 BPDEGP-GR INF955L01HC4 BARODA BNP PARIBAS BALANCED ADVANTAGE FUND - REGULAR GROWTH 7.5 92.5 NORMAL No
1828 BPDEDP-DP INF955L01HD2 BARODA BNP PARIBAS BALANCED ADVANTAGE FUND - REGULAR IDCW PAYOUT 7.5 92.5 NORMAL No
1829 BPDED2-GR INF955L01HF7 BARODA BNP PARIBAS BALANCED ADVANTAGE FUND - DIRECT GROWTH 7.5 92.5 DIRECT No
Approved Securities List for the Month of April 2024
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
1830 BPDED1-DP INF955L01HG5 BARODA BNP PARIBAS BALANCED ADVANTAGE FUND - DIRECT IDCW PAYOUT collateral margin of Rs. 7.5 92.5 DIRECT No
1831 BS1054-GR INF084M01044 ADITYA BIRLA SUN LIFE FINANCIAL PLANNING FOF - CONSERVATIVE PLAN-GROWTH 7.5 92.5 NORMAL No
1832 BS1056-DP INF084M01051 ADITYA BIRLA SUN LIFE FINANCIAL PLANNING FOF - CONSERVATIVE PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
1833 BSD1054-GR INF084M01EQ8 ADITYA BIRLA SUN LIFE FINANCIAL PLANNING FUND CONSERVATIVE PLAN DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
1834 BS1057-GR INF084M01077 ADITYA BIRLA SUN LIFE FINANCIAL PLANNING FOF - MODERATE PLAN - GROWTH 7.5 92.5 NORMAL No
1835 BS1059-DP INF084M01085 ADITYA BIRLA SUN LIFE FINANCIAL PLANNING FOF - MODERATE PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
1836 BSD1057-GR INF084M01ET2 ADITYA BIRLA SUN LIFE FINANCIAL PLANNING FUND PRUDENT PLAN DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
1837 HSMSGG-GR INF336L01IA9 HSBC MANAGED SOLUTIONS INDIA GROWTH FUND GROWTH 7.5 92.5 NORMAL No
1838 HSHMSGG-GR INF336L01ID3 HSBC MANAGED SOLUTIONS INDIA GROWTH FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
1839 HSMSMG-GR INF336L01IG6 HSBC MANAGED SOLUTIONS INDIA MODERATE FUND GROWTH 7.5 92.5 NORMAL No
1840 HSMSMDP-DP INF336L01IE1 HSBC MANAGED SOLUTIONS INDIA MODERATE FUND IDCW PAYOUT 7.5 92.5 NORMAL No
1841 HSHMSMG-GR INF336L01IJ0 HSBC MANAGED SOLUTIONS INDIA MODERATE FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
1842 LCIFDP-DP INF767K01121 LIC MF INDEX FUND SENSEX-DIVIDEND-IDCW PAYOUT 7.5 92.5 NORMAL No
1843 LCIFGP-GR INF767K01139 LIC MF INDEX FUND SENSEX-GROWTH-GROWTH 7.5 92.5 NORMAL No
1844 LCIFG1-DGR INF767K01FJ4 LIC MF INDEX FUND SENSEX-DIRECT - GROWTH PLAN-GROWTH 7.5 92.5 DIRECT No
1845 LCIFD1-DDP INF767K01FI6 LIC MF INDEX FUND SENSEX-DIRECT - DIVIDEND PLAN-IDCW PAYOUT 7.5 92.5 DIRECT No
1846 LCINND-DP INF767K01154 LIC NIFTY 50 INDEX FUND - REGULAR PLAN - IDCW - IDCW PAYOUT 7.5 92.5 NORMAL No
1847 LCINNG-GR INF767K01162 LIC NIFTY 50 INDEX FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
1848 LCING1-DGR INF767K01FF2 LIC NIFTY 50 INDEX FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
1849 LCIND1-DDP INF767K01FG0 LIC NIFTY 50 INDEX FUND - DIRECT PLAN - IDCW - IDCW PAYOUT 7.5 92.5 DIRECT No
1850 HSMSCG-GR INF336L01IM4 HSBC MANAGED SOLUTIONS INDIA CONSERVATIVE FUND GROWTH 7.5 92.5 NORMAL No
1851 HSMSCDP-DP INF336L01IK8 HSBC MANAGED SOLUTIONS INDIA CONSERVATIVE FUND IDCW PAYOUT 7.5 92.5 NORMAL No
1852 BS1060-GR INF084M01101 ADITYA BIRLA SUN LIFE FINANCIAL PLANNING FOF - AGGRESSIVE PLAN-GROWTH 7.5 92.5 NORMAL No
1853 BS1062-DP INF084M01119 ADITYA BIRLA SUN LIFE FINANCIAL PLANNING FOF - AGGRESSIVE PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
1854 BSD1060-GR INF084M01EW6 ADITYA BIRLA SUN LIFE FINANCIAL PLANNING FOF - AGGRESSIVE PLAN- DIRECT PLAN- GROWTH 7.5 92.5 DIRECT No
1855 DS593-DP INF740KA1LE6 DSP HEALTHCARE FUND - REGULAR - IDCW PAYOUT 7.5 92.5 NORMAL No
1856 DS860-GR INF740KA1LG1 DSP HEALTHCARE FUND - DIRECT - GROWTH 7.5 92.5 DIRECT No
1857 DS861-DP INF740KA1LH9 DSP HEALTHCARE FUND - DIRECT - IDCW PAYOUT 7.5 92.5 DIRECT No
1858 DS592-GR INF740KA1LD8 DSP HEALTHCARE FUND - REGULAR - GROWTH 7.5 92.5 NORMAL No
1859 017-DP INF200K01289 SBI LARGE AND MIDCAP FUND REGULAR IDCW PAYOUT 7.5 92.5 NORMAL No
1860 017G INF200K01305 SBI LARGE AND MIDCAP FUND REGULAR GROWTH 7.5 92.5 NORMAL No
1861 SBD017G-GR INF200K01UJ5 SBI LARGE AND MIDCAP FUND DIRECT GROWTH 7.5 92.5 DIRECT No
1862 021G INF200K01271 SBI MAGNUM GLOBAL FUND - GROWTH 7.5 92.5 NORMAL No
1863 021-DP INF200K01255 SBI MAGNUM GLOBAL FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
1864 24-DP INF200K01115 SBI EQUITY HYBRID FUND REGULAR IDCW PAYOUT 7.5 92.5 NORMAL No
1865 24G INF200K01107 SBI EQUITY HYBRID FUND REGULAR GROWTH 7.5 92.5 NORMAL No
1866 035-DP INF200K01453 SBI HEALTHCARE OPPORTUNITIES FUND REGULAR IDCW PAYOUT 7.5 92.5 NORMAL No
1867 035G INF200K01446 SBI HEALTHCARE OPPORTUNITIES FUND REGULAR GROWTH 7.5 92.5 NORMAL No
1868 036-DP INF200K01347 SBI CONTRA FUND - REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
1869 036G INF200K01362 SBI CONTRA FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
1870 SBD036G-GR INF200K01RA0 SBI CONTRA FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
1871 055A INF200K01537 SBI NIFTY INDEX FUND- REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
1872 055B-DP INF200K01545 SBI NIFTY INDEX FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
1873 SBD055A-GR INF200K01TE8 SBI NIFTY INDEX FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
1874 SBI069G-GR INF200K01719 SBI MAGNUM MEDIUM DURATION FUND REGULAR GROWTH 7.5 92.5 NORMAL No
1875 SBI069DP-DP INF200K01727 SBI MAGNUM MEDIUM DURATION FUND REGULAR IDCW PAYOUT 7.5 92.5 NORMAL No
1876 SBI074G-GR INF200K01958 SBI - DYNAMIC BOND FUND - GROWTH 7.5 92.5 NORMAL No
1877 SBI074DP-DP INF200K01966 SBI - DYNAMIC BOND FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
1878 080B INF200K01685 SBI CREDIT RISK FUND REGULAR GROWTH 7.5 92.5 NORMAL No
1879 080A-DP INF200K01693 SBI CREDIT RISK FUND REGULAR IDCW PAYOUT 7.5 92.5 NORMAL No
1880 SBD080B-GR INF200K01SV4 SBI CREDIT RISK FUND DIRECT GROWTH 7.5 92.5 DIRECT No
1881 081G INF200K01370 SBI FOCUSED EQUITY FUND REGULAR GROWTH 7.5 92.5 NORMAL No
1882 081D-DP INF200K01388 SBI FOCUSED EQUITY FUND REGULAR IDCW PAYOUT 7.5 92.5 NORMAL No
1883 SBD81G-GR INF200K01RJ1 SBI FOCUSED EQUITY FUND DIRECT GROWTH 7.5 92.5 DIRECT No
1884 082M-DP INF200K01867 SBI CONSERVATIVE HYBRID FUND REGULAR MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
1885 42-DP INF200K01883 SBI CONSERVATIVE HYBRID FUND REGULAR QUARTERLY IDCW PAYOUT 7.5 92.5 NORMAL No
1886 43-DP INF200K01909 SBI CONSERVATIVE HYBRID FUND REGULAR ANNUAL IDCW PAYOUT 7.5 92.5 NORMAL No
1887 082G INF200K01859 SBI CONSERVATIVE HYBRID FUND REGULAR GROWTH 7.5 92.5 NORMAL No
1888 SBI086G-GR INF200K01LJ4 SBI MAGNUM ULTRA SHORT DURATION FUND REGULAR GROWTH 7.5 92.5 NORMAL No
1889 SBD086G-GR INF200K01TF5 SBI MAGNUM ULTRA SHORT DURATION FUND DIRECT GROWTH 7.5 92.5 DIRECT No
1890 091G INF200K01560 SBI MAGNUM MIDCAP FUND - GROWTH 7.5 92.5 NORMAL No
1891 091D-DP INF200K01578 SBI MAGNUM MIDCAP FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
1892 SBD091G-GR INF200K01TP4 SBI MAGNUM MIDCAP FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
1893 094G INF200K01339 SBI MAGNUM COMMA FUND - GROWTH 7.5 92.5 NORMAL No
1894 094D-DP INF200K01313 SBI MAGNUM COMMA FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
1895 099G INF200K01222 SBI FLEXICAP FUND - GROWTH 7.5 92.5 NORMAL No
1896 099D-DP INF200K01230 SBI FLEXICAP FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
1897 SBD099G-GR INF200K01UG1 SBI FLEXICAP FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
1898 101M-DP INF200K01818 SBI MULTI ASSET ALLOCATION FUND REGULAR MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
1899 101Q-DP INF200K01834 SBI MULTI ASSET ALLOCATION FUND REGULAR QUARTERLY IDCW PAYOUT 7.5 92.5 NORMAL No
1900 101G INF200K01800 SBI MULTI ASSET ALLOCATION FUND REGULAR GROWTH 7.5 92.5 NORMAL No
1901 101A-DP INF200K01784 SBI MULTI ASSET ALLOCATION FUND REGULAR ANNUAL IDCW PAYOUT 7.5 92.5 NORMAL No
1902 103G INF200K01180 SBI BLUE CHIP FUND - GROWTH 7.5 92.5 NORMAL No
1903 103D-DP INF200K01164 SBI BLUE CHIP FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
1904 SBD103G-GR INF200K01QX4 SBI BLUE CHIP FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
1905 114G INF200K01156 SBI ARBITRAGE OPPORTUNITIES FUND GROWTH 7.5 92.5 NORMAL No
1906 114D-DP INF200K01131 SBI ARBITRAGE OPPORTUNITIES FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
1907 SBD114G-GR INF200K01QU0 SBI ARBITRAGE OPPORTUNITIES FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
1908 SBI144D-DP INF200K01CU0 SBI INFRASTRUCTURE FUND - REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
1909 SBI144G-GR INF200K01CT2 SBI INFRASTRUCTURE FUND REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
1910 SBD144P-DP INF200K01RQ6 SBI INFRASTRUCTURE FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
1911 SBD144G-GR INF200K01RS2 SBI INFRASTRUCTURE FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
1912 SBI147RG-GR INF200K01MO2 SBI MAGNUM LOW DURATION FUND REGULAR GROWTH 7.5 92.5 NORMAL No
1913 SBI147RP-DP INF200K01MP9 SBI MAGNUM LOW DURATION FUND REGULAR MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
1914 SBI147IG-GR INF200K01MG8 SBI-SHF- ULTRA SHORT TERM FUND - INSTITUTIONAL PLAN - GROWTH 7.5 92.5 NORMAL No
1915 SBD47RG-GR INF200K01VM7 SBI MAGNUM LOW DURATION FUND DIRECT GROWTH 7.5 92.5 DIRECT No
1916 SBI148RG-GR INF200K01IG6 SBI-SHDF-SHORT TERM-RETAIL PLAN-GROWTH 7.5 92.5 NORMAL No
1917 SBD48IG-GR INF200K01VE4 SBI SHORT TERM DEBT FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
1918 SBI148IG-GR INF200K01HZ8 SBI SHORT TERM DEBT FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
1919 SBI148IP-DP INF200K01HV7 SBI SHORT TERM DEBT FUND - REGULAR PLAN - MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
1920 UNVDG-GR INF582M01EO6 UNION VALUE FUND REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
1921 UNVDP-DP INF582M01EQ1 UNION VALUE FUND REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
1922 UNVDGD-GR INF582M01EK4 UNION VALUE FUND DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
1923 MON1GP-GR INF247L01700 MOTILAL OSWAL NASDAQ 100 FUND OF FUND - REGULAR GROWTH 7.5 92.5 NORMAL No
1924 MON1GD-GR INF247L01718 MOTILAL OSWAL NASDAQ 100 FUND OF FUND - DIRECT GROWTH 7.5 92.5 DIRECT No
1925 INDBG1-GR INF666M01EK5 GROWW DYNAMIC BOND FUND DIRECT PLAN - GROWTH GROWTH 7.5 92.5 DIRECT No
1926 INEHG1-GR INF666M01FA3 GROWW AGGRESSIVE HYBRID FUND-DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
1927 INEHGP-GR INF666M01FJ4 GROWW AGGRESSIVE HYBRID FUND-REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
1928 BASCDD-DP INF761K01EO0 BANK OF INDIA SMALL CAP FUND-DIRECT PLAN-IDCW PAYOUT 7.5 92.5 DIRECT No
1929 BASCRD-DP INF761K01EQ5 BANK OF INDIA SMALL CAP FUND-REGULAR PLAN-IDCW PAYOUT 7.5 92.5 NORMAL No
1930 BASCRG-GR INF761K01ER3 BANK OF INDIA SMALL CAP FUND-REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
1931 BASCDG-GR INF761K01EP7 BANK OF INDIA SMALL CAP FUND-DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
1932 MAESD1-GR INF769K01EK1 MIRAE ASSET EQUITY SAVINGS FUND DIRECT GROWTH 7.5 92.5 DIRECT No
1933 MAESD2-DP INF769K01EJ3 MIRAE ASSET EQUITY SAVINGS FUND DIRECT IDCW PAYOUT 7.5 92.5 DIRECT No
1934 MAESRG-GR INF769K01EI5 MIRAE ASSET EQUITY SAVINGS FUND REGULAR GROWTH 7.5 92.5 NORMAL No
1935 MAESRD-DP INF769K01EH7 MIRAE ASSET EQUITY SAVINGS FUND REGULAR IDCW PAYOUT 7.5 92.5 NORMAL No
1936 TAAFG-GR INF277K015Q7 TATA ARBITRAGE FUND REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
1937 TAAFGZ-GR INF277K017Q3 TATA ARBITRAGE FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
1938 TAAFMDZ-DP INF277K019Q9 TATA ARBITRAGE FUND - DIRECT PLAN - MONTHLY IDCW PAYOUT 7.5 92.5 DIRECT No
1939 TAAFMD-DP INF277K010R6 TATA ARBITRAGE FUND - REGULAR PLAN - MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
1940 LCAFG1-GR INF767K01PP0 LIC MF ARBITRAGE FUND DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
1941 LCAFGP-GR INF767K01PL9 LIC MF ARBITRAGE FUND REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
1942 IC3251-GR INF109KC1RE6 ICICI PRUDENTIAL INDIA OPPORTUNITIES FUND GROWTH 7.5 92.5 NORMAL No
Approved Securities List for the Month of April 2024
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
1943 IC9453-GR INF109KC1RH9 ICICI PRUDENTIAL INDIA OPPORTUNITIES FUND DIRECT PLAN GROWTH collateral margin of Rs. 7.5 92.5 DIRECT No
1944 IC9454-DP INF109KC1RI7 ICICI PRUDENTIAL INDIA OPPORTUNITIES FUND DIRECT PLAN IDCW PAYOUT 7.5 92.5 DIRECT No
1945 IC3252-DP INF109KC1RF3 ICICI PRUDENTIAL INDIA OPPORTUNITIES FUND IDCW PAYOUT 7.5 92.5 NORMAL No
1946 LCSDGP-GR INF767K01PT2 LIC SHORT DURATION FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
1947 LCSDG1-GR INF767K01PW6 LIC SHORT DURATION FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
1948 LCSDWD-DP INF397L01430 LIC SHORT DURATION FUND - REGULAR PLAN - WEEKLY IDCW - PAYOUT 7.5 92.5 NORMAL No
1949 TABAFG-GR INF277K010S4 TATA BALANCED ADVANTAGE FUND REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
1950 TABAFDZ-DP INF277K015S3 TATA BALANCED ADVANTAGE FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
1951 TABAFD-DP INF277K012S0 TATA BALANCED ADVANTAGE FUND - REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
1952 TABAFGZ-GR INF277K013S8 TATA BALANCED ADVANTAGE FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
1953 TAUSWDZ-DP INF277K015T1 TATA ULTRA SHORT TERM FUND - DIRECT PLAN - WEEKLY IDCW PAYOUT 7.5 92.5 DIRECT No
1954 TAUSG-GR INF277K016S1 TATA ULTRA SHORT TERM FUND REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
1955 TAUSGZ-GR INF277K011T0 TATA ULTRA SHORT TERM FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
1956 CASCGP-GR INF760K01JF9 CANARA ROBECO SMALL CAP FUND REGULAR GROWTH 7.5 92.5 NORMAL No
1957 CASCDP-DP INF760K01JG7 CANARA ROBECO SMALL CAP FUND REGULAR - IDCW PAYOUT 7.5 92.5 NORMAL No
1958 CASCDG-GR INF760K01JC6 CANARA ROBECO SMALL CAP FUND DIRECT GROWTH 7.5 92.5 DIRECT No
1959 CASCDD-DP INF760K01JD4 CANARA ROBECO SMALL CAP FUND DIRECT - IDCW PAYOUT 7.5 92.5 DIRECT No
1960 EDSCRG-GR INF754K01JJ4 EDELWEISS SMALL CAP FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
1961 EDSCRD-DP INF754K01JK2 EDELWEISS SMALL CAP FUND - REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
1962 EDSCD1-GR INF754K01JN6 EDELWEISS SMALL CAP FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
1963 EDSCD2-DP INF754K01JO4 EDELWEISS SMALL CAP FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
1964 SBD566G-GR INF200KA1YR4 SBI CORPORATE BOND FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
1965 SBD566A-DP INF200KA1YU8 SBI CORPORATE BOND FUND - DIRECT PLAN - QUARTERLY IDCW PAYOUT 7.5 92.5 DIRECT No
1966 SB566G-GR INF200KA1YM5 SBI CORPORATE BOND FUND - REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
1967 SB566DP-DP INF200KA1YN3 SBI CORPORATE BOND FUND - REGULAR PLAN IDCW PAYOUT 7.5 92.5 NORMAL No
1968 SB566QP-DP INF200KA1YP8 SBI CORPORATE BOND FUND - REGULAR PLAN QUARTERLY IDCW PAYOUT 7.5 92.5 NORMAL No
1969 SBD566P-DP INF200KA1YS2 SBI CORPORATE BOND FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
1970 UNAFG-GR INF582M01EW9 UNION ARBITRAGE FUND REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
1971 UNAFGD-GR INF582M01ES7 UNION ARBITRAGE FUND DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
1972 DS866-GR INF740KA1MM7 DSP NIFTY 50 INDEX FUND - DIRECT - GROWTH 7.5 92.5 DIRECT No
1973 DS867-DP INF740KA1MN5 DSP NIFTY 50 INDEX FUND - DIRECT - IDCW PAYOUT 7.5 92.5 DIRECT No
1974 DS598-GR INF740KA1MJ3 DSP NIFTY 50 INDEX FUND - REGULAR - GROWTH 7.5 92.5 NORMAL No
1975 DS601-GR INF740KA1MD6 DSP NIFTY NEXT 50 INDEX FUND - REGULAR - GROWTH 7.5 92.5 NORMAL No
1976 DS869-GR INF740KA1MG9 DSP NIFTY NEXT 50 INDEX FUND - DIRECT - GROWTH 7.5 92.5 DIRECT No
1977 DS870-DP INF740KA1MH7 DSP NIFTY NEXT 50 INDEX FUND - DIRECT - IDCW PAYOUT 7.5 92.5 DIRECT No
1978 BS41Y-GR INF209KB1E84 ADITYA BIRLA SUN LIFE BAL BHAVISHYA YOJNA WEALTH PLAN DIRECT GROWTH 7.5 92.5 DIRECT No
1979 BS41B-GR INF209KB1E76 ADITYA BIRLA SUN LIFE BAL BHAVISHYA YOJNA WEALTH PLAN REGULAR GROWTH 7.5 92.5 NORMAL No
1980 RGESGP-GR INF205KA1023 INVESCO INDIA EQUITY SAVINGS FUND - REGULAR GROWTH 7.5 92.5 NORMAL No
1981 RGESD1-GR INF205KA1049 INVESCO INDIA EQUITY SAVINGS FUND - DIRECT GROWTH 7.5 92.5 DIRECT No
1982 RLRJAG-GR INF204KB1X25 NIPPON INDIA NIFTY NEXT 50 JUNIOR BEES FOF - DIRECT GROWTH PLAN 7.5 92.5 DIRECT No
1983 RLRJGP-GR INF204KB1W91 NIPPON INDIA NIFTY NEXT 50 JUNIOR BEES FOF - GROWTH PLAN 7.5 92.5 NORMAL No
1984 RLRJAD-DP INF204KB1X41 NIPPON INDIA NIFTY NEXT 50 JUNIOR BEES FOF - DIRECT IDCW PAYOUT 7.5 92.5 DIRECT No
1985 MHMPBRP-DP INF174V01713 MAHINDRA MANULIFE LARGE CAP FUND - REGULAR - IDCW PAYOUT 7.5 92.5 NORMAL No
1986 MHMPBDG-GR INF174V01721 MAHINDRA MANULIFE LARGE CAP FUND - DIRECT - GROWTH 7.5 92.5 DIRECT No
1987 MHMPBRG-GR INF174V01697 MAHINDRA MANULIFE LARGE CAP FUND - REGULAR - GROWTH 7.5 92.5 NORMAL No
1988 SB575DP-DP INF200KA1A55 SBI EQUITY MINIMUM VARIANCE FUND - REGULAR PLAN IDCW PAYOUT 7.5 92.5 NORMAL No
1989 SBD575G-GR INF200KA1A71 SBI EQUITY MINIMUM VARIANCE FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
1990 SB575G-GR INF200KA1A48 SBI EQUITY MINIMUM VARIANCE FUND - REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
1991 HSLMEDP-DP INF336L01NZ6 HSBC LARGE & MID CAP FUND-REGULAR PLAN IDCW PAYOUT 7.5 92.5 NORMAL No
1992 HSHLEDP-DP INF336L01NW3 HSBC LARGE & MID CAP FUND-DIRECT PLAN IDCW PAYOUT 7.5 92.5 DIRECT No
1993 HSLMEG-GR INF336L01NY9 HSBC LARGE & MID CAP FUND-REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
1994 HSHLEG-GR INF336L01NV5 HSBC LARGE & MID CAP FUND-DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
1995 IC9552-DP INF109KC1YF9 ICICI PRUDENTIAL BHARAT CONSUMPTION FUND DIRECT PLAN IDCW PAYOUT 7.5 92.5 DIRECT No
1996 IC3349-GR INF109KC1YA0 ICICI PRUDENTIAL BHARAT CONSUMPTION FUND GROWTH 7.5 92.5 NORMAL No
1997 IC9551-GR INF109KC1YD4 ICICI PRUDENTIAL BHARAT CONSUMPTION FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
1998 IC3350-DP INF109KC1YC6 ICICI PRUDENTIAL BHARAT CONSUMPTION FUND IDCW PAYOUT 7.5 92.5 NORMAL No
1999 ITMCD1-GR INF00XX01168 ITI MULTI CAP FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
2000 ITMCGP-GR INF00XX01135 ITI MULTI CAP FUND REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
2001 ITMCDP-DP INF00XX01143 ITI MULTI CAP FUND REGULAR PLAN IDCW PAYOUT 7.5 92.5 NORMAL No
2002 MAFFD1-GR INF769K01EU0 MIRAE ASSET FOCUSED FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2003 MAFFRG-GR INF769K01ES4 MIRAE ASSET FOCUSED FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2004 MAFFRD-DP INF769K01ER6 MIRAE ASSET FOCUSED FUND - REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
2005 MAFFD2-DP INF769K01ET2 MIRAE ASSET FOCUSED FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
2006 KO482-GR INF174KA1DY6 KOTAK FLOATING RATE FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2007 KO484D-DP INF174KA1EF3 KOTAK FLOATING RATE FUND-DIRECT PLAN - STANDARD - IDCW PAYOUT 7.5 92.5 DIRECT No
2008 KO482D-GR INF174KA1EC0 KOTAK FLOATING RATE FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2009 DS604-GR INF740KA1NN3 DSP QUANT FUND - REG - GROWTH 7.5 92.5 NORMAL No
2010 DS873-DP INF740KA1NR4 DSP QUANT FUND - DIR - IDCW PAYOUT 7.5 92.5 DIRECT No
2011 DS605-DP INF740KA1NO1 DSP QUANT FUND - REG - IDCW PAYOUT 7.5 92.5 NORMAL No
2012 DS872-GR INF740KA1NQ6 DSP QUANT FUND - DIR - GROWTH 7.5 92.5 DIRECT No
2013 YE1001-GR INF03VN01282 WOC ULTRA SHORT DURATION FUND REGULAR - GROWTH 7.5 92.5 NORMAL No
2014 YE1009-GR INF03VN01209 WOC ULTRA SHORT DURATION FUND DIRECT - GROWTH 7.5 92.5 DIRECT No
2015 IC3392-GR INF109KC1D69 ICICI PRUDENTIAL MNC FUND GROWTH 7.5 92.5 NORMAL No
2016 IC9594-GR INF109KC1D93 ICICI PRUDENTIAL MNC FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
2017 IC9335-DP INF109KC1E01 ICICI PRUDENTIAL MNC FUND DIRECT PLAN IDCW PAYOUT 7.5 92.5 DIRECT No
2018 IC3133-DP INF109KC1D77 ICICI PRUDENTIAL MNC FUND IDCW PAYOUT 7.5 92.5 NORMAL No
2019 QTESRG-GR INF082J01390 QUANTUM ESG BEST IN CLASS STRATEGY FUND - REGULAR PLAN- GROWTH 7.5 92.5 NORMAL No
2020 QTESGP-GR INF082J01382 QUANTUM ESG BEST IN CLASS STRATEGY FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2021 SH108P-DP INF680P01182 SHRIRAM BALANCED ADVANTAGE FUND REGULAR - IDCW PAYOUT 7.5 92.5 NORMAL No
2022 SH107-GR INF680P01174 SHRIRAM BALANCED ADVANTAGE FUND REGULAR - GROWTH 7.5 92.5 NORMAL No
2023 SH107D-GR INF680P01208 SHRIRAM BALANCED ADVANTAGE FUND DIRECT - GROWTH 7.5 92.5 DIRECT No
2024 BS60B-GR INF209KB1N91 ADITYA BIRLA SUNLIFE LIFE PHARMA AND HEALTHCARE FUND NORMAL GROWTH 7.5 92.5 NORMAL No
2025 BS60A-DP INF209KB1O09 ADITYA BIRLA SUNLIFE LIFE PHARMA AND HEALTHCARE FUND NORMAL IDCW PAYOUT 7.5 92.5 NORMAL No
2026 BS60Y-GR INF209KB1O25 ADITYA BIRLA SUNLIFE LIFE PHARMA AND HEALTHCARE FUND DIRECT GROWTH 7.5 92.5 DIRECT No
2027 BS60X-DP INF209KB1O33 ADITYA BIRLA SUNLIFE LIFE PHARMA AND HEALTHCARE FUND DIRECT IDCW PAYOUT 7.5 92.5 DIRECT No
2028 MAMCD1-GR INF769K01FA9 MIRAE ASSET MIDCAP FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2029 MAMCD2-DP INF769K01EZ9 MIRAE ASSET MIDCAP FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
2030 MAMCRG-GR INF769K01EY2 MIRAE ASSET MIDCAP FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2031 MAMCRD-DP INF769K01EX4 MIRAE ASSET MIDCAP FUND - REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
2032 MHMHEDG-GR INF174V01788 MAHINDRA MANULIFE AGGRESSIVE HYBRID FUND - DIRECT - GROWTH 7.5 92.5 DIRECT No
2033 MHMHERG-GR INF174V01754 MAHINDRA MANULIFE AGGRESSIVE HYBRID FUND - REGULAR - GROWTH 7.5 92.5 NORMAL No
2034 MHMHERP-DP INF174V01770 MAHINDRA MANULIFE AGGRESSIVE HYBRID FUND - REGULAR - IDCW PAYOUT 7.5 92.5 NORMAL No
2035 KO486DP-DP INF174KA1EM9 KOTAK FOCUSED EQUITY FUND - REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
2036 KO485D-GR INF174KA1EN7 KOTAK FOCUSED EQUITY FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2037 KO486DD-DP INF174KA1EP2 KOTAK FOCUSED EQUITY FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
2038 KO485-GR INF174KA1EK3 KOTAK FOCUSED EQUITY FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2039 UNFFGR-GR INF582M01FW6 UNION FOCUSED FUND REGULAR PLAN - GROWTH OPTION 7.5 92.5 NORMAL No
2040 UNFFGRD-GR INF582M01FS4 UNION FOCUSED FUND DIRECT PLAN - GROWTH OPTION 7.5 92.5 DIRECT No
2041 UNFFDP-DP INF582M01FY2 UNION FOCUSED FUND REGULAR PLAN - IDCW PAYOUT OPTION 7.5 92.5 NORMAL No
2042 BPESGP-GR INF955L01II9 BARODA BNP PARIBAS EQUITY SAVINGS FUND REGULAR GROWTH 7.5 92.5 NORMAL No
2043 BPESD2-GR INF955L01IL3 BARODA BNP PARIBAS EQUITY SAVINGS FUND DIRECT GROWTH 7.5 92.5 DIRECT No
2044 BPESD1-DR INF955L01IN9 BARODA BNP PARIBAS EQUITY SAVINGS FUND - DIRECT PLAN IDCW REINVESTMENT 7.5 92.5 DIRECT No
2045 ITAFG1-GR INF00XX01440 ITI ARBITRAGE FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
2046 ITAFGP-GR INF00XX01416 ITI ARBITRAGE FUND REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
2047 MOBIGP-GR INF247L01882 MOTILAL OSWAL NIFTY BANK INDEX FUND-REGULAR GROWTH 7.5 92.5 NORMAL No
2048 MOBIGD-GR INF247L01890 MOTILAL OSWAL NIFTY BANK INDEX FUND-DIRECT GROWTH 7.5 92.5 DIRECT No
2049 MOMIGP-GR INF247L01908 MOTILAL OSWAL NIFTY MIDCAP 150 INDEX FUND-REGULAR GROWTH 7.5 92.5 NORMAL No
2050 MOMIGD-GR INF247L01916 MOTILAL OSWAL NIFTY MIDCAP 150 INDEX FUND-DIRECT GROWTH 7.5 92.5 DIRECT No
2051 MOSIGD-GR INF247L01932 MOTILAL OSWAL NIFTY SMALLCAP 250 INDEX FUND-DIRECT GROWTH 7.5 92.5 DIRECT No
2052 MOSIGP-GR INF247L01924 MOTILAL OSWAL NIFTY SMALLCAP 250 INDEX FUND-REGULAR GROWTH 7.5 92.5 NORMAL No
2053 MONTGD-GR INF247L01957 MOTILAL OSWAL NIFTY 500 INDEX FUND-DIRECT GROWTH 7.5 92.5 DIRECT No
2054 MONTGP-GR INF247L01940 MOTILAL OSWAL NIFTY 500 INDEX FUND-REGULAR GROWTH 7.5 92.5 NORMAL No
2055 TABPG-GR INF277K011X2 TATA BANKING AND PSU DEBT FUND REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
Approved Securities List for the Month of April 2024
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
2056 TABPGZ-GR INF277K015X3 TATA BANKING AND PSU DEBT FUND DIRECT PLAN GROWTH collateral margin of Rs. 7.5 92.5 DIRECT No
2057 IC3396-GR INF109KC1F00 ICICI PRUDENTIAL GLOBAL ADVANTAGE FUND (FOF) GROWTH 7.5 92.5 NORMAL No
2058 IC9598-GR INF109KC1F34 ICICI PRUDENTIAL GLOBAL ADVANTAGE FUND (FOF) DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
2059 IC3398-GR INF109KC1F67 ICICI PRUDENTIAL COMMODITIES FUND GROWTH 7.5 92.5 NORMAL No
2060 IC9600-GR INF109KC1F91 ICICI PRUDENTIAL COMMODITIES FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
2061 IC3399-DP INF109KC1F75 ICICI PRUDENTIAL COMMODITIES FUND IDCW PAYOUT 7.5 92.5 NORMAL No
2062 IC9601-DP INF109KC1G09 ICICI PRUDENTIAL COMMODITIES FUND DIRECT PLAN IDCW PAYOUT 7.5 92.5 DIRECT No
2063 AXNIGP-GR INF846K01S52 AXIS NIFTY 100 INDEX FUND REGULAR GROWTH 7.5 92.5 NORMAL No
2064 AXNIDG-GR INF846K01S29 AXIS NIFTY 100 INDEX FUND DIRECT GROWTH 7.5 92.5 DIRECT No
2065 AXNIDP-DP INF846K01S60 AXIS NIFTY 100 INDEX FUND REGULAR IDCW PAYOUT 7.5 92.5 NORMAL No
2066 AXNID1-DP INF846K01S37 AXIS NIFTY 100 INDEX FUND DIRECT IDCW PAYOUT 7.5 92.5 DIRECT No
2067 MOLMGP-GR INF247L01965 MOTILAL OSWAL LARGE AND MIDCAP FUND-REGULAR GROWTH 7.5 92.5 NORMAL No
2068 MOLMDP-DP INF247L01981 MOTILAL OSWAL LARGE AND MIDCAP FUND-REGULAR IDCW PAYOUT 7.5 92.5 NORMAL No
2069 MOLMGD-GR INF247L01999 MOTILAL OSWAL LARGE AND MIDCAP FUND-DIRECT GROWTH 7.5 92.5 DIRECT No
2070 MOLMPD-DP INF247L01AB3 MOTILAL OSWAL LARGE AND MIDCAP FUND-DIRECT IDCW PAYOUT 7.5 92.5 DIRECT No
2071 KO487-GR INF174KA1EW8 KOTAK PIONEER FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2072 KO488D-DP INF174KA1EY4 KOTAK PIONEER FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
2073 KO487D-GR INF174KA1EZ1 KOTAK PIONEER FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2074 KO488-DP INF174KA1EV0 KOTAK PIONEER FUND - REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
2075 MHMUSDG-GR INF174V01887 MAHINDRA MANULIFE ULTRA SHORT DURATION FUND- DIRECT - GROWTH 7.5 92.5 DIRECT No
2076 MHMUSRG-GR INF174V01853 MAHINDRA MANULIFE ULTRA SHORT DURATION FUND- REGULAR - GROWTH 7.5 92.5 NORMAL No
2077 UNLMRG-GR INF582M01GD4 UNION LARGE AND MIDCAP FUND REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2078 UNLMRDP-DP INF582M01GG7 UNION LARGE AND MIDCAP FUND - REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
2079 UNLMDG-GR INF582M01GA0 UNION LARGE AND MIDCAP FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2080 TAFED-DP INF277K011Y0 TATA FOCUSED EQUITY FUND - REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
2081 TAFEGZ-GR INF277K017X9 TATA FOCUSED EQUITY FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
2082 TAFEDZ-DP INF277K018X7 TATA FOCUSED EQUITY FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
2083 TAFEG-GR INF277K010Y2 TATA FOCUSED EQUITY FUND REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
2084 LCUSDD-DR INF767K01QJ1 LIC ULTRA SHORT DURATION FUND - REGULAR PLAN - DAILY IDCW - REINVESTMENT 7.5 92.5 NORMAL No
2085 LCUSMD-DP INF767K01QN3 LIC ULTRA SHORT DURATION FUND - REGULAR PLAN - MONTHLY IDCW - IDCW PAYOUT 7.5 92.5 NORMAL No
2086 LCUSGP-GR INF767K01QO1 LIC ULTRA SHORT DURATION FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2087 LCUSD1-DR INF767K01QP8 LIC ULTRA SHORT DURATION FUND - DIRECT PLAN - DAILY IDCW - REINVESTMENT 7.5 92.5 DIRECT No
2088 LCUSG1-GR INF767K01QU8 LIC ULTRA SHORT DURATION FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2089 ITBFG1-GR INF00XX01689 ITI BALANCED ADVANTAGE FUND- DIRECT PLAN- GROWTH 7.5 92.5 DIRECT No
2090 ITBFDP-DP INF00XX01663 ITI BALANCED ADVANTAGE FUND- REGULAR PLAN- IDCW PAYOUT 7.5 92.5 NORMAL No
2091 ITBFGP-GR INF00XX01655 ITI BALANCED ADVANTAGE FUND- REGULAR PLAN- GROWTH 7.5 92.5 NORMAL No
2092 MONIGD-GR INF247L01AE7 MOTILAL OSWAL NIFTY 50 INDEX FUND - DIRECT GROWTH 7.5 92.5 DIRECT No
2093 MONIGP-GR INF247L01AF4 MOTILAL OSWAL NIFTY 50 INDEX FUND - REGULAR GROWTH 7.5 92.5 NORMAL No
2094 MONNGD-GR INF247L01AC1 MOTILAL OSWAL NIFTY NEXT 50 INDEX FUND - DIRECT GROWTH 7.5 92.5 DIRECT No
2095 MONNGP-GR INF247L01AD9 MOTILAL OSWAL NIFTY NEXT 50 INDEX FUND - REGULAR GROWTH 7.5 92.5 NORMAL No
2096 MHMNYDG-GR INF174V01945 MAHINDRA MANULIFE LARGE & MID CAP FUND - DIRECT - GROWTH 7.5 92.5 DIRECT No
2097 MHMNYDP-DP INF174V01960 MAHINDRA MANULIFE LARGE & MID CAP FUND - DIRECT - IDCW PAYOUT 7.5 92.5 DIRECT No
2098 MHMNYRP-DP INF174V01937 MAHINDRA MANULIFE LARGE & MID CAP FUND - REGULAR - IDCW PAYOUT 7.5 92.5 NORMAL No
2099 MHMNYRG-GR INF174V01911 MAHINDRA MANULIFE LARGE & MID CAP FUND - REGULAR - GROWTH 7.5 92.5 NORMAL No
2100 BS66Y-GR INF209KB1O82 ADITYA BIRLA SUN LIFE PSU EQUITY FUND DIRECT-GROWTH 7.5 92.5 DIRECT No
2101 BS66X-DP INF209KB1O90 ADITYA BIRLA SUN LIFE PSU EQUITY FUND DIRECT-IDCW PAYOUT 7.5 92.5 DIRECT No
2102 BS66B-GR INF209KB1O66 ADITYA BIRLA SUN LIFE PSU EQUITY FUND NORMAL-GROWTH 7.5 92.5 NORMAL No
2103 BS66A-DP INF209KB1O74 ADITYA BIRLA SUN LIFE PSU EQUITY FUND NORMAL-IDCW PAYOUT 7.5 92.5 NORMAL No
2104 EDFTRD-DP INF754K01KW5 BHARAT BOND FOF - APRIL 2030 - REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
2105 EDFTD1-GR INF754K01KY1 BHARAT BOND FOF - APRIL 2030 - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2106 EDFTRG-GR INF754K01KV7 BHARAT BOND FOF - APRIL 2030 - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2107 EDFTD2-DP INF754K01KZ8 BHARAT BOND FOF - APRIL 2030 - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
2108 TAQFGZ-GR INF277K013Y6 TATA QUANT FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
2109 TAQFD-DP INF277K017Y7 TATA QUANT FUND - REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
2110 TAQFG-GR INF277K016Y9 TATA QUANT FUND REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
2111 AXASDG-GR INF846K01U09 AXIS ALL SEASONS DEBT FUND OF FUNDS DIRECT GROWTH 7.5 92.5 DIRECT No
2112 AXASGP-GR INF846K01V16 AXIS ALL SEASONS DEBT FUND OF FUNDS REGULAR GROWTH 7.5 92.5 NORMAL No
2113 HSSDOG-GR INF336L01OW1 HSBC ULTRA SHORT DURATION FUND GROWTH 7.5 92.5 NORMAL No
2114 HSHSDOG-GR INF336L01OR1 HSBC ULTRA SHORT DURATION FUND DIRECT GROWTH 7.5 92.5 DIRECT No
2115 HSSDODD-DR INF336L01OX9 HSBC ULTRA SHORT DURATION FUND DAILY IDCW REINVESTMENT 7.5 92.5 NORMAL No
2116 HSSDOWD-DR INF336L01OY7 HSBC ULTRA SHORT DURATION FUND WEEKLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
2117 HSHSOMP-DP INF336L01OV3 HSBC ULTRA SHORT DURATION FUND DIRECT MONTHLY IDCW PAYOUT 7.5 92.5 DIRECT No
2118 HSSDOMP-DP INF336L01PA4 HSBC ULTRA SHORT DURATION FUND MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
2119 ITSCDP-DP INF00XX01721 ITI SMALL CAP FUND REGULAR PLAN IDCW PAYOUT 7.5 92.5 NORMAL No
2120 ITSCG1-GR INF00XX01747 ITI SMALL CAP FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
2121 ITSCGP-GR INF00XX01713 ITI SMALL CAP FUND REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
2122 AXEEDG-GR INF846K01W23 AXIS ESG INTEGRATION STRATEGY FUND DIRECT GROWTH 7.5 92.5 DIRECT No
2123 AXEEGP-GR INF846K01W56 AXIS ESG INTEGRATION STRATEGY FUND REGULAR GROWTH 7.5 92.5 NORMAL No
2124 AXEEDP-DP INF846K01W64 AXIS ESG INTEGRATION STRATEGY FUND REGULAR IDCW PAYOUT 7.5 92.5 NORMAL No
2125 IDD341-DP INF194KB1AM2 BANDHAN SMALL CAP FUND DIRECT PLAN-IDCW PAYOUT 7.5 92.5 DIRECT No
2126 ID340-GR INF194KB1AJ8 BANDHAN SMALL CAP FUND REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
2127 ID341-DP INF194KB1AK6 BANDHAN SMALL CAP FUND REGULAR PLAN-IDCW PAYOUT 7.5 92.5 NORMAL No
2128 IDD340-GR INF194KB1AL4 BANDHAN SMALL CAP FUND DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
2129 IC3409-GR INF109KC1I15 ICICI PRUDENTIAL INDIA EQUITY FOF GROWTH 7.5 92.5 NORMAL No
2130 IC9611-GR INF109KC1I49 ICICI PRUDENTIAL INDIA EQUITY FOF DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
2131 TAMAG-GR INF277K012Z5 TATA MULTI ASSET OPPORTUNITIES FUND REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
2132 TAMAD-DP INF277K013Z3 TATA MULTI ASSET OPPORTUNITIES FUND - REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
2133 TAMADZ-DP INF277K010Z9 TATA MULTI ASSET OPPORTUNITIES FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
2134 TAMAGZ-GR INF277K019Y3 TATA MULTI ASSET OPPORTUNITIES FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
2135 EDUTRG-GR INF754K01LC5 EDELWEISS US TECHNOLOGY EQUITY FUND OF FUND-REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
2136 EDUTD1-GR INF754K01LB7 EDELWEISS US TECHNOLOGY EQUITY FUND OF FUND-DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
2137 UNMFRG-GR INF582M01GM5 UNION MIDCAP FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2138 UNMFRDP-DP INF582M01GO1 UNION MIDCAP FUND - REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
2139 UNMFDG-GR INF582M01GI3 UNION MIDCAP FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2140 ITLCGP-GR INF00XX01770 ITI LARGE CAP FUND REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
2141 ITLCG1-GR INF00XX01804 ITI LARGE CAP FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
2142 MOSPGD-GR INF247L01AG2 MOTILAL OSWAL S&P 500 INDEX FUND DIRECT GROWTH 7.5 92.5 DIRECT No
2143 MOSPGP-GR INF247L01AH0 MOTILAL OSWAL S&P 500 INDEX FUND REGULAR GROWTH 7.5 92.5 NORMAL No
2144 MAAFRG-GR INF769K01FP7 MIRAE ASSET ARBITRAGE FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2145 MAAFD1-GR INF769K01FS1 MIRAE ASSET ARBITRAGE FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2146 BAMPDG-GR INF761K01FF5 BANK OF INDIA FLEXI CAP FUND DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2147 BAMPRG-GR INF761K01FI9 BANK OF INDIA FLEXI CAP FUND REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2148 BAMPRD-DP INF761K01FH1 BANK OF INDIA FLEXI CAP FUND REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
2149 HSFEG-GR INF336L01PE6 HSBC FOCUSED FUND REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
2150 HSFEDP-DP INF336L01PF3 HSBC FOCUSED FUND REGULAR PLAN IDCW PAYOUT 7.5 92.5 NORMAL No
2151 HSHFEG-GR INF336L01PB2 HSBC FOCUSED FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
2152 HSHFEDP-DP INF336L01PC0 HSBC FOCUSED FUND DIRECT IDCW PAYOUT 7.5 92.5 DIRECT No
2153 MABPRG-GR INF769K01FV5 MIRAE ASSET BANKING AND PSU FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2154 MABPD1-GR INF769K01FY9 MIRAE ASSET BANKING AND PSU FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2155 EDO5D1-GR INF754K01LI2 BHARAT BOND FOF - APRIL 2025 - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2156 EDO5RD-DP INF754K01LG6 BHARAT BOND FOF - APRIL 2025 - REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
2157 EDO5RG-GR INF754K01LF8 BHARAT BOND FOF - APRIL 2025 - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2158 EDO1D1-GR INF754K01LO0 BHARAT BOND FOF - APRIL 2031 - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2159 EDO1RG-GR INF754K01LL6 BHARAT BOND FOF - APRIL 2031 - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2160 MOMAGD-GR INF247L01AI8 MOTILAL OSWAL MULTI ASSET FUND DIRECT GROWTH 7.5 92.5 DIRECT No
2161 MOMAGP-GR INF247L01AJ6 MOTILAL OSWAL MULTI ASSET FUND REGULAR GROWTH 7.5 92.5 NORMAL No
2162 RLMFAG-GR INF204KB19V4 NIPPON INDIA MULTI ASSET FUND-DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
2163 RLMFAD-DP INF204KB10W1 NIPPON INDIA MULTI ASSET FUND-DIRECT PLAN-IDCW PAYOUT 7.5 92.5 DIRECT No
2164 RLMFGP-GR INF204KB16V0 NIPPON INDIA MULTI ASSET FUND-REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
2165 RLMFDP-DP INF204KB17V8 NIPPON INDIA MULTI ASSET FUND-REGULAR PLAN-IDCW PAYOUT 7.5 92.5 NORMAL No
2166 MHMAYRG-GR INF174V01978 MAHINDRA MANULIFE ARBITRAGE FUND - REGULAR - GROWTH 7.5 92.5 NORMAL No
2167 MHMAYDG-GR INF174V01AA0 MAHINDRA MANULIFE ARBITRAGE FUND - DIRECT - GROWTH 7.5 92.5 DIRECT No
2168 BPLMGP-GR INF955L01JR8 BARODA BNP PARIBAS LARGE AND MID CAP FUND-REGULAR GROWTH 7.5 92.5 NORMAL No
Approved Securities List for the Month of April 2024
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
2169 BPLMDP-DP INF955L01JS6 BARODA BNP PARIBAS LARGE AND MID CAP FUND-REGULAR IDCW PAYOUT collateral margin of Rs. 7.5 92.5 NORMAL No
2170 BPLMD2-GR INF955L01JU2 BARODA BNP PARIBAS LARGE AND MID CAP FUND-DIRECT GROWTH 7.5 92.5 DIRECT No
2171 UNMDRG-GR INF582M01GU8 UNION MEDIUM DURATION FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2172 UNMDDG-GR INF582M01GQ6 UNION MEDIUM DURATION FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2173 RGIFD1-GR INF205KA1213 INVESCO INDIA FOCUSED FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
2174 RGIFGP-GR INF205KA1189 INVESCO INDIA FOCUSED FUND REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
2175 RGIFDP-DP INF205KA1171 INVESCO INDIA FOCUSED FUND REGULAR PLAN IDCW PAYOUT 7.5 92.5 NORMAL No
2176 AXGADG-GR INF846K01X06 AXIS GLOBAL EQUITY ALPHA FUND OF FUND DIRECT GROWTH 7.5 92.5 DIRECT No
2177 AXGAGP-GR INF846K01X30 AXIS GLOBAL EQUITY ALPHA FUND OF FUND REGULAR GROWTH 7.5 92.5 NORMAL No
2178 AXGAD1-DP INF846K01X14 AXIS GLOBAL EQUITY ALPHA FUND OF FUND DIRECT IDCW PAYOUT 7.5 92.5 DIRECT No
2179 AXGADP-DP INF846K01X48 AXIS GLOBAL EQUITY ALPHA FUND OF FUND REGULAR IDCW PAYOUT 7.5 92.5 NORMAL No
2180 MAEAD1-GR INF769K01GE9 MIRAE ASSET EQUITY ALLOCATOR FUND OF FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2181 MAEAD2-DP INF769K01GD1 MIRAE ASSET EQUITY ALLOCATOR FUND OF FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
2182 MAEARG-GR INF769K01GB5 MIRAE ASSET EQUITY ALLOCATOR FUND OF FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2183 SUBCGP-GR INF903JA1IZ3 SUNDARAM LARGE CAP FUND - REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
2184 SUBCDP-DR INF903JA1JB2 SUNDARAM LARGE CAP FUND - REGULAR PLAN IDCW REINVESTMENT 7.5 92.5 NORMAL No
2185 SUBCDG-GR INF903JA1JC0 SUNDARAM LARGE CAP FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
2186 SUBCD1-DR INF903JA1JE6 SUNDARAM LARGE CAP FUND - DIRECT PLAN IDCW REINVESTMENT 7.5 92.5 DIRECT No
2187 IC3436P-DP INF109KC1N91 ICICI PRUDENTIAL ESG EXCLUSIONARY STRATEGY FUND IDCW PAYOUT 7.5 92.5 NORMAL No
2188 IC9637-GR INF109KC1O09 ICICI PRUDENTIAL ESG EXCLUSIONARY STRATEGY FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
2189 IC3435-GR INF109KC1N75 ICICI PRUDENTIAL ESG EXCLUSIONARY STRATEGY FUND GROWTH 7.5 92.5 NORMAL No
2190 RLNSGP-GR INF204KB12W7 NIPPON INDIA NIFTY SMALLCAP 250 INDEX FUND-REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
2191 RLNSAG-GR INF204KB15W0 NIPPON INDIA NIFTY SMALLCAP 250 INDEX FUND-DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
2192 RLNSDP-DP INF204KB13W5 NIPPON INDIA NIFTY SMALLCAP 250 INDEX FUND-REGULAR PLAN-IDCW PAYOUT 7.5 92.5 NORMAL No
2193 RLNSAD-DP INF204KB16W8 NIPPON INDIA NIFTY SMALLCAP 250 INDEX FUND-DIRECT PLAN-IDCW PAYOUT 7.5 92.5 DIRECT No
2194 MAUSRG-GR INF769K01GH2 MIRAE ASSET ULTRA SHORT DURATION FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2195 ITBSG1-GR INF00XX01861 ITI BANKING AND PSU DEBT FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
2196 ITBSGP-GR INF00XX01838 ITI BANKING AND PSU DEBT FUND REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
2197 BS67B-GR INF209KB1T46 ADITYA BIRLA SUN LIFE SPECIAL OPPORTUNITIES FUND-NORMAL PLAN-GROWTH 7.5 92.5 NORMAL No
2198 BS67A-DP INF209KB1T53 ADITYA BIRLA SUN LIFE SPECIAL OPPORTUNITIES FUND-NORMAL PLAN-IDCW PAYOUT 7.5 92.5 NORMAL No
2199 BS67Y-GR INF209KB1T79 ADITYA BIRLA SUN LIFE SPECIAL OPPORTUNITIES FUND-DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
2200 SB620G-GR INF200KA1R15 SBI FLOATING RATE DEBT FUND REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
2201 SBD620G-GR INF200KA1R64 SBI FLOATING RATE DEBT FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
2202 EDWHD1-GR INF754K01LV5 EDELWEISS MSCI INDIA DOMESTIC & WORLD HEALTHCARE 45 INDEX FUND - DIRECT PLAN - GROWTH7.5 92.5 DIRECT No
2203 EDWHRG-GR INF754K01LR3 EDELWEISS MSCI INDIA DOMESTIC & WORLD HEALTHCARE 45 INDEX FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2204 EDWHDP-DP INF754K01LS1 EDELWEISS MSCI INDIA DOMESTIC & WORLD HEALTHCARE 45 INDEX FUND - REGULAR PLAN - IDCW PAYOUT
7.5 92.5 NORMAL No
2205 QUEFGP-GR INF966L01AB8 QUANT ESG EQUITY FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2206 QUEFG1-GR INF966L01AD4 QUANT ESG EQUITY FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2207 MHMFERP-DP INF174V01AF9 MAHINDRA MANULIFE FOCUSED FUND - REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
2208 MHMFEDG-GR INF174V01AG7 MAHINDRA MANULIFE FOCUSED FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2209 MHMFERG-GR INF174V01AD4 MAHINDRA MANULIFE FOCUSED FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2210 MASLRD-DP INF769K01GM2 MIRAE ASSET ESG SECTOR LEADERS FUND OF FUND REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
2211 MASLD1-GR INF769K01GQ3 MIRAE ASSET ESG SECTOR LEADERS FUND OF FUND DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2212 MASLRG-GR INF769K01GN0 MIRAE ASSET ESG SECTOR LEADERS FUND OF FUND REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2213 UNHERDP-DP INF582M01HE0 UNION AGGRESSIVE HYBRID FUND - REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
2214 UNHERG-GR INF582M01HC4 UNION AGGRESSIVE HYBRID FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2215 UNHEDG-GR INF582M01GY0 UNION AGGRESSIVE HYBRID FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2216 DS607-GR INF740KA1PM0 DSP VALUE FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2217 DS875-GR INF740KA1PP3 DSP VALUE FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2218 DS608-DP INF740KA1PN8 DSP VALUE FUND - REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
2219 IC3437-GR INF109KC1O33 ICICI PRUDENTIAL QUANT FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2220 IC9639-GR INF109KC1O66 ICICI PRUDENTIAL QUANT FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2221 KO489-GR INF174KA1FF0 KOTAK ESG EXCLUSIONARY STRATEGY FUND-REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2222 KO490DP-DP INF174KA1FE3 KOTAK ESG EXCLUSIONARY STRATEGY FUND-REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
2223 KO489D-GR INF174KA1FI4 KOTAK ESG EXCLUSIONARY STRATEGY FUND-DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2224 HDDYDDP-DP INF179KC1AP3 HDFC DIVIDEND YIELD FUND - DIRECT PLAN - IDCW PAYOUT OPTION 7.5 92.5 DIRECT No
2225 HDDYDGR-GR INF179KC1AO6 HDFC DIVIDEND YIELD FUND - DIRECT PLAN - GROWTH OPTION 7.5 92.5 DIRECT No
2226 HDDYRGR-GR INF179KC1AR9 HDFC DIVIDEND YIELD FUND - REGULAR PLAN - GROWTH OPTION 7.5 92.5 NORMAL No
2227 HDDYRDP-DP INF179KC1AS7 HDFC DIVIDEND YIELD FUND - REGULAR PLAN - IDCW PAYOUT OPTION 7.5 92.5 NORMAL No
2228 UTSPDP-DP INF789F1AUP3 UTI SMALL CAP FUND - REGULAR IDCW PAYOUT 7.5 92.5 NORMAL No
2229 UTSPGP-GR INF789F1AUO6 UTI SMALL CAP FUND - REGULAR GROWTH PLAN 7.5 92.5 NORMAL No
2230 UTSPG1-GR INF789F1AUQ1 UTI SMALL CAP FUND - DIRECT GROWTH PLAN 7.5 92.5 DIRECT No
2231 UTSPD1-DP INF789F1AUR9 UTI SMALL CAP FUND - DIRECT IDCW PAYOUT 7.5 92.5 DIRECT No
2232 MABFRG-GR INF769K01GU5 MIRAE ASSET BANKING AND FINANCIAL SERVICES FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2233 MABFRD-DP INF769K01GT7 MIRAE ASSET BANKING AND FINANCIAL SERVICES FUND - REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
2234 MABFD1-GR INF769K01GX9 MIRAE ASSET BANKING AND FINANCIAL SERVICES FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2235 MABFD2-DP INF769K01GW1 MIRAE ASSET BANKING AND FINANCIAL SERVICES FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
2236 BPBPD2-GR INF955L01KC8 BARODA BNP PARIBAS BANKING AND PSU BOND FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
2237 BPBPGP-GR INF955L01JX6 BARODA BNP PARIBAS BANKING AND PSU BOND FUND - REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
2238 AXSSDP-DP INF846K01Y13 AXIS SPECIAL SITUATIONS FUND REGULAR IDCW PAYOUT 7.5 92.5 NORMAL No
2239 AXSSDG-GR INF846K01X71 AXIS SPECIAL SITUATIONS FUND DIRECT GROWTH 7.5 92.5 DIRECT Yes
2240 AXSSGP-GR INF846K01Y05 AXIS SPECIAL SITUATIONS FUND REGULAR GROWTH 7.5 92.5 NORMAL No
2241 AXSSD1-DP INF846K01X89 AXIS SPECIAL SITUATIONS FUND DIRECT IDCW PAYOUT 7.5 92.5 DIRECT No
2242 BS68B-GR INF209KB1U43 ADITYA BIRLA SUN LIFE ESG INTEGRATION STRATEGY FUND-NORMAL PLAN-GROWTH 7.5 92.5 NORMAL No
2243 BS68A-DP INF209KB1U50 ADITYA BIRLA SUN LIFE ESG INTEGRATION STRATEGY FUND-NORMAL PLAN-IDCW PAYOUT 7.5 92.5 NORMAL No
2244 BS68Y-GR INF209KB1U76 ADITYA BIRLA SUN LIFE ESG INTEGRATION STRATEGY FUND-DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
2245 RLPPGP-GR INF204KB13X3 NIPPON INDIA PASSIVE FLEXICAP FOF PLAN GROWTH 7.5 92.5 NORMAL No
2246 RLPPAG-GR INF204KB16X6 NIPPON INDIA PASSIVE FLEXICAP FOF DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
2247 RLPPDP-DP INF204KB14X1 NIPPON INDIA PASSIVE FLEXICAP FOF DIVIDEND PLAN IDCW PAYOUT 7.5 92.5 NORMAL No
