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					Company                           ISIN Number    Name of the Instrument




SADBHAV ENGINEERING LIMITED       INE226H07015   12.50% Secured redeemable Non
                                                 Convertible Debenture.Letter of
                                                 Allotment. Date of Maturity :
                                                 23/03/2014
SAHAYATA MICROFINANCE PVT LTD     INE882K07019   12.25% Secured Non-Convertible
                                                 Debenture. Date of Maturity
                                                 28/03/2013


SAHIL RESORTS, AGRIFIELDS & FARMS INE334I07015   11.25% Secured Optionally
PRIVATE LIMITED                                  Convertible Debentures . Final Date
                                                 of Redemption : 07/09/2011


SAHYOG HOMES LIMITED              INE088M07019   18.00% Secured Non-Convertible
                                                 Debenture.Letter of Allotment.Date
                                                 of Maturity 20/06/2014


SAMRUDDHI CEMENT LIMITED          INE676K07015   10.48% Secured Non-convertible
                                                 Debentures.Series I.Date of Maturity :
                                                 16/12/2013.


SAMRUDDHI CEMENT LIMITED          INE676K07023   8.80% Secured Non-convertible
                                                 Debenture Series II. Date of Maturity
                                                 :30/12/2015.


SAMRUDDHI CEMENT LIMITED          INE676K07031   8.01% Secured Non-convertible
                                                 Debenture Series III. Date of Maturity
                                                 :14/07/2016


SAMTEL COLOR LIMITED              INE381A07062   Zero Coupon Secured Redeemable
                                                 Non-convertible Bonds. Date of
                                                 Maturity : 31/12/2016


SARDA ENERGY & MINERALS LIMITED   INE385C07028   9.55% Secured Non-Convertible
                                                 debenture. Letter of Allotment. Date
                                                 of Maturity 26/07/2017


SARDAR SAROVAR NARMADA NIGAM      INE670E07300   7.75% Secured Redeemeable Non
LIMITED                                          Convertible Bonds. Letter of
                                                 Allotment.


SARDAR SAROVAR NARMADA NIGAM      INE670E07169   11.95% Secured Non-Convertible
LIMITED                                          Bonds 2001 Series II, Option II .



SARDAR SAROVAR NARMADA NIGAM      INE670E07219   11.50% Secured Non Convertible
LIMITED                                          Regular Bonds II, 2001-02 Series-III.
                                                 Date of Maturity:13/03/2012


SARDAR SAROVAR NARMADA NIGAM      INE670E07193   11.50% Secured Non Convertible
LIMITED                                          Regular Bonds-II, 2002-03 Series-I.
                                                 Date of Final Redemption:06/08/2012
SARDAR SAROVAR NARMADA NIGAM      INE670E09017   Deep Discount Bonds in the nature
LIMITED                                          of promissory Notes (Date of maturity
                                                 : 11th January, 2014)


SARDAR SAROVAR NARMADA NIGAM      INE670E07284   8.25% Secured Non Convertible
LIMITED                                          Private placement of Bonds - Option I.
                                                 Letter Of Allotment.


SARDAR SAROVAR NARMADA NIGAM      INE670E07292   8.60% Secured Non Convertible
LIMITED                                          Private placement of Bonds - Option
                                                 II. Letter Of Allotment.


SARDAR SAROVAR NARMADA NIGAM      INE670E07276   8.95% Secured Non Convertible
LIMITED                                          Private placement of Bonds - Option
                                                 II. Letter Of Allotment.


SARDAR SAROVAR NARMADA NIGAM      INE670E07318   8.00% Secured Redeemeable Non
LIMITED                                          Convertible Bonds. Letter of
                                                 Allotment.


SATELLITE DEVELOPERS LIMITED      INE963J07019   17.25% Secured Unrated,Unlisted Non-
                                                 Convertible Debenture.Letter of
                                                 Allotment. Date of Maturity
                                                 31/03/2014
SATIN CREDITCARE NETWORK LIMITED INE836B07014    12.10% Secured Non Convertible
                                                 Debentures Letter of Allotment.Date
                                                 of Maturity:29/03/2013


SAURASHTRA CEMENT LIMITED         INE626A07045   Reset Rate Secured Non convertible
                                                 Debentures Series - A & Series - C .
                                                 Date of Maturity: 01/07/2015


SAURASHTRA CEMENT LIMITED         INE626A07052   Reset Rate Secured Non convertible
                                                 Debentures Series - B . Date of
                                                 Maturity: 01/07/2015


SBI CARDS & PAYMENT SERVICES      INE018E08011   10.75% Unsecured Non Convertible
PRIVATE LIMITED                                  Debenture. Letter of Allotment . Date
                                                 of Maturity : 15/06/2014


SBI CARDS & PAYMENT SERVICES      INE018E08029   9.95% Unsecured Non Convertible
PRIVATE LIMITED                                  Debenture. Letter of Allotment . Date
                                                 of Maturity : 22/01/2018


SBI FACTORS AND COMMERCIAL        INE009E09059   7.35% Unsecured Subordinated bond
SERVICES PRIVATE LIMITED                         in the nature of promissory note.
                                                 Letter of allotment. Date of maturity
                                                 30.04.2014
SBI GLOBAL FACTORS LIMITED        INE912E08AC1   8.75% Unsecured Subordinated
(FORMERLY GLOBAL TRADE FINANCE                   Redeemable Non-Convertible
LIMITED)                                         Debenture. Series -TIER II Bond. Date
                                                 of Maturity 25/08/2020
SCHWING STETTER (INDIA) PRIVATE   INE403K07014   10.00% Secured Non Convertible
LIMITED                                          Debenture.Letter of Allotment.Date
                                                 of Maturity : 17/08/2016
SCHWING STETTER (INDIA) PRIVATE   INE403K07022   10.00% Secured Non Convertible
LIMITED                                          Debenture.Letter of Allotment.Date
                                                 of Maturity : 17/08/2016


SEVENHILLS HEALTHCARE LIMITED     INE226I07013   9.50% Secured non convertible
                                                 debentures. Letter of allotment. Final
                                                 date of Redemption: 01.06.2018


SEW INFRASTRUCTURE LIMITED        INE024J07028   11.40% Secured Non-Convertible
                                                 Debenture. Letter of Allotment. Date
                                                 of Maturity 08/07/2021


SHAKTI PUMPS (INDIA) LIMITED      INE908D07017   Secured Optionally Convertible
                                                 Debenture.Letter of Allotment Date
                                                 of Conversion-20/10/2012


SHARE MICROFIN LIMITED            INE973K07024   11.00% Secured Redeemable Non-
                                                 Convertible Debentures.Series -
                                                 II.Date of Maturity : 29/03/2012


SHARE MICROFIN LIMITED            INE973K08014   13.75% Unsecured Redeemable Non-
                                                 Convertible Debentures.Series -
                                                 III.Date of Maturity : 31/03/2018


SHIV-VANI OIL & GAS EXPLORATION   INE756B07014   6% ( YTM OF 11.57% annualized )
SERVICES LTD                                     Secured Redeemable Optionally
                                                 Convertible Debentures (OCD).Letter
                                                 of Allotment. Date of Maturity:
                                                 10/08/2012
SHREE CEMENT LIMITED              INE070A07046   8.10% Secured Redeemable Non-
                                                 Convertible Debentures. Letter of
                                                 Allotment.Date of Maturity :
                                                 23/11/2012
SHREE CEMENT LIMITED              INE070A07053   8.42% Secured Non-Convertible
                                                 Debenture. Letter of Allotment . Date
                                                 of Maturity 22/07/2015


SHREE GANESH JEWELLERY HOUSE      INE553K09012   11.00% Secured Non-Convertible
LIMITED                                          Debenture. Letter of Allotment. Date
                                                 of Maturity 02/11/2015


SHREE GANESH JEWELLERY HOUSE      INE553K09020   11.00% Secured Non-Convertible
LTD.                                             Debenture.Letter of Allotment. Date
                                                 of Maturity 20/12/2015


SHREE MAHESHWAR HYDEL POWER       INE875F07013   9.75% Unsecured Optionally Fully
CORPORATION LIMITED                              Convertible Debentures.Letter of
                                                 Allotment.Final Redemption Date
                                                 :23/03/2022
SHREE MAHESHWAR HYDEL POWER       INE875F07021   10.75% Secured Optionally Fully
CORPORATION LIMITED                              Convertible Debentures.Option - I
                                                 .Letter of Allotment.Final
                                                 Redemption Date :14/08/2022
SHREE MAHESHWAR HYDEL POWER       INE875F07039   10.75% Secured Optionally Fully
CORPORATION LIMITED                              Convertible Debentures.Option -II
                                                 .Letter of Allotment.Final
                                                 Redemption Date :14/08/2022
SHREE RENUKA SUGARS LIMITED    INE087H07011   11.95% Secured Redeemable Non
                                              Convertible Debenture. Letter of
                                              Allotment. Date of Maturity :
                                              03/08/2014
SHRI LAKSHMI COTSYN LIMITED    INE851B07013   Reset rate Secured Redeemable Non
(FORMERLY SHRIVATSA                           Convertible Debentures. Date of
INTERNATIONAL LIMITED)                        Maturity : 31/07/2012


SHRI NATARAJ CERAMIC AND       INE200F07014   6.00% Secured Non Convertible
CHEMICAL INDUSTRIES LIMITED                   Debenture. Letter of Allotment. Date
                                              of Maturity : 16/08/2016


SHRIRAM - CITY UNION FINANCE   INE722A07067   10.75% Secured Non Convertible
LIMITED                                       Debentures in the form of Separately
                                              Transferable Redeemable Principal
                                              Parts.Series - I Letter of Allotment.
                                              Date of Maturity: 30/03/2013
SHRIRAM - CITY UNION FINANCE   INE722A07109   10.75% Secured Non Convertible
LIMITED                                       Debentures in the form of Separately
                                              Transferable Redeemable Principal
                                              Parts.Series - I Letter of Allotment.
                                              Date of Maturity: 07/04/2013
SHRIRAM - CITY UNION FINANCE   INE722A07141   7.82% Secured Non Convertible
LIMITED                                       Debentures.Final Date of Maturity:
                                              22/04/2013


SHRIRAM - CITY UNION FINANCE   INE722A07158   9.00% Secured Non-Convertible
LIMITED                                       Debenture. Date of Maturity
                                              05/01/2013


SHRIRAM - CITY UNION FINANCE   INE722A07075   10.75% Secured Non Convertible
LIMITED                                       Debentures in the form of Separately
                                              Transferable Redeemable Principal
                                              Parts.Series - II Letter of Allotment.
                                              Date of Maturity: 30/09/2013
SHRIRAM - CITY UNION FINANCE   INE722A07117   10.75% Secured Non Convertible
LIMITED                                       Debentures in the form of Separately
                                              Transferable Redeemable Principal
                                              Parts.Series - II Letter of Allotment.
                                              Date of Maturity: 07/10/2013
SHRIRAM - CITY UNION FINANCE   INE722A07083   10.75% Secured Non Convertible
LIMITED                                       Debentures in the form of Separately
                                              Transferable Redeemable Principal
                                              Parts.Series - III Letter of Allotment.
                                              Date of Maturity: 30/03/2014
SHRIRAM - CITY UNION FINANCE   INE722A07125   10.75% Secured Non Convertible
LIMITED                                       Debentures in the form of Separately
                                              Transferable Redeemable Principal
                                              Parts.Series - III Letter of Allotment.
                                              Date of Maturity: 07/04/2014
SHRIRAM - CITY UNION FINANCE   INE722A07091   10.75% Secured Non Convertible
LIMITED                                       Debentures in the form of Separately
                                              Transferable Redeemable Principal
                                              Parts.Series - IV Letter of Allotment.
                                              Date of Maturity: 30/09/2014
SHRIRAM - CITY UNION FINANCE   INE722A07133   10.75% Secured Non Convertible
LIMITED                                       Debentures in the form of Separately
                                              Transferable Redeemable Principal
                                              Parts.Series - IV Letter of Allotment.
                                              Date of Maturity: 07/10/2014
SHRIRAM - CITY UNION FINANCE   INE722A07174   10.60% Secured Non-Convertible
LIMITED                                       Debenture. Date of Maturity
                                              13/12/2017
SHRIRAM - CITY UNION FINANCE   INE722A07166   10.50% Secured Non-Convertible
LIMITED                                       Debenture. Date of Maturity
                                              23/11/2017


SHRIRAM CITY UNION FINANCE     INE722A07190   Reset Rate Secured Non-Convertible
LIMITED                                       Debenture.Date of Maturity
                                              30/03/2017


SHRIRAM CITY UNION FINANCE     INE722A07182   10.75% Secured Non-Convertible
LIMITED                                       Debenture. Date of Maturity
                                              04/02/2021


SHRIRAM TRANSPORT FINANCE      INE721A07788   12.95% Secured Redeemable Non
COMPANY LIMITED                               Convertible debentures. Date of
                                              Maturity: 01/09/2011


SHRIRAM TRANSPORT FINANCE      INE721A07762   12.95% Secured Redeemable Non
COMPANY LIMITED                               Convertible debentures. Date of
                                              Maturity: 15/09/2011


SHRIRAM TRANSPORT FINANCE      INE721A07879   11.75% Secured Redeemable Non
COMPANY LIMITED                               Convertible debentures.Date of
                                              Maturity: 28/03/2012


SHRIRAM TRANSPORT FINANCE      INE721A07AU8   10.50% Secured Non-Convertible
COMPANY LIMITED                               Debenture. Letter of Allotment. Date
                                              of Maturity 04/07/2012


SHRIRAM TRANSPORT FINANCE      INE721A07994   10.75% p.a. Secured Redeemable Non
COMPANY LIMITED                               Convertible debentures Option - V
                                              .Date of Maturity: 26/08/2012


SHRIRAM TRANSPORT FINANCE      INE721A08539   10.40% Unsecured Redeemable Non
COMPANY LIMITED                               Convertible debentures. Date of
                                              Maturity: 01/05/2013


SHRIRAM TRANSPORT FINANCE      INE721A07AG7   9.00% Secured Redeemable Non-
COMPANY LIMITED                               convertible Debentures.Letter of
                                              Allotmrnt. Date of Maturity -
                                              04/05/2013
SHRIRAM TRANSPORT FINANCE      INE721A07AH5   8.30% Secured Redeemable Non-
COMPANY LIMITED                               convertible Debentures.Letter of
                                              Allotment. Date of Maturity -
                                              06/05/2013
SHRIRAM TRANSPORT FINANCE      INE721A07AI3   Reset rate Secured Redeemable Non-
COMPANY LIMITED                               convertible Debentures.Letter of
                                              Allotment. Date of Maturity -
                                              14/05/2013
SHRIRAM TRANSPORT FINANCE      INE721A08513   10.75% Unsecured Redeemable Non
COMPANY LIMITED                               Convertible debentures. Letter of
                                              Allotment. Date of Maturity:
                                              31/05/2013
SHRIRAM TRANSPORT FINANCE      INE721A08554   NSE MIBOR +450bps (Floor :10.50% &
COMPANY LIMITED                               Cap:10.55%)
                                               Unsecured Redeemable Non
                                              Convertible debentures. Date of
                                              Maturity: 24/06/2013
SHRIRAM TRANSPORT FINANCE   INE721A08562   10.40% Unsecured Redeemable Non
COMPANY LIMITED                            Convertible debentures. Date of
                                           Maturity: 27/06/2013


SHRIRAM TRANSPORT FINANCE   INE721A07AT0   10.55% Secured Non-Convertible
COMPANY LIMITED                            Debenture. Letter of Allotment. Date
                                           of Maturity 04/07/2013


SHRIRAM TRANSPORT FINANCE   INE721A08521   10.75% Unsecured Redeemable Non
COMPANY LIMITED                            Convertible debentures. Date of
                                           Maturity: 29/07/2013


SHRIRAM TRANSPORT FINANCE   INE721A08547   10.60% Unsecured Redeemable Non
COMPANY LIMITED                            Convertible debentures. Date of
                                           Maturity: 17/09/2013


SHRIRAM TRANSPORT FINANCE   INE721A08570   NSE MIBOR +450bps (Floor :10.60% &
COMPANY LIMITED                            Cap:10.65%)
                                            Unsecured Redeemable Non
                                           Convertible debentures. Date of
                                           Maturity: 03/10/2013
SHRIRAM TRANSPORT FINANCE   INE721A07846   13.00% Secured Redeemable Non
COMPANY LIMITED                            Convertible debentures. Letter of
                                           Allotment.Date of Maturity:
                                           03/11/2013
SHRIRAM TRANSPORT FINANCE   INE721A07853   13.00% Secured Redeemable Non
COMPANY LIMITED                            Convertible debentures. Letter of
                                           Allotment.Date of Maturity:
                                           26/11/2013
SHRIRAM TRANSPORT FINANCE   INE721A08612   12.60% Unsecured Redeemable Non
COMPANY LIMITED                            Convertible debentures. Date of
                                           Maturity: 26/02/2014


SHRIRAM TRANSPORT FINANCE   INE721A08620   12.60% Unsecured Redeemable Non
COMPANY LIMITED                            Convertible debentures. Date of
                                           Maturity: 11/03/2014


SHRIRAM TRANSPORT FINANCE   INE721A08638   12.60% Unsecured Redeemable Non
COMPANY LIMITED                            Convertible debentures.Date of
                                           Maturity: 15/03/2014


SHRIRAM TRANSPORT FINANCE   INE721A08646   12.60% Unsecured Redeemable Non
COMPANY LIMITED                            Convertible debentures.Date of
                                           Maturity: 23/03/2014


SHRIRAM TRANSPORT FINANCE   INE721A08661   12.60% Unsecured Redeemable Non
COMPANY LIMITED                            Convertible debentures.Date of
                                           Maturity: 17/04/2014


SHRIRAM TRANSPORT FINANCE   INE721A07AS2   10.65% Secured Non-Convertible
COMPANY LIMITED                            Debenture. Letter of Allotment. Date
                                           of Maturity 13/06/2014


SHRIRAM TRANSPORT FINANCE   INE721A08679   12.00% Unsecured Redeemable Non
COMPANY LIMITED                            Convertible debentures.Date of
                                           Maturity: 02/07/2014
SHRIRAM TRANSPORT FINANCE   INE721A08687   12.00% Unsecured Redeemable Non
COMPANY LIMITED                            Convertible debentures.Date of
                                           Maturity: 18/07/2014


SHRIRAM TRANSPORT FINANCE   INE721A07952   11.00% p.a. (Senior citizen shall be
COMPANY LIMITED                            entited to additional interest at the
                                           rate of 0.25% p.a.) Secured
                                           Redeemable Non Convertible
                                           debentures Option - I .Date of
SHRIRAM TRANSPORT FINANCE   INE721A07960   11.25% p.a. (Senior citizen shall be
COMPANY LIMITED                            entited to additional interest at the
                                           rate of 0.25% p.a.) Secured
                                           Redeemable Non Convertible
                                           debentures Option - II .Date of
SHRIRAM TRANSPORT FINANCE   INE721A07978   11.03% p.a. (to be compounded
COMPANY LIMITED                            quarterly) Secured Redeemable Non
                                           Convertible debentures Option - III
                                           .Date of Maturity: 26/08/2014
SHRIRAM TRANSPORT FINANCE   INE721A07986   11.00% p.a. Secured Redeemable Non
COMPANY LIMITED                            Convertible debentures Option - IV
                                           .Date of Maturity: 26/08/2014


SHRIRAM TRANSPORT FINANCE   INE721A08729   11.50% Unsecured Redeemable Non
COMPANY LIMITED                            Convertible debentures.Date of
                                           Maturity: 15/10/2014


SHRIRAM TRANSPORT FINANCE   INE721A08752   10.25% Unsecured Redeemable Non
COMPANY LIMITED                            Convertible debentures. Date of
                                           Maturity: 27/01/2015


SHRIRAM TRANSPORT FINANCE   INE721A08810   10.25% Unsecured Redeemable Non
COMPANY LIMITED                            Convertible debentures.Date of
                                           Maturity: 11/04/2015


SHRIRAM TRANSPORT FINANCE   INE721A08828   10.25% Unsecured Redeemable Non
COMPANY LIMITED                            Convertible debentures.Date of
                                           Maturity: 22/04/2015


SHRIRAM TRANSPORT FINANCE   INE721A07AJ1   9.00% Secured Redeemable Non-
COMPANY LIMITED                            convertible Debentures.(Option - I)
                                           (Others). Date of Maturity -
                                           01/06/2015
SHRIRAM TRANSPORT FINANCE   INE721A07AK9   9.50% Secured Redeemable Non-
COMPANY LIMITED                            convertible Debentures.(Option - I)
                                           (Unreserved Individual). Date of
                                           Maturity - 01/06/2015
SHRIRAM TRANSPORT FINANCE   INE721A07AL7   9.75% Secured Redeemable Non-
COMPANY LIMITED                            convertible Debentures.(Option - I)
                                           (Reserved Individual). Date of
                                           Maturity - 01/06/2015
SHRIRAM TRANSPORT FINANCE   INE721A07AP8   9.75% Secured Redeemable Non-
COMPANY LIMITED                            convertible Debentures.(Option - III)
                                           (Others). Final Date of Maturity -
                                           01/06/2015
SHRIRAM TRANSPORT FINANCE   INE721A07AQ6   10.25% Secured Redeemable Non-
COMPANY LIMITED                            convertible Debentures.(Option - III)
                                           (Unreserved Individual). Final Date of
                                           Maturity - 01/06/2015
SHRIRAM TRANSPORT FINANCE   INE721A07AR4   10.50% Secured Redeemable Non-
COMPANY LIMITED                            convertible Debentures.(Option - III)
                                           (Reserved Individual). Final Date of
                                           Maturity - 01/06/2015
SHRIRAM TRANSPORT FINANCE   INE721A08794   10.00% Unsecured Redeemable Non
COMPANY LIMITED                            Convertible debentures. Date of
                                           Maturity: 30/06/2015


SHRIRAM TRANSPORT FINANCE   INE721A08802   10.00% Unsecured Redeemable Non
COMPANY LIMITED                            Convertible debentures. Letter of
                                           Allotment. Date of Maturity:
                                           06/07/2015
SHRIRAM TRANSPORT FINANCE   INE721A08919   10.25% Unsecured Redeemable Non-
COMPANY LIMITED                            convertible Debentures (Sub - Debt).
                                           Date of Maturity - 26/07/2015


SHRIRAM TRANSPORT FINANCE   INE721A08844   10% Unsecured Redeemable Non-
COMPANY LIMITED                            convertible Debentures (Sub - Debt).
                                           Date of Maturity - 29/07/2015


SHRIRAM TRANSPORT FINANCE   INE721A08AG5   Reset Rate Unsecured Non-
COMPANY LIMITED                            Convertible Debenture. Date of
                                           Maturity 24/08/2015


SHRIRAM TRANSPORT FINANCE   INE721A08869   10.25% Unsecured Redeemable Non-
COMPANY LIMITED                            convertible Debentures (Sub - Debt).
                                           Date of Maturity - 29/09/2015


SHRIRAM TRANSPORT FINANCE   INE721A08877   10.25% Unsecured Redeemable Non-
COMPANY LIMITED                            convertible Debentures (Sub - Debt).
                                           Date of Maturity - 19/04/2016


SHRIRAM TRANSPORT FINANCE   INE721A08935   10.25% Unsecured Redeemable Non-
COMPANY LIMITED                            convertible Debentures (Sub - Debt).
                                           Date of Maturity - 03/05/2016


SHRIRAM TRANSPORT FINANCE   INE721A08943   10.25% Unsecured Redeemable Non-
COMPANY LIMITED                            convertible Debentures (Sub - Debt).
                                           Date of Maturity - 03/05/2016


SHRIRAM TRANSPORT FINANCE   INE721A08992   10.25% Unsecured Redeemable Non-
COMPANY LIMITED                            convertible Debentures (Sub - Debt).
                                           Date of Maturity - 28/05/2016


SHRIRAM TRANSPORT FINANCE   INE721A07AM5   9.50% Secured Redeemable Non-
COMPANY LIMITED                            convertible Debentures.(Option - II)
                                           (Others). Date of Maturity -
                                           01/06/2017
SHRIRAM TRANSPORT FINANCE   INE721A07AN3   10.00% Secured Redeemable Non-
COMPANY LIMITED                            convertible Debentures.(Option - II)
                                           (Unreserved Individual). Date of
                                           Maturity - 01/06/2017
SHRIRAM TRANSPORT FINANCE   INE721A07AO1   10.25% Secured Redeemable Non-
COMPANY LIMITED                            convertible Debentures.(Option - II)
                                           (Reserved Individual). Date of
                                           Maturity - 01/06/2017
SHRIRAM TRANSPORT FINANCE   INE721A08968   Unsecured Redeemable Non-
COMPANY LIMITED                            convertible Debentures.(Option - IV)
                                           (Others) (Double Bond). Date of
                                           Maturity - 01/06/2017
SHRIRAM TRANSPORT FINANCE   INE721A08AA8   10.25% Unsecured Redeemable Non-
COMPANY LIMITED                            convertible Debentures.(Option - V)
                                           (Others). Date of Maturity -
                                           01/06/2017
SHRIRAM TRANSPORT FINANCE   INE721A08AB6   10.75% Unsecured Redeemable Non-
COMPANY LIMITED                            convertible Debentures.(Option - V)
                                           (Unreserved Individual). Date of
                                           Maturity - 01/06/2017
SHRIRAM TRANSPORT FINANCE   INE721A08AC4   11.00% Unsecured Redeemable Non-
COMPANY LIMITED                            convertible Debentures.(Option - V)
                                           (Reserved Individual). Date of
                                           Maturity - 01/06/2017
SHRIRAM TRANSPORT FINANCE   INE721A08AJ9   Reset Rate Unsecured Non-
COMPANY LIMITED                            Convertible debenture. Date of
                                           Maturity 13/09/2017


SHRIRAM TRANSPORT FINANCE   INE721A08588   12.00% Unsecured Redeemable Non
COMPANY LIMITED                            Convertible debentures. Date of
                                           Maturity: 04/08/2018


SHRIRAM TRANSPORT FINANCE   INE721A08596   13.00% Unsecured Redeemable Non
COMPANY LIMITED                            Convertible debentures. Date of
                                           Maturity: 05/11/2018


SHRIRAM TRANSPORT FINANCE   INE721A08604   13.00% Unsecured Redeemable Non
COMPANY LIMITED                            Convertible debentures. Date of
                                           Maturity: 07/11/2018


SHRIRAM TRANSPORT FINANCE   INE721A08653   13.00% Unsecured Redeemable Non
COMPANY LIMITED                            Convertible debentures.Date of
                                           Maturity: 29/12/2018


SHRIRAM TRANSPORT FINANCE   INE721A08760   10.35% Unsecured Redeemable Non
COMPANY LIMITED                            Convertible debentures. Date of
                                           Maturity: 31/10/2019


SHRIRAM TRANSPORT FINANCE   INE721A08778   10.35% Unsecured Redeemable Non
COMPANY LIMITED                            Convertible debentures. Date of
                                           Maturity: 22/11/2019


SHRIRAM TRANSPORT FINANCE   INE721A08786   10.25% Unsecured Redeemable Non
COMPANY LIMITED                            Convertible debentures. Date of
                                           Maturity: 31/12/2019


SHRIRAM TRANSPORT FINANCE   INE721A08836   10.25% Unsecured Redeemable Non-
COMPANY LIMITED                            convertible Debentures (Sub - Debt).
                                           Date of Maturity - 29/01/2020


SHRIRAM TRANSPORT FINANCE   INE721A08851   10.25% Unsecured Redeemable Non-
COMPANY LIMITED                            convertible Debentures (Sub - Debt).
                                           Date of Maturity - 15/02/2020
SHRIRAM TRANSPORT FINANCE   INE721A08AE0   10.60% Unsecured Redeemable Non-
COMPANY LIMITED                            convertible Debentures (Sub - Debt).
                                           Date of Maturity - 04/06/2020


SHRIRAM TRANSPORT FINANCE   INE721A08885   10.90% Unsecured Redeemable Non-
COMPANY LIMITED                            convertible Debentures (Sub - Debt).
                                           Date of Maturity - 19/04/2020


SHRIRAM TRANSPORT FINANCE   INE721A08893   11.00% Unsecured Redeemable Non-
COMPANY LIMITED                            convertible Debentures (Sub - Debt).
                                           Date of Maturity - 19/04/2020


SHRIRAM TRANSPORT FINANCE   INE721A08901   11.00% Unsecured Redeemable Non-
COMPANY LIMITED                            convertible Debentures (Sub - Debt).
                                           Date of Maturity - 20/04/2020


SHRIRAM TRANSPORT FINANCE   INE721A08927   10.75% Unsecured Redeemable Non-
COMPANY LIMITED                            convertible Debentures (Sub - Debt).
                                           Date of Maturity - 03/05/2020


SHRIRAM TRANSPORT FINANCE   INE721A08950   10.5% Unsecured Redeemable Non-
COMPANY LIMITED                            convertible Debentures (Sub - Debt).
                                           Date of Maturity - 10/05/2020


SHRIRAM TRANSPORT FINANCE   INE721A08AD2   10.75% Unsecured Redeemable Non-
COMPANY LIMITED                            convertible Debentures (Sub - Debt).
                                           Date of Maturity - 28/05/2020


SHRIRAM TRANSPORT FINANCE   INE721A08AL5   11.50% Unsecured Non-Convertible
COMPANY LIMITED                            Debenture. Letter of Allotment.Date
                                           of Maturity 31/03/2021


SHRIRAM TRANSPORT FINANCE   INE721A08AH3   11% Unsecured Non-Convertible
COMPANY LIMITED                            Debenture. Date of Maturity
                                           30/08/2025


SHRIRAM TRANSPORT FINANCE   INE721A08AI1   11% Unsecured Non-Convertible
COMPANY LIMITED                            Debenture. Date of Maturity
                                           09/09/2025


SHRIRAM TRANSPORT FINANCE   INE721A08976   Unsecured Redeemable Non-
COMPANY LIMITED                            convertible Debentures.(Option - IV)
                                           (Unreserved Individual) (Double
                                           Bond). Date of Maturity - 01/03/2017
SHRIRAM TRANSPORT FINANCE   INE721A08984   Unsecured Redeemable Non-
COMPANY LIMITED                            convertible Debentures.(Option - IV)
                                           (Reserved Individual) (Double Bond).
                                           Date of Maturity - 01/12/2016
SHRIRAM TRANSPORT FINANCE   INE721A07AY0   11.35% Secured Non-Convertible
COMPANY LIMITED                            Debenture. Option-II (Reserved
                                           Individual) Date of Maturity
                                           11/07/2014
SHRIRAM TRANSPORT FINANCE   INE721A07AZ7   11.10% Secured Non-Convertible
COMPANY LIMITED                            Debenture. Option-II (Unreserved
                                           Individual) Date of Maturity
                                           11/07/2014
SHRIRAM TRANSPORT FINANCE         INE721A07BA8   11.00% Secured Non-Convertible
COMPANY LIMITED                                  Debenture. Option-II (Others) Date of
                                                 Maturity 11/07/2014


SHRIRAM TRANSPORT FINANCE         INE721A07AW4   11.35% Secured Non-Convertible
COMPANY LIMITED                                  Debenture. Option- I (Un Reserved
                                                 Individual) Date of Maturity
                                                 11/07/2016
SHRIRAM TRANSPORT FINANCE         INE721A07AX2   11.10% Secured Non-Convertible
COMPANY LIMITED                                  Debenture. Option- I (Others) Date of
                                                 Maturity 11/07/2016


SHRIRAM TRANSPORT FINANCE         INE721A07AV6   11.60% Secured Non-Convertible
COMPANY LIMITED                                  Debenture. Option- I (Reserved
                                                 Individual) Date of Maturity
                                                 11/07/2016
SHRIRAM TRANSPORT FINANCE         INE721A08AF7   10.25% Unsecured Redeemable Non-
COMPANY LIMITED                                  convertible Debentures (Sub - Debt).
                                                 Date of Maturity - 14/09/2015


SHRIRAM TRANSPORT FINANCE         INE721A08AK7   11.05% Unsecured Non-Convertible
COMPANY LIMITED                                  Debenture. Date of Maturity
                                                 15/10/2028


SHYAM TELELINK LIMITED            INE159D07017   ICICI LTPLR + 1%(presently 14.00%)
                                                 Secured Non Convertible Debentures.
                                                 Date of final redemption:15/09/2011


SICOM LIMITED                     INE569E07080   12.00% Secured Redeemable Non-
                                                 Convertible Bonds,2011 issued in the
                                                 form of Debentures. Date of Maturity
                                                 : 13/12/2011
SIMRAN WIND PROJECT PRIVATE       INE285K07015   7.50% Secured Non Convertible
LIMITED                                          Debenture.Final Date of Maturity :
                                                 20/11/2012


SINTEX INDUSTRIES LIMITED         INE429C07024   9.00% Secured Redeemable Non
                                                 Convertible Debenture. Date of
                                                 Maturity : 01/06/2015


SINTEX INDUSTRIES LIMITED         INE429C07016   11.50% Secured Redeemable Non
                                                 Convertible Debenture. Date of
                                                 Maturity : 18/02/2018


SINTEX INDUSTRIES LIMITED         INE429C07032   9.00% Secured Redeemable Non
                                                 Convertible Debenture. Date of
                                                 Maturity : 24/06/2015


SIVA INDUSTRIES AND HOLDINGS      INE462G07018   Reset Rate Secured Non Convertible
LIMITED                                          Debenture. Letter of Allotment. Date
                                                 of Maturity : 09/06/2012


SIVA VENTURES LIMITED (FORMERLY   INE900G07017   Reset rate Secured Redeemable Non
AIRCEL TELEVENTURES LIMITED)                     Convertible Debenture. Letter of
                                                 Allotment.Date of Maturity :
                                                 09/06/2012
SKYDECK PROPERTIES & DEVELOPERS   INE384K07016   Zero Coupon Secured Redeemable
PRIVATE LIMITED                                  Non Convertible Debentures. Date of
                                                 Maturity : 28/01/2013


SMALL INDUSTRIES DEVELOPMENT      INE556F08FZ3   5.30% (Annual) Unsecured Capital
BANK OF INDIA                                    Gain bond . Date of maturity:
                                                 31.05.2012


SMALL INDUSTRIES DEVELOPMENT      INE556F08GA4   5.30% (Cumulative) Unsecured
BANK OF INDIA                                    Capital Gain bond . Date of maturity:
                                                 31.05.2012


SMALL INDUSTRIES DEVELOPMENT      INE556F09130   6.85% Unsecured Redeemable Non
BANK OF INDIA                                    Convertible bond in the form of
                                                 Promissory note.Date of Maturity:
                                                 29.06.2013
SMALL INDUSTRIES DEVELOPMENT      INE556F09148   6.85% Unsecured Redeemable Non
BANK OF INDIA                                    Convertible bond in the form of
                                                 Promissory note.Date of Maturity:
                                                 30.06.2013
SMALL INDUSTRIES DEVELOPMENT      INE556F09155   7.65% Unscured Non-convertible Bond
BANK OF INDIA                                    in the form of Promissory Note.. Date
                                                 of Maturity 19/07/2013


SMALL INDUSTRIES DEVELOPMENT      INE556F09171   8.10% Unsecured Non-Convertible
BANK OF INDIA                                    Bond in the form of Promissory
                                                 Note.Bond. Date of Maturity
                                                 27/09/2013
SMALL INDUSTRIES DEVELOPMENT      INE556F09189   8.19% Unseured Non-Convertible Bond
BANK OF INDIA                                    in the form of promissory note.. Date
                                                 of Maturity 28/09/2013


SMALL INDUSTRIES DEVELOPMENT      INE556F09213   9.50% Unseured Non-Convertible
BANK OF INDIA                                    Bond. Date of Maturity 28/03/2014



SMALL INDUSTRIES DEVELOPMENT      INE556F08ID4   7.90% Unsecured Reddemable Non
BANK OF INDIA                                    Convertible bond. Date of Maturity:
                                                 10/03/2016


SMALL INDUSTRIES DEVELOPMENT      INE556F08IO1   7.90% Unsecured Redeemable Non
BANK OF INDIA                                    Convertible bond. Date of Maturity:
                                                 27.03.2016


SMALL INDUSTRIES DEVELOPMENT      INE556F08IP8   9.60% Unsecured Redeemable Non
BANK OF INDIA                                    Convertible bond. Letter of
                                                 Allotment. Date of Maturity:
                                                 05.03.2017
SMALL INDUSTRIES DEVELOPMENT      INE556F09163   8.35% Unsecured Non-Convertible
BANK OF INDIA                                    Bond in the form of Promissory note.
                                                 Date of Maturity 13/08/2020


SMALL INDUSTRIES DEVELOPMENT      INE556F09197   9.00% Unseured Non-Convertible Bond
BANK OF INDIA                                    in the form of promissory note.. Date
                                                 of Maturity 15/12/2015
SMALL INDUSTRIES DEVELOPMENT     INE556F09205   9.00% Unseured Non-Convertible Bond
BANK OF INDIA                                   in the form of promissory note.. Date
                                                of Maturity 21/12/2015


SMALL INDUSTRIES DEVELOPMENT     INE556F08FF5   5.40 % (Annually) Unsecured Non
BANK OF INDIA                                   convertible Capital Gain bond. Date
                                                of Maturity: 28.02.2010


SMALL INDUSTRIES DEVELOPMENT     INE556F08FG3   5.40 % (Cummulative) Unsecured Non
BANK OF INDIA                                   convertible Capital Gain bond. Date
                                                of Maturity: 28.02.2010


SMALL INDUSTRIES DEVELOPMENT     INE556F09122   6.85% Unsecured Redeemable Non
BANK OF INDIA                                   Convertible bond in the form of
                                                Promissory note.Date of Maturity:
                                                28.06.2013
SMALL OPERATORS TRUST 2010       INE943K15020   Pass Through Certificates Series- A2
                                                (Trustee: IL&FS Trust Company
                                                Limited. Receivables ; Loan
                                                receivables of Shriram Transport
                                                Finance Co.Ltd)
SMALL OPERATORS TRUST 2010       INE943K15038   Pass Through Certificates Series- A3
                                                (Trustee: IL&FS Trust Company
                                                Limited. Receivables ; Loan
                                                receivables of Shriram Transport
                                                Finance Co.Ltd)
SOLARIS HOLDINGS LIMITED         INE339K07010   Zero Coupon Secured Non Convertible
                                                Debenture. Date of maturity :
                                                12/09/2012


SOUTHERN IRON & STEEL LIMITED    INE710B07011   8.75% Secured Redeemable Non
                                                Convertible debenture. Date of
                                                Maturity : 01/01/2015


SOUTHERN PETROCHEMICAL           INE147A07042   11.00% Secured Non Convertible
INDUSTRIES CORPORATION LIMI                     Debentures,Series VII Date of
                                                Maturity: 31/03/2014


SPANCO TELESYSTEMS & SOLUTIONS   INE360B07031   11.25% Secured Non Convertible
LIMITED                                         Debentures.Letter of allotment.Date
                                                of maturity: 03/07/2013


SPANCO TELESYSTEMS & SOLUTIONS   INE360B07049   11.00% Secured Non Convertible
LIMITED                                         Debentures.Letter of allotment.Date
                                                of maturity: 03/07/2013


SPANCO TELESYSTEMS & SOLUTIONS   INE360B07056   11.25% Secured Non Convertible
LIMITED                                         Debentures.Letter of allotment.Date
                                                of maturity: 10/07/2013


SPENTEX INDUSTRIES LIMITED       INE376C07019   9.00% Secured Non Convertible
                                                Debentures. Letter of Allotment.
                                                Final date of Redemption:
                                                31/03/2013
SREI EQUIPMENT FINANCE PRIVATE   INE881J07930   8.00% Secured Non- Convertible
LIMITED                                         Debenture. Date of Maturity:
                                                25/07/2011
SREI EQUIPMENT FINANCE PRIVATE   INE881J07AR7   8.30% Secured Non-convertible
LIMITED                                         debentures. Date of maturity :
                                                06/09/2011


SREI EQUIPMENT FINANCE PRIVATE   INE881J07AU1   8.30% Secured Non-convertible
LIMITED                                         debentures. Date of maturity :
                                                06/09/2011


SREI EQUIPMENT FINANCE PRIVATE   INE881J07AS5   8.30% Secured Non-convertible
LIMITED                                         debentures. Date of maturity :
                                                15/09/2011


SREI EQUIPMENT FINANCE PRIVATE   INE881J07AV9   8.30% Secured Non-convertible
LIMITED                                         debentures. Date of maturity :
                                                15/09/2011


SREI EQUIPMENT FINANCE PRIVATE   INE881J07096   13.50% Secured Non Convertible Bond
LIMITED                                         VIII .Date of maturity 16/09/2011



SREI EQUIPMENT FINANCE PRIVATE   INE881J07112   13.25% Secured Non Convertible
LIMITED                                         Debenture .Date of maturity
                                                10/10/2011


SREI EQUIPMENT FINANCE PRIVATE   INE881J07AA3   9.00% Secured Non Convertible
LIMITED                                         Debentures. Date of Maturity -
                                                26/12/2011


SREI EQUIPMENT FINANCE PRIVATE   INE881J07AO4   7.24% Secured Non-convertible
LIMITED                                         debentures. Date of maturity :
                                                10/03/2012


SREI EQUIPMENT FINANCE PRIVATE   INE881J07BA1   8.00% Secured Non-convertible
LIMITED                                         debentures. Date of maturity :
                                                28/03/2012


SREI EQUIPMENT FINANCE PRIVATE   INE881J07AY3   8.50% Secured Non-convertible
LIMITED                                         debentures. Date of maturity :
                                                28/05/2012


SREI EQUIPMENT FINANCE PRIVATE   INE881J07CG6   10.85% Secured Non-Convertible
LIMITED                                         Debenture. Date of Maturity
                                                02/07/2012


SREI EQUIPMENT FINANCE PRIVATE   INE881J07CJ0   10.90% Secured Non-Convertible,
LIMITED                                         Negotiable Debenture. Date of
                                                Maturity 05/10/2012


SREI EQUIPMENT FINANCE PRIVATE   INE881J07971   9.00% Secured Non-Convertible
LIMITED                                         Debentures. Date of Maturity - 02-11-
                                                2012


SREI EQUIPMENT FINANCE PRIVATE   INE881J07AP1   7.24% Secured Non-convertible
LIMITED                                         debentures. Date of maturity :
                                                10/03/2013
SREI EQUIPMENT FINANCE PRIVATE   INE881J07AT3   9.00% Secured Non-convertible
LIMITED                                         debentures. Date of maturity :
                                                29/03/2013


SREI EQUIPMENT FINANCE PRIVATE   INE881J07CH4   10.95% Secured Non-Convertible
LIMITED                                         Debenture.Date of Maturity
                                                13/05/2013


SREI EQUIPMENT FINANCE PRIVATE   INE881J07CI2   10.90% Secured Non-Convertible,
LIMITED                                         Negotiable Debenture. Date of
                                                Maturity 12/06/2013.


SREI EQUIPMENT FINANCE PRIVATE   INE881J07591   10.50% Secured Non Convertible
LIMITED                                         Debenture .Letter of allotment.
                                                Series I (Option I) Date of maturity :
                                                26/08/2014
SREI EQUIPMENT FINANCE PRIVATE   INE881J07609   10.75% Secured Non Convertible
LIMITED                                         Debenture .Letter of allotment.
                                                Series I (Option II) Date of maturity :
                                                26/08/2014
SREI EQUIPMENT FINANCE PRIVATE   INE881J07617   11.00% Secured Non Convertible
LIMITED                                         Debenture .Letter of allotment.
                                                Series I (Option III) Date of maturity :
                                                26/08/2014
SREI EQUIPMENT FINANCE PRIVATE   INE881J08011   10.00% Unsecured Non- Convertible
LIMITED                                         Debenture. Date of Maturity:
                                                23/12/2019


SREI EQUIPMENT FINANCE PRIVATE   INE881J08037   10.00% Unsecured Non- Convertible
LIMITED                                         Debenture. Date of Maturity:
                                                19/03/2020


SREI EQUIPMENT FINANCE PRIVATE   INE881J08045   10.00% Unsecured Non- Convertible
LIMITED                                         Debenture. Date of Maturity:
                                                31/03/2020


SREI EQUIPMENT FINANCE PRIVATE   INE881J07BU9   9.75% Secured Non-Convertible
LIMITED                                         Debenture. Date of Maturity
                                                02/05/2012


SREI EQUIPMENT FINANCE PRIVATE   INE881J07BS3   8.50% Secured Non-Convertible
LIMITED                                         Debenture. Date of Maturity
                                                04/10/2011


SREI EQUIPMENT FINANCE PRIVATE   INE881J07BN4   9.15% Secured Non-Convertible
LIMITED                                         Debenture. Date of Maturity
                                                13/08/2013.


SREI EQUIPMENT FINANCE PRIVATE   INE881J07BR5   9.00% Secured Non-Convertible
LIMITED                                         Debenture. Date of Maturity
                                                22/03/2012


SREI EQUIPMENT FINANCE PRIVATE   INE881J07BQ7   8.45% Secured Non-Convertible
LIMITED                                         Debenture. Date of Maturity
                                                23/09/2011
SREI EQUIPMENT FINANCE PRIVATE   INE881J08102   9.15% Unsecured Non-Convertible
LIMITED                                         Debenture. Date of Maturity
                                                26/04/2016


SREI EQUIPMENT FINANCE PRIVATE   INE881J07BV7   9.65% Secured Rated, Non-Convertible
LIMITED                                         Debenture.Date of Maturity
                                                28/11/2011


SREI EQUIPMENT FINANCE PRIVATE   INE881J07CD3   11.00% Secured Rated Non-
LTD                                             Convertible, Negotiable &
                                                Redeemable Debenture. Date of
                                                Maturity 18/05/2012
SREI EQUIPMENT FINANCE PRIVATE   INE881J07CE1   11.00% Secured Rated Non-
LTD                                             Convertible, Negotiable &
                                                Redeemable Debenture. Date of
                                                Maturity 06/06/2012
SREI EQUIPMENT FINANCE PRIVATE   INE881J07CB7   10.90% Secured Rated Non-
LTD                                             Convertible,Negotiable & Redeemable
                                                Debenture. Date of Maturity
                                                14/06/2012
SREI EQUIPMENT FINANCE PRIVATE   INE881J07CF8   11.00% Secured Rated Non-
LTD                                             Convertible, Negotiable &
                                                Redeemable Debenture. Date of
                                                Maturity 02/07/2012
SREI EQUIPMENT FINANCE PRIVATE   INE881J07BY1   11.25% Secured Rated Non-
LTD                                             Convertible,Negotiable & Redeemable
                                                Debenture. Date of Maturity
                                                30/01/2013
SREI EQUIPMENT FINANCE PRIVATE   INE881J07CC5   11.00% Secured Rated Non-
LTD                                             Convertible,Negotiable & Redeemable
                                                Debenture. Date of Maturity
                                                09/02/2013
SREI EQUIPMENT FINANCE PRIVATE   INE881J07CA9   10.70% Secured Rated Non-
LTD                                             Convertible,Negotiable & Redeemable
                                                Debenture. Date of Maturity
                                                06/03/2013
SREI EQUIPMENT FINANCE PRIVATE   INE881J07BW5   9.75% Secured Rated Non-Convertible,
LTD                                             Negotiable Debenture. Date of
                                                Maturity 10/01/2013


SREI EQUIPMENT FINANCE PRIVATE   INE881J07BZ8   11.25% Secured Rated Non-
LTD                                             Convertible,Negotiable & Redeemable
                                                Debenture. Date of Maturity
                                                16/01/2014
SREI EQUIPMENT FINANCE PRIVATE   INE881J08110   11.50% Unsecured Subordinated Non-
LTD                                             Convertible Debenture.Date of
                                                Maturity 31/03/2018


SREI EQUIPMENT FINANCE PRIVATE   INE881J07BX3   10.70% Secured Non-Convertible
LTD                                             Debenture. Date of Maturity
                                                24/04/2012


SREI INFRASTRUCTURE FINANCE      INE872A07OO3   8.10% Secured Non- Convertible
LIMITED                                         Debenture. Date of Maturity:
                                                15/09/2011
SREI INFRASTRUCTURE FINANCE          INE872A08BS9   8.10% Unsecured Non- Convertible
LIMITED                                             Debenture. Date of Maturity:
                                                    15/09/2011


SREI INFRASTRUCTURE FINANCE          INE872A08BI0   7.75% unsecured Non- Convertible
LIMITED                                             Debenture. Date of Maturity:
                                                    30/09/2011


SREI INFRASTRUCTURE FINANCE          INE872A08BK6   7.75% Unsecured Non- Convertible
LIMITED                                             Debenture. Date of Maturity:
                                                    10/10/2011


SREI INFRASTRUCTURE FINANCE          INE872A07PI2   9.75% Secured Rated,Non-Convertible
LIMITED                                             Negotiable Debenture. Date of
                                                    Maturity 10/01/2013


SREI INFRASTRUCTURE FINANCE          INE872A08BG4   12.00% Unsecured non convertible
LIMITED                                             Subordinated bonds in the nature of
                                                    debenture Date of Maturity:
                                                    30.03.2017
SREI INFRASTRUCTURE FINANCE          INE872A08BH2   12.00% Unsecured Redeemable Non
LIMITED                                             Convertible Subordinated debenture
                                                    Date of Maturity: 03/08/2017


SREI INFRASTRUCTURE FINANCE          INE872A08BE9   10.20% Unsecured Subordinated
LIMITED                                             Redeemable Non Convertible
                                                    debenture Date of Maturity:
                                                    23/03/2020
SREI INFRASTRUCTURE FINANCE          INE872A08BT7   10.50% Unsecured, Subordinated,
LIMITED                                             listed Non-Convertible Debenture.
                                                    Date of Maturity 10/11/2020


SREI INFRASTRUCTURE FINANCE          INE872A07PH4   9.75% Secured Non-Convertible
LIMITED                                             Debenture. Date of Maturity
                                                    02/05/2012


SREI INFRASTRUCTURE FINANCE          INE872A07PG6   8.55% Secured Non-Convertible
LIMITED                                             Debenture. Date of Maturity
                                                    04/10/2011


SREI INFRASTRUCTURE FINANCE          INE872A08BU5   9.50% Unsecured Non-Convertible
LIMITED                                             Debenture. Date of Maturity
                                                    23/11/2011


SREI INTERNATIONAL FINANCE LIMITED INE872A07011     9.95% Foreign Guaranteed Local
                                                    Currency Bonds(FGLC) . Date Of
                                                    Maturity : 18.10.2011.


SREI International Finance Limited   INE872A10015   Unsecured Subordinated Bonds




SRF LIMITED                          INE647A07017   13.00% Secured Non Convertible
                                                    Debentures. Letter of allotment.
                                                    Final date of Redemption:
                                                    19/11/2014
SRI KHODIAR REALTECH SYNDICATION INE108L07017     18.00% Secured Non Convertible
PVT.LTD.                                          Debentures Date of Maturity :
                                                  02/10/2012


SRI KHODIAR REALTECH SYNDICATION INE108L07025     18.00% Secured Non Convertible
PVT.LTD.                                          Debentures Date of Maturity :
                                                  20/10/2012


SRI KHODIAR REALTECH SYNDICATION INE108L07033     18.00% Secured Non Convertible
PVT.LTD.                                          Debentures Date of Maturity :
                                                  22/10/2012


SRI KHODIAR REALTECH SYNDICATION INE108L07041     18.00% Secured Non Convertible
PVT.LTD.                                          Debentures Date of Maturity :
                                                  29/10/2012


SRI KHODIAR REALTECH SYNDICATION INE108L07058     18% Secured Non convertable
PVT.LTD.                                          Debeture. Date of maturity
                                                  18/11/2012


SRTO PRIORITY SECTOR POOL TRUST    INE076K15011   Pass through certificates. Series - A.
2008                                              (Trustee: IDBI Trusteeship Services
                                                  Ltd. Receivables: commercial vehicle
                                                  loans receivable of Shriram Transport
                                                  Finance Company Ltd)
SRTO SERIES II TRUST 2010          INE847K15023   Pass through certificates. Series - A2.
                                                  (Trustee: IDBI Trusteeship Services
                                                  limited. Receivables: loan of Shriram
                                                  Transport Finance Company Ltd)
STANDARD CHARTERED INVESTMENTS     INE403G07038   Equity Index Linked Secured Non
AND LOANS (INDIA) LIMITED                         Convertible Debenture. Date of
                                                  maturity: 23.01.2012


STANDARD CHARTERED INVESTMENTS     INE403G07053   Equity Index Linked Secured Non
AND LOANS (INDIA) LIMITED                         Convertible Debenture. Date of
                                                  maturity: 28.05.2012


STAR BATTERY LIMITED               INE865H07010   17.00% Secured Optionally Fully
                                                  Convertible Debenture.Letter of
                                                  Allotment.Final date of Redemption:
                                                  01/01/2016
STARLIGHT SYSTEMS PRIVATE LIMITED INE653K08012    15.00% Unsecured Non Convertible
                                                  Debenture.Letter of Allotment.Date
                                                  of Maturity: 29/11/2013


STARLIGHT SYSTEMS PRIVATE LIMITED INE653K08020    15.00% Unsecured Optionally
                                                  Convertible Debenture.Letter of
                                                  Allotment.Date of Maturity:
                                                  29/11/2013
STATE BANK OF BIKANER AND JAIPUR   INE648A09011   7.20% Unsecured Redeemable non
                                                  convertible Suboridinated Bonds in
                                                  the form of Promissory note. Series
                                                  III. Date of maturity: 21.05.2014
STATE BANK OF BIKANER AND JAIPUR   INE648A09037   9.15% Unsecured Redeemable Non
                                                  Convertible Subordinated Bonds in
                                                  form of promissory notes.Series V.
                                                  Date of Maturity: 10.08.2016
STATE BANK OF BIKANER AND JAIPUR   INE648A09045   10.25% Unsecured Redeemable Non
                                                  Convertible Subordinated Upper Tier
                                                  II Series I Bonds in form of promissory
                                                  notes.Date of Maturity: 23.03.2022
STATE BANK OF BIKANER AND JAIPUR   INE648A09052   9.78% Unsecured Redeemable Non
                                                  Convertible Subordinated Upper Tier
                                                  II Series II Bonds in form of promissory
                                                  notes.Date of Maturity: 15.10.2022
STATE BANK OF BIKANER AND JAIPUR   INE648A09060   9.85% Unsecured Non Convertible
                                                  Subordinated Innovative Perpetual
                                                  Tier I Bonds in form of promissory
                                                  notes.
STATE BANK OF HYDERABAD            INE649A09027   7.45% Unsecured Redeemable Non-
                                                  Convertible Subordinated Bonds-
                                                  Series IV. Date of Maturity:
                                                  28/04/2015. letter of Allotment
STATE BANK OF HYDERABAD            INE649A09035   8.80% Unsecured Redeemable Non-
                                                  Convertible Subordinated Bonds in the
                                                  form of promissory note.Letter of
                                                  Allotment Date of Maturity:
                                                  29/04/2016.
STATE BANK OF HYDERABAD            INE649A09043   9.15% Unsecured Redeemable Non-
                                                  Convertible Subordinated Bonds in the
                                                  form of promissory note.Letter of
                                                  Allotment Date of Maturity:
                                                  23/09/2017
STATE BANK OF HYDERABAD            INE649A09050   9.35% Unsecured Redeemable Non-
                                                  Convertible Subordinated Upper Tier
                                                  II Bonds in the form of promissory
                                                  note.Letter of Allotment Date of
                                                  Maturity: 19/03/2023
STATE BANK OF HYDERABAD            INE649A09076   8.39% (Refer remark) Unsecured
                                                  Redeemable Non-Convertible Upper
                                                  Tier II Bonds in the form of promissory
                                                  note Series - IX..Letter of Allotment
                                                  Date of Maturity: 05/06/2024
STATE BANK OF HYDERABAD            INE649A09084   8.50% (Refer remark) Unsecured
                                                  Redeemable Non-Convertible Upper
                                                  Tier II Bonds in the form of promissory
                                                  note Series - X.Date of Maturity:
                                                  21/08/2024
STATE BANK OF HYDERABAD            INE649A09092   8.60% (Refer remark) Unsecured
                                                  Redeemable Non-Convertible Upper
                                                  Tier II Bonds in the form of promissory
                                                  note Series - XI.Date of Maturity:
                                                  08/09/2024
STATE BANK OF HYDERABAD            INE649A09068   9.95% Unsecured Redeemable Non
                                                  Convertible Subordinated Perpetual
                                                  Bonds in form of promissory notes.
                                                  Letter of Allotment .
STATE BANK OF HYDERABAD            INE649A09118   Reset Rate Unsecured Non-
                                                  Convertible Perpetual Bond in the
                                                  form of promissory note.. Series - XIII.


