L1-L42 Financial Statements_Dec 13 (with Dec 12)

Transkript

L1-L42 Financial Statements_Dec 13 (with Dec 12)
FORM L-35-DOWNGRADING OF INVESTMENTS - 2
COMPANY NAME & CODE : SBI LIFE INSURANCE CO. LTD (111)
STATEMENT AS ON : December 31, 2013
STATEMENT OF DOWN GRADED INVESTMENTS
NAME OF THE FUND : LIFE FUND
( ` In Lakhs)
NO.
NAME OF THE SECURITY
A.
DURING THE QUARTER
B.
COI
6.00% TATA POWER B & D 18-10-2015
OLDB
10.75% TATA POWER B & D 21-08-2072
OLDB
9.40% TATA POWER B & D 28-12-2022
OLDB
AMOUNT
( As per balance
sheet)
DATE OF
PURCHASE
04/12/2009,
19/03/2011,
29/08/2012 ,
3,015.23
21/08/2012
15/04/2013,
1,000.00
26-03-2013
497.84
RATING
AGENCY
ORIGINAL
GRADE
CURRENT
GRADE
DATE OF
DOWNGRADE
CRISIL
Crisil AA
CRISIL AA-
18/10/2013
CRISIL
Crisil AA
CRISIL AA-
18/10/2013
CRISIL
Crisil AA
CRISIL AA-
18/10/2013
ICRA
ICRA
ICRA AA+
[ICRA] AA+
ICRA AA
[ICRA] AA
03/04/2012
17/09/2012
ICRA
ICRA
[ICRA] AA+
[ICRA] AA-
[ICRA] AA
[ICRA]A+
17/09/2012
12/09/2013
ICRA
[ICRA] AA-
[ICRA]A+
12/09/2013
ICRA
[ICRA] AA-
[ICRA]A+
12/09/2013
CRISIL
Crisil AA
CRISIL AA-
18/10/2013
CRISIL
Crisil AA
CRISIL AA-
18/10/2013
AS ON DATE
9.25% OBC B & D 21/07/2021
EPBT
500.00
2.00% INDIAN HOTELS BS 09-12-2019
ECOS
2,077.39
9.95% INDIAN HOTELS B & D 27-07-2021
ECOS
1,000.00
8.20% ASHOK LEYLAND B & D 22-07-2014 II
OLDB
3,465.09
8.20% ASHOK LEYLAND B & D 22-07-2015
OLDB
4,932.93
10.25% ASHOK LEYLAND B & D 14-10-2016
OLDB
2,523.19
10.75% TATA POWER B & D 21-08-2072
OLDB
3,015.23
9.40% TATA POWER B & D 28-12-2022
OLDB
1,000.00
10/07/2006
09/12/2009
15/12/2009
27/07/2011
02/12/2010,
31/12/2010
27/09/2010,
28/09/2010
13/02/2013,1
2/03/2013
29/08/2012 ,
21/08/2012
15/04/2013,
26-03-2013
CERTIFICATION:
Certified that the information given herein are correct and complete to the best of my knowledge and belief and nothing has been concealed or suppressed.
Date :
Note :
Atanu Sen
MD & CEO
1. Provide details of Down Graded Investments during the quarter.
2. Investments currently upgraded,listed as downgraded during earlier Quarter shall be deleted from the Cumulative listing.
3. FORM-2 shall be prepared in respect of each fund.
4 Category of Investment ( COI) shall be as per INV/GLN /001/2003-04
REMARKS

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