2248 IC9641-GR INF109KC1P24 ICICI PRUDENTIAL BUSINESS CYCLE FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
2249 IC9642P-DP INF109KC1P40 ICICI PRUDENTIAL BUSINESS CYCLE FUND DIRECT PLAN IDCW PAYOUT 7.5 92.5 DIRECT No
2250 IC3439-GR INF109KC1O90 ICICI PRUDENTIAL BUSINESS CYCLE FUND GROWTH 7.5 92.5 NORMAL No
2251 IC3440P-DP INF109KC1P16 ICICI PRUDENTIAL BUSINESS CYCLE FUND IDCW PAYOUT 7.5 92.5 NORMAL No
2252 TSBFRG-GR INF0GCD01016 TRUSTMF BANKING & PSU FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2253 TSBFDG-GR INF0GCD01107 TRUSTMF BANKING & PSU FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2254 PRBLGP-GR INF663L01V72 PGIM INDIA BALANCED ADVANTAGE FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2255 PRBLG1-GR INF663L01V49 PGIM INDIA BALANCED ADVANTAGE FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2256 PRBLDP-DP INF663L01V80 PGIM INDIA BALANCED ADVANTAGE FUND - REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
2257 KO493-GR INF174KA1FR5 KOTAK NASDAQ 100 FUND OF FUND - REGULAR GROWTH 7.5 92.5 NORMAL No
2258 KO493D-GR INF174KA1FQ7 KOTAK NASDAQ 100 FUND OF FUND - DIRECT GROWTH 7.5 92.5 DIRECT No
2259 RLALGP-GR INF204KB13Y1 NIPPON INDIA ASSET ALLOCATOR FOF - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2260 RLALDP-DP INF204KB14Y9 NIPPON INDIA ASSET ALLOCATOR FOF - REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
2261 RLALAG-GR INF204KB16Y4 NIPPON INDIA ASSET ALLOCATOR FOF - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2262 UTNMG1-GR INF789F1AUT5 UTI NIFTY200 MOMENTUM 30 INDEX FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
2263 UTNMGP-GR INF789F1AUS7 UTI NIFTY200 MOMENTUM 30 INDEX FUND - REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
2264 ID342-GR INF194KB1AP5 BANDHAN FLOATING RATE FUND REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
2265 IDD342-GR INF194KB1BA5 BANDHAN FLOATING RATE FUND DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
2266 RLNVGP-GR INF204KB19Y8 NIPPON INDIA NIFTY 50 VALUE 20 INDEX FUND REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
2267 RLNVAG-GR INF204KB12Z0 NIPPON INDIA NIFTY 50 VALUE 20 INDEX FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
2268 RLNVAD-DP INF204KB13Z8 NIPPON INDIA NIFTY 50 VALUE 20 INDEX FUND DIRECT PLAN IDCW PAYOUT 7.5 92.5 DIRECT No
2269 RLNPGP-GR INF204KB15Z3 NIPPON INDIA NIFTY MIDCAP 150 INDEX FUND REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
2270 RLNPDP-DP INF204KB16Z1 NIPPON INDIA NIFTY MIDCAP 150 INDEX FUND REGULAR PLAN IDCW PAYOUT 7.5 92.5 NORMAL No
2271 RLNPAD-DP INF204KB19Z5 NIPPON INDIA NIFTY MIDCAP 150 INDEX FUND DIRECT PLAN IDCW PAYOUT 7.5 92.5 DIRECT No
2272 RLNPAG-GR INF204KB18Z7 NIPPON INDIA NIFTY MIDCAP 150 INDEX FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
2273 MHMSTRG-GR INF174V01AJ1 MAHINDRA MANULIFE SHORT DURATION FUND - REGULAR - GROWTH 7.5 92.5 NORMAL No
2274 MHMSTDG-GR INF174V01AM5 MAHINDRA MANULIFE SHORT DURATION FUND - DIRECT - GROWTH 7.5 92.5 DIRECT No
2275 ITMDGP-GR INF00XX01895 ITI MID CAP FUND- REGULAR PLAN- GROWTH 7.5 92.5 NORMAL No
2276 ITMDG1-GR INF00XX01929 ITI MID CAP FUND- DIRECT PLAN- GROWTH 7.5 92.5 DIRECT No
2277 ITMDDP-DP INF00XX01903 ITI MID CAP FUND- REGULAR PLAN- IDCW PAYOUT 7.5 92.5 NORMAL No
2278 KO494-GR INF174KA1FX3 KOTAK NIFTY NEXT 50 INDEX FUND-REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2279 KO494D-GR INF174KA1GA9 KOTAK NIFTY NEXT 50 INDEX FUND-DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2280 KO495DD-DP INF174KA1FZ8 KOTAK NIFTY NEXT 50 INDEX FUND-DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
2281 MOAAGD-GR INF247L01AL2 MOTILAL OSWAL ASSET ALLOCATION PASSIVE FUND OF FUND - AGGRESSIVE - DIRECT GROWTH 7.5 92.5 DIRECT No
Approved Securities List for the Month of April 2024
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
2282 MOAAGP-GR INF247L01AM0 MOTILAL OSWAL ASSET ALLOCATION PASSIVE FUND OF FUND - AGGRESSIVE collateral margin
- REGULAR of Rs. 7.5
GROWTH 92.5 NORMAL No
2283 MOACGP-GR INF247L01AO6 MOTILAL OSWAL ASSET ALLOCATION PASSIVE FUND OF FUND - CONSERVATIVE - REGULAR GROWTH 7.5 92.5 NORMAL No
2284 MOACGD-GR INF247L01AN8 MOTILAL OSWAL ASSET ALLOCATION PASSIVE FUND OF FUND - CONSERVATIVE - DIRECT GROWTH 7.5 92.5 DIRECT No
2285 RGEGD1-GR INF205KA1338 INVESCO INDIA ESG EQUITY FUND - DIRECT PLAN - GROWTH OPTION 7.5 92.5 DIRECT No
2286 RGEGGP-GR INF205KA1304 INVESCO INDIA ESG EQUITY FUND - REGULAR PLAN - GROWTH OPTION 7.5 92.5 NORMAL No
2287 RGEGDP-DP INF205KA1296 INVESCO INDIA ESG EQUITY FUND - REGULAR PLAN - IDCW PAYOUT OF INCOME DISTRIBUTION CUM CAPITAL
7.5 WITHDRAWAL OPTION92.5 NORMAL No
2288 MACBD1-GR INF769K01HD9 MIRAE ASSET CORPORATE BOND FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2289 MACBRG-GR INF769K01HA5 MIRAE ASSET CORPORATE BOND FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2290 SB627DP-DP INF200KA1U02 SBI INTERNATIONAL ACCESS - US EQUITY FOF REGULAR PLAN IDCW PAYOUT 7.5 92.5 NORMAL No
2291 SBD627G-GR INF200KA1U28 SBI INTERNATIONAL ACCESS - US EQUITY FOF DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
2292 SBD627P-DP INF200KA1U36 SBI INTERNATIONAL ACCESS - US EQUITY FOF DIRECT PLAN IDCW PAYOUT 7.5 92.5 DIRECT No
2293 SB627G-GR INF200KA1T96 SBI INTERNATIONAL ACCESS - US EQUITY FOF REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
2294 DS610-GR INF740KA1PS7 DSP FLOATER FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2295 DS878-GR INF740KA1PV1 DSP FLOATER FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2296 EDP6DP-DP INF754K01MA7 EDELWEISS NIFTY PSU BOND PLUS SDL APR 2026 50:50 INDEX FUND - REGULAR PLAN - IDCW PAYOUT7.5 92.5 NORMAL No
2297 EDP6D1-GR INF754K01MD1 EDELWEISS NIFTY PSU BOND PLUS SDL APR 2026 50:50 INDEX FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2298 EDP6RG-GR INF754K01LZ6 EDELWEISS NIFTY PSU BOND PLUS SDL APR 2026 50:50 INDEX FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2299 BS70BB-GR INF209KB1W41 ADITYA BIRLA SUN LIFE NIFTY MIDCAP 150 INDEX FUND-NORMAL PLAN-GROWTH 7.5 92.5 NORMAL No
2300 BS70A-DP INF209KB1W58 ADITYA BIRLA SUN LIFE NIFTY MIDCAP 150 INDEX FUND-NORMAL PLAN-IDCW PAYOUT 7.5 92.5 NORMAL No
2301 BS70Y-GR INF209KB1W74 ADITYA BIRLA SUN LIFE NIFTY MIDCAP 150 INDEX FUND-DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
2302 BS69B-GR INF209KB1V83 ADITYA BIRLA SUN LIFE NIFTY SMALLCAP 50 INDEX FUND-NORMAL PLAN-GROWTH 7.5 92.5 NORMAL No
2303 BS69A-DP INF209KB1V91 ADITYA BIRLA SUN LIFE NIFTY SMALLCAP 50 INDEX FUND-NORMAL PLAN-IDCW PAYOUT 7.5 92.5 NORMAL No
2304 BS69Y-GR INF209KB1W17 ADITYA BIRLA SUN LIFE NIFTY SMALLCAP 50 INDEX FUND-DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
2305 IC3441-GR INF109KC1P57 ICICI PRUDENTIAL NIFTY 100 LOW VOLATILITY 30 ETF FOF GROWTH 7.5 92.5 NORMAL No
2306 IC9643-GR INF109KC1P81 ICICI PRUDENTIAL NIFTY 100 LOW VOLATILITY 30 ETF FOF DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
2307 IC9644P-DP INF109KC1Q07 ICICI PRUDENTIAL NIFTY 100 LOW VOLATILITY 30 ETF FOF DIRECT PLAN IDCW PAYOUT 7.5 92.5 DIRECT No
2308 CAFEDD-DP INF760K01JS2 CANARA ROBECO FOCUSED EQUITY FUND DIRECT IDCW PAYOUT 7.5 92.5 DIRECT No
2309 CAFEDG-GR INF760K01JQ6 CANARA ROBECO FOCUSED EQUITY FUND DIRECT GROWTH 7.5 92.5 DIRECT No
2310 CAFEGP-GR INF760K01JT0 CANARA ROBECO FOCUSED EQUITY FUND REGULAR GROWTH 7.5 92.5 NORMAL No
2311 CAFEDP-DP INF760K01JV6 CANARA ROBECO FOCUSED EQUITY FUND REGULAR IDCW PAYOUT 7.5 92.5 NORMAL No
2312 HDAARDP-DP INF179KC1BE5 HDFC ASSET ALLOCATOR FOF REGULAR IDCW PAYOUT 7.5 92.5 NORMAL No
2313 HDAARGR-GR INF179KC1BD7 HDFC ASSET ALLOCATOR FOF REGULAR GROWTH 7.5 92.5 NORMAL No
2314 HDAADDP-DP INF179KC1BB1 HDFC ASSET ALLOCATOR FOF DIRECT IDCW PAYOUT 7.5 92.5 DIRECT No
2315 HDAADGR-GR INF179KC1BA3 HDFC ASSET ALLOCATOR FOF DIRECT GROWTH 7.5 92.5 DIRECT Yes
2316 ITUSGP-GR INF00XX01952 ITI ULTRA SHORT DURATION FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2317 ITUSG1-GR INF00XX01AE2 ITI ULTRA SHORT DURATION FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2318 BS71B-GR INF209KB1Y23 ADITYA BIRLA SUN LIFE MULTI-CAP FUND-NORMAL PLAN-GROWTH 7.5 92.5 NORMAL No
2319 BS71A-DP INF209KB1Y31 ADITYA BIRLA SUN LIFE MULTI-CAP FUND-NORMAL PLAN-IDCW PAYOUT 7.5 92.5 NORMAL No
2320 BS71X-DP INF209KB1Y56 ADITYA BIRLA SUN LIFE MULTI-CAP FUND-DIRECT PLAN-IDCW PAYOUT 7.5 92.5 DIRECT No
2321 BS71Y-GR INF209KB1Y49 ADITYA BIRLA SUN LIFE MULTI-CAP FUND-DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
2322 QUQMDP-DP INF966L01AI3 QUANT QUANTAMENTAL FUND REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
2323 QUQMGP-GR INF966L01AH5 QUANT QUANTAMENTAL FUND REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2324 QUQMD1-DP INF966L01AL7 QUANT QUANTAMENTAL FUND DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
2325 QUQMDG-GR INF966L01AK9 QUANT QUANTAMENTAL FUND DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2326 MAFPD1-GR INF769K01HH0 MIRAE ASSET NYSE FANG ETF FUND OF FUND DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2327 MAFPRG-GR INF769K01HG2 MIRAE ASSET NYSE FANG ETF FUND OF FUND REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
2328 SB631G-GR INF200KA1V76 SBI NIFTY NEXT 50 INDEX FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2329 SB631DP-DP INF200KA1V84 SBI NIFTY NEXT 50 INDEX FUND - REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
2330 SBD631G-GR INF200KA1W00 SBI NIFTY NEXT 50 INDEX FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2331 SBD631P-DP INF200KA1W18 SBI NIFTY NEXT 50 INDEX FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
2332 TAYFGZ-GR INF277K015Z8 TATA DIVIDEND YIELD FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
2333 TAYFG-GR INF277K018Z2 TATA DIVIDEND YIELD FUND - REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
2334 TAYFD-DP INF277K019Z0 TATA DIVIDEND YIELD FUND - REGULAR PLAN IDCW PAYOUT 7.5 92.5 NORMAL No
2335 TAYFDZ-DP INF277K016Z6 TATA DIVIDEND YIELD FUND - DIRECT PLAN IDCW PAYOUT 7.5 92.5 DIRECT No
2336 AXGIGP-GR INF846K01Z53 AXIS GLOBAL INNOVATION FUND OF FUND REGULAR GROWTH 7.5 92.5 NORMAL No
2337 AXGIDG-GR INF846K01Z20 AXIS GLOBAL INNOVATION FUND OF FUND DIRECT GROWTH 7.5 92.5 DIRECT No
2338 AXGIDP-DP INF846K01Z61 AXIS GLOBAL INNOVATION FUND OF FUND REGULAR IDCW PAYOUT 7.5 92.5 NORMAL No
2339 PPCHFGZ-GR INF879O01175 PARAG PARIKH CONSERVATIVE HYBRID FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
2340 PPCHFG-GR INF879O01209 PARAG PARIKH CONSERVATIVE HYBRID FUND - REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
2341 PPCFMDP-DP INF879O01191 PARAG PARIKH CONSERVATIVE HYBRID FUND - REGULAR PLAN MONTHLY PAYOUT INCOME DISTRIBUTION 7.5 CUM CAPITAL WITHDRAWAL
92.5OPTION
NORMAL No
2342 PPCFMPZ-DP INF879O01167 PARAG PARIKH CONSERVATIVE HYBRID FUND - DIRECT PLAN MONTHLY PAYOUT INCOME DISTRIBUTION 7.5CUM CAPITAL WITHDRAWAL92.5
OPTION
DIRECT No
2343 BS79Y-GR INF209KB1Z71 ADITYA BIRLA SUN LIFE NIFTY 50 EQUAL WEIGHT INDEX FUND-DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
2344 BS79A-DP INF209KB1Z55 ADITYA BIRLA SUN LIFE NIFTY 50 EQUAL WEIGHT INDEX FUND-NORMAL PLAN-IDCW PAYOUT 7.5 92.5 NORMAL No
2345 BS79B-GR INF209KB1Z48 ADITYA BIRLA SUN LIFE NIFTY 50 EQUAL WEIGHT INDEX FUND -NORMAL PLAN-GROWTH 7.5 92.5 NORMAL No
2346 ITVFG1-GR INF00XX01AQ6 ITI VALUE FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2347 ITVFGP-GR INF00XX01AN3 ITI VALUE FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2348 KO496-GR INF174KA1GX1 KOTAK NIFTY 50 INDEX FUND-REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
2349 KO497DD-DP INF174KA1HB5 KOTAK NIFTY 50 INDEX FUND-DIRECT PLAN-IDCW PAYOUT 7.5 92.5 DIRECT No
2350 KO496D-GR INF174KA1HA7 KOTAK NIFTY 50 INDEX FUND-DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
2351 KO497DP-DP INF174KA1GY9 KOTAK NIFTY 50 INDEX FUND-REGULAR PLAN-IDCW PAYOUT 7.5 92.5 NORMAL No
2352 BABCDG-GR INF761K01FL3 BANK OF INDIA BLUECHIP FUND DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2353 BABCRG-GR INF761K01FO7 BANK OF INDIA BLUECHIP FUND REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2354 HDBFRDP-DP INF179KC1BK2 HDFC BANKING AND FINANCIAL SERVICES FUND REGULAR IDCW PAYOUT 7.5 92.5 NORMAL No
2355 HDBFDDP-DP INF179KC1BH8 HDFC BANKING AND FINANCIAL SERVICES FUND DIRECT IDCW PAYOUT 7.5 92.5 DIRECT No
2356 HDBFDGR-GR INF179KC1BG0 HDFC BANKING AND FINANCIAL SERVICES FUND DIRECT GROWTH 7.5 92.5 DIRECT No
2357 HDBFRGR-GR INF179KC1BJ4 HDFC BANKING AND FINANCIAL SERVICES FUND REGULAR GROWTH 7.5 92.5 NORMAL No
2358 IC3444-DP INF109KC1Q98 ICICI PRUDENTIAL FLEXICAP FUND IDCW PAYOUT 7.5 92.5 NORMAL No
2359 IC3443-GR INF109KC1Q80 ICICI PRUDENTIAL FLEXICAP FUND GROWTH 7.5 92.5 NORMAL No
2360 IC9645-GR INF109KC1R14 ICICI PRUDENTIAL FLEXICAP FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
2361 IC9646-DP INF109KC1R22 ICICI PRUDENTIAL FLEXICAP FUND DIRECT PLAN IDCW PAYOUT 7.5 92.5 DIRECT No
2362 AXQFGP-GR INF846K011A2 AXIS QUANT FUND REGULAR GROWTH 7.5 92.5 NORMAL No
2363 AXQFDG-GR INF846K01Z87 AXIS QUANT FUND DIRECT GROWTH 7.5 92.5 DIRECT No
2364 AXQFD1-DP INF846K01Z95 AXIS QUANT FUND DIRECT IDCW PAYOUT 7.5 92.5 DIRECT No
2365 AXQFDP-DP INF846K012A0 AXIS QUANT FUND REGULAR IDCW PAYOUT 7.5 92.5 NORMAL No
2366 TAFRG-GR INF277KA1091 TATA FLOATING RATE FUND-REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
2367 TAFRGZ-GR INF277KA1026 TATA FLOATING RATE FUND-DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
2368 RGMDGP-GR INF205KA1379 INVESCO INDIA MEDIUM DURATION FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2369 RGMDD1-GR INF205KA1429 INVESCO INDIA MEDIUM DURATION FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2370 PRSCG1-GR INF663L01W06 PGIM INDIA SMALL CAP FUND DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2371 PRSCGP-GR INF663L01W30 PGIM INDIA SMALL CAP FUND REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2372 PRSCDP-DP INF663L01W48 PGIM INDIA SMALL CAP FUND REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
2373 ITDBGP-GR INF00XX01AT0 ITI DYNAMIC BOND FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2374 ITDBG1-GR INF00XX01BC4 ITI DYNAMIC BOND FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2375 ESNIGP-GR INF959L01FQ0 NAVI NIFTY 50 INDEX FUND REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
2376 ESNIGD-GR INF959L01FP2 NAVI NIFTY 50 INDEX FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
2377 AXRFGP-GR INF846K012B8 AXIS FLOATER FUND REGULAR GROWTH 7.5 92.5 NORMAL No
2378 AXRFDG-GR INF846K014A6 AXIS FLOATER FUND DIRECT GROWTH 7.5 92.5 DIRECT No
2379 TABCDZ-DP INF277KA1182 TATA BUSINESS CYCLE FUND -DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
2380 TABCG-GR INF277KA1190 TATA BUSINESS CYCLE FUND -REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2381 TABCD-DP INF277KA1216 TATA BUSINESS CYCLE FUND -REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
2382 TABCGZ-GR INF277KA1166 TATA BUSINESS CYCLE FUND -DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2383 TSSTRG-GR INF0GCD01313 TRUSTMF SHORT DURATION FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2384 TSSTDG-GR INF0GCD01370 TRUSTMF SHORT DURATION FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2385 CAVFDG-GR INF760K01JW4 CANARA ROBECO VALUE FUND DIRECT GROWTH 7.5 92.5 DIRECT No
2386 CAVFDD-DP INF760K01JY0 CANARA ROBECO VALUE FUND DIRECT IDCW PAYOUT 7.5 92.5 DIRECT No
2387 CAVFDP-DP INF760K01KB6 CANARA ROBECO VALUE FUND REGULAR IDCW PAYOUT 7.5 92.5 NORMAL No
2388 CAVFGP-GR INF760K01JZ7 CANARA ROBECO VALUE FUND REGULAR GROWTH 7.5 92.5 NORMAL No
2389 RLLCGP-GR INF204KC1097 NIPPON INDIA FLEXICAP FUND-REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
2390 RLLCAG-GR INF204KC1121 NIPPON INDIA FLEXICAP FUND-DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
2391 RLLCAD-DP INF204KC1139 NIPPON INDIA FLEXICAP FUND-DIRECT PLAN-IDCW PAYOUT 7.5 92.5 DIRECT No
2392 RLLCDP-DP INF204KC1105 NIPPON INDIA FLEXICAP FUND-REGULAR PLAN-IDCW PAYOUT 7.5 92.5 NORMAL No
2393 UTEYGP-GR INF789F1AUY5 UTI FOCUSED FUND - REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
2394 UTEYG1-GR INF789F1AVA3 UTI FOCUSED FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
Approved Securities List for the Month of April 2024
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
2395 UTEYDP-DP INF789F1AUZ2 UTI FOCUSED FUND - REGULAR PLAN PAYOUT OF IDCW collateral margin of Rs. 7.5 92.5 NORMAL No
2396 UTEYD1-DP INF789F1AVB1 UTI FOCUSED FUND - DIRECT PLAN PAYOUT IDCW 7.5 92.5 DIRECT No
2397 ID356-DP INF194KB1CD7 BANDHAN US EQUITY FUND OF FUND REGULAR PLAN-IDCW PAYOUT 7.5 92.5 NORMAL No
2398 IDD355-GR INF194KB1CF2 BANDHAN US EQUITY FUND OF FUND DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
2399 ID355-GR INF194KB1CC9 BANDHAN US EQUITY FUND OF FUND REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
2400 MHMFCRG-GR INF174V01AP8 MAHINDRA MANULIFE FLEXI CAP FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2401 MHMFCRP-DP INF174V01AR4 MAHINDRA MANULIFE FLEXI CAP FUND - REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
2402 MHMFCDG-GR INF174V01AS2 MAHINDRA MANULIFE FLEXI CAP FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2403 HDNEWRG-GR INF179KC1BN6 HDFC NIFTY50 EQUAL WEIGHT INDEX FUND REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
2404 HDNEWDG-GR INF179KC1BM8 HDFC NIFTY50 EQUAL WEIGHT INDEX FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
2405 SB638G-GR INF200KA1Y40 SBI BALANCED ADVANTAGE FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2406 SB638DP-DP INF200KA1Y57 SBI BALANCED ADVANTAGE FUND - REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
2407 SBD638G-GR INF200KA1Y73 SBI BALANCED ADVANTAGE FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2408 SBD638P-DP INF200KA1Y81 SBI BALANCED ADVANTAGE FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
2409 BPBCGP-GR INF955L01KH7 BARODA BNP PARIBAS BUSINESS CYCLE FUND REGULAR GROWTH 7.5 92.5 NORMAL No
2410 BPBCD2-GR INF955L01KK1 BARODA BNP PARIBAS BUSINESS CYCLE FUND DIRECT GROWTH 7.5 92.5 DIRECT No
2411 IC3445-GR INF109KC1R55 ICICI PRUDENTIAL NIFTY ALPHA LOW VOLATILITY 30 ETF FOF GROWTH 7.5 92.5 NORMAL No
2412 IC9647-GR INF109KC1R89 ICICI PRUDENTIAL NIFTY ALPHA LOW VOLATILITY 30 ETF FOF DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
2413 AXVFDP-DP INF846K014C2 AXIS VALUE FUND REGULAR IDCW PAYOUT 7.5 92.5 NORMAL No
2414 AXVFDG-GR INF846K010C0 AXIS VALUE FUND DIRECT GROWTH 7.5 92.5 DIRECT No
2415 AXVFGP-GR INF846K013C4 AXIS VALUE FUND REGULAR GROWTH 7.5 92.5 NORMAL No
2416 MASPD1-GR INF769K01HR9 MIRAE ASSET S&P 500 TOP 50 ETF FUND OF FUND DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2417 MASPRG-GR INF769K01HQ1 MIRAE ASSET S&P 500 TOP 50 ETF FUND OF FUND REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
2418 HDHDWDG-GR INF179KC1BO4 HDFC DEVELOPED WORLD INDEXES FUND OF FUNDS - DIRECT PLAN - GROWTH OPTION 7.5 92.5 DIRECT No
2419 HDHDWRG-GR INF179KC1BP1 HDFC DEVELOPED WORLD INDEXES FUND OF FUNDS - REGULAR PLAN - GROWTH OPTION 7.5 92.5 NORMAL No
2420 KO1155-GR INF174KA1HS9 KOTAK MULTICAP FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2421 KO115P6-DP INF174KA1HT7 KOTAK MULTICAP FUND - REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
2422 KO1155D-GR INF174KA1HV3 KOTAK MULTICAP FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2423 KO115D6-DP INF174KA1HW1 KOTAK MULTICAP FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
2424 BS80B-GR INF209KB16B1 ADITYA BIRLA SUN LIFE NIFTY SDL PLUS PSU BOND SEP 2026 60:40 INDEX FUND-REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
2425 BS80Y-GR INF209KB18B7 ADITYA BIRLA SUN LIFE NIFTY SDL PLUS PSU BOND SEP 2026 60:40 INDEX FUND-DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
2426 BS80X-DP INF209KB19B5 ADITYA BIRLA SUN LIFE NIFTY SDL PLUS PSU BOND SEP 2026 60:40 INDEX FUND-DIRECT PLAN-IDCW PAYOUT
7.5 92.5 DIRECT No
2427 BS80A-DP INF209KB17B9 ADITYA BIRLA SUN LIFE NIFTY SDL PLUS PSU BOND SEP 2026 60:40 INDEX FUND-REGULAR PLAN-IDCW7.5 PAYOUT 92.5 NORMAL No
2428 IC3447-GR INF109KC1S13 ICICI PRUDENTIAL NIFTY PSU BOND PLUS SDL SEP 2027 40:60 INDEX FUND GROWTH 7.5 92.5 NORMAL No
2429 IC9649-GR INF109KC1S88 ICICI PRUDENTIAL NIFTY PSU BOND PLUS SDL SEP 2027 40:60 INDEX FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
2430 IC3450P-DP INF109KC1S62 ICICI PRUDENTIAL NIFTY PSU BOND PLUS SDL SEP 2027 40:60 INDEX FUND ANNUAL IDCW PAYOUT 7.5 92.5 NORMAL No
2431 IC3454-GR INF109KC1U27 ICICI PRUDENTIAL NASDAQ 100 INDEX FUND - GROWTH 7.5 92.5 NORMAL No
2432 IC9656-GR INF109KC1U50 ICICI PRUDENTIAL NASDAQ 100 INDEX FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2433 IC3455P-DP INF109KC1U35 ICICI PRUDENTIAL NASDAQ 100 INDEX FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
2434 IC9657P-DP INF109KC1U68 ICICI PRUDENTIAL NASDAQ 100 INDEX FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
2435 MOGSGD-GR INF247L01AQ1 MOTILAL OSWAL 5 YEAR G-SEC FUND OF FUND - DIRECT GROWTH 7.5 92.5 DIRECT No
2436 MOGSGP-GR INF247L01AR9 MOTILAL OSWAL 5 YEAR G-SEC FUND OF FUND - REGULAR GROWTH 7.5 92.5 NORMAL No
2437 AXABGP-GR INF846K010D8 AXIS AAA BOND PLUS SDL ETF - 2026 MATURITY FUND OF FUND REGULAR GROWTH 7.5 92.5 NORMAL No
2438 AXABDG-GR INF846K017C5 AXIS AAA BOND PLUS SDL ETF - 2026 MATURITY FUND OF FUND DIRECT GROWTH 7.5 92.5 DIRECT No
2439 EDP7D1-GR INF754K01MT7 EDELWEISS NIFTY PSU BOND PLUS SDL APR 2027 50:50 INDEX FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2440 EDP7RG-GR INF754K01MP5 EDELWEISS NIFTY PSU BOND PLUS SDL APR 2027 50:50 INDEX FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2441 EDNID1-GR INF754K01NB3 EDELWEISS NIFTY 50 INDEX FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2442 EDNIRG-GR INF754K01MX9 EDELWEISS NIFTY 50 INDEX FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2443 EDQUD1-GR INF754K01NJ6 EDELWEISS NIFTY 100 QUALITY 30 INDEX FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2444 EDQURG-GR INF754K01NF4 EDELWEISS NIFTY 100 QUALITY 30 INDEX FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2445 LCBAGP-GR INF767K01QV6 LIC MF BALANCED ADVANTAGE FUND REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
2446 LCBAG1-GR INF767K01QY0 LIC MF BALANCED ADVANTAGE FUND DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
2447 LCBADP-DP INF767K01QW4 LIC MF BALANCED ADVANTAGE FUND REGULAR PLAN-IDCW PAYOUT 7.5 92.5 NORMAL No
2448 NJBARD-DP INF0J8L01016 NJ BALANCED ADVANTAGE FUND REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
2449 NJBADG-GR INF0J8L01040 NJ BALANCED ADVANTAGE FUND DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2450 NJBARG-GR INF0J8L01024 NJ BALANCED ADVANTAGE FUND REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2451 ITPHG1-GR INF00XX01BO9 ITI PHARMA AND HEALTHCARE FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2452 ITPHGP-GR INF00XX01BL5 ITI PHARMA AND HEALTHCARE FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2453 IC3456-GR INF109KC1U84 ICICI PRUDENTIAL NIFTY SMALLCAP 250 INDEX FUND - GROWTH 7.5 92.5 NORMAL No
2454 IC3457P-DP INF109KC1U92 ICICI PRUDENTIAL NIFTY SMALLCAP 250 INDEX FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
2455 IC9658-GR INF109KC1V18 ICICI PRUDENTIAL NIFTY SMALLCAP 250 INDEX FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2456 IC9659P-DP INF109KC1V26 ICICI PRUDENTIAL NIFTY SMALLCAP 250 INDEX FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
2457 HDNNIRG-GR INF179KC1BR7 HDFC NIFTY NEXT50 INDEX FUND REGULAR GROWTH 7.5 92.5 NORMAL No
2458 HDNNIDG-GR INF179KC1BQ9 HDFC NIFTY NEXT50 INDEX FUND DIRECT GROWTH 7.5 92.5 DIRECT No
2459 BS88X-DP INF209KB19C3 ADITYA BIRLA SUN LIFE NASDAQ 100 FOF-DIRECT -IDCW PAYOUT 7.5 92.5 DIRECT No
2460 BS88B-GR INF209KB15C1 ADITYA BIRLA SUN LIFE NASDAQ 100 FOF-REGULAR -GROWTH 7.5 92.5 NORMAL No
2461 BS88Y-GR INF209KB18C5 ADITYA BIRLA SUN LIFE NASDAQ 100 FOF-DIRECT -GROWTH 7.5 92.5 DIRECT No
2462 BS90A-DP INF209KB13D4 ADITYA BIRLA SUN LIFE BUSINESS CYCLE FUND REGULAR IDCW PAYOUT 7.5 92.5 NORMAL No
2463 BS90Y-GR INF209KB14D2 ADITYA BIRLA SUN LIFE BUSINESS CYCLE FUND DIRECT GROWTH 7.5 92.5 DIRECT No
2464 BS90B-GR INF209KB12D6 ADITYA BIRLA SUN LIFE BUSINESS CYCLE FUND REGULAR GROWTH 7.5 92.5 NORMAL No
2465 BS90X-DP INF209KB15D9 ADITYA BIRLA SUN LIFE BUSINESS CYCLE FUND DIRECT IDCW PAYOUT 7.5 92.5 DIRECT No
2466 ID357-GR INF194KB1CI6 BANDHAN MULTI CAP FUND REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2467 ID358-DP INF194KB1CJ4 BANDHAN MULTI CAP FUND REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
2468 IDD357-GR INF194KB1CL0 BANDHAN MULTI CAP FUND DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2469 IIIQRG-GR INF579M01AF8 360 ONE QUANT FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2470 IIIQDG-GR INF579M01AI2 360 ONE QUANT FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2471 ITBAG1-GR INF00XX01BU6 ITI BANKING AND FINANCIAL SERVICES FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2472 ITBAGP-GR INF00XX01BR2 ITI BANKING AND FINANCIAL SERVICES FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2473 IC9660-GR INF109KC1V91 ICICI PRUDENTIAL S&P BSE 500 ETF FOF DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
2474 IC3458-GR INF109KC1V67 ICICI PRUDENTIAL S&P BSE 500 ETF FOF GROWTH 7.5 92.5 NORMAL No
2475 QUVFDG-GR INF966L01AN3 QUANT VALUE FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
2476 QUVFGP-GR INF966L01AQ6 QUANT VALUE FUND - REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
2477 EDLMRG-GR INF754K01NN8 EDELWEISS NIFTY LARGE MID CAP 250 INDEX FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2478 EDLMD1-GR INF754K01NR9 EDELWEISS NIFTY LARGE MID CAP 250 INDEX FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2479 TACBFG-GR INF277KA1299 TATA CORPORATE BOND FUND-REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
2480 TACBFPD-DP INF277KA1331 TATA CORPORATE BOND FUND-REGULAR PLAN-IDCW PERIODIC PAYOUT 7.5 92.5 NORMAL No
2481 TACBFQD-DP INF277KA1356 TATA CORPORATE BOND FUND-REGULAR PLAN-IDCW QUARTERLY PAYOUT 7.5 92.5 NORMAL No
2482 TACBFGZ-GR INF277KA1224 TATA CORPORATE BOND FUND-DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
2483 HDHMCDG-GR INF179KC1BS5 HDFC MULTI CAP FUND - DIRECT PLAN - GROWTH OPTION 7.5 92.5 DIRECT No
2484 HDHMCRD-DP INF179KC1BW7 HDFC MULTI CAP FUND - REGULAR PLAN - IDCW PAYOUT OPTION 7.5 92.5 NORMAL No
2485 HDHMCRG-GR INF179KC1BV9 HDFC MULTI CAP FUND - REGULAR PLAN - GROWTH OPTION 7.5 92.5 NORMAL No
2486 HDHMCDD-DP INF179KC1BT3 HDFC MULTI CAP FUND - DIRECT PLAN - IDCW PAYOUT OPTION 7.5 92.5 DIRECT No
2487 AXN5GP-GR INF846K016D5 AXIS NIFTY 50 INDEX FUND REGULAR GROWTH 7.5 92.5 NORMAL No
2488 AXN5DP-DP INF846K017D3 AXIS NIFTY 50 INDEX FUND REGULAR IDCW PAYOUT 7.5 92.5 NORMAL No
2489 AXN5DG-GR INF846K013D2 AXIS NIFTY 50 INDEX FUND DIRECT GROWTH 7.5 92.5 DIRECT No
2490 AXN5D1-DP INF846K014D0 AXIS NIFTY 50 INDEX FUND DIRECT IDCW PAYOUT 7.5 92.5 DIRECT No
2491 AXMTGP-GR INF846K016E3 AXIS MULTICAP FUND REGULAR GROWTH 7.5 92.5 NORMAL No
2492 AXMTDG-GR INF846K013E0 AXIS MULTICAP FUND DIRECT GROWTH 7.5 92.5 DIRECT No
2493 AXMTD1-DP INF846K014E8 AXIS MULTICAP FUND DIRECT IDCW PAYOUT 7.5 92.5 DIRECT No
2494 AXMTDP-DP INF846K017E1 AXIS MULTICAP FUND REGULAR IDCW PAYOUT 7.5 92.5 NORMAL No
2495 IC9662-GR INF109KC1W58 ICICI PRUDENTIAL NIFTY MIDCAP 150 INDEX FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2496 IC3460-GR INF109KC1W25 ICICI PRUDENTIAL NIFTY MIDCAP 150 INDEX FUND - GROWTH 7.5 92.5 NORMAL No
2497 IC9663P-DP INF109KC1W66 ICICI PRUDENTIAL NIFTY MIDCAP 150 INDEX FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
2498 EDO2RG-GR INF754K01NV1 BHARAT BOND ETF FOF - APRIL 2032 - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2499 EDO2D1-GR INF754K01NY5 BHARAT BOND ETF FOF - APRIL 2032 - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2500 MHMBARG-GR INF174V01BB6 MAHINDRA MANULIFE BALANCED ADVANTAGE FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2501 MHMBARP-DP INF174V01BC4 MAHINDRA MANULIFE BALANCED ADVANTAGE FUND - REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
2502 MHMBADG-GR INF174V01BE0 MAHINDRA MANULIFE BALANCED ADVANTAGE FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2503 IC3467-GR INF109KC1X81 ICICI PRUDENTIAL PASSIVE MULTI-ASSET FOF GROWTH 7.5 92.5 NORMAL No
2504 IC3468P-DP INF109KC1X99 ICICI PRUDENTIAL PASSIVE MULTI-ASSET FOF IDCW PAYOUT 7.5 92.5 NORMAL No
2505 IC9669-GR INF109KC1Y15 ICICI PRUDENTIAL PASSIVE MULTI-ASSET FOF DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
2506 ESNNGD-GR INF959L01FR8 NAVI NIFTY NEXT 50 INDEX FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
2507 ESNNGP-GR INF959L01FS6 NAVI NIFTY NEXT 50 INDEX FUND - REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
Approved Securities List for the Month of April 2024
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
2508 SAFCRG-GR INF0K1H01016 SAMCO FLEXI CAP FUND - REGULAR PLAN - GROWTH collateral margin of Rs. 7.5 92.5 NORMAL No
2509 SAFCDG-GR INF0K1H01024 SAMCO FLEXI CAP FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2510 IC9671-GR INF109KC1Z55 ICICI PRUDENTIAL STRATEGIC METAL AND ENERGY EQUITY FUND OF FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2511 IC3469-GR INF109KC1Z22 ICICI PRUDENTIAL STRATEGIC METAL AND ENERGY EQUITY FUND OF FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2512 AXN6DG-GR INF846K019E7 AXIS NIFTY NEXT 50 INDEX FUND DIRECT GROWTH 7.5 92.5 DIRECT No
2513 AXN6GP-GR INF846K012F9 AXIS NIFTY NEXT 50 INDEX FUND REGULAR GROWTH 7.5 92.5 NORMAL No
2514 SB649G-GR INF200KA10D1 SBI CPSE BOND PLUS SDL SEP 2026 50:50 INDEX FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2515 SB649DP-DP INF200KA11D9 SBI CPSE BOND PLUS SDL SEP 2026 50:50 INDEX FUND - REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
2516 SBD649G-GR INF200KA13D5 SBI CPSE BOND PLUS SDL SEP 2026 50:50 INDEX FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2517 SUNHDP-DP INF173K01AH0 SUNDARAM NIFTY 100 EQUAL WEIGHT FUND - REGULAR PLAN IDCW PAYOUT 7.5 92.5 NORMAL No
2518 SUNHGP-GR INF173K01AG2 SUNDARAM NIFTY 100 EQUAL WEIGHT FUND - REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
2519 SUNHZG-GR INF173K01EZ4 SUNDARAM NIFTY 100 EQUAL WEIGHT FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
2520 SUFFIG-GR INF173K01DG6 SUNDARAM LOW DURATION FUND - REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
2521 SUFFIM-DP INF173K01DJ0 SUNDARAM LOW DURATION FUND - REGULAR PLAN IDCW MONTHLY PAYOUT 7.5 92.5 NORMAL No
2522 SUFFID-DR INF173K01DH4 SUNDARAM LOW DURATION FUND - REGULAR PLAN IDCW DAILY REINVESTMENT 7.5 92.5 NORMAL No
2523 SUFFZD-DR INF173K01FR8 SUNDARAM LOW DURATION FUND - DIRECT PLAN IDCW DAILY REINVESTMENT 7.5 92.5 DIRECT No
2524 SUFFZG-GR INF173K01FS6 SUNDARAM LOW DURATION FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
2525 SULCDP-DP INF173K01197 SUNDARAM FOCUSED FUND - REGULAR HALF YEARLY IDCW PAYOUT 7.5 92.5 NORMAL No
2526 SULCGP-GR INF173K01189 SUNDARAM FOCUSED FUND - REGULAR GROWTH 7.5 92.5 NORMAL No
2527 SULCZG-GR INF173K01EK6 SUNDARAM FOCUSED FUND - DIRECT GROWTH 7.5 92.5 DIRECT No
2528 SULCZD-DP INF173K01EM2 SUNDARAM FOCUSED FUND - DIRECT HALF YEARLY IDCW PAYOUT 7.5 92.5 DIRECT No
2529 SUUTIG-GR INF173K01CU9 SUNDARAM ULTRA SHORT DURATION FUND - REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
2530 SUUTIW-DR INF173K01CW5 SUNDARAM ULTRA SHORT DURATION FUND - REGULAR PLAN IDCW WEEKLY REINVESTMENT 7.5 92.5 NORMAL No
2531 SUUTZG-GR INF173K01HI3 SUNDARAM ULTRA SHORT DURATION FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
2532 SUABZG-GR INF173K01NF7 SUNDARAM ARBITRAGE FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
2533 SUABRG-GR INF173K01NB6 SUNDARAM ARBITRAGE FUND - REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
2534 SUISIG-GR INF173K01BA3 SUNDARAM SHORT DURATION FUND - REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
2535 SUISIM-DP INF173K01BB1 SUNDARAM SHORT DURATION FUND - REGULAR PLAN IDCW MONTHLY PAYOUT 7.5 92.5 NORMAL No
2536 SUISZG-GR INF173K01GP0 SUNDARAM SHORT DURATION FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
2537 SUSBGP-GR INF173K01CL8 SUNDARAM AGGRESSIVE HYBRID FUND - REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
2538 SUSBDP-DP INF173K01CI4 SUNDARAM AGGRESSIVE HYBRID FUND - REGULAR PLAN MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
2539 SUSBZG-GR INF173K01FE6 SUNDARAM AGGRESSIVE HYBRID FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
2540 SUSBZD-DP INF173K01FB2 SUNDARAM AGGRESSIVE HYBRID FUND - DIRECT PLAN MONTHLY IDCW PAYOUT 7.5 92.5 DIRECT No
2541 SUMGZD-DP INF173K01FN7 SUNDARAM MULTI CAP FUND - DIRECT PLAN HALF YEARLY IDCW PAYOUT 7.5 92.5 DIRECT No
2542 SUMGZG-GR INF173K01FQ0 SUNDARAM MULTI CAP FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
2543 SUMGDP-DP INF173K01957 SUNDARAM MULTI CAP FUND - REGULAR PLAN HALF YEARLY IDCW PAYOUT 7.5 92.5 NORMAL No
2544 SUMGGP-GR INF173K01940 SUNDARAM MULTI CAP FUND - REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
2545 SUQSGP-GR INF173K01213 SUNDARAM EQUITY SAVINGS FUND - REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
2546 SUQSMP-DP INF173K01247 SUNDARAM EQUITY SAVINGS FUND - REGULAR PLAN IDCW PAYOUT 7.5 92.5 NORMAL No
2547 SUMIQP-DP INF173K01262 SUNDARAM EQUITY SAVINGS FUND - REGULAR IDCW QUARTERLY PAYOUT 7.5 92.5 NORMAL No
2548 SUQSZG-GR INF173K01GZ9 SUNDARAM EQUITY SAVINGS FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
2549 SUDYZD-DP INF173K01ES9 SUNDARAM DIVIDEND YIELD FUND - DIRECT HALF YEARLY IDCW PAYOUT 7.5 92.5 DIRECT No
2550 SUDYZG-GR INF173K01EV3 SUNDARAM DIVIDEND YIELD FUND - DIRECT GROWTH 7.5 92.5 DIRECT No
2551 SUDYGP-GR INF173K01AC1 SUNDARAM DIVIDEND YIELD FUND - REGULAR GROWTH 7.5 92.5 NORMAL No
2552 SUDYDP-DP INF173K01AD9 SUNDARAM DIVIDEND YIELD FUND - REGULAR HALF YEARLY IDCW PAYOUT 7.5 92.5 NORMAL No
2553 SUSAGP-GR INF173K01585 SUNDARAM BALANCED ADVANTAGE FUND - REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
2554 SUSADP-DP INF173K01551 SUNDARAM BALANCED ADVANTAGE FUND - REGULAR PLAN MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
2555 SUSAZG-GR INF173K01FI7 SUNDARAM BALANCED ADVANTAGE FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
2556 SUSAZD-DP INF173K01FF3 SUNDARAM BALANCED ADVANTAGE FUND - DIRECT PLAN MONTHLY IDCW PAYOUT 7.5 92.5 DIRECT No
2557 AXCSDG-GR INF846K015F2 AXIS CPSE PLUS SDL 2025 70:30 DEBT INDEX FUND DIRECT GROWTH 7.5 92.5 DIRECT No
2558 AXCSGP-GR INF846K018F6 AXIS CPSE PLUS SDL 2025 70:30 DEBT INDEX FUND REGULAR GROWTH 7.5 92.5 NORMAL No
2559 RLSOAG-GR INF204KC1378 NIPPON INDIA SILVER ETF FOF - DIRECT GROWTH 7.5 92.5 DIRECT No
2560 RLSOGP-GR INF204KC1345 NIPPON INDIA SILVER ETF FOF - GROWTH 7.5 92.5 NORMAL No
2561 RGF9D1-GR INF205KA1494 INVESCO INDIA FLEXI CAP FUND-DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2562 RGF9DP-DP INF205KA1452 INVESCO INDIA FLEXI CAP FUND-REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
2563 RGF9GP-GR INF205KA1460 INVESCO INDIA FLEXI CAP FUND-REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2564 IC9673-GR INF109KC1Y98 ICICI PRUDENTIAL SILVER ETF FUND OF FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
2565 IC9674P-DP INF109KC1Z06 ICICI PRUDENTIAL SILVER ETF FUND OF FUND DIRECT PLAN IDCW PAYOUT 7.5 92.5 DIRECT No
2566 IC3471-GR INF109KC1Y64 ICICI PRUDENTIAL SILVER ETF FUND OF FUND GROWTH 7.5 92.5 NORMAL No
2567 IC3472P-DP INF109KC1Y72 ICICI PRUDENTIAL SILVER ETF FUND OF FUND IDCW PAYOUT 7.5 92.5 NORMAL No
2568 BS100B-GR INF209KB13F9 ADITYA BIRLA SUN LIFE SILVER ETF FOF-REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
2569 BS100Y-GR INF209KB16F2 ADITYA BIRLA SUN LIFE SILVER ETF FOF-DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
2570 MAMFRG-GR INF769K01HW9 MIRAE ASSET NIFTY INDIA MANUFACTURING ETF FUND OF FUND REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
2571 MAMFD1-GR INF769K01HZ2 MIRAE ASSET NIFTY INDIA MANUFACTURING ETF FUND OF FUND DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2572 BS95B-GR INF209KB19E9 ADITYA BIRLA SUN LIFE NIFTY SDL APR 2027 INDEX FUND REGULAR GROWTH 7.5 92.5 NORMAL No
2573 BS95Y-GR INF209KB11F3 ADITYA BIRLA SUN LIFE NIFTY SDL APR 2027 INDEX FUND DIRECT GROWTH 7.5 92.5 DIRECT No
2574 MON2GP-GR INF247L01AW9 MOTILAL OSWAL NIFTY 200 MOMENTUM 30 INDEX FUND - REGULAR GROWTH 7.5 92.5 NORMAL No
2575 MON2GD-GR INF247L01AV1 MOTILAL OSWAL NIFTY 200 MOMENTUM 30 INDEX FUND - DIRECT GROWTH 7.5 92.5 DIRECT No
2576 UTSIGP-GR INF789F1AVC9 UTI S&P BSE SENSEX INDEX FUND - REGULAR GROWTH PLAN 7.5 92.5 NORMAL No
2577 UTSIG1-GR INF789F1AVD7 UTI S&P BSE SENSEX INDEX FUND - DIRECT GROWTH PLAN 7.5 92.5 DIRECT No
2578 ESNBGD-GR INF959L01FT4 NAVI NIFTY BANK INDEX FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
2579 ESNBGP-GR INF959L01FU2 NAVI NIFTY BANK INDEX FUND - REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
2580 DS623-GR INF740KA1QM8 DSP GLOBAL INNOVATION FUND OF FUND - REGULAR - GROWTH 7.5 92.5 NORMAL No
2581 DS624-DP INF740KA1QN6 DSP GLOBAL INNOVATION FUND OF FUND - REGULAR - IDCW PAYOUT 7.5 92.5 NORMAL No
2582 DS881-GR INF740KA1QP1 DSP GLOBAL INNOVATION FUND OF FUND - DIRECT - GROWTH 7.5 92.5 DIRECT No
2583 ESNUGD-GR INF959L01FV0 NAVI US TOTAL STOCK MARKET FUND OF FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
2584 ESNUGP-GR INF959L01FW8 NAVI US TOTAL STOCK MARKET FUND OF FUND - REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
2585 IDD359-GR INF194KB1CR7 BANDHAN NIFTY 100 INDEX FUND DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
2586 ID359-GR INF194KB1CO4 BANDHAN NIFTY 100 INDEX FUND REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
2587 BS101B-GR INF209KB12G9 ADITYA BIRLA SUN LIFE NIFTY NEXT 50 INDEX FUND - REGULAR GROWTH 7.5 92.5 NORMAL No
2588 BS101Y-GR INF209KB10G3 ADITYA BIRLA SUN LIFE NIFTY NEXT 50 INDEX FUND - DIRECT GROWTH 7.5 92.5 DIRECT No
2589 KO265-GR INF174KA1IC1 KOTAK MANUFACTURE IN INDIA FUND REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
2590 KO265D-GR INF174KA1IF4 KOTAK MANUFACTURE IN INDIA FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
2591 KO266DD-DP INF174KA1IG2 KOTAK MANUFACTURE IN INDIA FUND DIRECT PLAN IDCW PAYOUT 7.5 92.5 DIRECT No
2592 KO266DP-DP INF174KA1ID9 KOTAK MANUFACTURE IN INDIA FUND REGULAR PLAN IDCW PAYOUT 7.5 92.5 NORMAL No
2593 AXETDG-GR INF846K011G9 AXIS EQUITY ETFS FOF DIRECT GROWTH 7.5 92.5 DIRECT No
2594 AXETGP-GR INF846K014G3 AXIS EQUITY ETFS FOF REGULAR GROWTH 7.5 92.5 NORMAL No
2595 KO267-GR INF174KA1II8 KOTAK NIFTY SDL APR2027 TOP 12 EQUAL WEIGHT INDEX FUND-REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2596 KO268DD-DP INF174KA1IM0 KOTAK NIFTY SDL APR2027 TOP 12 EQUAL WEIGHT INDEX FUND-DIRECT PLAN - PAYOUT 7.5 92.5 DIRECT No
2597 KO267D-GR INF174KA1IL2 KOTAK NIFTY SDL APR2027 TOP 12 EQUAL WEIGHT INDEX FUND-DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2598 IC9675-GR INF109KC11A4 ICICI PRUDENTIAL NIFTY BANK INDEX FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2599 IC3473-GR INF109KC1Z89 ICICI PRUDENTIAL NIFTY BANK INDEX FUND - GROWTH 7.5 92.5 NORMAL No
2600 IC9676P-DP INF109KC12A2 ICICI PRUDENTIAL NIFTY BANK INDEX FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
2601 KO269-GR INF174KA1IO6 KOTAK NIFTY SDL APR2032 TOP 12 EQUAL WEIGHT INDEX FUND-REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2602 KO269D-GR INF174KA1IR9 KOTAK NIFTY SDL APR2032 TOP 12 EQUAL WEIGHT INDEX FUND-DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2603 HD100DG-GR INF179KC1BY3 HDFC NIFTY 100 INDEX FUND DIRECT GROWTH 7.5 92.5 DIRECT No
2604 HD100RG-GR INF179KC1BZ0 HDFC NIFTY 100 INDEX FUND REGULAR GROWTH 7.5 92.5 NORMAL No
2605 HD200RG-GR INF179KC1CB9 HDFC NIFTY 100 EQUAL WEIGHT INDEX FUND REGULAR GROWTH 7.5 92.5 NORMAL No
2606 HD200DG-GR INF179KC1CA1 HDFC NIFTY 100 EQUAL WEIGHT INDEX FUND DIRECT GROWTH 7.5 92.5 DIRECT No
2607 AXCRGP-GR INF846K010H9 AXIS CRISIL SDL 2027 DEBT INDEX FUND REGULAR GROWTH 7.5 92.5 NORMAL No
2608 AXCRDG-GR INF846K017G6 AXIS CRISIL SDL 2027 DEBT INDEX FUND DIRECT GROWTH 7.5 92.5 DIRECT No
2609 UTLIGP-GR INF789F1AVE5 UTI S&P BSE LOW VOLATILITY INDEX FUND - REGULAR GROWTH PLAN 7.5 92.5 NORMAL No
2610 UTLIG1-GR INF789F1AVF2 UTI S&P BSE LOW VOLATILITY INDEX FUND - DIRECT GROWTH PLAN 7.5 92.5 DIRECT No
2611 SBD652P-DP INF200KA19E0 SBI MULTICAP FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
2612 SBD652G-GR INF200KA18E2 SBI MULTICAP FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2613 SB652DP-DP INF200KA16E6 SBI MULTICAP FUND - REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
2614 SB652G-GR INF200KA15E8 SBI MULTICAP FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2615 ESNMGD-GR INF959L01FX6 NAVI NIFTY MIDCAP 150 INDEX FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
2616 ESNMGP-GR INF959L01FY4 NAVI NIFTY MIDCAP 150 INDEX FUND - REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
2617 AXNSGP-GR INF846K016H6 AXIS NIFTY SMALLCAP 50 INDEX FUND REGULAR GROWTH 7.5 92.5 NORMAL No
2618 AXNSDG-GR INF846K013H3 AXIS NIFTY SMALLCAP 50 INDEX FUND DIRECT GROWTH 7.5 92.5 DIRECT No
2619 AXNSD1-DP INF846K014H1 AXIS NIFTY SMALLCAP 50 INDEX FUND DIRECT IDCW PAYOUT 7.5 92.5 DIRECT No
2620 ESNQGD-GR INF959L01FZ1 NAVI NASDAQ 100 FUND OF FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
Approved Securities List for the Month of April 2024
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
2621 ESNQGP-GR INF959L01GA2 NAVI NASDAQ 100 FUND OF FUND - REGULAR PLAN GROWTH collateral margin of Rs. 7.5 92.5 NORMAL No
2622 MOS1GD-GR INF247L01AY5 MOTILAL OSWAL S&P BSE LOW VOLATILITY INDEX FUND DIRECT GROWTH 7.5 92.5 DIRECT No
2623 MOS1GP-GR INF247L01AZ2 MOTILAL OSWAL S&P BSE LOW VOLATILITY INDEX FUND REGULAR GROWTH 7.5 92.5 NORMAL No
2624 AXNMD1-DP INF846K010I7 AXIS NIFTY MIDCAP 50 INDEX FUND DIRECT IDCW PAYOUT 7.5 92.5 DIRECT No
2625 AXNMDG-GR INF846K019H0 AXIS NIFTY MIDCAP 50 INDEX FUND DIRECT GROWTH 7.5 92.5 DIRECT No
2626 AXNMDP-DP INF846K013I1 AXIS NIFTY MIDCAP 50 INDEX FUND REGULAR IDCW PAYOUT 7.5 92.5 NORMAL No
2627 AXNMGP-GR INF846K012I3 AXIS NIFTY MIDCAP 50 INDEX FUND REGULAR GROWTH 7.5 92.5 NORMAL No
2628 EDP5RG-GR INF754K01OC9 EDELWEISS CRISIL PSU PLUS SDL50:50 OCT 2025 INDEX FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2629 EDP5D1-GR INF754K01OG0 EDELWEISS CRISIL PSU PLUS SDL50:50 OCT 2025 INDEX FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2630 RGEQGP-GR INF205KA1577 INVESCO INDIA - INVESCO EQQQ NASDAQ-100 ETF FUND OF FUND REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
2631 RGEQD1-GR INF205KA1585 INVESCO INDIA - INVESCO EQQQ NASDAQ-100 ETF FUND OF FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
2632 HSCXG-GR INF336L01QK1 HSBC CRISIL IBX 50:50 GILT PLUS SDL APR 2028 INDEX FUND GROWTH 7.5 92.5 NORMAL No
2633 HSCXDP-DP INF336L01QL9 HSBC CRISIL IBX 50:50 GILT PLUS SDL APR 2028 INDEX FUND DIVIDEND PAYOUT 7.5 92.5 NORMAL No
2634 HSHCXG-GR INF336L01QH7 HSBC CRISIL IBX 50:50 GILT PLUS SDL APR 2028 INDEX FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
2635 DS626-GR INF740KA1QS5 DSP NIFTY SDL PLUS G-SEC JUN 2028 30:70 INDEX FUND - REGULAR - GROWTH 7.5 92.5 NORMAL No
2636 DS884-GR INF740KA1QV9 DSP NIFTY SDL PLUS G-SEC JUN 2028 30:70 INDEX FUND - DIRECT - GROWTH 7.5 92.5 DIRECT No
2637 IC3478-GR INF109KC11B2 ICICI PRUDENTIAL NIFTY SDL SEP 2027 INDEX FUND - GROWTH 7.5 92.5 NORMAL No
2638 IC9680-GR INF109KC14B6 ICICI PRUDENTIAL NIFTY SDL SEP 2027 INDEX FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2639 RLCNGP-GR INF204KC1493 NIPPON INDIA NIFTY AAA CPSE BOND PLUS SDL - APR 2027 MATURITY 60:40 INDEX FUND-GROWTH 7.5 92.5 NORMAL No
2640 RLCNAG-GR INF204KC1527 NIPPON INDIA NIFTY AAA CPSE BOND PLUS SDL - APR 2027 MATURITY 60:40 INDEX FUND-DIRECT GROWTH 7.5 92.5 DIRECT No
2641 BPLWRC-DR INF251K01DR7 BARODA BNP PARIBAS LOW DURATION FUND - DAILY IDCW COMPULSORY REINVESTMENT 7.5 92.5 NORMAL No
2642 BPLWGP-GR INF251K01DQ9 BARODA BNP PARIBAS LOW DURATION FUND - GROWTH 7.5 92.5 NORMAL No
2643 BPLWDG-GR INF251K01GJ7 BARODA BNP PARIBAS LOW DURATION FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
2644 BPFLRG-GR INF251K01DW7 BARODA BNP PARIBAS DYNAMIC BOND FUND - GROWTH 7.5 92.5 NORMAL No
2645 BPFLDG-GR INF251K01GW0 BARODA BNP PARIBAS DYNAMIC BOND FUND - DIRECT PLAN - GROWTH OPTION 7.5 92.5 DIRECT No
2646 BPFLRQ-DP INF251K01EB9 BARODA BNP PARIBAS FLEXI DEBT FUND - QUARTERLY IDCW PAYOUT 7.5 92.5 NORMAL No
2647 BPLCDG-GR INF251K01HN7 BARODA BNP PARIBAS LARGE CAP FUND DIRECT GROWTH 7.5 92.5 DIRECT No