STATE BANK OF HYDERABAD            INE649A09100   Reset rate Unsecured Redeemable
                                                  Non-Convertible Perpetual IPDI Bonds
                                                  in the form of promissory note Series -
                                                  XII.
STATE BANK OF INDIA                INE062A09049   7.45% Unsecured non convertible
                                                  Subordinated bond in nature of
                                                  promissory notes. Letter of
                                                  allotment. Date of Maturity:
                                                  05.05.2015
STATE BANK OF INDIA   INE062A09130   9.85% Unsecured Redeemable Non
                                     convertible Subordinated bond in
                                     nature of promissory notes. Lower
                                     Tier II. Date of Maturity: 27/06/2016
STATE BANK OF INDIA   INE062A09205   8.95% Unsecured Redeemable Non
                                     convertible Subordinated bond in
                                     nature of promissory notes. Lower
                                     Tier II (Series IV) . Date of Maturity:
                                     06/06/2018
STATE BANK OF INDIA   INE062A09171   8.40% Unsecured Redeemable Non
                                     convertible Subordinated bond in
                                     nature of promissory notes. Lower
                                     Tier II (Series I) . Date of Maturity:
                                     29/06/2018
STATE BANK OF INDIA   INE062A08017   Reset rate Unsecured Non convertible
                                     Lower Tier II Bonds (Series I). Date of
                                     Maturity: 04/11/2020


STATE BANK OF INDIA   INE062A09056   8.80% Unsecured Non convertible
                                     Subordinated bond in nature of
                                     promissory notes.Tier II. Date of
                                     Maturity: 05.06.2021
STATE BANK OF INDIA   INE062A09064   9.00% Unsecured Non convertible
                                     Subordinated bond in nature of
                                     promissory notes.Tier II. Date of
                                     Maturity: 06.07.2021
STATE BANK OF INDIA   INE062A09072   8.96% Unsecured Non convertible
                                     Subordinated bond in nature of
                                     promissory notes.Upper Tier II. Date
                                     of Maturity: 12.09.2021
STATE BANK OF INDIA   INE062A09080   8.97% Unsecured Non convertible
                                     Subordinated bond in nature of
                                     promissory notes.Upper Tier II. Date
                                     of Maturity: 13.09.2021
STATE BANK OF INDIA   INE062A09098   8.98% Unsecured Non convertible
                                     Subordinated bond in nature of
                                     promissory notes.Upper Tier II. Date
                                     of Maturity: 15.09.2021
STATE BANK OF INDIA   INE062A09106   8.85% Unsecured Non convertible
                                     Subordinated bond in nature of
                                     promissory notes.Upper Tier II. Date
                                     of Maturity: 04/10/2021
STATE BANK OF INDIA   INE062A09114   8.88% Unsecured Non convertible
                                     Subordinated bond in nature of
                                     promissory notes.Upper Tier II. Date
                                     of Maturity: 16/10/2021
STATE BANK OF INDIA   INE062A09122   9.37% Unsecured Redeemable Non
                                     convertible Subordinated bond in
                                     nature of promissory notes.Upper Tier
                                     II. Date of Maturity: 17/02/2022
STATE BANK OF INDIA   INE062A09148   10.20% Unsecured Redeemable Non
                                     convertible Subordinated bond in
                                     nature of promissory notes. Upper
                                     Tier II. Date of Maturity: 07/06/2022
STATE BANK OF INDIA   INE062A09155   10.10% Unsecured Redeemable Non
                                     convertible Subordinated bond in
                                     nature of promissory notes. Upper
                                     Tier II. Date of Maturity: 12/09/2022
STATE BANK OF INDIA    INE062A09163   8.90% Unsecured Redeemable Non
                                      convertible Subordinated bond in
                                      nature of promissory notes. Upper
                                      Tier II. Date of Maturity: 19/12/2023
STATE BANK OF INDIA    INE062A09189   Reset rate Unsecured Redeemable
                                      Non convertible Subordinated bond in
                                      nature of promissory notes. Upper
                                      Tier II (Series III) . Date of Maturity:
                                      02/03/2024
STATE BANK OF INDIA    INE062A09197   Reset rate Unsecured Redeemable
                                      Non convertible Subordinated bond in
                                      nature of promissory notes. Upper
                                      Tier II (Series V) . Date of Maturity:
                                      06/03/2024
STATE BANK OF INDIA    INE062A08025   Reset rate Unsecured Non convertible
                                      Lower Tier II Bonds (Series II). Date of
                                      Maturity: 04/11/2025


STATE BANK OF INDIA    INE062A09213   Reset rate Unsecured Non convertible
                                      Subordinated Perpetual bond in
                                      nature of promissory notes. (Series I)
                                      .
STATE BANK OF INDIA    INE062A09221   Reset rate Unsecured Non convertible
                                      Subordinated Perpetual bond in
                                      nature of promissory notes. Tier I
                                      Series II.
STATE BANK OF INDORE   INE650A09033   7.20% Unsecured non convertible
                                      subordinated bonds in nature of
                                      Promissory notes. Date of Maturity:
                                      15.05.2014
STATE BANK OF INDORE   INE650A09041   7.45 % Unsecured Non convertible
                                      Subordinated bonds in form of
                                      promissory notes. Date of Maturity:
                                      29.09.2015
STATE BANK OF INDORE   INE650A09058   8.70 % Unsecured Non convertible
                                      Subordinated bonds in form of
                                      promissory notes. Date of Maturity:
                                      28.03.2016
STATE BANK OF INDORE   INE650A09066   8.95 % Unsecured Non convertible
                                      Subordinated bonds in form of
                                      promissory notes. Date of Maturity:
                                      29.12.2021
STATE BANK OF INDORE   INE650A09074   10.25 % Unsecured Non convertible
                                      Upper Tier II Subordinated bonds
                                      Series II in form of promissory notes.
                                      Date of Maturity: 22/03/2022
STATE BANK OF INDORE   INE650A09090   Reset rate Unsecured Non convertible
                                      Upper Tier II Subordinated bonds
                                      Series III in form of promissory notes.
                                      Date of Maturity: 20/03/2024
STATE BANK OF INDORE   INE650A09082   10.25% Unsecured Non Convertible
                                      subordinated Tier -I Perpetual Bonds
                                      in form of promissory notes. Series - I


STATE BANK OF MYSORE   INE651A09023   7.10% Unsecured Non Convertible
                                      Bonds in the form of Promissory
                                      Notes. Letter of Allotment.
STATE BANK OF MYSORE       INE651A09031   7.45% Unsecured Non Convertible
                                          Bond in nature of promissory notes .
                                          Series VI. Tier II. Date of Maturity:
                                          01.05.2015
STATE BANK OF MYSORE       INE651A09049   8.95% Unsecured Non Convertible
                                          Subordinated Bond in nature of
                                          promissory notes Upper Tier II.Letter
                                          of Allotment. Date of Maturity:
                                          15/11/2021
STATE BANK OF MYSORE       INE651A09064   9.08% Unsecured Non Convertible
                                          Subordinated Bond in nature of
                                          promissory notes Upper Tier II.Letter
                                          of Allotment. Date of Maturity:
                                          16/01/2023
STATE BANK OF MYSORE       INE651A09056   9.80% Unsecured Non Convertible
                                          Perpetual Bonds in form of promissory
                                          notes. Letter of Allotment


STATE BANK OF MYSORE       INE651A09072   Reset rate Unsecured Non Convertible
                                          Perpetual Bond in nature of
                                          promissory notes


STATE BANK OF PATIALA      INE652A09013   7.80% Unsecured Non convertible Tier
                                          II subordinated bond in nature of
                                          promissory notes. Date of Maturity:
                                          10/09/2015
STATE BANK OF PATIALA      INE652A09021   10.25% Unsecured Redeemable Non
                                          convertible Upper Tier- II
                                          Subordinated bond in nature of
                                          promissory notes. Date of Maturity:
                                          31/03/2022
STATE BANK OF PATIALA      INE652A09039   10.24% Unsecured Redeemable Non
                                          convertible Upper Tier- II
                                          Subordinated bond in nature of
                                          promissory notes. Series II. Date of
                                          Maturity: 05/07/2022
STATE BANK OF PATIALA      INE652A09047   9.90% Unsecured Redeemable Non
                                          convertible Upper Tier- II
                                          Subordinated bond in nature of
                                          promissory notes. Series III. Date of
                                          Maturity: 28/09/2022
STATE BANK OF PATIALA      INE652A09054   9.30% Unsecured Redeemable Non
                                          convertible Upper Tier- II
                                          Subordinated bond in nature of
                                          promissory notes. Series IV. Date of
                                          Maturity: 20/12/2022
STATE BANK OF PATIALA      INE652A09062   9.30% Unsecured Redeemable Non
                                          convertible Upper Tier- II
                                          Subordinated bond in nature of
                                          promissory notes. Series V. Date of
                                          Maturity: 20/03/2023
STATE BANK OF PATIALA      INE652A09070   Reset rate Unsecured Redeemable
                                          Non convertible Upper Tier- II
                                          Subordinated bond in nature of
                                          promissory notes. Seires VI.Date of
                                          Maturity: 13/03/2024
STATE BANK OF PATIALA      INE652A09088   Reset rate Unsecured Redeemable
                                          Non convertible Subordinated
                                          Perpetual bond in nature of
                                          promissory notes. Series I..
STATE BANK OF SAURASHTRA   INE653A09011   8.15% Unsecured Redeemable Non
                                          Convertible Subordinated Tier-II
                                          Bonds-2006 in the form of promissory
                                          Note. Date of Maturity 09/06/2015
STATE BANK OF SAURASHTRA           INE653A09029   9.80% Unsecured Redeemable Non
                                                  Convertible Subordinated Tier-II
                                                  Bonds-2007 in the form of promissory
                                                  Note. Date of Maturity 30/06/2016
STATE BANK OF TRAVANCORE           INE654A09084   7.05% Unsecured bond in form of
                                                  Promissory note.Series VI, Tier II.
                                                  Date of Maturity: 19.04.2014


STATE BANK OF TRAVANCORE           INE654A09092   7.45 % Unsecured Non Convertible
                                                  bonds in form of promissory notes.
                                                  Series VII. Date of Maturity:
                                                  06.05.2015
STATE BANK OF TRAVANCORE           INE654A09100   7.80% Unsecured Redeemable Non
                                                  Convertible Subordinated Bonds in
                                                  form of promissory notes. Series VIII.
                                                  Date of Maturity: 15/05/2015
STATE BANK OF TRAVANCORE           INE654A09142   9.20% Unsecured Redeemable Non
                                                  Convertible Subordinated Lower Tier
                                                  II Bonds in form of promissory notes.
                                                  Series IX. Date of Maturity:
                                                  31/07/2017
STATE BANK OF TRAVANCORE           INE654A09159   9.18% Unsecured Redeemable Non
                                                  Convertible Subordinated Lower Tier
                                                  II Bonds in form of promissory notes.
                                                  Series X. Date of Maturity:
                                                  08/01/2018
STATE BANK OF TRAVANCORE           INE654A09126   9.65% Unsecured Redeemable Non
                                                  Convertible Upper Tier II Bonds in
                                                  form of promissory notes. Series I.
                                                  Date of Maturity: 01/03/2022
STATE BANK OF TRAVANCORE           INE654A09134   10.25% Unsecured Redeemable Non
                                                  Convertible Subordinated Upper Tier
                                                  II Bonds in form of promissory notes.
                                                  Series II. Letter of Allotment . Date of
                                                  Maturity: 18/05/2022
STATE BANK OF TRAVANCORE           INE654A09167   9.95% Unsecured Redeemable Non
                                                  Convertible Subordinated Perpetual
                                                  Bonds in form of promissory notes.
                                                  Series - II
STATE BANK OF TRAVANCORE           INE654A09118   9.34% Unsecured Redeemable Non
                                                  Convertible Subordinated Perpetual
                                                  Bonds in form of promissory notes.
                                                  Series - I
ST-CMS ELECTRIC COMPANY PVT.       INE918E07014   Secured Redeemeable NCD issued/to
LTD.                                              be issued under Rs. 73 crore loan
                                                  facility subscribed by ICICI Ltd.


STEEL AUTHORITY OF INDIA LIMITED   INE114A07497   8.75% Taxable Secured Redeemable
                                                  Non Convertible Bonds (XXIII) - Issue (I
                                                  Series) - AJ-I Letter of Allotment.
                                                  Date of Maturity : 15/09/2014
STEEL AUTHORITY OF INDIA LIMITED   INE114A07521   8.80% Taxable Secured Redeemable
                                                  Non Convertible Bonds (XXIV) - Issue (I
                                                  Series) - AK-I Letter of Allotment.
                                                  Date of Maturity : 26/10/2014
STEEL AUTHORITY OF INDIA LIMITED   INE114A07539   8.80% Taxable Secured Redeemable
                                                  Non Convertible Bonds (XXIV) - Issue (I
                                                  Series) - AK-II Letter of Allotment.
                                                  Date of Maturity : 26/10/2015
STEEL AUTHORITY OF INDIA LIMITED   INE114A07547   8.80% Taxable Secured Redeemable
                                                  Non Convertible Bonds (XXIV) - Issue (I
                                                  Series) - AK-III Letter of Allotment.
                                                  Date of Maturity : 26/10/2016
STEEL AUTHORITY OF INDIA LIMITED   INE114A07554   8.80% Taxable Secured Redeemable
                                                  Non Convertible Bonds (XXIV) - Issue (I
                                                  Series) - AK-IV Letter of Allotment.
                                                  Date of Maturity : 26/10/2017
STEEL AUTHORITY OF INDIA LIMITED   INE114A07562   8.80% Taxable Secured Redeemable
                                                  Non Convertible Bonds (XXIV) - Issue (I
                                                  Series) - AK-V Letter of Allotment.
                                                  Date of Maturity : 26/10/2018
STEEL AUTHORITY OF INDIA LIMITED   INE114A07448   8.90% (Taxable) Secured Redeemable
                                                  Non-Convertible Bonds.Letter of
                                                  Allotment. XVIII-Issue (I Series) (AE
                                                  Series).Date of Maturity : 01/05/2019
STEEL AUTHORITY OF INDIA LIMITED   INE114A07455   7.70% (Taxable) Secured Redeemable
                                                  Non-Convertible Bonds.Letter of
                                                  Allotment. XIX-Issue (I Series) (AF
                                                  Series).Date of Maturity : 11/05/2019
STEEL AUTHORITY OF INDIA LIMITED   INE114A07463   8.80% (Taxable) Secured Redeemable
                                                  Non-Convertible Bonds.Letter of
                                                  Allotment. XX-Issue (I Series) (AG
                                                  Series).Date of Maturity : 22/06/2019
STEEL AUTHORITY OF INDIA LIMITED   INE114A07505   8.75% Taxable Secured Redeemable
                                                  Non Convertible Bonds (XXIII) - Issue (I
                                                  Series) - AJ-II Letter of Allotment.
                                                  Date of Maturity : 15/09/2019
STEEL AUTHORITY OF INDIA LIMITED   INE114A07570   8.80% Taxable Secured Redeemable
                                                  Non Convertible Bonds (XXIV) - Issue (I
                                                  Series) - AK-VI Letter of Allotment.
                                                  Date of Maturity : 26/10/2019
STEEL AUTHORITY OF INDIA LIMITED   INE114A07646   8.60% Taxable Secured Redeemable
                                                  Non Convertible Bonds XXV - Issue (I
                                                  Series) - AL Letter of Allotment. Date
                                                  of Maturity : 19/11/2019
STEEL AUTHORITY OF INDIA LIMITED   INE114A07653   8.00% Taxable Secured Redeemable
                                                  Non Convertible Bonds XXVI - Issue (I
                                                  Series) - AM - I Letter of Allotment.
                                                  Date of Maturity : 07/12/2019
STEEL AUTHORITY OF INDIA LIMITED   INE114A07661   8.50% Taxable Secured Redeemable
                                                  Non Convertible Bonds XXVI - Issue (I
                                                  Series) - AM - II Letter of Allotment.
                                                  Date of Maturity : 07/12/2019
STEEL AUTHORITY OF INDIA LIMITED   INE114A07679   8.65% Taxable Secured Redeemable
                                                  Non Convertible Bonds XXVII - Issue (I
                                                  Series) - AN Series. Letter of
                                                  Allotment. Date of Maturity :
                                                  30/12/2019
STEEL AUTHORITY OF INDIA LIMITED   INE114A07687   8.65% Taxable Secured Redeemable
                                                  Non Convertible Bonds XXVIII - Issue (I
                                                  Series) - AO Series. Letter of
                                                  Allotment. Date of Maturity :
                                                  01/02/2020
STEEL AUTHORITY OF INDIA LIMITED   INE114A07695   8.75% Taxable Secured Redeemable
                                                  Non Convertible Bonds XXIX - Issue (I
                                                  Series) - AP Series. Letter of
                                                  Allotment. Date of Maturity :
                                                  23/04/2020
STEEL AUTHORITY OF INDIA LIMITED   INE114A07703   8.72% Taxable Secured Redeemable
                                                  Non Convertible Bonds XXX - Issue (I
                                                  Series) - AQ Series. Letter of
                                                  Allotment. Date of Maturity :
                                                  30/04/2020
STEEL AUTHORITY OF INDIA LIMITED   INE114A07588   8.80% Taxable Secured Redeemable
                                                  Non Convertible Bonds (XXIV) - Issue (I
                                                  Series) - AK-VII Letter of Allotment.
                                                  Date of Maturity : 26/10/2020
STEEL AUTHORITY OF INDIA LIMITED   INE114A07471   8.55% Taxable Secured Redeemable
                                                  Non Convertible Bonds (XXI) - Issue (I
                                                  Series) - AH Series Letter of
                                                  Allotment. Date of Maturity :
                                                  11/08/2021
STEEL AUTHORITY OF INDIA LIMITED   INE114A07596   8.80% Taxable Secured Redeemable
                                                  Non Convertible Bonds (XXIV) - Issue (I
                                                  Series) - AK-VIII Letter of Allotment.
                                                  Date of Maturity : 26/10/2021
STEEL AUTHORITY OF INDIA LIMITED   INE114A07604   8.80% Taxable Secured Redeemable
                                                  Non Convertible Bonds (XXIV) - Issue (I
                                                  Series) - AK-IX Letter of Allotment.
                                                  Date of Maturity : 26/10/2022
STEEL AUTHORITY OF INDIA LIMITED   INE114A07612   8.80% Taxable Secured Redeemable
                                                  Non Convertible Bonds (XXIV) - Issue (I
                                                  Series) - AK-X Letter of Allotment.
                                                  Date of Maturity : 26/10/2023
STEEL AUTHORITY OF INDIA LIMITED   INE114A07489   8.70% Taxable Secured Redeemable
                                                  Non Convertible Bonds (XXII) - Issue (I
                                                  Series) - AI Series Letter of Allotment.
                                                  Date of Maturity : 25/08/2024
STEEL AUTHORITY OF INDIA LIMITED   INE114A07513   8.75% Taxable Secured Redeemable
                                                  Non Convertible Bonds (XXIII) - Issue (I
                                                  Series) - AJ-III Letter of Allotment.
                                                  Date of Maturity : 15/09/2024
STEEL AUTHORITY OF INDIA LIMITED   INE114A07620   8.80% Taxable Secured Redeemable
                                                  Non Convertible Bonds (XXIV) - Issue (I
                                                  Series) - AK-XI Letter of Allotment.
                                                  Date of Maturity : 26/10/2024
STEEL AUTHORITY OF INDIA LIMITED   INE114A07638   8.80% Taxable Secured Redeemable
                                                  Non Convertible Bonds (XXIV) - Issue (I
                                                  Series) - AK-XII Letter of Allotment.
                                                  Date of Maturity : 26/10/2025
STEEL AUTHORITY OF INDIA LIMITED   INE114A07349   12 % (Taxable) Govt. Guaranteed
                                                  Secured Redeemable Non-Convertible
                                                  Bonds XV-I Series (RR Series).


STEEL AUTHORITY OF INDIA LIMITED   INE114A07372   12 % (Taxable) Govt. Guaranteed
                                                  Secured Redeemable Non-Convertible
                                                  Bonds XV-II Series (VV Series).


STEEL AUTHORITY OF INDIA LIMITED   INE114A07406   10.75 % (Taxable) Govt. Guaranteed
                                                  Secured Redeemable Non-Convertible
                                                  Bonds XVII-I Series (YY Series).


STEEL AUTHORITY OF INDIA LIMITED   INE114A07430   8.2 % (Taxable) Govt. Guaranteed
                                                  Secured Redeemable Non-Convertible
                                                  Bonds XVII-II Series (AC Series).
STEEL AUTHORITY OF INDIA LTD.      INE114A07232    11 % (Taxable) Govt. Guaranteed
                                                   Secured Redeemeable Non-
                                                   Convertible BondsXIII-II Series (MM
                                                   Series), Date of Maturity: 01-08-2011
STERLING BIOTECH LIMITED           INE324C07019    12.00% Secured Redeemable Non
(FORMERLY STERLING TEA &                           Convertible Debentures. Letter of
INDUSTRIES LIMITED)                                allotment. Final Date of Redemption:
                                                   05/08/2015
STERLITE INDUSTRIES (INDIA) LIMITED INE268A08317   8.00% Secured Redeemable Non-
                                                   Convertible Debentures. Letter of
                                                   Allotment


STL FERTILIZERS PRIVATE LIMITED    INE963K07017    9.00% Secured Redeemable Non
                                                   Convertible Debentures. Date of
                                                   Maturity : 30/03/2012


SUNDARAM BNP PARIBAS HOME FIN.     INE667F07337    10.38% Secured Non-Convertible
LTD                                                Debenture. Letter of Allotment. Date
                                                   of Maturity 02/05/2012


SUNDARAM BNP PARIBAS HOME FIN.     INE667F07261    9.60% Secured Non-Convertible
LTD                                                Debenture. Letter of Allotment. Date
                                                   of Maturity 21/05/2012


SUNDARAM BNP PARIBAS HOME FIN.     INE667F07378    10.30% Secured Non-Convertible
LTD                                                Debenture. Letter of Allotment. Date
                                                   of Maturity 15/06/2012


SUNDARAM BNP PARIBAS HOME FIN.     INE667F07352    Zero Coupon Secured Non-Convertible
LTD                                                Debenture. Letter of Allotment. Date
                                                   of Maturity 07/05/2012


SUNDARAM BNP PARIBAS HOME FIN.     INE667F07386    10.30% Secured Non-Convertible
LTD                                                Debenture. Letter of Allotment. Date
                                                   of Maturity 02/08/2012


SUNDARAM BNP PARIBAS HOME FIN.     INE667F07287    Zero Coupon Secured Non-Convertible
LTD                                                Debenture. Letter of Allotment. Date
                                                   of Maturity 09/07/2012


SUNDARAM BNP PARIBAS HOME FIN.     INE667F07394    10.30% Secured Non-Convertible
LTD                                                Debentures. Letter of Allotment.
                                                   Date of Maturity: 29/03/2013


SUNDARAM BNP PARIBAS HOME FIN.     INE667F07295    10.05% Secured Non-Convertible
LTD                                                Debenture. Letter of Allotment. Date
                                                   of Maturity 16/01/2014


SUNDARAM BNP PARIBAS HOME FIN.     INE667F07345    Zero Coupon Secured Non-Convertible
LTD                                                Debenture. Letter of Allotment. Date
                                                   of Maturity17/08/2012


SUNDARAM BNP PARIBAS HOME FIN.     INE667F07303    10.06% Secured Non-Convertible
LTD                                                Debenture, Letter of Allotment. Date
                                                   of Maturity 20/04/2011
SUNDARAM BNP PARIBAS HOME FIN.   INE667F07311   10.27% Secured Non-Convertible
LTD                                             Debenture. Letter of Allotment. Date
                                                of Maturity 24/01/2014


SUNDARAM BNP PARIBAS HOME FIN.   INE667F07360   Zero Coupon Secured Non-Convertible
LTD                                             Debenture. Letter of Allotment. Date
                                                of Maturity 24/08/2012


SUNDARAM BNP PARIBAS HOME FIN.   INE667F07279   9.74% Secured Non-Convertible
LTD                                             Debenture. Letter of Allotment. Date
                                                of Maturity 26/06/2012


SUNDARAM BNP PARIBAS HOME FIN.   INE667F07329   10.27% Secured Non-Convertible
LTD                                             Debenture. Letter of Allotment. Date
                                                of Maturity 27/01/2014


SUNDARAM BNP PARIBAS HOME        INE667F07097   12.50% Secured Non Convertible
FINANCE LIMITED                                 Debentures. Letter of Allotment.
                                                Date of Maturity: 29/09/2011


SUNDARAM BNP PARIBAS HOME        INE667F07154   6.95% Secured Non Convertible
FINANCE LIMITED                                 Debentures. Letter of Allotment.
                                                Date of Maturity: 25/11/2011


SUNDARAM BNP PARIBAS HOME        INE667F07105   7.60% Secured Non Convertible
FINANCE LIMITED                                 Debentures. Letter of Allotment.
                                                Date of Maturity: 26/03/2012


SUNDARAM BNP PARIBAS HOME        INE667F07147   7.60% Secured Non Convertible
FINANCE LIMITED                                 Debentures. Letter of Allotment.
                                                Date of Maturity: 11/05/2012


SUNDARAM BNP PARIBAS HOME        INE667F07238   8.60% Secured Non-Convertible
FINANCE LIMITED                                 Debenture. Letter of Allotment .Date
                                                of Maturity 20/09/2012


SUNDARAM BNP PARIBAS HOME        INE667F07212   8.69% Secured Non-Convertible
FINANCE LIMITED                                 Debenture. Letter of Allotment. Date
                                                of Maturity 21/09/2012


SUNDARAM BNP PARIBAS HOME        INE667F07246   8.60% Secured Non-Convertible
FINANCE LIMITED                                 Debenture. Letter of Allotment .
                                                Date of Maturity 27/09/2012


SUNDARAM BNP PARIBAS HOME        INE667F07436   10.18% Secured Non-Convertible
FINANCE LIMITED                                 Debenture. Letter of Allotment. Date
                                                of Maturity 08/10/2012


SUNDARAM BNP PARIBAS HOME        INE667F07220   8.75% Secured Non-Convertible
FINANCE LIMITED                                 Debenture. Letter of Allotment .Date
                                                of Maturity 15/10/2012


SUNDARAM BNP PARIBAS HOME        INE667F07113   8.35% Secured Non Convertible
FINANCE LIMITED                                 Debentures. Letter of Allotment.
                                                Date of Maturity: 29/03/2013
SUNDARAM BNP PARIBAS HOME   INE667F07121   8.30% Secured Non Convertible
FINANCE LIMITED                            Debentures. Letter of Allotment.
                                           Date of Maturity: 16/04/2013


SUNDARAM BNP PARIBAS HOME   INE667F07139   8.35% Secured Non Convertible
FINANCE LIMITED                            Debentures. Letter of Allotment.
                                           Date of Maturity: 29/04/2013


SUNDARAM BNP PARIBAS HOME   INE667F07188   8.30% Secured Non-Convertible
FINANCE LIMITED                            Debenture. Letter of allotmernt.
                                           Series- XIX. Date of Maturity
                                           30/05/2013
SUNDARAM BNP PARIBAS HOME   INE667F07410   10.65% Secured Non-Convertible
FINANCE LIMITED                            Debenture.Letter of Allotment. Date
                                           of Maturity 13/06/2013


SUNDARAM BNP PARIBAS HOME   INE667F07428   10.46% Secured Non-Convertible
FINANCE LIMITED                            Debenture. Letter of Allotment. Date
                                           of Maturity 24/06/2013


SUNDARAM BNP PARIBAS HOME   INE667F07451   10.45% Secured Non-Convertible
FINANCE LIMITED                            Debenture. Letter of Allotment. Date
                                           of Maturity 28/06/2013


SUNDARAM BNP PARIBAS HOME   INE667F07444   10.46% Secured Non-Convertible
FINANCE LIMITED                            Debenture. Letter of Allotment. Date
                                           of Maturity 18/07/2013


SUNDARAM BNP PARIBAS HOME   INE667F07253   8.90% Secured non-Convertinle
FINANCE LIMITED                            Debenture. Letter of Allotment. Date
                                           of Maturity 22/07/2013


SUNDARAM BNP PARIBAS HOME   INE667F07196   8.75% Secured Non-Convertible
FINANCE LIMITED                            Debenture. Letter of Allotment. Date
                                           of Maturity 09/08/2013


SUNDARAM BNP PARIBAS HOME   INE667F07204   8.75% Secured Non-Convertible
FINANCE LIMITED                            Debenture. Letter of Allotment. Date
                                           of Maturity 02/09/2013


SUNDARAM BNP PARIBAS HOME   INE667F07402   10.55% Secured Non-Convertible
FINANCE LIMITED                            Debenture.Letter of Allotment.Date
                                           of Maturity 19/05/2014


SUNDARAM BNP PARIBAS HOME   INE667F07477   10.55% Secured Non-Convertible
FINANCE LIMITED                            Debenture. Letter of Allotment. Date
                                           of Maturity 14/07/2014


SUNDARAM BNP PARIBAS HOME   INE667F07501   10.55% Secured Non-Convertible
FINANCE LIMITED                            Debenture. Letter of Allotment. Date
                                           of Maturity 14/07/2014


SUNDARAM BNP PARIBAS HOME   INE667F08046   10.00 % Unsecured Non Convertible
FINANCE LIMITED                            Debentures. Letter of allotment. Date
                                           of Maturity: 03/02/2017
SUNDARAM BNP PARIBAS HOME   INE667F07469   10.55% Secured Non-Convertible
FINANCE LIMITED                            Debenture. Letter of Allotment. Date
                                           of Maturity 11/07/2014


SUNDARAM BNP PARIBAS HOME   INE667F07485   10.55% Secured Non-Convertible
FINANCE LIMITED                            Debenture. Letter of Allotment. Date
                                           of Maturity 11/08/2014


SUNDARAM BNP PARIBAS HOME   INE667F07493   10.41% Secured Non-Convertible
FINANCE LIMITED                            Debenture. Letter of Allotment. Date
                                           of Maturity 28/06/2013


SUNDARAM BNP PARIBAS HOME   INE667F07162   8.30% Secured Non Convertible
FINANCE LIMITED                            Debentures. Letter of Allotment.
                                           Date of Maturity: 30/05/2013


SUNDARAM FINANCE LIMITED    INE660A07DL1   7.80% Secured Non -Convertible
                                           Debenture. Letter of Allotment
                                           Series I-21 Date of Maturity:
                                           28/07/2011
SUNDARAM FINANCE LIMITED    INE660A07DN7   NSE MIBOR + 6.00% (Floor : 7.95% and
                                           Cap : 8.00%)
                                            Secured Non -Convertible Debenture.
                                           Letter of Allotment Series I-22 Date
                                           of Maturity: 10/08/2011
SUNDARAM FINANCE LIMITED    INE660A07DP2   8.30% Secured Non -Convertible
                                           Debenture. Letter of Allotment
                                           Series I-24 Date of Maturity:
                                           09/09/2011
SUNDARAM FINANCE LIMITED    INE660A07DQ0   8.42% ( Annual Compounding )
                                           Secured Non -Convertible Debenture.
                                           Letter of Allotment Series I-27 Date
                                           of Maturity: 14/09/2011
SUNDARAM FINANCE LIMITED    INE660A07DV0   Zero Coupon Secured Non -
                                           Convertible Debenture. Letter of
                                           Allotment Series I-31 Date of
                                           Maturity: 15/09/2011
SUNDARAM FINANCE LIMITED    INE660A07DM9   Zero Coupon Secured Non -
                                           Convertible Debenture. Letter of
                                           Allotment Series I-18 Date of
                                           Maturity: 23/09/2011
SUNDARAM FINANCE LIMITED    INE660A07DO5   NSE MIBOR + 6% (Floor : 8.00% and
                                           Cap : 8.05%) (No Daily Compounding)
                                           Secured Redeemable Non Convertible
                                           Debentures. Letter of allotment.
                                           Series I-23. Date of Maturity:
SUNDARAM FINANCE LIMITED    INE660A07DD8   13.00% Secured Redeemable Non
                                           Convertible Debentures. Letter of
                                           allotment. Series H-31. Date of
                                           Maturity: 20/10/2011
SUNDARAM FINANCE LIMITED    INE660A07DW8   Zero Coupon Secured Non -
                                           Convertible Debenture. Letter of
                                           Allotment Series I-32 Date of
                                           Maturity: 28/10/2011
SUNDARAM FINANCE LIMITED    INE660A07DX6   7.75% Secured Non -Convertible
                                           Debenture. Letter of Allotment
                                           Series I-34 Date of Maturity:
                                           09/11/2011
SUNDARAM FINANCE LIMITED   INE660A07DZ1   7.55% Secured Non -Convertible
                                          Debenture. Letter of Allotment
                                          Series I-37 Date of Maturity:
                                          11/11/2011
SUNDARAM FINANCE LIMITED   INE660A07CV2   NSE MIBOR (Daily Compounding)
                                          +2.25% Secured Non Convertible
                                          Debenture Letter of Allotment Date
                                          of Maturity : 30/11/2011
SUNDARAM FINANCE LIMITED   INE660A07DI7   8.80% Secured Non -Convertible
                                          Debenture. Letter of Allotment
                                          Series I-13 Date of Maturity:
                                          23/12/2011
SUNDARAM FINANCE LIMITED   INE660A07FB7   Zero Coupon Secured Non-Convertible
                                          Debenture. Letter of Allotment Series
                                          - J 24. Date of Maturity 01/06/2012


SUNDARAM FINANCE LIMITED   INE660A07DU2   8.68% Secured Non -Convertible
                                          Debenture. Letter of Allotment
                                          Series I-28 Date of Maturity:
                                          23/04/2012
SUNDARAM FINANCE LIMITED   INE660A08661   9.60% Unsecured Redeemable Non
                                          Convertible Debentures. Letter of
                                          allotment. Series F-40. Date of
                                          Maturity: 23/05/2012
SUNDARAM FINANCE LIMITED   INE660A07EG9   7.60% Secured Non -Convertible
                                          Debenture. Letter of Allotment
                                          Series I-45 Date of Maturity:
                                          25/05/2012
SUNDARAM FINANCE LIMITED   INE660A07EH7   7.59% Secured Non -Convertible
                                          Debenture. Letter of Allotment
                                          Series I-46 Date of Maturity:
                                          25/05/2012
SUNDARAM FINANCE LIMITED   INE660A07DF3   8.75% Secured Redeemable Non
                                          Convertible Debentures. Letter of
                                          allotment. Series I-7. Date of
                                          Maturity: 01/06/2012
SUNDARAM FINANCE LIMITED   INE660A07FH4   10.62% Secured Non-Convertible
                                          Debenture. Letter of Allotment.
                                          Series- K 7.Date of Maturity
                                          04/06/2012
SUNDARAM FINANCE LIMITED   INE660A07FK8   10.62% Secured Non-Convertible
                                          Debenture. Letter of Allotment.
                                          Series- K 10. Date of Maturity
                                          16/06/2012
SUNDARAM FINANCE LIMITED   INE660A07DG1   9.00% Secured Redeemable Non
                                          Convertible Debentures. Letter of
                                          allotment. Series I-11. Date of
                                          Maturity: 22/06/2012
SUNDARAM FINANCE LIMITED   INE660A07EP0   Zero Coupon Secured Redeemable
                                          Non-Convertible Debenture.Letter of
                                          Allotment. Series - J-9. Date of
                                          Maturity 29/06/2012.
SUNDARAM FINANCE LIMITED   INE660A07EQ8   Zero Coupon Secured Redeemable
                                          Non-Convertible Debenture.Letter of
                                          Allotment. Series - J-10. Date of
                                          Maturity 02/07/2012.
SUNDARAM FINANCE LIMITED   INE660A07ES4   8.25% Secured Non-Convertible
                                          Debenture. Letter of Allotment .
                                          Series J- 12. Date of Maturity
                                          26/07/2012
SUNDARAM FINANCE LIMITED   INE660A07ET2   8.23% Secured Non-Convertible
                                          Debenture. Letter of Allotment .
                                          Series J- 13. Date of Maturity
                                          27/07/2012
SUNDARAM FINANCE LIMITED   INE660A07EU0   8.22% Secured Non-Convertible
                                          Debenture. Letter of Allotment .
                                          Series J- 14. Date of Maturity
                                          27/07/2012
SUNDARAM FINANCE LIMITED   INE660A07EX4   8.57% Secured Non-Convertible
                                          Debenture. Letter of Allotment.
                                          Series- J-17. Date of Maturity
                                          17/09/2012
SUNDARAM FINANCE LIMITED   INE660A07EF1   8.08% Secured Non -Convertible
                                          Debenture. Letter of Allotment
                                          Series I-42 Date of Maturity:
                                          09/11/2012
SUNDARAM FINANCE LIMITED   INE660A07DY4   Zero Coupon Secured Non -
                                          Convertible Debenture. Letter of
                                          Allotment Series I-38 Date of
                                          Maturity: 12/11/2012
SUNDARAM FINANCE LIMITED   INE660A07ED6   8.40% Secured Non -Convertible
                                          Debenture. Letter of Allotment
                                          Series I-40 Date of Maturity:
                                          13/11/2012
SUNDARAM FINANCE LIMITED   INE660A07EE4   8.40% Secured Non -Convertible
                                          Debenture. Letter of Allotment
                                          Series I-41 Date of Maturity:
                                          19/11/2012
SUNDARAM FINANCE LIMITED   INE660A07EL9   7.85% Secured Non -Convertible
                                          Debenture. Letter of Allotment
                                          Series J-4 Date of Maturity:
                                          25/03/2013
SUNDARAM FINANCE LIMITED   INE660A07EI5   Zero Coupon Secured Non -
                                          Convertible Debenture. Letter of
                                          Allotment Series J-1 Date of
                                          Maturity: 26/04/2013
SUNDARAM FINANCE LIMITED   INE660A07EJ3   Zero Coupon Secured Non -
                                          Convertible Debenture. Letter of
                                          Allotment Series J-2 Date of
                                          Maturity: 30/04/2013
SUNDARAM FINANCE LIMITED   INE660A07EK1   8.00% Secured Non -Convertible
                                          Debenture. Letter of Allotment
                                          Series J-3 Date of Maturity:
                                          03/05/2013
SUNDARAM FINANCE LIMITED   INE660A07EM7   Zero Coupon Secured Non -
                                          Convertible Debenture. Letter of
                                          Allotment Series J-6 Date of
                                          Maturity: 14/05/2013
SUNDARAM FINANCE LIMITED   INE660A08893   10.20% Unsecured Redeemable Non
                                          Convertible Debentures. Letter of
                                          allotment. Series G-54. Date of
                                          Maturity: 29/05/2013
SUNDARAM FINANCE LIMITED   INE660A07FE1   10.48% Secured Non-Convertible
                                          Debenture. Letter of Allotment.
                                          Series- K 2.Date of Maturity
                                          03/06/2013
SUNDARAM FINANCE LIMITED   INE660A07FI2   10.54% Secured Non-Convertible
                                          Debenture. Letter of Allotment.
                                          Series- K 12.Date of Maturity
                                          06/06/2013
SUNDARAM FINANCE LIMITED   INE660A07FL6   10.35% Secured Non-Convertible
                                          Debenture.Letter of Allotment. Series-
                                          K 13. Date of Maturity 20/06/2013


SUNDARAM FINANCE LIMITED   INE660A07FM4   10.30% Secured Non-Convertible
                                          Debenture.Letter of Allotment. Series-
                                          K 14. Date of Maturity 20/06/2013


SUNDARAM FINANCE LIMITED   INE660A07FP7   10.17% Secured Non-Convertible
                                          Debenture.Letter of Allotment. Series-
                                          K 21. Date of Maturity 11/07/2013


SUNDARAM FINANCE LIMITED   INE660A07CZ3   10.85% Secured Redeemable Non
                                          Convertible Debentures. Letter of
                                          allotment. Series H-14. Date of
                                          Maturity: 15/07/2013
SUNDARAM FINANCE LIMITED   INE660A07ER6   8.45% Secured Non-Convertible
                                          Debenture. Letter of Allotment Series
                                          J-11. Date of Maturity 26/07/2013


SUNDARAM FINANCE LIMITED   INE660A07EW6   8.90% Secured Non-Convertible
                                          Debenture. Letter of Allotment.
                                          Series- J-16. Date of Maturity
                                          13/09/2013
SUNDARAM FINANCE LIMITED   INE660A07DC0   11.75% Secured Redeemable Non
                                          Convertible Debentures. Letter of
                                          allotment. Series H-30. Date of
                                          Maturity: 27/09/2013
SUNDARAM FINANCE LIMITED   INE660A07FF8   10.60% Secured Non-Convertible
                                          Debenture. Letter of Allotment.
                                          Series- K 3.Date of Maturity
                                          03/06/2014
SUNDARAM FINANCE LIMITED   INE660A07FG6   10.70% Secured Non-Convertible
                                          Debenture. Letter of Allotment.
                                          Series- K 6.Date of Maturity
                                          06/06/2014
SUNDARAM FINANCE LIMITED   INE660A07FJ0   10.70% Secured Non-Convertible
                                          Debenture. Letter of Allotment.
                                          Series- K 11.Date of Maturity
                                          06/06/2014
SUNDARAM FINANCE LIMITED   INE660A07FN2   10.40% Secured Non-Convertible
                                          Debenture.Letter of Allotment. Series-
                                          K 15. Date of Maturity 20/06/2014


SUNDARAM FINANCE LIMITED   INE660A07FO0   10.29% Secured Non-Convertible
                                          Debenture.Letter of Allotment. Series-
                                          K 20. Date of Maturity 08/07/2014
SUNDARAM FINANCE LIMITED         INE660A07FD3   9.30% Secured Non-Convertible
                                                Debenture. Letter of Allotment.
                                                Series - J 21. Date of Maturity
                                                04/12/2015
SUNDARAM FINANCE LIMITED         INE660A07EY2   9.30% Secured Non-Convertible
                                                Debenture. Letter of Allotment.
                                                Series- J-18. Date of Maturity
                                                12/11/2015
SUNDARAM FINANCE LIMITED         INE660A08BE8   10% Unsecured Non -Convertible
                                                Debenture. Letter of Allotment
                                                Series I-43 Date of Maturity:
                                                04/01/2017
SUNDARAM FINANCE LIMITED         INE660A08BG3   9.85% Unsecured Non -Convertible
                                                Debenture. Letter of Allotment
                                                Series J-5 Date of Maturity:
                                                07/05/2020
SUNDARAM FINANCE LIMITED         INE660A08BH1   9.93% Unsecured Non -Convertible
                                                Debenture. Letter of Allotment
                                                Series J-22 Date of Maturity:
                                                22/12/2020
SUNDARAM FINANCE LIMITED         INE660A08BJ7   9.93% Unsecured Non-Convertible
                                                Debenture.Series- K-1. Date of
                                                Maturity 07/04/2021


SUNDARAM FINANCE LIMITED         INE660A07EV8   8.22% Secured Non-Convertible
                                                Debenture. Letter of Allotment.
                                                Series- J-15. Date of Maturity
                                                06/08/2012
SUNDARAM FINANCE LIMITED         INE660A07EZ9   9.30% Secured Non-Convertible
                                                Debenture. Letter of Allotment.
                                                Series- J 19. Date of Maturity
                                                19/11/2013
SUNDARAM FINANCE LIMITED         INE660A08BF5   10% Unsecured Non -Convertible
                                                Debenture. Letter of Allotment
                                                Series I-44 Date of Maturity:
                                                20/01/2017
SUNDARAM FINANCE LIMITED         INE660A07FC5   9.10% Secured Non-Convertible
                                                Debenture. Letter of Allotment.
                                                Series - J 23. Date of Maturity
                                                21/05/2012
SUNDARAM FINANCE LIMITED         INE660A07FA9   9.15% Secured Non-Convertible
                                                Debenture. Letter of Allotment.
                                                Series- J 20. Date of Maturity
                                                23/11/2012
SUNDARAM FINANCE LIMITED         INE660A07EO3   8.10% Secured Non-Convertible
                                                Debenture. Letter of Allotment.
                                                Series J-8. Date of Maturity
                                                25/06/2013
SUNDARAM FINANCE LIMITED         INE660A07EN5   Zero Coupon Secured Redeemable
                                                Non-Convertible Debenture.Letter of
                                                Allotment. Series - J-7. Date of
                                                Maturity 30/05/2013.
SUPER SYNCOTEX (INDIA) LIMITED   INE542D07014   13% Secured Redeemable Non
                                                convertible debentures. Final Date of
                                                Redemption 01.07.2012
SUPREME REALTY PRIVATE LIMITED   INE623J08017   10.00% Unsecured Optionally Fully
                                                Convertible Debenture Letter of
                                                Allotment.Date of Maturity :
                                                27/03/2018
SWIL LIMITED                     INE666A07017   12.50%(yield) Secured Optionally Fully
                                                Convertible Debentures. Date of
                                                redemption: 01/04/2018


SWIL LIMITED                     INE666A07025   12.50%(yield) Secured Optionally Fully
                                                Convertible Debentures. Date of
                                                Final redemption: 01/04/2018


SYNDICATE BANK                   INE667A09052   6.00% Unsecured Redeemable Non-
                                                Convertible Subordinated Bonds in the
                                                form of Promissory Notes( Tier
                                                II).Series-V. Letter Of Allotment.
SYNDICATE BANK                   INE667A09060   6.90% Unsecured Redeemable Non-
                                                Convertible Subordinated Bonds in the
                                                form of Promissory Notes( Tier
                                                II).Series-VI.
SYNDICATE BANK                   INE667A09078   7.50% Unsecured Non Convertible
                                                Redeemable Subordinated Bonds In
                                                the form of Promisory Note(Tier-II,
                                                Series-VII). Date of Maturity:
                                                20.12.2014
SYNDICATE BANK                   INE667A09094   7.60% Unsecured Non Convertible
                                                Redeemable Subordinated Bond in
                                                nature of Promissory notes. Date of
                                                Maturity: 15.04.2015
SYNDICATE BANK                   INE667A09086   7.40 % Unsecured Non convertible
                                                Redeemable Subordinated Bonds in
                                                the form of Promissory note. Tier II.
                                                Series VIII. Date of Maturity:
                                                20.04.2015
SYNDICATE BANK                   INE667A09136   8.60% Unsecured Redeemable Non
                                                Convertible Subordinated Lower Tier-
                                                II - Series - X Bond in nature of
                                                Promissory notes. Letter of
                                                Allotment.Date of Maturity:
SYNDICATE BANK                   INE667A09151   8.49% Unsecured Redeemable Non
                                                Convertible Subordinated Lower Tier-
                                                II - Series - XI Bond in nature of
                                                Promissory notes. Date of Maturity:
                                                15/06/2019
SYNDICATE BANK                   INE667A09102   9.35 % Unsecured Non Convertible
                                                Redeemable Subordinated Bond in
                                                nature of Promissory notes. Date of
                                                Maturity: 27/07/2021
SYNDICATE BANK                   INE667A09110   9.30% Unsecured Redeemable Non
                                                Convertible Upper Tier-II - Series - II
                                                Bond in nature of Promissory notes.
                                                Date of Maturity: 28/02/2022
SYNDICATE BANK                   INE667A09144   9.40% Unsecured Non Convertible
                                                Subordinated perpetual Bond (Series
                                                II) in nature of Promissory
                                                notes.Letter of allotment.
SYNDICATE BANK                   INE667A09128   9.90 % Unsecured Non Convertible
                                                Subordinated perpetual Bond (Series
                                                1) in nature of Promissory notes.
SYNDICATE BANK                    INE667A09169   Reset rate Unsecured Non Convertible
                                                 Subordinated Tier I perpetual Bond
                                                 (Series III) in nature of Promissory
                                                 notes.
TALWALKARS BETTER VALUE FITNESS   INE502K07013   11.50% Secured Non-Convertible
LTD                                              Debenture. Letter of Allotment. Date
                                                 of Maturity 21/01/2017


TALWANDI SABO POWER LIMITED       INE694L07024   Reset Rate Secured Non-Convertible
                                                 Debenture. Letter of Allotment.
                                                 Series- II. Date of Maturity
                                                 13/01/2024
TALWANDI SABO POWER LTD           INE694L07016   Reset Rate Secured Non-Convertible
                                                 Debenture. Letter of Allotment. Date
                                                 of Maturity 09/12/2023


TAMIL NADU NEWSPRINT AND PAPERS INE107A07020     8.75% Secured Non Convertible
LIMITED                                          Debentures Series -II .Date of
                                                 Maturity: 19/01/2015


TAMIL NADU NEWSPRINT AND PAPERS INE107A07012     11% Secured Non Convertible
LIMITED                                          Debentures Letter of Allotment Series
                                                 -I .Date of Maturity: 30/06/2015


TAMILNADU ELECTRICITY BOARD       INE084G09131   8.00% Unsecured T.N.E.B. Power
                                                 Bonds (Guaranteed by Govt. of Tamil
                                                 Nadu) Series 5/2003 -2004 in the
                                                 form of Promissory Notes. Date of
                                                 Final Redemption : 15/09/2011
TAMILNADU ELECTRICITY BOARD       INE084G09156   8.45 % Unsecured Non Convertible
                                                 Bonds in form of promissory notes.
                                                 Series - I/2007 (Tranche - I) Letter of
                                                 Allotment.Final Date of Redemption :
                                                 01/02/2015
TAMILNADU ELECTRICITY BOARD       INE084G09172   8.45% Unsecured Non Convertible
                                                 Bonds in form of promissory notes.
                                                 Series -1/2007 (Tranche - II) Letter of
                                                 Allotment. Final Date of Redemption :
                                                 01/04/2015
TAMILNADU ELECTRICITY BOARD       INE084G09180   11.00% Unsecured Non Convertible
                                                 Bonds in form of promissory notes.
                                                 Series -1/2008-09 .Letter of
                                                 Allotment. Final Date of Redemption :
                                                 03/11/2015.
TAMILNADU ELECTRICITY BOARD       INE084G09198   9.85% Unsecured Non Convertible
                                                 Bonds in form of promissory notes.
                                                 Series -2/2008-09 .Letter of
                                                 Allotment. Final Date of Redemption :
                                                 26/12/2015.
TAMILNADU ELECTRICITY BOARD       INE084G09164   8.75 % Unsecured Non Convertible
                                                 Bonds in form of promissory notes.
                                                 Series -2/2007-08 Letter of
                                                 Allotment. Date of Maturity :
                                                 01/03/2018
TAMILNADU ELECTRICITY BOARD       INE084G09206   8.81% Unsecured Non Convertible
                                                 Bonds in form of promissory notes.
                                                 Series -3/2008-09 .Letter of
                                                 Allotment. Final Date of Redemption :
                                                 04/05/2019.
TAMILNADU ELECTRICITY BOARD       INE084G09214   8.70% Unsecured Non Convertible
                                                 Bonds in form of promissory notes.
                                                 Series -1/2009-10 .Letter of
                                                 Allotment. Final Date of Redemption :
                                                 30/06/2019.
TAMILNADU ELECTRICITY BOARD       INE084G09222   8.40% Unsecured Non Convertible
                                                 Bonds in form of promissory notes.
                                                 Series -2/2009-10 .Letter of
                                                 Allotment. Final Date of Redemption :
                                                 06/01/2020.
TAMILNADU ELECTRICITY BOARD       INE084G09248   8.64% Unsecured Non Convertible
                                                 Bonds in form of promissory notes.
                                                 Series -4/2009-10 .Letter of
                                                 Allotment. Final Date of Redemption :
                                                 29/03/2020.
TAMILNADU ELECTRICITY BOARD       INE084G09230   8.32% Unsecured Non Convertible
                                                 Bonds in form of promissory notes.
                                                 Series -3/2009-10 .Letter of
                                                 Allotment. Final Date of Redemption :
                                                 19/02/2020.
TAMILNADU GENERATION AND         INE340M09010    8.65% Unsecured Non Convertible
DISTRIBUTION CORPORATION LIMITED                 Taxable Bonds series-1/2010-11
                                                 Letter of Allotment Date of Maturity -
                                                 07/02/2021
TAMILNADU GENERATION AND         INE340M09028    9.70% Unsecured Non Convertible
DISTRIBUTION CORPORATION LIMITED                 Taxable Bonds series-1/2010-11
                                                 Letter of Allotment Date of Maturity -
                                                 07/07/2021
TAMILNADU INDUSTRIAL              INE085F08074   12.00% Unsecured Non Convertible
DEVELOPMENT CORPORATION LTD.                     bonds in the form of Debentures.
                                                 Date of Maturity: 10.12.2011


TAMILNADU INDUSTRIAL INVESTMENT   INE638F09128   11.50% Unsecured Non-Convertible
CORPORATION LTD.                                 TIIC SLR Bonds-2011 in the form of
                                                 Promisory Notes.Date of
                                                 Maturity:10/09/2011
TAMILNADU INDUSTRIAL INVESTMENT   INE638F09136   12.00% Unsecured Non-Convertible
CORPORATION LTD.                                 TIIC SLR Bonds-2012 in the form of
                                                 Promisory Notes.Date of
                                                 Maturity:13/01/2012
TAMILNADU INDUSTRIAL INVESTMENT   INE638F09144   12.00% Unsecured Non-Convertible
CORPORATION LTD.                                 TIIC SLR Bonds-2012 in the form of
                                                 Promisory Notes.Date of
                                                 Maturity:14/02/2012
TAMILNADU INDUSTRIAL INVESTMENT   INE638F09300   8.30% Unsecured Non-Convertible TIIC
CORPORATION LTD.                                 SLR Bonds-2012 in the form of
                                                 Promisory Notes.Date of
                                                 Maturity:20/02/2012
TAMILNADU INDUSTRIAL INVESTMENT   INE638F09359   7.92% Unsecured Non-Convertible SLR
CORPORATION LTD.                                 Bonds in the form of Promisory
                                                 Notes.Date of Final Redemption
                                                 24/07/2012. Letter of Allotment
TAMILNADU INDUSTRIAL INVESTMENT   INE638F09367   6.75% Unsecured Non-Convertible TIIC
CORPORATION LTD.                                 SLR Bonds-2013 in the form of
                                                 Promisory Notes. Letter of Allotment.


TAMILNADU ROAD DEVELOPMENT        INE908F07020   15.00% Secured Subordinated Non
COMPANY LIMITED                                  Convertible interest bearing
                                                 debentures.


TAMILNADU ROAD DEVELOPMENT        INE908F07038   15.50% Secured Non Convertible
COMPANY LIMITED                                  Debentures. Date of Final
                                                 Redemption: 13/11/2014
TAPI IRRIGATION DEVELOPMENT     INE689F08024   12.25% Secured Redeemable Non-
CORPORATION                                    Convertible Bonds. Series-V. Date of
                                               Maturity: 15/10/2011. Letter of
                                               Allotment.
TAPI IRRIGATION DEVELOPMENT     INE689F07083   11.25% Secured Redeemable Non-
CORPORATION                                    Convertible Bonds. Series-VI Option-B.
                                               Letter of Allotment.


TAPI IRRIGATION DEVELOPMENT     INE689F08032   12.50% Secured Redeemable Non-
CORPORATION                                    Convertible Bonds. Series-V. Date of
                                               Maturity: 15/10/2013. Letter of
                                               Allotment.
TAPI IRRIGATION DEVELOPMENT     INE689F07091   11.50% Secured Redeemable Non-
CORPORATION                                    Convertible Bonds. Series-VI Option-
                                               C. Letter of Allotment.


TAPI IRRIGATION DEVELOPMENT     INE689F07067   13.50% Secured Redeemable Non-
CORPORATION                                    Convertible Bonds. Series-IV. Date of
                                               Maturity: 15/09/2015


TATA AUTOCOMP SYSTEMS LIMITED   INE928F07010   12.00% Secured Redeemable Non
                                               Convertible Debenture. Date of
                                               Maturity : 26/02/2016


TATA AUTOCOMP SYSTEMS LIMITED   INE928F08026   10.15% Unsecured Redeemable Non
                                               Convertible Bonds in the nature of
                                               Debenture. Date of Maturity :
                                               20/05/2020
TATA BLUESCOPE STEEL LIMITED    INE516L07011   10.25% p.a. (Effective rate) Secured
                                               Redeemable Non Convertible Non
                                               Cumulative Taxable Debentures.
                                               Series 1 . Letter of Allotment.Date of
                                               Maturity: 27/09/2015.
TATA BLUESCOPE STEEL LIMITED    INE516L07029   10.75% p.a. (Effective rate) Secured
                                               Redeemable Non Convertible Non
                                               Cumulative Taxable Debentures.
                                               Series 2 . Letter of Allotment.Date of
                                               Maturity: 27/09/2019.
TATA CAPITAL LIMITED            INE976I07245   8.00% Secured Non Convertible
                                               Debenture. Date of Maturity
                                               :20/07/2011.


TATA CAPITAL LIMITED            INE976I07260   8.00% Secured Non Convertible
                                               Debenture. Date of Maturity
                                               :27/07/2011.


TATA CAPITAL LIMITED            INE976I07484   7.28% Secured Non Convertible
                                               Debenture. Series: TCL NCD 'AF' FY
                                               2009-10. Date of Maturity :
                                               28/07/2011
TATA CAPITAL LIMITED            INE976I07294   8.20% Secured Non Convertible
                                               Debenture. Date of Maturity
                                               :29/08/2011.


TATA CAPITAL LIMITED            INE976I07302   8.35% Secured Non Convertible
                                               Debenture. Date of Maturity
                                               :02/09/2011.
TATA CAPITAL LIMITED   INE976I07542   7.75% Secured Non Convertible
                                      Debenture. Series: TCL NCD 'AL' FY
                                      2009-10. Date of Maturity :
                                      05/09/2011.
TATA CAPITAL LIMITED   INE976I07575   7.15% Secured Non Convertible
                                      Debenture. Letter of
                                      Allotment.Series: TCL NCD 'C' FY 2010-
                                      11. Date of Maturity : 09/09/2011.
TATA CAPITAL LIMITED   INE976I07559   7.00% Secured Non Convertible
                                      Debenture. Letter of
                                      Allotment.Series: TCL NCD 'A' FY 2010-
                                      11. Date of Maturity : 20/09/2011.
TATA CAPITAL LIMITED   INE976I07609   7.00% Secured Non Convertible
                                      Debenture. Letter of
                                      Allotment.Series: TCL NCD 'F' FY 2010-
                                      11. Date of Maturity : 17/11/2011.
TATA CAPITAL LIMITED   INE976I07377   7.55% Secured Non Convertible
                                      Debenture. Series: TCL NCD 'U' FY
                                      2009-10. Date of Maturity
                                      :22/11/2011
TATA CAPITAL LIMITED   INE976I07393   7.35% Secured Non Convertible
                                      Debenture. Series: TCL NCD 'W' FY
                                      2009-10. Date of Maturity :
                                      30/11/2011
TATA CAPITAL LIMITED   INE976I07419   7.35% Secured Non Convertible
                                      Debenture. Series: TCL NCD 'Y' FY
                                      2009-10. Date of Maturity :
                                      05/12/2011
TATA CAPITAL LIMITED   INE976I07427   7.40% Secured Non Convertible
                                      Debenture. Series: TCL NCD 'Z' FY
                                      2009-10. Date of Maturity :
                                      07/12/2011
TATA CAPITAL LIMITED   INE976I07443   7.50% Secured Non Convertible
                                      Debenture. Series: TCL NCD 'AB' FY
                                      2009-10. Date of Maturity :
                                      14/12/2011
TATA CAPITAL LIMITED   INE976I07195   8.95% Secured Non Convertible
                                      Debenture. Date of Maturity
                                      :17/12/2011.


TATA CAPITAL LIMITED   INE976I07765   Zero Coupon Secured Non-Convertible
                                      Debenture. Series- TCL NCD 'V' FY-
                                      2010-11. Date of Maturity
                                      01/06/2012
TATA CAPITAL LIMITED   INE976I07468   7.65% Secured Non Convertible
                                      Debenture. Series: TCL NCD 'AD' FY
                                      2009-10. Date of Maturity :
                                      23/01/2012
TATA CAPITAL LIMITED   INE976I07658   7.95% Secured Non-Convertible
                                      Debenture. Series- TCL NCD 'K' FY
                                      2010-11. Date of Maturity 02/02/2012


TATA CAPITAL LIMITED   INE976I07583   7.42% Secured Non Convertible
                                      Debenture. Letter of
                                      Allotment.Series: TCL NCD 'D' FY 2010-
                                      11. Date of Maturity : 28/03/2012.
TATA CAPITAL LIMITED   INE976I07336   8.60% Secured Non Convertible
                                      Debenture. Date of Maturity
                                      :23/04/2012.


TATA CAPITAL LIMITED   INE976I07567   7.57% Secured Non Convertible
                                      Debenture. Letter of
                                      Allotment.Series: TCL NCD 'B' FY 2010-
                                      11. Date of Maturity : 19/07/2012.
TATA CAPITAL LIMITED   INE976I07310   8.50% Secured Non Convertible
                                      Debenture. Series Name - TCL NCD 'N'
                                      FY 2009-10.Date of Maturity
                                      :03/09/2012.
TATA CAPITAL LIMITED   INE976I07682   8.50% Secured Non-Convertible
                                      Debenture. Series - TCL NCD 'N'
                                      FY2010-11. Date of Maturity :
                                      07/09/2012
TATA CAPITAL LIMITED   INE976I07690   8.50% Secured Non-Convertible
                                      Debenture. Series - TCL NCD 'O'
                                      FY2010-11. Date of Maturity :
                                      20/09/2012
TATA CAPITAL LIMITED   INE976I07369   Reset rate Secured Non Convertible
                                      Debenture. Series: TCL NCD 'T' FY
                                      2009-10. Date of Maturity
                                      :20/11/2012
TATA CAPITAL LIMITED   INE976I07385   8.40% Secured Non Convertible
                                      Debenture. Series: TCL NCD 'V' FY
                                      2009-10. Date of Maturity :
                                      26/11/2012
TATA CAPITAL LIMITED   INE976I07401   8.25% Secured Non Convertible
                                      Debenture. Series: TCL NCD 'X' FY
                                      2009-10. Date of Maturity :
                                      30/11/2012
TATA CAPITAL LIMITED   INE976I07435   8.30% Secured Non Convertible
                                      Debenture. Series: TCL NCD 'AA' FY
                                      2009-10. Date of Maturity :
                                      07/12/2012
TATA CAPITAL LIMITED   INE976I07450   8.42% Secured Non Convertible
                                      Debenture. Series: TCL NCD 'AC' FY
                                      2009-10. Date of Maturity :
                                      15/01/2013
TATA CAPITAL LIMITED   INE976I07476   8.40% Secured Non Convertible
                                      Debenture. Series: TCL NCD 'AE' FY
                                      2009-10. Date of Maturity :
                                      28/01/2013
TATA CAPITAL LIMITED   INE976I07492   8.40% Secured Non Convertible
                                      Debenture. Series: TCL NCD 'AG' FY
                                      2009-10. Date of Maturity :
                                      28/01/2013
TATA CAPITAL LIMITED   INE976I07500   8.625% Secured Non Convertible
                                      Debenture. Series: TCL NCD 'AH' FY
                                      2009-10. Date of Maturity :
                                      22/02/2013.
TATA CAPITAL LIMITED   INE976I07518   8.62% Secured Non Convertible
                                      Debenture. Series: TCL NCD 'AI' FY
                                      2009-10. Date of Maturity :
                                      22/02/2013.
TATA CAPITAL LIMITED   INE976I07526   8.60% Secured Non Convertible
                                      Debenture. Series: TCL NCD 'AJ' FY
                                      2009-10. Date of Maturity :
                                      22/02/2013.
TATA CAPITAL LIMITED   INE976I07591   8.00% Secured Non Convertible
                                      Debenture. Letter of
                                      Allotment.Series: TCL NCD 'E' FY 2010-
                                      11. Date of Maturity : 01/04/2013.
TATA CAPITAL LIMITED   INE976I07799   10.25% Secured Non-Convertible
                                      Debenture. Series- B FY2011-12. Date
                                      of Maturity 17/06/2013


TATA CAPITAL LIMITED   INE976I07807   10.25% Secured Non-Convertible
                                      Debenture. Series- C FY2011-12. Date
                                      of Maturity 30/06/2013


TATA CAPITAL LIMITED   INE976I07815   10.19% Secured Non-Convertible
                                      Debenture. Series- D FY2011-12. Date
                                      of Maturity 15/07/2013


TATA CAPITAL LIMITED   INE976I07724   8.90% Secured Non-Convertible
                                      Debenture. Series- TCL NCD 'R' FY-
                                      2010-11. Date of Maturity 16/07/2013


TATA CAPITAL LIMITED   INE976I07633   8.30% Secured Non-Convertible
                                      Debenture. Series- TCL NCD ' I ' FY
                                      2010-11 Date of Maturity 26/07/2013


TATA CAPITAL LIMITED   INE976I07641   Reset Rate Secured Non-Convertible
                                      Debenture. Series- TCL NCD 'J'
                                      FY2010-11. Date of Maturity
                                      29/07/2013
TATA CAPITAL LIMITED   INE976I07674   8.60% Secured Non-Convertible
                                      Debenture. Series - TCL NCD 'M' FY-
                                      2010-11. Date of Maturtiy 23/08/2013


TATA CAPITAL LIMITED   INE976I07708   8.70% Secured Non-Convertible
                                      Debenture. Series - TCL NCD 'P'
                                      FY2010-11. Date of Maturity :
                                      26/09/2013
TATA CAPITAL LIMITED   INE976I07138   11.00% Secured Non Convertible
                                      Debenture.Letter of allotment.Date
                                      of Maturity : 05/03/2014.


TATA CAPITAL LIMITED   INE976I07146   11.25% Secured Non Convertible
                                      Debenture.Letter of allotment.Date
                                      of Maturity : 05/03/2014.


TATA CAPITAL LIMITED   INE976I07153   12.00% Secured Non Convertible
                                      Debenture.Letter of allotment.Date
                                      of Maturity : 05/03/2014.( frequency
                                      of int pay - annual)
TATA CAPITAL LIMITED   INE976I07161   12.00% Secured Non Convertible
                                      Debenture.Letter of allotment.Date
                                      of Maturity : 05/03/2014. (frequency
                                      of int pay - on maturity)
TATA CAPITAL LIMITED   INE976I07286   9.20% Secured Non Convertible
                                      Debenture. Date of Maturity
                                      :18/08/2014.


TATA CAPITAL LIMITED   INE976I07740   9.05% Secured Non-Convertible
                                      Debenture. series- TCL NCD 'T' FY-
                                      2010-11. Date of Maturity 02/12/2015


TATA CAPITAL LIMITED   INE976I07617   8.35% Secured Non Convertible
                                      Debenture. Letter of
                                      Allotment.Series: TCL NCD 'G' FY 2010-
                                      11. Date of Maturity : 12/05/2015.
TATA CAPITAL LIMITED   INE976I07781   9.60% Secured Non-Convertible
                                      Debenture. Series- NCD'A' FY 2011-12.
                                      Date of Maturity 27/04/2016


TATA CAPITAL LIMITED   INE976I08029   10.50% Unsecured Non Convertible
                                      Subordinated Debenture as Tier II
                                      Capital . Date of Maturity
                                      :04/08/2019.
TATA CAPITAL LIMITED   INE976I08037   10.25% Unsecured Non Convertible
                                      Subordinated Debenture as Tier II
                                      Capital . Date of Maturity
                                      :09/09/2019.
TATA CAPITAL LIMITED   INE976I08052   10.25% Unsecured Non Convertible
                                      Subordinated Debenture as Tier II
                                      Capital . Series Name : TCL Tier II
                                      bonds ' C ' FY 2009-10.Date of
                                      Maturity :28/10/2019.
TATA CAPITAL LIMITED   INE976I08060   9.80% Unsecured Non Convertible
                                      Subordinated Debenture as Tier II
                                      Capital . Series Name : TCL Tier II
                                      bonds ' D ' FY 2009-10.Date of
                                      Maturity :28/10/2019.
TATA CAPITAL LIMITED   INE976I08078   Zero Coupon Unsecured Non
                                      Convertible Subordinated Debenture
                                      as Tier II Capital . Series Name : TCL
                                      Tier II bonds ' F ' FY 2009-10.Date of
                                      Maturity : 30/11/2019
TATA CAPITAL LIMITED   INE976I08094   10.25% Unsecured Non Convertible
                                      Subordinated Debenture as Tier II
                                      Capital . Series Name : TCL Tier II
                                      bonds ' E ' FY 2009-10.Date of Maturity
                                      :15/12/2019.
TATA CAPITAL LIMITED   INE976I08102   9.80% Unsecured Non Convertible
                                      Subordinated Debenture as Tier II
                                      Capital . Series Name : TCL Tier II
                                      bonds ' G ' FY 2009-10.Date of
                                      Maturity :18/12/2019
TATA CAPITAL LIMITED   INE976I08110   9.95% Unsecured Non Convertible
                                      Subordinated Debenture as Tier II
                                      Capital . Series Name : TCL Tier II
                                      bonds ' H ' FY 2009-10.Date of
                                      Maturity :24/12/2019
TATA CAPITAL LIMITED   INE976I08144   10.00% Unsecured Non-Convertible
                                      Perpetual Debenture. Letter of
                                      Allotment.Series- TCL Perpetual 'A'
                                      FY2011-12.
TATA CAPITAL LIMITED   INE976I07666   8.18% Secured Non-Convertible
                                      Debenture. Series- TCL NCD ' L ' FY
                                      2010-11 . Date of Maturity
                                      16/02/2012
TATA CAPITAL LIMITED          INE976I07716   8.80% Secured Non-Convertible
                                             Debenture. Series- TCL NCD 'Q'
                                             FY2010-11. Date of Maturity
                                             18/04/2013
TATA CAPITAL LIMITED          INE976I07773   9.50% Secured Non-Convertible
                                             Debenture. Series- TCL NCD 'W' FY-
                                             2010-11. Date of Maturity
                                             19/01/2016
TATA CAPITAL LIMITED          INE976I07732   9.05% Secured Non-Convertible
                                             Debenture. series- TCL NCD 'S' FY-
                                             2010-11. Date of Maturity 19/11/2015


TATA CAPITAL LIMITED          INE976I07757   9.10% Secured Non-Convertible
                                             Debenture, Series- TCL NCD 'U' FY-
                                             2010-11. Date of Maturity
                                             21/05/2012
TATA CAPITAL LIMITED          INE976I07625   8.00% Secured Non Convertible
                                             Debenture. Letter of
                                             Allotment.Series: TCL NCD 'H' FY 2010-
                                             11. Date of Maturity : 30/05/2013.
TATA CAPITAL LIMITED          INE976I08128   Reset rate Unsecured Non-Convertible
                                             Perpetual Debenture. Series Name:
                                             TCL Perpetual 'A' FY 2010-11.Letter of
                                             Allotment.
TATA CAPITAL LIMITED          INE976I08136   10.00% Unsecured Non-Convertible
                                             Perpetual Debenture. Letter of
                                             Allotment. Series- TCL PERPETUAL'B'
                                             FY- 2010-11.
TATA CHEMICALS LIMITED        INE092A08063   7.40% Unsecured Redeemable Non-
                                             Convertible Debentures. Date of
                                             Maturity : 23/11/2011


TATA CHEMICALS LIMITED        INE092A08055   10.00 % Unsecured Redeemable Non-
                                             Convertible Debentures. Date of
                                             Maturity : 02/07/2019.


TATA CHEMICALS LIMITED        INE092A07073   11.80% Secured Redeemable Non-
                                             Convertible Debentures. Date of
                                             Maturity : 18/12/2013


TATA COFFEE LIMITED           INE493A07040   7.00% Secured Non Convertible
                                             Debentures.Final Date of Redemption
                                             : 29.12.2012


TATA COMMUNICATIONS LIMITED   INE151A08307   7.74% Unsecured Redeemable Non
 (VSNL)                                      Convertible Debentures. Letter of
                                             Allotment. Date of Maturity :
                                             25/03/2012
TATA COMMUNICATIONS LIMITED   INE151A07010   11.70% Secured Redeemable Non
 (VSNL)                                      Convertible Debentures.Letter of
                                             Allotment. Final Date of Redemption :
                                             25/11/2013.
TATA COMMUNICATIONS LIMITED   INE151A08018   9.50% Unsecured Redeemable Non
 (VSNL)                                      Convertible Debentures. Letter of
                                             Allotment. Date of Maturity :
                                             08/06/2014
TATA COMMUNICATIONS LIMITED        INE151A07028   11.00% Secured Redeemable Non
 (VSNL)                                           Convertible Debentures.Letter of
                                                  Allotment. Date of Maturity :
                                                  23/07/2014
TATA COMMUNICATIONS LIMITED        INE151A07036   11.20% Secured Redeemable Non
 (VSNL)                                           Convertible Debentures.Letter of
                                                  Allotment. Date of Maturity :
                                                  23/01/2016
TATA COMMUNICATIONS LIMITED        INE151A07044   11.25% Secured Redeemable Non
 (VSNL)                                           Convertible Debentures.Letter of
                                                  Allotment. Date of Maturity :
                                                  23/01/2019
TATA COMMUNICATIONS LIMITED        INE151A08059   9.85% Unsecured Redeemable Non
 (VSNL)                                           Convertible Debentures. Letter of
                                                  Allotment. Date of Maturity :
                                                  02/07/2019
TATA GLOBAL BEVERAGES LIMITED      INE192A07063   3.00% Secured Redeemable Non-
(FORMERLY TATA TEA LIMITED)                       Convertible Debenture. Date of
                                                  maturity : 04/11/2013


TATA HOUSING DEVELOPMENT           INE582L07013   Zero coupon Secured Non-convertible
COMPANY LIMITED                                   Debenture. Letter of Allotment. Date
                                                  of Maturity 15/10/2013


TATA HOUSING DEVELOPMENT           INE582L07021   5.00% Secured Non-convertible
COMPANY LIMITED                                   Debenture. Date of Maturity
                                                  30/11/2013


TATA INTERNATIONAL LIMITED         INE751F08022   Zero Coupon Unsecured Non-
                                                  Convertible Debenture, Letter of
                                                  Allotment. Date of Maturity
                                                  20/12/2015
TATA INTERNATIONAL LIMITED         INE751F08014   Zero Coupon Unsecured Non-
                                                  Convertible Debenture. Letter of
                                                  Allotment. Date of Maturity
                                                  15/12/2015
TATA METALIKS LIMITED              INE056C07017   12.75% Secured Redeemable Non
                                                  Convertible Debenture. Date of
                                                  Maturity : 07/01/2014


TATA MOTORS FINANCE LIMITED        INE909H07123   8.60% Secured Redeemable Non
(FORMERLY TML FINANCIAL SERVICES                  Convertible Debentures.Letter of
LTD.)                                             Allotment. Series Name - TMFL NCD
                                                  'D' FY 09-10. Date of Maturity:
                                                  16/08/2011
TATA MOTORS FINANCE LIMITED        INE909H07099   9.35% Secured Redeemable Non
(FORMERLY TML FINANCIAL SERVICES                  Convertible Debentures.Letter of
LTD.)                                             Allotment. Series Name - TMFL NCD
                                                  'A' FY 09-10.Date of Maturity:
                                                  25/11/2011
TATA MOTORS FINANCE LIMITED        INE909H07131   8.90% Secured Redeemable Non
(FORMERLY TML FINANCIAL SERVICES                  Convertible Debentures.Letter of
LTD.)                                             Allotment. Series Name - TMFL NCD 'E'
                                                  FY 09-10. Date of Maturity:
                                                  16/12/2011
TATA MOTORS FINANCE LIMITED        INE909H07156   8.55% Secured Redeemable Non
(FORMERLY TML FINANCIAL SERVICES                  Convertible Debentures.Series Name -
LTD.)                                             TMFL NCD 'G' FY 09-10. Date of
                                                  Maturity: 05/04/2012
TATA MOTORS FINANCE LIMITED        INE909H07172   8.00% Secured Redeemable Non
(FORMERLY TML FINANCIAL SERVICES                  Convertible Debentures.Letter of
LTD.)                                             Allotment.Series Name - TMFL NCD 'A'
                                                  FY 10-11. Date of Maturity:
                                                  28/05/2012
TATA MOTORS FINANCE LIMITED        INE909H07149   9.00% Secured Redeemable Non
(FORMERLY TML FINANCIAL SERVICES                  Convertible Debentures.Series Name -
LTD.)                                             TMFL NCD 'F' FY 09-10. Date of
                                                  Maturity: 08/06/2012
TATA MOTORS FINANCE LIMITED        INE909H07164   8.55% Secured Redeemable Non
(FORMERLY TML FINANCIAL SERVICES                  Convertible Debentures.Series Name -
LTD.)                                             TMFL NCD 'H' FY 09-10. Date of
                                                  Maturity: 12/07/2012
TATA MOTORS FINANCE LIMITED        INE909H07198   8.20% Secured Redeemable Non
(FORMERLY TML FINANCIAL SERVICES                  Convertible Debentures.Letter of
LTD.)                                             Allotment.Series Name - TMFL NCD 'C'
                                                  FY 10-11. Date of Maturity:
                                                  05/10/2012
TATA MOTORS FINANCE LIMITED        INE909H07180   8.50% Secured Redeemable Non
(FORMERLY TML FINANCIAL SERVICES                  Convertible Debentures.Letter of
LTD.)                                             Allotment.Series Name - TMFL NCD 'B'
                                                  FY 10-11. Date of Maturity:
                                                  06/05/2013
TATA MOTORS FINANCE LIMITED        INE909H08014   10.90% Unsecured Redeemable Non
(FORMERLY TML FINANCIAL SERVICES                  Convertible Subordinated Debentures
LTD.)                                             in the nature of Tier II capital .Series
                                                  Name - TMFL Tier II Bonds 'A' FY 09-
                                                  10. Date of Maturity: 20/01/2020.
TATA MOTORS FINANCE LIMITED        INE909H08022   10.75% Unsecured Redeemable Non
(FORMERLY TML FINANCIAL SERVICES                  Convertible Subordinated Debentures
LTD.)                                             in the nature of Tier II capital .Series
                                                  Name - TMFL Tier II Bonds 'B' FY 09-
                                                  10. Date of Maturity: 25/03/2020.
TATA MOTORS FINANCE LIMITED        INE909H08030   10.70% Unsecured Redeemable Non
(FORMERLY TML FINANCIAL SERVICES                  Convertible Subordinated Debentures
LTD.)                                             in the nature of Tier II capital .Series
                                                  Name - TMFL Tier II Bonds 'C' FY 09-
                                                  10. Date of Maturity: 10/04/2020.
TATA MOTORS FINANCE LIMITED        INE909H08048   10.70% Unsecured Redeemable Non
(FORMERLY TML FINANCIAL SERVICES                  Convertible Subordinated Debentures
LTD.)                                             in the nature of Tier II capital .Series
                                                  Name - TMFL Tier II Bonds 'D' FY 09-
                                                  10. Date of Maturity: 28/04/2020.
TATA MOTORS FINANCE LIMITED        INE909H08055   Reset Rate Unsecured, Subordinated,
(FORMERLY TML FINANCIAL SERVICES                  Perpetual Non-Convertible
LTD.)                                             Debenture. Series- TMFL Perpetual 'A'
                                                  FY 10-11
TATA MOTORS LIMITED (EARLIER    INE155A07177      2.00% Secured Non Convertible
TATA ENGINEERING AND LOCOMOTIVE                   Premium Redemption Debentures.
CO. LTD)                                          Letter of Allotment.Tranche 2.Date of
                                                  Maturity: 31/03/2013
TATA MOTORS LIMITED (EARLIER    INE155A07185      2.00% Secured Non Convertible
TATA ENGINEERING AND LOCOMOTIVE                   Premium Redemption Debentures.
CO. LTD)                                          Letter of Allotment.Tranche 3.Date of
                                                  Maturity: 31/03/2014
TATA MOTORS LIMITED (EARLIER    INE155A07193      2.00% Secured Non Convertible
TATA ENGINEERING AND LOCOMOTIVE                   Premium Redemption Debentures.
CO. LTD)                                          Letter of Allotment.Tranche 4.Date of
                                                  Maturity: 31/03/2016
TATA MOTORS LIMITED (EARLIER    INE155A07219      9.95% Secured Non Convertible
TATA ENGINEERING AND LOCOMOTIVE                   Debentures.Letter of Allotment.Date
CO. LTD)                                          of Maturity: 02/03/2020
TATA MOTORS LIMITED (EARLIER    INE155A08043   9.90% Unsecured Non Convertible
TATA ENGINEERING AND LOCOMOTIVE                Debentures.Date of Maturity:
CO. LTD)                                       07/05/2020


TATA MOTORS LIMITED (EARLIER    INE155A08050   9.75% Unsecured Non Convertible
TATA ENGINEERING AND LOCOMOTIVE                Debentures.Date of Maturity:
CO. LTD)                                       24/05/2020


TATA MOTORS LIMITED (EARLIER    INE155A07227   10.25% Secured Non Convertible
TATA ENGINEERING AND LOCOMOTIVE                Debentures.Letter of Allotment.Date
CO. LTD)                                       of Maturity: 30/04/2025


TATA MOTORS LIMITED (EARLIER    INE155A08068   9.70% Unsecured Non Convertible
TATA ENGINEERING AND LOCOMOTIVE                Debentures.Date of Maturity:
CO. LTD)                                       18/06/2020


TATA PROJECTS LIMITED           INE725H07016   8.00% Secured Non Convertible
                                               Debentures.Final Date of Redemption
                                               : 29.08.2012


TATA SONS LIMITED               INE895D07297   11.30% Secured Redeemable Non-
                                               Convertible Debentures. Letter of
                                               allotment .Date of Maturity :
                                               28/07/2011
TATA SONS LIMITED               INE895D08220   7.45% Unsecured Redeemable Non-
                                               Convertible Debentures. Date of
                                               Maturity: 15/04/2012


TATA SONS LIMITED               INE895D08204   8.70% Unsecured Redeemable Non-
                                               Convertible Debentures. Letter of
                                               Allotment.Date of Maturity:
                                               26/06/2012
TATA SONS LIMITED               INE895D07230   9.40% Secured Redeemable Non-
                                               Convertible Debentures. Letter of
                                               allotment .Date of Maturity :
                                               04/04/2013
TATA SONS LIMITED               INE895D07248   9.28% Secured Redeemable Non-
                                               Convertible Debentures. Letter of
                                               allotment .Date of Maturity :
                                               04/04/2013
TATA SONS LIMITED               INE895D08238   7.95% Unsecured Redeemable Non-
                                               Convertible Debentures. Date of
                                               Maturity: 19/04/2013


TATA SONS LIMITED               INE895D07271   10.40% Secured Redeemable Non-
                                               Convertible Debentures. Letter of
                                               allotment .Date of Maturity :
                                               02/07/2013
TATA SONS LIMITED               INE895D07289   10.80% Secured Redeemable Non-
                                               Convertible Debentures. Letter of
                                               allotment .Date of Maturity :
                                               10/07/2013
TATA SONS LIMITED               INE895D07305   12.25% Secured Redeemable Non-
                                               Convertible Debentures. Letter of
                                               allotment .Date of Maturity :
                                               07/11/2013
TATA SONS LIMITED   INE895D07321   12.25% Secured Redeemable Non-
                                   Convertible Debentures.Letter of
                                   Allotment.Date of Maturity:
                                   18/12/2013
TATA SONS LIMITED   INE895D08212   4.50% (Refer remark) Unsecured
                                   Redeemable Non-Convertible
                                   Debentures. Letter of Allotment.Final
                                   Date of Maturity: 21/01/2014
TATA SONS LIMITED   INE895D08196   10.30% Unsecured Redeemable Non-
                                   Convertible Debentures. Letter of
                                   Allotment.Date of Maturity:
                                   23/04/2014
TATA SONS LIMITED   INE895D08345   10.25% Unsecured,Unlisted Non-
                                   Convertible Debenture. Date of
                                   Maturity 13/05/2014


TATA SONS LIMITED   INE895D08352   10.2% Unsecured, Rated,Unlisted Non-
                                   Convertible Debenture.Date of
                                   Maturity 27/05/2014


TATA SONS LIMITED   INE895D08360   10.05% Unsecured Rated, Unlisted
                                   Non-convertible Debenture. Date of
                                   Maturity 16/06/2014


TATA SONS LIMITED   INE895D07222   10.00% Secured Redeemable Non-
                                   Convertible Debentures. Letter of
                                   allotment .Date of Maturity :
                                   05/07/2014
TATA SONS LIMITED   INE895D08279   8.80% Unsecured Non-Convertible
                                   Debenture. Date of Maturity
                                   21/09/2015


TATA SONS LIMITED   INE895D08295   9.30% Unsecured Non-Convertible
                                   Debenture. Date of Maturity
                                   24/12/2015


TATA SONS LIMITED   INE895D08329   9.90% Unsecured Rated, Unlisted Non-
                                   Convertible Debenture.Date of
                                   Maturity 18/03/2016


TATA SONS LIMITED   INE895D08337   9.75% Unsecured,Rated,Unlisted Non-
                                   Convertible Debenture. Date of
                                   Maturity 21/04/2016


TATA SONS LIMITED   INE895D07339   9.6% Secured, Rated,Unlisted Non-
                                   Convertible Debenture.Date of
                                   Maturity 28/04/2016


TATA SONS LIMITED   INE895D08311   9.90% Unsecured Rated, Unlisted Non-
                                   Convertible Debenture, Date of
                                   Maturity 09/03/2016


TATA SONS LIMITED   INE895D07214   8.85% Secured Redeemable Non-
                                   Convertible Debentures. Letter of
                                   allotment .Date of Maturity :
                                   30/10/2016
TATA SONS LIMITED                INE895D07206    8.94% Secured Redeemable Non
                                                 convertible debentures. Letter of
                                                 allotment . Date of Maturity;
                                                 08/11/2016
TATA SONS LIMITED                INE895D08246    8.99% Unsecured Redeemable Non-
                                                 Convertible Debentures. Date of
                                                 Maturity: 07/06/2020


TATA SONS LIMITED                INE895D08253    8.97% Unsecured Non-Convertible
                                                 Debenture. Date of Maturity
                                                 15/07/2020


TATA SONS LIMITED                INE895D08261    9.10% Unsecured Non-Convertible
                                                 Debenture. Date of Maturity
                                                 06/09/2020


TATA SONS LIMITED                INE895D08287    9.18% Unsecured Non-Convertible
                                                 Debenture. Date of Maturity
                                                 23/11/2020


TATA SONS LIMITED                INE895D08303    9.90% Unsecured Rated, Unlisted Non-
                                                 Convertible Debenture. Date of
                                                 Maturity 24/02/2016


TATA STEEL LIMITED               INE081A08140    10.25% Unsecured Non-Convertible
                                                 Debenture.Date of Maturity
                                                 21/12/2030


TATA STEEL LIMITED               INE081A08157    10.25% Unsecured Non-Convertible
                                                 Debenture. Date of Maturity
                                                 06/01/2031


TATA STEEL LIMITED               INE081A08165    11.80% Unsecured,Subordinated, Non-
                                                 Convertible PERPETUAL Debenture.



TATA STEEL LIMITED               INE081A08173    11.50% Unsecured,Subordinated,
                                                 PERPETUAL Hybrid Securities in the
                                                 form of Non-Convertible Debenture.


TATA STEEL LIMITED (FORMERLY TATA INE081A07175   10.20% Secured Redeemable Non
IRON AND STEEL COMPANY LTD)                      Convertible Debentures . Issue 2008
                                                 Series - 1.Date of Maturity :
                                                 07.05.2015
TATA STEEL LIMITED (FORMERLY TATA INE081A08116   12.50% Unsecured Redeemable Non
IRON AND STEEL COMPANY LTD)                      Convertible Debentures , Final date
                                                 of Redemption : 19/11/2016


TATA STEEL LIMITED (FORMERLY TATA INE081A08124   10.40% Unsecured Redeemable Non
IRON AND STEEL COMPANY LTD)                      Convertible Debentures. Date of
                                                 Maturity : 15/05/2019


TATA STEEL LIMITED (FORMERLY TATA INE081A08132   11.00% Unsecured Redeemable Non
IRON AND STEEL COMPANY LTD)                      Convertible Debentures. Date of
                                                 Maturity : 19/05/2019
TATA TELESERVICES LIMITED         INE037E07021   6.45% Secured Redeemable Non
                                                 Convertible Rated Taxable bonds.
                                                 Letter of Allotment. Date of final
                                                 redemption :23.07.2011
TATA TELESERVICES LIMITED         INE037E07039   Zero Coupon Secured Redeemable
                                                 Non Convertible Rated Taxable bonds.
                                                 Letter of Allotment


TATA TELESERVICES LIMITED         INE037E07054   6.00% Secured Redeemable Non
                                                 Convertible Debenture.Letter of
                                                 Allotment. Date of Maturity :
                                                 29/03/2020
TATA TELESERVICES LIMITED         INE037E08037   11.69% Unsecured Non-Convertible
                                                 Debenture. Letter of Allotment. Date
                                                 of Maturity 14/08/2025.


TCI FINANCE LIMITED               INE911B07015   13.00% Secured Fully Redeemable Non
                                                 Convertible Debentures.Date of
                                                 Maturity: 29/11/2012


TECH MAHINDRA LIMITED (FORMERLY   INE669C07025   10.25% Secured Redeemable Non
MAHINDRA BRITISH TELECOM LTD.)                   Convertible Debenture. Letter of
                                                 Allotment. Date of Maturity :
                                                 17/04/2013
TECH MAHINDRA LIMITED (FORMERLY   INE669C07033   10.25% Secured Redeemable Non
MAHINDRA BRITISH TELECOM LTD.)                   Convertible Debenture. Letter of
                                                 Allotment. Date of Maturity :
                                                 17/04/2014
TECHNO ELECTRIC AND ENGINEERING INE470B07012     7.50% Secured Redeemable Non
CO. LTD                                          Convertible Debenture.Date of
                                                 Maturity : 20/11/2012


TELEDATA WIRELESS SERVICES        INE207L08015   Zero Coupon Unsecured Compulsorily
PRIVATE LIMITED                                  Convertible Debenture Letter of
                                                 Allotment. Date of Conversion :
                                                 28/07/2014
THE BANK OF RAJASTHAN LIMITED     INE320A08019   7.50% Unsecured Redeemable Tier II
                                                 Bonds Series III Option-I. Date of
                                                 Maturity: 15/11/2011


THE BANK OF RAJASTHAN LIMITED     INE320A08027   7.75% Unsecured Redeemable Tier II
                                                 Bonds Series III Option-II. Date of
                                                 Maturity: 15/07/2014


THE BANK OF RAJASTHAN LIMITED     INE320A08035   8.70% Unsecured Non Convertible Tier
                                                 II bond. Series IV. Date of Maturity:
                                                 28.04.2015


THE BANK OF RAJASTHAN LIMITED     INE320A09058   10.25% Unsecured Redeemable Non
                                                 Convertible Subordinated Lower Tier
                                                 II Bonds in the form of Promissory
                                                 notes, Series VII. Letter of Allotment.
                                                 Date of Maturity: 08/04/2016
THE BANK OF RAJASTHAN LIMITED     INE320A09033   9.50% Unsecured Redeemable Tier II
                                                 Bonds in the form of Promissory
                                                 notes, Series V. Date of Maturity:
                                                 15/01/2017
THE BANK OF RAJASTHAN LIMITED      INE320A09041   11.50% Unsecured Redeemable Non
                                                  Convertible Tier II Bonds in the form
                                                  of Promissory notes, Series VI. Date of
                                                  Maturity: 05/01/2019
THE BANK OF RAJASTHAN LIMITED      INE320A09066   10.50% Unsecured Redeemable Non
                                                  Convertible Subordinated Lower Tier
                                                  II Bonds in the form of Promissory
                                                  notes, Series VII. Letter of Allotment.
                                                  Date of Maturity: 08/06/2019
THE BANK OF RAJASTHAN LIMITED      INE320A08043   10.50% Unsecured Non Convertible
                                                  Tier II bond. . Date of Maturity:
                                                  22/09/2021


THE CATHOLIC SYRIAN BANK LIMITED   INE679A08075   7.80% Unseucred Non convertilbe
                                                  Bond Series II Option I. Date of
                                                  Maturity : 08.05.2012


THE CATHOLIC SYRIAN BANK LIMITED   INE679A08042   7.21% Unsecured Non-Convertible
                                                  Bonds, 2003 (Series-I)



THE CATHOLIC SYRIAN BANK LIMITED   INE679A08091   8.75% Unsecured, Redeemable Non
                                                  Convertible Subordinated Bonds in
                                                  the nature of debentures. (CSBL
                                                  Bonds-2005) Date of Maturity:
                                                  21.04.2014
THE CATHOLIC SYRIAN BANK LIMITED   INE679A08067   7.35% Unsecured Non-Convertible
                                                  Bonds, 2004 (Series-I).



THE CATHOLIC SYRIAN BANK LIMITED   INE679A08083   8.00% Unsecured Non convertible
                                                  Bond Series II Option II. Date
                                                  Maturity: 08.11.2014


THE DHANALAKSHMI BANK LTD.         INE680A08040   9.70% Unsecured Non convertible
                                                  redeemable bonds . Series VII. Letter
                                                  of Allotment. Date of Maturity:
                                                  29.12.2013
THE DHANALAKSHMI BANK LTD.         INE680A09014   10.30% Unsecured Redeemable Non
                                                  Convertible Lower Tier II bonds in the
                                                  form of Promissory note.Letter of
                                                  allotment. Date of Maturity :
                                                  30/04/2015
THE DHANALAKSHMI BANK LTD.         INE680A09022   Resate Rate Unsecured Non-
                                                  Convertible Upper Tier II Bond. Letter
                                                  of Allotment. Date of Maturity
                                                  30/07/2025
THE DHANLAKSHMI BANK LTD.          INE680A08032   9.00% Unsecured Non convertible
                                                  redeemable bonds . Series VI. Letter
                                                  of Allotment. Date of Maturity:
                                                  30.06.2013
THE FEDERAL BANK LIMITED           INE171A09048   6.75% Unsecured Redeemable Non-
                                                  Convertible Subordinated Bonds in the
                                                  form of Promissory Notes. Series IV
                                                  Option I.
THE FEDERAL BANK LIMITED           INE171A09055   6.85% Unsecured Redeemable Non-
                                                  Convertible Subordinated Bonds in the
                                                  form of Promissory Notes. Series IV
                                                  Option II.
THE FEDERAL BANK LIMITED     INE171A09063   9.25% Unsecured Redeemable Non-
                                            Convertible Subordinated Tier II
                                            Bonds in the form of Promissory
                                            Notes. Letter of Allotment.Date of
                                            maturity: 16/12/2016
THE FEDERAL BANK LTD.        INE171A09030   7.10% Unsecured Redeemable Non-
                                            Convertible Subordinated Bonds in the
                                            form of Promissory Notes. Letter of
                                            Allotment
THE GREAT EASTERN SHIPPING   INE017A08151   9.40% Unsecured Redeemable Non
COMPANY LIMITED                             Convertible Debenture.Date of
                                            Maturity : 06/01/2018


THE GREAT EASTERN SHIPPING   INE017A08144   9.19% Unsecured Redeemable Non
COMPANY LIMITED                             Convertible Debenture.Date of
                                            Maturity : 24/12/2018


THE GREAT EASTERN SHIPPING   INE017A08169   9.40% Unsecured Redeemable Non
COMPANY LIMITED                             Convertible Debenture.Date of
                                            Maturity : 06/01/2019


THE GREAT EASTERN SHIPPING   INE017A08177   9.35% Unsecured Redeemable Non
COMPANY LIMITED                             Convertible Debenture. Final Date of
                                            Maturity : 08/02/2019


THE GREAT EASTERN SHIPPING   INE017A07534   9.80% Secured Redeemable Non
COMPANY LIMITED                             Convertible Debenture.Date of
                                            Maturity : 03/07/2019


THE GREAT EASTERN SHIPPING   INE017A08128   9.75% Unsecured Redeemable Non
COMPANY LIMITED                             Convertible Debenture.Date of
                                            Maturity : 20/08/2019


THE GREAT EASTERN SHIPPING   INE017A08136   9.60% Unsecured Redeemable Non
COMPANY LIMITED                             Convertible Debenture.Date of
                                            Maturity : 10/11/2019


THE GREAT EASTERN SHIPPING   INE017A08201   9.70% Unsecured Non-Convertible
COMPANY LIMITED                             Debenture. Date of Maturity
                                            02/02/2021


THE GREAT EASTERN SHIPPING   INE017A08219   9.70% Unsecured Non-Convertible
COMPANY LIMITED                             Debenture. Date of Maturity
                                            15/04/2021


THE GREAT EASTERN SHIPPING   INE017A08227   9.70% Unsecured Non-Convertible
COMPANY LIMITED                             Debenture. Date of Maturity
                                            25/04/2021


THE GREAT EASTERN SHIPPING   INE017A08185   9.70% Unsecured Redeemable Non
COMPANY LIMITED                             Convertible Debenture. Final Date of
                                            Maturity : 07/01/2023


THE GREAT EASTERN SHIPPING   INE017A08193   9.70% Unsecured Non-Convertible
COMPANY LIMITED                             Debenture. Date of Maturity
                                            18/01/2023
THE INDIAN HOTELS COMPANY          INE053A07117   9.50% Secured Redeemable Non
LIMITED                                           Convertible Debenture. Letter of
                                                  Allotment.Date of Maturity:
                                                  28/02/2012
THE INDIAN HOTELS COMPANY          INE053A07141   11.80% Secured Redeemable Non
LIMITED                                           Convertible Debenture.Date of
                                                  Maturity: 18/12/2013


THE INDIAN HOTELS COMPANY          INE053A08040   2.00% Unsecured Redeemable Non
LIMITED                                           Convertible Debenture, Date of
                                                  Maturity: 09/12/2014


THE INDIAN HOTELS COMPANY          INE053A07158   2.00% Secured Redeemable Non
LIMITED                                           Convertible Debenture.Date of
                                                  Maturity: 22/03/2017.


THE INDIAN HOTELS COMPANY          INE053A08057   2.00% Unsecured Redeemable Non
LIMITED                                           Convertible Debenture, Date of
                                                  Maturity: 09/12/2019


THE INDIAN IRON & STEEL CO. LTD.   INE254G08017   6.40% Unsecured Non-Covertible IISCO
                                                  Bonds Series-I.



THE JAMMU & KASHMIR BANK LTD.      INE168A08012   9.00% Unsecured Non Convertible
                                                  Lower Tier II Debentures Letter of
                                                  Allotment Date of Maturity 30-12-
                                                  2019
THE KARUR VYSYA BANK LTD.          INE036D09013   9.86% Unsecured Redeemable Non
                                                  Convertible Subordinated Lower Tier
                                                  2 Bonds in the form of promissory
                                                  note.Letter of Allotment.Date of
                                                  Maturity: 25/09/2019
THE LAKSHMI VILAS BANK LIMITED     INE694C08021   10.80 % Unsecured Redeemable Non
                                                  convertible Subordinated Lower Tier
                                                  II bonds in nature debentures .Series
                                                  VI. Letter of allotment. Date of
                                                  Maturity: 25/11/2015
THE LAKSHMI VILAS BANK LIMITED     INE694C09060   9.95 % Unsecured Non convertible
                                                  Subordinated bonds in nature of
                                                  Promissory Notes .Series V. Letter of
                                                  allotment. Date of Maturity:
                                                  30.04.2016
THE MYSORE PAPER MILLS LIMITED     INE924F08017   8.27% Unsecured Redeemable Non
                                                  Convertible Non SLR Bonds.Letter of
                                                  Allotment.Final Date of Redemption :
                                                  15/10/2016
THE MYSORE PAPER MILLS LIMITED     INE924F08025   8.49% Unsecured Non-Convertible
                                                  Redeemable Taxable Bonds. Letter of
                                                  Allotment. Series- I/2010. Date of
                                                  Maturity 16/07/2020
THE SOUTH INDIAN BANK LTD.         INE683A09083   8.60 % unsecured non convertible
                                                  bonds in nature of promissory notes.
                                                  Tier II. Date of maturity: 25.04.2013


THE SOUTH INDIAN BANK LTD.         INE683A09091   9.75 % Unsecured Redeemable Non
                                                  Convertible Subordinate Lower Tier II
                                                  Bonds in the form of Promissory
                                                  Notes, Letter of Allotment Date of
                                                  Maturity: 20.04.2020
THE TAMILNADU INDUSTRIAL         INE638F09466   8.00 % Unsecured Non convertible SLR
INVESTMENT CORPORATION LTD                      bonds in nature of promissory notes.
                                                Date of maturity: 10.09.2011


THE TAMILNADU INDUSTRIAL         INE638F09730   7.50% Unsecured Non convertible SLR
INVESTMENT CORPORATION LTD                      bonds in nature of promissory notes.
                                                Date of maturity: 10.09.2011


THE TAMILNADU INDUSTRIAL         INE638F09474   8.00 % Unsecured Non convertible SLR
INVESTMENT CORPORATION LTD                      bonds in nature of promissory notes.
                                                Date of maturity: 13.01.2012


THE TAMILNADU INDUSTRIAL         INE638F09482   8.00 % Unsecured Non convertible SLR
INVESTMENT CORPORATION LTD                      bonds in nature of promissory notes.
                                                Date of maturity: 14.02.2012


THE TAMILNADU INDUSTRIAL         INE638F09599   8.00 % Unsecured Non convertible SLR
INVESTMENT CORPORATION LTD                      bonds in nature of promissory notes.
                                                Date of maturity: 20.02.2012


THE TAMILNADU INDUSTRIAL         INE638F09755   7.50% Unsecured Non convertible SLR
INVESTMENT CORPORATION LTD                      bonds in nature of promissory notes.
                                                Date of maturity: 20.02.2012


THE TAMILNADU INDUSTRIAL         INE638F09706   8.00 % Unsecured Non convertible SLR
INVESTMENT CORPORATION LTD                      bonds in nature of promissory notes.
                                                Date of maturity: 26.07.2013


THE TAMILNADU INDUSTRIAL         INE638F09714   8.00 % Unsecured Non convertible SLR
INVESTMENT CORPORATION LTD                      bonds in nature of promissory notes.
                                                Date of maturity: 18.04.2014


THE TAMILNADU INDUSTRIAL         INE638F09615   8.00 % Unsecured Non convertible SLR
INVESTMENT CORPORATION LTD                      bonds in nature of promissory notes.
                                                Date of maturity: 14.02.2015


THE TATA POWER COMPANY LIMITED   INE245A07127   9.15% Secured Non-Convertible
                                                Debenture. Series - STRPP- A, Date of
                                                Maturity 23/07/2011


THE TATA POWER COMPANY LIMITED   INE245A07275   9.15% Secured Non-Convertible
                                                Debenture. Series - A. Date of
                                                Maturity 18/09/2011


THE TATA POWER COMPANY LIMITED   INE245A07135   9.15% Secured Non-Convertible
                                                Debenture. Series - STRPP- B, Date of
                                                Maturity 23/07/2012


THE TATA POWER COMPANY LIMITED   INE245A07283   9.15% Secured Non-Convertible
                                                Debenture. Series - B. Date of
                                                Maturity 17/09/2012


THE TATA POWER COMPANY LIMITED   INE245A07143   9.15% Secured Non-Convertible
                                                Debenture. Series - STRPP- C, Date of
                                                Maturity 23/07/2013
THE TATA POWER COMPANY LIMITED   INE245A07291   9.15% Secured Non-Convertible
                                                Debenture. Series -C. Date of
                                                Maturity 17/09/2013


THE TATA POWER COMPANY LIMITED   INE245A07150   9.15% Secured Non-Convertible
                                                Debenture. Series - STRPP- D, Date of
                                                Maturity 23/07/2014


THE TATA POWER COMPANY LIMITED   INE245A07309   9.15% Secured Non-Convertible
                                                Debenture. Series -D. Date of
                                                Maturity 17/09/2014


THE TATA POWER COMPANY LIMITED   INE245A07168   9.15% Secured Non-Convertible
                                                Debenture. Series - STRPP- E, Date of
                                                Maturity 23/07/2015


THE TATA POWER COMPANY LIMITED   INE245A07317   9.15% Secured Non-Convertible
                                                Debenture. Series -E. Date of Maturity
                                                17/09/2015


THE TATA POWER COMPANY LIMITED   INE245A07093   Reset rate Secured Redeemable Non-
                                                convertible Debentures. Letter of
                                                Allotment. Date of final
                                                redemption:18/10/2015
THE TATA POWER COMPANY LIMITED   INE245A07176   9.15% Secured Non-Convertible
                                                Debenture. Series - STRPP- F, Date of
                                                Maturity 23/07/2016


THE TATA POWER COMPANY LIMITED   INE245A07325   9.15% Secured Non-Convertible
                                                Debenture. Series -F. Date of Maturity
                                                17/09/2016


THE TATA POWER COMPANY LIMITED   INE245A07184   9.15% Secured Non-Convertible
                                                Debenture. Series - STRPP- G, Date of
                                                Maturity 23/07/2017


THE TATA POWER COMPANY LIMITED   INE245A07333   9.15% Secured Non-Convertible
                                                Debenture. Series -G. Date of
                                                Maturity 17/09/2017


THE TATA POWER COMPANY LIMITED   INE245A07101   10.10% Secured Redeemable Non-
                                                Convertible Debenture.Date of
                                                Maturity: 25/04/2018


THE TATA POWER COMPANY LIMITED   INE245A07119   10.40% Secured Redeemable Non-
                                                Convertible Debenture.Date of
                                                Maturity: 20/06/2018


THE TATA POWER COMPANY LIMITED   INE245A07192   9.15% Secured Non-Convertible
                                                Debenture. Series - STRPP- H, Date of
                                                Maturity 23/07/2018


THE TATA POWER COMPANY LIMITED   INE245A07341   9.15% Secured Non-Convertible
                                                Debenture. Series -H. Date of
                                                Maturity 17/09/2018
THE TATA POWER COMPANY LIMITED   INE245A07200   9.15% Secured Non-Convertible
                                                Debenture. Series - STRPP- I, Date of
                                                Maturity 23/07/2019


THE TATA POWER COMPANY LIMITED   INE245A07358   9.15% Secured Non-Convertible
                                                Debenture. Series -I. Date of Maturity
                                                17/09/2019


THE TATA POWER COMPANY LIMITED   INE245A07218   9.15% Secured Non-Convertible
                                                Debenture. Series - STRPP- J, Date of
                                                Maturity 23/07/2020


THE TATA POWER COMPANY LIMITED   INE245A07366   9.15% Secured Non-Convertible
                                                Debenture. Series -J. Date of Maturity
                                                17/09/2020


THE TATA POWER COMPANY LIMITED   INE245A07226   9.15% Secured Non-Convertible
                                                Debenture. Series - STRPP- K, Date of
                                                Maturity 23/07/2021


THE TATA POWER COMPANY LIMITED   INE245A07374   9.15% Secured Non-Convertible
                                                Debenture. Series - K. Date of
                                                Maturity 17/09/2021


THE TATA POWER COMPANY LIMITED   INE245A07234   9.15% Secured Non-Convertible
                                                Debenture. Series - STRPP- L, Date of
                                                Maturity 23/07/2022


THE TATA POWER COMPANY LIMITED   INE245A07382   9.15% Secured Non-Convertible
                                                Debenture. Series - L. Date of
                                                Maturity 17/09/2022


THE TATA POWER COMPANY LIMITED   INE245A07242   9.15% Secured Non-Convertible
                                                Debenture. Series - STRPP- M, Date of
                                                Maturity 23/07/2023


THE TATA POWER COMPANY LIMITED   INE245A07390   9.15% Secured Non-Convertible
                                                Debenture. Series - M. Date of
                                                Maturity 17/09/2023


THE TATA POWER COMPANY LIMITED   INE245A07259   9.15% Secured Non-Convertible
                                                Debenture. Series - STRPP- N, Date of
                                                Maturity 23/07/2024


THE TATA POWER COMPANY LIMITED   INE245A07408   9.15% Secured Non-Convertible
                                                Debenture. Series - N. Date of
                                                Maturity 17/09/2024


THE TATA POWER COMPANY LIMITED   INE245A07267   9.15% Secured Non-Convertible
                                                Debenture. Series - STRPP- O, Date of
                                                Maturity 23/07/2025


THE TATA POWER COMPANY LIMITED   INE245A07416   9.15% Secured Non-Convertible
                                                Debenture. Series - O. Date of
                                                Maturity 17/09/2025
THE TATA POWER COMPANY LIMITED     INE245A08034   Reset Rate Unsecured Subordinated
                                                  Perpetual Rated, Listed Securities in
                                                  the form of Non-Convertible
                                                  Debenture.
THE UNITED WESTERN BANK LTD.       INE165A09073   7.25% Subordianted Unsecured Non
                                                  Convertible Bonds in the form of
                                                  Debentures/Promissory Notes.


THREE C PROJECTS PRIVATE LIMITED   INE866L07010   5.10% Secured Non-Convertible
                                                  Debenture. Date of Maturity
                                                  08/12/2013


THYROCARE TECHNOLOGIES LIMITED     INE594H08014   Unsecured Compulsory Convertible
                                                  Debenture, Letter of Allotment. Date
                                                  of Maturity 26/12/2013


TMFL AUTO SECURITISATION TRUST     INE475J15033   Pass through certificates Series A3
MIX POOL A MAY 2008                               (Trustee: IL & FS Trust Co Ltd,
                                                  Receivables: Future loan receivables
                                                  of TML Financial Services Ltd)
TML AUTO SECURITISATION TRUST      INE840K15010   Pass through certificates. Series A1
FEBRUARY 2010                                     (Trustee: : IL&FS Trust Co Ltd,
                                                  Receivables: Loan receivables of Tata
                                                  Motors Ltd )
TML AUTO SECURITISATION TRUST      INE840K15028   Pass through certificates. Series A2
FEBRUARY 2010                                     (Trustee: : IL&FS Trust Co Ltd,
                                                  Receivables: Loan receivables of Tata
                                                  Motors Ltd )
TML AUTO SECURITISATION TRUST      INE840K15036   Pass through certificates. Series A3
FEBRUARY 2010                                     (Trustee: : IL&FS Trust Co Ltd,
                                                  Receivables: Loan receivables of Tata
                                                  Motors Ltd )
TOTAL ENVIRONMENT LIVING SPACES    INE904L07019   5.097% Secured Non-Convertible
PRIVATE LTD                                       Debenture. Date of Maturity
                                                  24/12/2014


TOURISM FINANCE CORPORATION OF     INE305A08192   12.00% Unsecured NCD, Series GB I,
INDIA LIMITED                                     Date of Maturity:27/01/2012



TOURISM FINANCE CORPORATION OF     INE305A09034   11.25% Unsecured Non Convertible
INDIA LIMITED                                     Bonds in the form of Promissory
                                                  Notes, Series MB XXIX Date of
                                                  Maturity:01/03/2012. Letter of
                                                  Allotment
TOURISM FINANCE CORPORATION OF     INE305A09067   10.50% Unsecured Non Convertible
INDIA LIMITED                                     Bonds in the form of Promissory
                                                  Notes, Series MB XXXII . Letter of
                                                  Allotment
TOURISM FINANCE CORPORATION OF     INE305A09075   10.50% Unsecured Non Convertible
INDIA LIMITED                                     Bonds in the form of Promissory
                                                  Notes, Series MB XXXV . Letter of
                                                  Allotment
TOURISM FINANCE CORPORATION OF     INE305A09109   8.50% Unsecured Non Convertible
INDIA LIMITED                                     Bonds in the form of Promissory
                                                  Notes, Series MB XXX VI . Letter of
                                                  Allotment
TOURISM FINANCE CORPORATION OF   INE305A09117   8.50% Unsecured Non Convertible
INDIA LIMITED                                   Bonds in the form of Promissory
                                                Notes, Series MB XXX VII . Letter of
                                                Allotment
TOURISM FINANCE CORPORATION OF   INE305A09125   9.50% Unsecured Non Convertible
INDIA LIMITED                                   Subordinated Tire II Bonds in the form
                                                of Promissory Notes Date of Maturity :
                                                30/04/2019
TOURISM FINANCE CORPORATION OF   INE305A09133   9.50% Unsecured Non Convertible
INDIA LIMITED                                   Subordinated Tier II Bonds in the form
                                                of Promissory Notes. Series MB XXXIX.
                                                Date of Maturity : 30/04/2019
TOURISM FINANCE CORPORATION OF   INE305A09141   8.90% Unsecured Non Convertible
INDIA LIMITED                                   Bonds in the form of Promissory
                                                Notes. Date of Maturity : 29/11/2020


TRANSMISSION CORPORATION OF A.P. INE947F08240   11.30% Unsecured Redeemable Non-
LIMITED                                         Convertible Bonds in the form of
                                                Debentures. Series I/2002 Option-B


TRANSMISSION CORPORATION OF A.P. INE947F08323   8.40% Unsecured Redeemable Non-
LIMITED                                         Convertible Bonds in the form of
                                                Debentures.Option-2.


TRANSMISSION CORPORATION OF A.P. INE947F08265   11.60% Unsecured Redeemable Non-
LIMITED                                         Convertible Bonds in the form of
                                                Debentures. Series I/2002 Option-C


TRANSMISSION CORPORATION OF A.P. INE947F08273   11.60% Unsecured Redeemable Non-
LIMITED                                         Convertible Bonds in the form of
                                                Debentures. Series I/2002 Option-C


TRANSMISSION CORPORATION OF A.P. INE947F08281   11.60% Unsecured Redeemable Non-
LIMITED                                         Convertible Bonds in the form of
                                                Debentures. Series I/2002 Option-C


TRANSMISSION CORPORATION OF A.P. INE947F08299   11.60% Unsecured Redeemable Non-
LIMITED                                         Convertible Bonds in the form of
                                                Debentures. Series I/2002 Option-C


TRANSMISSION CORPORATION OF A.P. INE947F09016   8.70% Unsecured Redeemable Non-
LIMITED                                         Convertible Government Guarnteed
                                                Taxable APTRANSCO vidyut bonds in
                                                the form of promissory notes.Option-
                                                1.Letter of allotment. Date of
TRANSMISSION CORPORATION OF A.P. INE947F09032   8.59% Unsecured Redeemable Non-
LIMITED                                         Convertible Government Guarnteed
                                                Taxable APTRANSCO vidyut bonds in
                                                the form of promissory notes.
                                                Tranche - I Option-I.Letter of
TRANSMISSION CORPORATION OF A.P. INE947F09057   8.60% Unsecured Redeemable Non-
LIMITED                                         Convertible Government Guarnteed
                                                Taxable APTRANSCO vidyut bonds in
                                                the form of promissory notes.Series
                                                I/2007 , Option-A.Letter of allotment.
TRANSMISSION CORPORATION OF A.P. INE947F09065   8.55% Unsecured Redeemable Non-
LIMITED                                         Convertible Government Guarnteed
                                                Taxable APTRANSCO vidyut bonds in
                                                the form of promissory notes.Letter
                                                of allotment. Date of maturity :
TRANSMISSION CORPORATION OF A.P. INE947F09024     8.95% Unsecured Redeemable Non-
LIMITED                                           Convertible Government Guarnteed
                                                  Taxable APTRANSCO vidyut bonds in
                                                  the form of promissory notes.Option-
                                                  II.Letter of allotment. Date of
TRANSMISSION CORPORATION OF A.P. INE947F09040     D8.69% Unsecured Redeemable Non-
LIMITED                                           Convertible Government Guarnteed
                                                  Taxable APTRANSCO vidyut bonds in
                                                  the form of promissory notes.
                                                  Tranche - I Option-II.Letter of
TRANSMISSION CORPORATION OF A.P. INE947F09073     8.65% Unsecured Redeemable Non-
LIMITED                                           Convertible Government Guarnteed
                                                  Taxable APTRANSCO vidyut bonds in
                                                  the form of promissory notes.Letter
                                                  of allotment. Date of maturity :
TRENT LIMITED                      INE849A08017   Zero Coupon Unsecured Redeemable
                                                  Non convertible debentures.Letter of
                                                  Allotment.Date of maturity:
                                                  21/10/2011
TRENT LIMITED                      INE849A07043   Zero Coupon Secured Redeemable
                                                  Non convertible debentures.Letter of
                                                  Allotment. Date of maturity:
                                                  14/04/2015
TRENT LIMITED                      INE849A08025   5.00% Unsecured Redeemable Non
                                                  convertible debentures.Letter of
                                                  Allotment.Date of maturity:
                                                  27/04/2015
TRENT LIMITED                      INE849A08033   9.75% Unsecured Redeemable Non
                                                  convertible debentures.Series -
                                                  A.Letter of Allotment.Date of
                                                  maturity: 30/06/2017
TRENT LIMITED                      INE849A08041   Zero Coupon Unsecured Redeemable
                                                  Non convertible debentures.Series -
                                                  B.Letter of Allotment.Date of
                                                  maturity: 30/06/2017
TRICONE PROJECTS INDIA LIMITED     INE364K07018   16.90% (effective rate of 18% p.a).
                                                  Secured Redeemable Non Convertible
                                                  Debenture. Option - A Date of
                                                  Maturity: 12/01/2012
TRICONE PROJECTS INDIA LIMITED     INE364K07026   18.00% Secured Redeemable Non
                                                  Convertible Debenture. Option - B
                                                  Date of Maturity: 12/07/2012


TRIMAX IT INFRASTRUCTURE &         INE136K08034   Unsecured Compulsorily Convertible
SERVICES LIMITED                                  Debenture. Series - B. Date of
                                                  Maturity 30/09/2020


TRIVENI ENGINEERING & INDUSTRIES   INE256C07013   12.45% Secured Redeemable Non
LIMITED                                           Convertible Debenture.Date of
                                                  Maturity : 26/12/2014


TUBE INVESTMENTS OF INDIA LTD      INE149A07048   11.70% Secured Non convertible
                                                  debentures. Letter of allotment. Date
                                                  of Maturity: 25/02/2014


TUBE INVESTMENTS OF INDIA LTD      INE149A07055   8.50% Secured Non convertible
                                                  debentures. Letter of allotment. Date
                                                  of Maturity: 27/11/2014
TUBE INVESTMENTS OF INDIA LTD   INE149A07063   8.60% Secured Non convertible
                                               debentures. Letter of allotment. Date
                                               of Maturity: 09/03/2015


TUBE INVESTMENTS OF INDIA LTD   INE149A07071   8.75% Secured Non convertible
                                               debentures. Letter of allotment. Date
                                               of Maturity: 07/05/2015


TULIP TELECOM LIMITED           INE122H07032   10.67% Secured Non convertible
                                               debentures.Letter of Allotment.Date
                                               of Maturity: 29/03/2014


TULIP TELECOM LIMITED           INE122H07024   10.67% Secured Non convertible
                                               debentures.Letter of Allotment.Date
                                               of Maturity: 29/09/2014


TULIP TELECOM LIMITED           INE122H07016   12.50% Secured Non convertible
                                               debentures.Letter of Allotment.Final
                                               Date of Redemption : 31/10/2014


TULIP TELECOM LIMITED           INE122H07040   10.67% Secured Non convertible
                                               debentures.Letter of Allotment.Date
                                               of Maturity: 29/03/2015


UCO BANK                        INE691A09045   5.95% Unsecured Redeemable
                                               Subordinated Bonds in the form of
                                               Promissory Note Series IV. Letter of
                                               Allotment
UCO BANK                        INE691A09052   7.25 % Unsecured non convertible
                                               bond in nature of Promissory notes.
                                               Series V. Letter of Allotment. Date of
                                               Maturity: 30.04.2014
UCO BANK                        INE691A09060   7.50 % Unsecured Non Convertible
                                               Bonds in form of promissory notes.
                                               Series VI. Letter of allotment. Date of
                                               Maturity: 15.04.2015
UCO BANK                        INE691A09078   7.85 % Unsecured, Redeemable Non
                                               Convertible Subordinated bonds in
                                               form of promissory notes. Letter of
                                               allotment. (Series VII). Date of
                                               Maturity: 15/05/2015
UCO BANK                        INE691A09128   9.25 % Unsecured Redeemable Non
                                               Convertible Subordinated Tier -II
                                               bonds in form of promissory notes
                                               .Series VIII. Letter of allotment. Date
                                               of Maturity : 07/04/2016
UCO BANK                        INE691A09144   9.50 % Unsecured Redeemable Non
                                               Convertible Subordinated Tier -II
                                               bonds in form of promissory notes
                                               .Series IX. Letter of allotment. Date
                                               of Maturity : 30/04/2018
UCO BANK                        INE691A09151   9.75% Unsecured Redeemable Non
                                               Convertible Subordinated Tier -II
                                               bonds in form of promissory notes
                                               .Series X. Letter of allotment. Date of
                                               Maturity : 22/04/2019
UCO BANK                        INE691A09169   8.92% Unsecured Redeemable Non
                                               Convertible Subordinated Lower Tier -
                                               II bonds in form of promissory notes
                                               .Series XI. Letter of allotment. Date
                                               of Maturity : 08/03/2020
UCO BANK                          INE691A09086    8.70 % Unsecured Non convertible
                                                  subordinated bonds in nature of
                                                  promisssory notes. (Series-I) (Tier-
                                                  II).m Letter of allotment. Date of
                                                  Maturity: 22/03/2021
UCO BANK                          INE691A09110    9.28 % (for the First 10 Years) and
                                                  (9.78 % if call option is not
                                                  excercised after 10 years)
                                                  Unsecured Redeemable Subordinated
                                                  Upper Tier -II bonds in form of
UCO BANK                          INE691A09136    9.35 % Unsecured Redeemable Non
                                                  Convertible Subordinated Upper Tier -
                                                  II bonds in form of promissory notes
                                                  .Series III. Letter of allotment. Date
                                                  of Maturity : 22/12/2022
UCO BANK                          INE691A09177    Reset rate Unsecured Redeemable
                                                  Non Convertible Subordinated Upper
                                                  Tier -II bonds in form of promissory
                                                  notes .Series IV. Letter of allotment.
                                                  Date of Maturity : 25/03/2025
UCO BANK                          INE691A09094    9.50% Unsecured Non Convertible
                                                  Subordinated Perpetual Bonds in
                                                  nature of promissory notes Series. I.
                                                  Letter of allotment.
UCO BANK                          INE691A09102    9.35% Unsecured Non Convertible
                                                  Subordinated Perpetual Bonds in
                                                  nature of promissory notes Series. II.
                                                  Letter of allotment.
UJJIVAN FINANCIAL SERVICES PVT LTD INE334L07019   10.95% Secured Non-Convertible
                                                  Debenture. Date of Maturity
                                                  27/07/2011


UJJIVAN FINANCIAL SERVICES PVT LTD INE334L07027   10.40% Secured Non-Convertible
                                                  Debenture. Letter of Allotment.Date
                                                  of Maturity 31/12/2012


UJJIVAN FINANCIAL SERVICES PVT LTD INE334L07035   12.86% Secured Non-Convertible
                                                  Debenture. Letter of Allotment. Date
                                                  of Maturity 26/06/2014


ULTRA SPACE DEVELOPERS PRIVATE    INE863K07019    5.75% Secured Non Convertible
LIMITED                                           Debenture.Letter of Allotment.Date
                                                  of Maturity : 07/08/2013


ULTRATECH CEMENT                  INE481G07091    10.525% Secured non convertible
LIMITED(FORMERLY ULTRATECH                        redeemable debentures .Letter of
CEMCO LIMITED)                                    allotment. Date of maturity:
                                                  21.08.2013
ULTRATECH CEMENT LTD              INE018A07409    8.30% Secured Non Convertible
                                                  Debentures , NCD/FXD/02-03/09.
                                                  Date Of Maturity: 02/09/2012.


ULTRATECH CEMENT LTD              INE018A07417    8.25% Secured Non Convertible
                                                  Debentures , NCD/FXD/02-03/08.
                                                  Date Of Maturity: 02/09/2012.