2648 BPLCDD-DP INF251K01HL1 BARODA BNP PARIBAS LARGE CAP FUND DIRECT IDCW PAYOUT 7.5 92.5 DIRECT No
2649 BPLCRG-GR INF251K01894 BARODA BNP PARIBAS LARGE CAP FUND GROWTH 7.5 92.5 NORMAL No
2650 BPLCRD-DP INF251K01910 BARODA BNP PARIBAS LARGE CAP FUND IDCW PAYOUT 7.5 92.5 NORMAL No
2651 BPCHRM-DP INF251K01852 BARODA BNP PARIBAS CONSERVATIVE HYBRID FUND MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
2652 BPCHDG-GR INF251K01HR8 BARODA BNP PARIBAS CONSERVATIVE HYBRID FUND DIRECT GROWTH 7.5 92.5 DIRECT No
2653 BPCHDM-DP INF251K01HS6 BARODA BNP PARIBAS CONSERVATIVE HYBRID FUND DIRECT MONTHLY IDCW PAYOUT 7.5 92.5 DIRECT No
2654 BPCHRG-GR INF251K01845 BARODA BNP PARIBAS CONSERVATIVE HYBRID FUND GROWTH 7.5 92.5 NORMAL No
2655 BPMCRG-GR INF251K01AW3 BARODA BNP PARIBAS MID CAP FUND GROWTH 7.5 92.5 NORMAL No
2656 BPMCRD-DP INF251K01AX1 BARODA BNP PARIBAS MID CAP FUND IDCW PAYOUT 7.5 92.5 NORMAL No
2657 BPMCDD-DP INF251K01HO5 BARODA BNP PARIBAS MID CAP FUND - DIRECT PLAN - IDCW PAYOUT OPTION 7.5 92.5 DIRECT No
2658 BPMCDG-GR INF251K01HQ0 BARODA BNP PARIBAS MID CAP FUND - DIRECT PLAN - GROWTH OPTION 7.5 92.5 DIRECT No
2659 BPCBRG-GR INF251K01EI4 BARODA BNP PARIBAS CORPORATE BOND FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2660 BPCBGP-GR INF251K01EP9 BARODA BNP PARIBAS CORPORATE BOND FUND GROWTH 7.5 92.5 NORMAL No
2661 BPCBDG-GR INF251K01GP4 BARODA BNP PARIBAS CORPORATE BOND FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
2662 BPMTRG-GR INF251K01LT6 BARODA BNP PARIBAS MEDIUM DURATION FUND GROWTH 7.5 92.5 NORMAL No
2663 BPMTDG-GR INF251K01LU4 BARODA BNP PARIBAS MEDIUM DURATION FUND DIRECT GROWTH 7.5 92.5 DIRECT No
2664 BPARRM-DP INF251K01PD1 BARODA BNP PARIBAS ARBITRAGE FUND REGULAR MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
2665 BPARDM-DP INF251K01PF6 BARODA BNP PARIBAS ARBITRAGE FUND DIRECT MONTHLY IDCW PAYOUT 7.5 92.5 DIRECT No
2666 BPARRG-GR INF251K01ON3 BARODA BNP PARIBAS ARBITRAGE FUND REGULAR GROWTH 7.5 92.5 NORMAL No
2667 BPARDG-GR INF251K01OT0 BARODA BNP PARIBAS ARBITRAGE FUND DIRECT GROWTH 7.5 92.5 DIRECT No
2668 BPSERG-GR INF251K01OW4 BARODA BNP PARIBAS AGGRESSIVE HYBRID FUND REGULAR GROWTH 7.5 92.5 NORMAL No
2669 BPSEDG-GR INF251K01OZ7 BARODA BNP PARIBAS AGGRESSIVE HYBRID FUND DIRECT GROWTH 7.5 92.5 DIRECT No
2670 BPSERD-DP INF251K01OY0 BARODA BNP PARIBAS AGGRESSIVE HYBRID FUND REGULAR IDCW PAYOUT 7.5 92.5 NORMAL No
2671 BPFORD-DP INF251K01PL4 BARODA BNP PARIBAS FOCUSED FUND REGULAR IDCW PAYOUT 7.5 92.5 NORMAL No
2672 BPFORG-GR INF251K01PK6 BARODA BNP PARIBAS FOCUSED FUND REGULAR GROWTH 7.5 92.5 NORMAL No
2673 BPFODG-GR INF251K01PN0 BARODA BNP PARIBAS FOCUSED FUND DIRECT GROWTH 7.5 92.5 DIRECT No
2674 BPICDG-GR INF251K01PT7 BARODA BNP PARIBAS INDIA CONSUMPTION FUND DIRECT GROWTH 7.5 92.5 DIRECT No
2675 BPICRD-DP INF251K01PS9 BARODA BNP PARIBAS INDIA CONSUMPTION FUND REGULAR IDCW PAYOUT 7.5 92.5 NORMAL No
2676 BPICRG-GR INF251K01PQ3 BARODA BNP PARIBAS INDIA CONSUMPTION FUND REGULAR GROWTH 7.5 92.5 NORMAL No
2677 BPAFRG-GR INF251K01QQ1 BARODA BNP PARIBAS FUNDS AQUA FUND OF FUND REGULAR GROWTH 7.5 92.5 NORMAL No
2678 BPAFDG-GR INF251K01QT5 BARODA BNP PARIBAS FUNDS AQUA FUND OF FUND DIRECT GROWTH 7.5 92.5 DIRECT No
2679 IC3480-GR INF109KC17B9 ICICI PRUDENTIAL HOUSING OPPORTUNITIES FUND - GROWTH 7.5 92.5 NORMAL No
2680 IC3481P-DP INF109KC18B7 ICICI PRUDENTIAL HOUSING OPPORTUNITIES FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
2681 IC9682-GR INF109KC10C2 ICICI PRUDENTIAL HOUSING OPPORTUNITIES FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2682 IC9683P-DP INF109KC11C0 ICICI PRUDENTIAL HOUSING OPPORTUNITIES FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
2683 UTMQGP-GR INF789F1AVG0 UTI NIFTY MIDCAP 150 QUALITY 50 INDEX FUND - REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
2684 UTMQG1-GR INF789F1AVH8 UTI NIFTY MIDCAP 150 QUALITY 50 INDEX FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
2685 TANSGZ-GR INF277KA1372 TATA NIFTY SDL PLUS AAA PSU BOND DEC 2027 60: 40 INDEX FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2686 TANSG-GR INF277KA1406 TATA NIFTY SDL PLUS AAA PSU BOND DEC 2027 60: 40 INDEX FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2687 TAFOGZ-GR INF277KA1430 TATA NIFTY INDIA DIGITAL ETF FUND OF FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
2688 TAFOG-GR INF277KA1463 TATA NIFTY INDIA DIGITAL ETF FUND OF FUND REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
2689 YE1038-GR INF03VN01530 WOC FLEXI CAP FUND DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2690 YE1035-GR INF03VN01506 WOC FLEXI CAP FUND REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2691 YE1037-DP INF03VN01522 WOC FLEXI CAP FUND REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
2692 YE1040-DP INF03VN01555 WOC FLEXI CAP FUND DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
2693 BS109B-GR INF209KB17H6 ADITYA BIRLA SUN LIFE CRISIL IBX 60:40 SDL AAA PSU - APR 2027 INDEX FUND-REGULAR GROWTH 7.5 92.5 NORMAL No
2694 BS109Y-GR INF209KB19H2 ADITYA BIRLA SUN LIFE CRISIL IBX 60:40 SDL AAA PSU - APR 2027 INDEX FUND-DIRECT GROWTH 7.5 92.5 DIRECT No
2695 BS108B-GR INF209KB11I7 ADITYA BIRLA SUN LIFE CRISIL IBX 60:40 SDL AAA PSU - APR 2025 INDEX FUND-REGULAR GROWTH 7.5 92.5 NORMAL No
2696 BS108Y-GR INF209KB13I3 ADITYA BIRLA SUN LIFE CRISIL IBX 60:40 SDL AAA PSU - APR 2025 INDEX FUND-DIRECT GROWTH 7.5 92.5 DIRECT No
2697 MANJD1-GR INF769K01IH8 MIRAE ASSET NIFTY SDL JUN 2027 INDEX FUND DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2698 MANJRG-GR INF769K01IE5 MIRAE ASSET NIFTY SDL JUN 2027 INDEX FUND REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
2699 NJAFRG-GR INF0J8L01057 NJ ARBITRAGE FUND REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2700 NJAFDG-GR INF0J8L01065 NJ ARBITRAGE FUND DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2701 EDFCD1-GR INF754K01OP1 EDELWEISS FOCUSED FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2702 EDFCRG-GR INF754K01OL0 EDELWEISS FOCUSED FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2703 EDFCDP-DP INF754K01OM8 EDELWEISS FOCUSED FUND - REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
2704 BPFXRG-GR INF251K01QW9 BARODA BNP PARIBAS FLEXI CAP FUND REGULAR GROWTH 7.5 92.5 NORMAL No
2705 BPFXRD-DP INF251K01QX7 BARODA BNP PARIBAS FLEXI CAP FUND REGULAR IDCW - PAYOUT 7.5 92.5 NORMAL No
2706 BPFXDG-GR INF251K01QZ2 BARODA BNP PARIBAS FLEXI CAP FUND DIRECT GROWTH 7.5 92.5 DIRECT No
2707 QTNFGP-GR INF082J01416 QUANTUM NIFTY 50 ETF FUND OF FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
2708 ID361-GR INF194KB1DM6 BANDHAN MIDCAP FUND REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
2709 ID362-DP INF194KB1DN4 BANDHAN MIDCAP FUND REGULAR PLAN-IDCW PAYOUT 7.5 92.5 NORMAL No
2710 IDD361-GR INF194KB1DJ2 BANDHAN MIDCAP FUND DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
2711 DS629-GR INF740KA1QY3 DSP NIFTY MIDCAP 150 QUALITY 50 INDEX FUND - REGULAR - GROWTH 7.5 92.5 NORMAL No
2712 DS887-GR INF740KA1RB9 DSP NIFTY MIDCAP 150 QUALITY 50 INDEX FUND - DIRECT - GROWTH 7.5 92.5 DIRECT No
2713 QULCDG-GR INF966L01AT0 QUANT LARGE CAP FUND-DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
2714 QULCGP-GR INF966L01AW4 QUANT LARGE CAP FUND-REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
2715 QULCDP-DP INF966L01AX2 QUANT LARGE CAP FUND-REGULAR PLAN IDCW-PAYOUT 7.5 92.5 NORMAL No
2716 MOS2GD-GR INF247L01BC9 MOTILAL OSWAL S & P BSE FINANCIALS EX BANK 30 INDEX FUND DIRECT GROWTH 7.5 92.5 DIRECT No
2717 MOS2GP-GR INF247L01BD7 MOTILAL OSWAL S & P BSE FINANCIALS EX BANK 30 INDEX FUND REGULAR GROWTH 7.5 92.5 NORMAL No
2718 IC9684-GR INF109KC11D8 ICICI PRUDENTIAL NIFTY 200 MOMENTUM 30 INDEX FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2719 IC3482-GR INF109KC18C5 ICICI PRUDENTIAL NIFTY 200 MOMENTUM 30 INDEX FUND - GROWTH 7.5 92.5 NORMAL No
2720 IC3487-GR INF109KC10E8 ICICI PRUDENTIAL NIFTY IT INDEX FUND - GROWTH 7.5 92.5 NORMAL No
2721 IC3488P-DP INF109KC11E6 ICICI PRUDENTIAL NIFTY IT INDEX FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
2722 IC9689-GR INF109KC13E2 ICICI PRUDENTIAL NIFTY IT INDEX FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2723 IC9690P-DP INF109KC14E0 ICICI PRUDENTIAL NIFTY IT INDEX FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
2724 MABAD1-GR INF769K01IN6 MIRAE ASSET BALANCED ADVANTAGE FUND DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2725 MABARG-GR INF769K01IK2 MIRAE ASSET BALANCED ADVANTAGE FUND REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
2726 MABARD-DP INF769K01IJ4 MIRAE ASSET BALANCED ADVANTAGE FUND REGULAR PLAN IDCW PAYOUT 7.5 92.5 NORMAL No
2727 FR971P-DP INF090I01WO0 FRANKLIN INDIA BALANCED ADVANTAGE FUND -REGULAR PLAN- IDCW PAYOUT 7.5 92.5 NORMAL No
2728 FR973P-DP INF090I01WR3 FRANKLIN INDIA BALANCED ADVANTAGE FUND -DIRECT PLAN- IDCW PAYOUT 7.5 92.5 DIRECT No
2729 FR970-GR INF090I01WN2 FRANKLIN INDIA BALANCED ADVANTAGE FUND -REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
2730 FR972-GR INF090I01WQ5 FRANKLIN INDIA BALANCED ADVANTAGE FUND -DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
2731 BS110B-GR INF209KB14J9 ADITYA BIRLA SUN LIFE LONG DURATION FUND - REGULAR GROWTH 7.5 92.5 NORMAL No
2732 BS110Y-GR INF209KB17J2 ADITYA BIRLA SUN LIFE LONG DURATION FUND - DIRECT GROWTH 7.5 92.5 DIRECT No
2733 RLNNAG-GR INF204KC1584 NIPPON INDIA NIFTY ALPHA LOW VOLATILITY 30 INDEX FUND DIRECT GROWTH 7.5 92.5 DIRECT No
Approved Securities List for the Month of April 2024
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
2734 RLNNGP-GR INF204KC1550 NIPPON INDIA NIFTY ALPHA LOW VOLATILITY 30 INDEX FUND GROWTH collateral margin of Rs. 7.5 92.5 NORMAL No
2735 CABPDG-GR INF760K01KC4 CANARA ROBECO BANKING AND PSU DEBT FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
2736 CABPGP-GR INF760K01KF7 CANARA ROBECO BANKING AND PSU DEBT FUND REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
2737 MOS3GD-GR INF247L01BF2 MOTILAL OSWAL S&P BSE ENHANCED VALUE INDEX FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
2738 MOS3GP-GR INF247L01BG0 MOTILAL OSWAL S&P BSE ENHANCED VALUE INDEX FUND REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
2739 MOS4GD-GR INF247L01BI6 MOTILAL OSWAL S&P BSE QUALITY INDEX FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
2740 MOS4GP-GR INF247L01BJ4 MOTILAL OSWAL S&P BSE QUALITY INDEX FUND REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
2741 TAHOGZ-GR INF277KA1497 TATA HOUSING OPPORTUNITIES FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
2742 TAHOD-DP INF277KA1539 TATA HOUSING OPPORTUNITIES FUND - REGULAR PLAN IDCW PAYOUT 7.5 92.5 NORMAL No
2743 TAHOG-GR INF277KA1521 TATA HOUSING OPPORTUNITIES FUND - REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
2744 IC3489-GR INF109KC19H2 ICICI PRUDENTIAL PSU EQUITY FUND - GROWTH 7.5 92.5 NORMAL No
2745 IC9691-GR INF109KC12I5 ICICI PRUDENTIAL PSU EQUITY FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2746 IC3490P-DP INF109KC10I9 ICICI PRUDENTIAL PSU EQUITY FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
2747 IC9692P-DP INF109KC13I3 ICICI PRUDENTIAL PSU EQUITY FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
2748 JMSDGP-GR INF192K01MM5 JM SHORT DURATION FUND - REGULAR PLAN - GROWTH OPTION 7.5 92.5 NORMAL No
2749 JMSDDG-GR INF192K01MP8 JM SHORT DURATION FUND - DIRECT PLAN - GROWTH OPTION 7.5 92.5 DIRECT No
2750 SUFCD1-DR INF903JA1LG7 SUNDARAM FLEXI CAP FUND DIRECT IDCW REINVESTMENT 7.5 92.5 DIRECT No
2751 SUFCGP-GR INF903JA1LB8 SUNDARAM FLEXI CAP FUND REGULAR GROWTH 7.5 92.5 NORMAL No
2752 SUFCDP-DR INF903JA1LD4 SUNDARAM FLEXI CAP FUND REGULAR IDCW REINVESTMENT 7.5 92.5 NORMAL No
2753 EDGFRG-GR INF754K01OT3 EDELWEISS GOLD AND SILVER ETF FUND OF FUND -REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
2754 EDGFD1-GR INF754K01OX5 EDELWEISS GOLD AND SILVER ETF FUND OF FUND -DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
2755 YE101G-GR INF03VN01563 WOC MID CAP FUND REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2756 YED101G-GR INF03VN01597 WOC MID CAP FUND DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2757 YE101DP-DP INF03VN01571 WOC MID CAP FUND REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
2758 IDD363-GR INF194KB1DP9 BANDHAN NIFTY200 MOMENTUM 30 INDEX FUND DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
2759 ID363-GR INF194KB1DS3 BANDHAN NIFTY200 MOMENTUM 30 INDEX FUND REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
2760 MAAIRG-GR INF769K01IR7 MIRAE ASSET GLOBAL X ARTIFICIAL INTELLIGENCE & TECHNOLOGY ETF FUND OF FUND REGULAR PLAN 7.5GROWTH 92.5 NORMAL No
2761 MAAID1-GR INF769K01IS5 MIRAE ASSET GLOBAL X ARTIFICIAL INTELLIGENCE & TECHNOLOGY ETF FUND OF FUND DIRECT PLAN -7.5GROWTH 92.5 DIRECT No
2762 AXSVDG-GR INF846K015J4 AXIS SILVER FUND OF FUND DIRECT GROWTH 7.5 92.5 DIRECT No
2763 AXSVGP-GR INF846K018J8 AXIS SILVER FUND OF FUND REGULAR GROWTH 7.5 92.5 NORMAL No
2764 KO274D-GR INF174KA1JN6 KOTAK BUSINESS CYCLE FUND-DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
2765 KO274-GR INF174KA1JK2 KOTAK BUSINESS CYCLE FUND-REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
2766 KO275DP-DP INF174KA1JL0 KOTAK BUSINESS CYCLE FUND-REGULAR PLAN-IDCW PAYOUT 7.5 92.5 NORMAL No
2767 ID365-GR INF194KB1DY1 BANDHAN NIFTY100 LOW VOLATILITY 30 INDEX FUND REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
2768 IDD365-GR INF194KB1DV7 BANDHAN NIFTY100 LOW VOLATILITY 30 INDEX FUND DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
2769 IC3499-GR INF109KC17I4 ICICI PRUDENTIAL NIFTY50 EQUAL WEIGHT INDEX FUND - GROWTH 7.5 92.5 NORMAL No
2770 IC9701-GR INF109KC10J7 ICICI PRUDENTIAL NIFTY50 EQUAL WEIGHT INDEX FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2771 MOMGGP-GR INF247L01BN6 MOTILAL OSWAL GOLD AND SILVER ETFS FUND OF FUNDS REGULAR GROWTH 7.5 92.5 NORMAL No
2772 MOMGGD-GR INF247L01BM8 MOTILAL OSWAL GOLD AND SILVER ETFS FUND OF FUNDS DIRECT GROWTH 7.5 92.5 DIRECT No
2773 IC9703-GR INF109KC16J4 ICICI PRUDENTIAL NIFTY AUTO INDEX FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2774 IC3501-GR INF109KC13J1 ICICI PRUDENTIAL NIFTY AUTO INDEX FUND - GROWTH 7.5 92.5 NORMAL No
2775 LCMKG1-GR INF767K01RK7 LIC MF MULTI CAP FUND DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
2776 LCMKGP-GR INF767K01RH3 LIC MF MULTI CAP FUND REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
2777 LCMKDP-DP INF767K01RI1 LIC MF MULTI CAP FUND REGULAR PLAN-IDCW PAYOUT 7.5 92.5 NORMAL No
2778 BS111Y-GR INF209KB10M1 ADITYA BIRLA SUN LIFE NIFTY SDL SEP 2025 INDEX FUND - DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
2779 BS111B-GR INF209KB18L6 ADITYA BIRLA SUN LIFE NIFTY SDL SEP 2025 INDEX FUND - REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
2780 EDG7D1-GR INF754K01PF9 EDELWEISS CRISIL IBX 50:50 GILT PLUS SDL APRIL 2037 INDEX FUND- DIRECT PLAN GROWTH - GROWTH
7.5 92.5 DIRECT No
2781 EDG7RG-GR INF754K01PB8 EDELWEISS CRISIL IBX 50:50 GILT PLUS SDL APRIL 2037 INDEX FUND- REGULAR PLAN GROWTH - GROWTH
7.5 92.5 NORMAL No
2782 EDG7D2-DP INF754K01PG7 EDELWEISS CRISIL IBX 50:50 GILT PLUS SDL APRIL 2037 INDEX FUND- DIRECT PLAN IDCW- PAYOUT 7.5 92.5 DIRECT No
2783 SB661G-GR INF200KA17O3 SBI NIFTY MIDCAP 150 INDEX FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2784 SBD661G-GR INF200KA10P5 SBI NIFTY MIDCAP 150 INDEX FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
2785 SB662G-GR INF200KA13P9 SBI NIFTY SMALLCAP 250 INDEX FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2786 SBD662G-GR INF200KA16P2 SBI NIFTY SMALLCAP 250 INDEX FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2787 SBD662P-DP INF200KA17P0 SBI NIFTY SMALLCAP 250 INDEX FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
2788 SB662DP-DP INF200KA14P7 SBI NIFTY SMALLCAP 250 INDEX FUND - REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
2789 IC3503-GR INF109KC19J8 ICICI PRUDENTIAL TRANSPORTATION AND LOGISTICS FUND - GROWTH 7.5 92.5 NORMAL No
2790 IC9705-GR INF109KC12K1 ICICI PRUDENTIAL TRANSPORTATION AND LOGISTICS FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2791 IC3504P-DP INF109KC10K5 ICICI PRUDENTIAL TRANSPORTATION AND LOGISTICS FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
2792 IC9706P-DP INF109KC13K9 ICICI PRUDENTIAL TRANSPORTATION AND LOGISTICS FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
2793 BS112B-GR INF209KB12M7 ADITYA BIRLA SUN LIFE MULTI- INDEX FUND OF FUNDS-REGULAR GROWTH 7.5 92.5 NORMAL No
2794 BS112Y-GR INF209KB15M0 ADITYA BIRLA SUN LIFE MULTI- INDEX FUND OF FUNDS-DIRECT GROWTH 7.5 92.5 DIRECT No
2795 BS114Y-GR INF209KB14N1 ADITYA BIRLA SUN LIFE CRISIL IBX 50:50 GILT PLUS SDL APR 2028 INDEX FUND-DIRECT GROWTH 7.5 92.5 DIRECT No
2796 BS114B-GR INF209KB12N5 ADITYA BIRLA SUN LIFE CRISIL IBX 50:50 GILT PLUS SDL APR 2028 INDEX FUND-REGULAR GROWTH 7.5 92.5 NORMAL No
2797 SBD665G-GR INF200KA14R3 SBI CRISIL IBX SDL INDEX - SEPTEMBER 2027 FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2798 SB665G-GR INF200KA11R9 SBI CRISIL IBX SDL INDEX - SEPTEMBER 2027 FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2799 UTGUG1-GR INF789F1AWB9 UTI GOLD ETF FUND OF FUND- DIRECT PLAN -GROWTH 7.5 92.5 DIRECT No
2800 UTGUGP-GR INF789F1AWA1 UTI GOLD ETF FUND OF FUND- REGULAR PLAN -GROWTH 7.5 92.5 NORMAL No
2801 IDD367-GR INF194KB1EB7 BANDHAN TRANSPORTATION AND LOGISTICS FUND DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
2802 ID367-GR INF194KB1EE1 BANDHAN TRANSPORTATION AND LOGISTICS FUND REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
2803 ID368-DP INF194KB1EF8 BANDHAN TRANSPORTATION AND LOGISTICS FUND REGULAR PLAN-IDCW PAYOUT 7.5 92.5 NORMAL No
2804 KO276-GR INF174KA1JQ9 KOTAK NIFTY SDL PLUS AAA PSU BOND JUL 2028 60:40 INDEX FUND -REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2805 KO276D-GR INF174KA1JT3 KOTAK NIFTY SDL PLUS AAA PSU BOND JUL 2028 60:40 INDEX FUND -DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2806 EDL7D1-GR INF754K01PN3 EDELWEISS CRISIL IBX 50:50 GILT PLUS SDL JUN 2027 INDEX FUND- DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
2807 EDL7RG-GR INF754K01PJ1 EDELWEISS CRISIL IBX 50:50 GILT PLUS SDL JUN 2027 INDEX FUND- REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
2808 IC3507-GR INF109KC11L1 ICICI PRUDENTIAL NIFTY SDL DEC 2028 INDEX FUND - GROWTH 7.5 92.5 NORMAL No
2809 IC9709-GR INF109KC14L5 ICICI PRUDENTIAL NIFTY SDL DEC 2028 INDEX FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2810 HDSLFRG-GR INF179KC1DV5 HDFC SILVER ETF FUND OF FUND REGULAR GROWTH 7.5 92.5 NORMAL No
2811 HDSLFDG-GR INF179KC1DU7 HDFC SILVER ETF FUND OF FUND DIRECT GROWTH 7.5 92.5 DIRECT No
2812 TANMGZ-GR INF277KA1612 TATA NIFTY MIDCAP 150 MOMENTUM 50 INDEX FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2813 TANMG-GR INF277KA1646 TATA NIFTY MIDCAP 150 MOMENTUM 50 INDEX FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2814 AXNQGP-GR INF846K015K2 AXIS NASDAQ 100 FUND OF FUND REGULAR GROWTH 7.5 92.5 NORMAL No
2815 AXNQDG-GR INF846K012K9 AXIS NASDAQ 100 FUND OF FUND DIRECT GROWTH 7.5 92.5 DIRECT No
2816 RLNDGP-GR INF204KC1659 NIPPON INDIA NIFTY AAA PSU BOND PLUS SDL - SEP 2026 MATURITY 50:50 INDEX FUND GROWTH PLAN 7.5 92.5 NORMAL No
2817 RLNDAG-GR INF204KC1683 NIPPON INDIA NIFTY AAA PSU BOND PLUS SDL - SEP 2026 MATURITY 50:50 INDEX FUND DIRECT GROWTH
7.5 PLAN 92.5 DIRECT No
2818 MANPRG-GR INF769K01JA1 MIRAE ASSET NIFTY AAA PSU BOND PLUS SDL APR 2026 50:50 INDEX FUND REGULAR PLAN GROWTH7.5 92.5 NORMAL No
2819 MANPD1-GR INF769K01JD5 MIRAE ASSET NIFTY AAA PSU BOND PLUS SDL APR 2026 50:50 INDEX FUND DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2820 YED103G-GR INF03VN01696 WOC LARGE CAP FUND DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2821 YE103G-GR INF03VN01662 WOC LARGE CAP FUND REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2822 YE103DP-DP INF03VN01670 WOC LARGE CAP FUND REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
2823 HDHBRGR-GR INF179KC1EB5 HDFC BUSINESS CYCLE FUND REGULAR GROWTH 7.5 92.5 NORMAL No
2824 HDHBDDP-DP INF179KC1DZ6 HDFC BUSINESS CYCLE FUND DIRECT IDCW PAYOUT 7.5 92.5 DIRECT No
2825 HDHBDGR-GR INF179KC1DY9 HDFC BUSINESS CYCLE FUND DIRECT GROWTH 7.5 92.5 DIRECT No
2826 HDHBRDP-DP INF179KC1EC3 HDFC BUSINESS CYCLE FUND REGULAR IDCW PAYOUT 7.5 92.5 NORMAL No
2827 EDG8RG-GR INF754K01PR4 EDELWEISS CRISIL IBX 5050 GILT PLUS SDL SEP 2028 INDEX FUND- REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
2828 JMMDDG-GR INF192K01MV6 JM MIDCAP FUND-(DIRECT)-GROWTH OPTION 7.5 92.5 DIRECT No
2829 JMMDGP-GR INF192K01MS2 JM MIDCAP FUND-(REGULAR)-GROWTH OPTION 7.5 92.5 NORMAL No
2830 JMMDDP-DP INF192K01MT0 JM MIDCAP FUND-(REGULAR)-IDCW PAYOUT OPTION 7.5 92.5 NORMAL No
2831 CAMDDG-GR INF760K01KI1 CANARA ROBECO MID CAP FUND DIRECT GROWTH 7.5 92.5 DIRECT No
2832 CAMDDP-DP INF760K01KN1 CANARA ROBECO MID CAP FUND REGULAR IDCW PAYOUT 7.5 92.5 NORMAL No
2833 CAMDGP-GR INF760K01KL5 CANARA ROBECO MID CAP FUND REGULAR GROWTH 7.5 92.5 NORMAL No
2834 KO280-GR INF174KA1KG8 KOTAK ALL WEATHER DEBT FOF-REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
2835 KO280D-GR INF174KA1KJ2 KOTAK ALL WEATHER DEBT FOF-DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
2836 RLNJAG-GR INF204KC1741 NIPPON INDIA NIFTY SDL PLUS G-SEC-JUN 2028 MATURITY 70:30 INDEX FUND DIRECT GROWTH 7.5 92.5 DIRECT No
2837 RLNJGP-GR INF204KC1717 NIPPON INDIA NIFTY SDL PLUS G-SEC-JUN 2028 MATURITY 70:30 INDEX FUND GROWTH 7.5 92.5 NORMAL No
2838 AXNLGP-GR INF846K011L9 AXIS NIFTY SDL SEPTEMBER 2026 DEBT INDEX FUND REGULAR GROWTH 7.5 92.5 NORMAL No
2839 AXNLDG-GR INF846K018K6 AXIS NIFTY SDL SEPTEMBER 2026 DEBT INDEX FUND DIRECT GROWTH 7.5 92.5 DIRECT No
2840 UNMCRG-GR INF582M01IS8 UNION MULTICAP FUND-REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
2841 UNMCRDP-DP INF582M01IT6 UNION MULTICAP FUND-REGULAR PLAN-IDCW PAYOUT 7.5 92.5 NORMAL No
2842 UNMCDG-GR INF582M01IO7 UNION MULTICAP FUND-DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
2843 BPMARG-GR INF251K01RC9 BARODA BNP PARIBAS MULTI ASSET FUND REGULAR GROWTH 7.5 92.5 NORMAL No
2844 BPMARD-DP INF251K01RD7 BARODA BNP PARIBAS MULTI ASSET FUND REGULAR IDCW - PAYOUT 7.5 92.5 NORMAL No
2845 BPMADG-GR INF251K01RF2 BARODA BNP PARIBAS MULTI ASSET FUND DIRECT GROWTH 7.5 92.5 DIRECT No
2846 IDD371-GR INF194KB1ET9 BANDHAN CRISIL IBX 90:10 SDL PLUS GILT NOVEMBER 2026 INDEX FUND DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
Approved Securities List for the Month of April 2024
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
2847 ID371-GR INF194KB1EW3 collateralPLAN-GROWTH
BANDHAN CRISIL IBX 90:10 SDL PLUS GILT NOVEMBER 2026 INDEX FUND REGULAR margin of Rs. 7.5 92.5 NORMAL No
2848 IDD373-GR INF194KB1EN2 BANDHAN CRISIL IBX 90:10 SDL PLUS GILT APRIL 2032 INDEX FUND DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
2849 ID373-GR INF194KB1EQ5 BANDHAN CRISIL IBX 90:10 SDL PLUS GILT APRIL 2032 INDEX FUND REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
2850 IDD375-GR INF194KB1EZ6 BANDHAN CRISIL IBX 90:10 SDL PLUS GILT SEPTEMBER 2027 INDEX FUND DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
2851 ID375-GR INF194KB1FC2 BANDHAN CRISIL IBX 90:10 SDL PLUS GILT SEPTEMBER 2027 INDEX FUND REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
2852 EDSIRG-GR INF754K01QP6 EDELWEISS NIFTY SMALLCAP 250 INDEX FUND- REGULAR PLAN GROWTH - GROWTH 7.5 92.5 NORMAL No
2853 EDNXRG-GR INF754K01QH3 EDELWEISS NIFTY NEXT 50 INDEX FUND- REGULAR PLAN GROWTH - GROWTH 7.5 92.5 NORMAL No
2854 EDMDRG-GR INF754K01PZ7 EDELWEISS NIFTY MIDCAP150 MOMENTUM 50 INDEX FUND- REGULAR PLAN GROWTH - GROWTH 7.5 92.5 NORMAL No
2855 MHMSCRP-DP INF174V01BI1 MAHINDRA MANULIFE SMALL CAP FUND - REGULAR - IDCW PAYOUT 7.5 92.5 NORMAL No
2856 MHMSCDG-GR INF174V01BK7 MAHINDRA MANULIFE SMALL CAP FUND - DIRECT - GROWTH 7.5 92.5 DIRECT No
2857 MHMSCRG-GR INF174V01BH3 MAHINDRA MANULIFE SMALL CAP FUND - REGULAR - GROWTH 7.5 92.5 NORMAL No
2858 MHMSCDP-DP INF174V01BL5 MAHINDRA MANULIFE SMALL CAP FUND - DIRECT - IDCW PAYOUT 7.5 92.5 DIRECT No
2859 IC3509-GR INF109KC18L6 ICICI PRUDENTIAL NIFTY PHARMA INDEX FUND-GROWTH 7.5 92.5 NORMAL No
2860 IC9711-GR INF109KC11M9 ICICI PRUDENTIAL NIFTY PHARMA INDEX FUND-DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2861 BS116B-GR INF209KB18O0 ADITYA BIRLA SUN LIFE CRISIL IBX 60:40 SDL AAA PSU APR 2026 INDEX FUND-REGULAR GROWTH 7.5 92.5 NORMAL No
2862 BS116Y-GR INF209KB10P4 ADITYA BIRLA SUN LIFE CRISIL IBX 60:40 SDL AAA PSU APR 2026 INDEX FUND-DIRECT GROWTH 7.5 92.5 DIRECT No
2863 EDO3D1-GR INF754K01RC2 BHARAT BOND ETF FOF-APRIL 2033 - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2864 EDO3RG-GR INF754K01QY8 BHARAT BOND ETF FOF-APRIL 2033 - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2865 HS02-GR INF917K01AH0 HSBC CORPORATE BOND FUND-REGULAR-CUMULATIVE 7.5 92.5 NORMAL No
2866 HS01P-DP INF917K01AF4 HSBC CORPORATE BOND FUND-REGULAR-QUARTERLY IDCW PAYOUT 7.5 92.5 NORMAL No
2867 HS09P-DP INF917K01AI8 HSBC CORPORATE BOND FUND - SEMI ANNUAL IDCW PAYOUT 7.5 92.5 NORMAL No
2868 HS07-GR INF917K01AK4 HSBC CORPORATE BOND FUND-REGULAR-BONUS-ORIGINAL 7.5 92.5 NORMAL No
2869 HS02D-GR INF917K01HN3 HSBC CORPORATE BOND FUND DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2870 HS01DP-DP INF917K01HP8 HSBC CORPORATE BOND FUND DIRECT PLAN - QUARTERLY IDCW PAYOUT 7.5 92.5 DIRECT No
2871 HS16P-DP INF917K01239 HSBC MIDCAP FUND IDCW PAYOUT 7.5 92.5 NORMAL No
2872 HS17-GR INF917K01254 HSBC MIDCAP FUND GROWTH 7.5 92.5 NORMAL No
2873 HS16DP-DP INF917K01E78 HSBC MIDCAP FUND DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
2874 HS17D-GR INF917K01FZ1 HSBC MIDCAP FUND DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2875 HS416-GR INF917K01536 HSBC INFRASTRUCTURE FUND - GROWTH 7.5 92.5 NORMAL No
2876 HS415P-DP INF917K01544 HSBC INFRASTRUCTURE FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
2877 HS415DP-DP INF917K01E52 HSBC INFRASTRUCTURE FUND DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
2878 HS416D-GR INF917K01FW8 HSBC INFRASTRUCTURE FUND DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2879 HS227P-DP INF917K01114 HSBC CREDIT RISK FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
2880 HS228-GR INF917K01130 HSBC CREDIT RISK FUND - GROWTH 7.5 92.5 NORMAL No
2881 HS228D-GR INF917K01UH8 HSBC CREDIT RISK FUND DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2882 HS241P-DP INF917K01965 HSBC EQUITY SAVINGS FUND - MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
2883 HS242P-DP INF917K01981 HSBC EQUITY SAVINGS FUND - QUARTERLY IDCW PAYOUT 7.5 92.5 NORMAL No
2884 HS243-GR INF917K01AA5 HSBC EQUITY SAVINGS FUND - GROWTH 7.5 92.5 NORMAL No
2885 HS243D-GR INF917K01GE4 HSBC EQUITY SAVINGS FUND DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2886 HS133D-GR INF917K01IQ4 HSBC SHORT DURATION FUND DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2887 HS131P-DP INF917K01CH6 HSBC SHORT DURATION FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
2888 HS132P-DP INF917K01CJ2 HSBC SHORT DURATION FUND - QUARTERLY IDCW PAYOUT 7.5 92.5 NORMAL No
2889 HS133-GR INF917K01CL8 HSBC SHORT DURATION FUND - GROWTH 7.5 92.5 NORMAL No
2890 HSSTIIG-GR INF677K01916 HSBC DYNAMIC BOND FUND - GROWTH 7.5 92.5 NORMAL No
2891 HSSTIIP-DP INF677K01924 HSBC DYNAMIC BOND FUND- IDCW PAYOUT 7.5 92.5 NORMAL No
2892 HSSTIGD-GR INF917K01HA0 HSBC DYNAMIC BOND FUND DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2893 HSLFSG-GR INF677K01AE7 HSBC BANKING AND PSU DEBT FUND - GROWTH 7.5 92.5 NORMAL No
2894 HSLFMDP-DP INF917K01HJ1 HSBC BANKING AND PSU DEBT FUND DIRECT PLAN - MONTHLY IDCW PAYOUT 7.5 92.5 DIRECT No
2895 HSLFSGD-GR INF917K01HH5 HSBC BANKING AND PSU DEBT FUND DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2896 HSFIVFG-GR INF677K01023 HSBC VALUE FUND - GROWTH 7.5 92.5 NORMAL No
2897 HSFIVFP-DP INF677K01213 HSBC VALUE FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
2898 HSFIVDP-DP INF917K01HC6 HSBC VALUE FUND DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
2899 HSFIVGD-GR INF917K01HD4 HSBC VALUE FUND DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2900 HSFSIG-GR INF677K01452 HSBC LOW DURATION FUND - GROWTH 7.5 92.5 NORMAL No
2901 HSFSIP-DP INF677K01460 HSBC LOW DURATION FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
2902 HSFSIGD-GR INF917K01GM7 HSBC LOW DURATION FUND FUND DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2903 HSFCPEG-GR INF917K01LB0 HSBC AGGRESSIVE HYBRID FUND - GROWTH 7.5 92.5 NORMAL No
2904 HSFCPEP-DP INF917K01KZ1 HSBC AGGRESSIVE HYBRID FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
2905 HSFCEGD-GR INF917K01LE4 HSBC AGGRESSIVE HYBRID FUND DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2906 HSFCEDP-DP INF917K01E45 HSBC AGGRESSIVE HYBRID FUND DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
2907 HSFCADP-DP INF917K01TW9 HSBC AGGRESSIVE HYBRID FUND - ANNUAL IDCW PAYOUT 7.5 92.5 NORMAL No
2908 HSFCDDP-DP INF917K01TY5 HSBC AGGRESSIVE HYBRID FUND DIRECT PLAN - ANNUAL IDCW PAYOUT 7.5 92.5 DIRECT No
2909 HSFCMGD-GR INF917K01IN1 HSBC BALANCED ADVANTAGE FUND DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2910 HSFCPMP-DP INF917K01KW8 HSBC BALANCED ADVANTAGE FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
2911 HSFCPMG-GR INF917K01KY4 HSBC BALANCED ADVANTAGE FUND - GROWTH 7.5 92.5 NORMAL No
2912 HSFCMDP-DP INF917K01IM3 HSBC BALANCED ADVANTAGE FUND DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
2913 HSLEBDG-GR INF917K01QA1 HSBC SMALL CAP FUND DIRECT GROWTH 7.5 92.5 DIRECT No
2914 HSLEBFP-DP INF917K01QB9 HSBC SMALL CAP FUND IDCW PAYOUT 7.5 92.5 NORMAL No
2915 HSLEBDP-DP INF917K01PZ0 HSBC SMALL CAP FUND DIRECT IDCW PAYOUT 7.5 92.5 DIRECT No
2916 HSLEBFG-GR INF917K01QC7 HSBC SMALL CAP FUND GROWTH 7.5 92.5 NORMAL No
2917 HSLARDP-DP INF917K01QT1 HSBC ARBITRAGE FUND DIRECT MONTHLY IDCW PAYOUT 7.5 92.5 DIRECT No
2918 HSLARDG-GR INF917K01QR5 HSBC ARBITRAGE FUND DIRECT GROWTH 7.5 92.5 DIRECT No
2919 HSLARMP-DP INF917K01QN4 HSBC ARBITRAGE FUND MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
2920 HSLARG-GR INF917K01QL8 HSBC ARBITRAGE FUND - GROWTH 7.5 92.5 NORMAL No
2921 HSLBCDG-GR INF917K01RI2 HSBC BUSINESS CYCLES FUND-DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
2922 HSLBCFP-DP INF917K01RH4 HSBC BUSINESS CYCLES FUND IDCW PAYOUT 7.5 92.5 NORMAL No
2923 HSLBCFG-GR INF917K01RF8 HSBC BUSINESS CYCLES FUND GROWTH 7.5 92.5 NORMAL No
2924 HSLBCDP-DP INF917K01RK8 HSBC BUSINESS CYCLES FUND-DIRECT PLAN-IDCW PAYOUT 7.5 92.5 DIRECT No
2925 HSLRCDG-GR INF917K01TK4 HSBC MEDIUM DURATION FUND DIRECT GROWTH 7.5 92.5 DIRECT No
2926 HSLRCBG-GR INF917K01TH0 HSBC MEDIUM DURATION FUND GROWTH 7.5 92.5 NORMAL No
2927 HSLRDAP-DP INF917K01WF8 HSBC MEDIUM DURATION FUND DIRECT ANNUAL IDCW PAYOUT 7.5 92.5 DIRECT No
2928 HSLNIDP-DP INF917K01C96 HSBC NIFTY 50 INDEX FUND DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
2929 HSLNIGD-GR INF917K01D12 HSBC NIFTY 50 INDEX FUND DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2930 HSLNIGR-GR INF917K01D38 HSBC NIFTY 50 INDEX FUND - GROWTH 7.5 92.5 NORMAL No
2931 HSLNIFP-DP INF917K01D20 HSBC NIFTY 50 INDEX FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
2932 HSLNNGD-GR INF917K01D79 HSBC NIFTY NEXT 50 INDEX FUND DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2933 HSLNNGR-GR INF917K01D95 HSBC NIFTY NEXT 50 INDEX FUND - GROWTH 7.5 92.5 NORMAL No
2934 AXLFGP-GR INF846K015L0 AXIS LONG DURATION FUND REGULAR GROWTH 7.5 92.5 NORMAL No
2935 AXLFDG-GR INF846K014L3 AXIS LONG DURATION FUND DIRECT GROWTH 7.5 92.5 DIRECT No
2936 UTSLGP-GR INF789F1AWW5 UTI CRISIL SDL MATURITY APRIL 2033 INDEX FUND-REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2937 UTSLG1-GR INF789F1AWX3 UTI CRISIL SDL MATURITY APRIL 2033 INDEX FUND-DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2938 IC3523-GR INF109KC10P4 ICICI PRUDENTIAL NIFTY SDL SEP 2026 INDEX FUND - GROWTH 7.5 92.5 NORMAL No
2939 IC9725-GR INF109KC13P8 ICICI PRUDENTIAL NIFTY SDL SEP 2026 INDEX FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2940 SB670G-GR INF200KA13T1 SBI LONG DURATION FUND - REGULAR GROWTH 7.5 92.5 NORMAL No
2941 SBD670G-GR INF200KA16T4 SBI LONG DURATION FUND - DIRECT GROWTH 7.5 92.5 DIRECT No
2942 KO283-GR INF174KA1KZ8 KOTAK NIFTY SDL JUL 2026 INDEX FUND -REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
2943 KO283D-GR INF174KA1LC5 KOTAK NIFTY SDL JUL 2026 INDEX FUND -DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
2944 TAMLGZ-GR INF277KA1679 TATA MULTICAP FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2945 TAMLDZ-DP INF277KA1687 TATA MULTICAP FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
2946 TAMLG-GR INF277KA1703 TATA MULTICAP FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2947 TAMLD-DP INF277KA1711 TATA MULTICAP FUND - REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
2948 UTSHGP-GR INF789F1AWY1 UTI CRISIL SDL MATURITY JUNE 2027 INDEX FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2949 UTSHG1-GR INF789F1AWZ8 UTI CRISIL SDL MATURITY JUNE 2027 INDEX FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2950 YED104G-GR INF03VN01738 WHITEOAK CAPITAL BALANCED ADVANTAGE FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
2951 YE104G-GR INF03VN01720 WHITEOAK CAPITAL BALANCED ADVANTAGE FUND - REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
2952 BPNSRG-GR INF251K01RI6 BARODA BNP PARIBAS NIFTY SDL DECEMBER 2026 INDEX FUND REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
2953 BPNSDG-GR INF251K01RL0 BARODA BNP PARIBAS NIFTY SDL DECEMBER 2026 INDEX FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
2954 HSHMCRG-GR INF336L01QQ8 HSBC MULTI CAP FUND REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2955 HSHMCDG-GR INF336L01QN5 HSBC MULTI CAP FUND DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2956 HSHMCRP-DP INF336L01QR6 HSBC MULTI CAP FUND REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
2957 AXCTGP-GR INF846K013N1 AXIS CRISIL IBX 50:50 GILT PLUS SDL JUNE 2028 INDEX FUND REGULAR GROWTH 7.5 92.5 NORMAL No
2958 AXCTDG-GR INF846K010N7 AXIS CRISIL IBX 50:50 GILT PLUS SDL JUNE 2028 INDEX FUND DIRECT GROWTH 7.5 92.5 DIRECT No
2959 BS117Y-GR INF209KB15R9 ADITYA BIRLA SUN LIFE MULTI ASSET ALLOCATION FUND-DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
Approved Securities List for the Month of April 2024
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
2960 BS117B-GR INF209KB12R6 ADITYA BIRLA SUN LIFE MULTI ASSET ALLOCATION FUND- REGULAR PLAN collateral
GROWTH margin of Rs. 7.5 92.5 NORMAL No
2961 BS117A-DP INF209KB13R4 ADITYA BIRLA SUN LIFE MULTI ASSET ALLOCATION FUND- REGULAR PLAN IDCW PAYOUT 7.5 92.5 NORMAL No
2962 HDHLDDG-GR INF179KC1ET7 HDFC LONG DURATION DEBT FUND DIRECT GROWTH 7.5 92.5 DIRECT No
2963 HDHLDRG-GR INF179KC1EW1 HDFC LONG DURATION DEBT FUND REGULAR GROWTH 7.5 92.5 NORMAL No
2964 TSCBGP-GR INF0GCD01560 TRUSTMF CORPORATE BOND FUND-DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
2965 TSCBRG-GR INF0GCD01537 TRUSTMF CORPORATE BOND FUND-REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
2966 DS634-GR INF740KA1RY1 DSP CRISIL SDL PLUS G-SEC APR 2033 50:50 INDEX FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2967 DS891-DP INF740KA1SC5 DSP CRISIL SDL PLUS G-SEC APR 2033 50:50 INDEX FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
2968 DS890-GR INF740KA1SB7 DSP CRISIL SDL PLUS G-SEC APR 2033 50:50 INDEX FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2969 UTNSGP-GR INF789F1AXK8 UTI NIFTY SDL PLUS AAA PSU BOND APR 2026 75:25 INDEX FUND -REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
2970 UTNSG1-GR INF789F1AXL6 UTI NIFTY SDL PLUS AAA PSU BOND APR 2026 75:25 INDEX FUND -DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
2971 EDSDD1-GR INF754K01RK5 EDELWEISS CRISIL IBX 50:50 GILT PLUS SDL SHORT DURATION INDEX FUND- DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
2972 EDSDRG-GR INF754K01RG3 EDELWEISS CRISIL IBX 50:50 GILT PLUS SDL SHORT DURATION INDEX FUND- REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
2973 AXBCGP-GR INF846K019N8 AXIS BUSINESS CYCLES FUND REGULAR GROWTH 7.5 92.5 NORMAL No
2974 AXBCDP-DP INF846K010O5 AXIS BUSINESS CYCLES FUND REGULAR IDCW PAYOUT 7.5 92.5 NORMAL No
2975 AXBCDG-GR INF846K016N4 AXIS BUSINESS CYCLES FUND DIRECT GROWTH 7.5 92.5 DIRECT No
2976 DS637-GR INF740KA1SE1 DSP NIFTY SDL PLUS G-SEC SEP 2027 50:50 INDEX FUND - REGULAR - GROWTH 7.5 92.5 NORMAL No
2977 DS893-GR INF740KA1SH4 DSP NIFTY SDL PLUS G-SEC SEP 2027 50:50 INDEX FUND - DIRECT - GROWTH 7.5 92.5 DIRECT No
2978 ITFCGP-GR INF00XX01CL3 ITI FLEXI CAP FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2979 ITFCDP-DP INF00XX01CM1 ITI FLEXI CAP FUND - REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
2980 ITFCG1-GR INF00XX01CO7 ITI FLEXI CAP FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2981 KO287DP-DP INF174KA1MB5 KOTAK BANKING AND FINANCIAL SERVICES FUND-REGULAR PLAN-IDCW PAYOUT 7.5 92.5 NORMAL No
2982 KO286D-GR INF174KA1MD1 KOTAK BANKING AND FINANCIAL SERVICES FUND-DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
2983 KO286-GR INF174KA1MA7 KOTAK BANKING AND FINANCIAL SERVICES FUND-REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
2984 RLNUAG-GR INF204KC1AI7 NIPPON INDIA NIFTY SDL PLUS G-SEC- JUN 2029 MATURITY 70:30 INDEX FUND DIRECT GROWTH 7.5 92.5 DIRECT No
2985 RLNUAD-DR INF204KC1AK3 NIPPON INDIA NIFTY SDL PLUS G-SEC- JUN 2029 MATURITY 70:30 INDEX FUND DIRECT IDCW REINVESTMENT
7.5 92.5 DIRECT No
2986 BS118B-GR INF209KB18R3 ADITYA BIRLA SUN LIFE CRISIL IBX AAA MAR 2024 INDEX FUND - REGULAR GROWTH 7.5 92.5 NORMAL No
2987 BS118Y-GR INF209KB10S8 ADITYA BIRLA SUN LIFE CRISIL IBX AAA MAR 2024 INDEX FUND - DIRECT GROWTH 7.5 92.5 DIRECT No
2988 MAFCD1-GR INF769K01JJ2 MIRAE ASSET FLEXI CAP FUND DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2989 MAFCD2-DP INF769K01JI4 MIRAE ASSET FLEXI CAP FUND DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
2990 MAFCRG-GR INF769K01JG8 MIRAE ASSET FLEXI CAP FUND REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
2991 MAFCRD-DP INF769K01JF0 MIRAE ASSET FLEXI CAP FUND REGULAR PLAN IDCW PAYOUT 7.5 92.5 NORMAL No
2992 KO288-GR INF174KA1MG4 KOTAK NIFTY SDL JUL 2033 INDEX FUND -REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
2993 KO288D-GR INF174KA1MJ8 KOTAK NIFTY SDL JUL 2033 INDEX FUND -DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
2994 AXCLDG-GR INF846K012O1 AXIS CRISIL IBX 50:50 GILT PLUS SDL SEPTEMBER 2027 INDEX FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
2995 BAMLDG-GR INF761K01FR0 BANK OF INDIA MULTICAP FUND DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
2996 BAMLRG-GR INF761K01FU4 BANK OF INDIA MULTICAP FUND REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
2997 BAMLRD-DP INF761K01FT6 BANK OF INDIA MULTICAP FUND REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
2998 HDHNSRG-GR INF179KC1FJ5 HDFC NIFTY SDL OCT 2026 INDEX FUND REGULAR GROWTH 7.5 92.5 NORMAL No
2999 HDHNSDG-GR INF179KC1FI7 HDFC NIFTY SDL OCT 2026 INDEX FUND DIRECT GROWTH 7.5 92.5 DIRECT No
3000 HDHMRGR-GR INF179KC1FF3 HDFC MNC FUND REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
3001 HDHMDGR-GR INF179KC1FC0 HDFC MNC FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
3002 HDHMRDP-DP INF179KC1FG1 HDFC MNC FUND REGULAR PLAN IDCW PAYOUT 7.5 92.5 NORMAL No
3003 SBD676P-DP INF200KA15W0 SBI DIVIDEND YIELD FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
3004 SB676G-GR INF200KA11W9 SBI DIVIDEND YIELD FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
3005 SB676DP-DP INF200KA12W7 SBI DIVIDEND YIELD FUND - REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
3006 SBD676G-GR INF200KA14W3 SBI DIVIDEND YIELD FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
3007 UTNNG1-GR INF789F1AXR3 UTI NIFTY SDL PLUS AAA PSU BOND APR 2028 75:25 INDEX FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
3008 UTNNGP-GR INF789F1AXQ5 UTI NIFTY SDL PLUS AAA PSU BOND APR 2028 75:25 INDEX FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
3009 UTLDG1-GR INF789F1AYB5 UTI LONG DURATION FUND-DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
3010 UTLDGP-GR INF789F1AXS1 UTI LONG DURATION FUND-REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
3011 BS120B-GR INF209KB14T8 ADITYA BIRLA SUN LIFE NIFTY SDL SEP 2027 INDEX FUND- REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
3012 BS120Y-GR INF209KB16T3 ADITYA BIRLA SUN LIFE NIFTY SDL SEP 2027 INDEX FUND- DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
3013 HDHGPDG-GR INF179KC1GA2 HDFC NIFTY SDL PLUS G-SEC JUN 2027 40:60 INDEX FUND-DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
3014 HDHGPRG-GR INF179KC1GB0 HDFC NIFTY SDL PLUS G-SEC JUN 2027 40:60 INDEX FUND-REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
3015 BPN2DG-GR INF251K01RR7 BARODA BNP PARIBAS NIFTY SDL DECEMBER 2028 INDEX FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
3016 BPN2RG-GR INF251K01RO4 BARODA BNP PARIBAS NIFTY SDL DECEMBER 2028 INDEX FUND REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
3017 IC3539-GR INF109KC19S9 ICICI PRUDENTIAL INNOVATION FUND REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
3018 IC9741-GR INF109KC12T2 ICICI PRUDENTIAL INNOVATION FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
3019 IC3540P-DP INF109KC10T6 ICICI PRUDENTIAL INNOVATION FUND REGULAR PLAN IDCW PAYOUT 7.5 92.5 NORMAL No
3020 KO293-GR INF174KA1MY7 KOTAK NIFTY SMALLCAP 50 INDEX FUND - REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
3021 KO293D-GR INF174KA1NB3 KOTAK NIFTY SMALLCAP 50 INDEX FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
3022 MANSD1-GR INF769K01JZ8 MIRAE ASSET NIFTY SDL JUNE 2028 INDEX FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
3023 MANSRG-GR INF769K01JW5 MIRAE ASSET NIFTY SDL JUNE 2028 INDEX FUND REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
3024 QUDADG-GR INF966L01BL5 QUANT DYNAMIC ASSET ALLOCATION FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
3025 QUDAGP-GR INF966L01BO9 QUANT DYNAMIC ASSET ALLOCATION FUND - REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
3026 HDMC1DG-GR INF179KC1GC8 HDFC NIFTY MIDCAP 150 INDEX FUND - DIRECT - GROWTH 7.5 92.5 DIRECT No
3027 HDMC1RG-GR INF179KC1GD6 HDFC NIFTY MIDCAP 150 INDEX FUND - REGULAR - GROWTH 7.5 92.5 NORMAL No
3028 HDSC2RG-GR INF179KC1GF1 HDFC NIFTY SMALLCAP 250 INDEX FUND - REGULAR - GROWTH 7.5 92.5 NORMAL No
3029 HDSC2DG-GR INF179KC1GE4 HDFC NIFTY SMALLCAP 250 INDEX FUND - DIRECT - GROWTH 7.5 92.5 DIRECT No
3030 HDSP5DG-GR INF179KC1GG9 HDFC S&P BSE 500 INDEX FUND - DIRECT - GROWTH 7.5 92.5 DIRECT No
3031 HDSP5RG-GR INF179KC1GH7 HDFC S&P BSE 500 INDEX FUND - REGULAR - GROWTH 7.5 92.5 NORMAL No
3032 BPFTRG-GR INF251K01RU1 BARODA BNP PARIBAS FLOATER FUND REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
3033 BPFTDG-GR INF251K01RX5 BARODA BNP PARIBAS FLOATER FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
3034 BPFTDD-DP INF251K01RY3 BARODA BNP PARIBAS FLOATER FUND DIRECT PLAN IDCW - PAYOUT 7.5 92.5 DIRECT No
3035 UTNVGP-GR INF789F1AYO8 UTI NIFTY 500 VALUE 50 INDEX FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
3036 UTNVG1-GR INF789F1AYN0 UTI NIFTY 500 VALUE 50 INDEX FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
3037 YED105G-GR INF03VN01761 WHITEOAK CAPITAL MULTI ASSET ALLOCATION FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
3038 YE105G-GR INF03VN01779 WHITEOAK CAPITAL MULTI ASSET ALLOCATION FUND - REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
3039 BPVFRG-GR INF251K01SA1 BARODA BNP PARIBAS VALUE FUND - REGULAR PLAN - GROWTH OPTION 7.5 92.5 NORMAL No
3040 BPVFRD-DP INF251K01SB9 BARODA BNP PARIBAS VALUE FUND - REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
3041 BPVFDG-GR INF251K01SD5 BARODA BNP PARIBAS VALUE FUND - DIRECT PLAN - GROWTH OPTION 7.5 92.5 DIRECT No
3042 HDHDRDP-DP INF179KC1GM7 HDFC DEFENCE FUND REGULAR PLAN IDCW PAYOUT 7.5 92.5 NORMAL No
3043 HDHDDDP-DP INF179KC1GJ3 HDFC DEFENCE FUND DIRECT PLAN?IDCW PAYOUT 7.5 92.5 DIRECT No
3044 HDHDDGR-GR INF179KC1GI5 HDFC DEFENCE FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
3045 HDHDRGR-GR INF179KC1GL9 HDFC DEFENCE FUND REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
3046 SAAMRG-GR INF0K1H01073 SAMCO ACTIVE MOMENTUM FUND -REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
3047 SAAMDG-GR INF0K1H01081 SAMCO ACTIVE MOMENTUM FUND -DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