ULTRATECH CEMENT LTD              INE018A07425    8.00% Secured Non Convertible
                                                  Debentures , NCD/FXD/02-03/11.
                                                  Date Of Maturity: 16/09/2012.
ULTRATECH CEMENT LTD            INE018A08928   6.65% Secured Redeemable Non-
                                               Convertible Debentures Series
                                               CALL/NCD/03-04/01 Option-A. Letter
                                               of Allotment
ULTRATECH CEMENT LTD            INE018A08936   Zero Coupon Secured Redeemable
                                               Non-Convertible Debentures Series
                                               CALL/NCD/03-04/01 Option-B. Letter
                                               of Allotment
UNILAZER EXPORTS AND MANAGEMENT INE697K07011   12.75% Secured Non Convertible
CONSULTANTS LIMITED                            Debenture. Date of Maturity :
                                               15/11/2012


UNILAZER MEDIA LIMITED          INE333L08019   0.01% Unsecured Optionally
                                               Convertible Debenture. Date of
                                               Maturity 16/06/2016


UNION BANK OF INDIA             INE692A09068   5.95% Unsecured Redeemable Non-
                                               Convertible Subordinated Bonds
                                               issued in the form of Promissory Notes
                                               Series-VI.
UNION BANK OF INDIA             INE692A09100   8.33% Unsecured Redeemable Non
                                               Convertible Subordinated bond in
                                               form of promissory notes. Series -IX.
                                               Date of Maturity: 19.05.2016
UNION BANK OF INDIA             INE692A09134   9.35% Unsecured Redeemable Non
                                               Convertible Subordinated bonds
                                               Lower Tier - II bond in form of
                                               promissory notes. (Series - XI, First
                                               Tranch) Date of Maturity :
UNION BANK OF INDIA             INE692A09167   10.95% Unsecured Redeemable Non
                                               Convertible Subordinated Lower Tier
                                               - II bond in form of promissory notes.
                                               Series - XII. Date of Maturity :
                                               17/09/2018
UNION BANK OF INDIA             INE692A09175   9.50% Unsecured Redeemable Non
                                               Convertible Subordinated Lower Tier
                                               - II bond in form of promissory notes.
                                               Series - XII. Date of Maturity :
                                               23/12/2018
UNION BANK OF INDIA             INE692A09183   8.60% Unsecured Redeemable Non
                                               Convertible Subordinated Lower Tier
                                               - II bond in form of promissory notes.
                                               Series - XII. Date of Maturity :
                                               30/12/2018
UNION BANK OF INDIA             INE692A09126   8.95% Unsecured Redeemable Non
                                               Convertible Subordinated bonds
                                               Upper Tier - II bond in form of
                                               promissory notes. (Series - X, Second
                                               Tranches) Date of Maturity :
UNION BANK OF INDIA             INE692A09217   Reset rate Unsecured Redeemable
                                               Non Convertible Subordinated Upper
                                               Tier - II bond in form of promissory
                                               notes. Series - XIV-B. Date of Maturity
                                               : 25/06/2024
UNION BANK OF INDIA             INE692A09225   Reset rate Unsecured Redeemable
                                               Non Convertible Subordinated Upper
                                               Tier - II bond in form of promissory
                                               notes. Series - XIV-C. Date of Maturity
                                               : 27/01/2025
UNION BANK OF INDIA             INE692A09233   Reset rate Unsecured Redeemable
                                               Non Convertible Subordinated Upper
                                               Tier - II bond in form of promissory
                                               notes. Letter of Allotment.Series - XV-
                                               A. Date of Maturity : 28/06/2025
UNION BANK OF INDIA    INE692A09142   9.90% Unsecured Redeemable Non
                                      Convertible Subordinated Perpetual
                                      Upper Tier - I bond in form of
                                      promissory notes. Series - XI Second
                                      Tranche
UNION BANK OF INDIA    INE692A09191   Reset rate Unsecured Non
                                      Convertible Subordinated Perpetual
                                      bond in form of promissory notes.
                                      Series - XII
UNION BANK OF INDIA    INE692A09209   Reset rate Unsecured Non
                                      Convertible Subordinated Perpetual
                                      bond in form of promissory notes.
                                      Series - XIV-A
UNION BANK OF INDIA    INE692A09159   11.15% Unsecured Redeemable Non
                                      Convertible Subordinated Perpetual
                                      lower Tier - II bond in form of
                                      promissory notes. Series - XII First
                                      Tranche
UNION BANK OF INDIA    INE692A09118   9.45% Unsecured Redeemable Non
                                      Convertible Subordinated Innovative
                                      Perpetual Upper Tier - I bond in form
                                      of promissory notes. Series - X
UNION BANK OF INDIA    INE692A09092   I Yr INBMK+ 55 bps Unsecured ,
                                      Redeemable Non Convertible
                                      Subordinated bond in form of
                                      promissory notes. Series VIII. Option 2
                                      Date of Maturity: 23.04.2012
UNION BANK OF INDIA    INE692A09084   7.45% Unsecured Redeemable Non
                                      Convertible , Subordinated Bond in
                                      nature of promissory notes. (Series
                                      VIII). Option 1. Date of Maturity:
                                      23.04.2015
UNION BANK OF INDIA    INE692A09076   7.15 % Unsecured , Redeemable Non
                                      convertible subordinated bonds in
                                      nature of Promissory notes. Series VII
                                      . Date of Maturity: 08.05.2015
UNITECH LIMITED        INE694A07167   11.00% Secured Redeemable Non
                                      Convertible Debentures. Final Date of
                                      Redemption : 16/08/2011


UNITECH LIMITED        INE694A07159   11.00% Secured Redeemable Non
                                      Convertible Debentures. Final Date of
                                      Redemption : 15/03/2012


UNITED BANK OF INDIA   INE695A09079   9.30% Unsecured Non convertible
                                      bond in form of promissory notes.
                                      Lower Tier II. Series VI. Date of
                                      Maturity: 25/03/2019
UNITED BANK OF INDIA   INE695A09020   7.4 % Unsecured Non convertible bond
                                      in the form of promisory notes. Seires
                                      II. Letter of allotment . Date of
                                      maturity: 15.05.2015
UNITED BANK OF INDIA   INE695A09038   8.00% Unsecured Non convertible
                                      subordinated bond in form of
                                      promissory notes. Tier II. Series III.
                                      Date of Maturity: 29/04/2016
UNITED BANK OF INDIA   INE695A09046   9.25% Unsecured Non convertible
                                      subordinated bond in form of
                                      promissory notes. Tier II. Series IV.
                                      Date of Maturity: 16/08/2016
UNITED BANK OF INDIA          INE695A09053   10.10% Unsecured Non convertible
                                             bond in form of promissory notes.
                                             Tier II. Series V. Date of Maturity:
                                             27/04/2017
UNITED BANK OF INDIA          INE695A09061   10.65% Unsecured Non convertible
                                             bond in form of promissory notes.
                                             Upper Tier II. Series I. Date of
                                             Maturity: 18/06/2022
UNITED PHOSPHORUS LIMITED     INE628A08072   8.75% Unsecured Non-Convertible
                                             Redeemable Debentures. Series - A.
                                             Letter Of Allotment.Date of Maturity
                                             : 13/08/2012
UNITED PHOSPHORUS LIMITED     INE628A08080   9.00% Unsecured Non-Convertible
                                             Redeemable Debentures. Series - B.
                                             Letter Of Allotment.Date of Maturity
                                             : 13/02/2013
UNITED PHOSPHORUS LIMITED     INE628A08098   9.50% Unsecured Non-Convertible
                                             Redeemable Debentures. Letter Of
                                             Allotment.Date of Maturity :
                                             12/01/2015
UNITED PHOSPHORUS LIMITED     INE628A07520   11.70% Secured Redeemable Non-
                                             Convertible Debentures. Letter Of
                                             Allotment.Date of Maturity :
                                             27/01/2016
UNITED PHOSPHORUS LIMITED     INE628A08106   Reset rate Unsecured Non-Convertible
                                             Redeemable Debentures. Letter Of
                                             Allotment.Series - A.Date of Maturity
                                             : 09/04/2017
UNITED PHOSPHORUS LIMITED     INE628A08122   10.25% Unsecured Non-Convertible
                                             Debenture. Letter of Allotment.
                                             Series - A. Date of Maturity
                                             05/10/2018
UNITED PHOSPHORUS LIMITED     INE628A08130   10.35% Unsecured Non-Convertible
                                             Debenture. Letter of Allotment.
                                             Series - B. Date of Maturity
                                             05/10/2019
UNITED PHOSPHORUS LIMITED     INE628A08114   Reset rate Unsecured Non-Convertible
                                             Redeemable Debentures. Letter Of
                                             Allotment.Series - B.Date of Maturity
                                             : 09/04/2020
UNITED PHOSPHORUS LIMITED     INE628A08148   10.42% Unsecured Non-Convertible
                                             Debenture. Letter of Allotment.
                                             Series - C. Date of Maturity
                                             05/10/2021
UNITED PHOSPHORUS LIMITED     INE628A08155   10.47% Unsecured Non-Convertible
                                             Debenture. Letter of Allotment.
                                             Series - D. Date of Maturity
                                             05/10/2022
UNITED PHOSPHORUS LIMITED     INE628A08163   Reset rate Unsecured Non-Convertible
                                             Debenture. Letter of Allotment. Date
                                             of Maturity 06/07/2026


UNIVERSAL BUILDWELL PVT LTD   INE257M07010   16.75% Secured Non-Convertible
                                             Debenture. Date of Maturity
                                             21/01/2014
UNIVERSAL BUILDWELL PVT LTD     INE257M07028   16.75% Secured Non-Convertible
                                               Debenture. Date of Maturity
                                               04/02/2014


UNIVERSAL BUILDWELL PVT LTD     INE257M07036   16.75% Secured Non-Convertible
                                               Debenture. Date of Maturity
                                               01/03/2014


UNIVERSAL BUILDWELL PVT LTD     INE257M07044   16.75% Secured Non-Convertible
                                               Debenture. Date of Maturity
                                               01/03/2014


UNIVERSAL BUILDWELL PVT LTD     INE257M07051   16.75% Secured Non-Convertible
                                               Debenture. Date of Maturity
                                               20/04/2014


UNIVERSAL BUILDWELL PVT LTD     INE257M07069   16.75% Secured Non-Convertible
                                               Debenture. Date of Maturity
                                               11/05/2014


URBAN INFRASTRUCTURE HOLDINGS   INE270H08011   Zero Coupon Unsecured fully
PRIVATE LIMITED                                Convertible Debenture. Date of
                                               Maturity 01/10/2012


UTI BANK LIMITED                INE238A08153   6.25% Unsecured Redeemable Non-
                                               Convertible Subordinated Debentures
                                               Series VIII Option-II. letter of
                                               Allotment.
UTI BANK LIMITED                INE238A08070   9.30% Unsecured Non-Convertible
                                               Redeemable Subordinated Bonds
                                               (Series V Option-III) in the nature of
                                               Non-Convertible Debentures. Date of
                                               Maturity : 20/06/2012
UTI BANK LIMITED                INE238A08187   1 Yr INBMK+65 bps Unsecured
                                               Redeemable Non convertible
                                               debentures. Letter of allotment.
                                               Series X. Date of maturity: 25.07.2012
UTI BANK LIMITED                INE238A08104   8.95% Unsecured Redeemable Non-
                                               Convertible Subordinated Debentures.
                                               Series VI Option-III. Date of Maturity :
                                               21/09/2012
UTI BANK LIMITED                INE238A08138   7.00% Unsecured Redeemable Non-
                                               Convertible Subordinated Debentures
                                               Series VII Option-III.


UTI BANK LIMITED                INE238A08195   8.50% Unsecured Redeemable Non
                                               convertible debentures. Letter of
                                               allotment. Series XI. Opion -I. Date of
                                               maturity: 22.06.2013
UTI BANK LIMITED                INE238A08203   8.32% Unsecured Redeemable Non
                                               convertible debentures. Letter of
                                               allotment. Series XI.Opion -IA. Date
                                               of maturity: 22.06.2013
UTI BANK LIMITED                INE238A08237   8.95% Unsecured Non Convertible
                                               Debentures. Option - I Series XI
                                               Tranche II .Letter of Allotment. Date
                                               of Maturity : 28/09/2013
UTI BANK LIMITED             INE238A08161   6.50% Unsecured Redeemable Non-
                                            Convertible Subordinated Debentures
                                            Series VIII Option-III. letter of
                                            Allotment.
UTI BANK LIMITED             INE238A08211   8.75% Unsecured Redeemable Non
                                            convertible debentures. Letter of
                                            allotment. Series XI.Opion -II. Date of
                                            maturity: 22.03.2016
UTI BANK LIMITED             INE238A08229   8.56% Unsecured Redeemable Non
                                            convertible debentures. Letter of
                                            allotment. Series XI.Opion -IIA. Date
                                            of maturity: 22.03.2016
UTI BANK LIMITED             INE238A08245   9.10% Unsecured Non Convertible
                                            Debentures. Option -II Series XI
                                            Tranche II .Letter of Allotment. Date
                                            of Maturity : 28/06/2016
UTI BANK LIMITED             INE238A08286   10.10% Unsecured Redeemable Non
                                            Convertible Subordinated Tier II
                                            Debentures. Date of Maturity :
                                            30/03/2017
UTI BANK LIMITED             INE238A08260   9.35% Unsecured Non Convertible
                                            Debentures. Upper Tier II . Date of
                                            Maturity : 24/11/2021


UTI BANK LIMITED             INE238A08278   9.50% Unsecured Redeemable Non
                                            Convertible Subordinated Debentures.
                                            Upper Tier II . Date of Maturity :
                                            06/02/2022
UTI BANK LIMITED             INE238A08252   10.05% Unsecured Redeemable Non
                                            Convertible Perpetual
                                            Debentures.Tier - I


UTTAM GALVA STEELS LIMITED   INE699A07083   11.25% Secured Redeemable Non
                                            Convertible Debenture.Final Date of
                                            Redemption : 25/03/2015


UTTAR PRADESH FINANCIAL      INE408G07011   8.3% Secured Redeemable Non-
CORPORATION                                 Convertible UPFC Bonds.



UTTAR PRADESH FINANCIAL      INE408G07029   7.92% Secured Redeemable Non-
CORPORATION                                 Convertible UPFC Bonds.



UTTAR PRADESH FINANCIAL      INE408G07045   6.75% Secured Redeemable Non-
CORPORATION                                 Convertible UPFC Bonds.



UTTAR PRADESH FINANCIAL      INE408G09017   8.35% Secured Non Convertible UPFC
CORPORATION                                 bonds 2011- IV 10 years in the form of
                                            Promissory Notes.


VADODARA HALOL TOLL ROAD     INE859D11014   Sedured Non-Convertible Deep
COMPANY LIMITED                             Discount Bonds. Date of
                                            maturity:16.04.2016
VADODARA HALOL TOLL ROAD        INE859D11022   Sedured Non-Convertible Deep
COMPANY LIMITED                                Discount Bonds. Date of
                                               maturity:17.04.2016


VADODARA HALOL TOLL ROAD        INE859D11030   Sedured Non-Convertible Deep
COMPANY LIMITED                                Discount Bonds. Date of
                                               maturity:29.11.2016


VEDANTA ALUMINIUM LIMITED       INE704J07017   11.50% Secured Reddemable Non
                                               Convertible Debentures.Letter of
                                               Allotment.Final Date of Redemption :
                                               23/10/2015
VICEROY HOTELS LTD (EARLIER     INE048C07014   10.75% Secured Redeemable Non
PALACE HEIGHTS HOTELS LTD)                     Convertible Debentures in the form of
                                               promissory notes. Final Date of
                                               Redemption: 31/03/2014
VIDARBHA IRRIGATION DEVELOPMENT INE739F08084   12.25% Secured Redeemable Non-
CORPORATION                                    Convetible Bonds Series VI. Letter of
                                               Allotment. Date of Maturity
                                               :05/11/2011
VIDARBHA IRRIGATION DEVELOPMENT INE739F08100   12.25% + 525 bps over BR Secured
CORPORATION                                    Redeemable Non-Convetible Bonds
                                               Series VI. Letter of Allotment. Date of
                                               Maturity 05/11/2013
VIDARBHA IRRIGATION DEVELOPMENT INE739F07086   11.25% Secured Non Convertible
CORPORATION                                    Bonds . Series VII Option B. Letter of
                                               Allotment


VIDARBHA IRRIGATION DEVELOPMENT INE739F07052   11.25% Secured Redeemable Non
CORPORATION                                    Convertible Bonds . Series VIII. Option
                                               B. Letter of Allotment


VIDARBHA IRRIGATION DEVELOPMENT INE739F08092   12.50% Secured Redeemable Non-
CORPORATION                                    Convetible Bonds Series VI. Letter of
                                               Allotment. Date of Maturity
                                               :05/11/2013
VIDARBHA IRRIGATION DEVELOPMENT INE739F07094   11.50% Secured Non Convertible
CORPORATION                                    Bonds . Series VII Option C. Letter of
                                               Allotment


VIDARBHA IRRIGATION DEVELOPMENT INE739F07060   11.50% Secured Redeemable Non
CORPORATION                                    Convertible Bonds . Series VIII. Option
                                               C. Letter of Allotment


VIDARBHA IRRIGATION DEVELOPMENT INE739F08068   13.50% Secured Redeemable Non-
CORPORATION                                    Convetible Bonds Series V. Letter of
                                               Allotment. Date of Maturity
                                               :15/09/2015
VIDEOCON APPLIANCES LTD.        INE352A08103   Zero Coupon Secured Non-convertible
                                               Debentures. LOA. Date of Maturity:
                                               01/09/2012


VIDEOCON APPLIANCES LTD.        INE352A07014   Zero Coupon Secured Non-convertible
                                               Debentures.
VIDEOCON COMMUNICATIONS LTD.     INE219F08012   Zero Coupon Secured Non-convertible
                                                Debentures. LOA. Date of Maturity:
                                                01/09/2012


VIDEOCON COMMUNICATIONS LTD.     INE219F07014   Zero Coupon Secured Non-convertible
                                                Debentures.



VIDEOCON INDUSTRIES LIMITED      INE703A07067   9.00% Secured Non Convertible
(FORMERLY VIDEOCON LEASING AND                  Debentures. Letter of allotment.
INDUST FIN LTD)                                 Date of Maturity :01/01/2012


VIJAY ASSOCIATES (WADHWA)        INE122L07034   16% Secured Non-Convertible
CONSTRUCTIONS P.LTD                             Debenture. Series- B,Tranch 2. Date
                                                of Maturity 01/06/2013


VIJAY ASSOCIATES (WADHWA)        INE122L07018   16.00% Secured Non Convertible
CONSTRUCTIONS PRIVATE LIMITED                   Debenture.Date of Maturity :
                                                31/05/2013


VIJAY ASSOCIATES (WADHWA)        INE122L07026   16% Secured Non-Convertible
CONSTRUCTIONS PRIVATE LIMITED                   Debenture. Series- B 1 Date of
                                                Maturity 01/06/2013


VIJAYA BANK                      INE705A09050   7.15 % Unsecured Redeemable Non-
                                                Convertible Subordinated Bonds - Tier
                                                II in form of promisoory note. Series
                                                IV. Date of Maturity: 15.06.2015
VIJAYA BANK                      INE705A09068   9.25 % Unsecured Redeemable Non-
                                                Convertible Subordinated Bonds in
                                                form of promisoory note. Series V -
                                                Tier II. Date of Maturity: 01.08.2016
VIJAYA BANK                      INE705A09084   9.50% Unsecured Redeemable Non-
                                                Convertible Subordinated Bonds in
                                                form of promisoory note. Series VI -
                                                Lower Tier II.Letter of Allotment.
                                                Date of Maturity: 31.10.2017
VIJAYA BANK                      INE705A09092   9.35% Unsecured Redeemable Non-
                                                Convertible Subordinated Bonds in
                                                form of promisoory note. Series VII -
                                                Lower Tier II.Letter of Allotment.
                                                Date of Maturity: 30.04.2018
VIJAYA BANK                      INE705A09118   9.35% Unsecured Redeemable Non-
                                                Convertible Subordinated Bonds in
                                                form of promisoory note. Series VII -
                                                Lower Tier II.Date of Maturity:
                                                30.04.2018
VIJAYA BANK                      INE705A09076   10.10 % Unsecured Redeemable Non-
                                                Convertible Subordinated Bonds in
                                                form of promisoory note. Series I -
                                                Upper Tier II.Letter of Allotment.
                                                Date of Maturity: 20.03.2022
VIJAYA BANK                      INE705A09100   9.45% Unsecured Redeemable Non-
                                                Convertible Subordinated Bonds in
                                                form of promissory note. Series II -
                                                Upper Tier II.Letter of Allotment.
                                                Date of Maturity: 17.03.2023
VITAL CONSTRUCTION PRIVATE       INE768I08012   12.00% Unsecured Fully Convertible
LIMITED                                         Debentures. Date of maturity :
                                                19/03/2012
WATER & SANITATION POOLED FUND   INE873F09014   9.20% Unsecured Redeemable Non-
                                                Convertible Bonds in the form of
                                                Promissory Notes. Date of Final
                                                Redemption: 20/12/2017
WATER AND SANITATION POOLED      INE873F09022   7.25% Unsecured Redeemable Non-
FUND                                            Convertible Tax Free Pooled Finance
                                                Development Bonds in the form of
                                                Promissory Notes Letter of Allotment
                                                Date of Final Redemption:
WATER AND SANITATION POOLED      INE873F09030   7.50% Unsecured Redeemable Non-
FUND                                            Convertible Tax Free Pooled Finance
                                                Pooled Development Bonds under
                                                Pooled Finance Development Scheme
                                                of Government of India in the form of
WELSPUN CORP LIMITED (FORMERLY   INE191B07071   9.55% Secured Non - Convertible
WELSPUN GUJARAT STAHL ROHREN                    Debenture Letter of Allotment Date
LIMITED)                                        of Maturity : 03/08/2025


WELSPUN CORP LIMITED (FORMERLY   INE191B07089   9.55% Secured Non-Convetible
WELSPUN GUJARAT STAHL ROHREN                    Debenture. Letter of Allotment . Date
LIMITED)                                        of Maturity 28/09/2025


WELSPUN GUJARAT STAHL ROHREN     INE191B07030   10.5% Secured Non - Convertible
LIMITED                                         Debenture Letter of Allotment Date
                                                of Maturity : 28/11/2012


WELSPUN GUJARAT STAHL ROHREN     INE191B07055   10.40% Secured Non - Convertible
LIMITED                                         Debenture Letter of Allotment Date
                                                of Maturity : 30/12/2012


WELSPUN INDIA LTD.               INE192B07087   Zero Coupon Secured Redeemable
                                                NCD.Series G Date of Final
                                                Redemption : 30/09/2011


WEST BENGAL FINANCIAL            INE690F09210   11.50% Redeemable Non-Convertible
CORPORATION                                     SLR Bonds in the Form of Promossory
                                                Notes. Date of Maturity : 04/09/2011


WEST BENGAL FINANCIAL            INE690F09319   8.35% Redeemable Non-Convertible
CORPORATION                                     SLR Bonds in the Form of Promossory
                                                Notes. Date of Maturity : 20/12/2011


WEST BENGAL FINANCIAL            INE690F09327   8.30% Redeemable Non-Convertible
CORPORATION                                     SLR Bonds in the Form of Promossory
                                                Notes. Date of Maturity : 22/02/2012


WEST BENGAL FINANCIAL            INE690F09335   8.00% Redeemable Non-Convertible
CORPORATION                                     SLR Bonds in the Form of Promossory
                                                Notes. Date of Maturity : 23/03/2012


WEST BENGAL FINANCIAL            INE690F08014   7.92% Secured Redeemable Non-
CORPORATION                                     Convertible SLR Bonds in the Form of
                                                Debentures. Date of Maturity :
                                                25/07/2012.
WEST BENGAL FINANCIAL            INE690F09343   6.75% Redeemable Non-Convertible
CORPORATION                                     SLR Bonds in the Form of Promossory
                                                Notes.
WEST BENGAL FINANCIAL   INE690F09376   7.75 % Secured Redeemable Non
CORPORATION                            cumulative Non convertible SLR bonds
                                       inform of Promissory note. Date of
                                       maturity: 11.03.2012
WEST BENGAL FINANCIAL   INE690F08063   8.48% Unsecured Redeemable Non
CORPORATION                            Convertible Non SLR Bonds. (Series
                                       VIII) Date of Maturity: 29/08/2013


WEST BENGAL FINANCIAL   INE690F08071   8.50% Unsecured Redeemable Non
CORPORATION                            Convertible Non SLR Bonds. (Series IX)
                                       Date of Maturity: 18/04/2014


WEST BENGAL FINANCIAL   INE690F08048   7.95% Unsecured Redeemable Non
CORPORATION                            Convertible Non SLR Bonds. Date of
                                       Maturity: 19/05/2014


WEST BENGAL FINANCIAL   INE690F09384   7.65 % Secured (by State Govt.
CORPORATION                            Gurantee)Redeemable Non
                                       convertible Non SLR Bonds inform of
                                       promissory notes. Letter of
                                       allotment. Date of Maturity:
WEST BENGAL FINANCIAL   INE690F09392   7.75% Redeemable Non-Convertible
CORPORATION                            Non-SLR Bonds in the Form of
                                       Promissory Notes. Secured By State
                                       Govt. guarantee.
WEST BENGAL FINANCIAL   INE690F08089   8.50% Unsecured Redeemable Non
CORPORATION                            Convertible Non SLR Bonds. (Series IX -
                                       3rd Issue) Date of Maturity:
                                       10/07/2014
WEST BENGAL FINANCIAL   INE690F08055   7.95% Unsecured Redeemable Non
CORPORATION                            Convertible Non SLR Bonds. (Series VII
                                       - 3rd Issue) Date of Maturity:
                                       08/08/2014
WEST BENGAL FINANCIAL   INE690F08121   8.50% Unsecured Redeemable Non
CORPORATION                            Convertible Non SLR Bonds. (Series IX -
                                       3rd Issue) Date of Maturity:
                                       28/08/2014
WEST BENGAL FINANCIAL   INE690F09418   7.75% Secured Redeemable Non
CORPORATION                            cumulative Non Convertible Non SLR
                                       Bond in nature of promissory notes.
                                       Date of Maturity: 29/11/2014
WEST BENGAL FINANCIAL   INE690F08022   7.75% Unsecured Redeemable Non
CORPORATION                            cumulative Non convertible Non -SLR
                                       bond. Date of Maturity: 29/01/2015


WEST BENGAL FINANCIAL   INE690F08030   7.90% Unsecured Redeemable Non
CORPORATION                            Convertible Non SLR Bonds. Date of
                                       Maturity 04/04/2016


WEST BENGAL FINANCIAL   INE690F08097   9.15% Unsecured Redeemable Non
CORPORATION                            Convertible Non SLR Bonds. (Series X -
                                       1st Issue) Date of Maturity:
                                       13/11/2016
WEST BENGAL FINANCIAL   INE690F08105   8.85% Unsecured Redeemable Non
CORPORATION                            Convertible Non SLR Bonds. (Series X -
                                       2nd Issue) Date of Maturity:
                                       05/02/2017
WEST BENGAL FINANCIAL        INE690F08113   9.05% Unsecured Redeemable Non
CORPORATION                                 Convertible Non SLR Bonds. (Series X -
                                            3rd Issue) Date of Maturity:
                                            01/03/2017
WEST BENGAL FINANCIAL        INE690F08139   9.30% Unsecured Redeemable Non
CORPORATION                                 Convertible Non SLR Bonds. (Series XI -
                                            1st Issue) Date of Maturity:
                                            12/12/2018
WEST BENGAL FINANCIAL        INE690F08147   8.90% Unsecured Redeemable Non
CORPORATION                                 Convertible Non SLR Bonds. (Series XI -
                                            2nd Issue) Date of Maturity:
                                            25/03/2019
WEST BENGAL FINANCIAL        INE690F08154   8.60% Unsecured Redeemable Non
CORPORATION                                 Convertible Non SLR Bonds. (Series XII
                                            - 1st Issue) Date of Maturity:
                                            30/12/2019
WEST BENGAL FINANCIAL        INE690F08162   8.60% Unsecured Redeemable Non
CORPORATION                                 Convertible Non SLR Bonds. (Series XII
                                            - 2nd Issue) Date of Maturity:
                                            03/03/2020
WEST BENGAL INFRASTRUCTURE   INE740F08314   8.75% (Government Guranteed)
DEVELOPMENT FIN. CORP LTD.                  Taxable Unsecured Non Convertible
                                            Bond . Letter of allotment. IBAA (Opt -
                                            I). Date of Maturity:04/10/2013
WEST BENGAL INFRASTRUCTURE   INE740F08348   9.10% Unsecured Non Convertible
DEVELOPMENT FIN. CORP LTD.                  Bond . Series : IBAD. Date of
                                            Maturity:08/10/2014


WEST BENGAL INFRASTRUCTURE   INE740F08272   8.00% Unsecured Government
DEVELOPMENT FIN. CORP LTD.                  Guranteed Taxable infrastructure
                                            Development bonds Series IB (AZ-2004-
                                            2005) .Letter of allotment. Date of
                                            Maturity: 01.04.2015
WEST BENGAL INFRASTRUCTURE   INE740F08306   8.00% (Government Guranteed)
DEVELOPMENT FIN. CORP LTD.                  Taxable Unsecured Non Convertible
                                            Bond . Letter of allotment. IB (AZ (Z)
                                            /2005-2006) Date of
                                            Maturity:11/12/2015
WEST BENGAL INFRASTRUCTURE   INE740F08322   9.00% (Government Guranteed)
DEVELOPMENT FIN. CORP LTD.                  Taxable Unsecured Non Convertible
                                            Bond . Letter of allotment. IBAB (Opt -
                                            II).Date of Maturity:04/10/2016
WEST BENGAL INFRASTRUCTURE   INE740F08330   9.10% (Government Guranteed)
DEVELOPMENT FIN. CORP LTD.                  Taxable Unsecured Non Convertible
                                            Bond . Letter of allotment. IBAC (Opt -
                                            III). Date of Maturity:04/10/2016
WEST BENGAL INFRASTRUCTURE   INE740F08371   9.05% Unsecured Non Convertible
DEVELOPMENT FIN. CORP LTD.                  Bond . Series : IBAG. Date of
                                            Maturity:06/04/2017


WEST BENGAL INFRASTRUCTURE   INE740F08355   9.20% Unsecured Non Convertible
DEVELOPMENT FIN. CORP LTD.                  Bond . Series : IBAE. Date of
                                            Maturity:08/10/2017


WEST BENGAL INFRASTRUCTURE   INE740F08363   9.30% Unsecured Non Convertible
DEVELOPMENT FIN. CORP LTD.                  Bond . Series : IBAF. Date of
                                            Maturity:08/10/2017
WEST BENGAL INFRASTRUCTURE      INE740F08389   9.15% Unsecured Non Convertible
DEVELOPMENT FIN. CORP LTD.                     Bond . Series : IBAH. Date of
                                               Maturity:06/04/2020


WEST BENGAL INFRASTRUCTURE      INE740F08397   9.20% Unsecured Non Convertible
DEVELOPMENT FIN. CORP LTD.                     Bond . Series : IBAI. Date of
                                               Maturity:06/04/2020


WEST BENGAL INFRASTRUCTURE      INE740F08280   7.50 % Unsecured non convertible
DEVELOPMENT FIN. CORP LTD.                     taxable infrastructure development
                                               bonds . Letter of allotment. Series IB
                                               (AX 2004-2005) Date of maturity:
                                               20.05.2012
WEST BENGAL INFRASTRUCTURE      INE740F08298   7.75 % Unsecured Non Convertible
DEVELOPMENT FIN. CORP LTD.                     Govenrnment Guranteed Taxable
                                               Infrastructure Development Bonds
                                               .Series IB (AY/2004-2005). Letter of
                                               allotment. Date of Maturity:
WEST BENGAL INFRASTRUCTURE      INE740F08256   8.25% Unsecured Government
DEVELOPMENT FINANCE COR                        Guaranteed Taxable Infrastructure
                                               Development Non Convertible Bonds.
                                               Letter of Allotment
WEST BENGAL INFRASTRUCTURE      INE740F08264   8.40% Unsecured Government
DEVELOPMENT FINANCE COR                        Guaranteed Taxable Infrastructure
                                               Development Non Convertible Bonds.
                                               Letter of Allotment
WEST BENGAL INFRASTRUCTURE      INE740F08173   11.85% Unsecured Government
DEVELOPMENT FINANCE                            Guaranteed Taxable Infrastructure
CORPORATION LTD.                               Development Non Convertible Bonds.
                                               Letter of Allotment
WEST BENGAL INFRASTRUCTURE      INE740F08207   11.85% Unsecured Government
DEVELOPMENT FINANCE                            Guaranteed Taxable Infrastructure
CORPORATION LTD.                               Development Non Convertible Bonds.
                                               Letter of Allotment
WEST BENGAL INFRASTRUCTURE      INE740F08231   10.5% Unsecured Government
DEVELOPMENT FINANCE                            Guaranteed Taxable Infrastructure
CORPORATION LTD.                               Development Non Convertible Bonds.
                                               Letter of Allotment.
WEST BENGAL INFRASTRUCTURE      INE740F08124   12.60% Unsecured Government
DEVELOPMENT FINANCE                            Guaranteed Taxable Infrastructure
CORPORATION LTD.                               Development Non Convertible
                                               Bonds.Letter of Allotment
WEST BENGAL STATE ELECTRICITY   INE287G09015   8.50 % Secured Redeemable State
BOARD                                          Govt. Guaranteed Bonds in the form
                                               of Promissory Note.


WEST BENGAL STATE ELECTRICITY   INE287G09031   8. 50% Secured Redeemable State
BOARD                                          Govt. Guaranteed Bonds in the form
                                               of Promissory Note.


WEST BENGAL STATE ELECTRICITY   INE411L07015   9.34% Secured Redeemable Non
DISTRIBUTION COMPANY LIMITED                   Convertible Bonds Series - I in the
                                               nature of Debenture. Letter of
                                               Allotment.Date of Maturity:
                                               16/08/2025
WEST BENGAL STATE ELECTRICITY   INE411L07023   9.34% Secured Non-Convertible Bonds
DISTRIBUTION COMPANY LIMITED                   in the nature of Debentures. Letter of
                                               Allotment. Series- II. Date of Maturity
                                               25/10/2025
WEST GUJARAT EXPRESSWAY LIMITED INE475I08014       Reset Rate Unsecured Non
                                                   Convertible Debentures. Final Date of
                                                   Redemption: 30/06/2020


WIRE AND WIRELESS (INDIA) LIMITED   INE965H07018   9.95% Secured Redeemable Non
                                                   Convertible Debentures. Final Date
                                                   of Redemption : 10/06/2012


WOCKHARDT LIMITED                   INE049B07030   12.25% Secured Redeemable Non-
                                                   Convertible Debenture. Letter of
                                                   Allotment.Final Date of
                                                   Redemption:07/08/2015
YES BANK LIMITED                    INE528G08188   Reset Rate Unsecured Non-
                                                   Convertible,Subordinates Tier II Bond
                                                   in the Nature of Debenture. Date of
                                                   Maturity 02/09/2013
YES BANK LIMITED                    INE528G09012   9.10% Unsecured Non Convertible
                                                   Subordinated Bonds in the nature of
                                                   promissory note. Date of Maturity :
                                                   07/05/2016
YES BANK LIMITED                    INE528G08063   10.00% Unsecured Redeemable Non
                                                   Convertible Tier II Subordinated
                                                   Bonds in the nature of debentures.
                                                   Date of Maturity : 29/04/2017
YES BANK LIMITED                    INE528G08113   10.00% Unsecured Non convertible
                                                   Subordinated Tier II (Tranche IV) bond
                                                   in the nature of debenture Date of
                                                   Maturity: 07/05/2017
YES BANK LIMITED                    INE528G08097   10.15% Unsecured Non convertible
                                                   bond in the nature of debenture Date
                                                   of Maturity: 30/05/2017


YES BANK LIMITED                    INE528G08105   10.15% Unsecured Non convertible
                                                   Subordinated Tier II (Tranche III) bond
                                                   in the nature of debenture Date of
                                                   Maturity: 12/06/2017
YES BANK LIMITED                    INE528G08147   9.65% Unsecured Non Convertible
                                                   Subordinated Tier II bond in the
                                                   nature of debenture Date of
                                                   Maturity: 22/01/2020
YES BANK LIMITED                    INE528G08139   9.65% Unsecured Non Convertible
                                                   Subordinated Tier II bond in the
                                                   nature of debenture Date of
                                                   Maturity: 30/04/2020
YES BANK LIMITED                    INE528G08170   9.30% Unsecured Non Convertible
                                                   Subordinated Lower Tier II bond in
                                                   the nature of debenture Date of
                                                   Maturity: 30/04/2020
YES BANK LIMITED                    INE528G08014   9.73% Unsecured Non Convertible
                                                   Upper Tier II Bonds in the nature of
                                                   debentures. Date of Maturity :
                                                   02/01/2022
YES BANK LIMITED                    INE528G08022   9.60% Unsecured Redeemable Non
                                                   Convertible Upper Tier II
                                                   Subordinated Bonds in the nature of
                                                   debentures. Date of Maturity :
                                                   07/02/2022
YES BANK LIMITED   INE528G08030   10.00% Unsecured Redeemable Non
                                  Convertible Upper Tier II
                                  Subordinated Bonds in the nature of
                                  debentures. Date of Maturity :
                                  14/03/2022
YES BANK LIMITED   INE528G09020   10.10% Unsecured Non Convertible
                                  Subordinated Bonds in the nature of
                                  promissory note.Upper Tier II. Date of
                                  Maturity : 15/03/2022
YES BANK LIMITED   INE528G08048   10.40% Unsecured Redeemable Non
                                  Convertible Upper Tier II
                                  Subordinated Bonds in the nature of
                                  debentures. Date of Maturity :
                                  23/03/2022
YES BANK LIMITED   INE528G09038   10.40% Unsecured Non Convertible
                                  Subordinated Bonds in the nature of
                                  promissory note.Upper Tier II. Date of
                                  Maturity : 31/03/2022
YES BANK LIMITED   INE528G08055   10.40% Unsecured Redeemable Non
                                  Convertible Upper Tier II
                                  Subordinated Bonds in the nature of
                                  debentures. Date of Maturity :
                                  20/04/2022
YES BANK LIMITED   INE528G08071   10.70% Unsecured Redeemable Non
                                  Convertible Upper Tier II
                                  Subordinated Bonds in the nature of
                                  debentures. Date of Maturity :
                                  29/09/2022
YES BANK LIMITED   INE528G08089   10.70% Unsecured Redeemable Non
                                  Convertible Upper Tier II
                                  Subordinated Bonds in the nature of
                                  debentures. Date of Maturity :
                                  08/11/2022
YES BANK LIMITED   INE528G08121   11.75% Unsecured Non convertible
                                  Subordinated Upper Tier II bond in
                                  the nature of debenture Date of
                                  Maturity: 15/09/2023
YES BANK LIMITED   INE528G08162   Reser rate Unsecured Non-Convertible
                                  Upper tier II Subordinated Bond in the
                                  nature of Debenture.Date of Maturity
                                  08/09/2025
YES BANK LIMITED   INE528G09046   10.25% Unsecured Non Convertible
                                  Tier -I Subordinated Perpetual Bonds
                                  in form of promissory notes. Letter of
                                  allotment.
YES BANK LIMITED   INE528G09053   10.25% Unsecured Non Convertible
                                  Tier -I Subordinated Perpetual Bonds
                                  in form of promissory notes.


YES BANK LIMITED   INE528G09061   10.25% Unsecured Non Convertible
                                  Tier -I Subordinated Perpetual Bonds
                                  in form of promissory notes.


YES BANK LIMITED   INE528G09079   Reset Rate Unsecured Non-
                                  Convertible Tier I Subordinated
                                  Perpectual Bond in the Nature of
                                  Promissory Notes.
YES BANK LIMITED   INE528G08154   9.65% Unsecured Non Convertible
                                  Subordinated Upper Tier II bond in
                                  the nature of debenture Date of
                                  Maturity: 14/08/2025
Description In NSDL               Issue price (per security)             Face Value (per security)




SADBHAV ENGINEERING LIMITED       1000000                                1000000
12.5 LOA 23MR14 FVRS10LAC



SAHAYATA MICROFINANCE PVT LTD                                  1000000                               1000000
12.25 NCD 28MR13 FVRS10LAC



SAHIL RESORTS, AGRIFIELDS & FARMS 100                                    100
PVT LTD
11.25 NCD 07SP11 FVRS100


SAHYOG HOMES LIMITED 18 LOA       100000                                 100000
20JU14 FVRS1LAC



SAMRUDDHI CEMENT LIMITED          1000000                                1000000
10.48 NCD 16DC13 FVRS10LAC



SAMRUDDHI CEMENT LIMITED          1000000                                1000000
8.8 NCD 30DC15 FVRS10LAC



SAMRUDDHI CEMENT LIMITED          1000000                                1000000
8.01 NCD 14JL16 FVRS10LAC



SAMTEL COLOR                      100                                    100
BD 31DC16 FVRS100



SARDA ENERGY & MINERALS LIMITED   1000000                                1000000
9.55 LOA 26JL17 FVRS10LAC



SSNNL                             1000000                                1000000
7.75 LOA 04OT11 FVRS 10LAC



SSNNL SR-2 OPT2                   1,00,000                               1,00,000
11.95 BD 26DC11 FV RS 1 LAC



SSNNL SR-3 OPT2                   1,00,000                               1,00,000
11.5 BD 13MR12 FV RS 1 LAC



SSNNL SR-1 OPT2                   1,00,000                               1,00,000
11.5 BD 06AG12 FV RS 1 LAC
SSNNL                                                  3,600    1,11,000
DDB 11JN14 FV RS 111000



SSNNL                                1,000,000.00               1,000,000.00
8.25 LOA 09MR14 FV RS 10LAC



SSNNL                                1,000,000.00               1,000,000.00
8.6 LOA 09MR15 FV RS 10 LAC



SSNNL                                1,000,000.000              1,000,000.000
8.95 LOA 27JN16 FV RS 10 LAC



SSNNL                                1000000                    1000000
8 LOA 04OT16 FV RS 10LAC



SATELLITE DEVELOPERS LIMITED 17.25                   50000000                   50000000
LOA 31MR14 FVRS5CR



SATIN CREDITCARE NETWORK LIMITED                     9960000                    10000000
12.1 LOA 29MR13 FVRS1CR



SAURASHTRA CEM                       100                        100
RR NCD 01JL15 FVRS100



SAURASHTRA CEM                       200                        200
RR NCD 01JL15 FVRS200



SBICPSL                              1000000                    1000000
10.75 LOA 15JU14 FVRS10LAC



SBICPSL                              1000000                    1000000
9.95 LOA 22JN18 FVRS10LACS



SBI FACTORS                          10000000                   10000000
7.35 LOA 30AP14 FVRS1CR



SBI GLOBAL FACTORS LIMITED           1000000                    1000000
8.75 NCD 25AG20 FVRS10LAC



SCHWING STETTER (INDIA) PVT LTD      1000000                    1000000
10 LOA 17AG16 FVRS10LAC
SCHWING STETTER (INDIA) PVT LTD    1000000   1000000
10 LOA 17AG16 FVRS10LAC



SEVENHILLS HEALTHCARE              1000000   1000000
9.5 LOA 01JU18 FVRS10LAC



SEW INFRASTRUCTURE LIMITED 11.4    1000000   1000000
LOA 08JL21 FVRS10LAC



SHAKTI PUMPS (INDIA) LIMITED LOA   134       10
20OT12 FVRS10



SHARE MICROFIN LTD                 1000000   1000000
11 NCD 29MR12 FVRS10LAC



SHARE MICROFIN LTD                 1000000   1000000
13.75 NCD 31MR18 FVRS10LAC



SHIV-VANI OIL & GAS EXPLORATION    1000000   1000000
SERVICES LTD 6 LOA 10AG12
FVRS10LAC


SHREE CEMENT                       1000000   1000000
8.1 LOA 23NV12 FVRS10LAC



SHREE CEMENT                       1000000   1000000
8.42 LOA 22JL15 10LAC



SHREE GANESH JEWELLERY HOUSE       1000000   1000000
LIMITED
11 LOA 02NV15 FVRS10LAC


SHREE GANESH JEWELLERY HOUSE       1000000   1000000
LTD. 11 LOA 20DC15 FVRS10LAC



SHREE MAHESHWAR                    1000000   1000000
9.75 LOA 23MR22 FVRS10LAC



SHREE MAHESHWAR                    1000000   1000000
10.75 LOA OPTION-I 14AG22
FVRS10LAC


SHREE MAHESHWAR                    1000000   1000000
10.75 LOA OPTION-II 14AG22
FVRS10LAC
SHREE RENUKA SUGARS LIMITED   1000000   1000000
11.95 LOA 03AG14 FVRS10LAC



SHRIVATSA INTL.               1000000   1000000
RR NCD 31JL12 FVRS10LAC



SHRI NATARAJ CERAMIC AND      10        10
CHEMICAL IND LTD
6 LOA 16AG16 FVRS10


SHRIRAM CITY UN               100000    100000
10.75 LOA 30MR13 FVRS1LAC



SHRIRAM CITY UN               100000    100000
10.75 LOA 07AP13 FVRS1LAC



SHRIRAM CITY UN               1000000   1000000
7.82 NCD 22AP13 FVRS10LAC



SHRIRAM CITY UN               1000000   1000000
9 NCD 05JN13 FVRS10LAC



SHRIRAM CITY UN               100000    100000
10.75 LOA 30SP13 FVRS1LAC



SHRIRAM CITY UN               100000    100000
10.75 LOA 07OT13 FVRS1LAC



SHRIRAM CITY UN               100000    100000
10.75 LOA 30MR14 FVRS1LAC



SHRIRAM CITY UN               100000    100000
10.75 LOA 07AP14 FVRS1LAC



SHRIRAM CITY UN               100000    100000
10.75 LOA 30SP14 FVRS1LAC



SHRIRAM CITY UN               100000    100000
10.75 LOA 07OT14 FVRS1LAC



SHRIRAM CITY UN               1000000   1000000
10.6 NCD 13DC17 FVRS10LAC
SHRIRAM CITY UN                      1000000             1000000
10.5 NCD 23NV17 FVRS10LAC



SHRIRAM CITY UNION FINANCE           1000000             1000000
LIMITED RR NCD 30MR17 FVRS10LAC



SHRIRAM CITY UNION FINANCE                     1000000             1000000
LIMITED 10.75 NCD 04FB21 FVRS10LAC



SHRIRAM TRANS                        1000000             1000000
12.95 NCD 01SP11 FVRS10LAC



SHRIRAM TRANS                        1000000             1000000
12.95 NCD 15SP11 FVRS10LAC



SHRIRAM TRANS                        1000000             1000000
11.75 NCD 28MR12 FVRS10LAC



SHRIRAM TRANSPORT FINANCE            1000000             1000000
COMPANY LIMITED 10.5 LOA 04JL12
FVRS10LAC


SHRIRAM TRANS                        1000                1000
OPTION - V 10.75 NCD 26AG12
FVRS1000


SHRIRAM TRANS                        1000000             1000000
10.4 NCD 01MY13 FVRS10LAC



SHRIRAM TRANS                        1000000             1000000
9 LOA 04MY13 FVRS10LAC



SHRIRAM TRANS                        1000000             1000000
8.3 LOA 06MY13 FVRS10LAC



SHRIRAM TRANS                        1000000             1000000
RR LOA 14MY13 FVRS10LAC



SHRIRAM TRANS                        1000000             1000000
10.75 LOA 31MY13 FVRS10LAC



SHRIRAM TRANS                        1000000             1000000
BR NCD 24JU13 FVRS10LAC
SHRIRAM TRANS                      1000000   1000000
10.4 NCD 27JU13 FVRS10LAC



SHRIRAM TRANSPORT FINANCE          1000000   1000000
COMPANY LIMITED 10.55 LOA 04JL13
FVRS10LAC


SHRIRAM TRANS                      1000000   1000000
10.75 NCD 29JL13 FVRS10LAC



SHRIRAM TRANS                      1000000   1000000
10.6 NCD 17SP13 FVRS10LAC



SHRIRAM TRANS                      1000000   1000000
BR NCD 03OT13 FVRS10LAC



SHRIRAM TRANS                      1000000   1000000
13 LOA 03NV13 FVRS10LAC



SHRIRAM TRANS                      1000000   1000000
13 LOA 26NV13 FVRS10LAC



SHRIRAM TRANS                      100000    100000
12.6 NCD 26FB14 FVRS1LAC



SHRIRAM TRANS                      100000    100000
12.6 NCD 11MR14 FVRS1LAC



SHRIRAM TRANS                      100000    100000
12.6 NCD 15MR14 FVRS1LAC



SHRIRAM TRANS                      100000    100000
12.6 NCD 23MR14 FVRS1LAC



SHRIRAM TRANS                      100000    100000
12.6 NCD 17AP14 FVRS1LAC



SHRIRAM TRANSPORT FINANCE          1000000   1000000
COMPANY LIMITED 10.65 LOA 10JU14
FVRS10LAC


SHRIRAM TRANS                      100000    100000
12 NCD 02JL14 FVRS1LAC
SHRIRAM TRANS                       100000   100000
12 NCD 18JL14 FVRS1LAC



SHRIRAM TRANS                       1000     1000
OPTION - I 11 NCD 26AG14 FVRS1000



SHRIRAM TRANS                       1000     1000
OPTION - II 11.25 NCD 26AG14
FVRS1000


SHRIRAM TRANS                       1000     1000
OPTION - III 11.03 NCD 26AG14
FVRS1000


SHRIRAM TRANS                      1000      1000
OPTION - IV 11 NCD 26AG14 FVRS1000



SHRIRAM TRANS                       100000   100000
11.5 NCD 15OT14 FVRS1LAC



SHRIRAM TRANS                       97150    100000
10.25 NCD 27JN15 FVRS1LAC



SHRIRAM TRANS                       96600    100000
10.25 NCD 11AP15 FVRS1LAC



SHRIRAM TRANS                       96600    100000
10.25 NCD 22AP15 FVRS1LAC



SHRIRAM TRANS                       1000     1000
OPT-I 9 NCD 01JU15 FVRS1000



SHRIRAM TRANS                       1000     1000
OPT-I 9.5 NCD 01JU15 FVRS1000



SHRIRAM TRANS                       1000     1000
OPT-I 9.75 NCD 01JU15 FVRS1000



SHRIRAM TRANS                       1000     1000
OPT-III 9.75 NCD 01JU15 FVRS1000



SHRIRAM TRANS                       1000     1000
OPT-III 10.25 NCD 01JU15 FVRS1000
SHRIRAM TRANS                      1000      1000
OPT-III 10.5 NCD 01JU15 FVRS1000



SHRIRAM TRANS                      100000    100000
10 NCD 30JU15 FVRS1LAC



SHRIRAM TRANS                      100000    100000
10 LOA 06JL15 FVRS1LAC



SHRIRAM TRANS                      96600     100000
10.25 NCD 26JL15 FVRS1LAC



SHRIRAM TRANS                      100000    100000
10 NCD 29JL15 FVRS1LAC



SHRIRAM TRANS                      1000000   1000000
RR NCD 24AG15 FVRS10LAC



SHRIRAM TRANS                      100000    100000
10.25 NCD 29SP15 FVRS1LAC



SHRIRAM TRANS                      100000    100000
10.25 NCD 19AP16 FVRS1LAC



SHRIRAM TRANS                      100000    100000
10.25 NCD 03MY16 FVRS1LAC



SHRIRAM TRANS                      1000000   1000000
10.25 NCD 03MY16 FVRS10LAC



SHRIRAM TRANS                      1000000   1000000
10.25 NCD 28MY16 FVRS10LAC



SHRIRAM TRANS                      1000      1000
OPT-II 9.5 NCD 01JU17 FVRS1000



SHRIRAM TRANS                      1000      1000
OPT-II 10 NCD 01JU17 FVRS1000



SHRIRAM TRANS                      1000      1000
OPT-II 10.25 NCD 01JU17 FVRS1000
SHRIRAM TRANS                     1000      1000
OPT-IV NCD 01JU17 FVRS1000



SHRIRAM TRANS                     1000      1000
OPT-V 10.25 NCD 01JU17 FVRS1000



SHRIRAM TRANS                     1000      1000
OPT-V 10.75 NCD 01JU17 FVRS1000



SHRIRAM TRANS                     1000      1000
OPT-V 11 NCD 01JU17 FVRS1000



SHRIRAM TRANS                     1000000   1000000
BR NCD 13SP17 FVRS10LAC



SHRIRAM TRANS                     895319    1000000
12 NCD 04AG18 FVRS10LAC



SHRIRAM TRANS                     100000    100000
13 NCD 05NV18 FVRS1LAC



SHRIRAM TRANS                     100000    100000
13 NCD 07NV18 FVRS1LAC



SHRIRAM TRANS                     100000    100000
13 NCD 29DC18 FVRS1LAC



SHRIRAM TRANS                     100000    100000
10.35 NCD 31OT19 FVRS1LAC



SHRIRAM TRANS                     100000    100000
10.35 NCD 22NV19 FVRS1LAC



SHRIRAM TRANS                     100000    100000
10.25 NCD 31DC19 FVRS1LAC



SHRIRAM TRANS                     100000    100000
10.25 NCD 29JN20 FVRS1LAC



SHRIRAM TRANS                     100000    100000
10.25 NCD 15FB20 FVRS1LAC
SHRIRAM TRANS                      1000000   1000000
10.6 NCD 04JU20 FVRS10LAC



SHRIRAM TRANS                      1000000   1000000
10.9 NCD 19AP20 FVRS10LAC



SHRIRAM TRANS                      1000000   1000000
11 NCD 19AP20 FVRS10LAC



SHRIRAM TRANS                      1000000   1000000
11 NCD 20AP20 FVRS10LAC



SHRIRAM TRANS                      100000    100000
10.75 NCD 03MY20 FVRS1LAC



SHRIRAM TRANS                      97580     100000
10.5 NCD 10MY20 FVRS1LAC



SHRIRAM TRANS                      1000000   1000000
10.75 NCD 28MY20 FVRS10LAC



SHRIRAM TRANSPORT FINANCE          1000000   1000000
COMPANY LIMITED 11.5 LOA 31MR21
FVRS10LAC


SHRIRAM TRANS                      1000000   1000000
11 NCD 30AG25 FVRS10LAC



SHRIRAM TRANS                      1000000   1000000
11 NCD 09SP25 FVRS10LAC



SHRIRAM TRANS                      1000      1000
OPT-IV NCD 01MR17 FVRS1000



SHRIRAM TRANS                      1000      1000
OPT-IV NCD 01DC16 FVRS1000



SHRIRAM TRANSPORT FINANCE          1000      1000
COMPANY LIMITED 11.35 NCD 11JL14
FVRS1000


SHRIRAM TRANSPORT FINANCE          1000      1000
COMPANY LIMITED 11.1 NCD 11JL14
FVRS1000
SHRIRAM TRANSPORT FINANCE          1000       1000
COMPANY LIMITED 11 NCD 11JL14
FVRS1000


SHRIRAM TRANSPORT FINANCE          1000       1000
COMPANY LIMITED 11.35 NCD 11JL16
FVRS1000


SHRIRAM TRANSPORT FINANCE          1000       1000
COMPANY LIMITED 11.1 NCD 11JL16
FVRS1000


SHRIRAM TRANSPORT FINANCE          1000       1000
COMPANY LIMITED 11.6 NCD 11JL16
FVRS1000


SHRIRAM TRANS                      100000     100000
10.25 NCD 14SP15 FVRS1LAC



SHRIRAM TRANS                      1000000    1000000
11.05 NCD 15OT28 FVRS10LAC



SHYAM TELELINK                     1,00,000   1,00,000
BR NCD 15SP11 FV RS 1 LAC



SICOM LIMITED                      1,00,000   1,00,000
12 BD 13DC11 FV RS 1 LAC



SIMRAN WIND PROJECT PRIVATE        1000000    1000000
LIMITED
7.5 NCD 20NV12 FVRS10LAC


SINTEX INDS.                       1000000    1000000
9 NCD 01JU15 FVRS10LAC



SINTEX INDS.                       1000000    1000000
11.5 NCD 18FB18 FVRS10LAC



SINTEX INDS.                       1000000    1000000
9 NCD 24JU15 FVRS10LAC



SIVA INDUSTRIES AND HOLDINGS     1000000      1000000
LIMITED
RR NCD 09JU12 FVRS10LAC LOA UPTO
17SP09
SIVA VENTURES LIMITED              1000000    1000000
RR LOA 09JU12 FVRS10LAC
SKYDECK PROPERTIES & DEVELOPERS   1000000   1000000
P. LTD.
NCD 28JN13 FVRS10LAC


SIDBI CAP GAIN                    10000     10000
5.3 BD 31MY12 FVRS10000



SIDBI CAP GAIN                    10000     10000
5.3 BD 31MY12 FVRS10000



SIDBI                             1000000   1000000
6.85 BD 29JU13 FVRS10LAC



SIDBI                             1000000   1000000
6.85 BD 30JU13 FVRS10LAC



SIDBI                             1000000   1000000
7.65 BD 19JL13 FVRS10LAC



SIDBI                             1000000   1000000
8.1 BD 27SP13 FVRS10LAC



SIDBI                             1000000   1000000
8.19 BD 28SP13 FVRS10LAC



SMALL INDUSTRIES DEVELOPMENT      1000000   1000000
BANK OF INDIA 9.5 BD 28MR14
FVRS10LAC


SIDBI                             1000000   1000000
7.9 BD 10MR16 FVRS10LAC



SIDBI                             1000000   1000000
7.9 BD 27MR16 FVRS10LAC



SIDBI                             1000000   1000000
9.6 LOA 05MR17 FVRS10LAC



SIDBI                             1000000   1000000
8.35 BD 13AG20 FVRS10LAC



SIDBI                             1000000   1000000
9 BD 15DC15 FVRS10LAC
SIDBI                             1000000       1000000
9 BD 21DC15 FVRS10LAC



SIDBI CAP GAIN                    10000         10000
5.4 BD 28FB10 FV RS 10000



SIDBI CAP GAIN                    10000         10000
5.4 BD 28FB10 FV RS 10000



SIDBI                             1000000       1000000
6.85 BD 28JU13 FVRS10LAC



SMALL OPERATORS TRUST 2010 - ITCL 10004179.78   10372820.44
SR-A2 PTC 11MR10



SMALL OPERATORS TRUST 2010 - ITCL 10145862.11   10709299.86
SR-A3 PTC 11MR10



SOLARIS HOLDINGS LIMITED          100000000     100000000
NCD 12SP12 FVRS10CR



SOUTHERN IRON                     968750        968750
8.75 NCD 01JN15 FVRS968750



SPIC                              5000000       5000000
11 LOA 31MR14 FVRS50LAC



SPANCO TELE                       1000000       1000000
11.25 LOA 03JL13 FVRS10LAC



SPANCO TELE                       1000000       1000000
11 LOA 03JL13 FVRS10LAC



SPANCO TELE                       1000000       1000000
11.25 LOA 10JL13 FVRS10LAC



SPENTEX INDS.                     1000000       1000000
9 LOA 31MR13 FVRS10LAC



SREI EQUIPMENT FINANCE PRIVATE    100000        100000
LTD
8 NCD 25JL11 FVRS1LAC
SREI EQUIPMENT FINANCE PRIVATE   1000000             1000000
LTD
8.3 NCD 06SP11 FVRS10LAC


SREI EQUIPMENT FINANCE PRIVATE   1000000             1000000
LTD
8.3 NCD 06SP11 FVRS10LAC


SREI EQUIPMENT FINANCE PRIVATE   1000000             1000000
LTD
8.3 NCD 15SP11 FVRS10LAC


SREI EQUIPMENT FINANCE PRIVATE   1000000             1000000
LTD
8.3 NCD 15SP11 FVRS10LAC


SREI EQUIPMENT FINANCE PRIVATE   1000000             1000000
LTD
13.5 BD 16SP11 FVRS10LAC


SREI EQUIPMENT FINANCE PRIVATE   1000000             1000000
LTD
13.25 NCD 10OT11 FVRS10LAC


SREI EQUIPMENT FINANCE PRIVATE   1000000             1000000
LTD
9 NCD 26DC11 FVRS10LAC


SREI EQUIPMENT FINANCE PRIVATE   1000000             1000000
LTD
7.24 NCD 10MR12 FVRS10LAC


SREI EQUIPMENT FINANCE PRIVATE   1000000             1000000
LTD
8 NCD 28MR12 FVRS10LAC


SREI EQUIPMENT FINANCE PRIVATE   1000000             1000000
LTD
8.5 NCD 28MY12 FVRS10LAC


SREI EQUIPMENT FINANCE PRIVATE             1000000             1000000
LTD 10.85 NCD 02JL12 FVRS10LAC



SREI EQUIPMENT FINANCE PRIVATE   1000000             1000000
LTD 10.9 NCD 05OT12 FVRS10LAC



SREI EQUIPMENT FINANCE PRIVATE   1000000             1000000
LTD
9 NCD 02NV12 FVRS 10LAC


SREI EQUIPMENT FINANCE PRIVATE   1000000             1000000
LTD
7.24 NCD 10MR13 FVRS10LAC
SREI EQUIPMENT FINANCE PRIVATE   1000000   1000000
LTD
9 NCD 29MR13 FVRS10LAC


SREI EQUIPMENT FINANCE PRIVATE   1000000   1000000
LTD 10.95 NCD 13MY13 FVRS10LAC



SREI EQUIPMENT FINANCE PRIVATE   1000000   1000000
LTD 10.9 NCD 12JU13 FVRS10LAC



SREI EQUIPMENT FINANCE PRIVATE   100000    100000
LTD
10.5 LOA 26AG14 FVRS1LAC


SREI EQUIPMENT FINANCE PRIVATE   100000    100000
LTD
10.75 LOA 26AG14 FVRS1LAC


SREI EQUIPMENT FINANCE PRIVATE   100000    100000
LTD
11 LOA 26AG14 FVRS1LAC


SREI EQUIPMENT FINANCE PRIVATE   1000000   1000000
LTD
10 NCD 23DC19 FVRS10LAC


SREI EQUIPMENT FINANCE PRIVATE   1000000   1000000
LTD
10 NCD 19MR20 FVRS10LAC


SREI EQUIPMENT FINANCE PRIVATE   1000000   1000000
LTD
10 NCD 31MR20 FVRS10LAC


SREI EQUIPMENT FINANCE PRIVATE   100000    100000
LTD
9.75 NCD 02MY12 FVRS1LAC


SREI EQUIPMENT FINANCE PRIVATE   1000000   1000000
LTD
8.5 NCD 04OT11 FVRS10LAC


SREI EQUIPMENT FINANCE PRIVATE   1000000   1000000
LTD
9.15 NCD 13AG13 FVRS10LAC


SREI EQUIPMENT FINANCE PRIVATE   1000000   1000000
LTD
9 NCD 22MR12 FVRS10LAC


SREI EQUIPMENT FINANCE PRIVATE   1000000   1000000
LTD
8.45 NCD 23SP11 FVRS10LAC
SREI EQUIPMENT FINANCE PRIVATE   1000000             1000000
LTD
9.15 NCD 26AP16 FVRS10LAC