3048 QUBCDG-GR INF966L01BR2 QUANT BUSINESS CYCLE FUND - DIRECT PLAN GROWTH - GROWTH 7.5 92.5 DIRECT No
3049 QUBCGP-GR INF966L01BU6 QUANT BUSINESS CYCLE FUND - REGULAR PLAN GROWTH - GROWTH 7.5 92.5 NORMAL No
3050 QUBCDP-DP INF966L01BV4 QUANT BUSINESS CYCLE FUND - REGULAR PLAN IDCW - PAYOUT 7.5 92.5 NORMAL No
3051 UTNWGP-GR INF789F1AYQ3 UTI NIFTY 50 EQUAL WEIGHT INDEX FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
3052 UTNWG1-GR INF789F1AYP5 UTI NIFTY 50 EQUAL WEIGHT INDEX FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
3053 UTSBGP-GR INF789F1AYS9 UTI S&P BSE HOUSING INDEX FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
3054 UTSBG1-GR INF789F1AYR1 UTI S&P BSE HOUSING INDEX FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
3055 SB681G-GR INF200KA13Y1 SBI S&P BSE SENSEX INDEX FUND-REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
3056 SBD681G-GR INF200KA16Y4 SBI S&P BSE SENSEX INDEX FUND-DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
3057 ITFEDP-DP INF00XX01CW0 ITI FOCUSED EQUITY FUND - REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
3058 ITFEG1-GR INF00XX01CS8 ITI FOCUSED EQUITY FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
3059 ITFEGP-GR INF00XX01CV2 ITI FOCUSED EQUITY FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
3060 KO295-GR INF174KA1NY5 KOTAK NIFTY 200 MOMENTUM 30 INDEX FUND -REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
3061 KO295D-GR INF174KA1OB1 KOTAK NIFTY 200 MOMENTUM 30 INDEX FUND -DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
3062 AXNTDG-GR INF846K017R3 AXIS NIFTY IT INDEX FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
3063 AXNTGP-GR INF846K010S6 AXIS NIFTY IT INDEX FUND REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
3064 QUBSGP-GR INF966L01CA6 QUANT BFSI FUND - REGULAR PLAN GROWTH - GROWTH 7.5 92.5 NORMAL No
3065 QUBSDP-DP INF966L01CB4 QUANT BFSI FUND - REGULAR PLAN IDCW - PAYOUT 7.5 92.5 NORMAL No
3066 QUBSD1-DP INF966L01BY8 QUANT BFSI FUND - DIRECT PLAN IDCW - PAYOUT 7.5 92.5 DIRECT No
3067 QUBSDG-GR INF966L01BX0 QUANT BFSI FUND - DIRECT PLAN GROWTH - GROWTH 7.5 92.5 DIRECT No
3068 EDMAD1-GR INF754K01RS8 EDELWEISS MULTI ASSET ALLOCATION FUND- DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
3069 EDMADP-DP INF754K01RP4 EDELWEISS MULTI ASSET ALLOCATION FUND- REGULAR PLAN IDCW - PAYOUT 7.5 92.5 NORMAL No
3070 EDMARG-GR INF754K01RO7 EDELWEISS MULTI ASSET ALLOCATION FUND- REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
3071 IIIFCDG-GR INF579M01AS1 360 ONE FLEXICAP FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
3072 IIIFCRG-GR INF579M01AP7 360 ONE FLEXICAP FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
Approved Securities List for the Month of April 2024
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
3073 HDHCRDP-DP INF179KC1GS4 HDFC NON-CYCLICAL CONSUMER FUND REGULAR PLAN IDCW PAYOUT collateral margin of Rs. 7.5 92.5 NORMAL No
3074 HDHCRGR-GR INF179KC1GR6 HDFC NON-CYCLICAL CONSUMER FUND REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
3075 HDHCDGR-GR INF179KC1GO3 HDFC NON-CYCLICAL CONSUMER FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
3076 MAMPD1-GR INF769K01KK8 MIRAE ASSET MULTICAP FUND DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
3077 MAMPD2-DP INF769K01KL6 MIRAE ASSET MULTICAP FUND DIRECT PLAN - IDCW - PAYOUT 7.5 92.5 DIRECT No
3078 MAMPRG-GR INF769K01KH4 MIRAE ASSET MULTICAP FUND REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
3079 MAMPRD-DP INF769K01KI2 MIRAE ASSET MULTICAP FUND REGULAR PLAN IDCW - PAYOUT 7.5 92.5 NORMAL No
3080 MOMPGD-GR INF247L01BQ9 MOTILAL OSWAL NIFTY MICROCAP 250 INDEX FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
3081 MOMPGP-GR INF247L01BR7 MOTILAL OSWAL NIFTY MICROCAP 250 INDEX FUND REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
3082 IDD381-GR INF194KB1GB2 BANDHAN FINANCIAL SERVICES FUND DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
3083 ID381-GR INF194KB1GE6 BANDHAN FINANCIAL SERVICES FUND REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
3084 ID382-DP INF194KB1GF3 BANDHAN FINANCIAL SERVICES FUND REGULAR PLAN-IDCW PAYOUT 7.5 92.5 NORMAL No
3085 CAMFGP-GR INF760K01KR2 CANARA ROBECO MULTI CAP FUND REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
3086 CAMFDP-DP INF760K01KT8 CANARA ROBECO MULTI CAP FUND REGULAR PLAN IDCW PAYOUT 7.5 92.5 NORMAL No
3087 CAMFDG-GR INF760K01KO9 CANARA ROBECO MULTI CAP FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
3088 QUHCDG-GR INF966L01CD0 QUANT HEALTHCARE FUND - DIRECT PLAN GROWTH - GROWTH 7.5 92.5 DIRECT No
3089 QUHCGP-GR INF966L01CG3 QUANT HEALTHCARE FUND - REGULAR PLAN GROWTH - GROWTH 7.5 92.5 NORMAL No
3090 KO297-GR INF174KA1OI6 KOTAK QUANT FUND - REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
3091 KO297D-GR INF174KA1OL0 KOTAK QUANT FUND - DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
3092 UTFBGP-GR INF789F1AYT7 UTI BALANCED ADVANTAGE FUND - REGULAR PLAN - GROWTH OPTION 7.5 92.5 NORMAL No
3093 UTFBD1-DP INF789F1AYW1 UTI BALANCED ADVANTAGE FUND - DIRECT PLAN - PAYOUT OF IDCW OPTION 7.5 92.5 DIRECT No
3094 UTFBDP-DP INF789F1AYU5 UTI BALANCED ADVANTAGE FUND - REGULAR PLAN - PAYOUT OF IDCW OPTION 7.5 92.5 NORMAL No
3095 UTFBG1-GR INF789F1AYV3 UTI BALANCED ADVANTAGE FUND - DIRECT PLAN - GROWTH OPTION 7.5 92.5 DIRECT No
3096 BJFXDG-GR INF0QA701342 BAJAJ FINSERV FLEXI CAP FUND DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
3097 BJFXRD-DP INF0QA701409 BAJAJ FINSERV FLEXI CAP FUND REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
3098 BJFXRG-GR INF0QA701383 BAJAJ FINSERV FLEXI CAP FUND REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
3099 HDHTRGR-GR INF179KC1GX4 HDFC TRANSPORTATION AND LOGISTICS FUND REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
3100 HDHTDGR-GR INF179KC1GU0 HDFC TRANSPORTATION AND LOGISTICS FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
3101 HDHTRDP-DP INF179KC1GY2 HDFC TRANSPORTATION AND LOGISTICS FUND REGULAR PLAN IDCW PAYOUT 7.5 92.5 NORMAL No
3102 UNIORG-GR INF582M01JA4 UNION INNOVATION OPP FUND - REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
3103 UNIODG-GR INF582M01JE6 UNION INNOVATION OPP FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
3104 UNIORDP-DP INF582M01JB2 UNION INNOVATION OPP FUND - REGULAR PLAN IDCW PAYOUT 7.5 92.5 NORMAL No
3105 KO299D-GR INF174KA1OR7 KOTAK NIFTY FINANCIAL SERVICES EX - BANK INDEX FUND - DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
3106 KO299-GR INF174KA1OO4 KOTAK NIFTY FINANCIAL SERVICES EX - BANK INDEX FUND - REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
3107 QUMFGP-GR INF966L01CN9 QUANT MANUFACTURING FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
3108 QUMFDG-GR INF966L01CJ7 QUANT MANUFACTURING FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
3109 NJFCDG-GR INF0J8L01156 NJ FLEXI CAP FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
3110 NJFCRD-DP INF0J8L01149 NJ FLEXI CAP FUND - REGULAR PLAN IDCW PAYOUT 7.5 92.5 NORMAL No
3111 NJFCRG-GR INF0J8L01131 NJ FLEXI CAP FUND - REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
3112 LCNJGP-GR INF397L01174 LIC NIFTY NEXT 50 INDEX FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
3113 LCNJDP-DP INF397L01166 LIC NIFTY NEXT 50 INDEX FUND - REGULAR PLAN - IDCW - PAYOUT 7.5 92.5 NORMAL No
3114 LCNJG1-GR INF397L01AW2 LIC NIFTY NEXT 50 INDEX FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
3115 LCIIMD-DP INF397L01257 LIC EQUITY SAVINGS FUND - REGULAR PLAN - MONTHLY IDCW - PAYOUT 7.5 92.5 NORMAL No
3116 LCIIGP-GR INF397L01315 LIC EQUITY SAVINGS FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
3117 LCIIQD-DP INF397L01281 LIC EQUITY SAVINGS FUND - REGULAR PLAN - QUARTERLY IDCW - PAYOUT 7.5 92.5 NORMAL No
3118 LCIGGP-GR INF397L01992 LIC GOLD ETF FUND OF FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
3119 LCIGG1-GR INF397L01BU4 LIC GOLD ETF FUND OF FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
3120 LCIMDP-DP INF397L01JL6 LIC MID CAP FUND - REGULAR PLAN - IDCW - PAYOUT 7.5 92.5 NORMAL No
3121 LCIMGP-GR INF397L01JO0 LIC MID CAP FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
3122 LCIMG1-GR INF397L01JK8 LIC MID CAP FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
3123 LCSCGP-GR INF397L01JW3 LIC SMALL CAP FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
3124 LCSCG1-GR INF397L01JS1 LIC SMALL CAP FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
3125 LCSCD1-DP INF397L01JP7 LIC SMALL CAP FUND - DIRECT PLAN - IDCW - PAYOUT 7.5 92.5 DIRECT No
3126 LCSCDP-DP INF397L01JT9 LIC SMALL CAP FUND - REGULAR PLAN - IDCW - PAYOUT 7.5 92.5 NORMAL No
3127 LCFEDP-DP INF397L01KB5 LIC FOCUSED 30 EQUITY FUND - REGULAR PLAN - IDCW - PAYOUT 7.5 92.5 NORMAL No
3128 LCFEGP-GR INF397L01KE9 LIC FOCUSED 30 EQUITY FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
3129 LCFEG1-GR INF397L01KA7 LIC FOCUSED 30 EQUITY FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
3130 LCLVGP-GR INF397L01KQ3 LIC LONG TERM VALUE FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
3131 LCLVDP-DP INF397L01KN0 LIC LONG TERM VALUE FUND - REGULAR PLAN - IDCW - PAYOUT 7.5 92.5 NORMAL No
3132 LCLVG1-GR INF397L01KU5 LIC LONG TERM VALUE FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
3133 LCDYGP-GR INF397L01KY7 LIC DIVIDEND YIELD FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
3134 LCDYDP-DP INF397L01KV3 LIC DIVIDEND YIELD FUND - REGULAR PLAN - IDCW - PAYOUT 7.5 92.5 NORMAL No
3135 LCDYG1-GR INF397L01LC1 LIC DIVIDEND YIELD FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
3136 LCHCG1-GR INF397L01LK4 LIC HEALTHCARE FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
3137 LCHCGP-GR INF397L01LG2 LIC HEALTHCARE FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
3138 HSHCORG-GR INF336L01RC6 HSBC CONSUMPTION FUND - REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
3139 HSHCORP-DP INF336L01RD4 HSBC CONSUMPTION FUND - REGULAR PLAN IDCW PAYOUT 7.5 92.5 NORMAL No
3140 HSHCODG-GR INF336L01QZ9 HSBC CONSUMPTION FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
3141 RLITAD-DP INF204KC1BP0 NIPPON INDIA INNOVATION FUND DIRECT PLAN IDCW PAYOUT 7.5 92.5 DIRECT No
3142 RLITDP-DP INF204KC1BM7 NIPPON INDIA INNOVATION FUND REGULAR PLAN IDCW PAYOUT 7.5 92.5 NORMAL No
3143 RLITAG-GR INF204KC1BO3 NIPPON INDIA INNOVATION FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
3144 RLITGP-GR INF204KC1BL9 NIPPON INDIA INNOVATION FUND REGULAR PLAN GROWTH 7.5 92.5 NORMAL Yes
3145 KO1195-GR INF174KA1OU1 KOTAK S&P BSE HOUSING INDEX FUND -REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
3146 KO1195D-GR INF174KA1OX5 KOTAK S&P BSE HOUSING INDEX FUND -DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
3147 IDD383-GR INF194KB1GK3 BANDHAN NIFTY IT INDEX FUND DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
3148 ID383-GR INF194KB1GH9 BANDHAN NIFTY IT INDEX FUND REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
3149 MHBCFRP-DP INF174V01BO9 MAHINDRA MANULIFE BUSINESS CYCLE FUND - REGULAR PLAN IDCW PAYOUT 7.5 92.5 NORMAL No
3150 MHBCFDG-GR INF174V01BQ4 MAHINDRA MANULIFE BUSINESS CYCLE FUND - DIRECT GROWTH 7.5 92.5 DIRECT No
3151 MHBCFRG-GR INF174V01BN1 MAHINDRA MANULIFE BUSINESS CYCLE FUND - REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
3152 SH109D-GR INF680P01406 SHRIRAM MULTI ASSET ALLOCATION FUND DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
3153 SH109-GR INF680P01414 SHRIRAM MULTI ASSET ALLOCATION FUND REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
3154 DS645-GR INF740KA1TB5 DSP MULTI ASSET ALLOCATION FUND - REGULAR - GROWTH 7.5 92.5 NORMAL No
3155 DS646-DP INF740KA1TC3 DSP MULTI ASSET ALLOCATION FUND - REGULAR - IDCW PAYOUT 7.5 92.5 NORMAL No
3156 DS896-GR INF740KA1TE9 DSP MULTI ASSET ALLOCATION FUND - DIRECT - GROWTH 7.5 92.5 DIRECT No
3157 KO119D8-DP INF174KA1PE2 KOTAK MULTI ASSET ALLOCATION FUND -DIRECT PLAN-IDCW PAYOUT 7.5 92.5 DIRECT No
3158 KO1197D-GR INF174KA1PD4 KOTAK MULTI ASSET ALLOCATION FUND -DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
3159 KO1197-GR INF174KA1PA0 KOTAK MULTI ASSET ALLOCATION FUND -REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
3160 KO119P8-DP INF174KA1PB8 KOTAK MULTI ASSET ALLOCATION FUND -REGULAR PLAN-IDCW PAYOUT 7.5 92.5 NORMAL No
3161 YED106G-GR INF03VN01803 WOC MULTI CAP FUND - DIRECT GROWTH 7.5 92.5 DIRECT No
3162 YE106G-GR INF03VN01795 WOC MULTI CAP FUND - REGULAR GROWTH 7.5 92.5 NORMAL No
3163 IIIBHRG-GR INF579M01AV5 360 ONE BALANCED HYBRID FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
3164 IIIBHDG-GR INF579M01AY9 360 ONE BALANCED HYBRID FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
3165 BJAFDG-GR INF0QA701524 BAJAJ FINSERV ARBITRAGE FUND DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
3166 BJAFRG-GR INF0QA701490 BAJAJ FINSERV ARBITRAGE FUND REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
3167 HDHPDDP-DP INF179KC1HP8 HDFC PHARMA AND HEALTHCARE FUND DIRECT?PLAN IDCW PAYOUT 7.5 92.5 DIRECT No
3168 HDHPDGR-GR INF179KC1HO1 HDFC PHARMA AND HEALTHCARE FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
3169 HDHPRDP-DP INF179KC1HM5 HDFC PHARMA AND HEALTHCARE FUND REGULAR PLAN IDCW PAYOUT 7.5 92.5 NORMAL No
3170 HDHPRGR-GR INF179KC1HL7 HDFC PHARMA AND HEALTHCARE FUND REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
3171 UTFIGPG-GR INF789F1AYY7 UTI INNOVATION FUND - REGULAR PLAN - GROWTH OPTION 7.5 92.5 NORMAL No
3172 UTFIG1G-GR INF789F1AZA4 UTI INNOVATION FUND - DIRECT PLAN - GROWTH OPTION 7.5 92.5 DIRECT No
3173 UTFIDPD-DP INF789F1AYZ4 UTI INNOVATION FUND - REGULAR PLAN - PAYOUT OF IDCW OPTION 7.5 92.5 NORMAL No
3174 MODMGD-GR INF247L01BT3 MOTILAL OSWAL DEVELOPED MARKET EX US ETFS FUND OF FUNDS - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
3175 INNIG1-GR INF666M01HM4 GROWW NIFTY TOTAL MARKET INDEX FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
3176 INNIGP-GR INF666M01HJ0 GROWW NIFTY TOTAL MARKET INDEX FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
3177 EDMUD1-GR INF754K01SD8 EDELWEISS MULTI CAP FUND - DIRECT PLAN- GROWTH 7.5 92.5 DIRECT No
3178 EDMURG-GR INF754K01RW0 EDELWEISS MULTI CAP FUND - REGULAR PLAN- GROWTH 7.5 92.5 NORMAL No
3179 EDMUDP-DP INF754K01RX8 EDELWEISS MULTI CAP FUND - REGULAR PLAN IDCW - PAYOUT 7.5 92.5 NORMAL No
3180 QTSCGP-GR INF082J01432 QUANTUM SMALL CAP FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
3181 QTSCRG-GR INF082J01440 QUANTUM SMALL CAP FUND- REGULAR PLAN GROWTH 7.5 92.5 NORMAL No
3182 PPAFDG-GR INF879O01225 PARAG PARIKH ARBITRAGE FUND-DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
3183 PPAFRG-GR INF879O01217 PARAG PARIKH ARBITRAGE FUND-REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
3184 BPSCDG-GR INF251K01SR5 BARODA BNP PARIBAS SMALL CAP FUND - DIRECT PLAN - GROWTH OPTION 7.5 92.5 DIRECT No
3185 BPSCRG-GR INF251K01SO2 BARODA BNP PARIBAS SMALL CAP FUND - REGULAR PLAN - GROWTH OPTION 7.5 92.5 NORMAL No
Approved Securities List for the Month of April 2024
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
3186 BPSCRD-DP INF251K01SP9 BARODA BNP PARIBAS SMALL CAP FUND - REGULAR PLAN - IDCW PAYOUTcollateral margin of Rs. 7.5 92.5 NORMAL No
3187 YED107G-GR INF03VN01829 WOC BALANCED HYBRID FUND - DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
3188 YE107G-GR INF03VN01811 WOC BALANCED HYBRID FUND - REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
3189 HOHFCDG-GR INF0R8701046 HELIOS FLEXI CAP FUND-DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
3190 HOHFCRG-GR INF0R8701012 HELIOS FLEXI CAP FUND-REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
3191 BS123Y-GR INF209KB16W7 ADITYA BIRLA SUN LIFE US TREASURY 1-3 YEAR BOND ETFS FUND OF FUNDS-DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
3192 BS123B-GR INF209KB13W4 ADITYA BIRLA SUN LIFE US TREASURY 1-3 YEAR BOND ETFS FUND OF FUNDS-REGULAR PLAN-GROWTH7.5 92.5 NORMAL No
3193 BS124X-DP INF209KB13X2 ADITYA BIRLA SUN LIFE US TREASURY 3-10 YEAR BOND ETFS FUND OF FUNDS-DIRECT PLAN-IDCW PAYOUT
7.5 92.5 DIRECT No
3194 BS124B-GR INF209KB19W1 ADITYA BIRLA SUN LIFE US TREASURY 3-10 YEAR BOND ETFS FUND OF FUNDS-REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
3195 BS124Y-GR INF209KB12X4 ADITYA BIRLA SUN LIFE US TREASURY 3-10 YEAR BOND ETFS FUND OF FUNDS-DIRECT PLAN-GROWTH7.5 92.5 DIRECT No
3196 ZEZN250-GR INF0R8F01018 ZERODHA NIFTY LARGEMIDCAP 250 INDEX FUND DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
3197 BS125A-DP INF209KB18X1 ADITYA BIRLA SUN LIFE TRANSPORTATION AND LOGISTICS FUND-REGULAR PLAN-IDCW PAYOUT 7.5 92.5 NORMAL No
3198 BS125B-GR INF209KB17X3 ADITYA BIRLA SUN LIFE TRANSPORTATION AND LOGISTICS FUND-REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
3199 BJBPRG-GR INF0QA701557 BAJAJ FINSERV BANKING AND PSU FUND REGULAR PLAN - GROWTH 7.5 92.5 NORMAL No
3200 BJBPDG-GR INF0QA701607 BAJAJ FINSERV BANKING AND PSU FUND DIRECT PLAN - GROWTH 7.5 92.5 DIRECT No
3201 KO1201D-GR INF174KA1PP8 KOTAK CONSUMPTION FUND -DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
3202 KO1201-GR INF174KA1PM5 KOTAK CONSUMPTION FUND -REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
3203 IDD387-GR INF194KB1HA2 BANDHAN NIFTY ALPHA 50 INDEX FUND DIRECT PLAN-GROWTH 7.5 92.5 DIRECT No
3204 ID387-GR INF194KB1GX6 BANDHAN NIFTY ALPHA 50 INDEX FUND REGULAR PLAN-GROWTH 7.5 92.5 NORMAL No
3205 QUMODG-GR INF966L01CZ3 QUANT MOMENTUM FUND - DIRECT PLAN GROWTH - GROWTH 7.5 92.5 DIRECT No
3206 QUMOGP-GR INF966L01CW0 QUANT MOMENTUM FUND - REGULAR PLAN GROWTH - GROWTH 7.5 92.5 NORMAL No
3207 B201D-DR INF209K01CE5 ADITYA BIRLA SUN LIFE EQUITY ADVANTAGE FUND - REGULAR PLAN IDCW REINVESTMENT 7.5 92.5 NORMAL No
3208 BS201RZ-DR INF209K01VI6 ADITYA BIRLA SUN LIFE EQUITY ADVANTAGE FUND - IDCW REINVESTMENT-DIRECT PLAN 7.5 92.5 DIRECT No
3209 B301QD-DR INF209K01CY3 ADITYA BIRLA SUN LIFE INCOME FUND - QUARTERLY IDCW REINVESTMENT-REGULAR PLAN 7.5 92.5 NORMAL No
3210 B221D-DR INF209K01CL0 ADITYA BIRLA SUN LIFE MNC FUND-IDCW REINVESTMENT 7.5 92.5 NORMAL No
3211 BS221RZ-DR INF209K01VU1 ADITYA BIRLA SUN LIFE MNC FUND - IDCW REINVESTMENT-DIRECT PLAN 7.5 92.5 DIRECT No
3212 DSP388-DR INF740K01995 DSP BOND FUND - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3213 DSP378-DR INF740K01029 DSP FLEXI CAP FUND - REGULAR PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3214 DS769-DR INF740K01PK8 DSP FLEXI CAP FUND - DIRECT PLAN - IDCW REINVESTMENT 7.5 92.5 DIRECT No
3215 DS729-DR INF740K01OA2 DSP EQUITY AND BOND FUND - DIRECT PLAN - IDCW REINVESTMENT 7.5 92.5 DIRECT No
3216 DSP377-DR INF740K01334 DSP EQUITY AND BOND FUND - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3217 DSP398-DR INF740K01086 DSP EQUITY OPPORTUNITIES FUND - REGULAR PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3218 DS772-DR INF740K01PN2 DSP EQUITY OPPORTUNITIES FUND - DIRECT PLAN - IDCW REINVESTMENT 7.5 92.5 DIRECT No
3219 HDFCGFDD-DR INF179K01822 HDFC BALANCED ADVANTAGE FUND - REGULAR PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3220 GFDRT-DR INF179K01VZ5 HDFC BALANCED ADVANTAGE FUND - DIRECT PLAN - IDCW REINVESTMENT OPTION 7.5 92.5 DIRECT No
3221 HDFCIFDR-DR INF179K01954 HDFC INCOME FUND - REGULAR PLAN - QUARTERLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3222 IFDRT-DR INF179K01WK5 HDFC INCOME FUND - DIRECT PLAN - QUARTERLY IDCW REINVESTMENT 7.5 92.5 DIRECT No
3223 QUIBDP-DR INF966L01044 QUANT SMALL CAP FUND REGULAR PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3224 QUIBD1-DR INF966L01671 QUANT SMALL CAP FUND DIRECT PLAN - IDCW REINVESTMENT 7.5 92.5 DIRECT No
3225 JMEFDP-DR INF192K01593 JM LARGE CAP FUND - IDCW REINVESTMENT OPTION 7.5 92.5 NORMAL No
3226 JMEFAD-DR INF192K01JT6 JM LARGE CAP FUND ANNUAL IDCW REINVESTMENT OPTION 7.5 92.5 NORMAL No
3227 JMBFDP-DR INF192K01536 JM AGGRESSIVE HYBRID FUND - IDCW REINVESTMENT OPTION 7.5 92.5 NORMAL No
3228 JMIFRD-DR INF192K01AA5 JM MEDIUM TO LONG DURATION FUND - QUARTERLY IDCW REINVESTMENT OPTION 7.5 92.5 NORMAL No
3229 JMBADP-DR INF137A01029 JM VALUE FUND - IDCW REINVESTMENT OPTION 7.5 92.5 NORMAL No
3230 K04MABU99-DR INF174K01443 KOTAK EQUITY HYBRID FUND - REGULAR PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3231 KO04D-DP INF174K01LM5 KOTAK EQUITY HYBRID FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
3232 K17-DR INF174K01EP3 KOTAK BOND FUND - REGULAR PLAN - STANDARD - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3233 LCEFDP-DR INF767K01055 LIC MF FLEXI CAP FUND-REGULAR PLAN-IDCW REINVESTMENT 7.5 92.5 NORMAL No
3234 LCEFD1-DDR INF767K01EH1 LIC MF FLEXI CAP FUND-DIRECT PLAN-IDCW REINVESTMENT 7.5 92.5 DIRECT No
3235 LCBFDP-DR INF767K01915 LIC MF BOND FUND-DIVIDEND-IDCW REINVESTMENT 7.5 92.5 NORMAL No
3236 LCBLDP-DR INF767K01014 LIC AGGRESSIVE HYBRID FUND - REGULAR PLAN - IDCW - REINVESTMENT 7.5 92.5 NORMAL No
3237 LCBLD1-DR INF767K01EE8 LIC AGGRESSIVE HYBRID FUND - DIRECT PLAN - IDCW - REINVESTMENT 7.5 92.5 DIRECT No
3238 LCGFDP-DR INF767K01089 LIC MF LARGE CAP FUND-REGULAR PLAN-IDCW REINVESTMENT 7.5 92.5 NORMAL No
3239 LCGFD1-DDR INF767K01EK5 LIC MF LARGE CAP FUND-DIRECT PLAN-IDCW REINVESTMENT 7.5 92.5 DIRECT No
3240 IC12-DP INF109K01449 ICICI PRUDENTIAL LARGE AND MID CAP FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
3241 8003-DP INF109K010O7 ICICI PRUDENTIAL LARGE AND MID CAP FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
3242 ICFMCG-DP INF109K01423 ICICI PRUDENTIAL FMCG FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
3243 8012-DP INF109K01Z06 ICICI PRUDENTIAL FMCG FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
3244 ICICI62-DP INF109K01498 ICICI PRUDENTIAL EQUITY AND DEBT FUND - MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
3245 8018-DP INF109K01X99 ICICI PRUDENTIAL EQUITY AND DEBT FUND - DIRECT PLAN - MONTHLY IDCW PAYOUT 7.5 92.5 DIRECT No
3246 IC2759-DP INF109KB1QJ8 ICICI PRUDENTIAL EQUITY AND DEBT FUND - REGULAR PLAN - ANNUAL IDCW PAYOUT 7.5 92.5 NORMAL No
3247 IC8961-DP INF109KB1QL4 ICICI PRUDENTIAL EQUITY AND DEBT FUND - DIRECT PLAN - ANNUAL IDCW PAYOUT 7.5 92.5 DIRECT No
3248 TECH-DP INF109K01514 ICICI PRUDENTIAL TECHNOLOGY FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
3249 8020-DP INF109K01Z30 ICICI PRUDENTIAL TECHNOLOGY FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
3250 ICICI21Q-DP-Q INF109K01399 ICICI PRUDENTIAL LONG TERM BOND FUND - QUARTERLY IDCW PAYOUT 7.5 92.5 NORMAL No
3251 GFDP-DR INF204K01307 NIPPON INDIA GROWTH FUND DIVIDEND PLAN - IDCW REINVESTMENT OPT 7.5 92.5 NORMAL No
3252 GFAD-DR INF204K01E47 NIPPON INDIA GROWTH FUND DIRECT PLAN DIVIDEND PLAN IDCW REINVESTMENT 7.5 92.5 DIRECT No
3253 GSDP-DR INF204K01380 NIPPON INDIA VISION FUND - DIVIDEND PLAN IDCW REINVESTMENT OPT 7.5 92.5 NORMAL No
3254 GSAD-DR INF204K01F12 NIPPON INDIA VISION FUND DIRECT PLAN DIVIDEND PLAN IDCW REINVESTMENT 7.5 92.5 DIRECT No
3255 RELINF-DR-M INF204K01CO5 NIPPON INDIA INCOME FUND -DIVIDEND PLAN- MONTHLY IDCW REINVESTMENT OPTION 7.5 92.5 NORMAL No
3256 RELINF-DR-Q INF204K01CQ0 NIPPON INDIA INCOME FUND -DIVIDEND PLAN- QUARTERLY IDCW REINVESTMENT OPTION 7.5 92.5 NORMAL No
3257 RELINF-DR-A INF204K01CU2 NIPPON INDIA INCOME FUND -DIVIDEND PLAN- ANNUAL IDCW REINVESTMENT OPTION 7.5 92.5 NORMAL No
3258 TMFSSDP-DR INF044D01963 TAURUS FLEXI CAP FUND - REGULAR PLAN IDCW REINVESTMENT 7.5 92.5 NORMAL No
3259 TMFDSDP-DR INF044D01799 TAURUS DISCOVERY (MIDCAP) FUND - REGULAR PLAN IDCW REINVESTMENT 7.5 92.5 NORMAL No
3260 F151-DP INF090I01882 FRANKLIN INDIA NSE NIFTY 50 INDEX FUND-IDCW PAYOUT 7.5 92.5 NORMAL No
3261 440-DP INF090I01GR6 FRANKLIN INDIA NSE NIFTY 50 INDEX FUND - DIRECT IDCW PAYOUT 7.5 92.5 DIRECT No
3262 FTIGF-DP INF090I01288 TEMPLETON INDIA VALUE FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
3263 442-DP INF090I01GX4 TEMPLETON INDIA VALUE FUND - DIRECT IDCW PAYOUT 7.5 92.5 DIRECT No
3264 FTIFIBCF-DP INF090I01163 FRANKLIN INDIA BLUECHIP FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
3265 606-DP INF090I01FP2 FRANKLIN INDIA BLUECHIP FUND - DIRECT IDCW PAYOUT 7.5 92.5 DIRECT No
3266 F001-DP INF090I01734 FRANKLIN INDIA PRIMA FUND-IDCW PAYOUT 7.5 92.5 NORMAL No
3267 601-DP INF090I01FJ5 FRANKLIN INDIA PRIMA FUND - DIRECT IDCW PAYOUT 7.5 92.5 DIRECT No
3268 FTIFIPP-DP INF090I01221 FRANKLIN INDIA FLEXI CAP FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
3269 602-DP INF090I01FM9 FRANKLIN INDIA FLEXI CAP FUND - DIRECT IDCW PAYOUT 7.5 92.5 DIRECT No
3270 F026-DP INF090I01767 FRANKLIN INDIA TECHNOLOGY FUND - IDCW PAYOUT 7.5 92.5 NORMAL Yes
3271 414-DP INF090I01FG1 FRANKLIN INDIA TECHNOLOGY FUND - DIRECT IDCW PAYOUT 7.5 92.5 DIRECT No
3272 F048-DP INF090I01866 FRANKLIN INDIA OPPORTUNITIES FUND-IDCW PAYOUT 7.5 92.5 NORMAL No
3273 426-DP INF090I01GE4 FRANKLIN INDIA OPPORTUNITIES FUND - DIRECT IDCW PAYOUT 7.5 92.5 DIRECT No
3274 F013-DP-A INF090I01DI2 FRANKLIN INDIA CORPORATE DEBT FUND- PLAN A - ANNUAL IDCW PAYOUT 7.5 92.5 NORMAL No
3275 F039-DP-M INF090I01DK8 FRANKLIN INDIA CORPORATE DEBT FUND- PLAN A - MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
3276 F040-DP-Q INF090I01DM4 FRANKLIN INDIA CORPORATE DEBT FUND- PLAN A - QUARTERLY IDCW PAYOUT 7.5 92.5 NORMAL No
3277 F046-DP INF090I01833 FRANKLIN INDIA EQUITY HYBRID FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
3278 424-DP INF090I01GB0 FRANKLIN INDIA EQUITY HYBRID FUND - DIRECT IDCW PAYOUT 7.5 92.5 DIRECT No
3279 CRMIDP-DR INF760K01316 CANARA ROBECO CONSERVATIVE HYBRID FUND REGULAR MONTHLY - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3280 CRMIQP-DR INF760K01AQ5 CANARA ROBECO CONSERVATIVE HYBRID FUND REGULAR QUARTERLY - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3281 CAMIDM-DR INF760K01GA6 CANARA ROBECO CONSERVATIVE HYBRID FUND DIRECT MONTHLY - IDCW REINVESTMENT 7.5 92.5 DIRECT No
3282 SUN21-DR INF903J01FU4 SUNDARAM MEDIUM TERM BOND FUND REGULAR QUARTERLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3283 028D-DR INF200K01628 SBI MAGNUM INCOME FUND - 1998 - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3284 034-DR INF200K01438 SBI TECHNOLOGY OPPORTUNITIES FUND REGULAR IDCW REINVESTMENT 7.5 92.5 NORMAL No
3285 033-DR INF200K01412 SBI CONSUMPTION OPPORTUNITIES FUND REGULAR IDCW REINVESTMENT 7.5 92.5 NORMAL No
3286 UTIMSHARE-DR INF789F01950 UTI LARGE CAP FUND-REGULAR PLAN-IDCW REINVESTMENT 7.5 92.5 NORMAL No
3287 UTIEQUITY-DR INF789F01505 UTI FLEXI CAP FUND-REGULAR PLAN-IDCW REINVESTMENT 7.5 92.5 NORMAL No
3288 UTITOP100-DR INF789F01851 UTI LARGE & MID CAP FUND - REGULAR PLAN-IDCW REINVESTMENT 7.5 92.5 NORMAL No
3289 UTIBALANCE-DR INF789F01315 UTI AGGRESSIVE HYBRID FUND - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3290 UTIMNC-DR INF789F01836 UTI MNC FUND - IDCW REINVESTMENT PLAN 7.5 92.5 NORMAL No
3291 UTIBOND-DR INF789F01398 UTI MEDIUM TO LONG DURATION FUND-REGULAR PLAN QUARTERLY -IDCW REINVESTMENT 7.5 92.5 NORMAL No
3292 UTIPHARMA-DR INF789F01687 UTI HEALTHCARE FUND - IDCW REINVESTMENT PLAN 7.5 92.5 NORMAL No
3293 UTNIDP-DR INF789F01JM4 UTI NIFTY 50 INDEX FUND - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3294 RELMTF-DR-M INF204K01EK9 NIPPON INDIA CORPORATE BOND FUND - MONTHLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3295 IDPQ-DR INF204K01C80 NIPPON INDIA CORPORATE BOND FUND - DIRECT QUARTERLY IDCW REINVESTMENT 7.5 92.5 DIRECT No
3296 F064-DP-M INF090I01EC3 FRANKLIN INDIA DEBT HYBRID FUND - PLAN A - MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
3297 F065-DP-Q INF090I01EE9 FRANKLIN INDIA DEBT HYBRID FUND - PLAN A - QUARTERLY IDCW PAYOUT 7.5 92.5 NORMAL No
3298 QUOFDP-DR INF966L01168 QUANT MID CAP FUND REGULAR PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
Approved Securities List for the Month of April 2024
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
3299 QUOFD1-DR INF966L01879 QUANT MID CAP FUND DIRECT PLAN - IDCW REINVESTMENT collateral margin of Rs. 7.5 92.5 DIRECT No
3300 QUBFDP-DR INF966L01259 QUANT ABSOLUTE FUND REGULAR PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3301 QUBFD1-DR INF966L01549 QUANT ABSOLUTE FUND DIRECT PLAN - IDCW REINVESTMENT 7.5 92.5 DIRECT No
3302 QUGFDP-DR INF966L01226 QUANT ACTIVE FUND REGULAR PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3303 QUGFD1-DR INF966L01606 QUANT ACTIVE FUND DIRECT PLAN - IDCW REINVESTMENT 7.5 92.5 DIRECT No
3304 QUGLDP-DR INF966L01192 QUANT MULTI ASSET FUND REGULAR PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3305 QUGLD1-DR INF966L01572 QUANT MULTI ASSET FUND DIRECT PLAN - IDCW REINVESTMENT 7.5 92.5 DIRECT No
3306 BFD-TATA-DR INF277K01295 TATA HYBRID EQUITY FUND REGULAR PLAN - PERIODIC IDCW REINVESTMENT 7.5 92.5 NORMAL No
3307 BFMDR INF277K01CW4 TATA HYBRID EQUITY FUND REGULAR PLAN - MONTHLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3308 TABFMDZ-DP INF277K01MP7 TATA HYBRID EQUITY FUND DIRECT PLAN - MONTHLY IDCW PAYOUT 7.5 92.5 DIRECT No
3309 TABFDZ-DP INF277K01MM4 TATA HYBRID EQUITY FUND DIRECT PLAN - PERIODIC IDCW PAYOUT 7.5 92.5 DIRECT No
3310 ICICI122-DP INF109K01621 ICICI PRUDENTIAL MULTICAP FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
3311 8031-DP INF109K013O1 ICICI PRUDENTIAL MULTICAP FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
3312 ICICI23-DP-M INF109K01647 ICICI PRUDENTIAL SHORT TERM FUND - MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
3313 IC2718-DP INF109KB1NO5 ICICI PRUDENTIAL NIFTY 50 INDEX FUND - IDCW 7.5 92.5 NORMAL No
3314 IC8920-DP INF109KB1NM9 ICICI PRUDENTIAL NIFTY 50 INDEX FUND - DIRECT PLAN IDCW 7.5 92.5 DIRECT No
3315 TMFBEDP-DR INF044D01757 TAURUS LARGECAP EQUITY FUND - REGULAR PLAN IDCW REINVESTMENT 7.5 92.5 NORMAL No
3316 IC25-DP INF109K01704 ICICI PRUDENTIAL ALL SEASONS BOND FUND - WEEKLY IDCW PAYOUT 7.5 92.5 NORMAL No
3317 ICLNGTEM25PP-DP INF109K01GL3 ICICI PRUDENTIAL ALL SEASONS BOND FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
3318 ICLNGTEM25PPA-DP INF109K01GP4 ICICI PRUDENTIAL ALL SEASONS BOND FUND - ANNUAL IDCW PAYOUT 7.5 92.5 NORMAL No
3319 8010-DP INF109K010F5 ICICI PRUDENTIAL ALL SEASONS BOND FUND - DIRECT PLAN - WEEKLY IDCW PAYOUT 7.5 92.5 DIRECT No
3320 ICLNGTEM25PPQ-DP INF109K01GF5 ICICI PRUDENTIAL ALL SEASONS BOND FUND - QUARTERLY IDCW PAYOUT 7.5 92.5 NORMAL No
3321 8142-DP INF109K015E7 ICICI PRUDENTIAL ALL SEASONS BOND FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
3322 8143-DR INF109K013E2 ICICI PRUDENTIAL ALL SEASONS BOND FUND - DIRECT PLAN - ANNUAL IDCW REINVESTMENT 7.5 92.5 DIRECT No
3323 8144-DR INF109K018E1 ICICI PRUDENTIAL ALL SEASONS BOND FUND - DIRECT PLAN - QUARTERLY IDCW REINVESTMENT 7.5 92.5 DIRECT No
3324 KO20NDD-DR INF174K01Z22 KOTAK BOND SHORT TERM FUND - DIRECT PLAN - STANDARD - IDCW REINVESTMENT 7.5 92.5 DIRECT No
3325 KO20ND-DP INF174K01Z06 KOTAK BOND SHORT TERM FUND - REGULAR PLAN STANDARD - IDCW PAYOUT 7.5 92.5 NORMAL No
3326 SBNP05-DR INF903J01199 SUNDARAM MID CAP FUND REGULAR IDCW REINVESTMENT 7.5 92.5 NORMAL No
3327 SU05PD-DR INF903J01MI5 SUNDARAM MID CAP FUND DIRECT IDCW REINVESTMENT 7.5 92.5 DIRECT No
3328 DSP399-DR INF740K01AF0 DSP SHORT TERM FUND - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3329 DSP400-DR-M INF740K01AG8 DSP SHORT TERM FUND - MONTHLY - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3330 007-DR INF200K01206 SBI MAGNUM EQUITY ESG FUND REGULAR IDCW REINVESTMENT 7.5 92.5 NORMAL No
3331 CRIFDP-DR INF760K01357 CANARA ROBECO INCOME FUND REGULAR QUARTERLY - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3332 BS241RD-DR INF209K01LC0 ADITYA BIRLA SUN LIFE NIFTY 50 INDEX FUND - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3333 IC1526-DP INF109K01753 ICICI PRUDENTIAL SAVINGS FUND - WEEKLY IDCW PAYOUT 7.5 92.5 NORMAL No
3334 8271-DR INF109K017Y1 ICICI PRUDENTIAL SAVINGS FUND - DIRECT PLAN - MONTHLY IDCW REINVESTMENT 7.5 92.5 DIRECT No
3335 8270-DR INF109K015Y5 ICICI PRUDENTIAL SAVINGS FUND - DIRECT PLAN - FORTNIGHTLY IDCW REINVESTMENT 7.5 92.5 DIRECT No
3336 8272-DR INF109K019Y7 ICICI PRUDENTIAL SAVINGS FUND - DIRECT PLAN - QUARTERLY IDCW REINVESTMENT 7.5 92.5 DIRECT No
3337 IC2072-DP INF109K015Z2 ICICI PRUDENTIAL SAVINGS FUND - QUARTERLY IDCW PAYOUT 7.5 92.5 NORMAL No
3338 8087-DP INF109K01P16 ICICI PRUDENTIAL SAVINGS FUND - DIRECT PLAN - WEEKLY IDCW PAYOUT 7.5 92.5 DIRECT No
3339 8127-DR INF109K01O74 ICICI PRUDENTIAL SAVINGS FUND - DIRECT PLAN - IDCW REINVESTMENT 7.5 92.5 DIRECT No
3340 IC2071-DP INF109K013Z7 ICICI PRUDENTIAL SAVINGS FUND - MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
3341 BSL251RD-DR INF209K01CN6 ADITYA BIRLA SUN LIFE MIDCAP FUND - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3342 DYNMIC-DP INF109K01779 ICICI PRUDENTIAL MULTI-ASSET FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
3343 8005-DP INF109K014K7 ICICI PRUDENTIAL MULTI-ASSET FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
3344 HSBCEFD-DR INF336L01032 HSBC LARGE CAP FUND - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3345 HEFD-DP INF336L01CL9 HSBC LARGE CAP FUND - IDCW PAYOUT DIRECT PLAN 7.5 92.5 DIRECT No
3346 HSBCIID-DR INF336L01792 HSBC MEDIUM TO LONG DURATION FUND - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3347 IFM-DR INF277K01899 TATA EQUITY SAVINGS FUND REGULAR PLAN - MONTHLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3348 IFMQ-DR INF277K01915 TATA EQUITY SAVINGS FUND REGULAR PLAN - PERIODIC IDCW REINVESTMENT 7.5 92.5 NORMAL No
3349 RELSTF-DR-M INF204K01FN0 NIPPON INDIA SHORT TERM FUND-DIVIDEND PLAN - MONTHLY IDCW REINVESTMENT OPTION 7.5 92.5 NORMAL No
3350 RELSTDR-DR INF204KA1ER2 NIPPON INDIA SHORT TERM FUND DIVIDEND PLAN IDCW REINVESTMENT 7.5 92.5 NORMAL No
3351 RELSTF-DR-Q INF204K01FP5 NIPPON INDIA SHORT TERM FUND-DIVIDEND PLAN - QUARTERLY IDCW REINVESTMENT OPTION 7.5 92.5 NORMAL No
3352 B261D-DR INF209K01CP1 ADITYA BIRLA SUN LIFE DIVIDEND YIELD FUND - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3353 BS261RZ-DR INF209K01WB9 ADITYA BIRLA SUN LIFE DIVIDEND YIELD FUND - IDCW REINVESTMENT-DIRECT PLAN 7.5 92.5 DIRECT No
3354 DSP384-DR INF740K01235 DSP TOP 100 EQUITY FUND - REGULAR PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3355 DS778-DR INF740K01PT9 DSP TOP 100 EQUITY FUND - DIRECT PLAN - IDCW REINVESTMENT 7.5 92.5 DIRECT No
3356 8008-DP INF109K015N8 ICICI PRUDENTIAL SHORT TERM FUND - DIRECT PLAN - MONTHLY IDCW PAYOUT 7.5 92.5 DIRECT No
3357 8128-DR INF109K01P32 ICICI PRUDENTIAL FLOATING INTEREST FUND - DIRECT PLAN - OTHERS IDCW REINVESTMENT 7.5 92.5 DIRECT No
3358 8090-DP INF109K01P81 ICICI PRUDENTIAL FLOATING INTEREST FUND - DIRECT PLAN - WEEKLY IDCW PAYOUT 7.5 92.5 DIRECT No
3359 ICICI1544-DP-W INF109K01AY9 ICICI PRUDENTIAL FLOATING INTEREST FUND - WEEKLY IDCW PAYOUT 7.5 92.5 NORMAL No
3360 DSP403-DR INF740K01AB9 DSP CREDIT RISK FUND - REGULAR PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3361 DSP518-DR-M INF740K01JV8 DSP CREDIT RISK FUND - REGULAR PLAN - MONTHLY - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3362 B341QD-DR INF209K01DK0 ADITYA BIRLA SUN LIFE SHORT TERM FUND - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3363 BS341QZ-DR INF209K01XL6 ADITYA BIRLA SUN LIFE SHORT TERM FUND - IDCW REINVESTMENT - DIRECT PLAN 7.5 92.5 DIRECT No
3364 BFDP-DR INF204K01901 NIPPON INDIA BANKING AND FINANCIAL SERVICES FUND DIVIDEND PLAN IDCW REINVESTMENT OPT 7.5 92.5 NORMAL No
3365 BFAD-DR INF204K01XN3 NIPPON INDIA BANKING AND FINANCIAL SERVICES FUND DIRECT PLAN DIVIDEND PLAN IDCW REINVESTMENT
7.5 92.5 DIRECT No
3366 LCMIMD-DR INF767K01824 LIC MF CONSERVATIVE HYBRID FUND-REGULAR PLAN-MONTHLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3367 LCMIQD-DR INF767K01840 LIC MF CONSERVATIVE HYBRID FUND-REGULAR PLAN-QUARTERLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3368 LCMIYD-DR INF767K01865 LIC MF CONSERVATIVE HYBRID FUND-REGULAR PLAN-YEARLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3369 LCSTDD-DR INF767K01AL1 LIC MF LOW DURATION FUND-REGULAR PLAN-DAILY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3370 LCSTD1-DDR INF767K01FN6 LIC MF LOW DURATION FUND-DIRECT PLAN-DAILY IDCW REINVESTMENT 7.5 92.5 DIRECT No
3371 HDFC01D-DR INF179K01590 HDFC FLEXICAP FUND IDCW REINVESTMENT 7.5 92.5 NORMAL No
3372 01RT-DR INF179K01VM3 HDFC FLEXICAP FUND - DIRECT PLAN - IDCW REINVESTMENT OPTION 7.5 92.5 DIRECT No
3373 HDFC61D-DR INF179K01418 HDFC CAPITAL BUILDER VALUE FUND - REGULAR PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3374 61RT-DR INF179K01VB6 HDFC CAPITAL BUILDER VALUE FUND - DIRECT PLAN - IDCW REINVESTMENT 7.5 92.5 DIRECT No
3375 HDFC11D-DR-Q INF179K01889 HDFC DYNAMIC DEBT FUND - REGULAR - QUARTERLY IDCW REINVESTMENT REINVESTMENT 7.5 92.5 NORMAL No
3376 HDFC28D-DR-A INF179K01939 HDFC DYNAMIC DEBT FUND - REGULAR PLAN - YEARLY IDCW REINVESTMENT REINVESTMENT 7.5 92.5 NORMAL No
3377 HDFC29D-DR INF179K01905 HDFC MEDIUM TERM DEBT FUND - FORTNIGHTLY IDCW REINVESTMENT REINVESTMENT 7.5 92.5 NORMAL No
3378 HD29NRT-DR INF179KA1D82 HDFC MEDIUM TERM DEBT FUND - DIRECT PLAN NORMAL-IDCW REINVESTMENT 7.5 92.5 DIRECT No
3379 HDFC41D-DR INF179K01BD4 HDFC TOP 100 FUND - REGULAR PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3380 41RT-DR INF179K01YU0 HDFC TOP 100 FUND - DIRECT PLAN - IDCW REINVESTMENT 7.5 92.5 DIRECT No
3381 BPGRDP-DR INF955L01666 BARODA BNP PARIBAS MULTI CAP FUND REGULAR IDCW REINVESTMENT 7.5 92.5 NORMAL No
3382 CRDVDP-DR INF760K01035 CANARA ROBECO FLEXI CAP FUND REGULAR - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3383 CADVDD-DR INF760K01EE3 CANARA ROBECO FLEXI CAP FUND DIRECT - IDCW REINVESTMENT 7.5 92.5 DIRECT No
3384 FTIFTDPEF-DP INF090I01254 FRANKLIN INDIA DYNAMIC ASSET ALLOCATION FUND OF FUNDS - IDCW PAYOUT 7.5 92.5 NORMAL No
3385 453-DP INF090I01HU8 FRANKLIN INDIA DYNAMIC ASSET ALLOCATION FUND OF FUNDS - DIRECT IDCW PAYOUT 7.5 92.5 DIRECT No
3386 ICICIAAPD-DP INF109K01803 ICICI PRUDENTIAL PASSIVE STRATEGY FUND (FOF) - IDCW PAYOUT 7.5 92.5 NORMAL No
3387 ICICIAVAPD-DP INF109K01860 ICICI PRUDENTIAL THEMATIC ADVANTAGE FUND (FOF) - IDCW PAYOUT 7.5 92.5 NORMAL No
3388 ICICIAMPD-DP INF109K01845 ICICI PRUDENTIAL ASSET ALLOCATOR FUND (FOF) - IDCW PAYOUT 7.5 92.5 NORMAL No
3389 ICICIACPD-DP INF109K01829 ICICI PRUDENTIAL INCOME OPTIMIZER FUND (FOF) - IDCW PAYOUT 7.5 92.5 NORMAL No
3390 ICICIAVCPD-DP INF109K01886 ICICI PRUDENTIAL DEBT MANAGEMENT FUND (FOF) - IDCW PAYOUT 7.5 92.5 NORMAL No
3391 HDFCMILMD-DR-M INF179K01AB0 HDFC HYBRID DEBT FUND- MONTHLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3392 HDFCMILQD-DR-Q INF179K01AD6 HDFC HYBRID DEBT FUND - QUARTERLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3393 MLMRT-DR INF179K01XG1 HDFC HYBRID DEBT FUND - DIRECT PLAN - IDCW REINVESTMENT OPTION 7.5 92.5 DIRECT No
3394 MLQRT-DR INF179K01XI7 HDFC HYBRID DEBT FUND - DIRECT PLAN - QUARTERLY IDCW REINVESTMENT OPTION 7.5 92.5 DIRECT No
3395 RELMIP-DR-M INF204K01FF6 NIPPON INDIA HYBRID BOND FUND - MONTHLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3396 RELMIP-DR-Q INF204K01FH2 NIPPON INDIA HYBRID BOND FUND - QUARTERLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3397 MIAM-DR INF204K01YX0 NIPPON INDIA HYBRID BOND FUND - DIRECT MONTHLY IDCW REINVESTMENT 7.5 92.5 DIRECT No
3398 HSBCEOID-DR INF336L01AD0 HSBC FLEXI CAP FUND - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3399 HEOID-DP INF336L01DG7 HSBC FLEXI CAP FUND - IDCW PAYOUT DIRECT PLAN 7.5 92.5 DIRECT No
3400 HSBCMIPSM-DR-M INF336L01115 HSBC CONSERVATIVE HYBRID FUND -MONTHLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3401 HSBCMIPSQ-DR-Q INF336L01131 HSBC CONSERVATIVE HYBRID FUND -QUARTERLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3402 ICICIIMPD-DP-M INF109K01894 ICICI PRUDENTIAL REGULAR SAVINGS FUND - MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
3403 ICICIIMPDQ-DP INF109K01WY3 ICICI PRUDENTIAL REGULAR SAVINGS FUND - QUARTERLY IDCW PAYOUT 7.5 92.5 NORMAL No
3404 ICIMPDH-DP INF109K01WX5 ICICI PRUDENTIAL REGULAR SAVINGS FUND - HALF YEARLY IDCW PAYOUT 7.5 92.5 NORMAL No
3405 8186-DP INF109K01S54 ICICI PRUDENTIAL REGULAR SAVINGS FUND - DIRECT PLAN - HALF YEARLY IDCW PAYOUT 7.5 92.5 DIRECT No
3406 8187-DP INF109K01S96 ICICI PRUDENTIAL REGULAR SAVINGS FUND - DIRECT PLAN - QUARTERLY IDCW PAYOUT 7.5 92.5 DIRECT No
3407 8185-DP INF109K01S70 ICICI PRUDENTIAL REGULAR SAVINGS FUND - DIRECT PLAN - MONTHLY IDCW PAYOUT 7.5 92.5 DIRECT No
3408 UTIMIDCAP-DR INF789F01802 UTI MID CAP FUND - IDCW REINVESTMENT PLAN 7.5 92.5 NORMAL No
3409 UTIINFRA-DR INF789F01745 UTI INFRASTRUCTURE FUND - IDCW REINVESTMENT PLAN 7.5 92.5 NORMAL No
3410 UTITRNSPRT-DR INF789F01281 UTI TRANSPORTATION AND LOGISTIC SECTOR - IDCW REINVESTMENT PLAN 7.5 92.5 NORMAL No
3411 UTIBANKING-DR INF789F01364 UTI BANKING AND FINANCIAL SERVICES FUND - IDCW REINVESTMENT PLAN 7.5 92.5 NORMAL No
Approved Securities List for the Month of April 2024
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
3412 PSDP-DR INF204K01AC4 NIPPON INDIA POWER AND INFRA FUND IDCW REINVESTMENT OPT collateral margin of Rs. 7.5 92.5 NORMAL No
3413 PSAD-DR INF204K01I84 NIPPON INDIA POWER AND INFRA FUND DIRECT PLAN DIVIDEND PLAN IDCW REINVESTMENT 7.5 92.5 DIRECT No
3414 B313MD-DR INF209K01DF0 ADITYA BIRLA SUN LIFE REGULAR SAVINGS FUND-MONTHLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3415 B313MP INF209K01777 ADITYA BIRLA SUN LIFE REGULAR SAVINGS FUND-MONTHLY PAYMENT 7.5 92.5 NORMAL No
3416 BS313PZ-GR INF209K01XJ0 ADITYA BIRLA SUN LIFE REGULAR SAVINGS FUND- MONTHLY PAYMENT-DIRECT PLAN 7.5 92.5 DIRECT No
3417 PHDP-DR INF204K01943 NIPPON INDIA PHARMA FUND - IDCW REINVESTMENT OPTION 7.5 92.5 NORMAL No
3418 PHAD-DR INF204K01I43 NIPPON INDIA PHARMA FUND DIRECT PLAN DIVIDEND PLAN IDCW REINVESTMENT 7.5 92.5 DIRECT No
3419 DSP381-DR INF740K01144 DSP INDIA T.I.G.E.R. FUND - REGULAR PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3420 DS781-DR INF740K01PW3 DSP INDIA T.I.G.E.R. FUND - DIRECT PLAN - IDCW REINVESTMENT 7.5 92.5 DIRECT No
3421 DSP406-DR-M INF740K01466 DSP REGULAR SAVINGS FUND - MONTHLY - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3422 DSP407-DR-Q INF740K01482 DSP REGULAR SAVINGS FUND - IDCW - QUARTERLY REINVESTMENT 7.5 92.5 NORMAL No
3423 HD58-DR INF179K01483 HDFC LOW DURATION FUND - RETAIL OPTION - REGULAR PLAN - WEEKLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3424 HDFC60D-DR-M INF179K01467 HDFC LOW DURATION FUND - RETAIL - REGULAR PLAN - MONTHLY IDCW REINVESTMENT REINVESTMENT 7.5 92.5 NORMAL No
3425 60RT-DR INF179K01VH3 HDFC LOW DURATION FUND - DIRECT PLAN - RETAIL PLAN - MONTHLY IDCW REINVESTMENT 7.5 92.5 DIRECT No
3426 UTFSADR-DR INF789FA1P50 UTI ULTRA SHORT DURATION FUND -REGULAR PLAN ANNUAL-IDCW REINVESTMENT 7.5 92.5 NORMAL No
3427 UTIMISADV-DR INF789F01885 UTI CONSERVATIVE HYBRID FUND-REGULAR PLAN - FLEXI IDCW- REINVESTMENT 7.5 92.5 NORMAL No
3428 UTIMISADVM-DR-M INF789F01919 UTI CONSERVATIVE HYBRID FUND-REGULAR PLAN - MONTHLY IDCW- REINVESTMENT 7.5 92.5 NORMAL No
3429 UTIBFWIR-DR INF789F01PC2 UTI LOW DURATION FUND WEEKLY-REGULAR PLAN-IDCW REINVESTMENT 7.5 92.5 NORMAL No
3430 K117EFOF-DR INF174K01476 KOTAK MULTI ASSET ALLOCATOR FUND OF FUND - DYNAMIC - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3431 ICDFD-DP INF109K01AD3 ICICI PRUDENTIAL VALUE DISCOVERY FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
3432 8175-DP INF109K010K5 ICICI PRUDENTIAL VALUE DISCOVERY FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
3433 RELFRF-DR-M INF204K01CK3 NIPPON INDIA FLOATING RATE FUND - MONTHLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3434 RLFRWD-DR INF204K01CJ5 NIPPON INDIA FLOATING RATE FUND - WEEKLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3435 ICICILFRAQ-DP-QR INF109K01IO3 ICICI PRUDENTIAL MEDIUM TERM BOND FUND - QUARTERLY IDCW PAYOUT 7.5 92.5 NORMAL No
3436 8192-DR INF109K019A7 ICICI PRUDENTIAL MEDIUM TERM BOND FUND - DIRECT PLAN - QUARTERLY IDCW REINVESTMENT 7.5 92.5 DIRECT No
3437 MEDP-DR INF204K01AO9 NIPPON INDIA CONSUMPTION FUND - IDCW REINVESTMENT OPTION 7.5 92.5 NORMAL No
3438 MEAD-DR INF204K01G45 NIPPON INDIA CONSUMPTION FUND DIRECT PLAN DIVIDEND PLAN IDCW REINVESTMENT 7.5 92.5 DIRECT No
3439 HDMULDR-DR INF179K01AL9 HDFC EQUITY SAVINGS FUND - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3440 HDMULRT-DR INF179K01XS6 HDFC EQUITY SAVINGS FUND - DIRECT PLAN - IDCW REINVESTMENT OPTION 7.5 92.5 DIRECT No
3441 HDFCCORDR-DR INF179K01566 HDFC FOCUSED 30 FUND - REGULAR PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3442 CODRT-DR INF179K01VJ9 HDFC FOCUSED 30 FUND - DIRECT PLAN - IDCW REINVESTMENT 7.5 92.5 DIRECT No
3443 B321QD-DR INF209K01DH6 ADITYA BIRLA SUN LIFE DYNAMIC BONDRETAIL-QUARTERLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3444 B321MD-DR INF209K01DG8 ADITYA BIRLA SUN LIFE DYNAMIC BONDRETAIL-MONTHLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3445 ESD-DP INF109K01AL6 ICICI PRUDENTIAL MIDCAP FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
3446 8181-DP INF109K010N9 ICICI PRUDENTIAL MIDCAP FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
3447 NEDP-DR INF204K01588 NIPPON INDIA BALANCED ADVANTAGE FUND - IDCW REINVESTMENT OPTION 7.5 92.5 NORMAL No
3448 NEAD-DR INF204K01G86 NIPPON INDIA BALANCED ADVANTAGE FUND DIRECT PLAN DIVIDEND PLAN IDCW REINVESTMENT 7.5 92.5 DIRECT No
3449 RELNIDP-DR INF204K01FK6 NIPPON INDIA DYNAMIC BOND FUND - DIVIDEND PLAN (IDCW REINVESTMENT) 7.5 92.5 NORMAL No
3450 RMFNIQP-DR-Q INF204K01XC6 NIPPON INDIA DYNAMIC BOND FUND - QUARTERLY DIVIDEND PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3451 SBNP71-DR INF903J01462 SUNDARAM SMALL CAP FUND REGULAR IDCW REINVESTMENT 7.5 92.5 NORMAL No
3452 SU71PD-DR INF903J01NJ1 SUNDARAM SMALL CAP FUND DIRECT IDCW REINVESTMENT 7.5 92.5 DIRECT No
3453 K114M-DR INF174K01229 KOTAK SMALL CAP FUND - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3454 FTIFIFCAP-DP INF090I01197 FRANKLIN INDIA EQUITY ADVANTAGE FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
3455 472-DP INF090I01IM3 FRANKLIN INDIA EQUITY ADVANTAGE FUND - DIRECT IDCW PAYOUT 7.5 92.5 DIRECT No
3456 CRFRDP-DR INF760K01787 CANARA ROBECO SAVINGS FUND REGULA R - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3457 CREQDP-DR INF760K01183 CANARA ROBECO EMERGING EQUITIES REGULAR - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3458 CAEQDD-DR INF760K01EH6 CANARA ROBECO EMERGING EQUITIESDIRECT - IDCW REINVESTMENT 7.5 92.5 DIRECT No
3459 EODP-DR INF204K01463 NIPPON INDIA MULTI CAP FUND - IDCW REINVESTMENT OPTION 7.5 92.5 NORMAL No
3460 EOAD-DR INF204K01XE2 NIPPON INDIA MULTI CAP FUND DIRECT PLAN DIVIDEND PLAN IDCW REINVESTMENT 7.5 92.5 DIRECT No
3461 HDFCPREDD-DR INF179K01AR6 HDFC HYBRID EQUITY FUND - REGULAR PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3462 PRERT-DR INF179K01XY4 HDFC HYBRID EQUITY FUND - DIRECT PLAN - IDCW REINVESTMENT OPTION 7.5 92.5 DIRECT No
3463 UTIDYF-DR INF789F01455 UTI DIVIDEND YIELD FUND - IDCW REINVESTMENT OPTION 7.5 92.5 NORMAL No
3464 K134C-DR INF174K01252 KOTAK INDIA EQ CONTRA FUND - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3465 RELSEDP-DR INF204K01GD9 NIPPON INDIA VALUE FUND - DIVIDEND PLAN - IDCW REINVESTMENT OPTION 7.5 92.5 NORMAL No
3466 SEAD-DR INF204K01K31 NIPPON INDIA VALUE FUND DIRECT PLAN DIVIDEND PLAN IDCW REINVESTMENT 7.5 92.5 DIRECT No
3467 B291D-DR INF209K01CR7 ADITYA BIRLA SUN LIFE GENNEXT FUND-IDCW REINVESTMENT 7.5 92.5 NORMAL No
3468 UTIOPRTUNE-DR INF789F01AF7 UTI VALUE FUND - REGULAR PLAN-IDCW REINVESTMENT 7.5 92.5 NORMAL No
3469 HDFCMYD5R-DR INF179K01AO3 HDFC MULTI-ASSET FUND - REGULAR PLAN -IDCW REINVESTMENT 7.5 92.5 NORMAL No
3470 MY5RT-DR INF179K01XV0 HDFC MULTI-ASSET FUND - DIRECT PLAN - IDCW REINVESTMENT 7.5 92.5 DIRECT No
3471 IFD-ICICIPRU-DP INF109K01AT9 ICICI PRUDENTIAL INFRASTRUCTURE FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
3472 8183-DP INF109K017M6 ICICI PRUDENTIAL INFRASTRUCTURE FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
3473 BA-DR INF209K01EE1 ADITYA BIRLA SUN LIFE EQUITY HYBRID 95 FUND IDCW REINVESTMENT 7.5 92.5 NORMAL No
3474 BSADZ-DR INF209K01ZB2 ADITYA BIRLA SUN LIFE EQUITY HYBRID 95 FUND - IDCW REINVESTMENT-DIRECT PLAN 7.5 92.5 DIRECT No
3475 BSL52D-DR INF209K01DT1 ADITYA BIRLA SUN LIFE FLEXI CAP FUND - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3476 BS52DZ-DR INF209K01XY9 ADITYA BIRLA SUN LIFE FLEXI CAP FUND - IDCW REINVESTMENT-DIRECT PLAN 7.5 92.5 DIRECT No
3477 B15-DR INF209K01CD7 ADITYA BIRLA SUN LIFE DIGITAL INDIA FUND-IDCW REINVESTMENT 7.5 92.5 NORMAL No
3478 BSL91DD-DR INF209K01EC5 ADITYA BIRLA SUN LIFE FRONTLINE EQUITY FUND - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3479 BS91DDZ-DR INF209K01YW1 ADITYA BIRLA SUN LIFE FRONTLINE EQUITY FUND - IDCW REINVESTMENT-DIRECT PLAN 7.5 92.5 DIRECT No
3480 BS85NIR-DR INF209KA11Z3 ADITYA BIRLA SUN LIFE BANKING & PSU DEBT FUND - REGULAR PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3481 B37-DR INF209K01DL8 ADITYA BIRLA SUN LIFE CORPORATE BOND FUND - MONTHLY IDCW REINVESTMENT-REGULAR PLAN 7.5 92.5 NORMAL No
3482 K118O-DR INF174K01195 KOTAK EQUITY OPPORTUNITIES FUND - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3483 CRGBDP-DR INF760K01076 CANARA ROBECO EQUITY HYBRID FUND REGULAR MONTHLY - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3484 CAGBDD-DR INF760K01EY1 CANARA ROBECO EQUITY HYBRID FUND DIRECT MONTHLY - IDCW REINVESTMENT 7.5 92.5 DIRECT No
3485 B292D-DR INF209K01CS5 ADITYA BIRLA SUN LIFE FOCUSED FUND-IDCW REINVESTMENT 7.5 92.5 NORMAL No
3486 BS292RZ-DR INF209K01WF0 ADITYA BIRLA SUN LIFE FOCUSED FUND - IDCW REINVESTMENT-DIRECT PLAN 7.5 92.5 DIRECT No
3487 F218-DP INF090I01551 FRANKLIN INDIA SMALLER COMPANIES FUND-IDCW PAYOUT 7.5 92.5 NORMAL No
3488 477-DP INF090I01IP6 FRANKLIN INDIA SMALLER COMPANIES FUND - DIRECT IDCW PAYOUT 7.5 92.5 DIRECT No
3489 SID-ICICI-DP INF109K01BA7 ICICI PRUDENTIAL EXPORTS AND SERVICES - IDCW PAYOUT 7.5 92.5 NORMAL No
3490 8193-DP INF109K01W17 ICICI PRUDENTIAL EXPORTS AND SERVICES - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
3491 CRINDP-DR INF760K01266 CANARA ROBECO INFRASTRUCTURE REGULAR - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3492 CAINDD-DR INF760K01FN1 CANARA ROBECO INFRASTRUCTUREDIRECT - IDCW REINVESTMENT 7.5 92.5 DIRECT No
3493 BSL293RD-DR INF209K01CT3 ADITYA BIRLA SUN LIFE INFRASTRUCTURE FUND -IDCW REINVESTMENT 7.5 92.5 NORMAL No
3494 QMFEF-DR INF082J01051 QUANTUM LONG TERM EQUITY VALUE FUND - DIRECT PLAN IDCW REINVESTMENT OPTION 7.5 92.5 DIRECT No
3495 QTEFRD-DR INF082J01267 QUANTUM LONG TERM EQUITY VALUE FUND - REGULAR PLAN IDCW REINVESTMENT OPTION 7.5 92.5 NORMAL No
3496 F224-DP INF090I01940 TEMPLETON INDIA EQUITY INCOME FUND-IDCW PAYOUT 7.5 92.5 NORMAL No
3497 479-DP INF090I01IS0 TEMPLETON INDIA EQUITY INCOME FUND - DIRECT IDCW PAYOUT 7.5 92.5 DIRECT No
3498 SBNP91-DR INF903J01553 SUNDARAM CONSUMPTION FUND REGULAR IDCW REINVESTMENT 7.5 92.5 NORMAL No
3499 SU91PD-DR INF903J01NG7 SUNDARAM CONSUMPTION FUND DIRECT IDCW REINVESTMENT 7.5 92.5 DIRECT No
3500 JMAADP-DR INF192K01502 JM ARBITRAGE FUND - IDCW REINVESTMENT OPTION 7.5 92.5 NORMAL No
3501 UTSFDPR-DR INF789FB1RI2 UTI ARBITRAGE FUND - DIVIDEND PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3502 DSP510-DR-M INF740K01QR1 DSP ULTRA SHORT FUND - REGULAR PLAN - MONTHLY - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3503 DSP379-DR INF740K01110 DSP MIDCAP FUND - REGULAR PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3504 DS784-DR INF740K01PZ6 DSP MIDCAP FUND - DIRECT PLAN - IDCW REINVESTMENT 7.5 92.5 DIRECT No
3505 QUHYDP-DR INF966L01333 QUANT LARGE AND MID CAP FUND REGULAR PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3506 QUHYD1-DR INF966L01630 QUANT LARGE AND MID CAP FUND DIRECT PLAN - IDCW REINVESTMENT 7.5 92.5 DIRECT No
3507 RELLEDP-DR INF204K01GG2 NIPPON INDIA FOCUSED EQUITY FUND - DIVIDEND PLAN - IDCW REINVESTMENT OPTION 7.5 92.5 NORMAL No
3508 LEAD-DR INF204K01F87 NIPPON INDIA FOCUSED EQUITY FUND - DIRECT PLAN DIVIDEND OPTION IDCW REINVESTMENT 7.5 92.5 DIRECT No
3509 ICICIEDIRD-DP INF109K01BE9 ICICI PRUDENTIAL EQUITY ARBITRAGE FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
3510 8177-DR INF109K015O6 ICICI PRUDENTIAL EQUITY ARBITRAGE FUND - DIRECT PLAN - IDCW REINVESTMENT 7.5 92.5 DIRECT No
3511 EDWRD-DP INF109K01BG4 ICICI PRUDENTIAL BALANCED ADVANTAGE FUND - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3512 8179-DP INF109K011B2 ICICI PRUDENTIAL BALANCED ADVANTAGE FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
3513 ICICI2059-DP INF109K017W5 ICICI PRUDENTIAL BALANCED ADVANTAGE FUND - MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
3514 RGUSIWR-DR INF205K01IA8 INVESCO INDIA LOW DURATION FUND - WEEKLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3515 K133-DR INF174K01DT7 KOTAK EMERGING EQUITY FUND - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3516 KO133D-DP INF174K01LV6 KOTAK EMERGING EQUITY FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
3517 SEMD-DR INF903J01DV7 SUNDARAM LARGE AND MID CAP FUND REGULAR IDCW REINVESTMENT 7.5 92.5 NORMAL No
3518 SUEMDDP-DR INF903J01PQ1 SUNDARAM LARGE AND MID CAP FUND DIRECT IDCW REINVESTMENT 7.5 92.5 DIRECT No
3519 RGFSTRM-DR-M INF205K01UP1 INVESCO INDIA SHORT DURATION FUND - MONTHLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3520 TMFITDP-DR INF044D01880 TAURUS INFRASTRUCTURE FUND IDCW REINVESTMENT 7.5 92.5 NORMAL No
3521 RGFCF-DR INF205K01197 INVESCO INDIA CONTRA FUND - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3522 RGCFD2-DR INF205K01LD6 INVESCO INDIA CONTRA FUND - DIRECT PLAN IDCW REINVESTMENT 7.5 92.5 DIRECT No
3523 RGFMCDP-DR INF205K01BE5 INVESCO INDIA MIDCAP FUND - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3524 RGMCD2-DR INF205K01MU8 INVESCO INDIA MIDCAP FUND - DIRECT PLAN IDCW REINVESTMENT 7.5 92.5 DIRECT No
Approved Securities List for the Month of April 2024
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
3525 RGFAFDP-DR INF205K01130 INVESCO INDIA ARBITRAGE IDCW REINVESTMENT collateral margin of Rs. 7.5 92.5 NORMAL No
3526 RGAFD2-DR INF205K01KQ0 INVESCO INDIA ARBITRAGE FUND - DIRECT PLAN IDCW REINVESTMENT 7.5 92.5 DIRECT No
3527 HDFCMCOD-DR INF179K01CT8 HDFC MID-CAP OPPORTUNITIES FUND - IDCW REINVESTMENT OPTION 7.5 92.5 NORMAL No
3528 MCORT-DR INF179K01XP2 HDFC MID-CAP OPPORTUNITIES FUND - DIRECT PLAN - IDCW REINVESTMENT OPTION 7.5 92.5 DIRECT No
3529 BSL295DR-DR INF209K01EP7 ADITYA BIRLA SUN LIFE SMALL CAP FUND IDCW REINVESTMENT 7.5 92.5 NORMAL No
3530 F272-DP INF090I01973 FRANKLIN INDIA FOCUSED EQUITY FUND-IDCW PAYOUT 7.5 92.5 NORMAL No
3531 481-DP INF090I01IV4 FRANKLIN INDIA FOCUSED EQUITY FUND - DIRECT IDCW PAYOUT 7.5 92.5 DIRECT No
3532 LCLPDD-DR INF767K01527 LIC MF BANKING AND PSU DEBT FUND-REGULAR PLAN-DAILY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3533 LCLPWD-DR INF767K01576 LIC MF BANKING AND PSU DEBT FUND-REGULAR PLAN-WEEKLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3534 K189EA-DR INF174K01310 KOTAK EQUITY ARBITRAGE FUND - REGULAR PLAN - MONTHLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3535 KO189DD-DP INF174K01LD4 KOTAK EQUITY ARBITRAGE FUND - DIRECT PLAN- MONTHLY IDCW PAYOUT 7.5 92.5 DIRECT No
3536 DSP392-DR INF740K01AM6 DSP SMALL CAP FUND - REGULAR PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3537 DS790-DR INF740K01QF6 DSP SMALL CAP FUND - DIRECT PLAN - IDCW REINVESTMENT 7.5 92.5 DIRECT No
3538 RGFGF-DR INF205K01254 INVESCO INDIA LARGE & MID CAP FUND - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3539 RGGFD2-DR INF205K01LZ9 INVESCO INDIA LARGE & MID CAP FUND - DIRECT PLAN IDCW REINVESTMENT 7.5 92.5 DIRECT No
3540 QUISDP-DR INF966L01515 QUANT INFRASTRUCTURE FUND REGULAR PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3541 QUISD1-DR INF966L01713 QUANT INFRASTRUCTURE FUND DIRECT PLAN - IDCW REINVESTMENT 7.5 92.5 DIRECT No
3542 EARD-DR INF204K01547 NIPPON INDIA LARGE CAP FUND - DIVIDEND PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3543 EAAD-DR INF204K01XH5 NIPPON INDIA LARGE CAP FUND DIRECT PLAN DIVIDEND PLAN IDCW REINVESTMENT 7.5 92.5 DIRECT No
3544 RGFEF-DR INF205K01221 INVESCO INDIA BALANCED ADVANTAGE FUND - REGULAR PLAN IDCW REINVESTMENT 7.5 92.5 NORMAL No
3545 RGEFD2-DR INF205K01LM7 INVESCO INDIA BALANCED ADVANTAGE FUND - DIRECT PLAN IDCW REINVESTMENT 7.5 92.5 DIRECT No
3546 S93-DR INF903J01EZ6 SUNDARAM GLOBAL BRAND FUND IDCW REINVESTMENT 7.5 92.5 NORMAL No
3547 UTISTINCME-DR INF789F01AI1 UTI SHORT TERM INCOME FUND-DISCONTINUED REGULAR QUARTERLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3548 UTSTQDR-DR INF789FA1R58 UTI SHORT DURATION FUND-REGULAR PLAN QUARTERLY-IDCW REINVESTMENT 7.5 92.5 NORMAL No
3549 UTSTAIR-DR INF789FA1R09 UTI SHORT DURATION FUND-REGULAR PLAN ANNUAL-IDCW REINVESTMENT 7.5 92.5 NORMAL No
3550 UTISTIMR-DR INF789F01QC0 UTI SHORT DURATION FUND-REGULAR PLAN MONTHLY-IDCW REINVESTMENT 7.5 92.5 NORMAL No
3551 UTIILF-DR INF789F01CG1 UTI INDIA CONSUMER FUND - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3552 K153-DR INF174K01DW1 KOTAK GLOBAL EMERGING MARKET FUND IDCW REINVESTMENT 7.5 92.5 NORMAL No
3553 DS760-DR INF740K01PB7 DSP WORLD GOLD FUND - DIRECT PLAN - IDCW REINVESTMENT 7.5 92.5 DIRECT No
3554 RGFISDP-DR INF205K01CF0 INVESCO INDIA INFRASTRUCTURE FUND - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3555 RGISD2-DR INF205K01MC6 INVESCO INDIA INFRASTRUCTURE FUND - DIRECT PLAN IDCW REINVESTMENT 7.5 92.5 DIRECT No
3556 HDAFWDQ-DR INF179KA1KL3 HDFC ARBITRAGE FUND-WHOLESALE PLAN - REGULAR PLAN - NORMAL IDCW REINVESTMENT 7.5 92.5 NORMAL No
3557 HDAFWDM-DR INF179KA1KN9 HDFC ARBITRAGE FUND-WHOLESALE PLAN - REGULAR PLAN - MONTHLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3558 IC1024-DP INF109K01BJ8 ICICI PRUDENTIAL SMALLCAP FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
3559 8035-DP INF109K014M3 ICICI PRUDENTIAL SMALLCAP FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
3560 B297D-DR INF209K01CV9 ADITYA BIRLA SUN LIFE INTERNATIONAL EQUITY FUND - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3561 BS297RZ-DR INF209K01WT1 ADITYA BIRLA SUN LIFE INTERNATIONAL EQUITY FUND - DIRECT PLAN - IDCW REINVESTMENT 7.5 92.5 DIRECT No
3562 F303-DP INF090I01AA5 FRANKLIN ASIAN EQUITY FUND-IDCW PAYOUT 7.5 92.5 NORMAL No
3563 RGFMSDP-DR INF205K01DP7 INVESCO INDIA MULTICAP FUND - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3564 RGMSD2-DR INF205K01MR4 INVESCO INDIA MULTICAP FUND - DIRECT PLAN IDCW REINVESTMENT 7.5 92.5 DIRECT No
3565 JMCRDP-DR INF192K01569 JM FOCUSED FUND - IDCW REINVESTMENT OPTION 7.5 92.5 NORMAL No
3566 HDFCINFDR-DR INF179K01GG6 HDFC INFRASTRUCTURE FUND- IDCW REINVESTMENT OPTION 7.5 92.5 NORMAL No
3567 INFRT-DR INF179K01WR0 HDFC INFRASTRUCTURE FUND - DIRECT PLAN - IDCW REINVESTMENT OPTION 7.5 92.5 DIRECT No
3568 MAFIORD-DR INF769K01028 MIRAE ASSET LARGE CAP FUND - REGULAR - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3569 MAFIOD2-DR INF769K01AZ7 MIRAE ASSET LARGE CAP FUND - DIRECT PLAN - IDCW REINVESTMENT 7.5 92.5 DIRECT No
3570 LCIRDP-DR INF767K01493 LIC MF INFRASTRUCTURE FUND-DIVIDEND-IDCW REINVESTMENT 7.5 92.5 NORMAL No
3571 HSEFDPP-DP INF336L01420 HSBC GLOBAL EMERGING MARKETS FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
3572 BSL296RD-DR INF209K01LG1 ADITYA BIRLA SUN LIFE PURE VALUE FUND - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3573 DSP386-DR INF740K01052 DSP NATURAL RESOURCES AND NEW ENERGY FUND - REGULAR PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3574 DS787-DR INF740K01QC3 DSP NATURAL RESOURCES AND NEW ENERGY FUND - DIRECT PLAN - IDCW REINVESTMENT 7.5 92.5 DIRECT No
3575 QPRD-DR INF204K01752 NIPPON INDIA QUANT FUND- DIV PLAN - IDCW REINVESTMENT OPT 7.5 92.5 NORMAL No
3576 QDPD-DR INF204K01J26 NIPPON INDIA QUANT FUND DIRECT PLAN DIVIDEND PLAN IDCW REINVESTMENT 7.5 92.5 DIRECT No
3577 RGFBF-DR INF205K01163 INVESCO INDIA FINANCIAL SERVICES FUND - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3578 FOCUS-DP INF109K01BM2 ICICI PRUDENTIAL BLUECHIP FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
3579 8043-DP INF109K015L2 ICICI PRUDENTIAL BLUECHIP FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
3580 200-DR INF174K01IZ3 KOTAK DYNAMIC BOND FUND - REGULAR PLAN - STANDARD - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3581 IFDQB-DR INF194K01QH2 BANDHAN DYNAMIC BOND FUND - QUARTERLY - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3582 IF206-DR INF194K01482 BANDHAN FOCUSED EQUITY FUND-REGULAR PLAN-IDCW REINVESTMENT 7.5 92.5 NORMAL No
3583 IDD206-DR INF194K01W47 BANDHAN FOCUSED EQUITY FUND-DIRECT PLAN-IDCW REINVESTMENT 7.5 92.5 DIRECT No
3584 IF204-DR INF194K01417 BANDHAN FLEXI CAP FUND - REGULAR PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3585 IDD204-DR INF194K01W88 BANDHAN FLEXI CAP FUND - DIRECT PLAN - IDCW REINVESTMENT 7.5 92.5 DIRECT No
3586 IF202-DR INF194K01540 BANDHAN CORE EQUITY FUND-REGULAR-IDCW REINVESTMENT 7.5 92.5 NORMAL No
3587 IDD202-DR INF194K01W05 BANDHAN CORE EQUITY FUND-IDCW REINVESTMENT-(DIRECT PLAN) 7.5 92.5 DIRECT No
3588 IDFC66-DR INF194K01FV6 BANDHAN LOW DURATION FUND - DAILY IDCW REINVESTMENT- REGULAR 7.5 92.5 NORMAL No
3589 IDFC67-DR INF194K01GB6 BANDHAN LOW DURATION FUND - WEEKLY IDCW REINVESTMENT- REGULAR 7.5 92.5 NORMAL No
3590 IF68-DR INF194K01FY0 BANDHAN LOW DURATION FUND-MONTHLY-IDCW REINVESTMENT 7.5 92.5 NORMAL No
3591 IDSTF-DR INF194K01HJ7 BANDHAN BOND FUND - SHORT TERM PLAN -FORTNIGHTLY-IDCW REINVESTMENT 7.5 92.5 NORMAL No
3592 ID326R-DR INF194KA13K5 BANDHAN BOND FUND - SHORT TERM PLAN- REGULAR PLAN- QUARTERLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3593 IDDSTF-DR INF194K01U49 BANDHAN BOND FUND - SHORT TERM PLAN-FORTNIGHTLY IDCW REINVESTMENT-(DIRECT PLAN) 7.5 92.5 DIRECT No
3594 IFMTM-DR INF194K01KB8 BANDHAN BOND FUND - MEDIUM TERM PLAN - MONTHLY - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3595 IF259-DR INF194K01JY2 BANDHAN BOND FUND - MEDIUM TERM PLAN - QUARTERLY - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3596 ISD291R-DR INF194KA1TE0 BANDHAN BOND FUND - MEDIUM TERM PLAN - PERIODIC IDCW REINVESTMENT (DIRECT PLAN) 7.5 92.5 DIRECT No
3597 IFSSD-DR INF194K01IS6 BANDHAN BOND FUND - LONG TERM PLAN - REGULAR PLAN - QUARTERLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3598 IFSTD-DR INF194K01HG3 BANDHAN BOND FUND - SHORT TERM PLAN-MONTHLY-IDCW REINVESTMENT 7.5 92.5 NORMAL No
3599 IF208-DR INF194K01508 BANDHAN EQUITY FUND-REGULAR PLAN-IDCW REINVESTMENT 7.5 92.5 NORMAL No
3600 IDD208-DR INF194K01Z69 BANDHAN LARGE CAP FUND-IDCW REINVESTMENT-(DIRECT PLAN) 7.5 92.5 DIRECT No
3601 IF210-DR INF194K01664 BANDHAN ARBITRAGE FUND REGULAR MONTHLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3602 IDD210-DR INF194K01Y86 BANDHAN ARBITRAGE FUND-MONTHLY IDCW REINVESTMENT-(DIRECT PLAN) 7.5 92.5 DIRECT No
3603 IF216-DR INF194K01367 BANDHAN STERLING VALUE FUND - REGULAR - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3604 IDD216-DR INF194K010A2 BANDHAN STERLING VALUE FUND-IDCW REINVESTMENT-(DIRECT PLAN) 7.5 92.5 DIRECT No
3605 IF218-DR INF194K01607 BANDHAN EQUITY SAVINGS FUND REGULAR MONTHLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3606 IDD218-DR INF194K01Z28 BANDHAN EQUITY SAVINGS FUND-DIRECT PLAN-MONTHLY IDCW REINVESTMENT 7.5 92.5 DIRECT No
3607 SBNP97-DR INF903J01611 SUNDARAM FINANCIAL SERVICES OPPORTUNITIES FUND - REGULAR PLAN- IDCW REINVESTMENT 7.5 92.5 NORMAL No
3608 QULSD1-DR INF966L01846 QUANT FOCUSED FUND DIRECT PLAN - IDCW REINVESTMENT 7.5 92.5 DIRECT No
3609 BAFIN-DR INF109K01BV3 ICICI PRUDENTIAL BANKING AND FINANCIAL SERVICES FUND - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3610 8045-DP INF109K012J3 ICICI PRUDENTIAL BANKING AND FINANCIAL SERVICES FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
3611 JMMSDP-DR INF192K01627 JM FLEXICAP FUND - IDCW REINVESTMENT OPTION 7.5 92.5 NORMAL No
3612 ICICI1263-DP-M INF109K01BP5 ICICI PRUDENTIAL BOND FUND - MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
3613 8050-DP INF109K01V91 ICICI PRUDENTIAL BOND FUND - DIRECT PLAN - QUARTERLY IDCW PAYOUT 7.5 92.5 DIRECT No
3614 IC2527-DP INF109KA1X44 ICICI PRUDENTIAL BOND FUND - HALF YEARLY IDCW PAYOUT 7.5 92.5 NORMAL No
3615 QUPEDP-DR INF966L01440 QUANT FLEXI CAP FUND REGULAR PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3616 QUPED1-DR INF966L01903 QUANT FLEXI CAP FUND DIRECT PLAN - IDCW REINVESTMENT 7.5 92.5 DIRECT No
3617 BAFEFRQ-DR-Q INF761K01124 BANK OF INDIA LARGE AND MID CAP EQUITY FUND REGULAR PLAN - QUARTERLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3618 BAFEFRD-DR INF761K01090 BANK OF INDIA LARGE AND MID CAP EQUITY FUND REGULAR PLAN - REGULAR IDCW REINVESTMENT7.5 92.5 NORMAL No
3619 UTW2DP-DR INF789F01AO9 UTI MULTI ASSET ALLOCATION FUND - REGULAR PLAN-IDCW REINVESTMENT 7.5 92.5 NORMAL No
3620 LDPQ-DR INF204K01A09 NIPPON INDIA LOW DURATION FUND - DIRECT QUARTERLY IDCW REINVESTMENT 7.5 92.5 DIRECT No
3621 RMFLPIQ-DR INF204K01FA7 NIPPON INDIA LOW DURATION FUND - MONTHLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3622 RC361-DR INF204K01EY0 NIPPON INDIA LOW DURATION FUND - WEEKLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3623 TMFEFDP-DR INF044D01849 TAURUS ETHICAL FUND IDCW REINVESTMENT 7.5 92.5 NORMAL No
3624 TREFD1-DR INF044D01CL6 TAURUS ETHICAL FUND - DIRECT PLAN IDCW REINVESTMENT 7.5 92.5 DIRECT No
3625 B303FD-DR INF209K01CZ0 ADITYA BIRLA SUN LIFE MEDIUM TERM PLAN - HALF YEARLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3626 B303MD-DR INF209K01DA1 ADITYA BIRLA SUN LIFE MEDIUM TERM PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3627 EDELEGADR-DR INF754K01020 EDELWEISS LARGE CAP FUND - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3628 IC1452-DP INF109K01CA5 ICICI PRUDENTIAL FOCUSED EQUITY FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
3629 8074-DP INF109K017N4 ICICI PRUDENTIAL FOCUSED EQUITY FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
3630 8082-DP INF109K018B7 ICICI PRUDENTIAL CORPORATE BOND FUND - DIRECT PLAN - MONTHLY IDCW PAYOUT 7.5 92.5 DIRECT No
3631 ICICI1481-DP-M INF109K01CT5 ICICI PRUDENTIAL CORPORATE BOND FUND - MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
3632 ICICI1482-DP INF109K01SO2 ICICI PRUDENTIAL CORPORATE BOND FUND - QUARTERLY IDCW PAYOUT 7.5 92.5 NORMAL No
3633 8083-DP INF109K012C8 ICICI PRUDENTIAL CORPORATE BOND FUND - DIRECT PLAN - QUARTERLY IDCW PAYOUT 7.5 92.5 DIRECT No
3634 EDELENADR-DR INF754K01186 EDELWEISS AGGRESSIVE HYBRID FUND - IDCW REINVESTMENT PLAN 7.5 92.5 NORMAL No
3635 QMFFE-DR INF082J01119 QUANTUM EQUITY FUND OF FUNDS - DIRECT PLAN IDCW REINVESTMENT OPTION 7.5 92.5 DIRECT No
3636 B205RD-DR INF209K01CI6 ADITYA BIRLA SUN LIFE ARBITRAGE FUND -IDCW REINVESTMENT 7.5 92.5 NORMAL No
3637 BS205RZ-DR INF209K01VQ9 ADITYA BIRLA SUN LIFE ARBITRAGE FUND -IDCW REINVESTMENT-DIRECT PLAN 7.5 92.5 DIRECT No
Approved Securities List for the Month of April 2024
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
3638 K178SD-DR INF174K01344 KOTAK FLEXICAP FUND - IDCW REINVESTMENT collateral margin of Rs. 7.5 92.5 NORMAL No
3639 KO178D-DP INF174K01LR4 KOTAK FLEXICAP FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
3640 F386-DP INF090I01AD9 FRANKLIN BUILD INDIA FUND-IDCW PAYOUT 7.5 92.5 NORMAL No
3641 488-DP INF090I01JE8 FRANKLIN BUILD INDIA FUND - DIRECT IDCW PAYOUT 7.5 92.5 DIRECT No
3642 RGFBL-DR INF205K01312 INVESCO INDIA LARGECAP FUND - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3643 RGBLD2-DR INF205K01LA2 INVESCO INDIA LARGECAP FUND - DIRECT PLAN IDCW REINVESTMENT 7.5 92.5 DIRECT No
3644 EDELARDPR-DR INF754K01269 EDELWEISS BALANCED ADVANTAGE FUND -QUARTERLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3645 ARDD-DR INF754K01BQ6 EDELWEISS BALANCED ADVANTAGE FUND - DIRECT PLAN QUARTERLY IDCW REINVESTMENT 7.5 92.5 DIRECT No
3646 EDARMD-DR INF754K01II8 EDELWEISS BALANCED ADVANTAGE FUND-DIRECT PLAN MONTHLY IDCW REINVESTMENT 7.5 92.5 DIRECT No
3647 EDARMR-DR INF754K01IL2 EDELWEISS BALANCED ADVANTAGE FUND-REGULAR PLAN MONTHLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3648 DSP389-DR INF740K01300 DSP WORLD ENERGY FUND - REGULAR PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3649 CRCFDP-DR INF760K01233 CANARA ROBECO CONSUMER TRENDS FUND REGULAR - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3650 CACFDD-DR INF760K01DT3 CANARA ROBECO CONSUMER TRENDS FUND DIRECT - IDCW REINVESTMENT 7.5 92.5 DIRECT No
3651 RGFPS-DR INF205K01346 INVESCO INDIA PSU EQUITY FUND - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3652 AXFTAWD-DR-W INF846K01560 AXIS TREASURY ADVANTAGE FUND - REGULAR WEEKLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3653 AXFTADP-DR-M INF846K01586 AXIS TREASURY ADVANTAGE FUND - RETAIL MONTHLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3654 EFD1-DR INF846K01DO1 AXIS BLUECHIP FUND - DIRECT PLAN -IDCW REINVESTMENT 7.5 92.5 DIRECT No
3655 AXFEFDP-DR INF846K01180 AXIS BLUECHIP FUND - REGULAR IDCW REINVESTMENT 7.5 92.5 NORMAL No
3656 DSP390-DR INF740K01AL8 DSP WORLD MINING FUND - REGULAR PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3657 IDFCMP-DR INF194K01AD5 BANDHAN ASSET ALLOCATION FUND OF FUND-MODERATE PLAN-REGULAR PLAN-IDCW REINVESTMENT 7.5 92.5 NORMAL No
3658 IDFCAP-DR INF194K01979 BANDHAN ASSET ALLOCATION FUND OF FUND-AGGRESSIVE PLAN-REGULAR PLAN-IDCW REINVESTMENT 7.5 92.5 NORMAL No
3659 IC1839-DP INF109K01YD3 ICICI PRUDENTIAL BANKING AND PSU DEBT FUND - QUARTERLY IDCW PAYOUT 7.5 92.5 NORMAL No
3660 8132-DP INF109K012A2 ICICI PRUDENTIAL BANKING AND PSU DEBT FUND - DIRECT PLAN - QUARTERLY IDCW PAYOUT 7.5 92.5 DIRECT No
3661 IF244-DR INF194K01RX7 BANDHAN REGULAR SAVINGS FUND - REGULAR - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3662 IF264-DR INF194K01SA3 BANDHAN REGULAR SAVINGS FUND - QUARTERLY - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3663 AXFSTDP-DR-M INF846K01669 AXIS SHORT TERM FUND - REGULAR MONTHLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3664 AXFSTWD-DR-W INF846K01685 AXIS SHORT TERM FUND - REGULAR WEEKLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3665 AXSTRD-DR INF846K01RK9 AXIS SHORT TERM FUND REGULAR IDCW REINVESTMENT 7.5 92.5 NORMAL No
3666 STDM-DR INF846K01EK7 AXIS SHORT TERM FUND - DIRECT PLAN - MONTHLY IDCW REINVESTMENT 7.5 92.5 DIRECT No
3667 BAFFIRQ-DR-Q INF761K01223 BANK OF INDIA MANUFACTURING AND INFRASTRUCTURE FUND - REGULAR - QUARTERLY IDCW REINVESTMENT7.5 92.5 NORMAL No
3668 BAFFIRD-DR INF761K01207 BANK OF INDIA MANUFACTURING AND INFRASTRUCTURE FUND - REGULAR - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3669 BXBA065-DR INF761K01686 BANK OF INDIA MANUFACTURING AND INFRASTRUCTURE FUND DIRECT REGULAR IDCW REINVESTMENT 7.5 92.5 DIRECT No
3670 SUNMIMA-DR INF903J01HF1 SUNDARAM DEBT ORIENTED HYBRID FUND REGULAR MONTHLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3671 SUNMIQA-DR INF903J01HG9 SUNDARAM DEBT ORIENTED HYBRID FUND REGULAR QUARTERLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3672 D258-DR INF194K014A4 BANDHAN NIFTY 50 INDEX FUND-IDCW REINVESTMENT-(DIRECT PLAN) 7.5 92.5 DIRECT No
3673 IDFCNF-DR INF194K01946 BANDHAN NIFTY 50 INDEX FUND-REGULAR PLAN-IDCW REINVESTMENT 7.5 92.5 NORMAL No
3674 DSP391-DR INF740K01AC7 DSP FOCUS FUND - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3675 DS732-DR INF740K01OD6 DSP FOCUS FUND - DIRECT PLAN - IDCW REINVESTMENT 7.5 92.5 DIRECT No
3676 SB192D-DP INF200K01BE6 SBI PSU FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
3677 AXFISQD-DR-Q INF846K01719 AXIS REGULAR SAVER FUND - QUARTERLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3678 MAFEBRD-DR INF769K01119 MIRAE ASSET LARGE & MIDCAP FUND - REGULAR PLAN - IDCW REINVESTMENT OPTION 7.5 92.5 NORMAL No
3679 MAFEBD2-DR INF769K01BK7 MIRAE ASSET LARGE & MIDCAP FUND - DIRECT PLAN - IDCW REINVESTMENT 7.5 92.5 DIRECT No
3680 RELRSFB-DR INF204K01FY7 NIPPON INDIA EQUITY HYBRID FUND DIVIDEND PLAN IDCW REINVESTMENT OPTION 7.5 92.5 NORMAL No
3681 SHAD-DR INF204K01B24 NIPPON INDIA EQUITY HYBRID FUND DIRECT PLAN DIVIDEND PLAN IDCW REINVESTMENT 7.5 92.5 DIRECT No
3682 RELSHQD-DR INF204K014R6 NIPPON INDIA EQUITY HYBRID FUND QUARTERLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3683 RLSHAQ-DR INF204K012R0 NIPPON INDIA EQUITY HYBRID FUND DIRECT QUARTERLY IDCW REINVESTMENT 7.5 92.5 DIRECT No
3684 RLSHAM-DR INF204KB1BE5 NIPPON INDIA EQUITY HYBRID FUND DIRECT MONTHLY IDCW REINVESTMENT 7.5 92.5 DIRECT No
3685 RLSHMPR-DR INF204KB1BG0 NIPPON INDIA EQUITY HYBRID FUND DIVIDEND PLAN MONTHLTY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3686 RELRSFD-DR INF204K01FS9 NIPPON INDIA CREDIT RISK FUND - QUARTERLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3687 ICICI1616-DP INF109K01IE4 ICICI PRUDENTIAL NIFTY NEXT 50 INDEX FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
3688 8108-DR INF109K01Y72 ICICI PRUDENTIAL NIFTY NEXT 50 INDEX FUND- DIRECT IDCW REINVESTMENT 7.5 92.5 DIRECT No
3689 ESIPQDR-DP INF959L01122 NAVI REGULAR SAVINGS FUND - QUARTERLY IDCW PAYOUT 7.5 92.5 NORMAL No
3690 BPSIDP-DR INF955L01146 BARODA BNP PARIBAS SHORT DURATION FUND REGULAR MONTHLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3691 HDSTODR-DR INF179K01CW2 HDFC SHORT TERM DEBT FUND - REGULAR PLAN - FORTNIGHTLY IDCW REINVESTMENT REINVESTMENT 7.5 92.5 NORMAL No
3692 AXFTPDP-DR INF846K01784 AXIS MULTI ASSET ALLOCATION FUND - REGULAR IDCW REINVESTMENT 7.5 92.5 NORMAL No
3693 TPD1-DR INF846K01EU6 AXIS MULTI ASSET ALLOCATION FUND - DIRECT IDCW REINVESTMENT 7.5 92.5 DIRECT No
3694 HDMTNDR-DR INF179KA1D25 HDFC CORPORATE BOND FUND - REGULAR PLAN - NORMAL IDCW REINVESTMENT 7.5 92.5 NORMAL No
3695 HDFCMTODR-DR INF179K01DE8 HDFC CORPORATE BOND FUND - QUARTERLY IDCW REINVESTMENT OPTION 7.5 92.5 NORMAL No
3696 MTORT-DR INF179K01XC0 HDFC CORPORATE BOND FUND - DIRECT PLAN - QUARTERLY IDCW REINVESTMENT OPTION 7.5 92.5 DIRECT No
3697 UTIDBDPR-DR INF789F01JP7 UTI DYNAMIC BOND FUND - QUARTERLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3698 RMFSCFDP-DR INF204K01IB9 NIPPON INDIA SMALL CAP FUND - IDCW REINVESTMENT OPTION 7.5 92.5 NORMAL No
3699 SCAD-DR INF204K01K07 NIPPON INDIA SMALL CAP FUND DIRECT PLAN DIVIDEND PLAN IDCW REINVESTMENT 7.5 92.5 DIRECT No
3700 CRLCDP-DR INF760K01AT9 CANARA ROBECO BLUECHIP EQUITY FUND REGULAR - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3701 CALCDD-DR INF760K01FQ4 CANARA ROBECO BLUECHIP EQUITY FUND DIRECT - IDCW REINVESTMENT 7.5 92.5 DIRECT No
3702 RMFSFDP-DR-A INF204K01IT1 NIPPON INDIA INDEX FUND - S&P BSE SENSEX PLAN- ANNUAL IDCW REINVESTMENT 7.5 92.5 NORMAL No
3703 SFAD-DR INF204K01K72 NIPPON INDIA INDEX FUND - S&P BSE SENSEX PLANDIRECT PLAN YEARLY - DIVIDEND PLAN IDCW REINVESTMENT
7.5 92.5 DIRECT No
3704 SFAQ-DR INF204K01L22 NIPPON INDIA INDEX FUND - S&P BSE SENSEX PLANDIRECT PLAN QUARTERLY - DIVIDEND PLAN IDCW7.5 REINVESTMENT 92.5 DIRECT No
3705 RMFNFDP-DR-A INF204K01IL8 NIPPON INDIA INDEX FUND - NIFTY 50 PLAN - ANNUAL IDCW REINVESTMENT 7.5 92.5 NORMAL No
3706 NFAQ-DR INF204K01H77 NIPPON INDIA INDEX FUND - NIFTY 50 PLAN DIRECT PLAN QUARTERLY - DIVIDEND PLAN IDCW REINVESTMENT
7.5 92.5 DIRECT No
3707 NFAD-DR INF204K01H28 NIPPON INDIA INDEX FUND - NIFTY 50 PLAN DIRECT PLAN YEARLY - DIVIDEND PLAN IDCW REINVESTMENT
7.5 92.5 DIRECT No
3708 RMFNFQP-DR-Q INF204K01IJ2 NIPPON INDIA INDEX FUND - NIFTY 50 PLAN - QUARTLERY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3709 RMFAF-DR INF204K01JA9 NIPPON INDIA ARBITRAGE FUND - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3710 AFAD-DR INF204K01YB6 NIPPON INDIA ARBITRAGE FUND DIRECT PLAN DIVIDEND PLAN IDCW REINVESTMENT 7.5 92.5 DIRECT No
3711 AFMP-DR INF204KA1MU9 NIPPON INDIA ARBITRAGE FUND - MONTHLY DIVIDEND PLAN - IDCW REINVESTMENT OPTION 7.5 92.5 NORMAL No
3712 RLAFAMR-DR INF204KA1MW5 NIPPON INDIA ARBITRAGE FUND DIRECT MONTHLY IDCW REINVESTMENT PLAN 7.5 92.5 DIRECT No
3713 ICICI1638-DP INF109K01GW0 ICICI PRUDENTIAL CREDIT RISK FUND - QUARTERLY IDCW PAYOUT 7.5 92.5 NORMAL No
3714 8111-DR INF109K01V42 ICICI PRUDENTIAL CREDIT RISK FUND - DIRECT PLAN - QUARTERLY IDCW REINVESTMENT 7.5 92.5 DIRECT No
3715 K033U-DR INF174K01161 KOTAK BLUECHIP FUND - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3716 KO03DDP-DP INF174K01KX4 KOTAK BLUECHIP FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
3717 IDFC266-DR INF194K01CA7 BANDHAN INFRASTRUCTURE FUND-REGULAR PLAN-IDCW REINVESTMENT 7.5 92.5 NORMAL No
3718 D266-DR INF194K01X61 BANDHAN INFRASTRUCTURE FUND-IDCW REINVESTMENT-(DIRECT PLAN) 7.5 92.5 DIRECT No
3719 AXFMCDP-DR INF846K01875 AXIS MID CAP FUND - REGULAR IDCW REINVESTMENT 7.5 92.5 NORMAL No
3720 MCD1-DR INF846K01EG5 AXIS MID CAP FUND - DIRECT PLAN - IDCW REINVESTMENT 7.5 92.5 DIRECT No
3721 RMFGDDP-DR INF204K01KP5 NIPPON INDIA GOLD SAVINGS FUND - IDCW REINVESTMENT OPTION 7.5 92.5 NORMAL No
3722 GDAD-DR INF204K01YE0 NIPPON INDIA GOLD SAVINGS FUND DIRECT PLAN DIVIDEND PLAN IDCW REINVESTMENT 7.5 92.5 DIRECT No
3723 K47G-DR INF174K01AV9 KOTAK GOLD FUND IDCW REINVESTMENT 7.5 92.5 NORMAL No
3724 KO47D-DR INF174K01MR2 KOTAK GOLD FUND - DIRECT PLAN - IDCW REINVESTMENT 7.5 92.5 DIRECT No
3725 K42MAIP-DR-M INF174K01401 KOTAK DEBT HYBRID FUND - MONTHLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3726 MAFICRD-DR INF769K01143 MIRAE ASSET GREAT CONSUMER FUND - REGULAR IDCW REINVESTMENT PLAN 7.5 92.5 NORMAL No
3727 MAFICD2-DR INF769K01BN1 MIRAE ASSET GREAT CONSUMER FUND - DIRECT PLAN - IDCW REINVESTMENT 7.5 92.5 DIRECT No
3728 AXFQDDB-DR INF846K01933 AXIS DYNAMIC BOND FUND - REGULAR QUARTERLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3729 CRCYDP-DR INF760K01BN0 CANARA ROBECO SHORT DURATION FUND REGULAR MONTHLY - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3730 CRCYQP-DR INF760K01BP5 CANARA ROBECO SHORT DURATION FUND REGULAR QUARTERLY - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3731 CACYDM-DR INF760K01DW7 CANARA ROBECO SHORT DURATION FUND DIRECT MONTHLY - IDCW REINVESTMENT 7.5 92.5 DIRECT No
3732 ICICI1748-DP-Q INF109K01TS1 ICICI PRUDENTIAL ULTRA SHORT TERM FUND - QUARTERLY IDCW PAYOUT 7.5 92.5 NORMAL No
3733 ICICI1747-DP-M INF109K01TQ5 ICICI PRUDENTIAL ULTRA SHORT TERM FUND - MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
3734 8125-DR INF109K01T61 ICICI PRUDENTIAL ULTRA SHORT TERM FUND - DIRECT PLAN - QUARTERLY IDCW REINVESTMENT 7.5 92.5 DIRECT No
3735 8124-DR INF109K01T46 ICICI PRUDENTIAL ULTRA SHORT TERM FUND - DIRECT PLAN - MONTHLY IDCW REINVESTMENT 7.5 92.5 DIRECT No
3736 UNEFDR-DR INF582M01112 UNION FLEXICAP FUND - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3737 SB246D-DP INF200K01HC7 SBI GOLD FUND -IDCW PAYOUT 7.5 92.5 NORMAL No
3738 ICICI1816-DP INF109K01TL6 ICICI PRUDENTIAL REGULAR GOLD SAVINGS FUND (FOF) - IDCW PAYOUT 7.5 92.5 NORMAL No
3739 8131-DR INF109K01U84 ICICI PRUDENTIAL REGULAR GOLD SAVINGS FUND (FOF) - DIRECT PLAN - IDCW REINVESTMENT 7.5 92.5 DIRECT No
3740 AXFXS124-DR INF846K01AN9 AXIS GOLD FUND - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3741 GOD1-DR INF846K01DR4 AXIS GOLD FUND - DIRECT PLAN - IDCW REINVESTMENT 7.5 92.5 DIRECT No
3742 INBCDP-DR INF666M01170 GROWW LARGE CAP FUND - REGULAR PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3743 409-DP INF090I01EU5 FRANKLIN INDIA FEEDER - FRANKLIN U.S. OPPORTUNITIES FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
3744 FR495-DP INF090I01JQ2 FRANKLIN INDIA FEEDER - FRANKLIN U.S. OPPORTUNITIES FUND - DIRECT IDCW PAYOUT 7.5 92.5 DIRECT No
3745 BSL916DR-DR INF209K01PH0 ADITYA BIRLA SUN LIFE GOLD FUND - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3746 AXFXS154-DR-Q INF846K01BS6 AXIS STRATEGIC BOND FUND - REGULAR QUARTERLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3747 IFDQ-DR INF846K01DX2 AXIS STRATEGIC BOND FUND - DIRECT PLAN - QUARTERLY IDCW REINVESTMENT 7.5 92.5 DIRECT No
3748 AXBDWD-DR INF846K01CE4 AXIS BANKING AND PSU DEBT FUND - REGULAR WEEKLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3749 AXFBDDR-DR INF846K01CG9 AXIS BANKING AND PSU DEBT FUND - REGULAR MONTHLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3750 BDDM-DR INF846K01CS4 AXIS BANKING AND PSU DEBT FUND - DIRECT MONTHLY IDCW REINVESTMENT 7.5 92.5 DIRECT No
Approved Securities List for the Month of April 2024
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
3751 AXFAFDP-DR INF846K01CJ3 AXIS FOCUSED 25 FUND REGULAR IDCW REINVESTMENT collateral margin of Rs. 7.5 92.5 NORMAL No
3752 AFD1-DR INF846K01CP0 AXIS FOCUSED 25 FUND - DIRECT IDCW REINVESTMENT 7.5 92.5 DIRECT No
3753 ICICI1951-DP INF109K01E50 ICICI PRUDENTIAL US BLUECHIP EQUITY FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
3754 8134-DP INF109K01Z63 ICICI PRUDENTIAL US BLUECHIP EQUITY FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
3755 DS738-DR INF740K01OJ3 DSP US FLEXIBLE EQUITY FUND - DIRECT PLAN - IDCW REINVESTMENT 7.5 92.5 DIRECT No
3756 K194-DR INF174K01EF4 KOTAK CREDIT RISK FUND - REGULAR PLAN - STANDARD - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3757 UTICODPR-DR INF789F01RB0 UTI CREDIT RISK FUND-REGULAR PLAN QUARTERLY DIVIDEND-IDCW REINVESTMENT 7.5 92.5 NORMAL No
3758 PEFD-DR INF277K01923 TATA LARGE CAP FUND REGULAR IDCW REINVESTMENT 7.5 92.5 NORMAL No
3759 TAPEFDZ-DP INF277K01QY0 TATA LARGE CAP FUND DIRECT PLAN IDCW PAYOUT 7.5 92.5 DIRECT No
3760 SSFD-DR INF277K01949 TATA ETHICAL FUND REGULAR PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3761 TASSFDZ-DP INF277K01NF6 TATA ETHICAL FUND DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
3762 GROD-DR INF277K01642 TATA MID CAP GROWTH FUND REGULAR PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3763 TAGRODZ-DP INF277K01PX4 TATA MID CAP GROWTH FUND DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
3764 EOD-DR INF277K01410 TATA LARGE AND MID CAP FUND REGULAR PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3765 TAEODZ-DP INF277K01MJ0 TATA LARGE AND MID CAP FUND DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
3766 EPED-DR INF277K01444 TATA EQUITY P/E FUND REGULAR PLAN - IDCW TRIGGER B (10%) REINVESTMENT 7.5 92.5 NORMAL No
3767 EPE5-DR INF277K01436 TATA EQUITY P/E FUND REGULAR PLAN - IDCW TRIGGER A (5%) REINVESTMENT 7.5 92.5 NORMAL No
3768 TAEPE5Z-DP INF277K01NA7 TATA EQUITY P/E FUND DIRECT PLAN - IDCW TRIGGER A (5%) PAYOUT 7.5 92.5 DIRECT No
3769 TAEPEDZ-DP INF277K01NC3 TATA EQUITY P/E FUND DIRECT PLAN - IDCW TRIGGER B (10%) PAYOUT 7.5 92.5 DIRECT No
3770 INFD-DR INF277K01774 TATA INFRASTRUCTURE FUND REGULAR PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3771 TAINFDZ-DP INF277K01PP0 TATA INFRASTRUCTURE FUND DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
3772 FLW-DR INF277K01MB7 TATA TREASURY ADVANTAGE FUND REGULAR PLAN - WEEKLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3773 STD-DR INF277K01964 TATA SHORT TERM BOND FUND REGULAR PLAN - MONTHLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3774 TASTDZ-DP INF277K01QQ6 TATA SHORT TERM BOND FUND DIRECT PLAN - MONTHLY IDCW PAYOUT 7.5 92.5 DIRECT No
3775 TASTPDZ-DP INF277K01P46 TATA SHORT TERM BOND FUND DIRECT PLAN PERIODIC IDCW PAYOUT 7.5 92.5 DIRECT No
3776 TASTPD-DP INF277K01P20 TATA SHORT TERM BOND FUND REGULAR PLAN - PERIODIC IDCW PAYOUT 7.5 92.5 NORMAL No
3777 IDFC281-DR INF194K012D2 BANDHAN BANKING AND PSU DEBT FUND-REGULAR PLAN-IDCW REINVESTMENT 7.5 92.5 NORMAL No
3778 MFDP-DR INF247L01163 MOTILAL OSWAL FOCUSED FUND - REGULAR IDCW REINVESTMENT 7.5 92.5 NORMAL No
3779 MFPD-DRD INF247L01197 MOTILAL OSWAL FOCUSED FUND - DIRECT IDCW REINVESTMENT 7.5 92.5 DIRECT No
3780 K11-DR INF174K01FP0 KOTAK BANKING AND PSU FUND - MONTHLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3781 PRMOD1-DR INF663L01DX9 PGIM INDIA MIDCAP OPPORTUNITIES FUND - DIRECT PLAN - IDCW REINVESTMENT 7.5 92.5 DIRECT No
3782 MODP-DR INF663L01EB3 PGIM INDIA MIDCAP OPPORTUNITIES FUND - REGULAR PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3783 AXSCD1-DR INF846K01K50 AXIS SMALL CAP FUND - DIRECT PLAN IDCW REINVESTMENT 7.5 92.5 DIRECT No
3784 AXSCDP-DR INF846K01K27 AXIS SMALL CAP FUND - REGULAR PLAN IDCW REINVESTMENT 7.5 92.5 NORMAL No
3785 SB346D-DP INF200K01T44 SBI SMALL CAP FUND REGULAR IDCW PAYOUT 7.5 92.5 NORMAL No
3786 SBD346D-DP INF200K01T77 SBI SMALL CAP FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
3787 1180C-DR INF209K012W5 ADITYA BIRLA SUN LIFE BANKING AND FINANCIAL SERVICES FUND - REGULAR PLAN - IDCW REINVESTMENT
7.5 92.5 NORMAL No
3788 BS1180Z-DR INF209K015W8 ADITYA BIRLA SUN LIFE BANKING AND FINANCIAL SERVICES FUND - IDCW REINVESTMENT DIRECT 7.5 92.5 DIRECT No
3789 SHRI102-DP INF680P01034 SHRIRAM AGGRESSIVE HYBRID FUND REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
3790 DS814-DR INF740K01L07 DSP DYNAMIC ASSET ALLOCATION FUND - DIR - MONTHLY - IDCW REINVESTMENT 7.5 92.5 DIRECT No
3791 541-DR INF740K01K73 DSP DYNAMIC ASSET ALLOCATION FUND - REGULAR PLAN - MONTHLY - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3792 BPDP-DR INF789F013Z1 UTI BANKING & PSU FUND-REGULAR PLAN-REGULAR PLAN - QUARTERLY -IDCW REINVESTMENT 7.5 92.5 NORMAL No
3793 UTBPFDR-DR INF789FA1U79 UTI BANKING AND PSU FUND REGULAR PLANFLEXI IDCW REINVESTMENT 7.5 92.5 NORMAL No
3794 FMDP-DR INF247L01429 MOTILAL OSWAL MIDCAP FUND - REGULAR IDCW REINVESTMENT 7.5 92.5 NORMAL No
3795 MOFMPD-DR INF247L01452 MOTILAL OSWAL MIDCAP FUND - DIRECT IDCW REINVESTMENT 7.5 92.5 DIRECT No
3796 BXBA140-DR INF761K01BQ1 BANK OF INDIA BALANCED ADVANTAGE FUND - REGULAR IDCW REINVESTMENT 7.5 92.5 NORMAL No
3797 KO50-DP INF174K01VP7 KOTAK MEDIUM TERM FUND - REGULAR PLAN - STANDARD - IDCW PAYOUT 7.5 92.5 NORMAL No
3798 KO50D-DR INF174K01VU7 KOTAK MEDIUM TERM FUND - DIRECT PLAN - STANDARD - IDCW REINVESTMENT 7.5 92.5 DIRECT No
3799 HDCDNRT-DR INF179KA1I53 HDFC CREDIT RISK DEBT FUND - DIRECT PLAN - NORMAL IDCW REINVESTMENT 7.5 92.5 DIRECT No
3800 HDCDNRR-DR INF179KA1I79 HDFC CREDIT RISK DEBT FUND - REGULAR PLAN - NORMAL IDCW REINVESTMENT 7.5 92.5 NORMAL No
3801 CDORR-DR INF179KA1GE6 HDFC CREDIT RISK DEBT FUND - REGULAR - QUARTERLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3802 CDORT-DR INF179KA1GB2 HDFC CREDIT RISK DEBT FUND- DIRECT - QUARTERLY IDCW REINVESTMENT 7.5 92.5 DIRECT No
3803 HBPRT-DR INF179KA1JB6 HDFC BANKING AND PSU DEBT FUND - DIRECT PLAN- IDCW REINVESTMENT OPTION 7.5 92.5 DIRECT No
3804 HBPRR-DR INF179KA1JE0 HDFC BANKING AND PSU DEBT FUND - REGULAR IDCW REINVESTMENT OPTION 7.5 92.5 NORMAL No
3805 CPPD-DR INF247L01510 MOTILAL OSWAL FLEXI CAP FUND - DIRECT IDCW REINVESTMENT 7.5 92.5 DIRECT No
3806 CPDP-DR INF247L01486 MOTILAL OSWAL FLEXI CAP FUND - REGULAR IDCW REINVESTMENT 7.5 92.5 NORMAL No
3807 539-DR INF903J01F84 SUNDARAM INFRASTRUCTURE ADVANTAGE FUND-REGULAR PLAN-IDCW REINVESTMENT 7.5 92.5 NORMAL No
3808 SU540-DR INF903J01G18 SUNDARAM INFRASTRUCTURE ADVANTAGE FUND DIRECT IDCW REINVESTMENT 7.5 92.5 DIRECT No
3809 8574-DP INF109KA1UC6 ICICI PRUDENTIAL DIVIDEND YIELD EQUITY FUND DIRECT PLAN IDCW PAYOUT 7.5 92.5 DIRECT No
3810 2374-DR INF109KA1TZ9 ICICI PRUDENTIAL DIVIDEND YIELD EQUITY FUND - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3811 UNSMFR-DR INF582M01BZ8 UNION SMALL CAP FUND REGULAR PLAN-IDCW REINVESTMENT 7.5 92.5 NORMAL No
3812 CBQP-DR INF204KA1QD6 NIPPON INDIA STRATEGIC DEBT FUND- IDCW REINVESTMENT 7.5 92.5 NORMAL No
3813 EDATDP-DR INF754K01EH9 EDELWEISS ARBITRAGE FUND IDCW REINVESTMENT 7.5 92.5 NORMAL No
3814 EDATDDR-DR INF754K01EC0 EDELWEISS ARBITRAGE FUND DIRECT PLAN IDCW REINVESTMENT 7.5 92.5 DIRECT No
3815 EDATMD-DR INF754K01HU5 EDELWEISS ARBITRAGE FUND-REGULAR PLAN-MONTHLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3816 EDATMR-DR INF754K01HX9 EDELWEISS ARBITRAGE FUND-DIRECT PLAN-MONTHLY IDCW REINVESTMENT 7.5 92.5 DIRECT No
3817 AXIODP-DR INF846K01PS6 AXIS CREDIT RISK FUND - REGULAR PLAN MONTHLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3818 DS544-DR INF740K01Z43 DSP GLOBAL ALLOCATION FUND - REGULAR - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3819 HDACDPR-DR INF179KA1SB7 HDFC SMALL CAP FUND - REGULAR PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3820 HDACD1R-DR INF179KA1RY1 HDFC SMALL CAP FUND - DIRECT PLAN - IDCW REINVESTMENT 7.5 92.5 DIRECT No
3821 AXEAD1-DR INF846K01QB0 AXIS ARBITRAGE FUND - DIRECT PLAN - IDCW REINVESTMENT 7.5 92.5 DIRECT No
3822 AXEADP-DR INF846K01QE4 AXIS ARBITRAGE FUND - REGULAR PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3823 ID300R-DR INF194KA1UG3 BANDHAN BALANCED ADVANTAGE FUND REGULAR PLAN IDCW REINVESTMENT 7.5 92.5 NORMAL No
3824 KM36-DP INF174K01D02 KOTAK EQUITY SAVINGS FUND - REGULAR PLAN - MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
3825 KO36D-DR INF174K01D51 KOTAK EQUITY SAVINGS FUND - DIRECT PLAN - MONTHLY IDCW REINVESTMENT 7.5 92.5 DIRECT No
3826 IFIGDDR-DR INF579M01928 360 ONE FOCUSED EQUITY FUND DIRECT PLAN- IDCW REINVESTMENT 7.5 92.5 DIRECT No
3827 IFIGRDR-DR INF579M01894 360 ONE FOCUSED EQUITY FUND REGULAR PLAN- IDCW REINVESTMENT 7.5 92.5 NORMAL No
3828 BS106D-DP INF084M01AD4 ADITYA BIRLA SUN LIFE BALANCED ADVANTAGE FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
3829 BSD106-DP INF084M01DL1 ADITYA BIRLA SUN LIFE BALANCED ADVANTAGE FUND DIRECT PLAN IDCW PAYOUT OPTION 7.5 92.5 DIRECT No
3830 BS103C-DP INF084M01AG7 ADITYA BIRLA SUN LIFE ASSET ALLOCATOR FOF SCHEME - IDCW PAYOUT 7.5 92.5 NORMAL No
3831 BS373-DP INF084M01BB6 ADITYA BIRLA SUN LIFE GLOBAL EXCELLENCE EQUITY FUND OF FUND RETAIL PLAN IDCW PAYOUT 7.5 92.5 NORMAL No