SREI EQUIPMENT FINANCE PRIVATE   1000000             1000000
LTD
9.65 NCD 28NV11 FVRS10LAC


SREI EQUIPMENT FINANCE PRIVATE             1000000             1000000
LTD 11 NCD 18MY12 FVRS10LAC



SREI EQUIPMENT FINANCE PRIVATE             1000000             1000000
LTD 11 NCD 06JU12 FVRS10LAC



SREI EQUIPMENT FINANCE PRIVATE   1000000             1000000
LTD 10.9 NCD 14JU12 FVRS10LAC



SREI EQUIPMENT FINANCE PRIVATE             1000000             1000000
LTD 11 NCD 02JL12 FVRS10LAC



SREI EQUIPMENT FINANCE PRIVATE   1000000             1000000
LTD 11.25 NCD 30JN13 FVRS10LAC



SREI EQUIPMENT FINANCE PRIVATE   1000000             1000000
LTD 11 NCD 09FB13 FVRS10LAC



SREI EQUIPMENT FINANCE PRIVATE   1000000             1000000
LTD 10.7 NCD 06MR13 FVRS10LAC



SREI EQUIPMENT FINANCE PRIVATE   1000000             1000000
LTD 9.75 NCD 10JN13 FVRS10LAC



SREI EQUIPMENT FINANCE PRIVATE   1000000             1000000
LTD 11.25 NCD 16JN14 FVRS10LAC



SREI EQUIPMENT FINANCE PRIVATE   100000              1000000
LTD 11.5 NCD 31MR18 FVRS10LAC



SREI EQUIPMENT FINANCE PRIVATE             1000000             1000000
LTD 10.7 NCD 24AP12 FVRS10LAC



SREI INFRA FINANCE               1000000             1000000
8.1 NCD 15SP11 FVRS10LAC
SREI INFRA FINANCE                  1000000     1000000
8.1 NCD 15SP11 FVRS10LAC



SREI INFRA FINANCE                  1000000     1000000
7.75 NCD 30SP11 FVRS10LAC



SREI INFRA FINANCE                  1000000     1000000
7.75 NCD 10OT11 FVRS10LAC



SREI INFRASTRUCTURE FINANCE         1000000     1000000
LIMITED 9.75 NCD 10JN13 FVRS10LAC



SREI INFRA FINANCE                  1000000     1000000
12 BD 30MR17 FVRS10LAC



SREI INFRA FINANCE                  1000000     1000000
12 NCD 03AG17 FVRS10LAC



SREI INFRA FINANCE                  1000000     1000000
10.2 NCD 23MR20 FVRS10LAC



SREI INFRA FINANCE                  1000000     1000000
10.5 NCD 10NV20 FVRS10LAC



SREI INFRA FINANCE                  100000      100000
9.75 NCD 02MY12 FVRS1LAC



SREI INFRA FINANCE                  1000000     1000000
8.55 NCD 04OT11 FVRS10LAC



SREI INFRA FINANCE                  1000000     1000000
9.5 NCD 23NV11 FVRS10LAC



SREI INTL. FGLC                     25,00,000   25,00,000
9.95 BD 18OT11 FV RS 25 LAC



SREI BD SBI PLR PLUS 25AG12 FV RS   100         100
100



SRF LIMITED                         1000000     1000000
13 LOA 19NV14 FVRS10LAC
SRI KHODIAR REALTECH SYNDICATION 100000          100000
PVT.LTD.
18 NCD 02OT12 FVRS1LAC


SRI KHODIAR REALTECH SYNDICATION 100000          100000
PVT.LTD.
18 NCD 20OT12 FVRS1LAC


SRI KHODIAR REALTECH SYNDICATION 100000          100000
PVT.LTD.
18 NCD 22OT12 FVRS1LAC


SRI KHODIAR REALTECH SYNDICATION 100000          100000
PVT.LTD.
18 NCD 29OT12 FVRS1LAC


SRI KHODIAR REALTECH SYNDICATION 100000          100000
PVT.LTD.
18 NCD 18NV12 FVRS1LAC


SRTO PRIORITY SECTOR POOL TRUST    10217756      11972222
2008 - ITSL
SR-A PTC 31DC08


SRTO SERIES II TRUST 2010 - ITSL   10039267.15   11680539.48
SR-A2 PTC 05FB10



STANDARD CHARTERED INVESTMENTS     100000        100000
AND LOANS
BR NCD 23JN12 FVRS1LAC


STANDARD CHARTERED INVESTMENTS     100000        100000
AND LOANS
BR NCD 28MY12 FVRS1LAC


STAR BATTERY LIMITED               100           100
17 OCD 01JN16 FVRS100



STARLIGHT SYSTEMS PVT LTD          100000        100000
15 LOA 29NV13 FVRS1LAC



STARLIGHT SYSTEMS PVT LTD          100000        100000
15 LOA 29NV13 FVRS1LAC



STATE BANK OF BIKANER AND JAIPUR   1000000       1000000
SR-3 7.2 BD 21MY14 FVRS10LAC



STATE BANK OF BIKANER AND JAIPUR   1000000       1000000
9.15 BD 10AG16 FVRS10LAC
STATE BANK OF BIKANER AND JAIPUR   1000000   1000000
10.25 BD 23MR22 FVRS10LAC



STATE BANK OF BIKANER AND JAIPUR   1000000   1000000
9.78 BD 15OT22 FVRS10LAC



STATE BANK OF BIKANER AND JAIPUR   1000000   1000000
9.85 PERPETUAL BD FVRS10LAC



STATE BANK OF HYDERABAD            1000000   1000000
SR-4 7.45 LOA 28AP15 FVRS10LAC



STATE BANK OF HYDERABAD            1000000   1000000
8.8 LOA 29AP16 FVRS 10LAC



STATE BANK OF HYDERABAD            1000000   1000000
9.15 LOA 23SP17 FVRS10LAC



STATE BANK OF HYDERABAD            1000000   1000000
9.35 LOA 19MR23 FVRS10LAC



STATE BANK OF HYDERABAD            1000000   1000000
8.39 LOA 05JU24 FVRS10LAC



STATE BANK OF HYDERABAD            1000000   1000000
8.5 BD 21AG24 FVRS10LAC



STATE BANK OF HYDERABAD            1000000   1000000
8.6 BD 08SP24 FVRS10LAC



STATE BANK OF HYDERABAD            1000000   1000000
9.95 LOA PERPETUAL FVRS10LAC



SBH                                1000000   1000000
RR PERPETUAL BD FVRS10LAC



STATE BANK OF HYDERABAD            1000000   1000000
RR PERPETUAL BD FVRS10LAC



SBI                                1000000   1000000
7.45 LOA 05MY15 FVRS10LAC
SBI                         1000000   1000000
9.85 BD 27JU16 FVRS10LAC



SBI                         1000000   1000000
8.95 BD 06JU18 FVRS10LAC



SBI                         1000000   1000000
8.4 BD 29JU18 FVRS10LAC



SBI                         10000     10000
RR BD 04NV20 FVRS10000



SBI                         1000000   1000000
8.8 BD 05JU21 FVRS10LAC



SBI                         1000000   1000000
9 BD 06JL21 FVRS10LAC



SBI                         1000000   1000000
8.96 BD 12SP21 FVRS 10LAC



SBI                         1000000   1000000
8.97 BD 13SP21 FVRS 10LAC



SBI                         1000000   1000000
8.98 BD 15SP21 FVRS10LAC



SBI                         1000000   1000000
8.85 BD 04OT21 FVRS10LAC



SBI                         1000000   1000000
8.88 BD 16OT21 FVRS10LAC



SBI                         1000000   1000000
9.37 BD 17FB22 FVRS10LAC



SBI                         1000000   1000000
10.2 BD 07JU22 FVRS10LAC



SBI                         1000000   1000000
10.1 BD 12SP22 FVRS10LAC
SBI                            1000000   1000000
8.9 BD 19DC23 FVRS10LAC



SBI                            1000000   1000000
RR BD 02MR24 FVRS10LAC



SBI                            1000000   1000000
RR BD 06MR24 FVRS10LAC



SBI                            10000     10000
RR BD 04NV25 FVRS10000



SBI                            1000000   1000000
RR PERPETUAL BD FVRS10LAC



SBI                            1000000   1000000
RR PERPETUAL BD FVRS10LAC



ST BK OF INDORE                1000000   1000000
7.2 BD 15MY14 FVRS10LAC



ST BK OF INDORE                1000000   1000000
7.45 BD 29SP15 FVRS10LAC



ST BK OF INDORE                1000000   1000000
8.7 BD 28MR16 FVRS10LAC



ST BK OF INDORE                1000000   1000000
8.95 BD 29DC21 FVRS10LAC



ST BK OF INDORE                1000000   1000000
10.25 BD 22MR22 FVRS10LAC



ST BANK OF INDORE              1000000   1000000
RR BD 20MR24 FVRS10LAC



ST BK OF INDORE                1000000   1000000
10.25 PERPETUAL BD FVRS10LAC



STATE BANK OF MYSORE           1000000   1000000
7.1 LOA 01MY14 FV RS 10LAC
STATE BANK OF MYSORE             1000000   1000000
SR-VI 7.45 BD 01MY15 FVRS10LAC



STATE BANK OF MYSORE             1000000   1000000
8.95 LOA 15NV21 FVRS10LAC



STATE BANK OF MYSORE             1000000   1000000
9.08 LOA 16JN23 FVRS10LAC



STATE BANK OF MYSORE             1000000   1000000
9.8 LOA PERPETUAL BD FVRS10LAC



STATE BANK OF MYSORE             1000000   1000000
RR PERPETUAL BD FVRS10LAC



STATE BANK OF PATIALA            1000000   1000000
7.8 NCD 10SP15 FVRS10LAC



STATE BANK OF PATIALA            1000000   1000000
10.25 NCD 31MR22 FVRS10LAC



STATE BANK OF PATIALA            1000000   1000000
10.24 NCD 05JL22 FVRS10LAC



STATE BANK OF PATIALA            1000000   1000000
9.9 NCD 28SP22 FVRS10LAC



STATE BANK OF PATIALA            1000000   1000000
9.3 NCD 20DC22 FVRS10LAC



STATE BANK OF PATIALA            1000000   1000000
9.3 NCD 20MR23 FVRS10LAC



STATE BANK OF PATIALA            1000000   1000000
RR NCD 13MR24 FVRS10LAC



STATE BANK OF PATIALA            1000000   1000000
RR NCD PERPETUAL FVRS10LAC



STATE BANK OF SAURASHTRA         1000000   1000000
8.15 BD 09JU15 FVRS10LAC
STATE BANK OF SAURASHTRA         1000000   1000000
9.8 BD 30JU16 FVRS10LAC



STATE BANK OF TRAVANCORE         1000000   1000000
SR-VI 7.05 BD 19AP14 FVRS10LAC



STATE BANK OF TRAVANCORE         1000000   1000000
SR -7 7.45 BD 06MY15 FVRS10LAC



STATE BANK OF TRAVANCORE         1000000   1000000
7.8 BD 15MY15 FVRS10LAC



STATE BANK OF TRAVANCORE         1000000   1000000
9.2 BD 31JL17 FVRS10LAC



STATE BANK OF TRAVANCORE         1000000   1000000
9.18 BD 08JN18 FVRS10LAC



STATE BANK OF TRAVANCORE         1000000   1000000
9.65 BD 01MR22 FVRS10LAC



STATE BANK OF TRAVANCORE         1000000   1000000
10.25 BD 18MY22 FVRS10LAC



STATE BANK OF TRAVANCORE         1000000   1000000
9.95 PERPETUAL BD FVRS10LAC



STATE BANK OF TRAVANCORE         1000000   1000000
9.34 PERPETUAL BD FVRS10LAC



ST-CMS ELECTRIC                  10,000    10,000
15.5 NCD 15SP12 FV RS 9210.53



SAIL                             1000000   1000000
8.75 LOA 15SP14 FVRS10LAC



SAIL                             1000000   1000000
8.8 LOA 26OT14 FVRS10LAC



SAIL                             1000000   1000000
8.8 LOA 26OT15 FVRS10LAC
SAIL                                1000000   1000000
8.8 LOA 26OT16 FVRS10LAC



SAIL                                1000000   1000000
8.8 LOA 26OT17 FVRS10LAC



SAIL                                1000000   1000000
8.8 LOA 26OT18 FVRS10LAC



SAIL                                500000    500000
8.9 LOA 01MY19 FVRS5LAC



SAIL                                1000000   1000000
7.7 LOA 11MY19 FVRS10LAC



SAIL                                1000000   1000000
8.8 LOA 22JU19 FVRS10LAC



SAIL                                1000000   1000000
8.75 LOA 15SP19 FVRS10LAC



SAIL                                1000000   1000000
8.8 LOA 26OT19 FVRS10LAC



SAIL                                1000000   1000000
8.6 LOA 19NV19 FVRS10LAC



SAIL                                1000000   1000000
SR-AM-I 8 LOA 07DC19 FVRS10LAC



SAIL                                1000000   1000000
SR-AM-II 8.5 LOA 07DC19 FVRS10LAC



SAIL                                1000000   1000000
8.65 LOA 30DC19 FVRS10LAC



SAIL                                1000000   1000000
8.65 LOA 01FB20 FVRS10LAC



SAIL                                1000000   1000000
8.75 LOA 23AP20 FVRS10LAC
SAIL                                1000000        1000000
8.72 LOA 30AP20 FVRS10LAC



SAIL                                1000000        1000000
8.8 LOA 26OT20 FVRS10LAC



SAIL                                1000000        1000000
8.55 LOA 11AG21 FVRS10LAC



SAIL                                1000000        1000000
8.8 LOA 26OT21 FVRS10LAC



SAIL                                1000000        1000000
8.8 LOA 26OT22 FVRS10LAC



SAIL                                1000000        1000000
8.8 LOA 26OT23 FVRS10LAC



SAIL                                1000000        1000000
8.7 LOA 25AG24 FVRS10LAC



SAIL                                1000000        1000000
8.75 LOA 15SP24 FVRS10LAC



SAIL                                1000000        1000000
8.8 LOA 26OT24 FVRS10LAC



SAIL                                1000000        1000000
8.8 LOA 26OT25 FVRS10LAC



SAIL                                500,000.000    500,000.000
SR-15/I-RR 12 BD 01DC11 FV RS 5 LAC



SAIL                                500,000.000    500,000.000
SR-15/2-VV 12 BD 20JL12 FV RS 5 LAC



SAIL                                500,000.000    500,000.000
SR-17I-YY 10.75 BD 01FB13 FV RS 5
LAC


SAIL                                 500,000.000   500,000.000
SR-17/2-AC 8.2 BD 01SP13 FV RS 5 LAC
SAIL SR 13-2/MM                  5,00,000               5,00,000
11 BD 01AG11 FV RS 5 LAC



STERLING BIOTEC                  1000000                1000000
12 LOA 05AG15 FVRS10LAC



STERLITE INDS                    10,000,000             10,000,000
8 LOA 10AP13 FV RS 1 CR



STL FERTILIZERS PVT LTD          1000000                1000000
9 NCD 30MR12 FVRS10LAC



SUNDARAM BNP PARIBAS HOME FIN.                1000000                1000000
LTD 10.38 LOA 05MY12 FVRS10LAC



SUNDARAM BNP PARIBAS HOME FIN.   1000000                1000000
LTD 9.6 LOA 21MY12 FVRS10LAC



SUNDARAM BNP PARIBAS HOME FIN.   1000000                1000000
LTD 10.3 LOA 15JU12 FVRS10LAC



SUNDARAM BNP PARIBAS HOME FIN.                1000000                1000000
LTD LOA 07MY12 FVRS10LAC



SUNDARAM BNP PARIBAS HOME FIN.   1000000                1000000
LTD 10.3 LOA 02AG12 FVRS10LAC



SUNDARAM BNP PARIBAS HOME FIN.   1000000                1000000
LTD LOA 09JL12 FVRS10LAC



SUNDARAM BNP PARIBAS HOME FIN.                1000000                1000000
LTD 10.3 LOA 29MR13 FVRS10LAC



SUNDARAM BNP PARIBAS HOME FIN.   1000000                1000000
LTD 10.05 LOA 16JN14 FVRS10LAC



SUNDARAM BNP PARIBAS HOME FIN.                1000000                1000000
LTD LOA 17AG12 FVRS10LAC



SUNDARAM BNP PARIBAS HOME FIN.   1000000                1000000
LTD 10.06 LOA 20AP12 FVRS10LAC
SUNDARAM BNP PARIBAS HOME FIN.   1000000             1000000
LTD 10.27 LOA 24JN14 FVRS10LAC



SUNDARAM BNP PARIBAS HOME FIN.             1000000             1000000
LTD LOA 24AG12 FVRS10LAC



SUNDARAM BNP PARIBAS HOME FIN.   1000000             1000000
LTD 9.74 LOA 26JU12 FVRS10LAC



SUNDARAM BNP PARIBAS HOME FIN.   1000000             1000000
LTD 10.27 LOA 27JN14 FVRS10LAC



SUNDARAM BNP PARIBAS HOME        1000000             1000000
FINANCE LIMITED
12.5 LOA 29SP11 FVRS10LAC


SUNDARAM BNP PARIBAS HOME        1000000             1000000
FINANCE LIMITED
6.95 LOA 25NV11 FVRS10LAC


SUNDARAM BNP PARIBAS HOME        1000000             1000000
FINANCE LIMITED
7.6 LOA 26MR12 FVRS10LAC


SUNDARAM BNP PARIBAS HOME        1000000             1000000
FINANCE LIMITED
7.6 LOA 11MY12 FVRS10LAC


SUNDARAM BNP PARIBAS HOME        1000000             1000000
FINANCE LIMITED
8.6 LOA 20SP12 FVRS10LAC


SUNDARAM BNP PARIBAS HOME        1000000             1000000
FINANCE LIMITED
8.69 LOA 21SP12 FVRS10LAC


SUNDARAM BNP PARIBAS HOME        1000000             1000000
FINANCE LIMITED
8.6 LOA 27SP12 FVRS10LAC


SUNDARAM BNP PARIBAS HOME FIN.   1000000             1000000
LTD 10.18 LOA 08OT12 FVRS10LAC



SUNDARAM BNP PARIBAS HOME        1000000             1000000
FINANCE LIMITED
8.75 LOA 15OT12 FVRS10LAC


SUNDARAM BNP PARIBAS HOME        1000000             1000000
FINANCE LIMITED
8.35 LOA 29MR13 FVRS10LAC
SUNDARAM BNP PARIBAS HOME         1000000   1000000
FINANCE LIMITED
8.3 LOA 16AP13 FVRS10LAC


SUNDARAM BNP PARIBAS HOME         1000000   1000000
FINANCE LIMITED
8.35 LOA 29AP13 FVRS10LAC


SUNDARAM BNP PARIBAS HOME         1000000   1000000
FINANCE LIMITED
SR-XIX 8.3 LOA 30MY13 FVRS10LAC


SUNDARAM BNP PARIBAS HOME FIN.    1000000   1000000
LTD 10.65 LOA 13JU13 FVRS10LAC



SUNDARAM BNP PARIBAS HOME FIN.    1000000   1000000
LTD 10.46 LOA 24JU13 FVRS10LAC



SUNDARAM BNP PARIBAS HOME FIN.    1000000   1000000
LTD 10.45 LOA 28JU13 FVRS10LAC



SUNDARAM BNP PARIBAS HOME FIN.    1000000   1000000
LTD 10.46 LOA 18JL13 FVRS10LAC



SUNDARAM BNP PARIBAS HOME         1000000   1000000
FINANCE LIMITED
8.9 L0A 22JL13 FVRS10LAC


SUNDARAM BNP PARIBAS HOME         1000000   1000000
FINANCE LIMITED
8.75 LOA 09AG13 FVRS10LAC


SUNDARAM BNP PARIBAS HOME         1000000   1000000
FINANCE LIMITED
8.75 LOA 02SP13 FVRS10LAC


SUNDARAM BNP PARIBAS HOME FIN.    1000000   1000000
LTD 10.55 LOA 19MY14 FVRS10LAC



SUNDARAM BNP PARIBAS HOME FIN.    1000000   1000000
LTD 10.55 LOA 14JL14 FVRS10LAC



SUNDARAM BNP PARIBAS HOME FIN.    1000000   1000000
LTD 10.55 LOA 14JL14 FVRS10LAC



SUNDARAM BNP PARIBAS HOME         1000000   1000000
FINANCE LIMITED
10 LOA 03FB17 FVRS10LAC
SUNDARAM BNP PARIBAS HOME FIN.   1000000     1000000
LTD 10.55 LOA 11JL14 FVRS10LAC



SUNDARAM BNP PARIBAS HOME FIN.   1000000     1000000
LTD 10.55 LOA 11AG14 FVRS10LAC



SUNDARAM BNP PARIBAS HOME FIN.   1000000     1000000
LTD 10.41 LOA 28JU13 FVRS10LAC



SUNDARAM BNP PARIBAS HOME        1000000     1000000
FINANCE LIMITED
8.3 LOA 30MY13 FVRS10LAC


SUNDARAM FIN                     1000000     1000000
7.8 LOA 28JL11 FVRS10LAC



SUNDARAM FIN                     1000000     1000000
BR LOA 10AG11 FVRS10LAC



SUNDARAM FIN                     1000000     1000000
8.3 LOA 09SP11 FVRS10LAC



SUNDARAM FIN                     1000000     1000000
8.42 LOA 14SP11 FVRS10LAC



SUNDARAM FIN                     866264.78   1000000
LOA 15SP11 FVRS10LAC



SUNDARAM FIN                     848467.25   1000000
LOA 23SP11 FVRS10LAC



SUNDARAM FIN                     1000000     1000000
BR LOA 10OT11 FVRS10LAC



SUNDARAM FIN                     1000000     1000000
13 LOA 20OT11 FVRS10LAC



SUNDARAM FIN                     858929      1000000
NCD 28OT11 FVRS10LAC



SUNDARAM FIN                     1000000     1000000
7.75 LOA 09NV11 FVRS10LAC
SUNDARAM FIN                       1000000     1000000
7.55 LOA 11NV11 FVRS10LAC



SUNDARAM FIN                       1000000     1000000
BR LOA 30NV11 FVRS10LAC



SUNDARAM FIN                       1000000     1000000
8.8 LOA 23DC11 FVRS 10LACS



SUNDARAM FIN                       878232      1000000
SR-J 24 LOA 01JU12 FVRS10LAC



SUNDARAM FIN                       1000000     1000000
8.68 LOA 23AP12 FVRS10LAC



SUNDARAM FIN                       1000000     1000000
9.6 LOA 23MY12 FVRS10LAC



SUNDARAM FIN                       1000000     1000000
7.6 LOA 25MY12 FVRS10LAC



SUNDARAM FIN                       1000000     1000000
7.59 LOA 25MY12 FVRS10LAC



SUNDARAM FIN                       1000000     1000000
8.75 LOA 01JU12 FVRS10LAC



SUNDARAM FINANCE LIMITED 10.62     1000000     1000000
LOA 04JU12 FVRS10LAC



SUNDARAM FINANCE LIMITED SR- K10   1000000     1000000
10.62 LOA 16JU12 FVRS10LAC



SUNDARAM FIN                       1000000     1000000
9 LOA 22JU12 FVRS10LAC



SUNDARAM FIN                       861946.54   1000000
LOA 29JU12 FVRS10LAC



SUNDARAM FIN                       861946.54   1000000
LOA 02JL12 FVRS10LAC
SUNDARAM FIN                1000000   1000000
8.25 LOA 26JL12 FVRS10LAC



SUNDARAM FIN                1000000   1000000
8.23 LOA 27JL12 FVRS10LAC



SUNDARAM FIN                1000000   1000000
8.22 LOA 27JL12 FVRS10LAC



SUNDARAM FIN                1000000   1000000
8.57 LOA 17SP12 FVRS10LAC



SUNDARAM FIN                1000000   1000000
8.08 LOA 09NV12 FVRS10LAC



SUNDARAM FIN                784896    1000000
LOA 12NV12 FVRS10LAC



SUNDARAM FIN                1000000   1000000
8.4 LOA 13NV12 FVRS10LAC



SUNDARAM FIN                1000000   1000000
8.4 LOA 19NV12 FVRS10LAC



SUNDARAM FIN                1000000   1000000
7.85 LOA 25MR13 FVRS10LAC



SUNDARAM FIN                791462    1000000
LOA 26AP13 FVRS10LAC



SUNDARAM FIN                791462    1000000
LOA 30AP13 FVRS10LAC



SUNDARAM FIN                1000000   1000000
8 LOA 03MY13 FVRS10LAC



SUNDARAM FIN                798094    1000000
LOA 14MY13 FVRS10LAC



SUNDARAM FIN                1000000   1000000
10.2 LOA 29MY13 FVRS10LAC
SUNDARAM FINANCE LIMITED 10.48     1000000    1000000
LOA 03JU13 FVRS10LAC



SUNDARAM FINANCE LIMITED 10.54     1000000    1000000
LOA 06JU13 FVRS10LAC



SUNDARAM FINANCE LIMITED SR- K13   1000000    1000000
10.35 LOA 20JU13 FVRS10LAC



SUNDARAM FINANCE LIMITED SR- K14   1000000    1000000
10.3 LOA 20JU13 FVRS10LAC



SUNDARAM FINANCE LIMITED 10.17     1000000    1000000
LOA 11JL13 FVRS10LAC



SUNDARAM FIN                       10000000   10000000
10.85 LOA 15JL13 FVRS1CR



SUNDARAM FIN                       1000000    1000000
8.45 LOA 26JL13 FVRS10LAC



SUNDARAM FIN                       1000000    1000000
8.9 LOA 13SP13 FVRS10LAC



SUNDARAM FIN                       10000000   10000000
11.75 LOA 27SP13 FVRS1CR



SUNDARAM FINANCE LIMITED 10.6 LOA 1000000     1000000
03JU14 FVRS10LAC



SUNDARAM FINANCE LIMITED 10.7 LOA 1000000     1000000
06JU14 FVRS10LAC



SUNDARAM FINANCE LIMITED 10.7 LOA 1000000     1000000
06JU14 FVRS10LAC



SUNDARAM FINANCE LIMITED SR- K15   1000000    1000000
10.4 LOA 20JU14 FVRS10LAC



SUNDARAM FINANCE LIMITED 10.29     1000000    1000000
LOA 08JL14 FVRS10LAC
SUNDARAM FIN                         1000000   1000000
SR- J- 21 9.3 LOA 04DC15 FVRS10LAC



SUNDARAM FIN                         1000000   1000000
9.3 LOA 12NV15 FVRS10LC



SUNDARAM FIN                         1000000   1000000
10 LOA 04JN17 FVRS10LAC



SUNDARAM FIN                         1000000   1000000
9.85 LOA 07MY20 FVRS10LAC



SUNDARAM FINANCE LIMITED 9.93 LOA 1000000      1000000
22DC20 FVRS10LAC



SUNDARAM FINANCE LIMITED 9.93 NCD 1000000      1000000
07AP21 FVRS10LAC



SUNDARAM FIN                         1000000   1000000
8.22 LOA 06AG12 FVRS10LAC



SUNDARAM FIN                         1000000   1000000
9.3 LOA 19NV13 FVRS10LAC



SUNDARAM FIN                         1000000   1000000
10 LOA 20JN17 FVRS10LAC



SUNDARAM FIN                         1000000   1000000
SR-J-23 9.1 LOA 21MY12 FVRS10LAC



SUNDARAM FIN                         1000000   1000000
9.15 LOA 23NV12 FVRS10LAC



SUNDARAM FIN                         1000000   1000000
8.1 LOA 25JU13 FVRS10LAC



SUNDARAM FIN                         803022    1000000
LOA 30MY13 FVRS10LAC



SUPER SYNCOTEX                       100       100
13 NCD 01JL12 FVRS100
SUPREME REALTY PVT LTD              10000          10000
10 LOA 27MR18 FVRS10000



SWIL                                100            100
12.5 OFCD 01AP10 FV RS 100



SWIL                                100            100
12.5 OFCD 01AP18 FV RS 100



SYNDICATE BANK                      1,000,000.00   1,000,000.00
SR5 6 LOA 26MR14 FV RS 10 LAC



SYNDICATE BANK                      1000000        1000000
SR-6 6.9 BD 29MY14 FVRS 10LAC



SYNDICATE BANK                      1000000        1000000
SR7 TIER2 7.5 BD 20DC14 FVRS10LAC



SYNDICATE BANK                      1000000        1000000
SR-IX 7.6 BD 15AP15 FVRS10LAC



SYNDICATE BANK                      1000000        1000000
TI-2 SR8 7.4 BD 20AP15 FVRS10LAC



SYNDICATE BANK                      1000000        1000000
8.6 LOA 26DC18 FVRS10LAC



SYNDICATE BANK                      1000000        1000000
8.49 BD 15JU19 FVRS10LAC



SYNDICATE BANK                      1000000        1000000
9.35 BD 27JL21 FVRS10LAC



SYNDICATE BANK                      1000000        1000000
9.3 BD 28FB22 FVRS10LAC



SYNDICATE BANK                      1000000        1000000
9.4 LOA PERPETUAL FVRS10LAC



SYNDICATE BANK                      1000000        1000000
9.9 PERPETUAL BD FVRS10LAC
SYNDICATE BANK                    1000000       1000000
RR PERPETUAL BD FVRS10LAC



TALWALKARS BETTER VALUE FITNESS   1000000       1000000
LTD 11.5 LOA 21JN17 FVRS10LAC



TALWANDI SABO POWER LIMITED SR- II 1000000      1000000
RR LOA 13JN24 FVRS10LAC



TALWANDI SABO POWER LTD           1000000       1000000
RR LOA 09DC23 FVRS10LAC



TN NEWSPRINT                      1000000       1000000
8.75 NCD 19JN15 FVRS10LAC



TN NEWSPRINT                      1000000       1000000
11 LOA 30JU15 FVRS10LAC



TNEB SR5/03-04                    100,000.000   100,000.000
8 BD 15SP11 FV RS 1 LAC



TAMILNADU ELECTRICITY BOARD       1000000       1000000
8.45 LOA 01FB15 FVRS10LAC



TAMILNADU ELECTRICITY BOARD       1000000       1000000
8.45 LOA 01AP15 FVRS10LAC



TAMILNADU ELECTRICITY BOARD       1000000       1000000
11 LOA 03NV15 FVRS10LAC



TAMILNADU ELECTRICITY BOARD       1000000       1000000
9.85 LOA 26DC15 FVRS10LAC



TAMILNADU ELECTRICITY BOARD       1000000       1000000
8.75 LOA 01MR18 FVRS10LAC



TAMILNADU ELECTRICITY BOARD       1000000       1000000
8.81 LOA 04MY19 FVRS10LAC



TAMILNADU ELECTRICITY BOARD       1000000       1000000
8.7 LOA 30JU19 FVRS10LAC
TAMILNADU ELECTRICITY BOARD      1000000    1000000
8.4 LOA 06JN20 FVRS10LAC



TAMILNADU ELECTRICITY BOARD      1000000    1000000
8.64 LOA 29MR20 FVRS10LAC



TAMILNADU ELECTRICITY BOARD      1000000    1000000
8.32 LOA 19FB20 FVRS10LAC



TAMILNADU GENERATION AND         1000000    1000000
DISTRIBUTION CORPORA 8.65% LOA
07FB21 FVRS10LAC


TAMILNADU GENERATION AND         1000000    1000000
DISTRIBUTION CORPORA 9.7 LOA
07JL21 FVRS10LAC


TIDCO                            1,000      1,000
12 BD 10DC11 FV RS 1000



TIIC LTD SLR                     1,000      1,000
11.5 BD 10SP11 FV RS 1000



TIIC LTD SLR                     1,000      1,000
12 BD 13JN12 FV RS 1000



TIIC LTD SLR                     1,000      1,000
12 BD 14FB12 FV RS 1000



TIIC LTD SLR                     1,000      1,000
8.3 BD 20FB12 FV RS 1000



TIIC LTD SLR                     1,000      1,000
7.92 LOA 24JL12 FV RS 1000



TIIC LTD SLR                     1,000.00   1,000.00
6.75 LOA 26MR13 FV RS 1000



TNRDC                            1,000      1,000
15 NCD 13NV14 FV RS 1000



TAMILNADU ROAD DEVELOPMENT       1000       1000
COMPANY LIMITED
15.5 NCD 13NV14 FVRS1000
TAPI IRG SR-5                   1,00,000      1,00,000
12.25 LOA 15OT11 FV RS 1 LAC



TAPI IRG SR-6                   100,000.000   100,000.000
11.25 LOA 15NV12 FV RS 1 LAC



TAPI IRG SR-5                   1,00,000      1,00,000
12.5 LOA 15OT13 FV RS 1 LAC



TAPI IRG SR-6                   100,000.000   100,000.000
11.5 LOA 15NV14 FV RS 1 LAC



TAPI IRG SR-4                   1,00,000      1,00,000
13.5 BD 15SP15 FV RS 1 LAC



TATA AUTOCOMP SYSTEMS LIMITED   1000000       1000000
12 NCD 26FB16 FVRS10LAC



TATA AUTOCOMP SYSTEMS LIMITED   1000000       1000000
10.15 NCD 20MY20 FVRS10LAC



TATA BLUESCOPE STEEL LIMITED    1000000       1000000
10.25 LOA 27SP15 FVRS10LAC



TATA BLUESCOPE STEEL LIMITED    1000000       1000000
10.75 LOA 27SP19 FVRS10LAC



TATA CAPITAL LIMITED            1000000       1000000
8 NCD 20JL11 FVRS10LAC



TATA CAPITAL LIMITED            1000000       1000000
8 NCD 27JL11 FVRS10LAC



TATA CAPITAL LIMITED            1000000       1000000
7.28 NCD 28JL11 FVRS10LAC



TATA CAPITAL LIMITED            1000000       1000000
8.2 NCD 29AG11 FVRS10LAC



TATA CAPITAL LIMITED            1000000       1000000
8.35 NCD 02SP11 FVRS10LAC
TATA CAPITAL LIMITED        1000000   1000000
7.75 NCD 05SP11 FVRS10LAC



TATA CAPITAL LIMITED        1000000   1000000
7.15 LOA 09SP11 FVRS10LAC



TATA CAPITAL LIMITED        1000000   1000000
7 LOA 20SP11 FVRS10LAC



TATA CAPITAL LIMITED        1000000   1000000
7 LOA 17NV11 FVRS10LAC



TATA CAPITAL LIMITED        1000000   1000000
7.55 NCD 22NV11 FVRS10LAC



TATA CAPITAL LIMITED                  1000000
7.35 NCD 30NV11 FVRS10LAC



TATA CAPITAL LIMITED        1000000   1000000
7.35 NCD 05DC11 FVRS10LAC



TATA CAPITAL LIMITED        1000000   1000000
7.4 NCD 07DC11 FVRS10LAC



TATA CAPITAL LIMITED        1000000   1000000
7.5 NCD 14DC11 FVRS10LAC



TATA CAPITAL LIMITED        1000000   1000000
8.95 NCD 17DC11 FVRS10LAC



TATA CAPITAL LIMITED        878720    1000000
NCD 01JU12 FVRS10LAC



TATA CAPITAL LIMITED        1000000   1000000
7.65 NCD 23JN12 FVRS10LAC



TATA CAPITAL LIMITED        1000000   1000000
7.95 NCD 02FB12 FVRS10LAC



TATA CAPITAL LIMITED        1000000   1000000
7.42 LOA 28MR12 FVRS10LAC
TATA CAPITAL LIMITED               1000000   1000000
8.6 NCD 23AP12 FVRS10LAC



TATA CAPITAL LIMITED               1000000   1000000
7.57 LOA 19JL12 FVRS10LAC



TATA CAPITAL LIMITED               1000000   1000000
8.5 NCD 03SP12 FVRS10LAC



TATA CAPITAL LIMITED               1000000   1000000
8.5 NCD 07SP12 FVRS10LAC



TATA CAPITAL LIMITED               1000000   1000000
8.5 NCD 20SP12 FVRS10LAC



TATA CAPITAL LIMITED               1000000   1000000
RR NCD 20NV12 FVRS10LAC



TATA CAPITAL LIMITED               1000000   1000000
8.4 NCD 26NV12 FVRS10LAC



TATA CAPITAL LIMITED               1000000   1000000
8.25 NCD 30NV12 FVRS10LAC



TATA CAPITAL LIMITED               1000000   1000000
8.3 NCD 07DC12 FVRS10LAC



TATA CAPITAL LIMITED               1000000   1000000
8.42 NCD 15JN13 FVRS10LAC



TATA CAPITAL LIMITED               1000000   1000000
8.4 NCD 28JN13 FVRS10LAC



TATA CAPITAL LIMITED               1000000   1000000
8.4 NCD 28JN13 FVRS10LAC



TATA CAPITAL LIMITED               1000000   1000000
SR-AH 8.625 NCD 22FB13 FVRS10LAC



TATA CAPITAL LIMITED               1000000   1000000
SR-AI 8.62 NCD 22FB13 FVRS10LAC
TATA CAPITAL LIMITED             1000000   1000000
SR-AJ 8.6 NCD 22FB13 FVRS10LAC



TATA CAPITAL LIMITED             1000000   1000000
8 LOA 01AP13 FVRS10LAC



TATA CAPITAL LIMITED 10.25 NCD   1000000   1000000
17JU13 FVRS10LAC



TATA CAPITAL LIMITED 10.25 NCD   1000000   1000000
30JU13 FVRS10LAC



TATA CAPITAL LIMITED 10.19 NCD   1000000   1000000
15JL13 FVRS10LAC



TATA CAPITAL LIMITED             1000000   1000000
8.9 NCD 16JL13 FVRS10LAC



TATA CAPITAL LIMITED             1000000   1000000
8.3 NCD 26JL13 FVRS10LAC



TATA CAPITAL LIMITED             1000000   1000000
RR NCD 29JL13 FVRS10LAC



TATA CAPITAL LIMITED             1000000   1000000
8.6 NCD 23AG13 FVRS10LAC



TATA CAPITAL LIMITED             1000000   1000000
8.7 NCD 26SP13 FVRS10LAC



TATA CAPITAL LIMITED             100000    100000
11 LOA 05MR14 FVRS1LAC



TATA CAPITAL LIMITED             1000      1000
11.25 LOA 05MR14 FVRS1000



TATA CAPITAL LIMITED             1000      1000
12 LOA 05MR14 FVRS1000



TATA CAPITAL LIMITED             1000      1000
12 LOA 05MR14 FVRS1000
TATA CAPITAL LIMITED           1000000            1000000
9.2 NCD 18AG14 FVRS10LAC



TATA CAPITAL LIMITED           1000000            1000000
9.05 NCD 02DC15 FVRS10LAC



TATA CAPITAL LIMITED           1000000            1000000
8.35 LOA 12MY15 FVRS10LAC



TATA CAPITAL LIMITED 9.6 NCD   1000000            1000000
27AP16 FVRS10LAC



TATA CAPITAL LIMITED           1000000            1000000
10.5 NCD 04AG19 FVRS10LAC



TATA CAPITAL LIMITED           1000000            1000000
10.25 NCD 09SP19 FVRS10LAC



TATA CAPITAL LIMITED           500000             500000
10.25 NCD 28OT19 FVRS5LAC



TATA CAPITAL LIMITED           500000             500000
9.8 NCD 28OT19 FVRS5LAC



TATA CAPITAL LIMITED                              500000
NCD 30NV19 FVRS5LAC



TATA CAPITAL LIMITED           500000             500000
10.25 NCD 15DC19 FVRS5LAC



TATA CAPITAL LIMITED           500000             500000
9.8 NCD 18DC19 FVRS5LAC



TATA CAPITAL LIMITED           500000             500000
9.95 NCD 24DC19 FVRS5LAC



TATA CAPITAL LIMITED 10 LOA              500000             500000
PERPETUAL FVRS5LAC



TATA CAPITAL LIMITED           1000000            1000000
8.18 NCD 16FB12 FVRS10LAC
TATA CAPITAL LIMITED           1000000   1000000
8.8 NCD 18AP13 FVRS10LAC



TATA CAPITAL LIMITED 9.5 NCD   1000000   1000000
19JN16 FVRS10LAC



TATA CAPITAL LIMITED           1000000   1000000
9.05 NCD 19NV15 FVRS10LAC



TATA CAPITAL LIMITED           1000000   1000000
9.1 NCD 21MY12 FVRS10LAC



TATA CAPITAL LIMITED           1000000   1000000
8 LOA 30MY13 FVRS10LAC



TATA CAPITAL LIMITED           500000    500000
RR LOA PERPETUAL FVRS5LAC



TATA CAPITAL LIMITED RR LOA    500000    500000
PERPETUAL FVRS5LAC



TATA CHEM                      1000000   1000000
7.4 NCD 23NV11 FVRS10LAC



TATA CHEM                      1000000   1000000
10 NCD 02JL19 FVRS10LAC



TATA CHEM                      1000000   1000000
11.8 NCD 18DC13 FVRS10LAC



TATA COFFEE                    150       150
7 NCD 29DC12 FVRS150



TATA COMMUNICATIONS LIMITED    1000000   1000000
7.74 LOA 25MR12 FVRS10LAC



TATA COMMUNICATIONS LIMITED    1000000   1000000
11.7 LOA 25NV13 FVRS10LAC



TATA COMMUNICATIONS LIMITED    1000000   1000000
9.5 LOA 08JU14 FVRS10LAC
TATA COMMUNICATIONS LIMITED      1000000   1000000
11 LOA 23JL14 FVRS10LAC



TATA COMMUNICATIONS LIMITED      1000000   1000000
11.2 LOA 23JN16 FVRS10LAC



TATA COMMUNICATIONS LIMITED      1000000   1000000
11.25 LOA 23JN19 FVRS10LAC



TATA COMMUNICATIONS LIMITED      1000000   1000000
9.85 LOA 02JL19 FVRS10LAC



TATA GLOBAL BEVERAGES LIMITED    1000000   1000000
3 NCD 04NV13 FVRS10LAC



TATA HOUSING DEVELOPMENT         1000000   1000000
COMPANY LIMITED
LOA 15OT13 FVRS10LAC


TATA HOUSING DEVELOPMENT         1000000   1000000
COMPANY LIMITED
5 NCD 30NV13 FVRS10LAC


TATA INTERNATIONAL LIMITED LOA   1000000   1000000
20DC15 FVRS10LAC



TATA INTERNATIONAL LTD           1000000   1000000
LOA 15DC15 FVRS10LAC



TATA METALIKS                    1000000   1000000
12.75 NCD 07JN14 FVRS10LAC



TATA MOTORS FINANCE LIMITED      1000000   1000000
8.6 LOA 16AG11 FVRS10LAC



TATA MOTORS FINANCE LIMITED      1000000   1000000
9.35 LOA 25NV11 FVRS10LAC



TATA MOTORS FINANCE LIMITED      1000000   1000000
8.9 LOA 16DC11 FVRS10LAC



TATA MOTORS FINANCE LIMITED      1000000   1000000
8.55 NCD 05AP12 FVRS10LAC
TATA MOTORS FINANCE LIMITED   1000000   1000000
8 LOA 28MY12 FVRS10LAC



TATA MOTORS FINANCE LIMITED   1000000   1000000
9 NCD 08JU12 FVRS10LAC



TATA MOTORS FINANCE LIMITED   1000000   1000000
8.55 NCD 12JL12 FVRS10LAC



TATA MOTORS FINANCE LIMITED   1000000   1000000
8.2 LOA 05OT12 FVRS10LAC



TATA MOTORS FINANCE LIMITED   1000000   1000000
8.5 LOA 06MY13 FVRS10LAC



TATA MOTORS FINANCE LIMITED   500000    500000
10.9 NCD 20JN20 FVRS5LAC



TATA MOTORS FINANCE LIMITED   500000    500000
10.75 NCD 25MR20 FVRS5LAC



TATA MOTORS FINANCE LIMITED   500000    500000
10.7 NCD 10AP20 FVRS5LAC



TATA MOTORS FINANCE LIMITED   500000    500000
10.7 NCD 28AP20 FVRS5LAC



TATA MOTORS FINANCE LIMITED   500000    500000
RR NCD PERPETUAL FVRS5LAC



TATA MOTORS                   1000000   1000000
2 LOA 31MR13 FVRS10LAC



TATA MOTORS                   1000000   1000000
2 LOA 31MR14 FVRS10LAC



TATA MOTORS                   1000000   1000000
2 LOA 31MR16 FVRS10LAC



TATA MOTORS                   1000000   1000000
9.95 LOA 02MR20 FVRS10LAC
TATA MOTORS                  1000000   1000000
9.9 NCD 07MY20 FVRS10LAC



TATA MOTORS                  1000000   1000000
9.75 NCD 24MY20 FVRS10LAC



TATA MOTORS                  1000000   1000000
10.25 LOA 30AP25 FVRS10LAC



TATA MOTORS                  1000000   1000000
9.7 NCD 18JU20 FVRS10LAC



TATA PROJECTS LIMITED        3000      3000
8 NCD 29AG12 FVRS3000



TATA SONS LTD.               1000000   1000000
11.3 LOA 28JL11 FVRS10LAC



TATA SONS LTD.               1000000   1000000
7.45 NCD 15AP12 FVRS10LAC



TATA SONS LTD.               1000000   1000000
8.7 LOA 26JU12 FVRS10LAC



TATA SONS LTD.               1000000   1000000
9.4 LOA 04AP13 FVRS10LAC



TATA SONS LTD.               1000000   1000000
9.28 LOA 04AP13 FVRS10LAC



TATA SONS LTD.               1000000   1000000
7.95 NCD 19AP13 FVRS10LAC



TATA SONS LTD.               1000000   1000000
10.4 LOA 02JL13 FVRS10LAC



TATA SONS LTD.               1000000   1000000
10.8 LOA 10JL13 FVRS10LAC



TATA SONS LTD.               1000000   1000000
12.25 LOA 07NV13 FVRS10LAC
TATA SONS LTD.                      1000000             1000000
12.25 LOA 18DC13 FVRS10LAC



TATA SONS LTD.                      1000000             1000000
4.5 LOA 21JN14 FVRS10LAC



TATA SONS LTD.                      1000000             1000000
10.3 LOA 23AP14 FVRS10LAC



TATA SONS LIMITED 10.25 NCD                   1000000             1000000
13MY14 FVRS10LAC



TATA SONS LIMITED 10.2 NCD 27MY14 1000000               1000000
FVRS10LAC



TATA SONS LIMITED 10.05 NCD 16JU14 1000000              1000000
FVRS10LAC



TATA SONS LTD.                      1000000             1000000
10 LOA 05JL14 FVRS10LAC



TATA SONS LTD.                      1000000             1000000
8.8 NCD 21SP15 FVRS10LAC



TATA SONS LIMITED 9.3 NCD 24DC15    1000000             1000000
FVRS10LAC



TATA SONS LIMITED 9.9 NCD 18MR16              1000000             1000000
FVRS10LAC



TATA SONS LIMITED 9.75 NCD 21AP16             1000000             1000000
FVRS10LAC



TATA SONS LIMITED 9.6 NCD 28AP16              1000000             1000000
FVRS10LAC



TATA SONS LIMITED 9.9 NCD 09MR16    1000000             1000000
FVRS10LAC



TATA SONS LTD.                      1000000             1000000
8.85 LOA 30OT16 FVRS10LAC
TATA SONS LTD.                     1000000             1000000
8.94 LOA 08NV16 FVRS10LAC



TATA SONS LTD.                     1000000             1000000
8.99 NCD 07JU20 FVRS10LAC



TATA SONS LTD.                     1000000             1000000
8.97 NCD 15JL20 FVRS10LAC



TATA SONS LTD.                     1000000             1000000
9.1 NCD 06SP20 FVRS10LAC



TATA SONS LTD.                     1000000             1000000
9.18 NCD 23NV20 FVRS10LAC



TATA SONS LIMITED 9.9 NCD 24DC16             1000000             1000000
FVRS10LAC



TATA STEEL LIMITED 10.25 NCD       1000000             1000000
21DC30 FVRS10LAC



TATA STEEL LIMITED 10.25 NCD       1000000             1000000
06JN31 FVRS10LAC



TATA STEEL LIMITED 11.8 NCD                  1000000             1000000
PERPETUAL FVRS10LAC



TATA STEEL LIMITED 11.5 NCD        1000000             1000000
PERPETUAL FVRS10LAC



TATA STEEL LIMITED                 1000000             1000000
10.2 NCD 07MY15 FVRS10LAC



TATA STEEL LIMITED                 1000000             1000000
12.5 NCD 19NV16 FVRS10LAC



TATA STEEL LIMITED                 1000000             1000000
10.4 NCD 15MY19 FVRS10LAC



TATA STEEL LIMITED                 1000000             1000000
11 NCD 19MY19 FVRS10LAC
TATA TELESERVIC                     988,400.00   1,000,000.00
6.45 NCD 23JL11 FV RS 10 LAC LOA
UPTO 14OT04


TATA TELESERVIC                     413,793.10   1,000,000.00
LOA 26JL11 FV RS 10 LAC



TATA TELESERVIC                     1000000      1000000
6 LOA 29MR20 FVRS10LAC



TATA TELESERVIC                     1000000      1000000
11.69 LOA 14AG25 FVRS10LAC



TCI FINANCE LIMITED 13 NCD 29NV12   10000000     10000000
FVRS1CR



TECH MAHINDRA LIMITED               1000000      1000000
10.25 LOA 17AP13 FVRS10LAC



TECH MAHINDRA LIMITED               1000000      1000000
10.25 LOA 17AP14 FVRS10LAC



TECHNO ELECTRIC                     1000000      1000000
7.5 NCD 20NV12 FVRS10LAC



TELEDATA WIRELESS SERVICES PVT      10           10
LTD
LOA 28JL14 FVRS10


BANK RAJASTHAN                      1000000      1000000
SR-3/1 7.5 BD 15NV11 FVRS 10 LAC



BANK RAJASTHAN                      1000000      1000000
SR-3/2 7.75 BD 15JL14 FVRS 10LAC



BANK RAJASTHAN                      1000000      1000000
SR-IV 8.7 BD 28AP15 FVRS10LAC



BANK RAJASTHAN                      1000000      1000000
10.25 LOA 08AP16 FVRS10LAC



BANK RAJASTHAN                      1000000      1000000
9.5 BD 15JN17 FVRS10LAC
BANK RAJASTHAN                     1000000         1000000
11.5 BD 05JN19 FVRS10LAC



BANK RAJASTHAN                     1000000         1000000
10.5 LOA 08JU19 FVRS10LAC



BANK RAJASTHAN                     1000000         1000000
10.5 BD 22SP21 FVRS10LAC



CATHOLIC SYRIAN                    1000000         1000000
SR 2 OP1 7.8 BD 08MY12



CATHOLIC SYRIAN                    1,000,000.000   1,000,000.000
SR-I 7.21 BD 20JN14 FV RS 10 LAC



CATHOLIC SYRIAN                    1000000         1000000
8.75 BD 21AP14 FVRS10LAC



CATHOLIC SYRIAN                    1,000,000.00    1,000,000.00
7.35 BD 30JU14 FV RS 10 LAC



CATHOLIC SYRIAN                    1000000         1000000
SR 2 OP2 8 BD 08NV14 FVRS10LAC



DHANALAKSHMI BN                    1000000         1000000
9.7 LOA 29DC13 FVRS10LAC



DHANALAKSHMI BN                    1000000         1000000
10.3 LOA 30AP15 FVRS10LAC



DHANALAKSHMI BN                    1000000         1000000
RR LOA 30JL25 FVRS10LAC



DHANALAKSHMI BN                    1000000         1000000
9 LOA 30JU13 FVRS10LAC



FEDERAL BANK                       1000000         1000000
6.75 BD 26AP12 FV RS 10 LAC



FEDERAL BANK                       1000000         1000000
6.85 BD 26AP14 FV RS 10 LAC
FEDERAL BANK                     1000000                  1000000
9.25 LOA 16DC16 FVRS10LAC



FEDERAL BANK                     1,000,000.00             1,000,000.00
7.1 LOA 30AP12 FV RS 10 LAC



G. E. SHIPPING                   1000000                  1000000
9.4 NCD 06JN18 FVRS10LAC



G. E. SHIPPING                   1000000                  1000000
9.19 NCD 24DC18 FVRS10LAC



G. E. SHIPPING                   1000000                  1000000
9.4 NCD 06JN19 FVRS10LAC



G. E. SHIPPING                   1000000                  1000000
9.35 NCD 08FB19 FVRS10LAC



G. E. SHIPPING                   1000000                  1000000
9.8 NCD 03JL19 FVRS10LAC



G. E. SHIPPING                   1000000                  1000000
9.75 NCD 20AG19 FVRS10LAC



G. E. SHIPPING                   1000000                  1000000
9.6 NCD 10NV19 FVRS10LAC



THE GREAT EASTERN SHIPPING                      1000000                  1000000
COMPANY LIMITED 9.7 NCD 02FB21
FVRS 10LAC


THE GREAT EASTERN SHIPPING       1000000                  1000000
COMPANY LIMITED 9.7 NCD 15AP21
FVRS10LAC


THE GREAT EASTERN SHIPPING       1000000                  1000000
COMPANY LIMITED 9.7 NCD 25AP21
FVRS10LAC


THE GREAT EASTERN SHIPPING       1000000                  1000000
COMPANY LIMITED 9.7 NCD 07JN23
FVRS10LAC


THE GREAT EASTERN SHIPPING       1000000                  1000000
COMPANY LIMITED 9.7 NCD 18JN23
FVRS10LAC
INDIAN HOTELS                1000000       1000000
9.5 LOA 28FB12 FVRS10LAC



INDIAN HOTELS                1000000       1000000
11.8 NCD 18DC13 FVRS10LAC



INDIAN HOTELS                1000000       1000000
2 NCD 09DC14 FVRS10LAC



INDIAN HOTELS                1000000       1000000
2 NCD 22MR17 FVRS10LAC



INDIAN HOTELS                1000000       1000000
2 NCD 09DC19 FVRS10LAC



IISCO SR-1                   500,000.000   500,000.000
6.4 BD 14OT13 FV RS 5 LAC



J AND K BANK                 1000000       1000000
9 LOA 30DC19 FVRS10LAC



KARUR VYSYA BNK              1000000       1000000
9.86 LOA 25SP19 FVRS10LAC



LAKSHMI VILAS                1000000       1000000
10.8 LOA 25NV15 FVRS10LAC



LAKSHMI VILAS                1000000       1000000
9.95 LOA 30AP16 FVRS 10LAC



MYSORE PAPER                 1000000       1000000
8.27 LOA 15OT16 FVRS10LAC



MYSORE PAPER                 1000000       1000000
8.49 LOA 16JL20 FVRS10LAC



SOUTH INDN BANK              1000000       1000000
8.6 BD 25AP13 FVRS10LAC



SOUTH INDN BANK              1000000       1000000
9.75 LOA 20AP20 FVRS10LAC
TIIC LTD SLR                1000      1000
8 BD 10SP11 FV RS 1000



TIIC LTD SLR                1000      1000
7.5 BD 10SP11 FVRS1000



TIIC LTD SLR                1000      1000
8 BD 13JN12 FV RS 1000



TIIC LTD SLR                1000      1000
8 BD 14FB12 FV RS 1000



TIIC LTD SLR                1000      1000
8 BD 20FB12 FV RS 1000



TIIC LTD SLR                1000      1000
7.5 BD 20FB12 FVRS1000



TIIC LTD SLR                1000      1000
8 BD 26JL13 FVRS1000



TIIC LTD SLR                1000      1000
8 BD 18AP14 FVRS1000



TIIC LTD SLR                1000      1000
8 BD 14FB15 FV RS 1000



TATA POWER                  2500000   2500000
9.15 NCD 23JL11 FVRS25LAC



TATA POWER                  100000    100000
9.15 NCD 18SP11 FVRS1LAC



TATA POWER                  2500000   2500000
9.15 NCD 23JL12 FVRS25LAC



TATA POWER                  100000    100000
9.15 NCD 17SP12 FVRS1LAC



TATA POWER                  2500000   2500000
9.15 NCD 23JL13 FVRS25LAC
TATA POWER                  100000    100000
9.15 NCD 17SP13 FVRS1LAC



TATA POWER                  2500000   2500000
9.15 NCD 23JL14 FVRS25LAC



TATA POWER                  100000    100000
9.15 NCD 17SP14 FVRS1LAC



TATA POWER                  2500000   2500000
9.15 NCD 23JL15 FVRS25LAC



TATA POWER                  100000    100000
9.15 NCD 17SP15 FVRS1LAC



TATA POWER                  1000000   1000000
RR LOA 180T15 FV RS 10LAC



TATA POWER                  2500000   2500000
9.15 NCD 23JL16 FVRS25LAC



TATA POWER                  100000    100000
9.15 NCD 17SP16 FVRS1LAC



TATA POWER                  2500000   2500000
9.15 NCD 23JL17 FVRS25LAC



TATA POWER                  100000    100000
9.15 NCD 17SP17 FVRS1LAC



TATA POWER                  1000000   1000000
10.1 NCD 25AP18 FVRS10LAC



TATA POWER                  1000000   1000000
10.4 NCD 20JU18 FVRS10LAC



TATA POWER                  2500000   2500000
9.15 NCD 23JL18 FVRS25LAC



TATA POWER                  100000    100000
9.15 NCD 17SP18 FVRS1LAC
TATA POWER                  2500000   2500000
9.15 NCD 23JL19 FVRS25LAC



TATA POWER                  100000    100000
9.15 NCD 17SP19 FVRS1LAC



TATA POWER                  2500000   2500000
9.15 NCD 23JL20 FVRS25LAC



TATA POWER                  100000    100000
9.15 NCD 17SP20 FVRS1LAC



TATA POWER                  2000000   2000000
9.15 NCD 23JL21 FVRS20LAC



TATA POWER                  100000    100000
9.15 NCD 17SP21 FVRS1LAC



TATA POWER                  2000000   2000000
9.15 NCD 23JL22 FVRS20LAC



TATA POWER                  100000    100000
9.15 NCD 17SP22 FVRS1LAC



TATA POWER                  2000000   2000000
9.15 NCD 23JL23 FVRS20LAC



TATA POWER                  100000    100000
9.15 NCD 17SP23 FVRS1LAC



TATA POWER                  2000000   2000000
9.15 NCD 23JL24 FVRS20LAC



TATA POWER                  100000    100000
9.15 NCD 17SP24 FVRS1LAC



TATA POWER                  2000000   2000000
9.15 NCD 23JL25 FVRS20LAC



TATA POWER                  162500    162500
9.15 NCD 17SP25 FVRS1LAC
THE TATA POWER COMPANY LIMITED      1000000                  1000000
RR NCD PERPETUAL FVRS10LAC



UNITED WEST BNK                     1,000,000                1,000,000
7.25 BD 21MY12 FV RS 10 LAC



THREE C PROJECTS PRIVATE LIMITED    1000                     1000
5.1 NCD 08DC13 FVRS1000



THYROCARE TECHNOLOGIES LIMITED      662.30                   662.3
LOA 26DC13 FVRS662.30



TMFL AUTO SEC TR MIX POOL A MAY     10457659.95              14371283.08
2008-ITCL
SR-A3 PTC 13MY08


TML AUTO SECURITISATION TR-SR I -   10024596.41              11091443
2010-ITCL
SR-A1 PTC 04FB10


TML AUTO SECURITISATION TR-SR I -   10024596.41              11091443
2010-ITCL
SR-A2 PTC 04FB10


TML AUTO SECURITISATION TR-SR I -   8321334.14               12206995
2010-ITCL
SR-A3 PTC 04FB10


TOTAL ENVIRONMENT LIVING SPACES                   10000000                 10000000
PRIVATE LTD 5.097 NCD 24DC14
FVRS1CR


TFCI SR-GB-1                        1,000                    1,000
12 BD 27JN12 FV RS 1000



TFCI SR-MB-29                       5,00,000                 5,00,000
11.25 LOA 01MR12 FV RS 5 LAC



TFCI SR-MB-32                       100,000                  100,000
10.5 LOA 16JN13 FV RS 1 LAC



TFCI SR-MB-35                       100,000.00               100,000.00
10.5 LOA 31MR13 FV RS 1 LAC



TOURISM FIN COR                     100,000.000              100,000.000
MB36 8.5 LOA 31OT13 FVRS 1LAC
TOURISM FIN COR                  100,000.000     100,000.000
MB37 8.5 LOA 24DC13 FVRS 1LAC



TOURISM FIN COR                  1000000         1000000
9.5 BD 30AP19 FVRS10LAC



TOURISM FIN COR                  1000000         1000000
SR-MB XXXIX 9.5 BD 30AP19
FVRS10LAC


TOURISM FIN COR                  1000000         1000000
8.9 BD 29NV20 FVRS10LAC



APTRANS. 1/02 B                  100000          100000
11.3 BD 07AP12



TRANSMISSION CORPORATION OF A.P. 1,000,000.000   1,000,000.000
LTD
8.4 LOA 10FB14 FV RS 10 LAC


APTRANS. 1/02 C                  100000          100000
11.6 BD 07AP14



APTRANS. 1/02 C                  100000          100000
11.6 BD 15AP14



APTRANS. 1/02 C                  100000          100000
11.6 BD 10JL14



APTRANS. 1/02 C                  100000          100000
11.6 BD 01AG14



TRANSMISSION CORPORATION OF A.P. 1000000         1000000
LTD
OP-1 8.7 09SP16 FVRS10LAC


TRANSMISSION CORPORATION OF A.P. 1000000         1000000
LTD
8.59 LOA 15FB17 FVRS10LAC


TRANSMISSION CORPORATION OF A.P. 1000000         1000000
LTD
8.6 LOA 31MR18 FVRS10LAC


TRANSMISSION CORPORATION OF A.P. 1000000         1000000
LTD
8.55 LOA 07MR19 FVRS10LAC
TRANSMISSION CORPORATION OF A.P. 1000000    1000000
LTD
OP-2 8.95 09SP21 FVRS10LAC


TRANSMISSION CORPORATION OF A.P. 1000000    1000000
LTD
8.69 LOA 15FB22 FVRS10LAC


TRANSMISSION CORPORATION OF A.P. 1000000    1000000
LTD
8.65 LOA 07MR24 FVRS10LAC


TRENT                            1000000    1000000
LOA 21OT11 FVRS10LAC



TRENT                            1000000    1000000
LOA 14AP15 FVRS10LAC



TRENT                            1000000    1000000
5 LOA 27AP15 FVRS10LAC



TRENT                            1000000    1000000
SR-A 9.75 LOA 30JU17 FVRS10LAC



TRENT                            1000000    1000000
SR-B LOA 30JU17 FVRS10LAC



TRICONE PROJECTS INDIA LIMITED   1000000    1000000
16.9 NCD 12JN12 FVRS10LAC



TRICONE PROJECTS INDIA LIMITED   1000000    1000000
16.9 NCD 12JL12 FVRS10LAC



TRIMAX IT INFRASTRUCTURE &       100000     100000
SERVICES LIMITED
CCD 30SP20 FVRS1LAC


TRIVENI ENGG.                    1000000    1000000
12.45 NCD 26DC14 FVRS10LAC



TUBE INVESTMENT                  10000000   10000000
11.7 LOA 25FB14 FVRS1CR



TUBE INVESTMENT                  10000000   10000000
8.5 LOA 27NV14 FVRS1CR
TUBE INVESTMENT                     10000000       10000000
8.6 LOA 09MR15 FVRS1CR



TUBE INVESTMENT                     10000000       10000000
8.75 LOA 07MY15 FVRS1CR



TULIP TELECOM LIMITED               1000000        1000000
10.67 LOA 29MR14 FVRS10LAC



TULIP TELECOM LIMITED               1000000        1000000
10.67 LOA 29SP14 FVRS10LAC



TULIP TELECOM LIMITED               1000000        1000000
12.5 LOA 31OT14 FVRS10LAC



TULIP TELECOM LIMITED               1000000        1000000
10.67 LOA 29MR15 FVRS10LAC



UCO BANK                            1,000,000.00   1,000,000.00
SR-4 5.95 LOA 30JU13 FV RS 10 LAC



UCO BANK                            1000000        1000000
V 7.25 LOA 30AP14 FVRS10LAC



UCO BANK                            1000000        1000000
SR-6 7.5 BD 15AP15 FVRS10LAC LOA
UPTO 21AP06


UCO BANK                            1000000        1000000
VII 7.85 LOA 15MY15 FVRS10LAC



UCO BANK                            1000000        1000000
9.25 LOA 07AP16 FVRS10LAC



UCO BANK                            1000000        1000000
9.5 LOA 30AP18 FVRS10LAC



UCO BANK                            1000000        1000000
9.75 LOA 22AP19 FVRS10LAC



UCO BANK                            1000000        1000000
8.92 LOA 08MR20 FVRS10LAC
UCO BANK                            1000000       1000000
SR-I 8.7 LOA 22MR21 FVRS10LAC



UCO BANK                            1000000       1000000
SR-2 9.28 LOA 03JL21 FVRS10LAC



UCO BANK                            1000000       1000000
9.35 LOA 22DC22 FVRS10LAC



UCO BANK                            1000000       1000000
RR LOA 25MR25 FVRS10LAC



UCO BANK                            1000000       1000000
SR-1 9.5 PERPETUAL LOA FVRS 10LAC



UCO BANK                           1000000        1000000
SR-2 9.35 PERPETUAL LOA FVRS 10LAC



UJJIVAN FINANCIAL SERVICES PVT LTD 1000000        1000000
10.95 NCD 27JL11 FVRS10LAC



UJJIVAN FINANCIAL SERVICES PVT LTD 10000000       10000000
10.40 LOA 31DC12 FVRS1CR



UJJIVAN FINANCIAL SERVICES PVT LTD 1000000        1000000
12.86 LOA 26JU14 FVRS10LAC



ULTRA SPACE DEVELOPERS PVT LTD      1000000       1000000
5.75 LOA 07AG13 FVRS10LAC



ULTRATECH CEMENT                    1000000       1000000
10.525 LOA 21AG13 FVRS10LAC



L AND T                             1,00,00,000   1,00,00,000
8.3 NCD 02SP12 FV RS 1 CR



L AND T                             1,00,00,000   1,00,00,000
8.25 NCD 02SP12 FV RS 1 CR



L AND T                             1,00,00,000   1,00,00,000
8 NCD 16SP12
 FV RS 1 CR
L AND T                         10,000,000      10,000,000
6.65 LOA 30AP13 FV RS 1 CR



L AND T                         5,176,696       10,000,000
LOA 30AP13 FV RS 1 CR



UNILAZER EXPORTS AND MANAGEMENT 1000000         1000000
CONSULTANTS
12.75 NCD 15NV12 FVRS10LAC


UNILAZER MEDIA LIMITED          10000           10000
0.01 OCD 16JU16 FVRS10000



UNION BANK SR-6                 1,000,000.000   1,000,000.000
5.95 BD 03MY13 FV RS 10 LAC



UNION BANK                      1000000         1000000
SR-9 8.33 BD 19MY16 FVRS10LAC



UNION BANK                      1000000         1000000
9.35 BD 12AP18 FVRS10LAC



UNION BANK                      1000000         1000000
10.95 BD 17SP18 FVRS10LAC



UNION BANK                      1000000         1000000
9.5 BD 23DC18 FVRS10LAC



UNION BANK                      1000000         1000000
8.6 BD 30DC18 FVRS10LAC



UNION BANK                      1000000         1000000
8.95 BD 16OT21 FVRS10LAC



UNION BANK                      1000000         1000000
RR BD 25JU24 FVRS10LAC



UNION BANK                      1000000         1000000
RR BD 27JN25 FVRS10LAC



UNION BANK                      1000000         1000000
RR LOA 28JU25 FVRS10LAC
UNION BANK                         1000000   1000000
9.9 PERPETUAL BD FVRS10LAC



UNION BANK                         1000000   1000000
RR PERPETUAL BD FVRS10LAC



UNION BANK                         1000000   1000000
RR PERPETUAL BD FVRS10LAC



UNION BANK                         1000000   1000000
11.15 PERPETUAL BD FVRS10LAC



UNION BANK                         1000000   1000000
9.45 PERPETUAL BD FVRS10LAC



UNION BANK                         1000000   1000000
SR-8 OP-2 BR BD 23AP12 FVRS10LAC



UNION BANK                         1000000   1000000
SR-8 OP-1 7.45 BD 23AP15 FVRS10LAC



UNION BANK                         1000000   1000000
SR7 7.15 BD 08MY15 FVRS10LAC



UNITECH LTD                        1000000   1000000
11 NCD 16AG11 FVRS10LAC



UNITECH LTD                        100       100
11 NCD 15MR12 FVRS100



UNITED BANK OF INDIA               1000000   1000000
9.3 BD 25MR19 FVRS10LAC



UNITED BANK OF INDIA               1000000   1000000
II 7.4 BD 15MY15 FVRS10LAC



UNITED BANK OF INDIA               1000000   1000000
SR-3 8 BD 29AP16 FVRS10LAC



UNITED BANK OF INDIA               1000000   1000000
SR-4 9.25 BD 16AG16 FVRS10LAC
UNITED BANK OF INDIA               1000000   1000000
10.1 BD 27AP17 FVRS10LAC



UNITED BANK OF INDIA               1000000   1000000
10.65 BD 18JU22 FVRS10LAC



UNITED PHOSPHORUS                  1000000   1000000
8.75 LOA 13AG12 FVRS10LAC



UNITED PHOSPHORUS                  1000000   1000000
9 LOA 13FB13 FVRS10LAC



UNITED PHOSPHORUS                  1000000   1000000
9.5 LOA 12JN15 FVRS10LAC



UNITED PHOSPHORUS                  1000000   1000000
11.7 LOA 27JN16 FVRS10LAC



UNITED PHOSPHORUS                  1000000   1000000
RR LOA 09AP17 FVRS10LAC



UNITED PHOSPHORUS                  1000000   1000000
SR- A 10.25 LOA 05OT18 FVRS10LAC



UNITED PHOSPHORUS                  1000000   1000000
SR- B 10.35 LOA 05OT19 FVRS10LAC



UNITED PHOSPHORUS                  1000000   1000000
RR LOA 09AP20 FVRS10LAC



UNITED PHOSPHORUS                  1000000   1000000
SR- C 10.42 LOA 05OT21 FVRS10LAC



UNITED PHOSPHORUS                  1000000   1000000
SR-D 10.47 LOA 05OT22 FVRS10LAC



UNITED PHOSPHORUS LIMITED RR LOA 1000000     1000000
06JL26 FVRS10LAC



UNIVERSAL BUILDWELL PVT LTD 16.75 925926     1000000
NCD 21JN14 FVRS10LAC
UNIVERSAL BUILDWELL PVT LTD 16.75 925926          1000000
NCD 04FB14 FVRS10LAC



UNIVERSAL BUILDWELL PVT LTD 16.75 925926          1000000
NCD 01MR14 FVRS10LAC



UNIVERSAL BUILDWELL PVT LTD 16.75 925926          1000000
NCD 01MR14 FVRS10LAC



UNIVERSAL BUILDWELL PVT LTD 16.75 925926          1000000
NCD 20AP14 FVRS10LAC



UNIVERSAL BUILDWELL PVT LTD       925926          1000000
16.75% NCD 11MY14 FVRS10LAC



URBAN INFRASTRUCTURE HOLDINGS     100             100
PRIVATE LIMITED OCD 01OT12
FVRS100


UTI BANK                          1,000,000.000   1,000,000.000
SR8/2 6.25LOA15OT11 FVRS10LAC



UTI BANK-5 OP--3                  5,00,000        5,00,000
9.3 BD 20JU12 FV RS 5 LAC



UTI BANK                          1000000         1000000
SR-X BR LOA 25JL12 FVRS10LAC



UTI BANK-6 OP-3                   5,00,000        5,00,000
8.95 BD 21SP12 FV RS 5 LAC



UTI BANK-7 OP-3                   500,000.00      500,000.00
7 NCD 26AP13
LOA UPTO 17AG03 FV RS 5 LAC


UTI BANK                          1000000         1000000
8.50 LOA 22JU13 FVRS10LAC



UTI BANK                          1000000         1000000
8.32 LOA 22JU13 FVRS10LAC



UTI BANK                           1000000        1000000
SR-11/1 8.95 LOA 28SP13 FVRS10 LAC
UTI BANK                          1,000,000.000   1,000,000.000
SR8/3 6.5NCD 15OT13 FVRS10LAC LOA
UPTO 30JN04


UTI BANK                            1000000       1000000
8.75 LOA 22MR16 FVRS10LAC



UTI BANK                            1000000       1000000
8.56 LOA 22MR16 FVRS10LAC



UTI BANK                            1000000       1000000
SR-11/2 9.1 LOA 28JU16 FVRS10 LAC



UTI BANK                            1000000       1000000
10.1 NCD 30MR17 FVRS10LAC



UTI BANK                            1000000       1000000
9.35 NCD 24NV21 FVRS10LAC



UTI BANK                            1000000       1000000
9.5 NCD 06FB22 FVRS10LAC



UTI BANK                            1000000       1000000
10.05 PERPETUAL NCD FVRS 10LAC



UTTAM GALVA                         1000000       1000000
11.25 NCD 25MR15 FVRS10LAC



UTTAR PRADESH FINANCIAL             100.00        100.00
CORPORATION
8.3 BD 20FB12 FV RS 100


UTTAR PRADESH FINANCIAL             100.00        100.00
CORPORATION
7.92 BD 25JL12 FV RS 100


UTTAR PRADESH FINANCIAL             100.00        100.00
CORPORATION
6.75 BD 26MR13 FV RS 100


UTTAR PRADESH FINANCIAL             100.00        100.00
CORPORATION
8.35 BD 20DC11 FV RS 100


VADODARA HALOL                      5,000         50,150
DDB 16AP16 FV RS 50150
VADODARA HALOL                 5,000        50,150
DDB 17AP16 FV RS 50150



VADODARA HALOL                 5,000        50,150
DDB 29NV16 FV RS 50150



VEDANTA ALUMINIUM LIMITED      1000000      1000000
11.5 LOA 23OT15 FVRS10LAC



VICEROY HOTELS                 1000000      1000000
10.75 NCD 31MR14 FVRS10LAC



VIDC SR-6                      1,00,000     1,00,000
12.25 LOA 05NV11 FV RS 1 LAC



VIDC SR-6                      1,00,000     1,00,000
BR LOA 05NV13 FV RS 1 LAC



VIDC SR-7 OPT-B                100,000.00   100,000.00
11.25 LOA 15JN13 FV RS 1 LAC



VIDC SR-8 OPT-B                100,000.00   100,000.00
11.25 LOA 19MY13 FV RS 1 LAC



VIDC SR-6                      1,00,000     1,00,000
12.5 LOA 05NV13 FV RS 1 LAC



VIDC SR-7 OPT-C                100,000.00   100,000.00
11.5 LOA 15JN15 FV RS 1 LAC



VIDC SR-8 OPT-C                100,000.00   100,000.00
11.5 LOA 19MY15 FV RS 1 LAC



VIDC SR-5                      1,00,000     1,00,000
13.5 LOA 15SP15 FV RS 1 LAC



VIDEOCON APPL                  100          100
 LOA 01SP12 FV RS 100



VIDEOCON APPL                  100.00       100.00
NCD 01SP12 FV RS 100
VIDEOCON COMM.                  100       100
 LOA 01SP12 FV RS 100



VIDEOCON COMM.                  100.00    100.00
NCD 01SP12 FV RS 100



VIDEOCON INDUSTRIES             100       100
9 LOA 01JN12 FVRS100



VIJAY ASSOCIATES (WADHWA)       91040     91040
CONSTRUCTIONS P.LTD 16 NCD
01JU13 FVRS91040


VIJAY ASSOCIATES (WADHWA)       100000    100000
CONSTRUCTIONS P.
16 NCD 31MY13 FVRS1LAC


VIJAY ASSOCIATES (WADHWA)       100000    100000
CONSTRUCTIONS P.
SR-B 16 NCD 01JU13 FVRS1LAC


VIJAYA BANK                     1000000   1000000
SR-4 7.15 BD 15JU15 FVRS10LAC



VIJAYA BANK                     1000000   1000000
SR-5 9.25 BD 01AG16 FVRS10LAC



VIJAYA BANK                     1000000   1000000
9.5 LOA 31OT17 FVRS10LAC



VIJAYA BANK                     1000000   1000000
9.35 LOA 30AP18 FVRS10LAC



VIJAYA BANK                     1000000   1000000
9.35 BD 30AP18 FVRS10LAC



VIJAYA BANK                     1000000   1000000
10.1 LOA 20MR22 FVRS10LAC



VIJAYA BANK                     1000000   1000000
9.45 LOA 17MR23 FVRS10LAC



VITAL CONSTRUCTION PRIVATE      10        10
LIMITED
12 FCD 19MR12 FVRS10
WSPF                        1,00,000   1,00,000
9.2 BD 20DC17 FV RS 1 LAC



WSPF                        1000000    1000000
7.25 LOA 09AP18 FVRS10LAC



WSPF                        100000     100000
7.5 LOA 09SP20 FVRS1LAC



WELSPUN CORP LIMITED        1000000    1000000
9.55 LOA 03AG25 FVRS10LAC



WELSPUN CORP LIMITED        1000000    1000000
9.55 LOA 28SP25 FVRS10LAC



WELSPUN GUJARAT             1000000    1000000
10.5 LOA 28NV12 FVRS10LAC



WELSPUN GUJARAT             1000000    1000000
10.4 LOA 30DC12 FVRS10LAC



WELSPUN INDIA-G             100        100
 NCD 30SP11 FV RS 100



WB FIN CORP SLR             100        100
11.5 BD 04SP11 FV RS 100



WB FIN CORP SLR             100        100
8.35 BD 20DC11 FV RS 100



WB FIN CORP SLR             100        100
8.3 BD 22FB12 FV RS 100



WB FIN CORP SLR             100        100
8 BD 23MR12 FV RS 100



WB FIN CORP SLR             100        100
7.92 BD 25JL12
LOA Upto 03JU03 FV RS 100


WB FIN CORP SLR             100.00     100.00
6.75 BD 28MR13 FV RS 100
WEST BENGAL FIN CORP         100000   100000
7.75 BD 11MR12 FVRS1LAC



WEST BENGAL FIN CORP         100000   100000
8.48 BD 29AG13 FVRS1LAC



WEST BENGAL FIN CORP         100000   100000
8.5 BD 18AP14 FVRS1LAC



WEST BENGAL FIN CORP         100000   100000
7.95 BD 19MY14 FVRS1LAC



WEST BENGAL FIN CORP         100000   100000
7.65 BD 27MY14 FV RS 1 LAC



WEST BENGAL FIN CORP         100000   100000
7.75 BD 17JU14 FVRS1LAC



WEST BENGAL FIN CORP         100000   100000
8.5 BD 10JL14 FVRS1LAC



WEST BENGAL FIN CORP         100000   100000
7.95 BD 08AG14 FVRS1LAC



WEST BENGAL FIN CORP         100000   100000
8.5 BD 28AG14 FVRS1LAC



WEST BENGAL FIN CORP         100000   100000
7.75 BD 29NV14 FVRS1LAC



WEST BENGAL FIN CORP         100000   100000
7.75 BD 29JN15 FVRS1LAC



WEST BENGAL FIN CORP         100000   100000
7.9 BD 04AP16 FVRS1LAC



WEST BENGAL FIN CORP         100000   100000
9.15 BD 13NV16 FVRS1LAC



WEST BENGAL FIN CORP         100000   100000
8.85 BD 05FB17 FVRS1LAC
WEST BENGAL FIN CORP             100000    100000
9.05 BD 01MR17 FVRS1LAC



WEST BENGAL FIN CORP             100000    100000
9.3 BD 12DC18 FVRS1LAC



WEST BENGAL FIN CORP             100000    100000
8.9 BD 25MR19 FVRS1LAC



WEST BENGAL FIN CORP             100000    100000
8.6 BD 30DC19 FVRS1LAC



WEST BENGAL FIN CORP             100000    100000
8.6 BD 03MR20 FVRS1LAC



WEST BENGAL INFRA DEV FIN CORP   1000000   1000000
8.75 LOA 04OT13 FVRS10LAC



WEST BENGAL INFRA DEV FIN CORP   1000000   1000000
9.1 BD 08OT14 FVRS10LAC



WEST BENGAL INFRA DEV FIN CORP   1000000   1000000
IB-AZ 8 LOA 01AP15 FVRS10LAC



WEST BENGAL INFRA DEV FIN CORP   1000000   1000000
8 LOA 11DC15 FVRS10LAC



WEST BENGAL INFRA DEV FIN CORP   1000000   1000000
9 LOA 04OT16 FVRS10LAC



WEST BENGAL INFRA DEV FIN CORP   1000000   1000000
9.1 LOA 04OT16 FVRS10LAC



WEST BENGAL INFRA DEV FIN CORP   1000000   1000000
9.05 BD 06AP17 FVRS10LAC



WEST BENGAL INFRA DEV FIN CORP   1000000   1000000
9.2 BD 08OT17 FVRS10LAC



WEST BENGAL INFRA DEV FIN CORP   1000000   1000000
9.3 BD 08OT17 FVRS10LAC
WEST BENGAL INFRA DEV FIN CORP   1000000                   1000000
9.15 BD 06AP20 FVRS10LAC



WEST BENGAL INFRA DEV FIN CORP   1000000                   1000000
9.2 BD 06AP20 FVRS10LAC



WEST BENGAL INFRA DEV FIN CORP   1000000                   1000000
SR-IB 7.5 LOA 20MY12 FVRS10LAC



WEST BENGAL INFRA DEV FIN CORP   1000000                   1000000
7.75 LOA 20MY15 FVRS10LAC



WB IDFC TX                       100,000.00                100,000.00
8.25 LOA 27MY14 FV RS 1 LAC



WB IDFC TX                       100,000.00                100,000.00
8.4 LOA 27MY14 FV RS 1 LAC



WB IDFC TX                       100,000.00                100,000.00
11.85 LOA 31OT12 FV RS 1 LAC



WB IDFC TX                       100,000.00                100,000.00
11.85 LOA 19MR13 FV RS 1 LAC



WB IDFC TX                       100,000.000               100,000.000
10.5 LOA 31AG13 FV RS 1 LAC



WB IDFC TX                       Issue Price: 100,000.00   Face Value: 100,000.00
12.6 LOA 20MY14 FV RS 1 LAC



WEST BENGAL STATE ELECTRICITY    30000000                  28000000
BOARD
8.5 BD 01JN18 FVRS 280 LAC


WEST BENGAL STATE ELECTRICITY    10000000                  9296000
BOARD
8.5 BD 01JN18 FV RS 9296000


WEST BENGAL STATE ELECTRICITY    1000000                   1000000
DIST CO LTD
9.34 LOA 16AG25 FVRS10LAC


WEST BENGAL STATE ELECTRICITY    1000000                   1000000
DIST CO LTD
9.34 LOA 25OT25 FVRS10LAC
WEST GUJARAT EXPRESSWAY LTD      1000000             1000000
RR NCD 30JU20 FVRS10LAC



WIRE AND WIRELESS (INDIA) LTD.   1000000             1000000
9.95 NCD 10JU12 FVRS10LAC



WOCKHARDT                        1000000             1000000
12.25 LOA 07AG15 FVRS10LAC



YES BANK LIMITED BR BD 02SP13              1000000             1000000
FVRS10LAC



YES BANK LIMITED                 1000000             1000000
9.1 BD 07MY16 FVRS10LAC



YES BANK LIMITED                 1000000             1000000
10 BD 29AP17 FVRS10LAC



YES BANK LIMITED                 1000000             1000000
10 BD 07MY17 FVRS10LAC



YES BANK LIMITED                 1000000             1000000
10.15 BD 30MY17 FVRS 10LAC



YES BANK LIMITED                 1000000             1000000
10.15 BD 12JU17 FVRS10LAC



YES BANK LIMITED                 1000000             1000000
9.65 BD 22JN20 FVRS10LAC



YES BANK LIMITED                 1000000             1000000
9.65 BD 30AP20 FVRS10LAC



YES BANK LIMITED                 1000000             1000000
9.3 BD 30AP20 FVRS10LAC



YES BANK LIMITED                 1000000             1000000
9.73 BD 02JN22 FVRS10LAC



YES BANK LIMITED                 1000000             1000000
9.6 BD 07FB22 FVRS10LAC
YES BANK LIMITED               1000000   1000000
10 BD 14MR22 FVRS10LAC



YES BANK LIMITED               1000000   1000000
10.1 BD 15MR22 FVRS10LAC



YES BANK LIMITED               1000000   1000000
10.4 BD 23MR22 FVRS10LAC



YES BANK LIMITED               1000000   1000000
10.4 BD 31MR22 FVRS10LAC



YES BANK LIMITED               1000000   1000000
10.4 BD 20AP22 FVRS10LAC



YES BANK LIMITED               1000000   1000000
10.7 BD 29SP22 FVRS10LAC



YES BANK LIMITED               1000000   1000000
10.7 BD 08NV22 FVRS10LAC



YES BANK LIMITED               1000000   1000000
11.75 BD 15SP23 FVRS10LAC



YES BANK LIMITED               1000000   1000000
RR BD 08SP25 FVRS10LAC



YES BANK LIMITED               1000000   1000000
10.25 PERPETUAL BD FVRS10LAC



YES BANK LIMITED               1000000   1000000
10.25 PERPETUAL BD FVRS10LAC



YES BANK LIMITED               1000000   1000000
RR PERPETUAL BD FVRS10LAC



YES BANK LIMITED               1000000   1000000
RR PERPETUAL BD FVRS10LAC



YES BANK LIMITED               1000000   1000000
RR BD 14AG25 FVRS10LAC
Issue Date/Date of Allotment   Redemption   Coupon Rate




3/23/2009                      3/23/2014    12.50%




3/29/2011                      3/28/2013                  12.25%




9/8/2006                       9/7/2011     11.25%




1/18/2011                      6/20/2014    18.00%




10/1/2009                      12/16/2013   10.48%




10/1/2009                      12/30/2015   8.80%




10/1/2009                      7/14/2016    8.01%




1/25/2008                      12/31/2016   Zero Coupon




7/26/2010                      7/26/2017    9.55%




10/4/2004                      10/4/2011    7.75%




12/15/2001                     12/26/2011   11.95%




3/13/2002                      3/13/2012    11.50%




8/6/2002                       8/6/2012     11.50%
1/11/1994   1/11/2014   N.A.




3/9/2004    3/9/2014    8.25%




3/9/2004    3/9/2015    8.60%




1/27/2004   1/27/2016   8.95%




10/4/2004   10/4/2016   8.00%




3/29/2011   3/31/2014                               17.25%




3/22/2011   3/29/2013                               12.10%




9/28/2006   7/1/2015    Reset Rate (Refer remark)




9/28/2006   7/1/2015    Reset Rate (Refer remark)




6/15/2007   6/15/2014   10.75%




1/22/2008   1/22/2018   9.95%




3/31/2005   4/30/2014   7.35%




8/25/2010   8/25/2020   8.75%




8/17/2009   8/17/2016   10.00%
8/17/2009    8/17/2016    10.00%




3/30/2007    6/1/2018     9.50%




7/8/2011     7/8/2021     11.40%




4/20/2011    10/20/2012   ZERO COUPON




3/29/2010    3/29/2012    11.00%




3/31/2010    3/31/2018    13.75%




2/11/2011    8/10/2012    6% ( YTM OF 11.57% annualized )




11/23/2009   11/23/2012   8.10%




7/22/2010    7/22/2015    8.42%




03/11/2010   02/11/2015                                 11.00%




12/20/2010   12/20/2015   11.00%




3/23/2007    3/23/2022    9.75% (Refer Remark)




8/14/2007    8/14/2022    10.75%




8/14/2007    8/14/2022    10.75%
8/4/2009     8/3/2014     11.95%




7/31/2007    7/31/2012    Reset Rate (Refer remark)




8/17/2009    8/16/2016    6.00%




9/30/2009    3/30/2013    10.75%




10/7/2009    4/7/2013     10.75%




4/22/2010    4/22/2013    7.82%




5/7/2010     5/1/2013     9.00%




9/30/2009    9/30/2013    10.75%




10/7/2009    10/7/2013    10.75%




9/30/2009    3/30/2014    10.75%




10/7/2009    4/7/2014     10.75%




9/30/2009    9/30/2014    10.75%




10/7/2009    10/7/2014    10.75%




13/12/2010   13/12/2017                               10.60%
23/11/2010   23/11/2017                                10.50%




3/30/2011    3/30/2017    RESET RATE (Refer Remark)




4/2/2011     4/2/2021                                  10.75%




9/17/2008    9/1/2011     12.95%




9/15/2008    9/15/2011    12.95%




3/28/2009    3/28/2012    11.75%




7/4/2011     7/4/2012     10.50%




8/27/2009    8/26/2012    10.75%




2/1/2008     5/1/2013     10.40%




5/4/2010     5/4/2013     9.00%




5/6/2010     5/6/2013     8.30%




5/14/2010    5/14/2013    Reset Rate (Refer remark)




11/30/2007   5/31/2013    10.75%




3/24/2008    6/24/2013    NSE MIBOR +450bps (Floor :10.50% &
                          Cap:10.55%)
3/27/2008    6/27/2013    10.40%




7/4/2011     7/4/2013     10.55%




1/29/2008    7/29/2013    10.75%




3/17/2008    9/17/2013    10.60%




5/2/2008     10/3/2013    NSE MIBOR +450bps (Floor :10.60% &
                          Cap:10.65%)



11/3/2008    11/3/2013    13.00%




11/26/2008   11/26/2013   13.00%




11/26/2008   2/26/2014    12.60%




12/11/2008   3/11/2014    12.60%




12/15/2008   3/15/2014    12.60%




12/23/2008   3/23/2014    12.60%




1/17/2009    4/17/2014    12.60%




6/15/2011    6/10/2014    10.65%




4/2/2009     7/2/2014     12.00%
4/18/2009    7/18/2014    12.00%




8/27/2009    8/26/2014    11.00% (Refer remark)




8/27/2009    8/26/2014    11.25% (Refer remark)




8/27/2009    8/26/2014    11.03% (To be compounded quarterly)




8/27/2009    8/26/2014    11.00%




7/15/2009    10/15/2014   11.50%




10/27/2009   1/27/2015    10.25%




1/18/2010    4/11/2015    10.25%




1/22/2010    4/22/2015    10.25%




6/2/2010     6/1/2015     9.00%




6/2/2010     6/1/2015     9.50%




6/2/2010     6/1/2015     9.75% (Refer remark)




6/2/2010     6/1/2015     9.75%




6/2/2010     6/1/2015     10.25%
6/2/2010     6/1/2015    10.50%




12/31/2009   6/30/2015   1000.00%




1/6/2010     7/6/2015    10.00%




4/26/2010    7/26/2015   10.25%




1/29/2010    7/29/2015   10.00%




8/24/2010    8/24/2015   Reset Rate




3/29/2010    9/29/2015   10.25%




4/19/2010    4/19/2016   10.25%




5/3/2010     5/3/2016    10.25%




5/3/2010     5/3/2016    10.25%




5/28/2010    5/28/2016   10.25%




6/2/2010     6/1/2017    9.50%




02/06/201    6/1/2017    10.00%




6/2/2010     6/1/2017    10.25% (Refer remark)
6/2/2010     6/1/2017     NA




6/2/2010     6/1/2017     10.25%




6/2/2010     6/1/2017     10.75%




6/2/2010     6/1/2017     11.00%




9/13/2010    9/13/2017    Reset Rate (Refer remark)




8/4/2008     8/4/2018     12.00%




11/5/2008    11/5/2018    13.00%




11/7/2008    11/7/2018    13.00%




12/29/2008   12/29/2018   13.00%




10/31/2009   10/31/2019   10.35%




11/24/2009   11/22/2019   10.35%




12/31/2009   12/31/2019   10.25%




1/29/2010    1/29/2020    10.25%




2/15/2010    2/15/2020    10.25%
4/6/2010     4/6/2020     10.60%




4/19/2010    4/19/2020    10.90%




4/19/2010    4/19/2020    11.00%




4/20/2010    4/20/2020    11.00%




5/3/2010     5/3/2020     10.75%




5/10/2010    5/10/2020    10.50%




5/28/2010    5/28/2020    10.75%




3/31/2011    3/31/2021    11.50%




8/30/2010    8/30/2025    11.00%




9/9/2010     9/9/2025     11.00%




6/2/2010     01/03/2017   NA




6/2/2010     01/12/2016   NA




12-07-2011   11-07-2014   0.1135




12-07-2011   11-07-2014   0.111
12-07-2011   11-07-2014   0.11




12-07-2011   11-07-2016   0.1135




12-07-2011   11-07-2016   0.111




12-07-2011   11-07-2016   0.116




14/06/2010   14/09/2015   10.25%




15/10/2010   15/10/2028   11.05%




11/30/2000   9/15/2011    ICICI LTPLR +1%




12/13/1991   12/13/2011   12.00%




1/13/2010    11/20/2012   7.50%




6/1/2010     6/1/2015     9.00%




2/18/2009    2/18/2018    11.50%




24/06/2010   24/06/2015   9.00%




6/10/2009    6/9/2012     Reset Rate (Refer Remark)




6/10/2009    6/9/2012     Reset Rate (Refer Remark)
1/21/2010    1/28/2013    Zero Coupon




5/31/2005    5/31/2012    5.30%




5/31/2005    5/31/2012    5.30%




6/29/2010    6/29/2013    6.85%




6/30/2010    6/30/2013    6.85%




7/19/2010    7/19/2013    7.65%




9/27/2010    9/27/2013    8.10%




9/28/2010    9/28/2013    8.19%




3/28/2011    3/28/2014    9.50%




3/10/2006    3/10/2016    7.90%




3/27/2006    3/27/2016    7.90%




3/5/2007     3/5/2017     9.60%




13/08/2010   13/08/2020   8.35%




15/12/2010   15/12/2015                 9.00%
21/12/2010   21/12/2015                                9.00%




28/02/2005   28/02/2010   5.40%




28/02/2005   28/02/2010   5.40%




28/06/2010   28/06/2013   6.85%




3/11/2010    3/22/2012    7.72% Yield




3/11/2010    2/23/2015    7.72% Yield




3/12/2010    9/12/2012    Zero Coupon (Refer remark)




6/11/2007    1/1/2015     8.75%




8/1/1998     3/31/2014    11.00%




7/4/2008     7/3/2013     11.25%




7/4/2008     7/3/2013     11.00%




7/11/2008    7/10/2013    11.25%




5/16/2006    3/31/2013    9.00%




1/4/2010     7/25/2011    8.00%
3/15/2010    9/6/2011     8.30%




3/25/2010    9/6/2011     8.30%




3/24/2010    9/15/2011    8.30%




3/25/2010    9/15/2011    8.30%




9/16/2008    9/16/2011    13.50%




10/10/2008   10/10/2011   13.25%




1/15/2010    12/26/2011   9%




3/10/2010    3/10/2012    7.24%




5/12/2010    3/28/2012    8.00%




4/19/2010    5/28/2012    8.50%




3/29/2011    7/2/2012              10.85%




6/15/2011    10/5/2012    10.90%




1/6/2010     11/2/2012    9%




3/10/2010    3/10/2013    7.24%
3/30/2010    3/29/2013    9.00%




5/25/2011    5/13/2013    10.95%




6/15/2011    6/12/2013    10.90%




8/27/2009    8/26/2014    10.50%




8/27/2009    8/26/2014    10.75%




8/27/2009    8/26/2014    11.00%




12/23/2009   12/23/2019   10.00%




3/19/2010    3/19/2020    10.00%




3/31/2010    3/31/2020    10.00%




04/11/2010   02/05/2012            9.75%




04/10/2010   04/10/2011   8.50%




13/08/2010   13/08/2013   9.15%




01/10/2010   22/03/2012   9.00%




24/09/2010   23/09/2011   8.45%
26/10/2010   26/04/2016                         9.15%




29/11/2010   28/11/2011                         9.65%




3/14/2011    5/18/2012    11% (annualised)




3/14/2011    6/6/2012     11% (annualised)




3/10/2011    6/14/2012    10.9% (annualised)




3/14/2011    7/2/2012     11% (annualised)




3/8/2011     1/30/2013    11.25% (annualised)




3/10/2011    2/9/2013     11% (annualised)




3/9/2011     3/6/2013     10.7% (annualised)




17/01/2011   10/1/2013                          9.75%




3/8/2011     1/16/2014    11.25% (annualised)




3/31/2011    3/31/2018    11.50%




24/02/2011   24/04/2012   10.7% (Annualised)




3/23/2010    9/15/2011    8.10%
3/23/2010    9/15/2011    8.10%




4/6/2010     9/30/2011    7.75%




4/7/2010     10/10/2011   7.75%




17/01/2011   10/1/2013                          9.75%




3/30/2007    3/30/2017    12.00%




8/3/2007     8/3/2017     12.00%




3/23/2010    3/23/2020    10.20%




11/10/2010   11/10/2020   10.50%




04/11/2010   02/05/2012                         9.75%




04/10/2010   04/10/2011   8.55%




24/11/2010   23/11/2011                         9.50%




10/18/2001   10/18/2011   9.95%




             8/25/2012    1.50% above SBI PLR




11/19/2008   11/19/2014   13.00%
4/3/2010     10/2/2012    18.00%




4/21/2010    10/20/2012   18.00%




4/23/2010    10/22/2012   18.00%




4/30/2010    10/29/2012   18%




5/19/2010    11/18/2012   18%




12/31/2008   8/15/2013    11.16% Yield




2/5/2010     6/17/2015    9.63% Yield




1/22/2010    1/23/2012    Equity Index Linked




5/28/2010    5/28/2012    Equity Index Linked




1/7/2000     1/1/2016     17.00%




11/30/2009   11/29/2013   15.00%




11/30/2009   11/29/2013   15.00%




2/21/2005    5/21/2014    7.20%




8/10/2006    8/10/2016    9.15%
3/23/2007    3/23/2022    10.25%




10/15/2007   10/15/2022   9.78%




3/20/2008    12/31/2099   9.85% (Refer remark)




9/28/2005    4/28/2015    7.45%




9/29/2006    4/29/2016    8.80%




2/23/2008    9/23/2017    9.15%




3/19/2008    3/19/2023    9.35% (Refer remark)




6/5/2009     6/5/2024     8.39% (Refer remark)




8/21/2009    8/21/2024    8.50% (Refer remark)




9/8/2009     9/8/2024     8.60% (Refer remark)




3/28/2008    12/31/2099   9.95% (Refer remark)




9/20/2010    12/31/2099   Reset Rate (Refer remark)




24/02/2010   31/12/2099   9.20% (Refer remark)




12/5/2005    5/5/2015     7.45%
3/28/2007    6/27/2016    9.85%




3/6/2009     6/6/2018     8.95%




12/29/2008   6/29/2018    8.40%




11/4/2010    11/4/2020    Reset Rate (Refer remark)




6/5/2006     6/5/2021     8.80% (Refer remark)




7/6/2006     7/6/2021     9.00%(Refer Remark)




9/12/2006    9/12/2021    8.96% (Refer remark)




9/13/2006    9/13/2021    8.97% (Refer remark)




9/15/2006    9/15/2021    8.98%




10/4/2006    10/4/2021    8.85% (Refer Remark)




10/16/2006   10/16/2021   8.88% (Refer Remark)




2/17/2007    2/17/2022    9.37% (Refer Remark)




6/7/2007     6/7/2022     10.20% (Refer Remark)




9/12/2007    9/12/2022    10.10% (Refer Remark)
12/19/2008   12/19/2023   8.90% (Refer Remark)




3/2/2009     3/2/2024     Reset Rate (Refer remark)




3/6/2009     3/6/2024     Reset Rate (Refer remark)




11/4/2010    11/4/2025    Reset Rate (Refer remark)




8/14/2009    12/31/2099   Reset Rate (Refer remark)




1/27/2010    12/31/2099   Reset Rate (Refer remark)




2/15/2005    5/15/2014    7.20%




9/29/2005    9/29/2015    7.45%




3/28/2006    3/28/2016    8.70%




12/29/2006   12/29/2021   8.95% (Refer Remark)




3/22/2007    3/22/2022    10.25% (Refer Remark)




3/20/2009    3/20/2024    Reset Rate (Refer remark)




9/28/2007    12/31/2099   10.25% (Refer Remark)




2/1/2005     5/1/2014     7.10%
12/1/2005    5/1/2015     7.45%




11/15/2006   11/15/2021   8.95% (Refer remark)




1/16/2008    1/16/2023    9.08% for first 120 months (ref
                          remark)



11/30/2007   12/30/2099   9.80% (Refer remark)




11/25/2009   12/31/2099   Reset Rate (Refer remark)




2/10/2006    9/10/2015    7.80%




3/31/2007    3/31/2022    10.25% (Refer remark)




7/5/2007     7/5/2022     10.24% (Refer Remark)




9/28/2007    9/28/2022    9.90% (Refer Remark)




12/20/2007   12/20/2022   9.30% (Refer Remark)




3/20/2008    3/20/2023    9.30% (Refer Remark)




3/13/2009    3/13/2024    9.15% (Refer Remark)




1/18/2010    12/31/2099   Reset Rate (Refer remark)




3/9/2006     6/9/2015     8.15%
3/30/2007    6/30/2016    9.80%




1/19/2005    4/19/2014    7.05%




10/6/2005    5/6/2015     7.45%




2/15/2006    5/15/2015    7.80%




7/31/2007    7/31/2017    9.20%




1/8/2008     1/8/2018     9.18%




3/1/2007     3/1/2022     9.65% (Refer remark)




5/18/2007    5/18/2022    10.25% (Refer remark)




3/31/2008    12/31/2099   9.95% (Refer remark)




10/31/2006   12/31/2100   9.34% (Refer remark)




11/5/1999    9/15/2012    15.50%




9/15/2009    9/15/2014    8.75%




10/26/2009   10/26/2014   8.80%




10/26/2009   10/26/2015   8.80%
10/26/2009   10/26/2016   8.80%




10/26/2009   10/26/2017   8.80%




10/26/2009   10/26/2018   8.80%




5/1/2009     5/1/2019     8.90%




5/11/2009    5/11/2019    7.70%




6/22/2009    6/22/2019    8.80%




9/15/2009    9/15/2019    8.75%




10/26/2009   10/26/2019   8.80%




11/19/2009   11/19/2019   8.60%




12/7/2009    12/7/2019    8.00%




12/7/2009    12/7/2019    8.50%




12/30/2009   12/30/2019   8.65%




2/1/2010     2/1/2020     8.65%




4/23/2010    4/23/2020    8.75%
4/30/2010    4/30/2020    8.72%




10/26/2009   10/26/2020   8.80%




8/11/2009    8/11/2021    8.55%




10/26/2009   10/26/2021   8.80%




10/26/2009   10/26/2022   8.80%




10/26/2009   10/26/2023   8.80%




8/25/2009    8/25/2024    8.70%




9/15/2009    9/15/2024    8.75%




10/26/2009   10/26/2024   8.80%




10/26/2009   10/26/2025   8.80%




12/1/2001    12/1/2011    12%




7/20/2002    7/20/2012    12%




2/1/2003     2/1/2013     10.75%




9/1/2003     9/1/2013     8.20%
8/1/2001     8/1/2011     11.00%




8/5/2008     8/5/2015     12.00%




4/10/2003    4/10/2013    8.00%




4/12/2010    3/30/2012    9.00%




2/3/2011     2/5/2012                   10.38%




12/22/2010   5/21/2012    9.60%




4/28/2011    6/15/2012    10.30%




2/3/2011     7/5/2012     ZERO COUPON




4/28/2011    8/2/2012     10.30%




11/1/2011    9/7/2012     ZERO COUPON




3/30/2011    3/29/2013                  10.30%




25/01/2011   16/01/2014                 10.05%




17/02/2011   17/08/2012   ZERO COUPON




25/01/2011   20/04/2012                 10.06%
25/01/2011   24/01/2014                 10.27%




24/02/2011   24/08/2012   ZERO COUPON




11/1/2011    26/06/2012                  9.74%




25/01/2011   27/01/2014                 10.27%




9/29/2008    9/29/2011    12.50%




5/25/2010    11/25/2011   6.95%




3/26/2010    3/26/2012    7.60%




5/11/2010    5/11/2012    7.60%




9/24/2010    9/20/2012    8.60%




9/21/2010    9/21/2012    8.69%




9/27/2010    9/27/2012    8.60%




7/11/2011    10/8/2012    10.18%




10/15/2010   10/15/2012   8.75%




3/31/2010    3/29/2013    8.35%
4/16/2010    4/16/2013    8.30%




4/21/2010    4/29/2013    8.35%




7/15/2010    5/30/2013    8.30%




6/13/2011    6/13/2013    10.65%




6/24/2011    6/24/2013    10.46%




7/11/2011    6/28/2013    10.45%




7/18/2011    7/18/2013    10.46%




10/21/2010   7/22/2013    8.90%




8/9/2010     8/9/2013     8.75%




9/2/2010     9/2/2013     8.75%




5/19/2011    5/19/2014    10.55%




13/Jul/11    7/14/2014    10.55%




14/Jul/11    7/14/2014    10.55%




17/02/2010   03/02/2017   10.00%
11-07-2011   11-07-2014   0.1055




11-07-2011   11-08-2014   0.1055




11-07-2011   28-06-2013   0.1041




15/07/2010   30/05/2013   8.30%




7/28/2009    7/28/2011    7.80%




8/10/2009    8/10/2011    NSE MIBOR + 6.00% (Floor : 7.95% and
                          Cap : 8.00%)



9/9/2009     9/9/2011     8.30%




9/14/2009    9/14/2011    8.42%




10/30/2009   9/15/2011    Zero Coupon




7/30/2009    9/23/2011    Zero Coupon




8/31/2009    10/10/2011   NSE MIBOR + 6% (Floor:8.00% &
                          Cap:8.05%)



10/28/2008   10/20/2011   13.00%




10/28/2009   10/28/2011   Zero Coupon




11/9/2009    11/9/2011    7.75%
11/11/2009   11/11/2011   7.55%




11/30/2007   11/30/2011   NSE MIBOR (Daily Compounding) +
                          2.25%



6/24/2009    12/23/2011   8.80%




6/12/2010    1/6/2012     ZERO COUPON




9/25/2009    4/23/2012    8.68%




2/23/2007    5/23/2012    9.60%




3/26/2010    5/25/2012    7.60%




3/26/2010    5/25/2012    7.59%




6/2/2009     6/1/2012     8.75%




6/4/2011     6/4/2012     10.62%




6/16/2011    6/16/2012    10.62%




6/22/2009    6/22/2012    9%




6/29/2010    6/29/2012    Zero Coupon




7/2/2010     7/2/2012     Zero Coupon
7/26/2010    7/26/2012    8.25%




7/27/2010    7/27/2012    8.23%




7/27/2010    7/27/2012    8.22%




9/17/2010    9/17/2012    8.57%




11/27/2009   11/9/2012    8.08%




11/12/2009   11/12/2012   Zero Coupon




11/13/2009   11/13/2012   8.40%




11/19/2009   11/19/2012   8.40%




5/10/2010    3/25/2013    7.85%




4/26/2010    4/26/2013    Zero Coupon




4/30/2010    4/30/2013    Zero Coupon




5/3/2010     5/3/2013     8.00%




5/14/2010    5/14/2013    Zero Coupon




10/29/2007   5/29/2013    10.20%
6/3/2011    6/3/2013    10.48%




6/6/2011    6/6/2013    10.54%




6/20/2011   6/20/2013   10.35%




6/20/2011   6/20/2013   10.30%




11/Jul/11   7/11/2013   10.17%




7/15/2008   7/15/2013   10.85%




7/26/2010   7/26/2013   8.45%




9/13/2010   9/13/2013   8.90%




9/29/2008   9/27/2013   11.75%




6/3/2011    6/3/2014    10.60%




6/6/2011    6/6/2014    10.70%




6/6/2011    6/6/2014    10.70%




6/20/2011   6/20/2014   10.40%




08/Jul/11   7/8/2014    10.29%
6/12/2010    4/12/2015                  9.30%




11/12/2010   11/12/2015   9.30%




2/4/2010     1/4/2017     10.00%




5/7/2010     5/7/2020     9.85%




12/22/2010   12/22/2020   9.93%




4/7/2011     4/7/2021     9.93%




06/08/2010   06/08/2012   8.22%




19/11/2010   19/11/2013                 9.30%




22/02/2010   20/01/2017   10.00%




6/12/2010    21/05/2012                 9.10%




23/11/2010   23/11/2012                 9.15%




25/06/2010   25/06/2013   8.10%




23/07/2010   30/05/2013   Zero Coupon




4/30/1999    7/1/2012     13.00%
3/27/2008    3/27/2018    10.00%




7/30/2001    4/1/2018     12.5% Yield,Compounded Monthly




7/30/2001    4/1/2018     12.5% yield , Compounded Monthly




3/26/2004    3/26/2014    6.00%




9/29/2004    5/29/2014    6.90%




12/20/2004   12/20/2014   7.50%




12/15/2005   4/15/2015    7.60% pa




6/20/2005    4/20/2015    7.40% pa




12/26/2008   12/26/2018   8.60%




6/15/2009    6/15/2019    8.49%




7/27/2006    7/27/2021    9.35 % (Refer Remark)




2/28/2007    2/28/2022    9.30 % (Refer Remark)




1/12/2009    12/30/2099   9.40% (Refer remark)




3/25/2008    12/31/2099   9.90% (Refer remark)
6/29/2009    12/31/2099                             Reset Rate (Refer remark)




21/01/2011   21/01/2017                                                          11.50%




13/01/2011   13/01/2024                             Resat Rate ( Refer Remark)




9/12/2010    09/12/2023                             Reset Rate (Refer Remark)
             Debentures will be redeemed in 12
             equal quarterly installment after 10
             years of allotment 9.3.21, 9.6.21,
             9.9.21, 9.12.21, 9.3.22, 9.6.22,
1/19/2010    1/19/2015                              8.75%




10/15/2008   6/30/2015                              11.00%




9/15/2003    9/15/2011                              8.00%




2/1/2008     2/1/2015                               8.45%




4/1/2008     4/1/2015                               8.45%




11/3/2008    11/3/2015                              11.00%




12/26/2008   12/26/2015                             9.85%




3/1/2008     3/1/2018                               8.75%




5/4/2009     5/4/2019                               8.81%




6/30/2009    6/30/2019                              8.70%
1/6/2010     1/6/2020     8.40%




3/29/2010    3/29/2020    8.64%




19/02/2010   19/02/2020   8.32%




07-02-2011   07-02-2021   0.0865




07-07-2011   07-07-2021   0.097




12/20/1991   12/10/2011   12%




9/10/1991    9/10/2011    11.50%




1/13/1992    1/13/2012    12.00%




2/14/1992    2/14/2012    12.00%




2/20/2002    2/20/2012    8.30%




7/24/2002    7/24/2012    7.92%




3/26/2003    3/26/2013    6.75%




11/13/2002   11/13/2014   15.00%




11/13/2002   11/13/2014   15.50%
6/16/2000    10/15/2011   12.25%




12/14/2001   11/15/2012   11.25%




6/16/2000    10/15/2013   12.50%




12/14/2001   11/15/2014   11.50%




9/2/1999     9/15/2015    13.50%




2/27/2009    2/26/2016    12.00%




5/20/2010    5/20/2020    10.15%




9/27/2010    9/27/2015    10.25%




9/27/2010    9/27/2019    10.75%




7/20/2009    7/20/2011    8.00%




7/27/2009    7/27/2011    8.00%




1/28/2010    7/28/2011    7.28%




8/28/2009    8/29/2011    8.20%




9/2/2009     9/2/2011     8.35%
3/5/2010     9/5/2011     7.75%




4/27/2010    9/9/2011     7.15%




4/12/2010    9/20/2011    7.00%




5/17/2010    11/17/2011   7.00%




11/23/2009   11/22/2011   7.55%




11/30/2009   11/30/2011




12/4/2009    12/5/2011    7.35%




12/7/2009    12/7/2011    7.40%




12/14/2009   12/14/2011   7.50%




6/17/2009    12/17/2011   8.95%




10/12/2010   1/6/2012     ZERO COUPON (Refer Remark)




1/22/2010    1/23/2012    7.65%




8/2/2010     2/2/2012     7.95%




4/28/2010    3/28/2012    7.42%
9/23/2009    4/23/2012    8.60%




4/19/2010    7/19/2012    7.57%




9/3/2009     9/3/2012     8.50%




9/7/2010     9/7/2012     8.50%




9/20/2010    9/20/2012    8.50%




11/20/2009   11/20/2012   Reset Rate (Refer remark)




11/25/2009   11/26/2012   8.40%




12/1/2009    11/30/2012   8.25%




12/7/2009    12/7/2012    8.30%




1/15/2010    1/15/2013    8.42%




1/27/2010    1/28/2013    8.40%




1/28/2010    1/28/2013    8.40%




2/22/2010    2/22/2013    8.63%




2/22/2010    2/22/2013    8.62%
2/22/2010    2/22/2013   8.60%




5/3/2010     4/1/2013    8.00%




6/30/2011    6/17/2013   10.25%




6/30/2011    6/30/2013   10.25%




15/Jul/11    7/15/2013   10.19%




11/15/2010   7/16/2013   8.90%




7/26/2010    7/26/2013   8.30%




7/27/2010    7/29/2013   Reset Rate (Refer remark)




8/23/2010    8/23/2013   8.60%




9/27/2010    9/26/2013   8.70%




3/6/2009     3/5/2014    11.00%




3/6/2009     3/5/2014    11.25%




3/6/2009     3/5/2014    12.00%




3/6/2009     3/5/2014    12.00%
8/17/2009    8/18/2014    9.20%




2/12/2010    2/12/2015             9.05%




5/12/2010    5/12/2015    8.35%




4/27/2011    4/27/2016    9.60%




8/4/2009     8/4/2019     10.50%




9/9/2009     9/9/2019     10.25%




10/28/2009   10/28/2019   10.25%




10/28/2009   10/28/2019   9.80%




11/30/2009   11/30/2019




12/15/2009   12/15/2019   10.25%




12/18/2009   12/18/2019   9.80%




12/24/2009   12/24/2019   9.95%




5/5/2011     12/31/2099             10%




16/08/2010   16/02/2012   8.18%
18/10/2010   18/04/2013   8.80%




19/01/2011   19/01/2016                               9.50%




19/11/2010   19/11/2015                               9.05%




9/12/2010    21/05/2012                               9.10%




14/06/2010   30/05/2013   8.00%




15/11/2010   31/12/2099   Reset Rate (Refer remark)




14/01/2011   Perpetual    Reset Rate (Refer Remark)




11/23/2009   11/23/2011   7.40%




7/2/2009     7/2/2019     10.00%




12/18/2008   12/18/2013   11.80%




12/29/2006   12/29/2012   7.00%




3/25/2010    3/25/2012    7.74%




11/25/2008   11/25/2013   11.70%




6/8/2009     6/8/2014     9.50%
1/23/2009    7/23/2014    11.00%




1/23/2009    1/23/2016    11.20%




1/23/2009    1/23/2019    11.25%




7/2/2009     7/2/2019     9.85




11/4/2010    11/4/2013    3.00%




15/10/2010   15/10/2013   Zero Coupon




30/11/2010   30/11/2013                 5%




12/21/2010   12/20/2015   ZERO COUPON




16/12/2010   15/12/2015   ZERO COUPON




1/7/2009     1/7/2014     12.75%




12/16/2009   8/16/2011    8.60%




11/27/2009   11/25/2011   9.35%




12/16/2009   12/16/2011   8.90%




4/5/2010     4/5/2012     8.55%
5/28/2010    5/28/2012    8.00%




3/8/2010     6/8/2012     9.00%




4/12/2010    7/12/2012    8.55%




6/4/2010     10/5/2012    8.20%




5/28/2010    5/6/2013     8.50%




1/20/2010    1/20/2020    10.90%




3/25/2010    3/25/2020    10.75%




4/12/2010    4/10/2020    10.70%




4/28/2010    4/28/2020    10.70%




23/11/2010   31/12/2099   Reset Rate (Refer Remark)




5/21/2009    3/31/2013    2.00%




5/21/2009    3/31/2014    2.00%




5/22/2009    3/31/2016    2.00%




3/2/2010     3/2/2020     9.95%
5/7/2010     5/7/2020     9.90%




5/24/2010    5/24/2020    9.75%




4/30/2010    4/30/2025    10.25%




18/06/2010   18/06/2020   9.70%




8/29/2006    8/29/2012    8.00%




7/28/2008    7/28/2011    11.30%




4/15/2010    4/15/2012    7.45%




6/26/2009    6/26/2012    8.70%




1/4/2008     4/4/2013     9.40%




2/27/2008    4/4/2013     9.28%




4/19/2010    4/19/2013    7.95%




7/2/2008     7/2/2013     10.40%




7/10/2008    7/10/2013    10.80%




11/7/2008    11/7/2013    12.25%
12/18/2008   12/18/2013   12.25%




1/21/2010    1/21/2014    4.50% (Refer remark)




4/23/2009    4/23/2014    10.30%




5/13/2011    5/13/2014                           10.25%




5/27/2011    5/27/2014    10.2%




6/16/2011    6/16/2014    10.05%




7/6/2007     7/5/2014     10.00%




9/21/2010    9/21/2015    8.80%




12/24/2010   12/24/2015   9.30%




3/18/2011    3/18/2016                            9.90%




4/21/2011    4/21/2016                            9.75%




4/28/2011    4/28/2016                            9.60%




9/3/2011     9/3/2016     9.90%




10/30/2006   10/30/2016   8.85%
11/8/2006    11/8/2016    8.94%




6/7/2010     6/7/2020     8.99%




7/15/2010    7/15/2020    8.97%




9/6/2010     9/6/2020     9.10%




23/11/2010   23/11/2020                                  9.18%




24/02/2011   24/12/2016                                  9.90%




12/22/2010   12/21/2030   10.25%




1/6/2011     1/6/2031                                   10.25%




3/18/2011    PERPETUAL    11.8%
                          Unpaid interests will be cumulative
                          semi-annually on compounding basis
                          at the relevant rate.
5/11/2011    Perpetual    11.50%




5/7/2008     5/7/2015     10.20%




11/19/2008   11/19/2016   12.50%




5/15/2009    5/15/2019    10.40%




5/19/2009    5/19/2019    11.00%
7/23/2004    7/23/2011    6.45%




7/26/2004    7/26/2011    Zero Coupon




3/29/2010    3/29/2020    6.00% (Refer remark)




8/16/2010    8/14/2025    11.69%




30/11/2010   29/11/2012                          13%




4/17/2009    4/17/2013    10.25%




4/17/2009    4/17/2014    10.25%




1/12/2010    11/20/2012   7.50%




23/01/2010   28/07/2014   NA




11/15/2004   11/15/2011   7.50%




11/15/2004   7/15/2014    7.75%




12/28/2005   4/28/2015    8.70%




6/8/2009     4/8/2016     10.25%




1/15/2007    1/15/2017    9.50%
1/5/2009     1/5/2019     11.50%




6/8/2009     6/8/2019     10.50%




9/22/2006    9/22/2021    10.50%




11/8/2004    5/8/2012     7.80%




1/20/2004    1/20/2014    7.21%




12/21/2005   4/21/2014    8.75%




6/30/2004    6/30/2014    7.35%




11/8/2004    11/8/2014    8.00%




9/30/2006    12/29/2013   9.70%




9/30/2009    4/30/2015    10.30%




7/30/2010    7/30/2025    Resate Rate




3/30/2006    6/30/2013    9.00%




7/26/2004    4/26/2012    6.75%




7/26/2004    4/26/2014    6.85%
12/16/2006   12/16/2016   9.25%




8/30/2003    4/30/2012    7.10%




1/6/2010     1/6/2018     9.40%




12/24/2009   12/24/2018   9.19%




1/6/2010     1/6/2019     9.40%




2/8/2010     2/8/2019     9.35%




7/3/2009     7/3/2019     9.80%




8/20/2009    8/20/2019    9.75%




11/10/2009   11/10/2019   9.60%




2/2/2011     2/2/2021             9.70%




4/15/2011    4/15/2021    9.70%




4/25/2011    4/25/2021    9.70%




1/7/2011     1/7/2023             9.70%




18/01/2011   18/01/2023             9.7
2/28/2007    2/28/2012    9.50%




12/18/2008   12/18/2013   11.80%




12/9/2009    12/9/2014    2.00% p.a.




3/22/2010    3/22/2017    2.00%




12/9/2009    12/9/2019    2.00% p.a.