3832 BS1049-DR INF084M01AV6 ADITYA BIRLA SUN LIFE GLOBAL EMERGING OPPORTUNITIES FUND IDCW REINVESTMENT 7.5 92.5 NORMAL No
3833 FT614-DP INF090I01LG9 FRANKLIN INDIA MULTI-ASSET SOLUTION FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
3834 BS249Z-DR INF209KA1TR5 ADITYA BIRLA SUN LIFE EQUITY SAVINGS FUND - IDCW REINVESTMENT DIRECT 7.5 92.5 DIRECT No
3835 BSL249C-DR INF209KA1TU9 ADITYA BIRLA SUN LIFE EQUITY SAVINGS FUND REGULAR PLAN IDCW REINVESTMENT 7.5 92.5 NORMAL No
3836 IC8760-DP INF109KA16J8 ICICI PRUDENTIAL EQUITY SAVINGS FUND DIRECT PLAN QUARTERLY IDCW PAYOUT 7.5 92.5 DIRECT No
3837 IC2558-DP INF109KA19I4 ICICI PRUDENTIAL EQUITY SAVINGS FUND QUARTERLY IDCW PAYOUT 7.5 92.5 NORMAL No
3838 BS250Z-DR INF209KA1YM6 ADITYA BIRLA SUN LIFE MANUFACTURING EQUITY FUND-DIRECT IDCW REINVESTMENT 7.5 92.5 DIRECT No
3839 BS250C-DR INF209KA1YJ2 ADITYA BIRLA SUN LIFE MANUFACTURING EQUITY FUND-REGULAR PLAN-IDCW REINVESTMENT 7.5 92.5 NORMAL No
3840 LCMCD1-DR INF767K01NF6 LIC MF LARGE AND MIDCAP FUND-DIRECT PLAN-IDCW REINVESTMENT 7.5 92.5 DIRECT No
3841 LCMCDP-DR INF767K01NC3 LIC MF LARGE AND MIDCAP FUND-REGULAR PLAN-IDCW REINVESTMENT 7.5 92.5 NORMAL No
3842 KO208MD-DP INF178L01BP8 KOTAK CORPORATE BOND FUND STANDARD MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
3843 KOP03D-DP INF178L01087 KOTAK INFRASTRUCTURE AND ECONOMIC REFORM FUND STANDARD IDCW PAYOUT 7.5 92.5 NORMAL No
3844 KOP03DD-DR INF178L01AJ3 KOTAK INFRASTRUCTURE AND ECONOMIC REFORM FUND - DIRECT PLAN - IDCW REINVESTMENT 7.5 92.5 DIRECT No
3845 KO205MD-DP INF178L01228 KOTAK LOW DURATION FUND - REGULAR PLAN - STANDARD - IDCW PAYOUT 7.5 92.5 NORMAL No
3846 KO205MDD-DP INF178L01AY2 KOTAK LOW DURATION FUND - DIRECT PLAN STANDARD - IDCW PAYOUT 7.5 92.5 DIRECT No
3847 PRDED1-DR INF663L01FH7 PGIM INDIA FLEXI CAP FUND - DIRECT PLAN - IDCW REINVESTMENT 7.5 92.5 DIRECT No
3848 PRDEDP-DR INF663L01FL9 PGIM INDIA FLEXI CAP FUND - REGULAR PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3849 SB464D-DP INF200KA1499 SBI BANKING AND FINANCIAL SERVICES FUND - REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
3850 LCBKDP-DR INF767K01NI0 LIC MF BANKING AND FINANCIAL SERVICES FUND-DIVIDEND PLAN-IDCW REINVESTMENT 7.5 92.5 NORMAL No
3851 SUN156-DR INF903J01IR4 SUNDARAM BANKING AND PSU DEBT FUND REGULAR MONTHLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3852 BS380Z-DR INF209KA1L04 ADITYA BIRLA SUN LIFE CREDIT RISK FUND - IDCW REINVESTMENT DIRECT 7.5 92.5 DIRECT No
3853 BL380C-DP INF209KA1K62 ADITYA BIRLA SUN LIFE CREDIT RISK FUND - IDCW REINVESTMENT REGULAR 7.5 92.5 NORMAL No
3854 RLBPDP-DR INF204KA1T80 NIPPON INDIA BANKING AND PSU DEBT FUND - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3855 RLBPMP-DR INF204KA1U46 NIPPON INDIA BANKING AND PSU DEBT FUND - MONTHLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3856 RLESDP-DR INF204KA1W28 NIPPON INDIA EQUITY SAVINGS FUND--IDCW REINVESTMENT 7.5 92.5 NORMAL No
3857 RLESMP-DR INF204KA1W69 NIPPON INDIA EQUITY SAVINGS FUND--MONTHLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3858 RLESQP-DR INF204KA1W44 NIPPON INDIA EQUITY SAVINGS FUND--QUARETRLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3859 SB473MR-DP INF200KA1DC0 SBI EQUITY SAVINGS FUND - REGULAR PLAN - MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
3860 SB473QD-DP INF200KA1DE6 SBI EQUITY SAVINGS FUND - REGULAR PLAN - QUARTERLY IDCW PAYOUT 7.5 92.5 NORMAL No
3861 MAFPFD2-DR INF769K01DJ5 MIRAE ASSET AGGRESSIVE HYBRID FUND - DIRECT PLAN - IDCW REINVESTMENT 7.5 92.5 DIRECT No
3862 MAPFRD-DR INF769K01DG1 MIRAE ASSET AGGRESSIVE HYBRID FUND - REGULAR PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3863 RLUEDP-DR INF204KA14G8 NIPPON INDIA US EQUITY OPPORTUNITIES FUND--DIVIDEND PLAN-IDCW REINVESTMENT 7.5 92.5 NORMAL No
Approved Securities List for the Month of April 2024
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
3864 RLUEAD-DR INF204KA17G1 collateral margin of Rs. 7.5
NIPPON INDIA US EQUITY OPPORTUNITES FUND - DIRECT IDCW REINVESTMENT 92.5 DIRECT No
3865 AXESRD-DR INF846K01XS0 AXIS EQUITY SAVER FUND - REGULAR PLAN - REGULAR IDCW REINVESTMENT 7.5 92.5 NORMAL No
3866 AXESDM-DR INF846K01VL9 AXIS EQUITY SAVER FUND DIRECT MONTHLY IDCW REINVESTMENT 7.5 92.5 DIRECT No
3867 AXESDP-DR INF846K01VQ8 AXIS EQUITY SAVER FUND REGULAR PLAN MONTHLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3868 AXESQD-DR INF846K01VS4 AXIS EQUITY SAVER FUND REGULAR PLAN QUARTERLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3869 ESMCDPR-DP INF959L01CM6 NAVI LARGE AND MIDCAP FUND - REGULAR NORMAL IDCW PAYOUT 7.5 92.5 NORMAL No
3870 IDD305R-DR INF194KA1S50 BANDHAN CORPORATE BOND FUND DIRECT PLAN-MONTHLY IDCW REINVESTMENT 7.5 92.5 DIRECT No
3871 ID305R-DR INF194KA1R36 BANDHAN CORPORATE BOND FUND-REGULAR PLAN -MONTHLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3872 DS564-DR INF740KA1454 DSP EQUITY SAVINGS FUND - REG - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3873 PRFEDP-DR INF663L01GV6 PGIM INDIA LARGE CAP FUND - REGULAR PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3874 PRFED2-DR INF663L01GT0 PGIM INDIA LARGE CAP FUND - DIRECT PLAN - IDCW REINVESTMENT 7.5 92.5 DIRECT No
3875 DWMARM-DR INF223J01FD3 PGIM INDIA EQUITY SAVINGS FUND - REGULAR PLAN - MONTHLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3876 PRIODP-DR INF663L01HB6 PGIM INDIA HYBRID EQUITY FUND - REGULAR PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3877 PRIOMD-DR INF663L01NZ3 PGIM INDIA HYBRID EQUITY FUND - REGULAR PLAN - MONTHLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3878 DWARMDR-DR INF223J015M4 PGIM INDIA ARBITRAGE FUND - REGULAR PLAN - MONTHLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3879 BAMCRD-DR INF761K01DR5 BANK OF INDIA MID & SMALL CAP EQUITY & DEBT FUND REGULAR - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3880 BAMCDD-DR INF761K01DO2 BANK OF INDIA MID & SMALL CAP EQUITY & DEBT FUND DIRECT PLAN - IDCW REINVESTMENT 7.5 92.5 DIRECT No
3881 MODEAD-DR INF247L01627 MOTILAL OSWAL BALANCE ADVANTAGE FUND - REGULAR ANNUAL IDCW REINVESTMENT 7.5 92.5 NORMAL No
3882 MODEDQ-DR INF247L01668 MOTILAL OSWAL BALANCE ADVANTAGE FUND - DIRECT QUARTERLY IDCW REINVESTMENT 7.5 92.5 DIRECT No
3883 MODEQD-DR INF247L01619 MOTILAL OSWAL BALANCE ADVANTAGE FUND - REGULAR QUARTERLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3884 EDEFRD-DR INF843K01062 EDELWEISS LARGE AND MID CAP FUND - REGULAR PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3885 EDEFD2-DR INF843K01AN6 EDELWEISS LARGE AND MID CAP FUND - DIRECT PLAN IDCW REINVESTMENT 7.5 92.5 DIRECT No
3886 EDMSRD-DR INF843K01039 EDELWEISS MID CAP FUND - REGULAR PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3887 EDMSD2-DR INF843K01AQ9 EDELWEISS MID CAP FUND - DIRECT PLAN IDCW REINVESTMENT 7.5 92.5 DIRECT No
3888 EDEIRD-DR INF843K01KJ3 EDELWEISS EQUITY SAVINGS FUND - REGULAR PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3889 EDEIMR-DR INF754K01IQ1 EDELWEISS EQUITY SAVINGS ADVANTAGE FUND -REGULAR PLAN MONTHLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3890 EDERRD-DR INF843K01KP0 EDELWEISS FLEXI CAP FUND - REGULAR IDCW REINVESTMENT 7.5 92.5 NORMAL No
3891 IDD312R-DR INF194KA1U72 BANDHAN HYBRID EQUITY FUND DIRECT PLAN-IDCW REINVESTMENT 7.5 92.5 DIRECT No
3892 ID312R-DR INF194KA1U31 BANDHAN HYBRID EQUITY FUND REGULAR PLAN-IDCW REINVESTMENT 7.5 92.5 NORMAL No
3893 MHMDYRD-DP INF174V01176 MAHINDRA MANULIFE EQUITY SAVINGS FUND - REGULAR - IDCW PAYOUT 7.5 92.5 NORMAL No
3894 MADBRD-DR INF769K01DQ0 MIRAE ASSET DYNAMIC BOND FUND-REGULAR PALN IDCW REINVESTMENT 7.5 92.5 NORMAL No
3895 MHMBYDD-DP INF174V01358 MAHINDRA MANULIFE MULTI CAP FUND - DIRECT - IDCW PAYOUT 7.5 92.5 DIRECT No
3896 MHMBYRD-DP INF174V01325 MAHINDRA MANULIFE MULTI CAP FUND - REGULAR - IDCW PAYOUT 7.5 92.5 NORMAL No
3897 UNFLFRD-GR INF582M01CW3 UNION LARGECAP FUND DIRECT PLAN-IDCW REINVESTMENT 7.5 92.5 DIRECT No
3898 UNFLFR-GR INF582M01CS1 UNION LARGECAP FUND REGULAR PLAN IDCW REINVESTMENT 7.5 92.5 NORMAL No
3899 AXCODP-DR INF846K01ZZ0 AXIS CORPORATE DEBT FUND - REGULAR PLAN MONTHLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3900 AXDED1-DR INF846K01A45 AXIS BALANCED ADVANTAGE FUND DIRECT PLAN IDCW REINVESTMENT 7.5 92.5 DIRECT No
3901 AXDEDP-DR INF846K01A78 AXIS BALANCED ADVANTAGE FUND REGULAR PLAN IDCW REINVESTMENT 7.5 92.5 NORMAL No
3902 DS575-DR INF740KA1CQ9 DSP NIFTY 50 EQUAL WEIGHT INDEX FUND - REG - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3903 DS844-DR INF740KA1CT3 DSP NIFTY 50 EQUAL WEIGHT INDEX FUND - DIR - IDCW REINVESTMENT 7.5 92.5 DIRECT No
3904 HDHODTR-DR INF179KC1AW9 HDFC HOUSING OPPORTUNITIES FUND - DIRECT PLAN - IDCW REINVESTMENT OPTION 7.5 92.5 DIRECT No
3905 HDHODRR-DR INF179KC1AZ2 HDFC HOUSING OPPORTUNITIES FUND - REGULAR PLAN - IDCW REINVESTMENT OPTION 7.5 92.5 NORMAL No
3906 AXMLD1-DR INF846K01B10 AXIS FLEXI CAP FUND DIRECT PLAN IDCW REINVESTMENT 7.5 92.5 DIRECT No
3907 AXMLDP-DR INF846K01B44 AXIS FLEXI CAP FUND REGULAR PLAN IDCW REINVESTMENT 7.5 92.5 NORMAL No
3908 UNPFR-DR INF582M01DJ8 UNION BALANCED ADVANTAGE FUND REG PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3909 MHEBYRD-DP INF174V01481 MAHINDRA MANULIFE MID CAP FUND - REGULAR - IDCW PAYOUT 7.5 92.5 NORMAL No
3910 MHEBYDD-DP INF174V01515 MAHINDRA MANULIFE MID CAP FUND - DIRECT - IDCW PAYOUT 7.5 92.5 DIRECT No
3911 DS580-DR INF740KA1DM6 DSP ARBITRAGE FUND - REG - MONTHLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3912 DS847-DR INF740KA1DP9 DSP ARBITRAGE FUND - DIR - IDCW REINVESTMENT 7.5 92.5 DIRECT No
3913 DS578-DR INF740KA1DK0 DSP ARBITRAGE FUND - REG - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3914 DS849-DR INF740KA1DR5 DSP ARBITRAGE FUND - DIR - MONTHLY IDCW REINVESTMENT 7.5 92.5 DIRECT No
3915 EDMORD-DR INF754K01MJ8 EDELWEISS RECENTLY LISTED IPO FUND - REGULAR PLAN - IDCW - REINVESTMENT 7.5 92.5 NORMAL No
3916 EDMODD-DR INF754K01MN0 EDELWEISS RECENTLY LISTED IPO FUND - DIRECT PLAN - IDCW - REINVESTMENT 7.5 92.5 DIRECT No
3917 ESEHDPR-DP INF959L01DK8 NAVI EQUITY HYBRID FUND - REGULAR PLAN NORMAL IDCW PAYOUT 7.5 92.5 NORMAL No
3918 BPUSD5-DR INF955L01HB6 BARODA BNP PARIBAS ULTRA SHORT DURATION FUND - DIRECT PLAN WEEKLY IDCW REINVESTMENT 7.5 92.5 DIRECT No
3919 CPMP-DR INF204K01UG3 NIPPON INDIA ULTRA SHORT DURATION FUND - MONTHLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3920 RGEBDP-DR INF205K012Q1 INVESCO INDIA AGGRESSIVE HYBRID FUND - REGULAR PLAN IDCW REINVESTMENT 7.5 92.5 NORMAL No
3921 BAAFDM-DR INF761K01EF8 BANK OF INDIA ARBITRAGE FUND - DIRECT PLAN - MONTHLY IDCW REINVESTMENT 7.5 92.5 DIRECT No
3922 RLNLAM-DR INF204KB1YU3 NIPPON INDIA NIVESH LAKSHYA FUND - DIRECT MONTHLY IDCW REINVESTMENT 7.5 92.5 DIRECT No
3923 RLNLAR-DR INF204KB1YS7 NIPPON INDIA NIVESH LAKSHYA FUND - DIRECT IDCW REINVESTMENT 7.5 92.5 DIRECT No
3924 RLNLAQ-DR INF204KB1YW9 NIPPON INDIA NIVESH LAKSHYA FUND - DIRECT QUARTERLY IDCW REINVESTMENT 7.5 92.5 DIRECT No
3925 RLNLAD-DR INF204KB1ZA2 NIPPON INDIA NIVESH LAKSHYA FUND - DIRECT ANNUAL IDCW REINVESTMENT 7.5 92.5 DIRECT No
3926 MAHCRD-DR INF769K01EC8 MIRAE ASSET HEALTHCARE FUND - REGULAR PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3927 ESMFDP-DR INF959L01EG4 NAVI FLEXI CAP FUND? REGULAR PLAN NORMAL IDCW REINVESTMENT 7.5 92.5 NORMAL No
3928 IDD330-DR INF194KA19R7 BANDHAN ULTRA SHORT TERM FUND DIRECT PLAN -DAILY-IDCW REINVESTMENT 7.5 92.5 DIRECT No
3929 IDD331R-DR INF194KA12S0 BANDHAN ULTRA SHORT TERM FUND DIRECT PLAN -MONTHLY-IDCW REINVESTMENT 7.5 92.5 DIRECT No
3930 ID331R-DR INF194KA16Q5 BANDHAN ULTRA SHORT TERM FUND REGULAR PLAN-MONTHLY-IDCW REINVESTMENT 7.5 92.5 NORMAL No
3931 KO478D-DP INF174KA1202 KOTAK BALANCED ADVANTAGE FUND -DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
3932 KO478-DP INF174KA1178 KOTAK BALANCED ADVANTAGE FUND -REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
3933 AXEHRD-DR INF846K01E82 AXIS EQUITY HYBRID FUND - REGULAR PLAN REGULAR IDCW REINVESTMENT 7.5 92.5 NORMAL No
3934 AXEHDM-DR INF846K01E41 AXIS EQUITY HYBRID FUND - DIRECT PLAN MONTHLY IDCW REINVESTMENT 7.5 92.5 DIRECT No
3935 AXEHDP-DR INF846K01F16 AXIS EQUITY HYBRID FUND - REGULAR PLAN MONTHLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3936 AXEHQD-DR INF846K01F32 AXIS EQUITY HYBRID FUND - REGULAR PLAN QUARTERLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3937 FR777-DP INF090I01OY6 FRANKLIN INDIA EQUITY SAVINGS FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
3938 FR783-DP INF090I01PI6 FRANKLIN INDIA EQUITY SAVINGS FUND - QTR IDCW PAYOUT 7.5 92.5 NORMAL No
3939 FR781-DP INF090I01PE5 FRANKLIN INDIA EQUITY SAVINGS FUND - MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
3940 UTESDP-DR INF789F1A728 UTI EQUITY SAVINGS FUND - REGULAR IDCW REINVESTMENT 7.5 92.5 NORMAL No
3941 UTESQD-DR INF789F1A827 UTI EQUITY SAVINGS FUND - REGULAR QUARTERLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3942 DS584-DR INF740KA1JZ5 DSP CORPORATE BOND FUND - REGULAR - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3943 AXUSDW-DR INF846K01F65 AXIS ULTRA SHORT TERM FUND - DIRECT PLAN WEEKLY IDCW REINVESTMENT 7.5 92.5 DIRECT No
3944 AXUSDP-DR INF846K01G64 AXIS ULTRA SHORT TERM FUND - REGULAR PLAN MONTHLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3945 AXUSWD-DR INF846K01G49 AXIS ULTRA SHORT TERM FUND - REGULAR PLAN WEEKLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3946 SH104-DP INF680P01091 SHRIRAM FLEXI CAP FUND REGULAR - IDCW PAYOUT 7.5 92.5 NORMAL No
3947 HDUSRRM-DR INF179KB15R4 HDFC ULTRA SHORT TERM FUND - REGULAR PLAN - MONTHLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3948 AXOGD1-DR INF846K01J61 AXIS GROWTH OPPORTUNITIES FUND - DIRECT PLAN IDCW REINVESTMENT 7.5 92.5 DIRECT No
3949 AXOGDP-DR INF846K01J95 AXIS GROWTH OPPORTUNITIES FUND - REGULAR PLAN IDCW REINVESTMENT 7.5 92.5 NORMAL No
3950 RGSCD2-DR INF205K015T8 INVESCO INDIA SMALL CAP FUND - DIRECT IDCW REINVESTMENT 7.5 92.5 DIRECT No
3951 RGSCDP-DR INF205K014T1 INVESCO INDIA SMALL CAP FUND - REGULAR IDCW REINVESTMENT 7.5 92.5 NORMAL No
3952 UTFNAD-DR INF789F1ACS5 UTI FLOATER FUND-REGULAR ANNUAL IDCW REINVESTMENT 7.5 92.5 NORMAL No
3953 UTFNQD-DR INF789F1ACQ9 UTI FLOATER FUND-REGULAR QUARTERLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3954 MHMRBRD-DP INF174V01648 MAHINDRA MANULIFE CONSUMPTION FUND - REGULAR - IDCW PAYOUT 7.5 92.5 NORMAL No
3955 BPDEDP-DR INF955L01HE0 BARODA BNP PARIBAS BALANCED ADVANTAGE FUND - REGULAR IDCW REINVESTMENT 7.5 92.5 NORMAL No
3956 BPDED1-DR INF955L01HH3 BARODA BNP PARIBAS BALANCED ADVANTAGE FUND - DIRECT IDCW REINVESTMENT 7.5 92.5 DIRECT No
3957 BS1055-DP INF084M01069 ADITYA BIRLA SUN LIFE FINANCIAL PLANNING FOF - CONSERVATIVE PLAN- IDCW PAYOUT 7.5 92.5 NORMAL No
3958 BS1058-DP INF084M01093 ADITYA BIRLA SUN LIFE FINANCIAL PLANNING FOF - MODERATE PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
3959 HSMSGDPP-DP INF336L01IF8 HSBC MANAGED SOLUTIONS INDIA MODERATE FUND IDCW PAYOUT 7.5 92.5 NORMAL No
3960 LCIFDP-DR INF767K01113 LIC MF INDEX FUND SENSEX-DIVIDEND-IDCW REINVESTMENT 7.5 92.5 NORMAL No
3961 LCIFD1-DDR INF767K01FK2 LIC MF INDEX FUND SENSEX-DIRECT - DIVIDEND PLAN-IDCW REINVESTMENT 7.5 92.5 DIRECT No
3962 LCINND-DR INF767K01147 LIC NIFTY 50 INDEX FUND - REGULAR PLAN - IDCW - REINVESTMENT 7.5 92.5 NORMAL No
3963 LCIND1-DDR INF767K01FH8 LIC NIFTY 50 INDEX FUND - DIRECT PLAN - IDCW - REINVESTMENT 7.5 92.5 DIRECT No
3964 HSMISQPP-DP INF336L01IL6 HSBC MANAGED SOLUTIONS INDIA CONSERVATIVE FUND IDCW PAYOUT 7.5 92.5 NORMAL No
3965 BS1061-DR INF084M01127 ADITYA BIRLA SUN LIFE FINANCIAL PLANNING FOF - AGGRESSIVE PLAN-IDCW REINVESTMENT 7.5 92.5 NORMAL No
3966 DS594-DR INF740KA1LF3 DSP HEALTHCARE FUND - REGULAR - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3967 DS862-DR INF740KA1LI7 DSP HEALTHCARE FUND - DIRECT - IDCW REINVESTMENT 7.5 92.5 DIRECT No
3968 017-DR INF200K01297 SBI LARGE AND MIDCAP FUND REGULAR IDCW REINVESTMENT 7.5 92.5 NORMAL No
3969 021-DR INF200K01263 SBI MAGNUM GLOBAL FUND - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3970 24-DR INF200K01123 SBI EQUITY HYBRID FUND REGULAR IDCW REINVESTMENT 7.5 92.5 NORMAL No
3971 035-DR INF200K01461 SBI HEALTHCARE OPPORTUNITIES FUND REGULAR IDCW REINVESTMENT 7.5 92.5 NORMAL No
3972 036-DR INF200K01354 SBI CONTRA FUND - REGULAR PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3973 055B-DR INF200K01552 SBI NIFTY INDEX FUND - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3974 SB069D-DP INF200K01735 SBI MAGNUM MEDIUM DURATION FUND REGULAR IDCW PAYOUT 7.5 92.5 NORMAL No
3975 SB074D-DP INF200K01974 SBI - DYNAMIC BOND FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
3976 080A-DR INF200K01701 SBI CREDIT RISK FUND REGULAR IDCW REINVESTMENT 7.5 92.5 NORMAL No
Approved Securities List for the Month of April 2024
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
3977 081D-DR INF200K01396 SBI FOCUSED EQUITY FUND REGULAR IDCW REINVESTMENT collateral margin of Rs. 7.5 92.5 NORMAL No
3978 41-DR INF200K01875 SBI CONSERVATIVE HYBRID FUND REGULAR MONTHLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3979 42-DR INF200K01891 SBI CONSERVATIVE HYBRID FUND REGULAR QUARTERLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3980 43-DR INF200K01917 SBI CONSERVATIVE HYBRID FUND REGULAR ANNUAL IDCW REINVESTMENT 7.5 92.5 NORMAL No
3981 091D-DR INF200K01586 SBI MAGNUM MIDCAP FUND - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3982 094D-DR INF200K01321 SBI MAGNUM COMMA FUND - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3983 099D-DR INF200K01248 SBI FLEXICAP FUND - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3984 101M-DR INF200K01826 SBI MULTI ASSET ALLOCATION FUND REGULAR MONTHLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3985 101Q-DR INF200K01842 SBI MULTI ASSET ALLOCATION FUND REGULAR QUARTERLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
3986 101A-DR INF200K01792 SBI MULTI ASSET ALLOCATION FUND REGULAR ANNUAL IDCW REINVESTMENT 7.5 92.5 NORMAL No
3987 103D-DR INF200K01172 SBI BLUE CHIP FUND - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3988 114D-DR INF200K01149 SBI ARBITRAGE OPPORTUNITIES FUND - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3989 SBD114D-DP INF200K01QT2 SBI ARBITRAGE OPPORTUNITIES FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
3990 SB144D-DP INF200K01CV8 SBI INFRASTRUCTURE FUND REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
3991 SBD144D-DP INF200K01RR4 SBI INFRASTRUCTURE FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
3992 SBF47RM-DP INF200K01MQ7 SBI MAGNUM LOW DURATION FUND REGULAR MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
3993 SB148IM-DP INF200K01HW5 SBI SHORT TERM DEBT FUND - REGULAR PLAN - MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
3994 UNVDR-DR INF582M01EP3 UNION VALUE FUND REGULAR PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
3995 BASCDD-DR INF761K01ES1 BANK OF INDIA SMALL CAP FUND-DIRECT PLAN-IDCW REINVESTMENT 7.5 92.5 DIRECT No
3996 BASCRD-DR INF761K01ET9 BANK OF INDIA SMALL CAP FUND-REGULAR PLAN-IDCW REINVESTMENT 7.5 92.5 NORMAL No
3997 MAESD2-DR INF769K01EM7 MIRAE ASSET EQUITY SAVINGS FUND DIRECT IDCW REINVESTMENT 7.5 92.5 DIRECT No
3998 MAESRD-DR INF769K01EL9 MIRAE ASSET EQUITY SAVINGS FUND REGULAR IDCW REINVESTMENT 7.5 92.5 NORMAL No
LIC SHORT DURATION FUND - REGULAR PLAN - WEEKLY IDCW -
3999 LCSDWD-DR INF397L01448 REINVESTMENT 7.5 92.5 NORMAL No
4000 CASCDP-DR INF760K01JH5 CANARA ROBECO SMALL CAP FUND REGULAR - IDCW REINVESTMENT 7.5 92.5 NORMAL No
4001 CASCDD-DR INF760K01JE2 CANARA ROBECO SMALL CAP FUND DIRECT - IDCW REINVESTMENT 7.5 92.5 DIRECT No
EDELWEISS SMALL CAP FUND - REGULAR PLAN - IDCW
4002 EDSCRD-DR INF754K01JL0 REINVESTMENT 7.5 92.5 NORMAL No
4003 EDSCD2-DR INF754K01JP1 EDELWEISS SMALL CAP FUND - DIRECT PLAN - IDCW REINVESTMENT 7.5 92.5 DIRECT No
SBI CORPORATE BOND FUND - DIRECT PLAN - QUARTERLY IDCW
4004 SBD566Q-DP INF200KA1YV6 PAYOUT 7.5 92.5 DIRECT No
4005 SB566D-DP INF200KA1YO1 SBI CORPORATE BOND FUND - REGULAR PLAN IDCW PAYOUT 7.5 92.5 NORMAL No
SBI CORPORATE BOND FUND - REGULAR PLAN QUARTERLY IDCW
4006 SB566Q-DP INF200KA1YQ6 PAYOUT 7.5 92.5 NORMAL No
4007 SBD566D-DP INF200KA1YT0 SBI CORPORATE BOND FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
4008 DS868-DR INF740KA1MO3 DSP NIFTY 50 INDEX FUND - DIRECT - IDCW REINVESTMENT 7.5 92.5 DIRECT No
4009 DS871-DR INF740KA1MI5 DSP NIFTY NEXT 50 INDEX FUND - DIRECT - IDCW REINVESTMENT 7.5 92.5 DIRECT No
NIPPON INDIA NIFTY NEXT 50 JUNIOR BEES FOF - DIRECT IDCW
4010 RLRJAD-DR INF204KB1X33 REINVESTMENT 7.5 92.5 DIRECT No
4011 MHMPBRD-DP INF174V01705 MAHINDRA MANULIFE LARGE CAP FUND - REGULAR - IDCW PAYOUT 7.5 92.5 NORMAL No
SBI EQUITY MINIMUM VARIANCE FUND - REGULAR PLAN IDCW
4012 SB575D-DP INF200KA1A63 PAYOUT 7.5 92.5 NORMAL No
4013 HSLMED-DP INF336L01OA7 HSBC LARGE & MID CAP FUND-REGULAR PLAN IDCW PAYOUT 7.5 92.5 NORMAL No
4014 HSHLED-DP INF336L01NX1 HSBC LARGE & MID CAP FUND-DIRECT PLAN IDCW PAYOUT 7.5 92.5 DIRECT No
4015 ITMCDP-DR INF00XX01150 ITI MULTI CAP FUND REGULAR PLAN IDCW REINVESTMENT 7.5 92.5 NORMAL No
MIRAE ASSET FOCUSED FUND - REGULAR PLAN - IDCW
4016 MAFFRD-DR INF769K01EV8 REINVESTMENT 7.5 92.5 NORMAL No
4017 MAFFD2-DR INF769K01EW6 MIRAE ASSET FOCUSED FUND - DIRECT PLAN - IDCW REINVESTMENT 7.5 92.5 DIRECT No
4018 DS874-DR INF740KA1NS2 DSP QUANT FUND - DIR - IDCW REINVESTMENT 7.5 92.5 DIRECT No
4019 DS606-DR INF740KA1NP8 DSP QUANT FUND - REG - IDCW REINVESTMENT 7.5 92.5 NORMAL No
4020 SH108-DP INF680P01190 SHRIRAM BALANCED ADVANTAGE FUND REGULAR - IDCW PAYOUT 7.5 92.5 NORMAL No
ADITYA BIRLA SUNLIFE LIFE PHARMA AND HEALTHCARE FUND
4021 BS60C-DR INF209KB1O17 NORMAL IDCW REINVESTMENT 7.5 92.5 NORMAL No
ADITYA BIRLA SUNLIFE LIFE PHARMA AND HEALTHCARE FUND
4022 BS60Z-DR INF209KB1O41 DIRECT IDCW REINVESTMENT 7.5 92.5 DIRECT No
4023 MAMCD2-DR INF769K01FC5 MIRAE ASSET MIDCAP FUND - DIRECT PLAN - IDCW REINVESTMENT 7.5 92.5 DIRECT No
4024 MAMCRD-DR INF769K01FB7 MIRAE ASSET MIDCAP FUND - REGULAR PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
MAHINDRA MANULIFE AGGRESSIVE HYBRID FUND - REGULAR - IDCW
4025 MHMHERD-DP INF174V01762 PAYOUT 7.5 92.5 NORMAL No
4026 KO486-DP INF174KA1EL1 KOTAK FOCUSED EQUITY FUND - REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
4027 KO486D-DP INF174KA1EO5 KOTAK FOCUSED EQUITY FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
UNION FOCUSED FUND REGULAR PLAN - IDCW REINVESTMENT
4028 UNFFDR-DR INF582M01FX4 OPTION 7.5 92.5 NORMAL No
4029 AXNIDP-DR INF846K01S78 AXIS NIFTY 100 INDEX FUND REGULAR IDCW REINVESTMENT 7.5 92.5 NORMAL No
4030 AXNID1-DR INF846K01S45 AXIS NIFTY 100 INDEX FUND DIRECT IDCW REINVESTMENT 7.5 92.5 DIRECT No
MOTILAL OSWAL LARGE AND MIDCAP FUND-REGULAR IDCW
4031 MOLMDP-DR INF247L01973 REINVESTMENT 7.5 92.5 NORMAL No
MOTILAL OSWAL LARGE AND MIDCAP FUND-DIRECT IDCW
4032 MOLMPD-DR INF247L01AA5 REINVESTMENT 7.5 92.5 DIRECT No
UNION LARGE AND MIDCAP FUND - REGULAR PLAN - IDCW
4033 UNLMRDR-DR INF582M01GF9 REINVESTMENT 7.5 92.5 NORMAL No
LIC ULTRA SHORT DURATION FUND - REGULAR PLAN - MONTHLY
4034 LCUSMD-DR INF767K01QM5 IDCW - REINVESTMENT 7.5 92.5 NORMAL No
ITI BALANCED ADVANTAGE FUND- REGULAR PLAN- IDCW
4035 ITBFDP-DR INF00XX01671 REINVESTMENT 7.5 92.5 NORMAL No
MAHINDRA MANULIFE LARGE & MID CAP FUND - DIRECT - IDCW
4036 MHMNYDD-DP INF174V01952 PAYOUT 7.5 92.5 DIRECT No
MAHINDRA MANULIFE LARGE & MID CAP FUND - REGULAR - IDCW
4037 MHMNYRD-DP INF174V01929 PAYOUT 7.5 92.5 NORMAL No
BHARAT BOND FOF - APRIL 2030 - REGULAR PLAN - IDCW
4038 EDFTRD-DR INF754K01KX3 REINVESTMENT 7.5 92.5 NORMAL No
BHARAT BOND FOF - APRIL 2030 - DIRECT PLAN - IDCW
4039 EDFTD2-DR INF754K01LA9 REINVESTMENT 7.5 92.5 DIRECT No
HSBC ULTRA SHORT DURATION FUND DIRECT MONTHLY IDCW
4040 HSHSOMD-DP INF336L01OU5 PAYOUT 7.5 92.5 DIRECT No
4041 HSSDOMD-DP INF336L01OZ4 HSBC ULTRA SHORT DURATION FUND MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
4042 ITSCDP-DR INF00XX01739 ITI SMALL CAP FUND REGULAR PLAN IDCW REINVESTMENT 7.5 92.5 NORMAL No
AXIS ESG INTEGRATION STRATEGY FUND REGULAR IDCW
4043 AXEEDP-DR INF846K01W72 REINVESTMENT 7.5 92.5 NORMAL No
4044 UNMFRDR-DR INF582M01GN3 UNION MIDCAP FUND - REGULAR PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
BANK OF INDIA FLEXI CAP FUND REGULAR PLAN - IDCW
4045 BAMPRD-DR INF761K01FJ7 REINVESTMENT 7.5 92.5 NORMAL No
4046 HSFED-DP INF336L01PG1 HSBC FOCUSED FUND REGULAR PLAN IDCW PAYOUT 7.5 92.5 NORMAL No
4047 HSHFED-DP INF336L01PD8 HSBC FOCUSED FUND DIRECT IDCW PAYOUT 7.5 92.5 DIRECT No
BHARAT BOND FOF - APRIL 2025 - REGULAR PLAN - IDCW
4048 EDO5RD-DR INF754K01LH4 REINVESTMENT 7.5 92.5 NORMAL No
NIPPON INDIA MULTI ASSET FUND-DIRECT PLAN-IDCW
4049 RLMFAD-DR INF204KB11W9 REINVESTEMENT 7.5 92.5 DIRECT No
NIPPON INDIA MULTI ASSET FUND-REGULAR PLAN-IDCW
4050 RLMFDP-DR INF204KB18V6 REINVESTEMENT 7.5 92.5 NORMAL No
BARODA BNP PARIBAS LARGE AND MID CAP FUND-REGULAR IDCW
4051 BPLMDP-DR INF955L01JT4 REINVESTMENT 7.5 92.5 NORMAL No
INVESCO INDIA FOCUSED FUND REGULAR PLAN IDCW
4052 RGIFDP-DR INF205KA1197 REINVESTMENT 7.5 92.5 NORMAL No
AXIS GLOBAL EQUITY ALPHA FUND OF FUND DIRECT IDCW
4053 AXGAD1-DR INF846K01X22 REINVESTMENT 7.5 92.5 DIRECT No
AXIS GLOBAL EQUITY ALPHA FUND OF FUND REGULAR IDCW
4054 AXGADP-DR INF846K01X55 REINVESTMENT 7.5 92.5 NORMAL No
MIRAE ASSET EQUITY ALLOCATOR FUND OF FUND - DIRECT PLAN -
4055 MAEAD2-DR INF769K01GF6 IDCW REINVESTMENT 7.5 92.5 DIRECT No
ICICI PRUDENTIAL ESG EXCLUSIONARY STRATEGY FUND IDCW
4056 IC3436-DP INF109KC1N83 PAYOUT 7.5 92.5 NORMAL No
NIPPON INDIA NIFTY SMALLCAP 250 INDEX FUND-REGULAR PLAN-
4057 RLNSDP-DR INF204KB14W3 IDCW REINVESTEMENT 7.5 92.5 NORMAL No
NIPPON INDIA NIFTY SMALLCAP 250 INDEX FUND-DIRECT PLAN-IDCW
4058 RLNSAD-DR INF204KB17W6 REINVESTEMENT 7.5 92.5 DIRECT No
ADITYA BIRLA SUN LIFE SPECIAL OPPORTUNITIES FUND-NORMAL
4059 BS67C-DR INF209KB1T61 PLAN-IDCW REINVESTMENT 7.5 92.5 NORMAL No
EDELWEISS MSCI INDIA DOMESTIC & WORLD HEALTHCARE 45 INDEX
4060 EDWHDP-DR INF754K01LT9 FUND - REGULAR PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
MAHINDRA MANULIFE FOCUSED FUND - REGULAR PLAN - IDCW
4061 MHMFERD-DP INF174V01AE2 PAYOUT 7.5 92.5 NORMAL No
Approved Securities List for the Month of April 2024
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
MIRAE ASSET ESG SECTOR LEADERS FUND OF FUND REGULAR PLAN - collateral margin of Rs.
4062 MASLRD-DR INF769K01GO8 IDCW REINVESTMENT 7.5 92.5 NORMAL No
UNION AGGRESSIVE HYBRID FUND - REGULAR PLAN - IDCW
4063 UNHERDR-DR INF582M01HD2 REINVESTMENT 7.5 92.5 NORMAL No
4064 DS609-DR INF740KA1PO6 DSP VALUE FUND - REGULAR PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
HDFC DIVIDEND YIELD FUND - DIRECT PLAN - IDCW REINVESTMENT
4065 HDDYDDR-DR INF179KC1AQ1 OPTION 7.5 92.5 DIRECT No
HDFC DIVIDEND YIELD FUND - REGULAR PLAN - IDCW REINVESTMENT
4066 HDDYRDR-DR INF179KC1AT5 OPTION 7.5 92.5 NORMAL No
MIRAE ASSET BANKING AND FINANCIAL SERVICES FUND - REGULAR
4067 MABFRD-DR INF769K01GV3 PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
MIRAE ASSET BANKING AND FINANCIAL SERVICES FUND - DIRECT
4068 MABFD2-DR INF769K01GY7 PLAN - IDCW REINVESTMENT 7.5 92.5 DIRECT No
4069 AXSSDP-DR INF846K01Y21 AXIS SPECIAL SITUATIONS FUND REGULAR IDCW REINVESTMENT 7.5 92.5 NORMAL No
4070 AXSSD1-DR INF846K01X97 AXIS SPECIAL SITUATIONS FUND DIRECT IDCW REINVESTMENT 7.5 92.5 DIRECT No
ADITYA BIRLA SUN LIFE ESG INTEGRATION STRATEGY FUND-NORMAL
4071 BS68C-DR INF209KB1U68 PLAN-IDCW REINVESTMENT 7.5 92.5 NORMAL No
4072 RLPPDP-DR INF204KB15X8 NIPPON INDIA PASSIVE FLEXICAP FOF IDCW REINVESTMENT 7.5 92.5 NORMAL No
ICICI PRUDENTIAL BUSINESS CYCLE FUND DIRECT PLAN IDCW
4073 IC9642-DP INF109KC1P32 PAYOUT 7.5 92.5 DIRECT No
4074 IC3440-DP INF109KC1P08 ICICI PRUDENTIAL BUSINESS CYCLE FUND IDCW PAYOUT 7.5 92.5 NORMAL No
PGIM INDIA BALANCED ADVANTAGE FUND - REGULAR PLAN - IDCW
4075 PRBLDP-DR INF663L01V98 REINVESTMENT 7.5 92.5 NORMAL No
NIPPON INDIA ASSET ALLOCATOR FOF - REGULAR PLAN - IDCW
4076 RLALDP-DR INF204KB15Y6 REINVESTMENT 7.5 92.5 NORMAL No
NIPPON INDIA NIFTY 50 VALUE 20 INDEX FUND DIRECT PLAN IDCW
4077 RLNVAD-DR INF204KB14Z6 REINVESTMENT 7.5 92.5 DIRECT No
NIPPON INDIA NIFTY MIDCAP 150 INDEX FUND REGULAR PLAN IDCW
4078 RLNPDP-DR INF204KB17Z9 REINVESTMENT 7.5 92.5 NORMAL No
NIPPON INDIA NIFTY MIDCAP 150 INDEX FUND DIRECT PLAN IDCW
4079 RLNPAD-DR INF204KC1014 REINVESTMENT 7.5 92.5 DIRECT No
4080 ITMDDP-DR INF00XX01911 ITI MID CAP FUND- REGULAR PLAN- IDCW REINVESTMENT 7.5 92.5 NORMAL No
4081 KO495D-DP INF174KA1GB7 KOTAK NIFTY NEXT 50 INDEX FUND-DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
INVESCO INDIA ESG EQUITY FUND - REGULAR PLAN - IDCW
4082 RGEGDP-DR INF205KA1312 REINVESTMENT 7.5 92.5 NORMAL No
SBI INTERNATIONAL ACCESS - US EQUITY FOF REGULAR PLAN IDCW
4083 SB627D-DP INF200KA1U10 PAYOUT 7.5 92.5 NORMAL No
SBI INTERNATIONAL ACCESS - US EQUITY FOF DIRECT PLAN IDCW
4084 SBD627D-DP INF200KA1U44 PAYOUT 7.5 92.5 DIRECT No
EDELWEISS NIFTY PSU BOND PLUS SDL APR 2026 50:50 INDEX FUND -
4085 EDP6DP-DR INF754K01MB5 REGULAR PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
ADITYA BIRLA SUN LIFE NIFTY MIDCAP 150 INDEX FUND-NORMAL
4086 BS70C-DR INF209KB1W66 PLAN-IDCW REINVESTEMENT 7.5 92.5 NORMAL No
ADITYA BIRLA SUN LIFE NIFTY SMALLCAP 50 INDEX FUND-NORMAL
4087 BS69C-DR INF209KB1W09 PLAN-IDCW REINVESTEMENT 7.5 92.5 NORMAL No
ICICI PRUDENTIAL NIFTY 100 LOW VOLATILITY 30 ETF FOF DIRECT
4088 IC9644-DP INF109KC1P99 PLAN IDCW 7.5 92.5 DIRECT No
CANARA ROBECO FOCUSED EQUITY FUND DIRECT IDCW
4089 CAFEDD-DR INF760K01JR4 REINVESTMENT 7.5 92.5 DIRECT No
CANARA ROBECO FOCUSED EQUITY FUND REGULAR IDCW
4090 CAFEDP-DR INF760K01JU8 REINVESTMENT 7.5 92.5 NORMAL No
QUANT QUANTAMENTAL FUND REGULAR PLAN - IDCW
4091 QUQMDP-DR INF966L01AJ1 REINVESTMENT 7.5 92.5 NORMAL No
4092 QUQMD1-DR INF966L01AM5 QUANT QUANTAMENTAL FUND DIRECT PLAN - IDCW REINVESTMENT 7.5 92.5 DIRECT No
4093 SB631D-DP INF200KA1V92 SBI NIFTY NEXT 50 INDEX FUND - REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
4094 SBD631D-DP INF200KA1W26 SBI NIFTY NEXT 50 INDEX FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
AXIS GLOBAL INNOVATION FUND OF FUND REGULAR IDCW
4095 AXGIDP-DR INF846K01Z79 REINVESTMENT 7.5 92.5 NORMAL No
PARAG PARIKH CONSERVATIVE HYBRID FUND - REGULAR PLAN
MONTHLY PAYOUT INCOME DISTRIBUTION CUM CAPITAL
4096 PPCHFMD-DP INF879O01183 WITHDRAWAL OPTION 7.5 92.5 NORMAL No
PARAG PARIKH CONSERVATIVE HYBRID FUND - DIRECT PLAN
MONTHLY PAYOUT INCOME DISTRIBUTION CUM CAPITAL
4097 PPCFMDZ-DP INF879O01159 WITHDRAWAL OPTION 7.5 92.5 DIRECT No
ADITYA BIRLA SUN LIFE NIFTY 50 EQUAL WEIGHT INDEX FUND-
4098 BS79C-DR INF209KB1Z63 NORMAL PLAN-IDCW REINVESTMENT 7.5 92.5 NORMAL No
HDFC BANKING AND FINANCIAL SERVICES FUND REGULAR IDCW
4099 HDBFRDR-DR INF179KC1BL0 REINVESTMENT 7.5 92.5 NORMAL No
HDFC BANKING AND FINANCIAL SERVICES FUND DIRECT IDCW
4100 HDBFDDR-DR INF179KC1BI6 REINVESTMENT 7.5 92.5 DIRECT No
4101 IC3444P-DP INF109KC1R06 ICICI PRUDENTIAL FLEXICAP FUND IDCW PAYOUT 7.5 92.5 NORMAL No
4102 IC9646P-DP INF109KC1R30 ICICI PRUDENTIAL FLEXICAP FUND DIRECT PLAN IDCW PAYOUT 7.5 92.5 DIRECT No
4103 AXQFD1-DR INF846K010A4 AXIS QUANT FUND DIRECT IDCW REINVESTMENT 7.5 92.5 DIRECT No
4104 AXQFDP-DR INF846K013A8 AXIS QUANT FUND REGULAR IDCW REINVESTMENT 7.5 92.5 NORMAL No
4105 PRSCDP-DR INF663L01W55 PGIM INDIA SMALL CAP FUND REGULAR PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
4106 CAVFDD-DR INF760K01JX2 CANARA ROBECO VALUE FUND DIRECT IDCW REINVESTMENT 7.5 92.5 DIRECT No
4107 CAVFDP-DR INF760K01KA8 CANARA ROBECO VALUE FUND REGULAR IDCW REINVESTMENT 7.5 92.5 NORMAL No
4108 RLLCAD-DR INF204KC1147 NIPPON INDIA FLEXICAP FUND-DIRECT PLAN-IDCW REINVESTMENT 7.5 92.5 DIRECT No
4109 RLLCDP-DR INF204KC1113 NIPPON INDIA FLEXICAP FUND-REGULAR PLAN-IDCW REINVESTMENT 7.5 92.5 NORMAL No
MAHINDRA MANULIFE FLEXI CAP FUND - REGULAR PLAN - IDCW
4110 MHMFCRD-DP INF174V01AQ6 PAYOUT 7.5 92.5 NORMAL No
4111 SB638D-DP INF200KA1Y65 SBI BALANCED ADVANTAGE FUND - REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
4112 SBD638D-DP INF200KA1Y99 SBI BALANCED ADVANTAGE FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
4113 AXVFDP-DR INF846K015C9 AXIS VALUE FUND REGULAR IDCW REINVESTMENT 7.5 92.5 NORMAL No
4114 KO1156-DP INF174KA1HU5 KOTAK MULTICAP FUND - REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
4115 KO1156D-DP INF174KA1HX9 KOTAK MULTICAP FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
ICICI PRUDENTIAL NIFTY PSU BOND PLUS SDL SEP 2027 40:60 INDEX
4116 IC3450-DP INF109KC1S70 FUND ANNUAL IDCW 7.5 92.5 NORMAL No
4117 IC3455-DP INF109KC1U43 ICICI PRUDENTIAL NASDAQ 100 INDEX FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
ICICI PRUDENTIAL NASDAQ 100 INDEX FUND - DIRECT PLAN - IDCW
4118 IC9657-DP INF109KC1U76 PAYOUT 7.5 92.5 DIRECT No
LIC MF BALANCED ADVANTAGE FUND REGULAR PLAN-IDCW
4119 LCBADP-DR INF767K01QX2 REINVESTMENT 7.5 92.5 NORMAL No
4120 IC3457-DP INF109KC1V00 ICICI PRUDENTIAL NIFTY SMALLCAP 250 INDEX FUND - IDCW 7.5 92.5 NORMAL No
ICICI PRUDENTIAL NIFTY SMALLCAP 250 INDEX FUND - DIRECT PLAN -
4121 IC9659-DP INF109KC1V34 IDCW 7.5 92.5 DIRECT No
ADITYA BIRLA SUN LIFE NASDAQ 100 FOF-DIRECT -IDCW
4122 BS88Z-DR INF209KB10D0 REINVESTMENT 7.5 92.5 DIRECT No
4123 ID358R-DR INF194KB1CK2 BANDHAN MULTI CAP FUND REGULAR PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
HDFC MULTI CAP FUND - REGULAR PLAN - IDCW REINVESTMENT
4124 HDHMCRR-DR INF179KC1BX5 OPTION 7.5 92.5 NORMAL No
HDFC MULTI CAP FUND - DIRECT PLAN - IDCW REINVESTMENT
4125 HDHMCDR-DR INF179KC1BU1 OPTION 7.5 92.5 DIRECT No
4126 AXN5DP-DR INF846K018D1 AXIS NIFTY 50 INDEX FUND REGULAR IDCW REINVESTMENT 7.5 92.5 NORMAL No
4127 AXN5D1-DR INF846K015D7 AXIS NIFTY 50 INDEX FUND DIRECT IDCW REINVESTMENT 7.5 92.5 DIRECT No
4128 AXMTD1-DR INF846K015E5 AXIS MULTICAP FUND DIRECT IDCW REINVESTMENT 7.5 92.5 DIRECT No
4129 AXMTDP-DR INF846K018E9 AXIS MULTICAP FUND REGULAR IDCW REINVESTMENT 7.5 92.5 NORMAL No
ICICI PRUDENTIAL NIFTY MIDCAP 150 INDEX FUND - DIRECT PLAN -
4130 IC9663-DP INF109KC1W74 IDCW 7.5 92.5 DIRECT No
MAHINDRA MANULIFE BALANCED ADVANTAGE FUND - REGULAR
4131 MHMBARD-DP INF174V01BD2 PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
4132 IC3468-DP INF109KC1Y07 ICICI PRUDENTIAL PASSIVE MULTI-ASSET FOF IDCW PAYOUT 7.5 92.5 NORMAL No
SBI CPSE BOND PLUS SDL SEP 2026 50:50 INDEX FUND - REGULAR
4133 SB649D-DP INF200KA12D7 PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
SUNDARAM NIFTY 100 EQUAL WEIGHT FUND - REGULAR PLAN IDCW
4134 SUNHDP-DR INF173K01AI8 REINVESTMENT 7.5 92.5 NORMAL No
SUNDARAM LOW DURATION FUND - REGULAR PLAN IDCW WEEKLY
4135 SUFFIW-DR INF173K01DI2 REINVESTMENT 7.5 92.5 NORMAL No
SUNDARAM LOW DURATION FUND - REGULAR PLAN IDCW
4136 SUFFIM-DR INF173K01DK8 MONTHLY REINVESTMENT 7.5 92.5 NORMAL No
SUNDARAM LOW DURATION FUND - DIRECT PLAN IDCW WEEKLY
4137 SUFFZW-DR INF173K01FW8 REINVESTMENT 7.5 92.5 DIRECT No
SUNDARAM FOCUSED FUND - REGULAR HALF YEARLY IDCW
4138 SULCDP-DR INF173K01205 REINVESTMENT 7.5 92.5 NORMAL No
SUNDARAM FOCUSED FUND - DIRECT HALF YEARLY IDCW
4139 SULCZD-DR INF173K01EL4 REINVESTMENT 7.5 92.5 DIRECT No
Approved Securities List for the Month of April 2024
Equity Shares
For every Rs 100 worth of
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SUNDARAM SHORT DURATION FUND - REGULAR PLAN IDCW collateral margin of Rs.
4140 SUISIM-DR INF173K01BC9 MONTHLY REINVESTMENT 7.5 92.5 NORMAL No
SUNDARAM AGGRESSIVE HYBRID FUND - REGULAR PLAN MONTHLY
4141 SUSBDP-DR INF173K01CJ2 IDCW REINVESTMENT 7.5 92.5 NORMAL No
SUNDARAM AGGRESSIVE HYBRID FUND - DIRECT PLAN MONTHLY
4142 SUSBZD-DR INF173K01FC0 IDCW REINVESTMENT 7.5 92.5 DIRECT No
SUNDARAM MULTI CAP FUND - DIRECT PLAN HALF YEARLY IDCW
4143 SUMGZD-DR INF173K01FO5 REINVESTMENT 7.5 92.5 DIRECT No
SUNDARAM MULTI CAP FUND - REGULAR PLAN HALF YEARLY IDCW
4144 SUMGDP-DR INF173K01965 REINVESTMENT 7.5 92.5 NORMAL No
SUNDARAM EQUITY SAVINGS FUND - REGULAR PLAN IDCW
4145 SUQSMP-DR INF173K01254 REINVESTMENT 7.5 92.5 NORMAL No
SUNDARAM EQUITY SAVINGS FUND - REGULAR IDCW QUARTERLY
4146 SUMIQP-DR INF173K01270 REINVESTMENT 7.5 92.5 NORMAL No
SUNDARAM DIVIDEND YIELD FUND - DIRECT HALF YEARLY IDCW
4147 SUDYZD-DR INF173K01ET7 REINVESTMENT 7.5 92.5 DIRECT No
SUNDARAM DIVIDEND YIELD FUND - REGULAR HALF YEARLY IDCW
4148 SUDYDP-DR INF173K01AE7 REINVESTMENT 7.5 92.5 NORMAL No
SUNDARAM BALANCED ADVANTAGE FUND - REGULAR PLAN
4149 SUSADP-DR INF173K01569 MONTHLY IDCW REINVESTMENT 7.5 92.5 NORMAL No
SUNDARAM BALANCED ADVANTAGE FUND - DIRECT PLAN MONTHLY
4150 SUSAZD-DR INF173K01FG1 IDCW REINVESTMENT 7.5 92.5 DIRECT No
INVESCO INDIA FLEXI CAP FUND-REGULAR PLAN - IDCW
4151 RGF9DP-DR INF205KA1478 REINVESTMENT 7.5 92.5 NORMAL No
ICICI PRUDENTIAL SILVER ETF FUND OF FUND DIRECT PLAN IDCW
4152 IC9674-DP INF109KC1Z14 PAYOUT 7.5 92.5 DIRECT No
4153 IC3472-DP INF109KC1Y80 ICICI PRUDENTIAL SILVER ETF FUND OF FUND IDCW PAYOUT 7.5 92.5 NORMAL No
DSP GLOBAL INNOVATION FUND OF FUND - REGULAR - IDCW
4154 DS625-DR INF740KA1QO4 REINVESTMENT 7.5 92.5 NORMAL No
4155 KO266D-DP INF174KA1IH0 KOTAK MANUFACTURE IN INDIA FUND DIRECT PLAN IDCW PAYOUT 7.5 92.5 DIRECT No
4156 KO266-DP INF174KA1IE7 KOTAK MANUFACTURE IN INDIA FUND REGULAR PLAN IDCW PAYOUT 7.5 92.5 NORMAL No
KOTAK NIFTY SDL APR2027 TOP 12 EQUAL WEIGHT INDEX FUND-
4157 KO268D-DP INF174KA1IN8 DIRECT PLAN - PAYOUT 7.5 92.5 DIRECT No
ICICI PRUDENTIAL NIFTY BANK INDEX FUND - DIRECT PLAN - IDCW
4158 IC9676-DP INF109KC13A0 PAYOUT 7.5 92.5 DIRECT No
4159 SBD652D-DP INF200KA10F6 SBI MULTICAP FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
4160 SB652D-DP INF200KA17E4 SBI MULTICAP FUND - REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
4161 AXNSD1-DR INF846K015H8 AXIS NIFTY SMALLCAP 50 INDEX FUND DIRECT IDCW REINVESTMENT 7.5 92.5 DIRECT No
4162 AXNMD1-DR INF846K011I5 AXIS NIFTY MIDCAP 50 INDEX FUND DIRECT IDCW REINVESTMENT 7.5 92.5 DIRECT No
4163 AXNMDP-DR INF846K014I9 AXIS NIFTY MIDCAP 50 INDEX FUND REGULAR IDCW REINVESTMENT 7.5 92.5 NORMAL No
HSBC CRISIL IBX 50:50 GILT PLUS SDL APR 2028 INDEX FUND
4164 HSCXD-DP INF336L01QM7 DIVIDEND PAYOUT 7.5 92.5 NORMAL No
BARODA BNP PARIBAS FLEXI DEBT FUND - QUARTERLY IDCW
4165 BPFLRQ-DR INF251K01EC7 REINVESTMENT 7.5 92.5 NORMAL No
BARODA BNP PARIBAS LARGE CAP FUND DIRECT IDCW
4166 BPLCDD-DR INF251K01HM9 REINVESTMENT 7.5 92.5 DIRECT No
4167 BPLCRD-DR INF251K01902 BARODA BNP PARIBAS LARGE CAP FUND IDCW REINVESTMENT 7.5 92.5 NORMAL No
BARODA BNP PARIBAS CONSERVATIVE HYBRID FUND MONTHLY
4168 BPCHRM-DR INF251K01860 IDCW REINVESTMENT 7.5 92.5 NORMAL No
BARODA BNP PARIBAS CONSERVATIVE HYBRID FUND DIRECT
4169 BPCHDM-DR INF251K01HT4 MONTHLY IDCW REINVESTMENT 7.5 92.5 DIRECT No
4170 BPMCRD-DR INF251K01AY9 BARODA BNP PARIBAS MID CAP FUND IDCW REINVESTMENT 7.5 92.5 NORMAL No
BARODA BNP PARIBAS MID CAP FUND - DIRECT PLAN - IDCW
4171 BPMCDD-DR INF251K01HP2 REINVESTMENT OPTION 7.5 92.5 DIRECT No
BARODA BNP PARIBAS ARBITRAGE FUND REGULAR MONTHLY IDCW
4172 BPARRM-DR INF251K01PC3 REINVESTMENT 7.5 92.5 NORMAL No
BARODA BNP PARIBAS ARBITRAGE FUND DIRECT MONTHLY IDCW
4173 BPARDM-DR INF251K01PE9 REINVESTMENT 7.5 92.5 DIRECT No
BARODA BNP PARIBAS AGGRESSIVE HYBRID FUND REGULAR IDCW
4174 BPSERD-DR INF251K01OX2 REINVESTMENT 7.5 92.5 NORMAL No
BARODA BNP PARIBAS FOCUSED FUND REGULAR IDCW
4175 BPFORD-DR INF251K01PM2 REINVESTMENT 7.5 92.5 NORMAL No
BARODA BNP PARIBAS INDIA CONSUMPTION FUND REGULAR IDCW
4176 BPICRD-DR INF251K01PR1 REINVESTMENT 7.5 92.5 NORMAL No
4177 IC3481-DP INF109KC19B5 ICICI PRUDENTIAL HOUSING OPPORTUNITIES FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
ICICI PRUDENTIAL HOUSING OPPORTUNITIES FUND - DIRECT PLAN -
4178 IC9683-DP INF109KC12C8 IDCW PAYOUT 7.5 92.5 DIRECT No
4179 YE1036-DR INF03VN01514 WOC FLEXI CAP FUND REGULAR PLAN- IDCW REINVESTMENT 7.5 92.5 NORMAL No
4180 YE1039-DR INF03VN01548 WOC FLEXI CAP FUND DIRECT PLAN - IDCW REINVESTMENT 7.5 92.5 DIRECT No
4181 EDFCDP-DR INF754K01ON6 EDELWEISS FOCUSED FUND - REGULAR PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
BARODA BNP PARIBAS FLEXI CAP FUND REGULAR IDCW -
4182 BPFXRD-DR INF251K01QY5 REINVESTMENT 7.5 92.5 NORMAL No
4183 ID362R-DR INF194KB1DO2 BANDHAN MIDCAP FUND REGULAR PLAN-IDCW REINVESTMENT 7.5 92.5 NORMAL No
4184 QULCDP-DR INF966L01AY0 QUANT LARGE CAP FUND-REGULAR PLAN IDCW-REINVESTMENT 7.5 92.5 NORMAL No
4185 IC3488-DP INF109KC12E4 ICICI PRUDENTIAL NIFTY IT INDEX FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
ICICI PRUDENTIAL NIFTY IT INDEX FUND - DIRECT PLAN - IDCW
4186 IC9690-DP INF109KC15E7 PAYOUT 7.5 92.5 DIRECT No
MIRAE ASSET BALANCED ADVANTAGE FUND REGULAR PLAN IDCW
4187 MABARD-DR INF769K01IL0 REINVESTMENT 7.5 92.5 NORMAL No
FRANKLIN INDIA BALANCED ADVANTAGE FUND -REGULAR PLAN-
4188 FR971-DP INF090I01WP7 IDCW PAYOUT 7.5 92.5 NORMAL No
FRANKLIN INDIA BALANCED ADVANTAGE FUND -DIRECT PLAN- IDCW
4189 FR973-DP INF090I01WS1 PAYOUT 7.5 92.5 DIRECT No
4190 IC3490-DP INF109KC11I7 ICICI PRUDENTIAL PSU EQUITY FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
4191 IC9692-DP INF109KC14I1 ICICI PRUDENTIAL PSU EQUITY FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
4192 YE101D-DR INF03VN01589 WOC MID CAP FUND REGULAR PLAN- IDCW REINVESTMENT 7.5 92.5 NORMAL No
4193 KO275-DP INF174KA1JM8 KOTAK BUSINESS CYCLE FUND-REGULAR PLAN-IDCW PAYOUT 7.5 92.5 NORMAL No
4194 LCMKDP-DR INF767K01RJ9 LIC MF MULTI CAP FUND REGULAR PLAN-IDCW REINVESTMENT 7.5 92.5 NORMAL No
EDELWEISS CRISIL IBX 50:50 GILT PLUS SDL APRIL 2037 INDEX FUND-
4195 EDG7D2-DR INF754K01PH5 DIRECT PLAN IDCW- REINVESTMENT 7.5 92.5 DIRECT No
4196 SBD662D-DP INF200KA18P8 SBI NIFTY SMALLCAP 250 INDEX FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
SBI NIFTY SMALLCAP 250 INDEX FUND - REGULAR PLAN - IDCW
4197 SB662D-DP INF200KA15P4 PAYOUT 7.5 92.5 NORMAL No
ICICI PRUDENTIAL TRANSPORTATION AND LOGISTICS FUND - IDCW
4198 IC3504-DP INF109KC11K3 PAYOUT 7.5 92.5 NORMAL No
ICICI PRUDENTIAL TRANSPORTATION AND LOGISTICS FUND - DIRECT
4199 IC9706-DP INF109KC14K7 PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
BANDHAN TRANSPORTATION AND LOGISTICS FUND REGULAR PLAN-
4200 ID368R-DR INF194KB1EG6 IDCW REINVESTMENT 7.5 92.5 NORMAL No
4201 YE103D-DR INF03VN01688 WOC LARGE CAP FUND REGULAR PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
4202 HDHBDDR-DR INF179KC1EA7 HDFC BUSINESS CYCLE FUND DIRECT IDCW REINVESTMENT 7.5 92.5 DIRECT No
4203 HDHBRDR-DR INF179KC1ED1 HDFC BUSINESS CYCLE FUND REGULAR IDCW REINVESTMENT 7.5 92.5 NORMAL No
4204 JMMDDP-DR INF192K01MU8 JM MIDCAP FUND-(REGULAR)-IDCW REINVESTMENT OPTION 7.5 92.5 NORMAL No
4205 CAMDDP-DR INF760K01KM3 CANARA ROBECO MID CAP FUND REGULAR IDCW REINVESTMENT 7.5 92.5 NORMAL No
4206 UNMCRDR-DR INF582M01IU4 UNION MULTICAP FUND-REGULAR PLAN-IDCW REINVESTMENT 7.5 92.5 NORMAL No
BARODA BNP PARIBAS MULTI ASSET FUND REGULAR IDCW -
4207 BPMARD-DR INF251K01RE5 REINVESTMENT 7.5 92.5 NORMAL No
4208 MHMSCRD-DP INF174V01BJ9 MAHINDRA MANULIFE SMALL CAP FUND - REGULAR - IDCW PAYOUT 7.5 92.5 NORMAL No
4209 MHMSCDD-DP INF174V01BM3 MAHINDRA MANULIFE SMALL CAP FUND - DIRECT - IDCW PAYOUT 7.5 92.5 DIRECT No
4210 HS01-DP INF917K01AG2 HSBC CORPORATE BOND FUND-REGULAR-QUARTERLY IDCW PAYOUT 7.5 92.5 NORMAL No
4211 HS09-DP INF917K01AJ6 HSBC CORPORATE BOND FUND - SEMI ANNUAL IDCW PAYOUT 7.5 92.5 NORMAL No
HSBC CORPORATE BOND FUND DIRECT PLAN - QUARTERLY IDCW
4212 HS01D-DP INF917K01HO1 PAYOUT 7.5 92.5 DIRECT No
4213 HS16-DP INF917K01247 HSBC MIDCAP FUND IDCW PAYOUT 7.5 92.5 NORMAL No
4214 HS16D-DP INF917K01FX6 HSBC MIDCAP FUND DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
4215 HS415-DP INF917K01551 HSBC INFRASTRUCTURE FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
4216 HS415D-DP INF917K01FU2 HSBC INFRASTRUCTURE FUND DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
4217 HS227-DP INF917K01122 HSBC CREDIT RISK FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
4218 HS241-DP INF917K01973 HSBC EQUITY SAVINGS FUND - MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
4219 HS242-DP INF917K01999 HSBC EQUITY SAVINGS FUND - QUARTERLY IDCW PAYOUT 7.5 92.5 NORMAL No
4220 HS131-DP INF917K01CI4 HSBC SHORT DURATION FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
4221 HS132-DP INF917K01CK0 HSBC SHORT DURATION FUND - QUARTERLY IDCW PAYOUT 7.5 92.5 NORMAL No
4222 HSSTIID-DP INF677K01932 HSBC DYNAMIC BOND FUND- IDCW PAYOUT 7.5 92.5 NORMAL No
Approved Securities List for the Month of April 2024
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
HSBC BANKING AND PSU DEBT FUND DIRECT PLAN - MONTHLY IDCW collateral margin of Rs.