10/15/2003   10/14/2013   6.40%




12/30/2009   12/30/2019   9.00%




9/25/2009    9/25/2019    9.86%




11/25/2009   11/25/2015   10.80%




9/30/2006    4/30/2016    9.95%




10/9/2009    10/15/2016   8.27%




7/16/2010    7/16/2020    8.49%




8/22/2005    4/25/2013    8.60%




8/20/2009    4/20/2020    9.75%
9/10/1991   9/10/2011   8%




9/10/1991   9/10/2011   7.50%




1/13/1992   1/13/2012   8%




2/14/1992   2/14/2012   8%




2/20/2002   2/20/2012   8%




2/20/2002   2/20/2012   7.50%




7/26/2000   7/26/2013   8%




4/18/2001   4/18/2014   8%




2/14/1992   2/14/2015   8%




7/23/2010   7/23/2011   9.15%




9/17/2010   9/18/2011   9.15%




7/23/2010   7/23/2012   9.15%




9/17/2010   9/17/2012   9.15%




7/23/2010   7/23/2013   9.15%
9/17/2010    9/17/2013    9.15%




7/23/2010    7/23/2014    9.15%




9/17/2010    9/17/2014    9.15%




7/23/2010    7/23/2015    9.15%




9/17/2010    9/17/2015    9.15%




10/18/2004   10/18/2015   1st & 2nd year -4.00%
                          3rd Year to 11th year -6.00%,



7/23/2010    7/23/2016    9.15%




9/17/2010    9/17/2016    9.15%




7/23/2010    7/23/2017    9.15%




9/17/2010    9/17/2017    9.15%




4/25/2008    4/25/2018    10.10%




6/20/2008    6/20/2018    10.40%




7/23/2010    7/23/2018    9.15%




9/17/2010    9/17/2018    9.15%
7/23/2010   7/23/2019   9.15%




9/17/2010   9/17/2019   9.15%




7/23/2010   7/23/2020   9.15%




9/17/2010   9/17/2020   9.15%




7/23/2010   7/23/2021   9.15%




9/17/2010   9/17/2021   9.15%




7/23/2010   7/23/2022   9.15%




9/17/2010   9/17/2022   9.15%




7/23/2010   7/23/2023   9.15%




9/17/2010   9/17/2023   9.15%




7/23/2010   7/23/2024   9.15%




9/17/2010   9/17/2024   9.15%




7/23/2010   7/23/2025   9.15%




9/17/2010   9/17/2025   9.15%
6/2/2011     Perpetual    Reset Rate (Refer Remark)




2/21/2004    5/21/2012    7.25%




9/12/2010    8/12/2013    5.10% (quarterly compounded)




27/12/2010   26/12/2013   NA




5/13/2008    4/23/2012    10.71% Yield




2/4/2010     3/26/2013    9.25(on XIRR Basis)% Yield




2/4/2010     3/26/2013    Yield (NSE Mibor +675)Floor 9% & Cap
                          9.25%



2/4/2010     2/21/2014    Yield 12.00%(On XIRR Basis)




24/12/2010   24/12/2014   5.097% (QUARTERLY COMPOUNDED)




1/27/1992    1/27/2012    12.00%




3/1/2002     3/1/2012     11.25%




1/16/2003    1/16/2013    10.50%




3/31/2003    3/31/2013    10.50%




10/31/2003   10/31/2013   8.50%
12/24/2003   12/24/2013   8.50%




3/31/2009    4/30/2019    9.50%




4/8/2009     4/30/2019    9.50%




29/11/2010   29/11/2020            8.90%




4/8/2002     4/7/2012     11.30%




2/11/2004    2/10/2014    8.40%




4/8/2002     4/7/2014     11.60%




4/16/2002    4/15/2014    11.60%




7/11/2002    7/10/2014    11.60%




8/2/2002     8/1/2014     11.60%




9/9/2006     9/9/2016     8.70%




2/15/2007    2/15/2017    8.59%




3/31/2008    3/31/2018    8.60%




3/7/2009     3/7/2019     8.55%
9/9/2006     9/9/2021     8.95%




2/15/2007    2/15/2022    8.69%




3/7/2009     3/7/2024     8.65%




10/21/2009   10/21/2011   Zero Coupon




4/15/2010    4/14/2015    Zero Coupon




4/27/2010    4/27/2015    5.00%




6/30/2010    6/30/2017    9.75%




6/30/2010    6/30/2017    Zero Coupon




7/12/2010    1/12/2012    16.90%




7/12/2010    7/12/2012    16.90%




10/1/2010    9/30/2020    Refer remark




12/26/2008   12/26/2014   12.45%




2/25/2009    2/25/2014    11.70%




11/27/2009   11/27/2014   8.50%
3/9/2010     3/9/2015     8.60%




5/7/2010     5/7/2015     8.75%




3/29/2010    3/29/2014    10.67%




3/29/2010    9/29/2014    10.67%




10/31/2008   10/31/2014   12.50%




3/29/2010    3/29/2015    10.67%




3/31/2004    6/30/2013    5.95%




1/19/2005    4/30/2014    7.25%




9/15/2005    4/15/2015    7.50%




2/15/2006    5/15/2015    7.85%




8/7/2006     4/7/2016     9.25%




3/31/2008    4/30/2018    9.50%




12/22/2008   4/22/2019    9.75%




3/8/2010     3/8/2020     8.92%
3/22/2006    3/22/2021         8.70%




7/3/2006     7/3/2021          9.28% (Refer remark)




12/22/2007   12/22/2022        9.35% (Refer remark)




3/25/2010    3/25/2025         Reset Rate (Refer remark)




3/31/2006    Perpetual Bond    9.50%




6/1/2006     Perpetual Bonds   9.35% (Refer Remark)




7/26/2010    7/27/2011         10.95%




12/31/2010   12/31/2012        10.40%




6/27/2011    6/26/2014         12.86%




08/02/2010   07/08/2013        5.75%




8/21/2008    8/21/2013         10.53%




9/2/2002     9/2/2012          8.30%




9/2/2002     9/2/2012          8.25%




9/16/2002    9/16/2012         8.00%
4/30/2003    4/30/2013    6.65%




4/30/2003    4/30/2013    N.A.




11/16/2009   11/15/2012   12.75%




6/17/2010    6/16/2016    0.01%




9/3/2003     5/3/2013     5.95%




5/19/2006    5/19/2016    8.33%




12/12/2007   4/12/2018    9.35%




9/17/2008    9/17/2018    10.95%




12/23/2008   12/23/2018   9.50%




12/30/2008   12/30/2018   8.60%




10/16/2006   10/16/2021   8.95% (Refer Remark)




6/25/2009    6/25/2024    Reset Rate (Refer remark)




1/27/2010    1/27/2025    Reset Rate (Refer remark)




6/28/2010    6/28/2025    Reset Rate (Refer remark)
12/12/2007   12/31/2099   9.90% (Refer Remark)




3/30/2009    12/31/2099   Reset Rate (Refer remark)




6/16/2009    12/31/2099   Reset Rate (Refer remark)




9/9/2008     12/30/2100   11.15% (Refer Remark)




10/10/2006   Perpetual    9.45% (Refer Remark)




9/23/2005    4/23/2012    I Yr INBMK+ 55 bps




9/23/2005    4/23/2015    7.45%




2/8/2005     5/8/2015     7.15%




1/17/2008    8/16/2011    11.00%




4/23/2008    3/15/2012    11.00%




3/25/2009    3/25/2019    9.30%




2/15/2005    5/15/2015    7.40%




3/29/2006    4/29/2016    8.00%




8/16/2006    8/16/2016    9.25%
3/27/2007   4/27/2017   10.10%




6/18/2007   6/18/2022   10.65% (Refer Remark)




8/14/2009   8/13/2012   8.75%




8/14/2009   2/13/2013   9.00%




1/13/2010   1/12/2015   9.50%




1/28/2009   1/27/2016   11.70%




4/9/2010    4/9/2017    Reset Rate (Refer remark)




10/5/2010   10/5/2018   10.25%




10/5/2010   10/5/2019   10.35%




4/9/2010    4/9/2020    Reset Rate (Refer remark)




10/5/2010   10/5/2021   10.42%




10/5/2010   10/5/2022   10.47%




7/6/2011    7/6/2026    Reset Rate ( Refer Remark )




1/24/2011   1/21/2014   16.75%
2/4/2011     2/4/2014     16.75%




3/1/2011     3/1/2014     16.75%




3/30/2011    3/1/2014     16.75%




4/20/2011    4/20/2014    16.75%




5/11/2011    5/11/2014    16.75%




2/27/2008    10/1/2012    ZERO COUPON




1/15/2004    10/15/2011   6.25%




9/20/2002    6/20/2012    9.30%




7/25/2005    7/25/2012    1 Yr INBMK+65 bps




12/21/2002   9/21/2012    8.95%




7/26/2003    4/26/2013    7.00%




3/22/2006    6/22/2013    850.00%




3/22/2006    6/22/2013    8.32%




6/28/2006    9/28/2013    8.95%
1/15/2004    10/15/2013   6.50%




3/22/2006    3/22/2016    8.75%




3/22/2006    3/22/2016    8.56%




6/28/2006    6/28/2016    9.10%




3/30/2007    3/30/2017    10.10%




11/24/2006   11/24/2021   9.35% (Refer remark)




2/6/2007     2/6/2022     9.50% (Refer remark)




9/30/2006    9/30/2100    10.05% ( Refer Remark)




3/26/2010    3/25/2015    11.25%




2/25/2002    2/20/2012    8.30%




7/30/2002    7/25/2012    7.92%




3/31/2003    3/26/2013    6.75%




1/5/2001     12/20/2011   8.35%




4/17/2000    4/16/2016    N.A.
4/18/2000    4/17/2016    N.A.




11/30/2000   11/29/2016   N.A.




10/23/2008   10/23/2015   11.50%




3/21/2007    3/31/2014    10.75%




3/30/2001    11/5/2011    12.25%




3/30/2001    11/5/2011    12.25% & B.M. + M.U




12/10/2001   1/15/2013    11.25%




3/6/2003     5/19/2013    11.25%




3/30/2001    11/5/2013    12.50%




12/10/2001   1/15/2015    11.50%




3/6/2003     5/19/2015    11.50%




6/16/2000    9/15/2015    13.50%




8/19/2002    9/1/2012     Zero Coupon




8/19/2002    9/1/2012     Zero Coupon
8/19/2002    9/1/2012     Zero Coupon




8/19/2002    9/1/2012     Zero Coupon




4/1/2004     1/1/2012     9.00%




4/1/2011     6/1/2013     16.00%




6/1/2010     5/31/2013    16%




11/10/2010   01/06/2013   16%




3/15/2005    6/15/2015    7.15%




8/1/2006     8/1/2016     9.25%




7/31/2007    10/31/2017   9.50%




12/31/2007   4/30/2018    9.35%




12/31/2007   4/30/2018    9.35%




3/20/2007    3/20/2022    10.10%




3/17/2008    3/17/2023    9.45%




3/20/2007    3/19/2012    12.00%
12/20/2002   12/20/2017   9.20%




4/9/2008     4/9/2018     7.25%




9/9/2010     9/9/2020     7.50%




8/3/2010     8/3/2025     9.55%




9/28/2010    9/28/2025    9.55%




11/19/2007   11/28/2012   10.50%




12/31/2007   12/30/2012   10.40%




6/22/2002    9/30/2011    Zero Coupon




9/4/1991     9/4/2011     11.50%




12/21/2001   12/20/2011   8.35%




2/19/2002    2/22/2012    8.30%




3/20/2002    3/23/2012    8.00%




7/25/2002    7/25/2012    7.92%




3/28/2003    3/28/2013    6.75%
3/11/2005    3/11/2012    7.75%




8/30/2006    8/29/2013    8.48%




4/18/2007    4/18/2014    8.50%




5/20/2006    5/19/2014    7.95%




5/27/2005    5/27/2014    7.65% p.a




6/17/2005    6/17/2014    7.75% pa




7/10/2007    7/10/2014    8.50%




8/9/2006     8/8/2014     7.95%




8/28/2007    8/28/2014    8.50%




11/29/2005   11/29/2014   7.75%




1/30/2006    1/29/2015    7.75%




4/5/2006     4/4/2016     7.90%




11/13/2007   11/13/2016   9.15%




2/5/2008     2/5/2017     8.85%
2/29/2008    3/1/2017     9.05%




12/12/2008   12/12/2018   9.30%




3/25/2009    3/25/2019    8.90%




12/30/2009   12/30/2019   8.60%




3/3/2010     3/3/2020     8.60%




10/5/2006    10/4/2013    8.75%




10/9/2007    10/8/2014    9.10%




4/2/2005     4/1/2015     8.00%




12/12/2005   12/11/2015   8.00%




10/5/2006    10/4/2016    9.00%




10/5/2006    10/4/2016    9.10%




4/7/2010     4/6/2017     9.05%




10/9/2007    10/8/2017    9.20%




10/9/2007    10/8/2017    9.30%
4/7/2010     4/6/2020     9.15%




4/7/2010     4/6/2020     9.20%




21/05/2005   20/05/2012   7.50% pa




21/05/2005   20/05/2015   7.75% pa




5/28/2004    5/27/2014    8.25%




5/28/2004    5/27/2014    8.40%




11/1/2002    10/31/2012   11.85%




3/20/2003    3/19/2013    11.85%




9/1/2003     8/31/2013    10.50%




5/20/2002    5/20/2014    12.60%




4/1/2002     1/1/2018     8.50%




1/1/2002     1/1/2018     8.50%




8/16/2010    8/16/2025    9.34%




10/25/2010   10/25/2025   9.34%
6/29/2007    6/30/2020   Reset Rate (Refer Remark)




6/10/2009    6/10/2012   9.95%




8/7/2008     8/7/2015    12.25%




2/3/2006     2/9/2013    Floating Rate (Refer Remark)




11/7/2006    5/7/2016    9.10%




9/29/2007    4/29/2017   10.00%




2/7/2008     5/7/2017    10.00%




11/30/2007   5/30/2017   10.15%




12/12/2007   6/12/2017   10.15%




1/22/2010    1/22/2020   9.65%




9/30/2009    4/30/2020   9.65%




9/30/2010    4/30/2020   9.30%




1/2/2007     1/2/2022    9.73% ( Refer remark)




2/7/2007     2/7/2022    9.60% ( Refer Remark)
3/14/2007    3/14/2022    10.00% (Refer Remark)




3/15/2007    3/15/2022    10.10%




3/23/2007    3/23/2022    10.40% (Refer remark)




3/31/2007    3/31/2022    10.40% (Refer remark)




4/20/2007    4/20/2022    10.40% (Refer remark)




9/29/2007    9/29/2022    10.70% (Refer remark)




11/8/2007    11/8/2022    10.70%




9/15/2008    9/15/2023    11.75% (Refer remark)




9/8/2010     9/8/2025     9.50%




2/21/2009    12/31/2099   10.25% (Refer remark)




3/9/2009     12/31/2099   10.25%




3/5/2010     12/31/2099   10.25% (Refer Remark)




8/21/2010    12/31/2099   Reset Rate (Refer remark)




14/08/2010   14/08/2025   Reset Rate (Refer remark)
Frequency of the Interest Payment      Put/                                 Certificate Nos/(Dist/ NO) from-To
with specified dates                   Call Option with specified dates



Quarterly on 23rd June, 23rd           Put: N.A.                            300
September,23rd December & 23rd         Call: N.A.
March


Quarterly on 30th April, 31st July,    Put: NA                              1 - 200
30th October, 31st January & on        Call: NA
maturity


Monthly on 20th of every month         Put: N.A.                            1 to 500000
                                       Call:07/09/2009 & 07/09/2011



Quarterly on 1st January, 1st April,   Put: NA                              NA
1st July & 1st October                 Call: NA



Annually on 16th December              Put: N.A.                            1-2000
                                       Call: N.A.



Annually on 30th December              Put:30/12/2013, notice should be      1 - 1000
                                       communicated in writing atleast 30
                                       days before option date, by 3.00 p.m.
                                       on that day
                                       Call:30/12/2013, notice should be
Annually on 14th July                  Put:At the end of 5th year from the   1-2000
                                       deemed date of allotment
                                       i.e.14/07/2014, The option shall be
                                       exercised by the either counter party
                                       atleast 30 days before the actual
NA                                     Put: N.A.                             001 to 1460746
                                       Call: N.A.



Quarterly on 26th October, 26th        Put: N.A.                            NA
January, 26th April, 26th July         Call: N.A.



Annually, 16th August                  Put & Call:4th October, 2009         N.A.




Annually-10th January                  Nil                                  Nil




Annually-1st December                  N.A.




Annually                               N.A.                                 N.A.
15th April
N.A                                   Put Option -Rs. 12,500 0n 11-Jan-01 Cert No. 1 to 715556
                                                  Rs. 25,000 0n 11-Jan-05   Dist Nos. 1 to 713619
                                                  Rs. 50,000 0n 11-Jan-09
                                                  Rs. 1,11,000 0n 11-Jan-14
Annually, 15th February               Put & Call:5th Year ie 9th March,     N.A.
                                      2009



Annually, 15th February               Put & Call:7th Year ie 9th March,     N.A.
                                      2011



Annually, 27th January                Put & Call :27th January, 2011        N.A.




Annually, 16th August                 Put & Call:4th October, 2011          N.A.




Last day of every month till maturity. Put:29/03/2013                       NA
                                       Call:29/03/2013



29.03.2011, 29.7.2011, 31.10.2011 &   Put: NA                               1-12
31.1.2012 & SIMILARLY EVERY LAST      Call: NA
WORKING DAY OF JANUARY, APRIL,
JULY AND OCTOBER IN EARCH YEAR
THEREAFTER.
Quarterly on 15th January,15th        Put: N.A.                             Series A : 1 to 8/1 to 2765532; Series
April,15th July & 15th October        Call: N.A.                            C: 1 to 6/ 1 to 900000



Quarterly on 15th January,15th        Put: N.A.                             1 to 2 / 1 to 408055
April,15th July & 15th October        Call: N.A.



Annually on 15th June                 Put: N.A.                             NA
                                      Call: N.A.



Annually on January 22                Put: N.A.                             N.A.
                                      Call: N.A.



Half Yearly on 31st March and on 30th Put: N.A.                             na
September                             Call: N.A.



Annually on 25th August               Put: N.A.                             NA
                                      Call: N.A.



Semi annually on 17th August & 17th   Put:50% of the principal at the end of 1 to 750
February                              3 years from the date of allotment
                                      i.e.17/08/2012
                                      Call:50% of the principal at the end of
                                      3 years from the date of allotment
Semi annually on 17th August & 17th   Put:50% of the principal at the end of 1 to 750
February                              2.5 years from the date of allotment
                                      i.e.17/02/2012

                                      Call:50% of the principal at the end of
Monthly on last working day of        Put: N.A.                               NA
respective month                      Call: N.A.



Semi-Annually on 08th January & 08th Put:09/07/2018                          1-500
July                                 Call:09/07/2018



NA                                    Put: NA                                1 TO 727600
                                      Call:applicable any time after the
                                      expiry of 15 month and before the
                                      expiry of 17month from the date of
                                      subscription i.g.20-04-2011 of OCDs,
Annually on 30th March                Put: N.A.                              251-500
                                      Call: N.A.



Annually on 10th March                Put: N.A.                              501-1500
                                      Call: N.A.



Monthly at the end of each month      Put: NA                                OCD- 001 TO 2500
                                      Call: NA



Annually on 23rd November             Put: N.A.                              NA
                                      Call: N.A.



Annualy on 30th March                 Put: N.A.                              N.A
                                      Call: N.A.



Quarterly on 03rd February,03rd May, Put: N.A.
03rd August & 03rd November          Call: N.A.



Quarterly on 30th March,30th          Put: NA
June,30th September & 30th            Call: NA
December


Semi annually on 23rd September & Put: N.A.                                  NA
23rd March                        Call: N.A.



Semi annually on 14th February &      Put: N.A.                              NA
14th August                           Call: N.A.



Semi annually on 14th February &      Put: N.A.                              NA
14th August                           Call: N.A.
Quarterly on 4th November,4th         Put: N.A.    NA
February,4th May & 4th August         Call: N.A.



Monthly on last day of every month.   Put: N.A.    D-001 to D-500
                                      Call: N.A.



Annually on 16th August               Put: N.A.
                                      Call: N.A.



Annually on 30th September            Put: N.A.    1-1400
                                      Call: N.A.



Annually on 7th October & on          Put: N.A.    7001-7600
maturity                              Call: N.A.



Semi annually on 22nd October &       Put: N.A.    60512751-60514500
22nd April                            Call: N.A.



Annualy on 5th July & On Maturity     Put: N.A.    1 - 750
                                      Call: N.A.



Annually on 30th September            Put: N.A.    1401-2800
                                      Call: N.A.



Annually on 7th October & on          Put: N.A.    7601 - 8200
maturity                              Call: N.A.



Annually on 30th September            Put: N.A.    2801-4900
                                      Call: N.A.



Annually on 7th October & on          Put: N.A.    8201 to 9100
maturity                              Call: N.A.



Annually on 30th September            Put: N.A.    4901-7000
                                      Call: N.A.



Annually on 7th October & on          Put: N.A.    9101 - 10000
maturity                              Call: N.A.



Annually on 13th December             Put: N.A.    60514701 - 60514950
                                      Call: N.A.
Annually on 23rd November             Put: N.A.    1 - 200
                                      Call: N.A.



Annually on 15th March & on maturity Put: NA       60515001 to 60517750
                                     Call: NA



Annually on 04th February             Put: NA      60514951 - 60515000
                                      Call: NA



Annually on 17th September            Put: N.A.    500006901 - 500007700
                                      Call: N.A.



Annually on 15th September            Put: N.A.    500005451-500005600
                                      Call: N.A.



Semi annually on 28th September &     Put: N.A.    8000003221-8000003720
28th March                            Call: N.A.



Annually on 01st January & on         Put: NA      8000000001 - 8000001500
Maturity                              Call: NA



On 1st day of April every year.Last  Put: N.A.     NA
interest payment will be made at the Call: N.A.
time of redemption


Annually on 1st February & on         Put: N.A.    7000000351-7000000500
maturity                              Call: N.A.



Annually on 1st January & on maturity Put: N.A.    8000004371 - 8000004620
                                      Call: N.A.



Annually on 1st July & on maturity    Put: N.A.    8000004621 - 8000004870
                                      Call: N.A.



Annually on 1st July                  Put: N.A.    8000004871 - 8000006870
                                      Call: N.A.



Annually on 30th November & on        Put: N.A.    7000000001 to 7000000101
maturity                              Call: N.A.



Annually on                       Put: N.A.        7000000901 - 7000001150 ;
24/03/2009;24/03/2010;24/03/2011; Call: N.A.       7000000651 - 7000000900
22/03/2012;22/03/2013 &
24/06/2013
Annually on 27th March & on maturity Put: N.A.      7000001151 - 7000001250
                                     Call: N.A.



Annually on 01st January & on          Put: NA      8000001501 - 8000003000
Maturity                               Call: NA



Annually on 29th January & on          Put: N.A.    7000000101- 7000000350
maturity                               Call: N.A.



Annually on March 17 & on Maturity     Put: N.A.    7000000501- 7000000650
                                       Call: N.A.



Annually on 13th April & on maturity   Put: N.A.    7000001251-7000001500
                                       Call: N.A.



Annually on 03rd November              Put: N.A.    8000000121-8000003120
                                       Call: N.A.



Annually on 26th November              Put: N.A.    8000003121 to 8000003220
                                       Call: N.A.



Annually on 26th November & on         Put: N.A.    9000004501 - 9000009510
maturity                               Call: N.A.



Annually on 11th December & on         Put: N.A.    9000009511-9000014510
maturity                               Call: N.A.



Annually on 15th December              Put: N.A.    9000014511-9000014810
                                       Call: N.A.



Annually on 23rd December & on         Put: N.A.    9000014811-9000015010
maturity                               Call: N.A.



Annually on 17th January & on          Put: N.A.    9000015052-9000015551
maturity                               Call: N.A.



Annually on 1st January & on Maturity Put: NA       8000010371 - 8000010570
                                      Call: NA



Annually on 2nd April & on maturity    Put: N.A.    9000015552-9000018051
                                       Call: N.A.
Annually on 18th April & on maturity   Put: N.A.                              9000018052 - 9000020551
                                       Call: N.A.



On 1st day of April &october every     Put: N.A.                              NA
year.Last interest payment will be     Call: N.A.
made at the time of redemption


On 1st day of April every year.Last  Put: N.A.                                NA
interest payment will be made at the Call: N.A.
time of redemption


On redemption or on exercise of        Put:After 26/08/2013 (at the expiry    NA
put/call option                        of 48 months from 27/08/2009)
                                       Call:After 26/08/2013 (at the expiry
                                       of 48 months from 27/08/2009)
On 1st day of April every year.Last  Put:After 26/08/2013 (at the expiry      NA
interest payment will be made at the of 48 months from 27/08/2009)
time of redemption                   Call:After 26/08/2013 (at the expiry
                                     of 48 months from 27/08/2009)
Annually on 10th January & on          Put: N.A.                              9000020552 to 9000025551
maturity                               Call: N.A.



Annually on 27/10/2010                 Put: N.A.                              9000025552-9000035551
                                       Call: N.A.



Annually on 1st January & on maturity Put: N.A.                               9000045522-9000050521
                                      Call: N.A.



Annually on 1st January                Put: N.A.                              9000050522 - 9000052021
                                       Call: N.A.



Annually on 1st April & on maturity    Put:From 02/06/2013 (at the expiry     NA
                                       of the 36 months from
                                       02/06/2010,being date of allotment)
                                       Call:From 02/06/2013 (at the expiry
                                       of the 36 months from
Annually on 1st April & on maturity    Put:From 02/06/2013 (at the expiry     NA
                                       of the 36 months from
                                       02/06/2010,being date of allotment)

                                       Call:From 02/06/2013 (at the expiry
Annually on 1st April & on maturity    Put:From 02/06/2013 (at the expiry     NA
                                       of the 36 months from
                                       02/06/2010,being date of allotment)

                                       Call:From 02/06/2013 (at the expiry
Annually on 1st April & on maturity    Put: N.A.                              NA
                                       Call: N.A.



Annually on 1st April & on maturity    Put: N.A.                              NA
                                       Call: N.A.
Annually on 1st April & on maturity   Put: N.A.                             NA
                                      Call: N.A.



Annually on 31st December & on        Put: N.A.                             9000041021 - 9000045221
maturity                              Call: N.A.



Annually on 06th January & on         Put: N.A.                             9000045222 - 9000045521
maturity                              Call: N.A.



Annually on 1st January & on maturity Put: N.A.                             2000007501 - 2000010000
                                      Call: N.A.



Annually on 1st January & on maturity Put: N.A.                             9000052922 to 9000054997
                                      Call: N.A.



Annually on 1st July & on Maturity    Put: N.A.                             8000006871 to 8000010370
                                      Call: N.A.



Annually on 1st January & on maturity Put: N.A.                             2000000001 to 2000005000
                                      Call: N.A.



Annually on 1st January & on maturity Put: N.A.                             2000005001 - 2000007500
                                      Call: N.A.



Annually on 1st January & on          Put: N.A.                             2000014801 - 2000017300
maturity                              Call: N.A.



Annually on 1st January & on maturity Put: N.A.                             2000002751 - 2000003000
                                      Call: N.A.



Annually on 1st July & on maturity    Put: N.A.                             2000003751 - 2000004000
                                      Call: N.A.



Semi annually on 1st April & 1st      Put:From 02/06/2015 (at the expiry    NA
October & on maturity                 of the 60 months from
                                      02/06/2010,being date of allotment)

                                      Call:From 02/06/2015 (at the expiry
Semi annually on 1st April & 1st      Put:From 02/06/2015 (at the expiry    NA
October                               of the 60 months from
                                      02/06/2010,being date of allotment)

                                      Call:From 02/06/2015 (at the expiry
Semi annually on 1st April & 1st      Put:From 02/06/2015 (at the expiry    NA
October & on maturity                 of the 60 months from
                                      02/06/2010,being date of allotment)

                                      Call:From 02/06/2015 (at the expiry
NA                                    Put: N.A.    NA
                                      Call: N.A.



Annually on 1st April & on maturity   Put: N.A.    NA
                                      Call: N.A.



Annually on 1st April & on maturity   Put: N.A.    NA
                                      Call: N.A.



Annually on 1st April & on maturity   Put: N.A.    NA
                                      Call: N.A.



Annually on 1st July & on Maturity    Put: N.A.    2000000543 to 2000003042
                                      Call: N.A.



Annually on 04th August               Put: N.A.    7000001501-7000002000
                                      Call: N.A.



Annually on 05th November             Put: N.A.    9000000001-9000003000
                                      Call: N.A.



Annually on 07th November             Put: N.A.    9000003001-9000004500
                                      Call: N.A.



Annually on 29th December             Put: N.A.    9000015011-9000015051
                                      Call: N.A.



Annually on 31st October & on         Put: N.A.    9000035552- 9000038451
maturity                              Call: N.A.



Annually on 24th November & on        Put: N.A.    9000038452 - 9000040551
maturity                              Call: N.A.



Annually on 31st December             Put: N.A.    9000040552 - 9000041020
                                      Call: N.A.



Annually on 1st January & on          Put: N.A.    9000052022 to 9000052921
maturity                              Call: N.A.



Annually on 1st January & on maturity Put: N.A.    9000054998 to 9000055097
                                      Call: N.A.
Annually on 1st July                   Put: N.A.    2000004001 - 2000004250
                                       Call: N.A.



Annually on 1st January & on maturity Put: N.A.     2000000251 - 2000000750
                                      Call: N.A.



Annually on 1st January & on maturity Put: N.A.     2000000001 - 2000000250
                                      Call: N.A.



Annually on 1st July & on maturity     Put: N.A.    2000000751-2000002750
                                       Call: N.A.



Annually on 1st January & on           Put: N.A.    2000010001 - 2000014800
maturity                               Call: N.A.



Annually on 1st January & on maturity Put: N.A.     2000017301 - 2000019800
                                      Call: N.A.



Annually on 1st July & on maturity     Put: N.A.    2000003001 - 2000003750
                                       Call: N.A.



Annually on 1st January & on Maturity Put: NA       2000000543 - 2000000792
                                      Call: NA



Annually on 30th August                Put: N.A.    2000000000-2000000292
                                       Call: N.A.



Annually on 9th September              Put: N.A.    2000000293 - 2000000542
                                       Call: N.A.



NA                                     Put: N.A.    NA
                                       Call: N.A.



NA                                     Put: N.A.    NA
                                       Call: N.A.



Annually on 01st April & on Maturity   Put: NA      NA
                                       Call: NA



Annually on 01st April & on Maturity   Put: NA      NA
                                       Call: NA
Annually on 01st April & on Maturity   Put: NA                                 NA
                                       Call: NA



Annually on 01st April & on Maturity   Put:12/07/2015 (at the expiry of the    NA
                                       48 month from 12/07/2011 being
                                       deemed date of Allotment )
                                       Call:12/07/2015 (at the expiry of the
                                       48 month from 12/07/2011 being
Annually on 01st April & on Maturity   Put:12/07/2015 (at the expiry of the    NA
                                       48 month from 12/07/2011 being
                                       deemed date of Allotment )
                                       Call:12/07/2015 (at the expiry of the
                                       48 month from 12/07/2011 being
Annually on 01st April & on Maturity   Put:11/07/2015 (at the expiry of the    NA
                                       48 month from 11/07/2011 being
                                       deemed date of Allotment )
                                       Call:11/07/2015 (at the expiry of the
                                       48 month from 11/07/2011 being
Annually on 1st July & on maturity     Put: N.A.                               2000019801-2000024800
                                       Call: N.A.



Annually on 1st July & on Maturity     Put: N.A.                               2000000001 TO 2000000250
                                       Call: N.A.



Quarterly-                             N.A.                                    01 to 5000
15th March
15th June
15th September & 15th December
Half Yearly                            N.A.                                    1 to 25
13th Dec &                                                                     26 to 95
13th June                                                                      96 to 120
                                                                               121 to 133
                                                                               134 to 140
Quarterly on 20th February,20th        Put: N.A.                               1 ; 1-800
May,20th August & 20th November        Call: N.A.



Quarterly on 1st September,1st         Put: N.A.                               1 to 1500
December,1st March & 1st June          Call: N.A.



Annually on 18th February              Put: N.A.                               1 to 2500
                                       Call: N.A.



Quarterly on 1st September, 1st        Put: N.A.                               1501 to 3500
December, 1st March, 1st June          Call: N.A.



Semi annually on 9th December & 9th Put: N.A.                                  1-4300
June                                Call: N.A.



Semi annually on 9th December & 9th Put: N.A.                                  1-4350
June                                Call: N.A.
NA                                    Put: N.A.                             NA
                                      Call: N.A.



Annually 01st June & on Maturity ie   Put:May 31,2010                       NA
31-5-2012                             Call:May 31, 2010



Cummulative 31-5-2012                 Put:May 31, 2010                      NA
                                      Call:May 31, 2010



Annualy on 29/06/2011, 29/06/2012, Put:June 30, 2011                        N.A
29/06/2013                         Call:June 30, 2011



Annualy on 30/06/2011, 30/06/2012, Put:July 01, 2011                        N.A
30/06/2013                         Call:July 01, 2011



Annualy On 19th July                  Put:June 10, 2013                     N.A
                                      Call:June 10, 2013



Annually on 27th September            Put:1 year and one day from the       NA
                                      deemed date of Allotment

                                      Call:1 year and one day from the
                                      deemed date of Allotment
Annually on 28th September            Put:18 month from the deemed date NA
                                      of Allotment ( 28/03/2012 )
                                      Call:18 month from the deemed date
                                      of Allotment ( 28/03/2012 )
Annually on 28th March                Put: NA                               NA
                                      Call: NA



Semi Annually on March 10th &         Put: N.A.                             001
September 10th every year             Call: N.A.



Semi Annually on March 27th &         Put: N.A.                             0002
September 27th every year             Call: N.A.



Annually on 5th March                 Put: N.A.                             NA
                                      Call: N.A.



Annually on 13th August               Put:5 year from the deemed date of    NA
                                      Allotment
                                      Call:5 year from the deemed date of
                                      Allotment
Annually on 15th December             Put: N.A.                             NA
                                      Call: N.A.
Annually on 21st December           Put: N.A.                        NA
                                    Call: N.A.



Annually on 1st June                Put:At the end of 3 years -On    NA
                                    February 28, 2008
                                    Call:At the end of 3 years -On
                                    February 28, 2008
Cummulative 28.02.2010              Put:At the end of 3 years -On    NA
                                    February 28, 2008
                                    Call:At the end of 3 years -On
                                    February 28, 2008
Annualy on 28/06/2011, 28/06/2012, Put:June 29, 2011                 N.A
28/06/2013                         Call:June 29, 2011



As per payout schedule              Put: N.A.                        NA
                                    Call: N.A.



As per payout schedule              Put: N.A.                        NA
                                    Call: N.A.



NA                                  Put: N.A.                        01-50
                                    Call: N.A.



Monthly on 1st of every month       Put: N.A.                        1-670
                                    Call: N.A.



Semi annually on 01st July & 01st   Put: N.A.                        1 to 13 ; 1 to 100
January                             Call: N.A.



Monthly at the end of each month    Put: N.A.                        1 to 200
                                    Call: N.A.



Semi annually on 30th September &   Put: N.A.                        1-20
31st March                          Call: N.A.



Semi annually on 30th September &   Put: N.A.                        1-700
31st March                          Call: N.A.



Monthly on 31st                     Put: N.A.                        D001 - D500
                                    Call: N.A.



On maturity                         Put: N.A.                        NA
                                    Call: N.A.
On maturity                           Put: N.A.    NA
                                      Call: N.A.



On 25/03/2011,06/09/2011              Put: N.A.    NA
                                      Call: N.A.



On 24/03/2011 & 15/09/2011            Put: N.A.    NA
                                      Call: N.A.



On 25/03/2011,15/09/2011              Put: N.A.    NA
                                      Call: N.A.



Semi annually on 16th March & 16th    Put: N.A.    NA
September                             Call: N.A.



On maturity                           Put: N.A.    NA
                                      Call: N.A.



on 14/01/2011 and on maturity.        Put: N.A.    N.A.
                                      Call: N.A.



Annually on 10th March                Put: N.A.    NA
                                      Call: N.A.



On 12/05/2011 & 28/03/2012            Put: N.A.    NA
                                      Call: N.A.



On 19/04/2011 & 28/05/2012            Put: N.A.    NA
                                      Call: N.A.



ON MATURITY                           Put: NA      NA
                                      Call: NA



Annually on 15th June & on Maturity   Put: NA      na
                                      Call: NA



On Maturity                           Put: N.A.    N.A.
                                      Call: N.A.



Annually on 10th March                Put: N.A.    NA
                                      Call: N.A.
On 30/03/2011,29/03/2012 &            Put: N.A.        NA
29/03/2013                            Call: N.A.



Annually on 25th May & on Maturity    Put: NA          NA
                                      Call: NA



Annually on 15th June & on Maturity   Put: NA          NA
                                      Call: NA



Annually on 31st March & on maturity Put:26/08/2012    NA
                                     Call:26/08/2012



Annually on 31st March & on maturity Put: N.A.         NA
                                     Call: N.A.



On maturity                           Put: N.A.        NA
                                      Call: N.A.



Semmi annually on                 Put: N.A.            NA
23/06/2010,23/21/2010,23/06/2011, Call: N.A.
23/12/2011,22/06/2012,21/12/2012,
21/06/2013,23/12
Semi annually on                  Put: N.A.            NA
19/09/2010,19/03/2011,19/09/2011, Call: N.A.
19/03/2012,19/09/2012,19/03/2013,
19/09/2013,19/0
Semi annually on 30th September &     Put: N.A.        NA
31st March                            Call: N.A.



Annually on 4th November & on         Put: N.A.        NA
Maturity                              Call: N.A.



On Maturity                           Put: N.A.        NA
                                      Call: N.A.



Semi-Annually on 13th February &      Put: N.A.        NA
13th August.                          Call: N.A.



On Maturity                           Put: N.A.        NA
                                      Call: N.A.



On Maturity                           Put: N.A.        NA
                                      Call: N.A.
ON MATURITY                           Put: N.A.    NA
                                      Call: N.A.



On Maturity                           Put: N.A.    NA
                                      Call: N.A.



Annually on 14th March & on Maturity Put: NA       NA
                                     Call: NA



Annually on 14th March & on Maturity Put: NA       NA
                                     Call: NA



Annually on 10th March & on Maturity Put: NA       NA
                                     Call: NA



Annually on 14th March & on Maturity Put: NA       NA
                                     Call: NA



Annually on 8th March & on Maturity   Put: NA      NA
                                      Call: NA



Annually on 10th March & on Maturity Put: NA       NA
                                     Call: NA



Annually on 9th March & on Maturity   Put: NA      NA
                                      Call: NA



Annually on 17th January & on         Put: NA      NA
Maturity                              Call: NA



Annually on 8th March & on Maturity   Put: NA      NA
                                      Call: NA



Annually on 31st March                Put: NA      NA
                                      Call: NA



Annually on 24th February & on        Put: NA      NA
Maturity                              Call: NA



On 23/03/2011 & 15/09/2011            Put: N.A.    NA
                                      Call: N.A.
Annually on 23rd March & on maturity Put: N.A.                                NA
                                     Call: N.A.



On 06/04/2011 & 30/09/2011           Put: N.A.                                NA
                                     Call: N.A.



On 07/04/2011,10/10/2011             Put: N.A.                                NA
                                     Call: N.A.



Annually on 17th January On Maturity Put: NA                                  NA
                                     Call: NA



Annually on 30th March               Put: N.A.                                NA
                                     Call: N.A.



Annually on 3rd August               Put: N.A.                                NA
                                     Call: N.A.



Semi annually on 23rd March & 23rd   Put: N.A.                                NA
September                            Call: N.A.



Annually on 10th November            Put: N.A.                                NA
                                     Call: N.A.



Annually on 4th November & on        Put: N.A.                                NA
Maturity                             Call: N.A.



On Maturity                          Put: N.A.                                NA
                                     Call: N.A.



On Maturity                          Put: N.A.                                NA
                                     Call: N.A.



Quarterly-18th January,18th April,   N.A.                                     0001 - 0120/(0001 - 0120)
18th July & 18th October



Half-yearly on 30th Sept & 31st      N.A.                                     1 – 5266075
March.



Annually on 19th November            Put: N.A.                                N 1 to N-1500
                                     Call:19/11/2011 with a step up of
                                     coupon rate of 50bps if call option is
                                     not exercised
Ever month payable on first day of      Put: N.A.                           001
each calender month                     Call: N.A.



Ever month payable on first day of      Put: N.A.                           002
each calender month                     Call: N.A.



Ever month payable on first day of      Put: N.A.                           003
each calender month                     Call: N.A.



Monthly starting from 01/06/2010        Put: N.A.                           4
                                        Call: N.A.



Monthly starting from 01/06/2010        Put: N.A.                           5
                                        Call: N.A.



As per payout schedule                  Put: N.A.                           SA 1 - 200
                                        Call: N.A.



As per payout schedule                  Put: N.A.                           83
                                        Call: N.A.



On maturity                             Put: N.A.                           E002 001 to 500
                                        Call: N.A.



On maturity                             Put: N.A.                           E004 ; 001 to 6000
                                        Call: N.A.



Quarterly on 01st April , 01st July ,   Put: N.A.                           01 (1-50000) 02 (5001 to 100000)
01st October & 01st January             Call:Any time after 12 months but
                                        before 15 months from the date of
                                        allotment
Annually on 29th November               Put: N.A.
                                        Call: N.A.



Annually on 29th November               Put: N.A.
                                        Call: N.A.



Annually on first April each year       Put: N.A.                           NA
                                        Call: N.A.



Annually on 1st April                   Put: N.A.                           1-2500
                                        Call: N.A.
Annually on 1st April    Put: N.A.                            1-1500
                         Call:After 10th year from the deemed
                         date of allotment i.e.23/03/2017


Annually on 1st April    Put: N.A.                            1501 to 4500
                         Call:After 10th year from the deemed
                         date of allotment i.e.15/10/2017


Annually on 1st April    Put: N.A.                             0001 to 2000
                         Call:at par at the end of 10th year
                         from the date of allotment
                         i.e.20/03/2018 (with prior permission
                         of RBI)
Annually on 01st April   Put: N.A.                             na
                         Call: N.A.



Annually on 1st April    Put: N.A.                                NA
                         Call: N.A.



Annually on 1st April    Put: N.A.                                NA
                         Call: N.A.



Annually on 1st April    Put: N.A.                                NA
                         Call:At the end of 10th year
                         i.e.19/03/2018


Annually on 31st March   Put: N.A.                                NA
                         Call:The bank may exercise call
                         option at par only with prior approval
                         of RBI & only if the instrument has
                         run for atleast 10 years from the date
Annually on 31st March   Put: N.A.                                NA
                         Call:The bank may exercise call
                         option at par only with prior approval
                         of RBI & only if the instrument has
                         run for atleast 10 years from the date
Annually on 31st March   Put: N.A.                                NA
                         Call:The bank may exercise call
                         option at par only with prior approval
                         of RBI & only if the instrument has
                         run for atleast 10 years from the date
Annually on 1st April    Put: N.A.                                NA
                         Call:at par at the end of 10th year
                         from the date of allotment i.e.on
                         28/03/2018 & thereafter on each
                         coupon payment date (with prior
Annually on 31st March   Put: N.A.                                NA
                         Call:The bank may exercise call
                         option at par only with prior approval
                         of RBI & only if the instrument has
                         run for atleast 10 years from the
Annually on 31st March   Put: N.A.                                NA
                         Call:The bank may exercise call
                         option at par only with prior approval
                         of RBI & only if the instrument has
                         run for atleast 10 years from the
Annually, On 1st April   Put: N.A.                                NA
                         Call: N.A.
Annually on 1st April                  Put: N.A.                              NA
                                       Call: N.A.



Annually on 1st April                  Put: N.A.                              NA
                                       Call: N.A.



Annually on 01st April & on maturity   Put: N.A.                              NA
                                       Call: N.A.



Annually on 2nd April, the last        Put: N.A.                              NA
interest payment will be made along    Call:4th November,2015
with repayment of the principal


Annually on 1st April                  Put: N.A.                              NA
                                       Call:After 10 years from the deemed
                                       date of allotment i.e. 05/06/2016


Annually on 1st April                  Put: N.A.                              NA
                                       Call:After 10 years from the deemed
                                       date of allotment i.e. 06/07/2016


Annually on 01st April                 Put: N.A.                              NA
                                       Call:After 10 years from the date of
                                       allotment i.e. 12/09/2016


Annually on 01st April                 Put: N.A.                              NA
                                       Call:After 10 years from the date of
                                       allotment i.e. 13/09/2016


Annually on 1st April                  Put: N.A.                              NA
                                       Call:After 10 years from the date of
                                       allotment i.e.15/09/2016


Annually on 1st April                  Put: N.A.                              NA
                                       Call:After 10 Years from the date of
                                       allotment i.e.04/10/2016


Annually on 1st April                  Put: N.A.                              NA
                                       Call:After 10 years from the date of
                                       allotment i.e. 16/10/2016


Annually on 1st April                  Put: N.A.                              NA
                                       Call:After 10 years from the date of
                                       allotment i.e. 17/02/2017


Annually on 1st April                  Put: N.A.                              NA
                                       Call:After 10 years from the date of
                                       allotment i.e. 07/06/2017


Annually on 1st April                  Put: N.A.                              NA
                                       Call:After 10 years from the date of
                                       allotment i.e. 11/09/2017
Annually on 1st April                 Put: N.A.                              NA
                                      Call:After 10 years from the date of
                                      allotment i.e. 19/12/2018


Annually on 1st April                 Put: N.A.                              NA
                                      Call:After 10 years from the date of
                                      allotment i.e. 02/03/2019


Annually on 1st April                 Put: N.A.                              NA
                                      Call:After 10 years from the date of
                                      allotment i.e. 06/03/2019


Annually on 2nd April, the last       Put: N.A.                              NA
interest payment will be made along   Call:4th November,2020
with repayment of the principal


Annually on 1st April                 Put: N.A.                              NA
                                      Call:After 10 years from the date of
                                      allotment i.e. 14/08/2019


Annually on 1st April                 Put: N.A.                              NA
                                      Call:After 10 years from the date of
                                      allotment i.e. 27/01/2020


Annually 01st April                   Put: N.A.                              na
                                      Call: N.A.



Annually 01st April                   Put: N.A.                              na
                                      Call: N.A.



Annually on April 1st                 Put: N.A.                              NA
                                      Call: N.A.



Annually on 1st April                 Put: N.A.                              NA
                                      Call:At the end of 10 years i.e.29-12-
                                      2016


Annually on 1st April                 Put: N.A.                              NA
                                      Call:After 10 years i.e. 22/03/2017



Annually on 1st April                 Put: N.A.                             NA
                                      Call:After 10 years i.e.on 20/03/2019



Annually on 1st April                 Put: N.A.                              NA
                                      Call:After 10 years i.e. 28/09/2017



Yearly 1st February                   Put: N.A.                              001 to 1750
                                      Call: N.A.
Annually on 1st April        Put: N.A.                               001-2500
                             Call: N.A.



Annually on 2nd April        Put: N.A.                               001-3000
                             Call:After 10 years from the date of
                             allotment.i.e.15-11-2016


Annually on April 01         Put: N.A.                               001 - 3400
                             Call:At the end of 120 months from
                             the sate of allotment with prior
                             approval of RBI i.e. 16/01/2018 and
                             thereafter on each anniversary date
Annually on 1st April        Put: N.A.                               001-1600
                             Call:At par at the end of 10th year
                             from allotment date i.e. on
                             30/11/2017 & thereafter on each
                             anniversary date (with RBI approval)
Annually on 1st April        Put: N.A.                               0001 to 1000
                             Call:At the end of 10 years from the
                             date of allotment with prior approval
                             of RBI.Contact issuer for further
                             details.
Annually on 1st April        Put: N.A.                               NA
                             Call: N.A.



Annually on 31st March       Put: N.A.                               NA
                             Call:After 10 years from the date of
                             allotment i.e. 31/03/2017


Annually on 5th July         Put: N.A.                               NA
                             Call:After 10 years from the date of
                             allotment i.e. 05/07/2017


Annually on 28th September   Put: N.A.                               NA
                             Call:At the end of 10 years from the
                             date of allotment i.e. 28/09/2017


Annually on 20th December    Put: N.A.                               NA
                             Call:At the end of 10 years from the
                             date of allotment i.e. 20/12/2017


Annually on 20th March       Put: N.A.                               NA
                             Call:At the end of 10 years from the
                             date of allotment i.e. 20/03/2018


Annually on 13th March       Put: N.A.                               NA
                             Call:At the end of 10 years i.e.
                             13/03/2019


Annually on 18th January     Put: N.A.                               NA
                             Call:At par on 18/01/2020 or
                             thereafter (Subject to prior approval
                             from RBI)
Annually on 31st March       Put: N.A.                               NA
                             Call: N.A.
Annually on 31st March                Put: N.A.                             NA
                                      Call: N.A.



Annually, 31st March and 19th April   Put: N.A.                             na
2014                                  Call: N.A.



Annually 31st March and on maturity   Put: N.A.                             700001 to 702350
(ie on 06-05-2015}                    Call: N.A.



Annually on March 31 and on           Put: N.A.                             800001 to 801400
15/05/2015                            Call: N.A.



Annually on 31st July                 Put: N.A.                             NA
                                      Call: N.A.



Annually on 08th January              Put: N.A.                             NA
                                      Call: N.A.



Annually on 1st March                 Put: N.A.                             0001 to 2000
                                      Call:At par at the end of 10th Year
                                      i.e.01/03/2017 (with RBI approval)


Annually on 18th May                  Put: N.A.                             NA
                                      Call:At the end of 10th Year
                                      i.e.18/05/2017


Annually on 31st March                Put: N.A.                             1 to 1000
                                      Call:At par at the end of 10th Year
                                      i.e.on 31/03/2018 (with RBI approval)
                                      or thereafter on each anniversary
                                      date i.e.31st March
Annually on 31st October              Put: N.A.                             1 to 2000
                                      Call:At par at the end of 10th Year
                                      (with RBI approval)


Quarterly                             N.A.                                  Dist Nos :
15th March,                                                                 00001 to 03027
15th June                                                                   03028 to 18027
15th Sept                                                                   18028 to 22071
& 15th Dece                                                                 22072 to 28569
Annually on 15th Septeber till        Put: N.A.                             1 to 500
redemption                            Call: N.A.



Annually on 26th October till         Put: N.A.                             1 to 140
redemption                            Call: N.A.



Annually on 26th October till         Put: N.A.                             1 to 140
redemption                            Call: N.A.
Annually on 26th October till          Put: N.A.                               1 to 140
redemption                             Call: N.A.



Annually on 26th October till          Put: N.A.                               1 to 140
redemption                             Call: N.A.



Annually on 26th October till          Put: N.A.                               1 to 140
redemption                             Call: N.A.



Annually on 1st May                    Put: N.A.                               1 to 19000
                                       Call:after 30/04/2014



Annually on 11th May                   Put:After 11/05/2014                    1 to 5250
                                       Call:After 11/05/2014



Annually on 22nd June                  Put: N.A.                               1 to 8250
                                       Call: N.A.



Annually on 15th Septeber till         Put: N.A.                               1 to 500
redemption                             Call: N.A.



Annually on 26th October till          Put: N.A.                               1 to 140
redemption                             Call: N.A.



Annually on 19th November till         Put: N.A.                               1 to 3350
redemption                             Call: N.A.



Annually on 7th December               Put:After expiry of 5 years from the    1 to 300
                                       date of allotment
                                       Call:After expiry of 5 years from the
                                       date of allotment
Annually on 7th December               Put: N.A.                               1 to 1200
                                       Call: N.A.



Annually on 30th December till final   Put: N.A.                               1 to 4500
redemption                             Call: N.A.



Annually on 1st February               Put: N.A.                             1 to 2420
                                       Call:After expiry of 5 years from the
                                       date of allotmenti.e.after 01/02/2015


Annually on 23rd April & on maturity   Put: N.A.                               1 to 5450
                                       Call: N.A.
Annually on 30th April till final   Put: N.A.                             1 to 6600
redemption                          Call: N.A.



Annually on 26th October till       Put: N.A.                             1 to 140
redemption                          Call: N.A.



Annually on 11th August             Put: N.A.                             1-7000
                                    Call: N.A.



Annually on 26th October till       Put: N.A.                             1 to 140
redemption                          Call: N.A.



Annually on 26th October till       Put: N.A.                             1 to 140
redemption                          Call: N.A.



Annually on 26th October till       Put: N.A.                             1 to 140
redemption                          Call: N.A.



Annually on 25th August till        Put: N.A.                              1 to 3000
redemption                          Call:After 12 years i.e. on 25/08/2021



Annually on 15th Septeber till      Put: N.A.                             1 to 500
redemption                          Call: N.A.



Annually on 26th October till       Put: N.A.                             1 to 140
redemption                          Call: N.A.



Annually on 26th October till       Put: N.A.                             1 to 140
redemption                          Call: N.A.



Annually 1st December               Put & call : N.A.                     00001-01538




Annually 20th July                  Put & Call : N.A.                     0001-02198




Annually 1st February               Put & Call : N.A.                     0001-01506




Annually 1st september              Put : N.A. Call : 01/09/2008          0001-01164
YEARLY. 01st August                    NA                                      0001 to 2300




Quarterly on 05th August ;05th     Put: N.A.                                   1 ( 1-3000)
November; 05th February & 05th May Call: N.A.



Annually, 10th April                   Put: N.A.                                1 to 60
                                       Call-daily after 3 years. (interst to be
                                       reset after 3 years)


On 12/04/2011 & 30/03/2012             Put: N.A.                               1-1350
                                       Call: N.A.



Annually on 2nd March & on Maturity    Put: NA                                 NA
                                       Call: NA



Annually                               Put: NA                                 NA
                                       Call: NA



Annually on 28th April & on Maturity   Put: NA
                                       Call: NA



NA                                     Put: NA
                                       Call: NA



Annually on 28th April & on Maturity   Put: NA
                                       Call: NA



NA                                     Put: NA                                 NA
                                       Call: NA



Annually on 30/03/2012 & 29/03/2013 Put: NA                                    NA
                                    Call: NA



Annually on 25th January & on          Put: NA                                 NA
Maturity                               Call: NA



NA                                     Put: NA                                 NA
                                       Call: NA



Annually on 25th January & On          Put: NA                                 NA
Maturity                               Call: NA
Annually on 25th January             Put: NA      NA
                                     Call: NA



NA                                   Put: NA      NA
                                     Call: NA



Annually on 11th January & on        Put: NA      NA
maturity                             Call: NA



Annually on 25th January             Put: NA      NA
                                     Call: NA



Annually on 29th September           Put: N.A.    3101-3500
                                     Call: N.A.



Annually on 25/05/2011 & 25/11/2011 Put: N.A.     NA
                                    Call: N.A.



Annually on 28th March,2011 & 26th   Put: N.A.    NA
March,2012                           Call: N.A.



Annually on 11th May                 Put: N.A.    NA
                                     Call: N.A.



Annually on 23rd September & on      Put: N.A.    NA
maturity                             Call: N.A.



Annually on 21st September           Put: N.A.
                                     Call: N.A.



Annually on 27th September & On      Put: N.A.
Maturity                             Call: N.A.



NA                                   Put: NA      Annually on 11th July & on Maturity
                                     Call: NA



Annually on 17th October & on        Put: N.A.
Maturity                             Call: N.A.



Annually on 31/03/2011,03/04/2012    Put: N.A.    NA
& 29/03/2013                         Call: N.A.
Annually on 18/04/2011,16/04/2012     Put: N.A.    NA
& 16/04/2013                          Call: N.A.



Annually on 29/04/2011,30/04/2012     Put: N.A.    NA
& 29/04/2013                          Call: N.A.



Annually on 15/07/2011,16/07/2012     Put: N.A.    N.A
& 30/05/2013                          Call: N.A.



Annually on 13th June                 Put: NA      NA
                                      Call: NA



Annually on 25th June & on Maturity   Put: NA      NA
                                      Call: NA



Annually on 11th July & on Maturity   Put: NA      NA
                                      Call: NA



Annually on 18th July & on Maturity   Put: NA      NA
                                      Call: NA



Annually on 21st October & On         Put: N.A.
Maturity                              Call: N.A.



Annually on 9th August                Put: N.A.
                                      Call: N.A.



Annually on 02nd September            Put: N.A.
                                      Call: N.A.



Annually on 21/05/2012, 20/05/2013, Put: NA        NA
19/05/2014                          Call: NA



Annually on 13/07/2012, 15/07/2013, Put: NA        NA
14/07/2014                          Call: NA



Annually on 14/07/2011, 16/07/2012, Put: NA        NA
15/07/2013, 14/07/2014              Call: NA



Annually on 3rd March & on maturity   Put: N.A.    NA
                                      Call: N.A.
Annually on 11th July & on Maturity   Put: NA      NA
                                      Call: NA



Annually on 11th July & on Maturity   Put: NA      NA
                                      Call: NA



Annually on 11th July & on Maturity   Put: NA      NA
                                      Call: NA



Annually on 15/07/2011,16/07/2012     Put: N.A.    NA
& 30/05/2013                          Call: N.A.



Annually on 28th July                 Put: N.A.    0001-0250
                                      Call: N.A.



Annually on 10th August               Put: N.A.    0001-0500
                                      Call: N.A.



Annually on 9th September and on      Put: N.A.    0001-0100
maturity                              Call: N.A.



On maturity                           Put: N.A.    0001-0750
                                      Call: N.A.



NA                                    Put: N.A.    0001-1100
                                      Call: N.A.



NA                                    Put: N.A.    1 to 1000
                                      Call: N.A.



Annually on 31st August & on maturity Put: N.A.    0001-1000
                                      Call: N.A.



Annually on 20th October              Put: N.A.    001-500
                                      Call: N.A.



NA                                    Put: N.A.    0001-0250
                                      Call: N.A.



Annually on 09th November             Put: N.A.    0001-0750
                                      Call: N.A.
Annually on 11th November             Put: N.A.    0001-0250
                                      Call: N.A.



Anually on Dec 01, 2008 & Nov 30,     Put:N.A.     0001- 0500
2009; Nov30, 2010 & on redemption     Call:N.A.



Annually on June 24 and on Maturity   Put: N.A.    0001 - 0350
                                      Call: N.A.



NA                                    Put: N.A.    0001 - 0250
                                      Call: N.A.



On maturity                           Put: N.A.    0001-1200
                                      Call: N.A.



Semi Annually on 23rd August & 23rd   Put: N.A.    0001-0400
February                              Call: N.A.



Annually on 28/03/2011,26/03/2012     Put: N.A.    0001-0700
& 25/05/2012                          Call: N.A.



Annually on 28/03/2011,26/03/2012     Put: N.A.    0001-0250
& 25/05/2012                          Call: N.A.



Annually on 2nd June & on maturity    Put: N.A.    0001-0250
                                      Call: N.A.



ON MATURITY                           Put: NA      0001-0350
                                      Call: NA



ON MATURITY                           Put: NA      0001 - 0150
                                      Call: NA



Payable on each year on June 22       Put: N.A.    0001 - 0100
                                      Call: N.A.



N.A                                   Put: N.A.    0001-0250
                                      Call: N.A.



NA                                    Put: N.A.    0001-1000
                                      Call: N.A.
Annually on 26th July                 Put: N.A.    0001 - 0500
                                      Call: N.A.



Annually on 27th July                 Put: N.A.    0001 - 0750
                                      Call: N.A.



Annually on 27th July & on maturity   Put: N.A.    0001-0250
                                      Call: N.A.



On Maturity                           Put: N.A.    0001 - 0500
                                      Call: N.A.



Annually on 29/11/2010,28/11/2011     Put: N.A.    0001-0450
& 09/11/2012                          Call: N.A.



NA                                    Put: N.A.    0001-0250
                                      Call: N.A.



Annually on 15th November & on        Put: N.A.    0001-0400
maturity                              Call: N.A.



Annually on 19/11/2010,21/11/2011     Put: N.A.    0001-1250
& 19/11/2012                          Call: N.A.



Annually on 10th may & on maturity    Put: N.A.    0001-0500
                                      Call: N.A.



NA                                    Put: N.A.    0001-1350
                                      Call: N.A.



NA                                    Put: N.A.    0001-1000
                                      Call: N.A.



Annually on 3rd May                   Put: N.A.    0001-0250
                                      Call: N.A.



NA                                    Put: N.A.    001-500
                                      Call: N.A.



Semi Annually on 29th April & 29th    Put: N.A.    0001-0100
October                               Call: N.A.
On 04/06/2012 & 03/06/2013          Put: NA      0001-0150
                                    Call: NA



Annually on 06th June               Put: NA      0001-0500
                                    Call: NA



Annually on 20th June               Put: NA      0001-0250
                                    Call: NA



Annually on 20th June               Put: NA      0001-0250
                                    Call: NA



Annually on 11th July               Put: NA      0001-0150
                                    Call: NA



Annually on                       Put: N.A.      0001-0150
15/07/2009,15/07/2010,15/07/2011, Call: N.A.
16/07/2012 & 15/07/2013


Annually on 26th July               Put: N.A.    0001 - 0050
                                    Call: N.A.



Annually on 13th September          Put: N.A.    0001-1000
                                    Call: N.A.



Annually on                       Put: N.A.      0001-0250
29/09/2009;29/09/2010;29/09/2011; Call: N.A.
01/10/2012 & 27/09/2013


Annually on 04/06/2012,03/06/2013   Put: NA      0001-0250
& 03/06/2014                        Call: NA



On maturity                         Put: NA      0001-0350
                                    Call: NA



Annually on 06th June               Put: NA      0001 - 0100
                                    Call: NA



Annually on 20th June               Put: NA      0001-0100
                                    Call: NA



Annually on 09/07/2012,08/07/2013   Put: NA      0001-0500
& 08/07/2014                        Call: NA
Annually on 6th December & On          Put: N.A.    0001- 2000
Maturity                               Call: N.A.