4223 HSLFMDD-DP INF917K01HI3 PAYOUT 7.5 92.5 DIRECT No
4224 HSFIVFD-DP INF677K01015 HSBC VALUE FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
4225 HSFIVDD-DP INF917K01HB8 HSBC VALUE FUND DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
4226 HSFSID-DP INF677K01478 HSBC LOW DURATION FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
4227 HSFCPED-DP INF917K01LA2 HSBC AGGRESSIVE HYBRID FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
4228 HSFCEDD-DP INF917K01LD6 HSBC AGGRESSIVE HYBRID FUND DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
4229 HSFCPAD-DP INF917K01TV1 HSBC AGGRESSIVE HYBRID FUND - ANNUAL IDCW PAYOUT 7.5 92.5 NORMAL No
HSBC AGGRESSIVE HYBRID FUND DIRECT PLAN - ANNUAL IDCW
4230 HSFCADD-DP INF917K01TX7 PAYOUT 7.5 92.5 DIRECT No
4231 HSFCPMD-DP INF917K01KX6 HSBC BALANCED ADVANTAGE FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
4232 HSFCMDD-DP INF917K01IL5 HSBC BALANCED ADVANTAGE FUND DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
4233 HSLEBFD-DR INF917K01XQ3 HSBC SMALL CAP FUND IDCW REINVESTMENT 7.5 92.5 NORMAL No
4234 HSLEBDD-DR INF917K01XP5 HSBC SMALL CAP FUND DIRECT IDCW REINVESTMENT 7.5 92.5 DIRECT No
4235 HSLARDM-DP INF917K01QS3 HSBC ARBITRAGE FUND DIRECT MONTHLY IDCW PAYOUT 7.5 92.5 DIRECT No
4236 HSLARMD-DP INF917K01QM6 HSBC ARBITRAGE FUND MONTHLY IDCW PAYOUT 7.5 92.5 NORMAL No
4237 HSLBCFD-DP INF917K01RG6 HSBC BUSINESS CYCLES FUND IDCW PAYOUT 7.5 92.5 NORMAL No
4238 HSLBCDD-DP INF917K01RJ0 HSBC BUSINESS CYCLES FUND-DIRECT PLAN-IDCW PAYOUT 7.5 92.5 DIRECT No
4239 HSLRDAD-DP INF917K01WC5 HSBC MEDIUM DURATION FUND DIRECT ANNUAL IDCW PAYOUT 7.5 92.5 DIRECT No
4240 HSLNIDD-DP INF917K01D04 HSBC NIFTY 50 INDEX FUND DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
4241 HSLNIFD-DP INF917K01D46 HSBC NIFTY 50 INDEX FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
4242 HSHMCRD-DP INF336L01QS4 HSBC MULTI CAP FUND REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
ADITYA BIRLA SUN LIFE MULTI ASSET ALLOCATION FUND- REGULAR
4243 BS117C-DR INF209KB14R2 PLAN IDCW REINVESTMENT 7.5 92.5 NORMAL No
DSP CRISIL SDL PLUS G-SEC APR 2033 50:50 INDEX FUND - DIRECT
4244 DS892-DR INF740KA1SD3 PLAN - IDCW REINVESTMENT 7.5 92.5 DIRECT No
4245 AXBCDP-DR INF846K011O3 AXIS BUSINESS CYCLES FUND REGULAR IDCW REINVESTMENT 7.5 92.5 NORMAL No
4246 ITFCDP-DR INF00XX01CN9 ITI FLEXI CAP FUND - REGULAR PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
KOTAK BANKING AND FINANCIAL SERVICES FUND-REGULAR PLAN-
4247 KO287-DP INF174KA1MC3 IDCW PAYOUT 7.5 92.5 NORMAL No
4248 MAFCD2-DR INF769K01JK0 MIRAE ASSET FLEXI CAP FUND DIRECT PLAN - IDCW REINVESTMENT 7.5 92.5 DIRECT No
4249 MAFCRD-DR INF769K01JH6 MIRAE ASSET FLEXI CAP FUND REGULAR PLAN IDCW REINVESTMENT 7.5 92.5 NORMAL No
BANK OF INDIA MULTICAP FUND REGULAR PLAN - IDCW
4250 BAMLRD-DR INF761K01FV2 REINVESTMENT 7.5 92.5 NORMAL No
4251 HDHMRDR-DR INF179KC1FH9 HDFC MNC FUND REGULAR PLAN IDCW REINVESTMENT 7.5 92.5 NORMAL No
4252 SBD676D-DP INF200KA16W8 SBI DIVIDEND YIELD FUND - DIRECT PLAN - IDCW PAYOUT 7.5 92.5 DIRECT No
4253 SB676D-DP INF200KA13W5 SBI DIVIDEND YIELD FUND - REGULAR PLAN - IDCW PAYOUT 7.5 92.5 NORMAL No
4254 IC3540-DP INF109KC11T4 ICICI PRUDENTIAL INNOVATION FUND REGULAR PLAN IDCW PAYOUT 7.5 92.5 NORMAL No
BARODA BNP PARIBAS FLOATER FUND DIRECT PLAN IDCW -
4255 BPFTDD-DR INF251K01RZ0 REINVESTMENT 7.5 92.5 DIRECT No
BARODA BNP PARIBAS VALUE FUND - REGULAR PLAN - IDCW
4256 BPVFRD-DR INF251K01SC7 REINVESTMENT 7.5 92.5 NORMAL No
4257 HDHDRDR-DR INF179KC1GN5 HDFC DEFENCE FUND REGULAR PLAN IDCW REINVESTMENT 7.5 92.5 NORMAL No
4258 HDHDDDR-DR INF179KC1GK1 HDFC DEFENCE FUND DIRECT PLAN IDCW REINVESTMENT 7.5 92.5 DIRECT No
QUANT BUSINESS CYCLE FUND - REGULAR PLAN IDCW -
4259 QUBCDP-DR INF966L01BW2 REINVESTMENT 7.5 92.5 NORMAL No
4260 ITFEDP-DR INF00XX01CR0 ITI FOCUSED EQUITY FUND - REGULAR PLAN - IDCW REINVESTMENT 7.5 92.5 NORMAL No
4261 QUBSDP-DR INF966L01CC2 QUANT BFSI FUND - REGULAR PLAN IDCW - REINVESTMENT 7.5 92.5 NORMAL No
4262 QUBSD1-DR INF966L01BZ5 QUANT BFSI FUND - DIRECT PLAN IDCW - REINVESTMENT 7.5 92.5 DIRECT No
EDELWEISS MULTI ASSET ALLOCATION FUND- REGULAR PLAN IDCW -
4263 EDMADP-DR INF754K01RQ2 REINVESTMENT 7.5 92.5 NORMAL No
HDFC NON-CYCLICAL CONSUMER FUND REGULAR PLAN IDCW
4264 HDHCRDR-DR INF179KC1GT2 REINVESTMENT 7.5 92.5 NORMAL No
4265 MAMPD2-DR INF769K01KM4 MIRAE ASSET MULTICAP FUND DIRECT PLAN - IDCW - REINVESTMENT 7.5 92.5 DIRECT No
MIRAE ASSET MULTICAP FUND REGULAR PLAN IDCW -
4266 MAMPRD-DR INF769K01KJ0 REINVESTMENT 7.5 92.5 NORMAL No
BANDHAN FINANCIAL SERVICES FUND REGULAR PLAN-IDCW
4267 ID382R-DR INF194KB1GG1 REINVESTMENT 7.5 92.5 NORMAL No
CANARA ROBECO MULTI CAP FUND REGULAR PLAN IDCW
4268 CAMFDP-DR INF760K01KS0 REINVESTMENT 7.5 92.5 NORMAL No
BAJAJ FINSERV FLEXI CAP FUND REGULAR PLAN - IDCW
4269 BJFXRD-DR INF0QA701417 REINVESTMENT 7.5 92.5 NORMAL No
HDFC TRANSPORTATION AND LOGISTICS FUND REGULAR PLAN IDCW
4270 HDHTRDR-DR INF179KC1GZ9 REINVESTMENT 7.5 92.5 NORMAL No
UNION INNOVATION OPP FUND - REGULAR PLAN IDCW
4271 UNIORDR-DR INF582M01JC0 REINVESTMENT 7.5 92.5 NORMAL No
LIC NIFTY NEXT 50 INDEX FUND - REGULAR PLAN - IDCW -
4272 LCNJDP-DR INF397L01182 REINVESTMENT 7.5 92.5 NORMAL No
LIC EQUITY SAVINGS FUND - REGULAR PLAN - MONTHLY IDCW -
4273 LCIIMD-DR INF397L01265 REINVESTMENT 7.5 92.5 NORMAL No
LIC EQUITY SAVINGS FUND - REGULAR PLAN - QUARTERLY IDCW -
4274 LCIIQD-DR INF397L01299 REINVESTMENT 7.5 92.5 NORMAL No
4275 LCIMDP-DR INF397L01JM4 LIC MID CAP FUND - REGULAR PLAN - IDCW - REINVESTMENT 7.5 92.5 NORMAL No
4276 LCSCD1-DR INF397L01JQ5 LIC SMALL CAP FUND - DIRECT PLAN - IDCW - REINVESTMENT 7.5 92.5 DIRECT No
4277 LCSCDP-DR INF397L01JU7 LIC SMALL CAP FUND - REGULAR PLAN - IDCW - REINVESTMENT 7.5 92.5 NORMAL No
LIC FOCUSED 30 EQUITY FUND - REGULAR PLAN - IDCW -
4278 LCFEDP-DR INF397L01KC3 REINVESTMENT 7.5 92.5 NORMAL No
4279 LCDYDP-DR INF397L01KW1 LIC DIVIDEND YIELD FUND - REGULAR PLAN - IDCW - REINVESTMENT 7.5 92.5 NORMAL No
4280 HSHCORD-DP INF336L01RE2 HSBC CONSUMPTION FUND - REGULAR PLAN IDCW PAYOUT 7.5 92.5 NORMAL No
NIPPON INDIA INNOVATION FUND DIRECT PLAN IDCW
4281 RLITAD-DR INF204KC1BQ8 REINVESTMENT 7.5 92.5 DIRECT No
NIPPON INDIA INNOVATION FUND REGULAR PLAN IDCW
4282 RLITDP-DR INF204KC1BN5 REINVESTMENT 7.5 92.5 NORMAL No
MAHINDRA MANULIFE BUSINESS CYCLE FUND - REGULAR PLAN IDCW
4283 MHBCFRD-DP INF174V01BP6 PAYOUT 7.5 92.5 NORMAL No
DSP MULTI ASSET ALLOCATION FUND - REGULAR - IDCW
4284 DS647-DR INF740KA1TD1 REINVESTMENT 7.5 92.5 NORMAL No
KOTAK MULTI ASSET ALLOCATION FUND -DIRECT PLAN-IDCW
4285 KO1198D-DP INF174KA1PF9 PAYOUT 7.5 92.5 DIRECT No
KOTAK MULTI ASSET ALLOCATION FUND -REGULAR PLAN-IDCW
4286 KO1198-DP INF174KA1PC6 PAYOUT 7.5 92.5 NORMAL No
HDFC PHARMA AND HEALTHCARE FUND DIRECT PLAN IDCW
4287 HDHPDDR-DR INF179KC1HQ6 REINVESTMENT 7.5 92.5 DIRECT No
HDFC PHARMA AND HEALTHCARE FUND REGULAR PLAN IDCW
4288 HDHPRDR-DR INF179KC1HN3 REINVESTMENT 7.5 92.5 NORMAL No
4289 EDMUDP-DR INF754K01RY6 EDELWEISS MULTI CAP FUND - REGULAR PLAN IDCW - REINVESTMENT 7.5 92.5 NORMAL No
BARODA BNP PARIBAS SMALL CAP FUND - REGULAR PLAN - IDCW
4290 BPSCRD-DR INF251K01SQ7 REINVESTMENT 7.5 92.5 NORMAL No
ADITYA BIRLA SUN LIFE US TREASURY 3-10 YEAR BOND ETFS FUND
4291 BS124Z-DR INF209KB14X0 OF FUNDS-DIRECT PLAN-IDCW REINVESTMENT 7.5 92.5 DIRECT No
4292 RGGF-DP INF205K01FB2 INVESCO INDIA GOLD ETF FUND OF FUND - IDCW PAYOUT 7.5 92.5 NORMAL No
4293 RGGF-GR INF205K01FA4 INVESCO INDIA GOLD ETF FUND OF FUND - GROWTH 7.5 92.5 NORMAL No
4294 RGRGD1-GR INF205K01NJ9 INVESCO INDIA GOLD ETF FUND OF FUND - DIRECT PLAN GROWTH 7.5 92.5 DIRECT No
4295 RGGF-DR INF205K01FC0 INVESCO INDIA GOLD ETF FUND OF FUND - IDCW REINVESTMENT 7.5 92.5 NORMAL No
Approved Securities List for the Month of April 2024
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
collateral margin of Rs.
Approved Securities List for the Month of April 2024
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
collateral margin of Rs.
Approved Securities List for the Month of April 2024
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
collateral margin of Rs.
Approved Securities List for the Month of April 2024
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
collateral margin of Rs.
Approved Securities List for the Month of April 2024
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
collateral margin of Rs.
Approved Securities List for the Month of April 2024
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
collateral margin of Rs.

Notes
1) Haircut as applicable subject to a minimum of VaR+ELM+Adhoc

2) The clearing corporation has set a certain limit on the number of shares/units that can be pledged per security through a
broker. If the broker limit is reached, you will not be able to further pledge such securities for margin.
3) For stocks pledged before 5pm, collateral margin will be available on T+1 day.
Approved Securities List for the Month of April 2024
Equity Shares
For every Rs 100 worth of
Sr. No. Security Name ISIN Haircut % stock pledged, you'll receive Broker limit reached
4) The collateral margin received by pledging cash component securities can be used fully towards any margin requirement for collateral margin of Rs.
your open positions. You will not be required to maintain cash separately if the collateral from cash component securities
covers the margin requirement.
5) The collateral margin received by pledging non-cash component securities can be used only up to 50% of the margin
requirement for your open positions. The exchange stipulates for the remaining 50% margin to come in the form of cash or
cash equivalent collateral. Any additional utilisation of the non-cash collateral, over and above 50% of the margin requirement
will be liable to delayed payment charges.
6) Cost of pledge: Rs.30 + GST per scrip irrespective of quantity of stock pledged.
7) For all unpledge requests placed before 3.30 pm, stock will be available in demat account for trading on T+1 day.

Disclaimer The broker limit is indicative in nature. Raising a pledge request for a stock does not guarantee that the pledge will be accepted.
Approved Securities List for the Month of April 2024
List of ETFs that can be pledged
For every Rs 100 worth of stock
pledged, you'll receive collateral
Sr. No. Security Name ISIN Haircut % margin of Rs. Broker limit reached
1 ABSLLIQUID INF209KB18T9 10 90 No
2 GILT5YBEES INF204KC1030 10 90 Yes
3 GSEC5IETF INF109KC14A8 10 90 Yes
4 HDFCLIQUID INF179KC1HE2 10 90 No
5 KOTAKLIQ INF174KA1LV5 10 90 Yes
6 LICNETFGSC INF767K01MV5 10 90 Yes
7 LIQUID INF769K01KS1 10 90 Yes
8 LIQUIDBEES INF732E01037 10 90 No
9 LIQUIDETF INF740KA1EU7 10 90 No
10 LIQUIDIETF INF109KC1KT9 10 90 No
11 LIQUIDSBI INF200KA13Z8 10 90 No
12 LTGILTBEES INF204KB1882 10 90 No
13 MOGSEC INF247L01AK4 10 90 No
14 SETF10GILT INF200KA1JT1 10 90 Yes
15 LIQUIDCASE INF0R8F01034 10 90 No

Mutual funds
For every Rs 100 worth of
stock pledged, you'll
receive collateral margin Broker limit
Sr. No. Security Name ISIN Scheme Name Haircut % of Rs. Scheme Type reached
1 B501G INF209K01ME4 ADITYA BIRLA SUN LIFE LIQUID FUND RETAIL GROWTH 10 90 NORMAL
2 B153G INF209K01RU9 ADITYA BIRLA SUN LIFE LIQUID FUND REGULAR PLAN - GROWTH 10 90 NORMAL
3 B153GZ INF209K01VA3 ADITYA BIRLA SUN LIFE LIQUID FUND DIRECT PLAN - GROWTH 10 90 DIRECT
4 B153DZ INF209K01UZ2 ADITYA BIRLA SUN LIFE LIQUID FUND - DAILY IDCW REINVESTMENT-DIRECT PLAN 10 90 DIRECT
5 B153WZ INF209K01VC9 ADITYA BIRLA SUN LIFE LIQUID FUND - WEEKLY IDCW PAYOUT - DIRECT PLAN 10 90 DIRECT
6 B153Z INF209K01VD7 ADITYA BIRLA SUN LIFE LIQUID FUND - DIRECT PLAN-IDCW PAYOUT 10 90 DIRECT
7 BSL403QD INF209K01AF6 ADITYA BIRLA SUN LIFE GOVERNMENT SECURITIES FUND-QUARTERLY IDCW PAYOUT 10 90 NORMAL
8 BSL402AG INF209K01AC3 ADITYA BIRLA SUN LIFE GOVERNMENT SECURITIES FUND-GROWTH 10 90 NORMAL
9 B402AZ INF209K01XP7 ADITYA BIRLA SUN LIFE GOVERNMENT SECURITIES FUND- GROWTH-DIRECT PLAN 10 90 DIRECT
10 B403DZ INF209KA1LC4 ADITYA BIRLA SUN LIFE GOVERNMENT SECURITIES FUND- QUARTERLY DIRECT PLAN-IDCW PAYOUT 10 90 DIRECT
11 DSPBRGSF INF740K01615 DSP GILT FUND - GROWTH 10 90 NORMAL
12 DSPBRGSDF INF740K01607 DSP GILT FUND - IDCW REINVESTMENT 10 90 NORMAL
13 DSPGSCDGR INF740K01NF3 DSP GILT FUND - DIRECT PLAN - GROWTH 10 90 DIRECT
14 DSPBRTBF INF740K01714 DSP SAVINGS FUND - GROWTH 10 90 NORMAL
15 DSPTREDGR INF740K01NU2 DSP SAVINGS FUND - DIRECT PLAN - GROWTH 10 90 DIRECT
16 JMLFRG INF192K01882 JM LIQUID FUND - GROWTH OPTION 10 90 NORMAL
17 JMLFDD INF192K01CH6 JM LIQUID FUND (DIRECT) - DAILY IDCW REINVESTMENT OPTION 10 90 DIRECT
18 JMLFDG INF192K01CM6 JM LIQUID FUND (DIRECT) - GROWTH OPTION 10 90 DIRECT
19 KGIREGQDP INF174K01FK1 KOTAK GILT FUND - REGULAR PLAN - QUARTERLY IDCW PAYOUT 10 90 NORMAL
20 KGIREGG INF174K01FI5 KOTAK GILT FUND - REGULAR PLAN - GROWTH 10 90 NORMAL
21 KTKGILT INF174K01FL9 KOTAK GILT FUND - PROVIDEND FUND AND TRUST - GROWTH 10 90 NORMAL
22 KKGIG102D INF174K01KM7 KOTAK GILT FUND - PROVIDEND FUND AND TRUST - DIRECT PLAN - GROWTH 10 90 DIRECT
23 K12D INF174K01KF1 KOTAK GILT FUND - DIRECT PLAN - QUARTERLY IDCW PAYOUT 10 90 DIRECT
24 KKGIG02D INF174K01KE4 KOTAK GILT FUND - DIRECT PLAN - GROWTH 10 90 DIRECT
25 LICNGLDPD INF767K01683 LIC MF GILT FUND-REGULAR DIVIDEND-IDCW PAYOUT 10 90 NORMAL
26 LICNGLGPG INF767K01709 LIC MF GILT FUND-REGULAR GROWTH-GROWTH 10 90 NORMAL
27 LICNGLPGG INF767K01733 LIC MF GILT FUND-PF GROWTH-GROWTH 10 90 NORMAL
28 GLG1G INF767K01EZ3 LIC MF GILT FUND-DIRECT - REGULAR GROWTH PLAN-GROWTH 10 90 DIRECT
29 IP54P INF109K01JQ6 ICICI PRUDENTIAL GILT FUND - IDCW PAYOUT 10 90 NORMAL
30 IPRU53 INF109K01JR4 ICICI PRUDENTIAL GILT FUND - GROWTH 10 90 NORMAL
31 IPRU8016P INF109K016C9 ICICI PRUDENTIAL GILT FUND - DIRECT PLAN - IDCW PAYOUT 10 90 DIRECT
32 IPRU8015 INF109K018C5 ICICI PRUDENTIAL GILT FUND - DIRECT PLAN - GROWTH 10 90 DIRECT
33 SFLGP INF090I01CU9 FRANKLIN INDIA GOVERNMENT SECURITIES FUND-GROWTH 10 90 NORMAL
34 SFLDP INF090I01CS3 FRANKLIN INDIA GOVERNMENT SECURITIES FUND-QUARTERLY IDCW PAYOUT 10 90 NORMAL
35 FIGSFGP INF090I01HS2 FRANKLIN INDIA GOVERNMENT SECURITIES FUND - DIRECT GROWTH 10 90 DIRECT
36 FILFGP INF090I01BB1 FRANKLIN INDIA LIQUID FUND - REGULAR PLAN - GROWTH 10 90 NORMAL
37 FILFSIPGP INF090I01BG0 FRANKLIN INDIA LIQUID FUND - SUPER INSTITUTIONAL PLAN-GROWTH 10 90 NORMAL
38 FILFSIPDD INF090I01BF2 FRANKLIN INDIA LIQUID FUND - SUPER INSTITUTIONAL PLAN-DAILY IDCW REINVESTMENT 10 90 NORMAL
39 FILFSIPWDP INF090I01BM8 FRANKLIN INDIA LIQUID FUND - SUPER INSTITUTIONAL PLAN WEEKLY IDCW PAYOUT 10 90 NORMAL
40 FILFDSIPGP INF090I01JV2 FRANKLIN INDIA LIQUID FUND - SUPER INSTITUTIONAL PLAN - DIRECT -GROWTH 10 90 DIRECT
41 FILFDSIPDD INF090I01JW0 FRANKLIN INDIA LIQUID FUND - SUPER INSTITUTIONAL PLAN - DIRECT DAILY IDCW REINVESTMENT 10 90 DIRECT
42 FILFDSIPDP INF090I01JX8 FRANKLIN INDIA LIQUID FUND - SUPER INSTITUTIONAL PLAN - DIRECT WEEKLY IDCW PAYOUT 10 90 DIRECT
43 CRGLDPD INF760K01AB7 CANARA ROBECO GILT FUND REGULAR - IDCW PAYOUT 10 90 NORMAL
44 CRGLGPG INF760K01AE1 CANARA ROBECO GILT FUND REGULAR GROWTH 10 90 NORMAL
45 CRGLDG INF760K01FC4 CANARA ROBECO GILT FUND DIRECT GROWTH 10 90 DIRECT
46 UTIMMFGP INF789F01BF5 UTI MONEY MARKET FUND-DISCONTINUED REGULAR PLAN-GROWTH 10 90 NORMAL
47 MMIDR INF789F01PW0 UTI MONEY MARKET FUND-REGULAR DAILY DIVIDEND PLAN-IDCW REINVESTMENT 10 90 NORMAL
48 MMD6D INF789FA1M61 UTI MONEY MARKET FUND-DIRECT QUARTERLY DIVIDEND PLAN-IDCW PAYOUT 10 90 DIRECT
49 MMD2G INF789F01XV6 UTI MONEY MARKET FUND-DIRECT GROWTH 10 90 DIRECT
50 MMD1R INF789F01XU8 UTI MONEY MARKET FUND-DIRECT DAILY DIVIDEND PLAN-IDCW REINVESTMENT 10 90 DIRECT
51 MMIGG INF789F01PX8 UTI MONEY MARKET FUND-REGULAR GROWTH 10 90 NORMAL
52 UTIGSECSTP INF789F01604 UTI OVERNIGHT FUND - GROWTH PLAN 10 90 NORMAL
53 UTIGED2G INF789FB1S71 UTI OVERNIGHT FUND-DIRECT GROWTH PLAN-GROWTH 10 90 DIRECT
54 GEDDR INF789FB1T13 UTI OVERNIGHT FUND - DAILY IDCW REINVESTMENT OPTION PLAN 10 90 NORMAL
55 UTIGED3R INF789FB1S89 UTI OVERNIGHT FUND-DIRECT PLAN-DAILY IDCW REINVESTMENT 10 90 DIRECT
56 KTKLIQDR INF174K01NL3 KOTAK LIQUID FUND - REGULAR PLAN - DAILY IDCW REINVESTMENT 10 90 NORMAL
57 KLIQPREG INF174K01NI9 KOTAK LIQUID FUND - REGULAR PLAN - GROWTH 10 90 NORMAL
58 KLIQD463D INF174K01NH1 KOTAK LIQUID FUND - DIRECT PLAN - DAILY IDCW REINVESTMENT 10 90 DIRECT
59 KLIQG462D INF174K01NE8 KOTAK LIQUID FUND - DIRECT PLAN - GROWTH 10 90 DIRECT
60 RELLIQTPGP INF204K01UL3 NIPPON INDIA LIQUID FUND - RETAIL OPTION - GROWTH OPTION 10 90 NORMAL
61 LFAWRMF INF204K01ZM0 NIPPON INDIA LIQUID FUND - DIRECT WEEKLY IDCW REINVESTMENT 10 90 DIRECT
62 RELLTPDPGP INF204K01ZH0 NIPPON INDIA LIQUID FUND - DIRECT GROWTH PLAN - GROWTH OPTION 10 90 DIRECT
63 RELLIQTIQP INF204K01UQ2 NIPPON INDIA LIQUID FUND - QUARTERLY IDCW PAYOUT 10 90 NORMAL
64 LFADRMF INF204K01ZG2 NIPPON INDIA LIQUID FUND - DIRECT DAILY IDCW REINVESTMENT 10 90 DIRECT
65 RELLTPDPMD INF204K01ZI8 NIPPON INDIA LIQUID FUND - DIRECT MONTHLY IDCW PAYOUT 10 90 DIRECT
66 RELLTPDPQD INF204K01ZK4 NIPPON INDIA LIQUID FUND - DIRECT QUARTERLY IDCW PAYOUT 10 90 DIRECT
67 RELLIQTPIG INF204K01UN9 NIPPON INDIA LIQUID FUND - GROWTH PLAN - GROWTH OPTION 10 90 NORMAL
68 RELLIQTIDR INF204K01UM1 NIPPON INDIA LIQUID FUND - DAILY IDCW REINVESTMENT 10 90 NORMAL
69 RELLIQTIWR INF204K01US8 NIPPON INDIA LIQUID FUND - WEEKLY IDCW REINVESTMENT 10 90 NORMAL
70 RELLIQTIMP INF204K01UO7 NIPPON INDIA LIQUID FUND - MONTHLY IDCW PAYOUT 10 90 NORMAL
71 HLQDLFG INF179KB1HK0 HDFC LIQUID FUND - GROWTH 10 90 NORMAL
72 HLFGTGR INF179KB1HP9 HDFC LIQUID FUND - DIRECT PLAN - GROWTH OPTION 10 90 DIRECT
73 HLFDMTDP INF179KB1HO2 HDFC LIQUID FUND - DIRECT PLAN - MONTHLY IDCW PAYOUT OPTION 10 90 DIRECT
74 HLFDDR INF179KB1IC5 HDFC LIQUID FUND - IDCW - DAILY REINVESTMENT 10 90 NORMAL
75 HLQDLFDM INF179KB1HM6 HDFC LIQUID FUND - MONTHLY IDCW PAYOUT 10 90 NORMAL
76 JMLFDP INF192K01833 JM LIQUID FUND - DAILY IDCW REINVESTMENT OPTION 10 90 NORMAL
77 HDFCGLG INF179K01756 HDFC GILT FUND - REGULAR PLAN- GROWTH 10 90 NORMAL
78 HDFCGLD INF179K01772 HDFC GILT FUND - REGULAR PLAN - IDCW PAYOUT 10 90 NORMAL
79 HGLDTDP INF179K01VR2 HDFC GILT FUND - DIRECT PLAN - IDCW PAYOUT 10 90 DIRECT
80 HGLGTGR INF179K01VS0 HDFC GILT FUND - DIRECT PLAN - GROWTH OPTION 10 90 DIRECT
81 FLDP INF090I01BZ0 FRANKLIN INDIA MONEY MARKET FUND QUARTERLY IDCW PAYOUT 10 90 NORMAL
82 FLGP INF090I01CA1 FRANKLIN INDIA MONEY MARKET FUND-GROWTH 10 90 NORMAL
83 FLDDP INF090I01GT2 FRANKLIN INDIA MONEY MARKET FUND - DIRECT QUARTERLY IDCW PAYOUT 10 90 DIRECT
84 FLDGP INF090I01GV8 FRANKLIN INDIA MONEY MARKET FUND - DIRECT GROWTH 10 90 DIRECT
85 FLMDP INF090I01LA2 FRANKLIN INDIA MONEY MARKET FUND-MONTHLY IDCW PAYOUT 10 90 NORMAL
86 FLMDDP INF090I01LC8 FRANKLIN INDIA MONEY MARKET FUND - DIRECT MONTHLY IDCW PAYOUT 10 90 DIRECT
87 CRLISDR INF760K01CU3 CANARA ROBECO LIQUID FUND REGULAR DAILY - IDCW REINVESTMENT 10 90 NORMAL
88 CRLISMD INF760K01CX7 CANARA ROBECO LIQUID FUND REGULAR MONTHLY - IDCW PAYOUT 10 90 NORMAL
89 CRLISGG INF760K01CW9 CANARA ROBECO LIQUID FUND REGULAR GROWTH 10 90 NORMAL
90 CRLIDG INF760K01FU6 CANARA ROBECO LIQUID FUND DIRECT GROWTH 10 90 DIRECT
91 CRLIDD INF760K01FS0 CANARA ROBECO LIQUID FUND DIRECT DAILY - IDCW REINVESTMENT 10 90 DIRECT
92 BPLFG INF955L01484 BARODA BNP PARIBAS LIQUID FUND REGULAR GROWTH 10 90 NORMAL
93 BPMFLFD1 INF955L01AK2 BARODA BNP PARIBAS LIQUID FUND DIRECT DAILY IDCW Reinvestment 10 90 DIRECT
94 BPMFLFD2 INF955L01AL0 BARODA BNP PARIBAS LIQUID FUND DIRECT GROWTH 10 90 DIRECT
95 IPRU8099 INF109K01R22 ICICI PRUDENTIAL MONEY MARKET FUND - DIRECT PLAN - DAILY IDCW REINVESTMENT 10 90 DIRECT
96 IPRU8101 INF109K01R14 ICICI PRUDENTIAL MONEY MARKET FUND - DIRECT PLAN - GROWTH 10 90 DIRECT
97 LFDPD INF767K01IQ3 LIC MF LIQUID FUND-DIVIDEND-IDCW PAYOUT 10 90 NORMAL
98 LFGPG INF767K01IS9 LIC MF LIQUID FUND-GROWTH-GROWTH 10 90 NORMAL
99 LFD1D INF767K01DL5 LIC MF LIQUID FUND-DIRECT - DIVIDEND PLAN-IDCW PAYOUT 10 90 DIRECT
100 LFG1G INF767K01DN1 LIC MF LIQUID FUND-DIRECT - GROWTH PLAN-GROWTH 10 90 DIRECT
101 LQWDP INF397L01950 LIC LIQUID FUND - REGULAR PLAN - WEEKLY IDCW - PAYOUT 10 90 NORMAL
102 BPGFG INF955L01450 BARODA BNP PARIBAS GILT FUND REGULAR GROWTH 10 90 NORMAL
103 BPMFGFD2 INF955L01AD7 BARODA BNP PARIBAS GILT FUND DIRECT GROWTH 10 90 DIRECT
104 OCAPDD INF336L01BM9 HSBC LIQUID FUND - DAILY IDCW REINVESTMENT 10 90 NORMAL
105 OCAPG INF336L01BN7 HSBC LIQUID FUND - GROWTH 10 90 NORMAL
106 OCAPMP INF336L01BP2 HSBC LIQUID FUND - MONTHLY IDCW PAYOUT 10 90 NORMAL
107 OHCAPG INF336L01CC8 HSBC LIQUID FUND - GROWTH DIRECT PLAN 10 90 DIRECT
108 OHCPWP INF336L01LK2 HSBC LIQUID FUND - DIRECT WEEKLY IDCW PAYOUT 10 90 DIRECT
109 OCAPWP INF336L01LJ4 HSBC LIQUID FUND - REGULAR WEEKLY IDCW PAYOUT 10 90 NORMAL
110 OHCPDD INF336L01CB0 HSBC LIQUID FUND - DAILY IDCW DIRECT PLAN -REINVESTMENT 10 90 DIRECT
111 B511G INF209K01MJ3 ADITYA BIRLA SUN LIFE MONEY MANAGER FUND - RETAIL - GROWTH 10 90 NORMAL
112 151ID INF209K01SZ6 ADITYA BIRLA SUN LIFE MONEY MANAGER FUND - DAILY IDCW REINVESTMENT 10 90 NORMAL
113 B151RD INF209K01SY9 ADITYA BIRLA SUN LIFE MONEY MANAGER FUND - WEEKLY IDCW REINVESTMENT 10 90 NORMAL
114 B151IG INF209K01RV7 ADITYA BIRLA SUN LIFE MONEY MANAGER FUND - GROWTH-REGULAR PLAN 10 90 NORMAL
115 B151DZ INF209K01UT5 ADITYA BIRLA SUN LIFE MONEY MANAGER FUND - DAILY IDCW REINVESTMENT-DIRECT PLAN 10 90 DIRECT
116 151GZ INF209K01UU3 ADITYA BIRLA SUN LIFE MONEY MANAGER FUND - GROWTH-DIRECT PLAN 10 90 DIRECT
117 HLQD53 INF179KB1HR5 HDFC MONEY MARKET FUND - REGULAR PLAN - GROWTH 10 90 NORMAL
118 H53TGR INF179KB1HU9 HDFC MONEY MARKET FUND - DIRECT PLAN - GROWTH 10 90 DIRECT
119 HLQD57 INF179KB1HS3 HDFC OVERNIGHT FUND REGULAR PLAN - GROWTH 10 90 NORMAL
120 H57TGR INF179KB1HT1 HDFC OVERNIGHT FUND DIRECT PLAN - GROWTH 10 90 DIRECT
121 UTILIQUDRI INF789F01AZ5 UTI LIQUID FUND - REGULAR PLAN-IDCW REINVESTMENT 10 90 NORMAL
122 UTILIQUMDR INF789F01BB4 UTI LIQUID FUND - REGULAR PLAN-IDCW REINVESTMENT 10 90 NORMAL
123 CPIDR INF789F01PG3 UTI LIQUID FUND-REGULAR PLAN-IDCW REINVESTMENT 10 90 NORMAL
124 CPIMD INF789F01PI9 UTI LIQUID FUND-REGULAR PLAN MONTHLY IDCW PAYOUT 10 90 NORMAL
125 CPIGG INF789F01PH1 UTI LIQUID FUND - REGULAR PLAN GROWTH 10 90 NORMAL
126 CPD5D INF789FA1K06 UTI LIQUID FUND-DIRECT PLAN- FORTNIGHTLY IDCW PAYOUT 10 90 DIRECT
127 CPFTD INF789FA1J09 UTI LIQUID FUND-REGULAR PLAN-FORTNIGHTLY IDCW PAYOUT 10 90 NORMAL
128 CPIWR INF789F01PK5 UTI LIQUID FUND-REGULAR PLAN WEEKLY IDCW REINVESTMENT 10 90 NORMAL
129 CPD2G INF789F01XQ6 UTI LIQUID FUND-DIRECT PLAN GROWTH 10 90 DIRECT
130 CPD1R INF789F01XP8 UTI LIQUID FUND-DIRECT PLAN DAILY IDCW REINVESTMENT 10 90 DIRECT
131 K476 INF174K018O0 KOTAK MONEY MARKET FUND - MONTHLY IDCW PAYOUT 10 90 NORMAL Yes
132 KFLRG INF174K01NA6 KOTAK MONEY MARKET FUND - GROWTH 10 90 NORMAL
133 KFLRG252D INF174K01MW2 KOTAK MONEY MARKET FUND - DIRECT PLAN - GROWTH 10 90 DIRECT
134 K476D INF174K019O8 KOTAK MONEY MARKET FUND - DIRECT PLAN - MONTHLY IDCW PAYOUT 10 90 DIRECT
135 UTIGILTLTP INF789F01646 UTI GILT FUND-REGULAR DIVIDEND PLAN-IDCW PAYOUT 10 90 NORMAL
136 UTIGILTLTP INF789F01661 UTI GILT FUND-REGULAR REGULAR GROWTH 10 90 NORMAL
137 RELLQDTYGP INF204K01VA4 NIPPON INDIA MONEY MARKET FUND - GROWTH PLAN GROWTH OPTION 10 90 NORMAL
138 RELLQDTDDR INF204K01UY6 NIPPON INDIA MONEY MARKET FUND - DAILY IDCW REINVESTMENT 10 90 NORMAL
139 RELLQDTWDR INF204K01UZ3 NIPPON INDIA MONEY MARKET FUND - WEEKLY IDCW REINVESTMENT 10 90 NORMAL
140 RELLQDTMDP INF204K01VB2 NIPPON INDIA MONEY MARKET FUND - MONTHLY IDCW PAYOUT 10 90 NORMAL
141 RELLIQDPMD INF204K01ZQ1 NIPPON INDIA MONEY MARKET FUND - DIRECT PLAN MONTHLY IDCW PAYOUT 10 90 DIRECT
142 LQAWRMF INF204K01ZO6 NIPPON INDIA MONEY MARKET FUND - DIRECT PLAN WEEKLY IDCW REINVESTMENT 10 90 DIRECT
143 LQADRMF INF204K01ZN8 NIPPON INDIA MONEY MARKET FUND - DIRECT PLAN DAILY IDCW REINVESTMENT 10 90 DIRECT
144 RELLIQDPGP INF204K01ZP3 NIPPON INDIA MONEY MARKET FUND - DIRECT GROWTH PLAN GROWTH OPTION 10 90 DIRECT
145 166LFGP INF966L01317 QUANT LIQUID FUND REGULAR PLAN - GROWTH 10 90 NORMAL
146 166LFMD INF966L01291 QUANT LIQUID FUND REGULAR PLAN - MONTHLY IDCW PAYOUT 10 90 NORMAL
147 166LFDG INF966L01820 QUANT LIQUID FUND DIRECT PLAN - GROWTH 10 90 DIRECT
148 166LFDM INF966L01796 QUANT LIQUID FUND DIRECT PLAN - MONTHLY IDCW PAYOUT 10 90 DIRECT
149 IPRU1565 INF109K01VQ1 ICICI PRUDENTIAL LIQUID FUND - GROWTH 10 90 NORMAL
150 IPRU1567 INF109K01VS7 ICICI PRUDENTIAL LIQUID FUND - WEEKLY IDCW PAYOUT 10 90 NORMAL
151 IPRU1564 INF109K01VP3 ICICI PRUDENTIAL LIQUID FUND - DAILY IDCW REINVESTMENT 10 90 NORMAL
152 IPRU8129P INF109K01Q31 ICICI PRUDENTIAL LIQUID FUND - DIRECT PLAN - IDCW PAYOUT OTHERS 10 90 DIRECT
153 IPRU8096 INF109K01Q49 ICICI PRUDENTIAL LIQUID FUND - DIRECT PLAN - GROWTH 10 90 DIRECT
154 IPRU1780P INF109K01VU3 ICICI PRUDENTIAL LIQUID FUND - IDCW PAYOUT 10 90 NORMAL
155 IPRU8095 INF109K01Q15 ICICI PRUDENTIAL LIQUID FUND - DIRECT PLAN - DAILY IDCW REINVESTMENT 10 90 DIRECT
156 IPRU8098 INF109K01Q98 ICICI PRUDENTIAL LIQUID FUND - DIRECT PLAN - WEEKLY IDCW REINVESTMENT 10 90 DIRECT
157 DSPBRLIGF INF740K01FK9 DSP LIQUIDITY FUND - GROWTH 10 90 NORMAL
158 DSPLQDGR INF740K01QL4 DSP LIQUIDITY FUND - DIRECT PLAN - GROWTH 10 90 DIRECT
159 IPRU1571 INF109K01TX1 ICICI PRUDENTIAL MONEY MARKET FUND - GROWTH 10 90 NORMAL
160 IPRU1569 INF109K01TY9 ICICI PRUDENTIAL MONEY MARKET FUND - DAILY IDCW REINVESTMENT 10 90 NORMAL
161 IPRU1573 INF109K01TZ6 ICICI PRUDENTIAL MONEY MARKET FUND - WEEKLY IDCW REINVESTMENT 10 90 NORMAL
162 P1973 INF109K01I64 ICICI PRUDENTIAL MONEY MARKET FUND - IDCW PAYOUT OTHERS 10 90 NORMAL
163 QMFLFGPG INF082J01127 QUANTUM LIQUID FUND - DIRECT PLAN GROWTH OPTION 10 90 DIRECT
164 QMFLFMDP INF082J01143 QUANTUM LIQUID FUND - DIRECT PLAN MONTHLY IDCW PAYOUT OPTION 10 90 DIRECT
165 QMFLFRGG INF082J01309 QUANTUM LIQUID FUND - REGULAR PLAN GROWTH OPTION 10 90 NORMAL
166 RMFLFSIG INF205K01HM5 INVESCO INDIA LIQUID FUND - GROWTH 10 90 NORMAL
167 IMFLFD4DR INF205K01ME2 INVESCO INDIA LIQUID FUND - DIRECT PLAN DAILY IDCW REINVESTMENT 10 90 DIRECT
168 IMFLFD1GR INF205K01MF9 INVESCO INDIA LIQUID FUND - DIRECT PLAN GROWTH 10 90 DIRECT
169 RMFGLDRG INF205K01SR1 INVESCO INDIA INDIA GILT FUND - GROWTH 10 90 NORMAL
170 IMFGLD1GR INF205K01SN0 INVESCO INDIA GILT FUND - DIRECT PLAN GROWTH 10 90 DIRECT
171 IDFCGQB INF194K01EH8 BANDHAN GOVERNMENT SECURITIES FUND - INVESTMENT PLAN-QUARTERLY-IDCW REINVESTMENT 10 90 NORMAL
172 IDFCDGSG INF194K01P38 BANDHAN GOVERNMENT SECURITIES FUND - CONSTANT MATURITY PLAN-GROWTH-(DIRECT PLAN) 10 90 DIRECT
173 IDDGSQDP INF194K01P87 BANDHAN GOVERNMENT SECURITIES FUND - CONSTANT MATURITY PLAN -DIRECT PLAN-QUARTERLY IDCW PAYOUT 10 90 DIRECT
174 IDFCFCCG INF194K01VX9 BANDHAN LIQUID FUND -REGULAR PLAN-GROWTH 10 90 NORMAL
175 IDFCFCCM INF194K01WF4 BANDHAN LIQUID FUND - MONTHLY - IDCW REINVESTMENT 10 90 NORMAL
176 IDFCDFCCD INF194K01I78 BANDHAN LIQUID FUND-DAILY IDCW REINVESTMENT-(DIRECT PLAN) 10 90 DIRECT
177 IDDFCCWDR INF194K01J51 BANDHAN LIQUID FUND -DIRECT PLAN -WEEKLY IDCW REINVESTMENT 10 90 DIRECT
178 IDFCDFCCG INF194K01I60 BANDHAN LIQUID FUND-GROWTH-(DIRECT PLAN) 10 90 DIRECT
179 IDFCDFRG INF194K01M80 BANDHAN MONEY MANAGER FUND-GROWTH-(DIRECT PLAN) 10 90 DIRECT
180 IDFCGSG INF194K01FA0 BANDHAN GOVERNMENT SECURITIES FUND - CONSTANT MATURITY PLAN -REGULAR PLAN-GROWTH 10 90 NORMAL
181 IDFCFRG INF194K01LJ9 BANDHAN MONEY MANAGER FUND -REGULAR PLAN-GROWTH 10 90 NORMAL
182 IDFCFRM INF194K01LO9 BANDHAN MONEY MANAGER FUND - MONTHLY - IDCW REINVESTMENT 10 90 NORMAL
183 BOILFRGG INF761K01306 BANK OF INDIA LIQUID FUNDREGULAR PLAN - GROWTH 10 90 NORMAL
184 BOILFRDR INF761K01CO4 BANK OF INDIA LIQUID FUND - REGULAR PLAN - DAILY IDCW REINVESTMENT 10 90 NORMAL
185 LFDG INF761K01785 BANK OF INDIA LIQUID FUNDDIRECT PLAN - GROWTH 10 90 DIRECT
186 RELGLSRPGP INF204K01BU4 NIPPON INDIA GILT SECURITIES FUND - GROWTH OPTION 10 90 NORMAL
187 RELGLSRMDO INF204K01CB2 NIPPON INDIA GILT SECURITIES FUND-P F OPT-DEFINED MATURITY DATE OPT 10 90 NORMAL
188 RELGLSRPDP INF204K01BV2 NIPPON INDIA GILT SECURITIES FUND - DIV PLAN-IDCW PAYOUT OPTION 10 90 NORMAL
189 RELGILDPDM INF204K01E88 NIPPON INDIA GILT SECURITIES FUND DIRECT PLAN DEFINED MATURITY DATE OPTION GROWTH 10 90 DIRECT
190 RELGILDPAA INF204K01E62 NIPPON INDIA GILT SECURITIES FUND DIRECT PLAN AUTOMATIC ANNUAL REINVEST OPTION IDCW REINVESTMENT 10 90 DIRECT
191 RELGLSRACA INF204K01CC0 NIPPON INDIA GILT SEC FUND- P F OPT-AUTO CAP APPRECIATION PAYOUT 10 90 NORMAL
192 RELGILDPAC INF204K01E70 NIPPON INDIA GILT SECURITIES FUND DIRECT PLAN AUTOMATIC CAPITAL APPRECIATION PAYOUT OPTION IDCW PAYOUT 10 90 DIRECT
193 RELGILDPDP INF204K01XQ6 NIPPON INDIA GILT SECURITIES FUND DIRECT PLAN DIVIDEND PLAN IDCW PAYOUT 10 90 DIRECT
194 RELGILDPGP INF204K01XP8 NIPPON INDIA GILT SECURITIES FUND DIRECT PLAN GROWTH PLAN GROWTH 10 90 DIRECT
195 IDFC86 INF194K01DZ2 BANDHAN GOVERNMENT SECURITIES FUND- INVESTMENT PLAN-REGULAR PLAN-GROWTH 10 90 NORMAL
196 IDFCD86 INF194K01Q29 BANDHAN GOVERNMENT SECURITIES FUND-INVESTMENT PLAN-GROWTH-(DIRECT PLAN) 10 90 DIRECT
197 IDFC295 INF194KA1RW6 BANDHAN GOVERNMENT SECURITIES FUND - INVESTMENT PLAN- PERIODIC (REGULAR PLAN)-IDCW PAYOUT 10 90 NORMAL
198 MIRAECFDWR INF769K01812 MIRAE ASSET LIQUID FUND - WEEKLY IDCW REINVESTMENT 10 90 NORMAL
199 MIRAECFDMD INF769K01838 MIRAE ASSET LIQUID FUND - MONTHLY IDCW PAYOUT 10 90 NORMAL
200 MIRAECFGPG INF769K01788 MIRAE ASSET LIQUID FUND - GROWTH OPTION 10 90 NORMAL
201 MIRAECFD1 INF769K01CM1 MIRAE ASSET LIQUID FUND - DIRECT PLAN - GROWTH 10 90 DIRECT
202 MIRAECFD4 INF769K01CN9 MIRAE ASSET LIQUID FUND - DIRECT PLAN - MONTHLY IDCW PAYOUT 10 90 DIRECT
203 RGFCOG INF205K01SD1 INVESCO INDIA MONEY MARKET FUND - GROWTH 10 90 NORMAL
204 IMFCOD1GR INF205K01RY9 INVESCO INDIA MONEY MARKET FUND - DIRECT PLAN GROWTH 10 90 DIRECT
205 IMFCOD2DP INF205K01RZ6 INVESCO INDIA MONEY MARKET FUND - DIRECT PLAN MONTHLY IDCW PAYOUT 10 90 DIRECT
206 AXISCFGP INF846K01412 AXIS LIQUID FUND - REGULAR GROWTH 10 90 NORMAL
207 AXISCFDD INF846K01420 AXIS LIQUID FUND - REGULAR DAILY IDCW REINVESTMENT 10 90 NORMAL
208 AXISCFWD INF846K01438 AXIS LIQUID FUND - REGULAR WEEKLY IDCW PAYOUT 10 90 NORMAL
209 AXISCFDP INF846K01453 AXIS LIQUID FUND - REGULAR MONTHLY IDCW PAYOUT 10 90 NORMAL
210 AXISCFDM INF846K01CY2 AXIS LIQUID FUND - DIRECT PLAN - MONTHLY IDCW PAYOUT 10 90 DIRECT Yes
211 AXISCFDR INF846K01DA0 AXIS LIQUID FUND - DIRECT PLAN - DAILY IDCW REINVESTMENT 10 90 DIRECT
212 AXISCFDG INF846K01CX4 AXIS LIQUID FUND - DIRECT GROWTH 10 90 DIRECT
213 AXISCFDW INF846K01DB8 AXIS LIQUID FUND - DIRECT PLAN - WEEKLY IDCW PAYOUT 10 90 DIRECT
214 PLFLFSG INF959L01GL9 NAVI LIQUID FUND - REGULAR PLAN GROWTH 10 90 NORMAL
215 PLFLFGD INF959L01GF1 NAVI LIQUID FUND - DIRECT PLAN GROWTH 10 90 DIRECT
216 UNLGR INF582M01013 UNION LIQUID FUND GROWTH 10 90 NORMAL
217 UNLDDR INF582M01021 UNION LIQUID FUND DAILY IDCW REINVESTMENT 10 90 NORMAL
218 UNLDRD INF582M01682 UNION LIQUID FUND DAILY IDCW REINVESTMENT-DIRECT PLAN 10 90 DIRECT Yes
219 UNLGRD INF582M01674 UNION LIQUID FUND GROWTH-DIRECT PLAN 10 90 DIRECT
220 IBMLFGP INF666M01014 GROWW LIQUID FUND - EXISTING PLAN - GROWTH 10 90 NORMAL Yes
221 IBMLFG1 INF666M01451 GROWW LIQUID FUND - DIRECT PLAN - GROWTH 10 90 DIRECT
222 IBMLFM1 INF666M01519 GROWW LIQUID FUND - DIRECT PLAN - MONTHLY IDCW PAYOUT 10 90 DIRECT
223 AXISCMGP INF846K01AX8 AXIS GILT FUND - REGULAR GROWTH OPTION 10 90 NORMAL
224 AXISCMDG INF846K01DD4 AXIS GILT FUND - DIRECT PLAN - GROWTH OPTION 10 90 DIRECT
225 TATALSG01 INF277K01LQ7 TATA MONEY MARKET FUND REGULAR PLAN GROWTH 10 90 NORMAL
226 TATALSD01 INF277K014C0 TATA MONEY MARKET REGULAR PLAN DAILY IDCW REINVESTMENT 10 90 NORMAL
227 TLSDZ INF277K011C6 TATA MONEY MARKET DIRECT PLAN - DAILY IDCW REINVESTMENT 10 90 DIRECT
228 TLF INF277K01PR6 TATA MONEY MARKET FUND DIRECT PLAN GROWTH 10 90 DIRECT
229 TMOND INF277K011D4 TATA LIQUID FUND REGULAR PLAN - DAILY IDCW REINVESTMENT 10 90 NORMAL
230 TATAFRSIG INF277K01YD8 TATA LIQUID FUND REGULAR PLAN GROWTH 10 90 NORMAL
231 TFRSTF INF277K01YE6 TATA LIQUID FUND DIRECT PLAN GROWTH 10 90 DIRECT
232 TMONDZ INF277K012D2 TATA LIQUID FUND DIRECT PLAN- DAILY IDCW REINVESTMENT 10 90 DIRECT Yes
233 TATAGFG INF277K01519 TATA GILT SECURITIES FUND REGULAR PLAN GROWTH 10 90 NORMAL
234 TATAGFD INF277K01DN1 TATA GILT SECURITIES FUND REGULAR PLAN - IDCW PAYOUT 10 90 NORMAL Yes
235 TGSFR INF277K01OX7 TATA GILT SECURITIES FUND DIRECT PLAN GROWTH 10 90 DIRECT
236 LRG INF579M01506 360 ONE LIQUID FUND REGULAR PLAN - GROWTH 10 90 NORMAL
237 LDG INF579M01621 360 ONE LIQUID FUND - DIRECT PLAN - GROWTH 10 90 DIRECT
238 IPRU2498 INF109KA1N46 ICICI PRUDENTIAL CONSTANT MATURITY GILT FUND - GROWTH 10 90 NORMAL
239 IPRU8698 INF109KA1O37 ICICI PRUDENTIAL CONSTANT MATURITY GILT FUND - DIRECT PLAN - GROWTH 10 90 DIRECT
240 IPRU8700P INF109KA1O52 ICICI PRUDENTIAL CONSTANT MATURITY GILT FUND - DIRECT PLAN - QUARTERLY IDCW PAYOUT 10 90 DIRECT
241 DSP10YRGR INF740K012I0 DSP 10Y G-SEC FUND - REGULAR PLAN - GROWTH 10 90 NORMAL
242 DSP10YDGR INF740K019I5 DSP 10Y G-SEC FUND - DIR - GROWTH 10 90 DIRECT
243 PRMCFD1 INF223J01NS5 PGIM INDIA LIQUID FUND DIRECT PLAN - GROWTH 10 90 DIRECT
244 PRMCFD2 INF223J01NR7 PGIM INDIA LIQUID FUND DIRECT PLAN - DAILY IDCW REINVESTMENT 10 90 DIRECT
245 PRMGFGP INF223J01AQ6 PGIM INDIA GILT FUND - REGULAR PLAN - GROWTH 10 90 NORMAL
246 PRMGFD1 INF223J01ND7 PGIM INDIA GILT FUND - DIRECT PLAN - GROWTH - GROWTH 10 90 DIRECT
247 MMMLFRG INF174V01010 MAHINDRA MANULIFE LIQUID FUND - REGULAR - GROWTH 10 90 NORMAL
248 MMMLFDG INF174V01044 MAHINDRA MANULIFE LIQUID FUND - DIRECT - GROWTH 10 90 DIRECT
249 EMFLIQDRGR INF754K01GZ6 EDELWEISS LIQUID FUND - REGULAR PLAN GROWTH - GROWTH 10 90 NORMAL
250 EMFLIQDDDR INF754K01GP7 EDELWEISS LIQUID FUND - DIRECT PLAN DAILY IDCW REINVESTMENT 10 90 DIRECT
251 EMFLIQDGP INF754K01GM4 EDELWEISS LIQUID FUND - DIRECT PLAN GROWTH OPTION 10 90 DIRECT
252 EMFLIQDDMP INF754K01GW3 EDELWEISS LIQUID FUND - DIRECT PLAN - MONTHLY IDCW PAYOUT 10 90 DIRECT
253 JARGR INF843K01344 EDELWEISS MONEY MARKET FUND - REGULAR PLAN - GROWTH OPTION 10 90 NORMAL
254 JAIGR INF843K01377 EDELWEISS MONEY MARKET FUND - INSTITUTIONAL PLAN - GROWTH OPTION 10 90 NORMAL
255 JARDI INF843K01351 EDELWEISS MONEY MARKET FUND - REGULAR PLAN - IDCW PAYOUT 10 90 NORMAL
256 EMFAID1 INF843K01CE1 EDELWEISS MONEY MARKET FUND - DIRECT PLAN GROWTH OPTION 10 90 DIRECT
257 JPGGR INF843K01HC4 EDELWEISS GOVERNMENT SECURITIES FUND - REGULAR PLAN - GROWTH OPTION 10 90 NORMAL
258 JDGGR INF843K01GS2 EDELWEISS GOVERNMENT SECURITIES FUND - DIRECT PLAN GROWTH 10 90 DIRECT
259 JDGDP INF843K01GU8 EDELWEISS GOVERNMENT SECURITIES FUND - DIRECT PLAN - IDCW PAYOUT 10 90 DIRECT
260 PPLFLFG INF879O01035 PARAG PARIKH LIQUID FUND-REGULAR PLAN-GROWTH 10 90 NORMAL
261 PPLFLFMDPZ INF879O01076 PARAG PARIKH LIQUID FUND-DIRECT PLAN-MONTHLY - IDCW PAYOUT 10 90 DIRECT
262 PPLFLFGZ INF879O01068 PARAG PARIKH LIQUID FUND-DIRECT PLAN-GROWTH 10 90 DIRECT
263 SMMRG INF903JA1FJ3 SUNDARAM MONEY MARKET FUND REGULAR GROWTH 10 90 NORMAL
264 SMMDG INF903JA1FR6 SUNDARAM MONEY MARKET FUND DIRECT GROWTH 10 90 DIRECT
265 SBIMICFFLT INF200K01LQ9 SBI OVERNIGHT FUND REGULAR GROWTH 10 90 NORMAL
266 SBIOFDG INF200K01TK5 SBI OVERNIGHT FUND DIRECT GROWTH 10 90 DIRECT
267 SBIPLF INF200K01MA1 SBI LIQUID FUND REGULAR GROWTH 10 90 NORMAL
268 SBILFDG INF200K01UT4 SBI LIQUID FUND DIRECT GROWTH 10 90 DIRECT
269 MG-S-G INF200K01AN9 SBI MAGNUM CONSTANT MATURITY FUND REGULAR GROWTH 10 90 NORMAL
270 MG-S-DP INF200K01AO7 SBI MAGNUM CONSTANT MATURITY FUND REGULAR IDCW PAYOUT 10 90 NORMAL
271 MG-LR-DP INF200K01990 SBI MAGNUM GILT FUND REGULAR IDCW PAYOUT 10 90 NORMAL
272 MG-LR-G INF200K01982 SBI MAGNUM GILT FUND REGULAR GROWTH 10 90 NORMAL
273 MG-LPR-G INF200K01AK5 SBI MAGNUM GILT FUND - LONG TERM - PF - REGULAR 10 90 NORMAL
274 MGFD040A INF200K01SH3 SBI MAGNUM GILT FUND DIRECT GROWTH 10 90 DIRECT
275 MIF-FS-G INF200K01636 SBI SAVINGS FUND - REGULAR PLAN - GROWTH 10 90 NORMAL
276 MIF-FS-DP INF200K01644 SBI SAVINGS FUND - REGULAR PLAN - IDCW PAYOUT 10 90 NORMAL
277 MIF-FS-WDP INF200K01669 SBI SAVINGS FUND - REGULAR PLAN - WEEKLY IDCW PAYOUT 10 90 NORMAL
278 SBISGDG INF200K01SZ5 SBI SAVINGS FUND - DIRECT PLAN - GROWTH 10 90 DIRECT
279 157G INF209KB1ZC3 ADITYA BIRLA SUN LIFE OVERNIGHT FUND - REGULAR PLAN - GROWTH 10 90 NORMAL
280 157WD INF209KB1ZE9 ADITYA BIRLA SUN LIFE OVERNIGHT FUND - REGULAR PLAN - WEEKLY IDCW REINVESTMENT 10 90 NORMAL
281 157Z INF209KB1ZH2 ADITYA BIRLA SUN LIFE OVERNIGHT FUND - DIRECT PLAN - GROWTH 10 90 DIRECT
282 157D INF209KB1ZL4 ADITYA BIRLA SUN LIFE OVERNIGHT FUND - DIRECT PLAN - MONTHLY IDCW PAYOUT 10 90 DIRECT
283 IPRU3223 INF109KC17E3 ICICI PRUDENTIAL OVERNIGHT FUND GROWTH 10 90 NORMAL
284 IPRU9425 INF109KC11G1 ICICI PRUDENTIAL OVERNIGHT FUND DIRECT PLAN GROWTH 10 90 DIRECT
285 P9695P INF109KC16G0 ICICI PRUDENTIAL OVERNIGHT FUND DIRECT PLAN WEEKLY IDCW PAYOUT 10 90 DIRECT
286 IPRU3224 INF109KC18E1 ICICI PRUDENTIAL OVERNIGHT FUND DAILY IDCW REINVESTMENT 10 90 NORMAL
287 RMFONMDP INF204KB1Q99 NIPPON INDIA OVERNIGHT FUND - MONTHLY IDCW PAYOUT 10 90 NORMAL
288 RMFONADGP INF204KB1R31 NIPPON INDIA OVERNIGHT FUND - DIRECT GROWTH PLAN 10 90 DIRECT
289 RMFONDGP INF204KB1Q65 NIPPON INDIA OVERNIGHT FUND - GROWTH PLAN 10 90 NORMAL
290 RMFONADDR INF204KB1R49 NIPPON INDIA OVERNIGHT FUND - DIRECT DAILY PLAN IDCW REINVESTMENT 10 90 DIRECT
291 LFGDG INF247L01734 MOTILAL OSWAL LIQUID FUND DIRECT GROWTH 10 90 DIRECT
292 LFGPGR INF247L01726 MOTILAL OSWAL LIQUID FUND REGULAR GROWTH 10 90 NORMAL
293 LGR INF03VN01126 WOC LIQUID FUND REGULAR - GROWTH 10 90 NORMAL
294 LGD INF03VN01043 WOC LIQUID FUND DIRECT - GROWTH 10 90 DIRECT
295 DSPONRGR INF740KA1MB0 DSP OVERNIGHT FUND - REGULAR PLAN - GROWTH 10 90 NORMAL
296 DSPONDGR INF740KA1MC8 DSP OVERNIGHT FUND - DIRECT PLAN - GROWTH 10 90 DIRECT
297 KTKOVFDRD INF174KA1BE2 KOTAK OVERNIGHT FUND - DIRECT PLAN - DAILY IDCW REINVESTMENT 10 90 DIRECT
298 KTKOVFGRD INF174KA1BF9 KOTAK OVERNIGHT FUND - DIRECT PLAN - GROWTH 10 90 DIRECT
299 KTAKOVFGR INF174KA1BC6 KOTAK OVERNIGHT FUND - REGULAR PLAN - GROWTH 10 90 NORMAL
300 IDFCONF INF194KB1314 BANDHAN OVERNIGHT FUND REGULAR PLAN-GROWTH 10 90 NORMAL
301 IDFCONFDG INF194KB1447 BANDHAN OVERNIGHT FUND DIRECT PLAN-GROWTH 10 90 DIRECT
302 BPMFBMD2 INF955L01ID0 BARODA BNP PARIBAS MONEY MARKET FUND DIRECT PLAN GROWTH 10 90 DIRECT
303 BPMFBMD5 INF955L01IF5 BARODA BNP PARIBAS MONEY MARKET FUND DIRECT PLAN WEEKLY IDCW REINVESTMENT 10 90 DIRECT
304 BPMFBMGP INF955L01HY8 BARODA BNP PARIBAS MONEY MARKET FUND REGULAR PLAN GROWTH 10 90 NORMAL
305 AXISONGPG INF846K01O23 AXIS OVERNIGHT FUND REGULAR PLAN - GROWTH 10 90 NORMAL
306 AXISONDRR INF846K01N99 AXIS OVERNIGHT FUND DIRECT DAILY IDCW REINVESTMENT 10 90 DIRECT
307 AXISONDDR INF846K01O56 AXIS OVERNIGHT FUND REGULAR DAILY IDCW REINVESTMENT 10 90 NORMAL
308 AXISONDGG INF846K01N65 AXIS OVERNIGHT FUND DIRECT PLAN - GROWTH 10 90 DIRECT
309 SORGGR INF903JA1GZ7 SUNDARAM OVERNIGHT FUND REGULAR GROWTH 10 90 NORMAL
310 SODGGR INF903JA1HG5 SUNDARAM OVERNIGHT FUND DIRECT GROWTH 10 90 DIRECT
311 TOFB INF277K016T9 TATA OVERNIGHT FUND REGULAR PLAN GROWTH 10 90 NORMAL
312 TOFC INF277K019T3 TATA OVERNIGHT FUND - DIRECT PLAN - DAILY IDCW REINVESTMENT 10 90 DIRECT
313 TOFD INF277K018T5 TATA OVERNIGHT FUND DIRECT PLAN GROWTH 10 90 DIRECT
314 UNOGRR INF582M01FJ3 UNION OVERNIGHT FUND REGULAR PLAN GROWTH OPTION 10 90 NORMAL
315 UNODDRD INF582M01FB0 UNION OVERNIGHT FUND DAILY IDCW REINVESTMENT - DIRECT PLAN 10 90 DIRECT
316 UNOGRD INF582M01FA2 UNION OVERNIGHT FUND GROWTH - DIRECT PLAN 10 90 DIRECT
317 ITIRPDDR INF00XX01200 ITI LIQUID FUND REGULAR PLAN DAILY IDCW REINVESTMENT 10 90 NORMAL
318 ITIDPG INF00XX01283 ITI LIQUID FUND DIRECT PLAN GROWTH 10 90 DIRECT
319 ITIRPG INF00XX01192 ITI LIQUID FUND REGULAR PLAN GROWTH 10 90 NORMAL
320 BPMFOFIG INF955L01HS0 BARODA BNP PARIBAS OVERNIGHT FUND REGULAR PLAN GROWTH 10 90 NORMAL
321 BPMFOFD2 INF955L01HV4 BARODA BNP PARIBAS OVERNIGHT FUND DIRECT PLAN GROWTH 10 90 DIRECT
322 BPMFOFD1 INF955L01HW2 BARODA BNP PARIBAS OVERNIGHT FUND DIRECT PLAN DAILY IDCW REINVESTMENT 10 90 DIRECT
323 FIONFGP INF090I01SO8 FRANKLIN INDIA OVERNIGHT FUND - GROWTH 10 90 NORMAL
324 OHNOG INF336L01OF6 HSBC OVERNIGHT FUND - GROWTH DIRECT PLAN 10 90 DIRECT
325 ONODD INF336L01OM2 HSBC OVERNIGHT FUND - DAILY IDCW REINVESTMENT 10 90 NORMAL
326 ONOG INF336L01OL4 HSBC OVERNIGHT FUND - GROWTH 10 90 NORMAL
327 IBMFOFG1 INF666M01GL8 GROWW OVERNIGHT FUND DIRECT PLAN - GROWTH 10 90 DIRECT
328 ONG1G INF767K01QI3 LIC MF OVERNIGHT FUND - DIRECT PLAN-GROWTH 10 90 DIRECT
329 OND1R INF767K01QG7 LIC MF OVERNIGHT FUND - DIRECT PLAN-DAILY IDCW REINVESTMENT 10 90 DIRECT
330 ONGPG1 INF767K01QD4 LIC MF OVERNIGHT FUND - REGULAR PLAN-GROWTH 10 90 NORMAL
331 CROFGP INF760K01JO1 CANARA ROBECO OVERNIGHT FUND REGULAR GROWTH 10 90 NORMAL
332 CROFDG INF760K01JM5 CANARA ROBECO OVERNIGHT FUND DIRECT GROWTH 10 90 DIRECT
333 CROFDR INF760K01JN3 CANARA ROBECO OVERNIGHT FUND DIRECT DAILY - IDCW REINVESTMENT 10 90 DIRECT
334 EMFONFRGGP INF754K01KE3 EDELWEISS OVERNIGHT FUND - REGULAR PLAN - GROWTH 10 90 NORMAL
335 EMFONFDGL0 INF754K01JV9 EDELWEISS OVERNIGHT FUND - DIRECT PLAN - GROWTH 10 90 DIRECT
336 MMMOFDG INF174V01838 MAHINDRA MANULIFE OVERNIGHT FUND - DIRECT - GROWTH 10 90 DIRECT
337 MMMOFRG INF174V01812 MAHINDRA MANULIFE OVERNIGHT FUND - REGULAR - GROWTH 10 90 NORMAL
338 AXISMDGP INF846K01Q62 AXIS MONEY MARKET FUND DIRECT GROWTH 10 90 DIRECT
339 AXISMMGPG INF846K01R46 AXIS MONEY MARKET FUND REGULAR GROWTH 10 90 NORMAL
340 PGIMOFGPG INF663L01T43 PGIM INDIA OVERNIGHT FUND - REGULAR PLAN - GROWTH 10 90 NORMAL
341 PGIMOFD1G INF663L01T01 PGIM INDIA OVERNIGHT FUND - DIRECT PLAN - GROWTH 10 90 DIRECT
342 ITIDPG1GO INF00XX01564 ITI OVERNIGHT FUND-DIRECT PLAN-GROWTH 10 90 DIRECT
343 ITIRPGO INF00XX01473 ITI OVERNIGHT FUND REGULAR PLAN GROWTH 10 90 NORMAL Yes
344 MIRAEOND1 INF769K01FG6 MIRAE ASSET OVERNIGHT FUND - DIRECT PLAN - GROWTH 10 90 DIRECT
345 MIRAEONRG INF769K01FE1 MIRAE ASSET OVERNIGHT FUND - REGULAR GROWTH PLAN 10 90 NORMAL
346 JMONRG INF192K01LX4 JM OVERNIGHT FUND - REGULAR - GROWTH 10 90 NORMAL
347 JMONDG INF192K01MB8 JM OVERNIGHT FUND - DIRECT - GROWTH 10 90 DIRECT
348 IMFONDRDRD INF205KA1114 INVESCO INDIA OVERNIGHT FUND-REGULAR -GROWTH 10 90 NORMAL
349 IMFONFRGDR INF205KA1163 INVESCO INDIA OVERNIGHT FUND-DIRECT-GROWTH 10 90 DIRECT
350 BAFOVDG INF761K01EU7 BANK OF INDIA OVERNIGHT FUND DIRECT PLAN - GROWTH 10 90 DIRECT
351 BAFOVRG INF761K01EZ6 BANK OF INDIA OVERNIGHT FUND REGULAR PLAN - GROWTH 10 90 NORMAL
PGIM INDIA MONEY MARKET FUND - REGULAR PLAN - MONTHLY IDCW
352 PGIMMDRM INF663L01U32 PAYOUT 10 90 NORMAL
353 PGIMMDGP INF663L01U24 PGIM INDIA MONEY MARKET FUND - REGULAR PLAN - GROWTH 10 90 NORMAL
PGIM INDIA MONEY MARKET FUND - REGULAR PLAN - DAILY IDCW
354 PGIMMDRD INF663L01U57 REINVESTMENT 10 90 NORMAL
355 PGIMMDD1 INF663L01T84 PGIM INDIA MONEY MARKET FUND - DIRECT PLAN - GROWTH 10 90 DIRECT
PGIM INDIA MONEY MARKET FUND - DIRECT PLAN - DAILY IDCW
356 PGIMMDDD INF663L01U16 REINVESTMENT 10 90 DIRECT
BANDHAN CRISIL IBX GILT JUNE 2027 INDEX FUND REGULAR PLAN-
357 IDGIF2027G INF194KB1BL2 GROWTH 10 90 NORMAL
358 IGIF2027DG INF194KB1BP3 BANDHAN CRISIL IBX GILT JUNE 2027 INDEX FUND DIRECT PLAN-GROWTH 10 90 DIRECT
BANDHAN CRISIL IBX GILT APRIL 2028 INDEX FUND REGULAR PLAN-
359 IDGIF2028G INF194KB1BS7 GROWTH 10 90 NORMAL
360 IGIF2028DG INF194KB1BV1 BANDHAN CRISIL IBX GILT APRIL 2028 INDEX FUND DIRECT PLAN-GROWTH 10 90 DIRECT
BANDHAN CRISIL IBX GILT APRIL 2028 INDEX FUND REGULAR PLAN-IDCW
361 IDGIF2028P INF194KB1BT5 PAYOUT 10 90 NORMAL
362 185LFRGGR INF0GCD01198 TRUSTMF LIQUID FUND-REGULAR PLAN - GROWTH 10 90 NORMAL
363 185LFDGGR INF0GCD01255 TRUSTMF LIQUID FUND-DIRECT PLAN - GROWTH 10 90 DIRECT
364 MAFMMD1 INF769K01HN8 MIRAE ASSET MONEY MARKET FUND DIRECT PLAN GROWTH 10 90 DIRECT
365 MIRAEMMRG INF769K01HK4 MIRAE ASSET MONEY MARKET FUND REGULAR GROWTH 10 90 NORMAL
366 UNMMGR INF582M01HO9 UNION MONEY MARKET FUND - REGULAR PLAN - GROWTH 10 90 NORMAL
367 UNMMGD INF582M01HG5 UNION MONEY MARKET FUND - DIRECT PLAN - GROWTH 10 90 DIRECT
368 PMFLFPG INF173K01DA9 SUNDARAM LIQUID FUND - REGULAR PLAN GROWTH 10 90 NORMAL
369 PMFLFZD INF173K01GT2 SUNDARAM LIQUID FUND - DIRECT PLAN IDCW DAILY REINVESTMENT 10 90 DIRECT
370 PMFLFZG INF173K01GU0 SUNDARAM LIQUID FUND - DIRECT PLAN GROWTH 10 90 DIRECT
371 PMFLFPD INF173K01DB7 SUNDARAM LIQUID FUND - REGULAR PLAN IDCW DAILY REINVESTMENT 10 90 NORMAL
372 OFRGOFRGL INF0GCD01438 TRUSTMF OVERNIGHT FUND - REGULAR PLAN - GROWTH 10 90 NORMAL
373 OFDGOFDGL INF0GCD01453 TRUSTMF OVERNIGHT FUND - DIRECT PLAN - GROWTH 10 90 DIRECT
374 OVDGG INF0J8L01081 NJ OVERNIGHT FUND DIRECT PLAN - GROWTH 10 90 DIRECT
375 OVRGG INF0J8L01073 NJ OVERNIGHT FUND REGULAR PLAN - GROWTH 10 90 NORMAL
376 MMG1G INF767K01RE0 LIC MF MONEY MARKET FUND DIRECT PLAN-GROWTH 10 90 DIRECT
377 MMGPG INF767K01RB6 LIC MF MONEY MARKET FUND REGULAR PLAN-GROWTH 10 90 NORMAL
378 UNGRG INF582M01ID0 UNION GILT FUND - REGULAR GROWTH 10 90 NORMAL
379 UNGDG INF582M01HW2 UNION GILT FUND - DIRECT GROWTH 10 90 DIRECT
UTI GILT FUND WITH 10 YEAR CONSTANT DURATION- REGULAR PLAN -
380 UTIGFGPG INF789F1AVI6 GROWTH 10 90 NORMAL
UTI GILT FUND WITH 10 YEAR CONSTANT DURATION- DIRECT PLAN -
381 UTIGFG1G INF789F1AVR7 GROWTH 10 90 DIRECT
382 185MMGPGR INF0GCD01479 TRUSTMF MONEY MARKET FUND-REGULAR PLAN-GROWTH 10 90 NORMAL
383 185MMDGGR INF0GCD01503 TRUSTMF MONEY MARKET FUND-DIRECT PLAN-GROWTH 10 90 DIRECT
384 SOF201 INF680P01232 SHRIRAM OVERNIGHT FUND REGULAR PLAN - GROWTH 10 90 NORMAL
SHRIRAM OVERNIGHT FUND DIRECT PLAN - DAILY - INCOME DISTRIBUTION
385 SOF202D INF680P01331 CUM CAPITAL WITHDRAWAL REINVESTMENT 10 90 DIRECT
386 SOF201D INF680P01323 SHRIRAM OVERNIGHT FUND DIRECT PLAN - GROWTH 10 90 DIRECT
387 ONDG INF0K1H01040 SAMCO OVERNIGHT FUND-DIRECT GROWTH 10 90 DIRECT
388 ONRG INF0K1H01032 SAMCO OVERNIGHT FUND-REGULAR GROWTH 10 90 NORMAL
389 SCIGID663G INF200KA12Q9 SBI CRISIL IBX GILT INDEX - JUNE 2036 FUND - DIRECT PLAN - GROWTH 10 90 DIRECT
390 SCIGI663G INF200KA19P6 SBI CRISIL IBX GILT INDEX - JUNE 2036 FUND - REGULAR PLAN - GROWTH 10 90 NORMAL
TATA CRISIL-IBX GILT INDEX - APRIL 2026 INDEX FUND - DIRECT PLAN -
391 CIGIF26D INF277KA1554 GROWTH 10 90 DIRECT
TATA CRISIL-IBX GILT INDEX - APRIL 2026 INDEX FUND - REGULAR PLAN -
392 CIGIF26B INF277KA1588 GROWTH 10 90 NORMAL
ADITYA BIRLA SUN LIFE CRISIL IBX GILT -APRIL 2026 INDEX FUND-DIRECT
393 B113Y INF209KB10N9 GROWTH 10 90 DIRECT
ADITYA BIRLA SUN LIFE CRISIL IBX GILT -APRIL 2026 INDEX FUND-
394 B113B INF209KB18M4 REGULAR GROWTH 10 90 NORMAL
395 SCIGID664G INF200KA18Q6 SBI CRISIL IBX GILT INDEX - APRIL 2029 FUND - DIRECT PLAN - GROWTH 10 90 DIRECT
396 SCIGI664G INF200KA15Q2 SBI CRISIL IBX GILT INDEX - APRIL 2029 FUND - REGULAR PLAN - GROWTH 10 90 NORMAL
397 IPRU3505 INF109KC15K4 ICICI PRUDENTIAL NIFTY G-SEC DEC 2030 INDEX FUND - GROWTH 10 90 NORMAL
ICICI PRUDENTIAL NIFTY G-SEC DEC 2030 INDEX FUND - DIRECT PLAN -
398 IPRU9707 INF109KC18K8 GROWTH 10 90 DIRECT
BANDHAN CRISIL IBX GILT APRIL 2026 INDEX FUND REGULAR PLAN-
399 IDG26RG INF194KB1EK8 GROWTH 10 90 NORMAL
400 IDG26DG INF194KB1EH4 BANDHAN CRISIL IBX GILT APRIL 2026 INDEX FUND DIRECT PLAN-GROWTH 10 90 DIRECT
ADITYA BIRLA SUN LIFE CRISIL IBX GILT APR 2029 INDEX FUND-REGULAR
401 B115B INF209KB10O7 GROWTH 10 90 NORMAL
MIRAE ASSET CRISIL IBX GILT INDEX - APRIL 2033 INDEX FUND REGULAR
402 MIRAECIRG INF769K01IU1 PLAN GROWTH 10 90 NORMAL
MIRAE ASSET CRISIL IBX GILT INDEX - APRIL 2033 INDEX FUND DIRECT
403 MIRAECID1 INF769K01IX5 PLAN - GROWTH 10 90 DIRECT
404 HNGSRGHMF INF179KC1EG4 HDFC NIFTY G SEC DEC 2026 INDEX FUND REGULAR GROWTH 10 90 NORMAL
405 HNGSDGHMF INF179KC1EE9 HDFC NIFTY G SEC DEC 2026 INDEX FUND DIRECT GROWTH 10 90 DIRECT
406 HNJSRGHMF INF179KC1EI0 HDFC NIFTY G SEC JULY 2031 INDEX FUND REGULAR GROWTH 10 90 NORMAL
407 HNJSDGHMF INF179KC1EH2 HDFC NIFTY G SEC JULY 2031 INDEX FUND DIRECT GROWTH 10 90 DIRECT
NIPPON INDIA NIFTY G-SEC- SEP 2027 MATURITY INDEX FUND GROWTH
408 NIMFNKGP INF204KC1857 PLAN 10 90 NORMAL Yes
NIPPON INDIA NIFTY G-SEC- SEP 2027 MATURITY INDEX FUND DIRECT
409 NIMFNKAG INF204KC1881 GROWTH PLAN 10 90 DIRECT
NIPPON INDIA NIFTY G-SEC- JUN 2036 MATURITY INDEX FUND DIRECT
410 NIMFNQAG INF204KC1AC0 GROWTH PLAN 10 90 DIRECT
NIPPON INDIA NIFTY G-SEC- JUN 2036 MATURITY INDEX FUND GROWTH
411 NIMFNQGP INF204KC1998 PLAN 10 90 NORMAL
412 LNT44 INF917K01BP1 HSBC GILT FUND - GROWTH PLAN 10 90 NORMAL
413 LNT44D INF917K01FI7 HSBC GILT FUND DIRECT PLAN - GROWTH 10 90 DIRECT
414 LNT128D INF917K01FE6 HSBC MONEY MARKET FUND DIRECT PLAN - GROWTH 10 90 DIRECT
415 LNT128 INF917K01BC9 HSBC MONEY MARKET FUND - GROWTH 10 90 NORMAL Yes
416 HHJRGRHMF INF179KC1EK6 HDFC NIFTY G- SEC JUN 2027 INDEX FUND REGULAR GROWTH 10 90 NORMAL
417 HHJDGRHMF INF179KC1EJ8 HDFC NIFTY G- SEC JUN 2027 INDEX FUND DIRECT GROWTH 10 90 DIRECT
418 HHSRGRHMF INF179KC1EM2 HDFC NIFTY G-SEC SEP 2032 V1 INDEX FUND REGULAR GROWTH 10 90 NORMAL
419 HHSDGRHMF INF179KC1EL4 HDFC NIFTY G-SEC SEP 2032 V1 INDEX FUND DIRECT GROWTH 10 90 DIRECT Yes
420 166ONDG INF966L01AZ7 QUANT OVERNIGHT FUND - DIRECT PLAN GROWTH - GROWTH 10 90 DIRECT
421 166ONGP INF966L01BC4 QUANT OVERNIGHT FUND - REGULAR PLAN GROWTH - GROWTH 10 90 NORMAL
422 166GGGP INF966L01BI1 QUANT GILT FUND-REGULAR PLAN - GROWTH 10 90 NORMAL
423 166GGDG INF966L01BF7 QUANT GILT FUND-DIRECT PLAN - GROWTH 10 90 DIRECT
424 GIF1229D INF277KA1737 TATA NIFTY G-SEC DEC 2029 INDEX FUND - DIRECT PLAN - GROWTH 10 90 DIRECT
425 GIF1229B INF277KA1760 TATA NIFTY G-SEC DEC 2029 INDEX FUND - REGULAR PLAN - GROWTH 10 90 NORMAL
426 GIF1226B INF277KA1828 TATA NIFTY G-SEC DEC 2026 INDEX FUND - REGULAR PLAN - GROWTH 10 90 NORMAL Yes
427 GIF1226D INF277KA1794 TATA NIFTY G-SEC DEC 2026 INDEX FUND - DIRECT PLAN - GROWTH 10 90 DIRECT Yes
PGIM INDIA CRISIL IBX GILT INDEX - APR 2028 FUND REGULAR PLAN -
428 PRMCGGP INF663L01X54 GROWTH 10 90 NORMAL
PGIM INDIA CRISIL IBX GILT INDEX - APR 2028 FUND DIRECT PLAN -
429 PRMCGG1 INF663L01X21 GROWTH 10 90 DIRECT
430 IDGI32DG INF194KB1FF5 BANDHAN CRISIL IBX GILT APRIL 2032 INDEX FUND DIRECT PLAN-GROWTH 10 90 DIRECT
BANDHAN CRISIL IBX GILT APRIL 2032 INDEX FUND REGULAR PLAN-
431 IDGI32RG INF194KB1FI9 GROWTH 10 90 NORMAL
NIPPON INDIA NIFTY G-SEC OCT 2028 MATURITY INDEX FUND GROWTH
432 NIMFNWGP INF204KC1AL1 PLAN 10 90 NORMAL
NIPPON INDIA NIFTY G-SEC OCT 2028 MATURITY INDEX FUND DIRECT
433 NIMFNWAG INF204KC1AO5 GROWTH PLAN 10 90 DIRECT
434 HCIDG INF336L01QT2 HSBC CRISIL IBX GILT JUNE 2027 INDEX FUND - DIRECT PLAN GROWTH 10 90 DIRECT
435 HCIRG INF336L01QW6 HSBC CRISIL IBX GILT JUNE 2027 INDEX FUND - REGULAR PLAN GROWTH 10 90 NORMAL
HSBC CRISIL IBX GILT JUNE 2027 INDEX FUND - REGULAR PLAN IDCW
436 HCIRP INF336L01QX4 PAYOUT 10 90 NORMAL
437 HHGJDGMF INF179KC1FS6 HDFC NIFTY G- SEC JUN 2036 INDEX FUND DIRECT PLAN GROWTH 10 90 DIRECT
438 HHGJRGMF INF179KC1FT4 HDFC NIFTY G- SEC JUN 2036 INDEX FUND REGULAR PLAN GROWTH 10 90 NORMAL
439 HHGADGMF INF179KC1FQ0 HDFC NIFTY G-SEC APR 2029 INDEX FUND DIRECT PLAN GROWTH 10 90 DIRECT
440 HHGARGMF INF179KC1FR8 HDFC NIFTY G-SEC APR 2029 INDEX FUND REGULAR PLAN GROWTH 10 90 NORMAL
ADITYA BIRLA SUN LIFE CRISIL IBX GILT APR 2028 INDEX FUND - DIRECT
441 B121Y INF209KB11U2 GROWTH 10 90 DIRECT
ADITYA BIRLA SUN LIFE CRISIL IBX GILT APR 2028 INDEX FUND - REGULAR
442 B121B INF209KB19T7 GROWTH 10 90 NORMAL
INVESCO INDIA NIFTY G-SEC JUL 2027 INDEX FUND REGULAR PLAN
443 IMF272TGPG INF205KA1759 GROWTH 10 90 NORMAL
444 IMF272TD1G INF205KA1775 INVESCO INDIA NIFTY G-SEC JUL 2027 INDEX FUND DIRECT PLAN GROWTH 10 90 DIRECT
INVESCO INDIA NIFTY G-SEC SEP 2032 INDEX FUND REGULAR PLAN
445 IMF321TGPG INF205KA1791 GROWTH 10 90 NORMAL
INVESCO INDIA NIFTY G-SEC SEP 2032 INDEX FUND DIRECT PLAN
446 IMF321TD1G INF205KA1817 GROWTH 10 90 DIRECT
447 BFMFLFDGG INF0QA701011 BAJAJ FINSERV LIQUID FUND - DIRECT PLAN GROWTH 10 90 DIRECT
448 BFMFLFRGG INF0QA701094 BAJAJ FINSERV LIQUID FUND - REGULAR PLAN GROWTH 10 90 NORMAL
449 BFMFONDGG INF0QA701177 BAJAJ FINSERV OVERNIGHT FUND - DIRECT PLAN GROWTH 10 90 DIRECT
450 BFMFONRGG INF0QA701250 BAJAJ FINSERV OVERNIGHT FUND - REGULAR PLAN GROWTH 10 90 NORMAL
451 NAVINORPG INF959L01HB8 NAVI OVERNIGHT FUND - REGULAR PLAN GROWTH 10 90 NORMAL
452 NAVINODPG INF959L01GV8 NAVI OVERNIGHT FUND - DIRECT PLAN GROWTH 10 90 DIRECT
453 BFMFMMDGG INF0QA701334 BAJAJ FINSERV MONEY MARKET FUND - DIRECT PLAN - GROWTH 10 90 DIRECT
454 BFMFMMRGG INF0QA701441 BAJAJ FINSERV MONEY MARKET FUND - REGULAR PLAN - GROWTH 10 90 NORMAL
455 KNGSDG INF174KA1PJ1 KOTAK NIFTY G-SEC JULY 2033 INDEX FUND -DIRECT PLAN-GROWTH 10 90 DIRECT
456 KNGSG INF174KA1PG7 KOTAK NIFTY G-SEC JULY 2033 INDEX FUND -REGULAR PLAN-GROWTH 10 90 NORMAL
457 HHOFDGHLMF INF0R8701079 HELIOS OVERNIGHT FUND-DIRECT PLAN-GROWTH 10 90 DIRECT
458 HHOFRGHLMF INF0R8701095 HELIOS OVERNIGHT FUND-REGULAR PLAN-GROWTH 10 90 NORMAL
ADITYA BIRLA SUN LIFE GOVERNMENT SECURITIES FUND-QUARTERLY
459 BSL403QD INF209K01DP9 IDCW REINVESTMENT 10 90 NORMAL
ADITYA BIRLA SUN LIFE GOVERNMENT SECURITIES FUND-INSTANT GAIN-
460 BSL402IG INF209K01AD1 GROWTH 10 90 NORMAL
461 DSPBRGSDF INF740K01AD5 DSP GILT FUND - IDCW REINVESTMENT 10 90 NORMAL
462 KGIREGQDR INF174K01FJ3 KOTAK GILT FUND - REGULAR PLAN - QUARTERLY IDCW REINVESTMENT 10 90 NORMAL
463 LICNGLDPR INF767K01691 LIC MF GILT FUND-REGULAR DIVIDEND-IDCW REINVESTMENT 10 90 NORMAL
464 IPRU54 INF109K01JP8 ICICI PRUDENTIAL GILT FUND - IDCW PAYOUT 10 90 NORMAL
465 IPRU8016 INF109K017C7 ICICI PRUDENTIAL GILT FUND - DIRECT PLAN - IDCW PAYOUT 10 90 DIRECT
FRANKLIN INDIA GOVERNMENT SECURITIES FUND-QUARTERLY IDCW
466 SFLDR INF090I01CT1 PAYOUT 10 90 NORMAL
467 FILFWDP INF090I01BI6 FRANKLIN INDIA LIQUID FUND - REGULAR PLAN WEEKLY IDCW PAYOUT 10 90 NORMAL
FRANKLIN INDIA LIQUID FUND - SUPER INSTITUTIONAL PLAN-WEEKLY
468 FILFSIPWDP INF090I01BH8 IDCW REINVESTMENT 10 90 NORMAL
FRANKLIN INDIA LIQUID FUND - SUPER INSTITUTIONAL PLAN - DIRECT
469 FILFDSIPDP INF090I01JY6 WEEKLY IDCW PAYOUT 10 90 DIRECT
470 CRGLDPR INF760K01AC5 CANARA ROBECO GILT FUND REGULAR - IDCW REINVESTMENT 10 90 NORMAL
UTI MONEY MARKET FUND-DIRECT QUARTERLY DIVIDEND PLAN-IDCW
471 MMD6R INF789FA1M79 REINVESTMENT 10 90 DIRECT
472 RELLIQTIQR INF204K01UR0 NIPPON INDIA LIQUID FUND - QUARTERLY IDCW REINVESTMENT 10 90 NORMAL
473 RELLTPDPMD INF204K01ZJ6 NIPPON INDIA LIQUID FUND - DIRECT MONTHLY IDCW REINVESTMENT 10 90 DIRECT
474 RELLTPDPQD INF204K01ZL2 NIPPON INDIA LIQUID FUND - DIRECT QUARTERLY IDCW REINVESTMENT 10 90 DIRECT
475 RELLIQTIMR INF204K01UP4 NIPPON INDIA LIQUID FUND - MONTHLY IDCW REINVESTMENT 10 90 NORMAL
HDFC LIQUID FUND - DIRECT PLAN - MONTHLY IDCW REINVESTMENT
476 HLFMRTDR INF179KB1HQ7 OPTION 10 90 DIRECT
477 HLQDLFDMR INF179KB1HL8 HDFC LIQUID FUND - MONTHLY IDCW REINVESTMENT 10 90 NORMAL
478 HDFCGLDR INF179K01764 HDFC GILT FUND - REGULAR PLAN - IDCW REINVESTMENT REINVESTMENT 10 90 NORMAL
HDFC GILT FUND - DIRECT PLAN - IDCW REINVESTMENT OPTION
479 HGLDRTDR INF179K01VT8 REINVESTMENT 10 90 DIRECT
480 FLDR INF090I01BY3 FRANKLIN INDIA MONEY MARKET FUND QUARTERLY IDCW PAYOUT 10 90 NORMAL
FRANKLIN INDIA MONEY MARKET FUND - DIRECT QUARTERLY IDCW
481 FLDDR INF090I01GU0 PAYOUT 10 90 DIRECT
482 FLMDR INF090I01LB0 FRANKLIN INDIA MONEY MARKET FUND-MONTHLY IDCW PAYOUT 10 90 NORMAL
483 FLMDDR INF090I01LD6 FRANKLIN INDIA MONEY MARKET FUND - DIRECT MONTHLY IDCW PAYOUT 10 90 DIRECT
CANARA ROBECO LIQUID FUND REGULAR MONTHLY - IDCW
484 CRLISMR INF760K01CY5 REINVESTMENT 10 90 NORMAL
BARODA BNP PARIBAS LIQUID FUND REGULAR DAILY IDCW
485 LQIDR INF955L01476 REINVESTMENT 10 90 NORMAL
486 LFDPR INF767K01IR1 LIC MF LIQUID FUND-DIVIDEND-IDCW REINVESTMENT 10 90 NORMAL
487 LFD1R INF767K01DM3 LIC MF LIQUID FUND-DIRECT - DIVIDEND PLAN-IDCW REINVESTMENT 10 90 DIRECT
488 LQWDR INF397L01943 LIC LIQUID FUND - REGULAR PLAN - WEEKLY IDCW - REINVESTMENT 10 90 NORMAL
489 OCAPMD INF336L01BO5 HSBC LIQUID FUND - MONTHLY IDCW REINVESTMENT 10 90 NORMAL
490 OHCPWD INF336L01CD6 HSBC LIQUID FUND - WEEKLY DIVIDEND DIRECT PLAN-IDCW PAYOUT 10 90 DIRECT
491 OCAPWD INF336L01BQ0 HSBC LIQUID FUND - WEEKLY IDCW PAYOUT 10 90 NORMAL
492 CPIMR INF789F01PJ7 UTI LIQUID FUND-REGULAR MONTHLY-IDCW REINVESTMENT 10 90 NORMAL
493 CPD5R INF789FA1K14 UTI LIQUID FUND-DIRECT PLAN- FORTNIGHTLY IDCW REINVESTMENT 10 90 DIRECT
494 CPFTR INF789FA1J17 UTI LIQUID FUND-REGULAR PLAN-FORTNIGHTLY IDCW REINVESTMENT 10 90 NORMAL
495 KFLRMDR INF174K01NB4 KOTAK MONEY MARKET FUND - MONTHLY IDCW REINVESTMENT 10 90 NORMAL
KOTAK MONEY MARKET FUND - DIRECT PLAN - MONTHLY IDCW
496 KFLRM255D INF174K01MX0 REINVESTMENT 10 90 DIRECT
497 UTIGILTLTP INF789F01653 UTI GILT FUND-REGULAR DIVIDEND PLAN-IDCW REINVESTMENT 10 90 NORMAL
498 RELLQDTMDR INF204K01VC0 NIPPON INDIA MONEY MARKET FUND - MONTHLY IDCW REINVESTMENT 10 90 NORMAL
NIPPON INDIA MONEY MARKET FUND - DIRECT PLAN MONTHLY IDCW
499 RELLIQDPMD INF204K01ZR9 REINVESTMENT 10 90 DIRECT
500 166LFMD INF966L01309 QUANT LIQUID FUND REGULAR PLAN - MONTHLY IDCW REINVESTMENT 10 90 NORMAL
501 166LFDM INF966L01812 QUANT LIQUID FUND DIRECT PLAN - MONTHLY IDCW REINVESTMENT 10 90 DIRECT
502 IPRU8129 INF109K01Q23 ICICI PRUDENTIAL LIQUID FUND - DIRECT PLAN - IDCW REINVESTMENT 10 90 DIRECT
503 IPRU1780 INF109K01VT5 ICICI PRUDENTIAL LIQUID FUND - IDCW PAYOUT 10 90 NORMAL
QUANTUM LIQUID FUND - DIRECT PLAN MONTHLY IDCW REINVESTMENT
504 QMFLFMDR INF082J01200 OPTION 10 90 DIRECT
BANDHAN GOVERNMENT SECURITIES FUND - INVESTMENT PLAN-
505 IDFCGQBR INF194K01EG0 QUARTERLY-IDCW REINVESTMENT 10 90 NORMAL
BANDHAN GOVERNMENT SECURITIES FUND - CONSTANT MATURITY PLAN
506 IDDGSQDR INF194K01P79 -DIRECT PLAN-QUARTERLY IDCW REINVESTMENT 10 90 DIRECT
507 IDFCGFRD INF194K01LK7 BANDHAN MONEY MANAGER FUND REGULAR DAILY IDCW REINVESTMENT 10 90 NORMAL
508 IDFCFCCD INF194K01VY7 BANDHAN LIQUID FUND - DAILY IDCW REINVESTMENT - REGULAR 10 90 NORMAL
509 IDFCFCCMR INF194K01WE7 BANDHAN LIQUID FUND - MONTHLY - IDCW REINVESTMENT 10 90 NORMAL
510 IDFCFRW INF194K01LQ4 BANDHAN MONEY MANAGER FUND-WEEKLY-IDCW REINVESTMENT 10 90 NORMAL
511 IDFCFRMR INF194K01LN1 BANDHAN MONEY MANAGER FUND - MONTHLY - IDCW REINVESTMENT 10 90 NORMAL
512 RELGLSRPDR INF204K01BW0 NIPPON INDIA GILT SECURITIES FUND -IDCW REINVESTMENT OPTION 10 90 NORMAL
NIPPON INDIA GILT SECURITIES FUND DIRECT PLAN DIVIDEND PLAN IDCW
513 RELGILDPDP INF204K01XR4 REINVESTMENT 10 90 DIRECT
BANDHAN GOVERNMENT SECURITIES FUND INVESTMENT PLAN-REGULAR
514 IDFC295R INF194KA1RX4 PLAN -PERIODIC IDCW REINVESTMENT 10 90 NORMAL
515 MIRAECFDMR INF769K01820 MIRAE ASSET LIQUID FUND - MONTHLY IDCW REINVESTMENT 10 90 NORMAL
MIRAE ASSET LIQUID FUND - DIRECT PLAN - MONTHLY IDCW
516 MIRAECFD4 INF769K01CQ2 REINVESTMENT 10 90 DIRECT
INVESCO INDIA MONEY MARKET FUND - DIRECT PLAN MONTHLY IDCW
517 IMFCOD2DR INF205K01SA7 REINVESTMENT 10 90 DIRECT
518 AXISCFWD INF846K01446 AXIS LIQUID FUND - REGULAR WEEKLY IDCW REINVESTMENT 10 90 NORMAL
519 AXISCFDP INF846K01461 AXIS LIQUID FUND - REGULAR MONTHLY IDCW REINVESTMENT 10 90 NORMAL
520 AXISCFDM INF846K01CZ9 AXIS LIQUID FUND - DIRECT PLAN - MONTHLY IDCW REINVESTMENT 10 90 DIRECT
521 AXISCFDW INF846K01DC6 AXIS LIQUID FUND - DIRECT PLAN - WEEKLY IDCW REINVESTMENT 10 90 DIRECT
522 IBMLFM1 INF666M01493 GROWW LIQUID FUND - DIRECT PLAN - MONTHLY IDCW REINVESTMENT 10 90 DIRECT
523 TATAGFD INF277K01535 TATA GILT SECURITIES FUND REGULAR PLAN - IDCW REINVESTMENT 10 90 NORMAL
ICICI PRUDENTIAL CONSTANT MATURITY GILT FUND - DIRECT PLAN -
524 IPRU8700 INF109KA1O94 QUARTERLY IDCW PAYOUT 10 90 DIRECT
525 EMFLIQDDMR INF754K01GS1 EDELWEISS LIQUID FUND - DIRECT PLAN - MONTHLY IDCW REINVESTMENT 10 90 DIRECT
EDELWEISS MONEY MARKET FUND - REGULAR PLAN - IDCW
526 JARDI INF843K01369 REINVESTMENT 10 90 NORMAL
EDELWEISS GOVERNMENT SECURITIES FUND - DIRECT PLAN - IDCW
527 JDGDR INF843K01GV6 REINVESTMENT 10 90 DIRECT
528 PPLFLFMDZ INF879O01084 PARAG PARIKH LIQUID FUND-DIRECT PLAN-MONTHLY - IDCW PAYOUT 10 90 DIRECT
529 MG-S-DR INF200K01AP4 SBI MAGNUM CONSTANT MATURITY FUND REGULAR IDCW REINVESTMENT 10 90 NORMAL
530 MG-LR-DR INF200K01AA6 SBI MAGNUM GILT FUND REGULAR IDCW REINVESTMENT 10 90 NORMAL
531 MIF-FS-DR INF200K01651 SBI SAVINGS FUND - REGULAR PLAN - IDCW REINVESTMENT 10 90 NORMAL
532 MIF-FS-WDR INF200K01677 SBI SAVINGS FUND - REGULAR PLAN - WEEKLY IDCW REINVESTMENT 10 90 NORMAL
533 IPRU9427 INF109KC15G2 ICICI PRUDENTIAL OVERNIGHT FUND DIRECT PLAN WEEKLY IDCW PAYOUT 10 90 DIRECT
534 RMFONMDR INF204KB1R07 NIPPON INDIA OVERNIGHT FUND - MONTHLY IDCW REINVESTMENT 10 90 NORMAL
BANDHAN CRISIL IBX GILT APRIL 2028 INDEX FUND REGULAR PLAN-IDCW
535 IDGIF2028R INF194KB1BU3 REINVESTMENT 10 90 NORMAL
HSBC CRISIL IBX GILT JUNE 2027 INDEX FUND - REGULAR PLAN IDCW
536 HCIRD INF336L01QY2 PAYOUT 10 90 NORMAL

Sovereign Gold Bonds


For every Rs 100 worth of stock
pledged, you'll receive collateral
Sr. No. Security Name ISIN Haircut % margin of Rs.
1 SGBDEC25XI IN0020170133 10 90
2 SGBNOV25IX IN0020170117 10 90
3 SGBDEC25 IN0020170125 10 90
4 SGBOCT25V IN0020170075 10 90
5 SGBOCT27 IN0020190370 10 90
6 SGBFEB28IX IN0020190545 10 90
7 SGBD29VIII IN0020210228 10 90
8 SGBDEC2513 IN0020170158 10 90
9 SGBJUN27 IN0020190073 10 90
10 SGBMAR30X IN0020210319 10 90
11 SGBDEC26 IN0020180389 10 90
12 SGBJUL25 IN0020170034 10 90
13 SGBNV29VII IN0020210178 10 90
14 SGBJU29III IN0020210087 10 90
15 SGBMAY28 IN0020200088 10 90
16 SGBJUN29II IN0020210061 10 90
17 SGBDC27VII IN0020190461 10 90
18 SGBMAY29I IN0020210053 10 90
19 SGBMAY25 IN0020170018 10 90
20 SGBJUN28 IN0020200104 10 90
21 SGBJAN29X IN0020200385 10 90
22 SGBJAN26 IN0020170166 10 90
23 SGBNOV25 IN0020170091 10 90
24 SGBJAN27 IN0020180462 10 90
25 SGBOCT25IV IN0020170067 10 90
26 SGBFEB29XI IN0020200393 10 90
27 SGBNOV25VI IN0020170083 10 90
28 SGBJ28VIII IN0020190537 10 90
29 SGBDEC2512 IN0020170141 10 90
30 SGBOCT26 IN0020180249 10 90
31 SGBFEB27 IN0020180561 10 90
32 SGBJAN30IX IN0020210236 10 90
33 SGBOC28VII IN0020200203 10 90
34 SGBAUG27 IN0020190107 10 90
35 SGBSEP27 IN0020190115 10 90
36 SGBN28VIII IN0020200286 10 90
37 SGBNOV24 IN0020160076 10 90
38 SGBOCT25 IN0020170059 10 90
39 SGBAPR28I IN0020200062 10 90
40 SGBMR29XII IN0020200427 10 90
41 SGBJAN29IX IN0020200377 10 90
42 SGBJUL28IV IN0020200146 10 90
43 SGBAUG29V IN0020210129 10 90
44 SGBAUG24 IN0020160027 10 90
45 SGBJUL29IV IN0020210111 10 90
46 SGBSEP29VI IN0020210145 10 90
47 SGBMAR25 IN0020160126 10 90
48 SGBSEP24 IN0020160043 10 90
49 SGBMAR24 IN0020150119 10 90
50 SGBMAR28X IN0020190552 10 90
51 SGBNOV258 IN0020170109 10 90
52 SGBAUG28V IN0020200161 10 90
53 SGBSEP28VI IN0020200195 10 90
54 SGBJUL27 IN0020190081 10 90
55 SGBNOV26 IN0020180314 10 90
56 SGBMAY26 IN0020180033 10 90
57 SGBOCT27VI IN0020190388 10 90
58 SGBJUN30 IN0020220045 10 90
59 SGBAUG30 IN0020220078 10 90
60 SGBDE30III IN0020220110 10 90
61 SGBMAR31IV IN0020220169 10 90
62 SGBJUN31I IN0020230069 10 90
63 SGBFEB32IV IN0020230184 10 90
64 SGBDE31III IN0020230168 10 90
65 SGBSEP31II IN0020230093 10 90

Government Securities
For every Rs 100 worth of stock
pledged, you'll receive collateral
Sr. No. Security Name ISIN Haircut % margin of Rs.
1 7.35% G.S. 2024 IN0020090034 10 90
2 6.69% G.S. 2024 IN0020220052 10 90
3 8.40% G.S. 2024 IN0020140045 10 90
4 6.18% G.S. 2024 IN0020190396 10 90
5 9.15% G.S. 2024 IN0020110048 10 90
6 6.89% GOVT STOCK 2025 IN0020220128 10 90
7 7.72% G.S. 2025 IN0020150036 10 90
8 5.22% G.S. 2025 IN0020200112 10 90
9 8.20% G.S. 2025 IN0020120047 10 90
10 5.97% G.S. 2025 IN0020030071 10 90
11 5.15% G.S. 2025 IN0020200278 10 90
12 7.59% G.S. 2026 IN0020150093 10 90
13 7.27% G.S. 2026 IN0020190016 10 90
14 5.63% GS 2026 IN0020210012 10 90
15 6.99% G.S. 2026 IN0020230028 10 90
16 8.33% G.S. 2026 IN0020120039 10 90
17 6.97% G.S. 2026 IN0020160035 10 90
18 10.18% G.S. 2026 IN0020010081 10 90
19 7.33% GS 2026 IN0020230119 10 90
20 5.74% G.S. 2026 IN0020210186 10 90
21 8.15% G.S. 2026 IN0020140060 10 90
22 8.24% G.S. 2027 IN0020060078 10 90
23 6.79% G.S. 2027 IN0020170026 10 90
24 7.38% G.S. 2027 IN0020220037 10 90
25 8.26% G.S. 2027 IN0020070036 10 90
26 8.28% G.S. 2027 IN0020070069 10 90
27 7.17% G.S. 2028 IN0020170174 10 90
28 7.10% G.S. 2028 IN0020220136 10 90
29 6.01% G.S. 2028 IN0020020247 10 90
30 7.06% G.S. 2028 IN0020230010 10 90
31 8.60% G.S. 2028 IN0020140011 10 90
32 6.13% G.S. 2028 IN0020030022 10 90
33 7.37% G.S. 2028 IN0020230101 10 90
34 7.25% G.S. 2028 IN0020230143 10 90
35 7.26% G.S. 2029 IN0020180454 10 90
36 7.59% G.S. 2029 IN0020150069 10 90
37 7.10% G.S. 2029 IN0020220011 10 90
38 6.45% G.S. 2029 IN0020190362 10 90
39 6.79% G.S. 2029 IN0020160118 10 90
40 7.88% G.S. 2030 IN0020150028 10 90
41 7.17% G.S. 2030 IN0020230036 10 90
42 7.61% G.S. 2030 IN0020160019 10 90
43 5.79% G.S. 2030 IN0020200070 10 90
44 5.77% G.S. 2030 IN0020200153 10 90
45 9.20% G.S. 2030 IN0020130053 10 90
46 7.32% G.S. 2030 IN0020230135 10 90
47 5.85% G.S. 2030 IN0020200294 10 90
48 8.97% G.S. 2030 IN0020110055 10 90
49 6.10% G.S. 2031 IN0020210095 10 90
50 6.68% G.S. 2031 IN0020170042 10 90
51 6.54% G.S. 2032 IN0020210244 10 90
52 8.28% G.S. 2032 IN0020060086 10 90
53 8.32% G.S. 2032 IN0020070044 10 90
54 7.26% G.S. 2032 IN0020220060 10 90
55 7.95% G.S. 2032 IN0020020106 10 90
56 8.33% G.S. 2032 IN0020070077 10 90
57 7.29% G.S. 2033 IN0020220144 10 90
58 7.26% GOVT STOCK 2033 IN0020220151 10 90
59 7.57% G.S. 2033 IN0020190065 10 90
60 7.18% G.S. 2033 IN0020230085 10 90
61 8.24% G.S. 2033 IN0020140052 10 90
62 6.57% G.S. 2033 IN0020160100 10 90
63 7.24% G.S. 2033 IN0020230150 10 90
64 7.50% G.S. 2034 IN0020040039 10 90
65 6.19% G.S. 2034 IN0020200096 10 90
66 7.73% G.S. 2034 IN0020150051 10 90
67 6.22% G.S. 2035 IN0020200245 10 90
68 6.64% GS 2035 IN0020210020 10 90
69 7.40% G.S. 2035 IN0020050012 10 90
70 6.67% G.S. 2035 IN0020210152 10 90
71 7.54% G.S. 2036 IN0020220029 10 90
72 8.33% G.S. 2036 IN0020060045 10 90
73 7.41% G.S. 2036 IN0020220102 10 90
74 7.18% G.S. 2037 IN0020230077 10 90
75 6.83% G.S. 2039 IN0020080050 10 90
76 9.23% G.S. 2043 IN0020130079 10 90
77 8.17% G.S. 2044 IN0020140078 10 90
78 7.06% G.S. 2046 IN0020160068 10 90
79 7.16% G.S. 2050 IN0020200054 10 90
80 6.67% G.S. 2050 IN0020200252 10 90
81 6.62% G.S. 2051 IN0020160092 10 90
82 6.99% G.S. 2051 IN0020210194 10 90
83 7.36% G.S. 2052 IN0020220086 10 90
84 7.30% G.S. 2053 IN0020230051 10 90
85 7.72% G.S. 2055 IN0020150077 10 90
86 7.63% G.S. 2059 IN0020190057 10 90
87 7.19% G.S. 2060 IN0020200039 10 90
88 6.80% G.S. 2060 IN0020200187 10 90
89 6.76% G.S. 2061 IN0020200401 10 90
90 6.95% G.S. 2061 IN0020210202 10 90
91 7.40% G.S. 2062 IN0020220094 10 90
92 7.25% G.S. 2063 IN0020230044 10 90
93 7.46% G.S. 2073 IN0020230127 10 90

T-bills
For every Rs 100 worth of stock
pledged, you'll receive collateral
Sr. No. Security Name ISIN Haircut % margin of Rs.
1 182D020524 IN002023Y326 10 90
2 182D090524 IN002023Y334 10 90
3 182D160524 IN002023Y342 10 90
4 182D230524 IN002023Y359 10 90
5 182D300524 IN002023Y367 10 90
6 182D060624 IN002023Y375 10 90
7 182D130624 IN002023Y383 10 90
8 182D200624 IN002023Y391 10 90
9 182D270624 IN002023Y409 10 90
10 182D040724 IN002023Y417 10 90
11 182D110724 IN002023Y425 10 90
12 182D180724 IN002023Y433 10 90
13 182D250724 IN002023Y441 10 90
14 182D010824 IN002023Y458 10 90
15 182D080824 IN002023Y466 10 90
16 182D150824 IN002023Y474 10 90
17 182D220824 IN002023Y490 10 90
18 182D290824 IN002023Y508 10 90
19 182D050924 IN002023Y516 10 90
20 182D120924 IN002023Y524 10 90
21 182D190924 IN002023Y532 10 90
22 364D020524 IN002023Z067 10 90
23 364D090524 IN002023Z075 10 90
24 364D160524 IN002023Z083 10 90
25 364D230524 IN002023Z091 10 90
26 364D300524 IN002023Z109 10 90
27 364D060624 IN002023Z117 10 90
28 364D130624 IN002023Z125 10 90
29 364D200624 IN002023Z133 10 90
30 364D280624 IN002023Z141 10 90
31 364D040724 IN002023Z158 10 90
32 364D110724 IN002023Z166 10 90
33 364D180724 IN002023Z174 10 90
34 364D250724 IN002023Z182 10 90
35 364D010824 IN002023Z190 10 90
36 364D080824 IN002023Z208 10 90
37 364D160824 IN002023Z224 10 90
38 364D220824 IN002023Z232 10 90
39 364D290824 IN002023Z240 10 90
40 364D050924 IN002023Z257 10 90
41 364D120924 IN002023Z265 10 90
42 364D190924 IN002023Z273 10 90
43 364D270924 IN002023Z281 10 90
44 364D031024 IN002023Z299 10 90
45 364D101024 IN002023Z307 10 90
46 364D171024 IN002023Z315 10 90
47 364D241024 IN002023Z323 10 90
48 364D311024 IN002023Z331 10 90
49 364D071124 IN002023Z349 10 90
50 364D141124 IN002023Z356 10 90
51 364D211124 IN002023Z364 10 90
52 364D281124 IN002023Z372 10 90
53 364D051224 IN002023Z380 10 90
54 364D121224 IN002023Z398 10 90
55 364D191224 IN002023Z406 10 90
56 364D261224 IN002023Z414 10 90
57 364D020125 IN002023Z422 10 90
58 364D090125 IN002023Z430 10 90
59 364D160125 IN002023Z448 10 90
60 364D230125 IN002023Z455 10 90
61 364D300125 IN002023Z463 10 90
62 364D060225 IN002023Z471 10 90
63 364D130225 IN002023Z489 10 90
64 364D200225 IN002023Z505 10 90
65 364D270225 IN002023Z513 10 90
66 364D060325 IN002023Z521 10 90
67 364D130325 IN002023Z539 10 90
68 364D200325 IN002023Z547 10 90
69 182D260924 IN002023Y540 10 90
70 364D270325 IN002023Z562 10 90

Notes
1) Haircut as applicable subject to a minimum of VaR+ELM+Adhoc

2) The clearing corporation has set a certain limit on the number of shares/units that can be pledged per security through a broker. If the broker limit is reached, you will not be able to further
pledge such securities for margin.
3) For stocks pledged before 4pm, collateral margin will be available on T+1 day.
4) The collateral margin received by pledging cash component securities can be used fully towards any margin requirement for your open positions. You will not be required to maintain cash
separately if the collateral from cash component securities covers the margin requirement.
5) The collateral margin received by pledging non-cash component securities can be used only up to 50% of the margin requirement for your open positions. The exchange stipulates for the
remaining 50% margin to come in the form of cash or cash equivalent collateral. Any additional utilisation of the non-cash collateral, over and above 50% of the margin requirement will be liable to
delayed payment charges.
6) Cost of pledge: Rs.30 + GST per scrip irrespective of quantity of stock pledged.
7) For all unpledge requests placed before 2 pm, stock will be available in demat account for trading on T+1 day.

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