Annually on                       Put: N.A.         0001 - 2000
14/11/2011,12/11/2012,12/11/2013, Call: N.A.
12/11/2014 & 12/11/2015


On 4/2/2011, 06/02/2012 and            Put: N.A.    0001-1500
thereonwards on 4th February every     Call: N.A.
year till maturity


Annually on                       Put: N.A.         0001-0670
09/05/2011,07/05/2012,07/05/2013, Call: N.A.
07/05/2014,07/05/2015,09/05/2016,
08/05/2017,07/05/2018,
Annually on                            Put: NA      0001-0451
22/12/2011,24/12/2012,23/12/2013,      Call: NA
22/12/2014,22/12/2015,22/12/2016,
22/12/2017,24/12/2018,23/12/2019
& 22/12/2020
Annually on 09/04/2012, 08/04/2013,    Put: NA      0001 - 0200
07/04/2014, 07/04/2015,                Call: NA
07/04/2016, 07/04/2017,
09/04/2018, 08/04/2019, 07-04-2020
& 07/04/2021
Annually on 08 August2011, 06 August   Put: N.A.    0001 - 0500
2012.                                  Call: N.A.



Annually on 21/11/2011, 19/11/2012, Put: N.A.       0001 - 0350
19/11/2013                          Call: N.A.



Annually on                       Put: N.A.         0001-0450
22/02/2011,22/02/2012,22/02/2013, Call: N.A.
24/02/2014,23/02/2015,22/02/2016
& 20/01/2017
Annually on 6th December & On          Put: N.A.    0001 - 0350
Maturity                               Call: N.A.



Annually on 23rd November              Put: N.A.    0001 - 0250
                                       Call: N.A.



Annually on 27th June 2011, 25th       Put: N.A.    0001-1000
June 2012, 25th June 2013.             Call: N.A.



N.A.                                   Put: N.A.    001-850
                                       Call: N.A.



Quarterly on 1st January, 1st April,   Put: N.A.    NA
1st July, 1st October                  Call: N.A.
Annually on 31st March              Put: N.A.                             1 to 27445
                                    Call: N.A.



On Maturity                         N.A                                   Dist Nos : 0000001 to 4855770
                                                                          Dist Nos : 7355771 to 7805770



On Maturity                         N.A                                   Dist Nos : 4855771 to 7355770




Annually, 26th March                Put & Call: N.A.                      N.A.




Annually - 29th september           Put & Call: N.A.                      N.A.




Annually on 20th December every     Put: N.A.                             na
year (starting from 20th December   Call: N.A.
2005 to 20th December 2014}


Annually on 15th December           Put: N.A.                             0001-5000
                                    Call: N.A.



Annually on 20th June starting from Put: N.A.                             0001-5000
20th June 06 to 20th June 2014 &    Call: N.A.
proportionately on 20-4-2015


Annually on 26th December           Put: N.A.                             1-3000
                                    Call: N.A.



Annually on 15th June               Put: N.A.                             1-2000
                                    Call: N.A.



Annually on 27th July               Put: N.A.                             0001 - 8600
                                    Call:27/07/2016 (Subject to RBI
                                    Approval)


Annually on 28th February           Put: N.A.                             0001 to 2001
                                    Call:28/02/2017



Annually on 12th January            Put: N.A.                             1-3390
                                    Call:at par at the end of 10 years
                                    from the date of allotment & every
                                    year thereafter on each anniversary
                                    date (Subject to prior approval of
Annually on 25th March              Put: N.A.                             1-2400
                                    Call:25/03/2018 (Subject to prior
                                    approval of RBI)
Annually on 29th June                 Put: N.A.                              1-1940
                                      Call:at par after the instruments has
                                      ran for atleast 10 years from the date
                                      of allotment i.e.29/06/2009 (Subject
                                      to prior approval of RBI)
Annually on 21st January              Put:At par the end of 3rd Yr from the 1 - 500
                                      date of Allotment on 21/01/2014
                                      Call:At par the end of 3rd Yr from the
                                      date of Allotment on 21/01/2014
Quarterly on 13th April, 13th July,   Put: NA                               1 - 7500
13th October, 13th January            Call:at the end of 5th year,
                                      13/01/2016


Quarterly on 9th March, 9th June, 9th Put: N.A.                             1 - 7500
September, 9th December               Call:at the end of 5th year e.g-
                                      09/12/2015


Semi annually on 19th July & 19th     Put: N.A.                             1 to 1000
January                               Call: N.A.



Quarterly on 31st December; 31st      Put: N.A.                             1 to 1000
March;30th June & 30th September      Call: N.A.



Annually 15th September               Put & Call: N.A.                      1-40468




Semi Annually on 01st April & 01st    Put:After 5 years i.e.01/02/2013      1-2000
October                               Call:After 5 years i.e.01/02/2013



Semi annually on 1st April & 1st      Put:After 5 year i.e.01/04/2013       2001 to 2008
October
                                      Call:After 5 year i.e.01/04/2013


Semi Annually on 01st November &      Put:After 5 year i.e.03/11/2013       1 to 2000
1st May
                                      Call:After 5 year i.e.03/11/2013


Semi annually on 26th December &      Put: N.A.                             1 to 4000
26th June                             Call: N.A.



Semi annually on 1st March & 1st      Put:After 7 year i.e.01/03/2015       1 to 2000
September                             Call:After 7 year i.e.01/03/2015



Semi annually on 04th November &      Put:04/05/2016                        1 to 5326
04th May                              Call:04/05/2016



Semi annually on 30th June & 31st     Put:30/06/2016                        1 to 691
December                              Call:30/06/2016
Semi annually on 6h July & 6th           Put:06/01/2017                  1 to 4810
January                                  Call:06/01/2017



Semi annually on 29th September &        Put:29/03/2017                  1 to 3190
29th March                               Call:29/03/2017



Semi annually on 19th August & 19th      Put:19/02/2017                  1 to 2000
February                                 Call:19/02/2017



Semi annually on 7th August & 7th        Put:At the end of 5th year -    1 to 15
February                                 07/02/2016
                                         Call:At the end of 5th year -
                                         07/02/2016
Semi annually on 7th July & 7th          Put:At the end of 7th years-
January                                  07/07/2018
                                         Call:At the end of 7th years-
                                         07/07/2018
Half Yearly                              N.A.                            Cert No. 001/043
1st January &                                                            Dist Nos : 1 to 40000
1st July


Half Yearly                              N.A.                            Cert No 206 to 219
10th Mar & 10th Sept                                                     Dist Nos : 1 to 105255



Half Yearly                              N.A.                            Cert No 221 to 231
13th Jan & 13th July                                                     Dist Nos : 1 to 134750



Half Yearly                              N.A.                            Cert No. 232 to 241
14th Feb & 14th Aug                                                      Dist Nos : 1 to 73495



Half Yearly                              N.A.                            Cert No. 585 to 632
20th Feb & 20th Aug                                                      Dist Nos : 1 to 350000



Half Yearly                              N.A.                            Cert No. 633 to 659
24th July& 24th January                                                  Dist Nos : 1 to 210000



Semi Annually- 26th March & 26th         Put & Call: N.A.                1 to 116725
September



Quarterly, 1st Jan, 1st Apr, 1st July & N.A.                             1to 100000
1st Oct.Moratorium Period of intt, 4
yrs from 1st Apr, 02


Quarterly, 1st January, 1st April, 1st   Put: N.A.                       1-250000
July & 1st October,2003 & till           Call: N.A.
November,2014
Annually                              Put/Call : 15th October, 2008        Cert No. 131 to 66
15th October                                                               Dist Nos : 84366 to 87378



Annually , On 15th November           Put & Call:On 15th November,2009     56-72,125862-127047




Annually                              Put/Call : 15th October, 2011        Cert No. 167 to 271
15th October                                                               Dist Nos : 87379 to 102723



Annually, on 15th November            Put & Call:On 15th November, 2012    73-98, 127048-129984




Annually                              Put/Call : 15th Sept, 2010           Cert No. 233 to 293
15th Sept                                                                  Dist Nos : 70346 to 74816



Semmi annually on 16th February &     Put: N.A.                            1 / 1-350
16th August                           Call: N.A.



0                                     Put: N.A.                            NA
                                      Call: N.A.



Annually on 27th September            Put: N.A.                            S1 - 1 to S1 - 250
                                      Call: N.A.



Annually on 27th September            Put: N.A.                            S2-1 to S2-250
                                      Call:At the end of 7th year i.e.on
                                      26/09/2017


Annually on 20th July & on maturity   Put: N.A.                            NA
                                      Call: N.A.



Annually on 27th July & on maturity   Put: N.A.                            NA
                                      Call: N.A.



Annually on 28/01/2011 & on           Put: N.A.                            NA
maturity                              Call: N.A.



Annually on 30th August & on          Put: N.A.                            NA
maturity                              Call: N.A.



Annually on 2nd September & on        Put: N.A.                            NA
maturity                              Call: N.A.
Annually on 05/03/2011 & on            Put: N.A.    NA
maturity                               Call: N.A.



Annually on 27th April & on maturity   Put: N.A.    NA
                                       Call: N.A.



Annually on 12th April & on maturity   Put: N.A.    NA
                                       Call: N.A.



Annually on 17th May & on maturity     Put: N.A.    NA
                                       Call: N.A.



Annually on 23rd November & on         Put: N.A.    NA
maturity                               Call: N.A.



                                       Put: N.A.
                                       Call: N.A.



Annually on 6th December & on          Put: N.A.    NA
maturity                               Call: N.A.



Annually on 7th December               Put: N.A.    NA
                                       Call: N.A.



Annually on 14th December              Put: N.A.    NA
                                       Call: N.A.



Annually on 17th June & on maturity    Put: N.A.    NA
                                       Call: N.A.



NA                                     Put: N.A.    NA
                                       Call: N.A.



Annually on 24/01/2011 & 23/01/2012 Put: N.A.       NA
                                    Call: N.A.



Annually on 2nd August and on          Put: N.A.    NA
Maturity                               Call: N.A.



Annually on 28th April & on maturity   Put: N.A.    NA
                                       Call: N.A.
Annually on 23rd September & on        Put: N.A.                           NA
maturity                               Call: N.A.



Annually on 19th April & on maturity   Put: N.A.                           NA
                                       Call: N.A.



Annually on 03/09/2010;05/09/2011      Put: N.A.                           NA
& 03/09/2012                           Call: N.A.



Annually on 7th September & on         Put: N.A.                           NA
Maturity                               Call: N.A.



Annually on 20th September             Put: N.A.                           NA
                                       Call: N.A.



Annually on 22/11/2010,21/11/2011      Put:On 21/11/2011,Notice to be given NA
& 20/11/2012                           for exercising the option on or before
                                       12/11/2011
                                       Call: N.A.
Annually on 25th November & on         Put: N.A.                           NA
maturity                               Call: N.A.



Annually on 1st December & on          Put: N.A.                           NA
maturity                               Call: N.A.



Annually on 7th December               Put: N.A.                           NA
                                       Call: N.A.



Annually on 17/01/2011,16/01/2012      Put: N.A.                           NA
& 15/01/2013                           Call: N.A.



Annually on 27th January & on          Put: N.A.                           NA
maturity                               Call: N.A.



Annually on 28th January               Put: N.A.                           NA
                                       Call: N.A.



Annually on 22nd February              Put: N.A.                           NA
                                       Call: N.A.



Annually on 22nd February              Put: N.A.                           NA
                                       Call: N.A.
Annually on 22nd February             Put: N.A.                               NA
                                      Call: N.A.



Annually on 3rd May & on maturity     Put: N.A.                               NA
                                      Call: N.A.



Annually on 30th June & on Maturity   Put: NA                                 NA
                                      Call: NA



Annually on 30th June & on Maturity   Put: NA                                 NA
                                      Call: NA



Annually on 15th July & on Maturity   Put: NA                                 NA
                                      Call: NA



Annually on 15th November & on        Put: N.A.                               NA
Maturity                              Call: N.A.



Annually on 26th July                 Put: N.A.                               NA
                                      Call: N.A.



Annually on 27th July                 Put:On July 27,2012. Notice to be       NA
                                      given for exercising put option on or
                                      before July 20, 2012
                                      Call: N.A.
Annually on 23rd August and on        Put: N.A.                               NA
Maturity                              Call: N.A.



Annually on 27th September & On       Put: N.A.                               NA
Maturity                              Call: N.A.



Monthly on 1st of every month except Put:05/03/2012                           NA
the first interest payment which shall Call:05/03/2012
be made on 01/05/2009


Quarterly on 1st June, 1st September, Put:05/09/2012                          NA
1st December & 1st March. 1st         Call:05/09/2012
Interest payment shall be made o


Annually on 1st March. 1st Interest   Put:05/03/2012                          NA
payment shall be made on              Call:05/03/2012
01/03/2010


On maturity                           Put:05/03/2012                          NA
                                      Call:05/03/2012
Annually on                       Put: N.A.                                NA
17/08/2010,17/08/2011,17/08/2012, Call: N.A.
19/08/2013 & 18/08/2014


Annually on 02/12/2011, 03/12/2012, Put: N.A.                              NA
02/12/2013, 02/12/2014, 02/12/2015 Call: N.A.



Annually on                       Put: N.A.                                NA
12/05/2011,14/05/2012,13/05/2013, Call: N.A.
12/05/2014 & 12/05/2015


Annually on 27/04/2012, 26/04/2013, Put: NA                                NA
28/04/2014, 27/04/2015, and         Call: NA
27/04/2016


Annually on 04th August & on         Put: N.A.                             NA
maturity                             Call: N.A.



Annually on 9th Sept & on maturity   Put: N.A.                             NA
                                     Call: N.A.



Annually on 28th October & on        Put: N.A.                             NA
maturity                             Call: N.A.



Annually on 28th October & on        Put: N.A.                             NA
maturity                             Call: N.A.



                                     Put: N.A.
                                     Call: N.A.



Annually on 15th December            Put: N.A.                             NA
                                     Call: N.A.



Annually on 18th December & on       Put: N.A.                             NA
maturity                             Call: N.A.



Annually on 24th December & on       Put: N.A.                             NA
maturity                             Call: N.A.



Annually on 5th May                  Put: NA                               NA
                                     Call:any time after the end of 10yr
                                     from issue date


Annually on 16th August and on       Put: N.A.                             NA
Maturity                             Call: N.A.
Annually on 18th April & On Maturity   Put: N.A.                             NA
                                       Call: N.A.



Annually on 19th January & on          Put: NA                               NA
Maturity                               Call: NA



Annually on 21/11/2011, 19/11/2012, Put: N.A.                                NA
19/11/2013, 19/11/2014, 19/11/2015 Call: N.A.



Annually on 9th December & On          Put: N.A.                             NA
Maturity                               Call: N.A.



Annually on 14th Juen & on maturity    Put: N.A.                             NA
                                       Call: N.A.



Annually on 15th November              Put: N.A.                             NA
                                       Call:Any time after the end of 10th
                                       year from issue date


Annually on 14th January               Put: NA                               NA
                                       Call:any time after the end of 10year
                                       from issue date


Annually on 30th March & on maturity Put: N.A.                               NA
                                     Call: N.A.



Annually on 2nd July & on maturity     Put: N.A.                             NA
                                       Call: N.A.



Annually on 18th December              Put: N.A.                             NA
                                       Call: N.A.



Annually on 29th December              Put: N.A.                             NA
                                       Call: N.A.



Annually on 25th March                 Put: N.A.                             NA
                                       Call: N.A.



Annually on 25th November              Put: N.A.                             NA
                                       Call: N.A.



Annually on 8th June                   Put: N.A.                             NA
                                       Call: N.A.
Annually on 23rd January & on         Put: N.A.                          NA
maturity                              Call: N.A.



Annually on 23rd January              Put: N.A.                          NA
                                      Call: N.A.



Annually on 23rd January              Put: N.A.                          NA
                                      Call: N.A.



Anually on 2nd July & on maturity     Put:NA                             NA
                                      Call:NA



Annually on 4th November              Put: N.A.                          NA
                                      Call: N.A.



NA                                    Put: N.A.                          1 to 2
                                      Call:After completion of 2 years
                                      i.e.from 15/10/2012


Annually on 30th November             Put: N.A.                          TCD/001 ( TCD/001 TO TCD/750 )
                                      Call:Any time after 30/11/2012



NA                                    Put: NA                            NA
                                      Call: NA



NA                                    Put: N.A.                          NA
                                      Call: N.A.



Annually on 07th January              Put: N.A.                          001-450
                                      Call: N.A.



Annually on 16th December & on        Put: N.A.                          NA
maturity                              Call: N.A.



Annually on 27th November & on        Put: N.A.                          NA
maturity                              Call: N.A.



Annually on 16th December & on        Put: N.A.                          NA
maturity                              Call: N.A.



Annually on 5th April & on maturity   Put: N.A.                          NA
                                      Call: N.A.
Annually on 28th May & on maturity     Put: N.A.                              NA
                                       Call: N.A.



Annually on 8th March & on maturity    Put: N.A.                              NA
                                       Call: N.A.



Annually on 12th April & on maturity   Put: N.A.                              NA
                                       Call: N.A.



Annually on 4th June & on maturity     Put: N.A.                              NA
                                       Call: N.A.



Annually on 28th May & on maturity     Put: N.A.                              NA
                                       Call: N.A.



Annually on 20th January & on          Put: N.A.                              NA
maturity                               Call: N.A.



Annually on 25th March & on maturity Put: N.A.                                NA
                                     Call: N.A.



Annually on 12th April & on maturity   Put: N.A.                              NA
                                       Call: N.A.



Annually on 28th April & on maturity   Put: N.A.                              NA
                                       Call: N.A.



Annually on 23rd November              Put: N.A.                              NA
                                       Call:After 10 year and at the end of
                                       every month thereafter.


Quarterly on 31st March, 30th June,    Put: N.A.
30th September & 31st December         Call: N.A.



Quarterly on 31st March, 30th June,    Put: N.A.
30th September & 31st December         Call: N.A.



Quarterly on 31st March, 30th June,    Put: N.A.
30th September & 31st December         Call: N.A.



Annually on 2nd March                  Put: N.A.
                                       Call: N.A.
Annually on 7th May                    Put: N.A.                                 NA
                                       Call: N.A.



Annually on 24th May                   Put: N.A.                                 NA
                                       Call: N.A.



Annually on 30th April                 Put: N.A.
                                       Call:Either in part or full, at the end
                                       of 8th year from the date of
                                       allotment.
Annualy on 18th June                   Put: N.A.                                 N.A
                                       Call: N.A.



Annually on 29th August                Put: N.A.                                 1 to 4 / 1-7500 , 7501- 15000,15001-
                                       Call: N.A.                                108750,108751-112500



Annually on 2nd July & on maturity     Put: N.A.                                 NA
                                       Call: N.A.



Annually on 15th April & on maturity   Put: N.A.                                 NA
                                       Call: N.A.



Annually on 26th June & on maturity    Put: N.A.                                 NA
                                       Call: N.A.



Semi Annually on 15th June & 15th      Put: N.A.                                 NA
December                               Call: N.A.



Semi Annually on 15th June & 15th      Put: N.A.                                 NA
December                               Call: N.A.



Annually on 19th April                 Put: N.A.                                 NA
                                       Call: N.A.



Annually on 02nd July & on maturity    Put: N.A.                                 NA
                                       Call: N.A.



Annually on 02nd July & on maturity    Put: N.A.                                 NA
                                       Call: N.A.



Annually on 07th November & on         Put: N.A.                                 NA
maturity                               Call: N.A.
Annually on December 10               Put: N.A.         NA
                                      Call: N.A.



Annually on 21st January & on         Put: N.A.         NA
maturity                              Call: N.A.



Annually on 23rd April                Put: N.A.         NA
                                      Call: N.A.



Annually on 13th May                  Put: NA           NA
                                      Call: NA



Annually on 27th May                  Put: NA           NA
                                      Call: NA



Annually on 16th June                 Put: NA           NA
                                      Call: NA



Annually on 06th July                 Put:06/07/2012    NA
                                      Call:06/07/2012



Annually on 21st September & on       Put: N.A.         NA
maturity                              Call: N.A.



Annually on 24th December             Put: NA           NA
                                      Call: NA



Annually on 18th March                Put: NA           NA
                                      Call: NA



Annually on 21st April                Put: NA
                                      Call: NA



Annuallyon 28th April                 Put: NA
                                      Call: NA



Annually on 9th March & on Maturity   Put: NA           NA
                                      Call: NA



Semi annually on 30th April & 30th    Put:30/10/2013    NA
October                               Call:30/10/2013
Annually on 08th November               Put:7 years from date of allotment    NA
                                        i.e. 08/11/2013
                                        Call:7 years from date of allotment
                                        i.e. 08/11/2013
Annually on 7th June & on maturity      Put: N.A.                             NA
                                        Call: N.A.



Annualy on 15th July & on maturity      Put: N.A.                             NA
                                        Call: N.A.



Annually on 6th September & on          Put: N.A.                             NA
maturity                                Call: N.A.



Annually on 23rd November               Put: N.A.
                                        Call: N.A.



Annually on 24th February & on          Put: NA                               NA
maturity                                Call: NA



No Coupon for the first three           Put: NA                               NA
years.Interest on principal for the     Call: On 21/12/2020 & 21/12/2025
first three years will be accumulated
to the principal amount.First coupon
payable on the accumulated principal
No Coupon for the first three           Put: NA                               NA
years.Interest on principal for the     Call:ON 06/01/2021 & 06/01/2026
first three years will be accumulated
to the principal amount. First coupon
payable on the accumulated principal
Semi-Annually on 18th March & 18th      Put: NA                               NA
September                               Call:18/03/2021 & 18th March every
                                        year thereafter


SEMI ANNUALLY ON 11TH MAY & 11TH Put: NA                             NA
NOVEMBER                         Call:11/05/2021 & on 11th May every
                                 year thereafter


Annually on 07th May                    Put: N.A.                             NA
                                        Call: N.A.



Annually on 19th November               Put: N.A.                             NA
                                        Call: N.A.



Annually on 15th May                    Put: N.A.                             NA
                                        Call: N.A.



Annually on 19th May                    Put: N.A.                             NA
                                        Call: N.A.
Quarterly, 23rd Oct 23, 23rd Jan,,   Put: N.A.                                  N.A.
23rd Apr & 23rd July (subject to     Call:On 23rd July, 2007 subject to
modified following business day      modified following business day
convention)                          convention
On maturity, 26th July, 2011         Put & Call: N.A.                           1 to 290




Annually on 29th March               Put: N.A.
                                     Call:Single call option at the end of
                                     8th year i.e. on 29/03/2018


Annually on 16th August              Put: N.A.
                                     Call:Single Call option to issure at the
                                     end of 10th year i.e.on 14/08/2020


Monthly on 01/12/2010, 31/12/2010, Put:29/11/2011                               1 to 35,000,000
01/02/2011, 01/03/2011,            Call:29/11/2011
01/04/2011, 29/04/2011,
01/06/2011, 01/07/2011,
01/08/2011, 01/09/2011,
Annually on 17th April             Put: N.A.                                    1-3000
                                   Call: N.A.



Annually on 17th April               Put: N.A.                                  3001-6000
                                     Call: N.A.



Quarterly on 20th February,20th      Put: N.A.                                  1 ; 1 -500
May,20th August & 20th November      Call: N.A.



NA                                   Put: N.A.                                  NA
                                     Call: N.A.



Yearly 15th November                 Put: N.A.                                  0001 to 0036
                                     Call: N.A.



Yearly 15th November                 Put: N.A.                                  0001 to 0036
                                     Call: N.A.



Semi Annually 28th December & 28th Put: N.A.                                    001 to 700
June                               Call: N.A.



Semi annually on 8th June & 8th      Put: N.A.                                  001-050
December & on maturity               Call: N.A.



Semi annually on 15th January & 15th Put: N.A.                                  001-006;001-480
July                                 Call: N.A.
Semi annually on 05th January & 05th Put: N.A.                            001-023 ; 001-438
July                                 Call: N.A.



Semi annually on 8th June & 8th      Put: N.A.                            51-500
December & on maturity               Call: N.A.



Semi annually 22nd March & 22nd      Put: N.A.                            001- 021 ; 001-611
September                            Call:At par at the end of 10 Years
                                     i.e.22/09/2016


Yearly 1st April                     Put: N.A.                            1 to 160
                                     Call: N.A.



Annually, 1st April                  Put & Call: N.A.                     1 to 100




Semi Annually, 01st working day of   Put: N.A.                            01-400
April and October                    Call: N.A.



Annually, 1st April                  Put & Call: N.A.                     1 to 100




Yearly 1st April                     Put: N.A.                            161 to 317
                                     Call: N.A.



Semi annually 30th September and     Put: N.A.                            NA
31st March                           Call: N.A.



Annually on 30th September & on      Put: N.A.                            1-1500
maturity.                            Call: N.A.



Annually on 30th July                Put: N.A.                            1 - 275
                                     Call:30/07/2020



Semi Annually on 30th September and Put: N.A.                             NA
31st March every year               Call: N.A.



Annually, 26th July                  Put & Call: N.A.                     N.A.




Annually, 26th July                  Put & Call: N.A.                     N.A.
Semi Annually on 16th June & 16th   Put: N.A.          NA
December                            Call: N.A.



Annually, 30th August               Put & Call: N.A.   N.A.




Annually on 6th January             Put: N.A.          1 to 1000
                                    Call: N.A.



Hlf yearly on 24th June & 24th      Put:None           1 - 1000
December                            Call:None



Annually on 6th January             Put: N.A.          1 to 1000
                                    Call: N.A.



Annually on 8th February            Put: N.A.          1-2000
                                    Call: N.A.



Annually on 3rd July                Put: N.A.          1 to 2500
                                    Call: N.A.



Annually on 20th August             Put: N.A.          1 to 2500
                                    Call: N.A.



Annually on 10th November           Put: N.A.          1 to 2000
                                    Call: N.A.



Annually on 2nd February            Put: NA            1 to 1000
                                    Call: NA



ANNUALLY ON 15TH APRIL              Put: NA            1 TO 1500
                                    Call: NA



Annually on 25th April              Put: NA            1 to 500
                                    Call: NA



Annually on 07th January            Put: NA            1 to 1000
                                    Call: NA



Annually on 18th January            Put: NA            1 TO 3000
                                    Call: NA
Annually on 28th February             Put: N.A.          NA
                                      Call: N.A.



Semi annually on 18th June & 18th     Put: N.A.          NA
December                              Call: N.A.



Annually on 9th December              Put: N.A.
                                      Call: N.A.



Annually on 22nd March                Put: N.A.
                                      Call: N.A.



Annually on 9th December              Put: N.A.          NA
                                      Call: N.A.



Annually, 14th October                Put & Call: N.A.   1 to 12, 1 to 1280




Annually on 30th December             Put: N.A.          NA
                                      Call: N.A.



Semi annually on 25th March & 25th    Put: N.A.          0001 to 1500
September                             Call: N.A.



Semi Annually on 31st March & 30th    Put: N.A.          NA
September & on maturity               Call: N.A.



Semi Annually on 31st March & 30th    Put: N.A.          NA
September                             Call: N.A.



Semi annually on 15th April & 15th    Put: N.A.          NA
October                               Call: N.A.



Semi- Annualy on 16th July and 16th   Put: N.A.          NA
January                               Call: N.A.



Semi Annually, 30st April and 31st    Put: N.A.          NA
October                               Call: N.A.



Semi annually on 28th February &      Put: N.A.          0001-2000
31st August                           Call: N.A.
Half Yearly 10th Sept & 10th March     Put: N.A.    NA
                                       Call: N.A.



Semi Annually on March 10 and          Put: N.A.    NA
September 10                           Call: N.A.



Half Yearly 13th January & 13th July   Put: N.A.    NA
                                       Call: N.A.



Half Yearly 14th February & 14th       Put: N.A.    NA
August                                 Call: N.A.



Half Yearly 20th August & 20th Feb     Put: N.A.    na
                                       Call: N.A.



Semi Annually on February 20 and       Put: N.A.    NA
August 20                              Call: N.A.



Semi Annually, 26th Jan and 26th July Put: N.A.     NA
                                      Call: N.A.



Semi Annually, 18th Oct and 18th Apr Put: N.A.      NA
                                     Call: N.A.



Half Yearly 14th February & 14th       Put: N.A.    na
August                                 Call: N.A.



Annualy on 23rd July                   Put: N.A.    NA
                                       Call: N.A.



Annually on 17th September             Put: N.A.    NA
                                       Call: N.A.



Annually on 23rd July                  Put: N.A.    NA
                                       Call: N.A.



Annually on 17th September             Put: N.A.    NA
                                       Call: N.A.



Annually on 23rd July                  Put: N.A.    NA
                                       Call: N.A.
Annually on 17th September   Put: N.A.                             NA
                             Call: N.A.



Annually on 23rd July        Put: N.A.                             NA
                             Call: N.A.



Annually on 17th September   Put: N.A.                             NA
                             Call: N.A.



Annually on 23rd July        Put: N.A.                             NA
                             Call: N.A.



Annually on 17th September   Put: N.A.                             NA
                             Call: N.A.



Annually, 18th October       Put : N.A.                            1 to 50
                             Call : on 18th Oct, 2009 at a premium
                             of 11.20% on face value


Annually on 23rd July        Put: N.A.                             NA
                             Call: N.A.



Annually on 17th September   Put: N.A.                             NA
                             Call: N.A.



Annually on 23rd July        Put: N.A.                             NA
                             Call: N.A.



Annually on 17th September   Put: N.A.                             NA
                             Call: N.A.



Annually on 30th November    Put: N.A.                             NA
                             Call: N.A.



Annually on 30th November    Put: N.A.                             NA
                             Call: N.A.



Annually on 23rd July        Put: N.A.                             NA
                             Call: N.A.



Annually on 17th September   Put: N.A.                             NA
                             Call: N.A.
Annually on 23rd July        Put: N.A.    NA
                             Call: N.A.



Annually on 17th September   Put: N.A.    NA
                             Call: N.A.



Annually on 23rd July        Put: N.A.    NA
                             Call: N.A.



Annually on 17th September   Put: N.A.    NA
                             Call: N.A.



Annually on 23rd July        Put: N.A.    NA
                             Call: N.A.



Annually on 17th September   Put: N.A.    NA
                             Call: N.A.



Annually on 23rd July        Put: N.A.    NA
                             Call: N.A.



Annually on 17th September   Put: N.A.    NA
                             Call: N.A.



Annually on 23rd July        Put: N.A.    NA
                             Call: N.A.



Annually on 17th September   Put: N.A.    NA
                             Call: N.A.



Annually on 23rd July        Put: N.A.    NA
                             Call: N.A.



Annually on 17th September   Put: N.A.    NA
                             Call: N.A.



Annually on 23rd July        Put: N.A.    NA
                             Call: N.A.



Annually on 17th September   Put: N.A.    NA
                             Call: N.A.
Semi-Annually on 30th April, 31st     Put: NA                                 NA
October                               Call:The call option is at the end of
                                      10th year from deemed date of
                                      Allotment and at the end of every
                                      year thereafter
Annually, 21st February               Put & Call: N.A.                        N.A.




Quarterly on 31st March, 30th      Put: NA                                    01 to 1000000
June,30th September, 31st December Call:(redemption from free cash
                                   flow)1. up to 50% of NCD after
                                   08/06/2011. 2) up to 75% of then
                                   outstanding NCDs after 08/09/2011.
NA                                 Put: NA                                    CERTI NO- (1-1) DIST NO- (1-377500)
                                   Call: NA



As per payout schedule                Put: N.A.                               NA
                                      Call: N.A.



As per payout schedule                Put: N.A.
                                      Call: N.A.



As per payout schedule                Put: N.A.
                                      Call: N.A.



As per payout schedule                Put: N.A.
                                      Call: N.A.



Quarterly on 31st December, 31st      Put: NA                                 Cert no- 001, Dist no- 001 to 084
March,30th June, 30th September       Call: NA



Half Yearly - 27th January & 27th July N.A.                                   1 - 13/( 1 - 250000)




Annually-01st Feb                     N.A.                                    Cert No. 1 to 30
                                                                              Dist Nos : 1 to 368



Annually, 1st January                 N.A.                                    1 to 35, 1 to 2951




Annually, 1st January                 Put & Call: N.A.                        1 to 14, 1 to 198




Annually, 1st October                 Put & Call: N.A.                        1 to 35 (001 to 5801)
Annually, 1st October                  Put & Call: N.A.                         1 to 13 (001 to 907)




Semi annually on 30th September &      Put: N.A.                                NA
31st March & on maturity               Call: N.A.



Semi annually on 30th September &      Put: N.A.                                NA
31st March & on maturity               Call: N.A.



Semi-Annually on 1st February & 1st    Put: N.A.                                NA
August                                 Call: N.A.



Half Yearly, 1st April & 1st October   Put:07/04/2009                           1071 to 1323
                                       Call:07/04/2009



Annually, 31st March                   Put & Call:10th February, 2011           251 to 3800




Half Yearly, 1st April & 1st October   Put:07/04/2012                           1324 to 1911
                                       Call:07/042012



Half Yearly, 1st April & 1st October   Put:15/04/2012                           3719 to 5520, 6120 to 6219
                                       Call:15/04/2012



Half Yearly, 1st April & 1st October   Put:10/07/2012                           17127 to 26060
                                       Call:10/07/2012



Half Yearly, 1st April & 1st October   Put:01/08/2012                           26061 to 29739
                                       Call:01/08/2012



Semi annually on 1st October and 1st Put:At par at the end of 7 Years i.e.      NA
April                                09/09/2013
                                     Call:At par at the end of 7 Years i.e.
                                     09/09/2013
Semi annually on 1st Oct and 1st April Put:At par at the end of 7 years         Tranche I Opt - I- 1 to 286, 292-861
                                       i.e.15/02/2014                           Tranche II Opt - I- 1-458
                                       Call:At par at the end of 7 years
                                       i.e.15/02/2014
Semi annually on 1st October & 1st     Put:At par at the end of 7 years i.e.    1 to 1250
April                                  31/03/2015

                                       Call:At par at the end of 7 years i.e.
                                       31/03/2015
Semi annually on 1st October & 1st     Put:At par at the end of 7 years i.e.    1-3448
April                                  07/03/2016

                                       Call:At par at the end of 7 years i.e.
                                       07/03/2016
Semi annually on 1st October and 1st Put:At par at the end of 12 Years i.e. NA
April                                09/09/2018
                                     Call:At par at the end of 12 Years i.e.
                                     09/09/2018
Semi annually on 1st Oct. & 1st April   Put:At par at the end of 12 years i.e. Tranche I Opt - II- 862 - 1728
                                        15/02/2019                              Tranche II Opt - II- 459 - 1272
                                        Call:At par at the end of 12 years i.e.
                                        15/02/2019
Semi annually on 1st October & 1st      Put:At par at the end of 12 years i.e. 3449-3500
April                                   07/03/2021

                                        Call:At par at the end of 12 years i.e.
                                        07/03/2021
NA                                      Put: N.A.                               NA
                                        Call: N.A.



NA                                      Put: N.A.                               NA
                                        Call: N.A.



Annually on 27th April                  Put: N.A.                               NA
                                        Call: N.A.



Annualy on 30th June                    Put: N.A.                               N.A
                                        Call: N.A.



NA                                      Put: N.A.                               N.A
                                        Call: N.A.



On 12/10/2010, 12/01/2011,              Put: N.A.                               N.A
12/04/2011, 12/07/2011,                 Call:At the end of 12 month. From
12/10/2011, 12/01/2012                  July 12, 2011


On 12/10/2010, 12/01/2011,              Put: N.A.                               N.A
12/04/2011, 12/07/2011,                 Call:at the end of 18 month. From
12/10/2011, 12/01/2012,                 January 12, 2012.
12/04/2012, 12/07/2012
The CCD will be entitled to interest    Put: N.A.
(subject to withholding taxes)          Call: N.A.
equivalent to the amount of cash


Quarterly on 31st March;30th            Put: N.A.                               NA
June;30th September & 31st              Call: N.A.
December


Quarterly on 31st March, 30th June, Put: N.A.                                   1 ( 1 to 50)
30th September , 31st December & on Call: N.A.
maturity


Annually on 27th November               Put:27/11/2012                          1 (1 to 50)
                                        Call:27/11/2012
Annually on 9th March                Put:09/03/2013     1 (1 to 50)
                                     Call:09/03/2013



Annually on 7th May                  Put:07/05/2013     1 (1 to 150)
                                     Call:07/05/2013



Quarterly on 29th June,29th          Put: N.A.          1 to 500
September,29th December & 29th       Call: N.A.
March


Quarterly on 29th June,29th          Put: N.A.          1 to 500
September,29th December & 29th       Call: N.A.
March


Quarterly on 31st January;30th       Put: N.A.          1 to 2000
April;31st July & 31st October       Call: N.A.



Quarterly on 29th June,29th          Put: N.A.          1 to 500
September,29th December & 29th       Call: N.A.
March


Annually, 31st March                 Put & Call: N.A.   N.A.




Annually 31st March                  Put: N.A.          na
                                     Call: N.A.



Annually on 15th September           Put: N.A.          1 to 1500
                                     Call: N.A.



Semi annually on February 15 and     Put: N.A.          1 to 2500
August 15 each year                  Call: N.A.



Semi annually on 7th August & 7th    Put: N.A.          1 to 2500
February                             Call: N.A.



Semi annually on 31st March & 30th   Put: N.A.          NA
September                            Call: N.A.



Annually on 22nd December            Put: N.A.          NA
                                     Call: N.A.



Annually on 8th March                Put: N.A.          NA
                                     Call: N.A.
Semi Annually March 22 and            Put: N.A.                             1 to 3000
September 22                          Call:On 22nd March 2016 (at the end
                                      of ten years from the date of
                                      allotment)
Semi annually on January 3rd & July Put: N.A.                             1 to 5000
3rd each year                       Call:At the end of 10th year from
                                    date of allotement.(with the approval
                                    of RBI)
Semi annually on 22nd June & 22nd     Put: N.A.                             NA
December                              Call:At the end of 10th year from
                                      date of allotement i.e.on
                                      22/12/2017.(with the approval of
                                      RBI)
Semi annually on 25th march & 25th    Put: N.A.                             NA
September                             Call:At par on 25/03/2020.(subject to
                                      prior approval of RBI)


Semi annually , 31st March and 30th   Put: N.A.                             1 to 1500
September                             Call:At the end of 10th year from
                                      deemed date of allotement. i.e.
                                      31.03.2015, Subject to prior approval
                                      from RBI. contact Bank for further
Semi annually on June 1st and         Put: N.A.                             1 to 2300
December 1st each year                Call:At the end of 10th year from
                                      date of allotement.(with the approval
                                      of RBI)
On Maturity                           Put: N.A.                             NA
                                      Call: N.A.



Semi-Annually on 15/04/2011,       Put: NA                                  NA
14/10/2011, 13/04/2012, 12/10/2012 Call: NA



Annually on 26th June                 Put: NA                               001 - 230
                                      Call: NA



Quarterly on 31st March,30th          Put: N.A.                             NA
June,30th September & 31st            Call: N.A.
December


Semi annually on 21st February & 21st Put:At the end of 3 years i.e.      1 to 2000
August.                               22/08/2011 with one month's notice.
                                      Call:At the end of 3 years i.e.
                                      22/08/2011 with one month's notice.
Annually                              N.A                                   N.A.
2nd Sept



Annually                              N.A                                   N.A.
2nd Sept



Annually                              N.A.                                  N.A.
16th September
Annually in arrears on 30th April     Put & Call: N.A.                       N.A.




N.A.                                  Put & Call: N.A.                       N.A.




Annually on 15th November             Put:15/05/2011                         NA
                                      Call:15/05/2011



Annually on 16th June                 Put: N.A.                              OCD- 1 ( 1 - 60000)
                                      Call: N.A.



Annually 3rd September                Put & Call: N.A.                       Certificate No:01-20, Distinctive
                                                                             No:01-2500



Semi Annually on 19th May & 19th      Put: N.A.                              NA
November every year                   Call: N.A.



Annually on 12th December             Put: N.A.                              NA
                                      Call: N.A.



Annually on 17th September            Put: N.A.                              NA
                                      Call: N.A.



Annually on 23rd December             Put: N.A.                              NA
                                      Call: N.A.



Annually on 1st April                 Put: N.A.                              NA
                                      Call: N.A.



Annually on 16th October              Put: N.A.                              NA
                                      Call:After 10 years from the date of
                                      allotment


Annually on 25th June                 Put: N.A.                              NA
                                      Call:25/06/2019 (subject to prior
                                      approval from RBI )


Annually on 27th January               Put: N.A.                             NA
                                       Call:May be exercised after the
                                       instruments has run for at least ten
                                       years i.e. January 27,2010 ; and call
                                       option shall be exercised only with
Annually on 1st April including the    Put: N.A.                             NA
year of maturity i.e.2025,in case call Call:At par on 28/06/2020 (subject to
option is not exercised.At the time of prior approval from RBI)
redemption,interest for the residual
period along with principle amount
Annually on 12th December            Put: N.A.                               NA
                                     Call:After 10 Years i.e.12/12/2017
                                     and on every interest payment date
                                     thereafter with RBI approval.
Annually on 30th March               Put: N.A.                               NA
                                     Call:30/03/2019 & every year
                                     thereafter on each anniversary date
                                     (subject to prior approval from RBI )
Annually on 16th June                Put: N.A.                               NA
                                     Call:16/06/2019 & every year
                                     thereafter on each anniversary date
                                     (subject to prior approval from RBI )
Annually on 09th September           Put: N.A.                            NA
                                     Call:At the end of 10 Years
                                     i.e.09/09/2018 and on every interest
                                     payment date thereafter with RBI
                                     approval.
Annually on 10th October             Put: N.A.                            NA
                                     Call:After 10 Years i.e.10/10/2016
                                     and on every interest payment date
                                     thereafter with RBI approval.
Semi Annually 23rd March & 23rd      Put: N.A.                               N.A.
September                            Call: N.A.



Annually 23rd September              Put: N.A.                               na
                                     Call: N.A.



Yearly on 08th February              Put: N.A.                               NA
                                     Call: N.A.



Quarterly on 30th June , 30th        Put: N.A.                               4251-5250
September,31st December & 31st       Call: N.A.
March


Quarterly on 30th June , 30th        Put: N.A.                               00000001 to 15000000
September,31st December & 31st       Call: N.A.
March


Annually on 25th March               Put: N.A.                               NA
                                     Call: N.A.



Annually 15th February               Put: N.A.                               1-3000
                                     Call: N.A.



Semi Annually on 29th March & 29th   Put: N.A.                               NA
September                            Call: N.A.



Semi annually on 16th February &     Put: N.A.                               NA
16th August                          Call: N.A.
Annually on 23th March                    Put: N.A.                              NA
                                          Call: N.A.



Annually on 18th June                     Put: N.A.                              NA
                                          Call:After 10 years from the date of
                                          allotment i.e. 18/06/2017


Annually on 1st April & on maturity       Put: N.A.                              1 to 2 , 1 to 300
                                          Call: N.A.



Annually on 1st April & on maturity       Put: N.A.                              1 to 5 , 1 to 1050
                                          Call: N.A.



Annually on 30th June & on maturity       Put: N.A.                              1 ; 1 to 2500
                                          Call: N.A.



Quarterly on 1st April , 1st July , 1st   Put: N.A.                              1 ; 1 to 1700
October & 1st January                     Call:At the end of 3 years from the
                                          date of allotment i.e.27/01/2012


Interest will be paid annually in     Put: N.A.                                  1 to 1500
arrear from the date of allotment.The Call:At the end of 5th year from the
first interest payment                date of allotment i.e.on 09/04/2015


Annually on 5th October                   Put: N.A.                              1 to 750
                                          Call: N.A.



Annually on 5th October                   Put: N.A.                              1 TO 750
                                          Call: N.A.



Interest will be paid annually in     Put: N.A.                                  1 to 1500
arrear from the date of allotment.The Call:At the end of 6th year from the
first interest payment                date of allotment i.e.on 09/04/2016


Annually on 5th October                   Put: N.A.                              1 TO 750
                                          Call: N.A.



Annually on 5th October                   Put: N.A.                              1 TO 750
                                          Call: N.A.



Annually & on Maturity/exercise of        Put: NA                                1 to 2500
call option                               Call:at the end of 10th yr from the
                                          deemed date of allotment i.e.
                                          06/07/2021. the Record Date for the
                                          Call option will be 30days prior to
Quarterly on 21st April, 21st July,       Put: NA                                NA
21st October, 21st January                Call:at end of 12 month from date of
                                          issue
Quarterly on 04th May, 04th August,   Put: NA                                NA
04th November, 04th February          Call:at end of 12 month from date of
                                      issue


Quarterly on 1st June, 1st September, Put: NA                                NA
1st December, 1st March               Call:at end of 12 month from date of
                                      issue


Quarterly on 1st June, 1st September, Put: NA                                NA
1st December, 1st March               Call:at end of 12 month from date of
                                      issue


Quarterly on 20th July, 20th October, Put: NA                                NA
20th January, 20th April              Call:at end of 12 month from date of
                                      issue


Quarterly on 11th August, 11th        Put: NA                                NA
November, 11th February, 11th May     Call:at end of 12 month from date of
                                      issue


NA                                    Put:The company debenture holder       1 TO 8 ( 1 TO 22171000 )
                                      shall have option to convert each
                                      Debenture of the face value of Rs-100
                                      into 10 equity share of the face value
                                      of Rs-10/- each. The
Annually, 15th January                Put & Call: N.A.                       N.A.




Annually-                             N.A                                    1 /(1 - 200)
20th September                                                               2/(201 - 400)
                                                                             5/(701 - 720)
                                                                             7/(761 - 780)
                                                                             12/(1198 - 1297)
Semi-Annually 25th January & 25th     Put: N.A.                              1 to 5000;1 to 25
July                                  Call: N.A.



Annually-                             Same as above                          Cert No. 1 to 8
21st December                                                                Dist Nos : 1 to 1862



Annually, 26th July                   Put & Call: N.A.                       refer remarks column




Annually on 22nd March                Put: N.A.                              1 to 5000
                                      Call: N.A.



Semi Annually on 22nd March and       Put: N.A.                              1 to 5000
22nd September                        Call: N.A.



Annually on 28th June                 Put: N.A.                              1 to 2000 : 1 to 36
                                      Call: N.A.
Annually, 15th January                Put & Call: N.A.                      N.A.




Annually on 22nd March                Put: N.A.                             1 to 5000
                                      Call: N.A.



Semi Annually on 22nd March and       Put: N.A.                             1 to 5000
22nd September                        Call: N.A.



Annually on 28th June                 Put: N.A.                             1 to 2000 : 1 to 36
                                      Call: N.A.



Annually on 30th March                Put: N.A.                             1 to 500
                                      Call: N.A.



Annually on 24th November             Put: N.A.                             1 to 2000
                                      Call:At the end of 10th year from the
                                      deemed date of allotment


Annually on 06th February             Put: N.A.                             1 to 1000
                                      Call:At the end of 10th year from the
                                      deemed date of allotment


Semi Annually on 30th September &     Put: N.A.                             1 to 2140
31st March                            Call:At par at the end of 10th Year
                                      from the deemed date of allotment
                                      (with the prior approval of RBI)
Semi annually on 30th September &     Put: N.A.                             1 to 2000
31st March                            Call: N.A.



Half Yearly, 20th Aug & 20th Feb      Put & Call: N.A.                      N.A.




Half Yearly, 25th Jan & 25th July     Put & Call: N.A.                      N.A.




Half Yearly, 26th Sept & 26th March   Put & Call: N.A.                      N.A.




Half Yearly 20th June & 20th          Put & call : N.A.                     2011426 to 2011455
December



N.A.                                  Put-16th April, 2008 at Rs.13,058     1/(1 - 7000)
                                                                            2/(7001 - 13000)
                                                                            3/(13001 - 33000)
                                                                            4/(33001 - 43000)
                                                                            5/(43001 - 47000)
N.A.                                 Put-17th April, 2008 at Rs.13,058   6/(47001 - 50000)




N.A.                                 Put-29th November, 2008 at Rs.      7/(50001 - 60000)
                                     13,058



Annually on 23rd October             Put: N.A.                           1
                                     Call: N.A.



Monthly on last day of every month   Put: N.A.                           001 to 500
                                     Call: N.A.



Annually                             Put/Call : 8th November, 2008       Cert No. 150 to 191 & 283 to 283
8th November                                                             Dist Nos : 107682 to 109176 &
                                                                         120140 to 120146


Annually                             Put/Call : 8th November, 2008       Cert No. 277
8th November                                                             Dist Nos : 120104 to 120105



Annually, 15th January               Put & Call:15th January, 2010       8 to 8, 79 to 85, 120723 to 120732 &
                                                                         134688 to 135081



Annually, 15th May                   Put & Call:19th May, 2010           10, 145018 to 145257




Annually                             Put/Call : 8th November, 2011       Cert No. 192 to 276 & 284 to 288
8th November                                                             Dist Nos : 109177 to 120103 & 120147
                                                                         to 120384


Annually, 15th January               Put & Call:15th January, 2013       9 to 10, 86 to 120, 120733 to 121097
                                                                         & 135082 to 143538



Annually, 15th May                   Put & Call: 19th May, 2013          4 to 6, 11 to 13, 143614 to 143815 &
                                                                         145258 to 145267



Annually                             Put/Call : 15th Sept, 2010          Cert No. 356 to 492
16th Aug                                                                 Dist Nos : 92512 to 99305



N.A.                                 N.A.                                Cert No. : 1
                                                                         Dist Nos. : 1 to 6000000



N.A.                                 Put & Call: N.A.                    N.A.
N.A.                                   N.A.                                  Cert No. : 1
                                                                             Dist Nos. : 1 to 5500000



N.A.                                   Put & Call: N.A.                      N.A.




Quarterly on 30th June, 30th           Put: N.A.                             001-002;000001-2568000 &
September,31st December & 31st         Call: N.A.                            001;000001-167000
March


1ST OF EVERY MONTH                     Put: NA                               NA
                                       Call: NA



On 1st of next month                   Put: N.A.                             Sr-A, DA- 1, DA- 1 to DA-8200   DA-
                                       Call: N.A.                            2,DA- 8201 to DA-18200



On 1st of of every month till maturity Put: N.A.                             NA
                                       Call: N.A.



Annually                               Put: N.A.                             0001-0120
                                       Call: N.A.



Annually on 31st March                 Put: N.A.                             NA
                                       Call: N.A.



Annually on 31st March                 Put: N.A.                             00001 to 02000
                                       Call: N.A.



Annually on 31st March                 Put: N.A.                             00001 to 02000
                                       Call: N.A.



Annually on 31st March                 Put: N.A.                             00001 to 02000
                                       Call: N.A.



Annually on 31st March                 Put: N.A.                             00001
                                       Call:After 10 years i.e. 20/03/2017
                                       (Subject to approval of the RBI)


Annually on 31st March                 Put: N.A.                             00001 to 03000
                                       Call:At the end of 10th year from the
                                       deemed date of allotment
                                       i.e.17/03/2018
Annually on 31st March                 Put: N.A.                             01-75000000
                                       Call: N.A.
Annually                              Put/Call : At the end of 10th Year (ie N.A
20th December, 2003 on diminishing    after 20th December, 2012
balance method


Annually on 09th April                Put: N.A.                              NA
                                      Call: N.A.



Annually on 9th September             Put:At the end of the 7th year i.e. on NA
                                      09/09/2017
                                      Call:At the end of the 7th year i.e. on
                                      09/09/2017
Quarterly on 3rd November,3rd         Put:At the end of 7th year and 10th    1-5000
February,3rd May & 3rd August.        year from the date of allotment
                                      i.e.03/08/2017 and 03/08/2020
                                      Call:At the end of 7th year and 10th
                                      year from the date of allotment
Quarterly on 28th December, 28th      Put:At the end of 7th year and 10th    5001 - 10000
March, 28th June, 28th September      year from the date of allotment i.e.
                                      28/09/2017 & 28/09/2020

                                      Call:At the end of 7th year and 10th
Annually on 28th November             Put: N.A.                              1-1250
                                      Call: N.A.



Annually on 31st December & on        Put: N.A.                              2251-2700
maturity                              Call: N.A.



N.A.                                  N.A.                                   Cert No. 1
                                                                             Dist Nos : 1 to 270440



Half Yearly                           N.A.                                   N.A.
3rd Mar & 3rd Sept



Half Yearly                           N.A.                                   N.A.
20th June &
20th Dec


Half Yearly                           N.A.                                   N.A.
18th Aug &
18th Feb


Half Yearly                           N.A.                                   N.A.
19th Sept &
19th March


Half Yearly                           N.A.                                   N.A.
25th January &
25th July


Half Yearly, 28th March & 28th Sept   Put & Call: N.A.                       N.A.
Semi Annually, 11th September, 11th Put:After 5 years 11.03.2010              NA
March                               Call:After 5 years 11.03.2010



Semi annually on 28th February &      Put:After 5 years from the allotment NA
30th August                           date i.e. 29th August,2011
                                      Call:After 5 years from the allotment
                                      date i.e. 29th August,2011
Semi Annually on 18th October & 18th Put:After 5 years from the allotment NA
April                                date i.e. 18th April,2012
                                     Call:After 5 years from the allotment
                                     date i.e. 18th April,2012
Semi annually on 20th November &      Put:After 6 yeras from issue date       NA
20th May                              i.e.19th May,2012
                                      Call:After 6 yeras from issue date
                                      i.e.19th May,2012
Half Yearly 27th Nov & 27th May       Put:After 7 years from issue date ie    NA
                                      27th May 2012
                                      Call:After 7 years from issue date ie
                                      27th May 2012
Half Yearly 17th December & 17th      Put:After 7 years from issue date ie    na
June                                  17th June 2012
                                      Call:After 7 years from issue date ie
                                      17th June 2012
Semi Annually on 10th January & 10th Put:After 5 years from the allotment     NA
July                                 date i.e. 10th July,2012

                                      Call:After 5 years from the allotment
                                      date i.e. 10th July,2012
Semi annually on 9th February & 9th   Put:After 6th Year from the issue     NA
August                                date i.e.8th August,2012.
                                      Call:After 6th Year from the issue
                                      date i.e.8th August,2012.
Semi annually on 28th August & 28th Put:28/08/2012                            NA
February                            Call:28/08/2012



Semi Annually, 29th May & 29th        Put:After 7 years from Issue date i.e. NA
November                              29/11/2012
                                      Call:After 7 years from Issue date i.e.
                                      29/11/2012
Semi Annually, 30th January, 30th     Put:After 7 years from Issue date i.e. NA
July                                  30th January 2013
                                      Call:After 7 years from Issue date i.e.
                                      30th January 2013
Semi Annually on 5th October,5th      Put:After 8th year from the issue date NA
April                                 i.e. 4th April,2014
                                      Call:After 8th year from the issue
                                      date i.e. 4th April,2014
Semi Annually on 13th November &      Put:13/11/2014                          NA
13th May                              Call:13/11/2014



Semi Annually on 05th February &      Put:05/02/2015                          NA
05th August                           Call:05/02/2015
Semi annually on 28th / 29th         Put:01-03-2015    NA
February & 29th August               Call:01-03-2015



Semi annually on 12th December &     Put:12/12/2017    NA
12th June                            Call:12/12/2017



Semi annually on 25th March & 25th   Put:25/03/2018    NA
September                            Call:25/03/2018



Semi annually on 30th December &     Put:30/12/2018
30th June                            Call:30/12/2018



Semi annually on 3rd March & 3rd     Put:03/03/2018
September                            Call:03/03/2018



Semi annually on 30th June & 31st    Put:04/10/2011    1-75
December                             Call:04/10/2011



Semi annually on 31st December &     Put:08/10/2012    NA
30th June                            Call:08/10/2012



Semi Annually in September & March   Put: N.A.         1 to 7017
                                     Call: N.A.



Semi Annually, 31st March and 30th   Put: N.A.         1-275
September                            Call: N.A.



Semi annually on 30th June & 31st    Put:04/10/2013    1-1220
December                             Call:04/10/2013



Semi annually on 30th June & 31st    Put: N.A.         1-8705
December                             Call: N.A.



Semi annually on 31st December &     Put:06/04/2015    0
30th June                            Call:06/04/2015



Semi annually on 31st December &     Put:08/10/2014    NA
30th June                            Call:08/10/2014



Semi annually on 31st December &     Put: N.A.         1-10000
30th June                            Call: N.A.
Semi annually on 31st December &      Put:06/04/2017                0
30th June                             Call:06/04/2017



Semi annually on 31st December &      Put: N.A.                     1-10000
30th June                             Call: N.A.



Semi Annually in September & March    Put:20.05.2010                1 to 1002
                                      Call:20.05.2010



Semi Annually in 30th September and Put:20.05.2012                  1 to 1706
31st March                          Call:20.05.2012



Half Yearly, 30th Sept & 31st March   Put & call : 27th May, 2011   1 to 26060




Half Yearly, 30th Sept & 31st March   Put & call : N.A.             1 to 15021




Half Yearly, 31st March & 30th        Put & Call: N.A.              1 to 7164
September



Half Yearly, 31st March & 30th Sept   Put & Call: N.A.              1 to 64932




Half Yearly, 30th Sept & 31st March   Put & Call: N.A.              1 to 11085




Annually, 20th May                    20th May, 2012                1 to 21240




Quarterly 1st April, 1st July , 1st   Put: N.A.                     001-001
October & 1st January                 Call: N.A.



Quarterly 1st April, 1st July , 1st   Put: N.A.                     001-001
October & 1st January                 Call: N.A.



Semi annually on 16th August and      Put: N.A.                     01-2500
16th Ferbruary                        Call: N.A.



Semi annually on 25th April & 25th    Put: N.A.                     01-2500
October                               Call: N.A.
Monthly on last day of every month   Put: N.A.                                1;1 to 360
                                     Call: N.A.



Semi annually on 10th December &     Put: N.A.                                0001 to 1920
10th June                            Call: N.A.



Annually on 07th August              Put: N.A.                                0001-2000
                                     Call: N.A.



Annually on 02nd March & on Maturity Put: NA                                  NA
                                     Call: NA



Annually on 7th November each year   Put: N.A.                                NA
and on 7th May in the year of        Call: N.A.
maturity.


Annually on 29th September & on      Put: N.A.                                NA
maturity                             Call: N.A.



Annually on 07th February & on       Put: N.A.                                NA
maturity                             Call: N.A.



Annually on November 30 each year    Put:N.A.                                 N.A.
and May 30 in the year of maturity   Call:N.A.



Annually on 12th Decembereach year Put: N.A.                                  NA
& 12th June in the year of maturity Call: N.A.



Annually on 22nd January & on        Put: N.A.                                NA
maturity                             Call: N.A.



Annually on 30th September           Put: N.A.                                NA
                                     Call: N.A.



Annually on 30th September & on      Put: N.A.                                NA
Maturity                             Call: N.A.



Annually on 02nd January             Put: N.A.                                NA
                                     Call:exercisable after 10 year i.e. on
                                     02/01/2017 with RBI approval


Annually on 07th February            Put: N.A.                                NA
                                     Call:exercisable after 10 year i.e. on
                                     07/02/2017 with RBI approval
Annually on March 14         Put: N.A.                              NA
                             Call:Option exercisable after 10 years
                             i.e.14/03/2017 with RBI approval


Annually on 15th March       Put: N.A.                              NA
                             Call:At the end of 10 years
                             i.e.15/03/2017 with RBI approval


Annually on 23rd March       Put: N.A.                              NA
                             Call:Option exercisable on or after 10
                             years i.e.on or after 23/03/2017 with
                             RBI approval
Annually on 31st March       Put: N.A.                              NA
                             Call:At the end of 10 years
                             i.e.31/03/2017 with RBI approval


Annually on 20th April       Put: N.A.                              NA
                             Call:Option exercisable on or after 10
                             years i.e.on or after 20/04/2017 with
                             RBI approval
Annually on 29th September   Put: N.A.                              NA
                             Call:After 10 years i.e.29/09/2017
                             with RBI approval


Annually on 08th November    Put: N.A.                              NA
                             Call:At the end of 10 years
                             i.e.08/11/2017 with RBI approval


Annually on 15th September   Put: N.A.                              NA
                             Call:At the end of 10 years with RBI
                             approval i.e. from 15/09/2018


Annually on 8th September    Put: N.A.
                             Call:can be exercised at the end of
                             10th year from the date of allotment
                             with prior RBI approval
                             i.e.08/09/2020
Annually on 21st February    Put: N.A.                             NA
                             Call:At the end of 10 years from the
                             date of allotment & on every interest
                             date thereafter (exercisable with RBI
                             approval) i.e. from 21/02/2019
Annually on March 9          Put: N.A.                             N.A
                             Call:At the end of 10 years from the
                             date of allotment & on every interest
                             date thereafter i.e. from March 09,
                             2019
Annually on 5th March        Put: N.A.                             NA
                             Call:At the end of 10 years from the
                             date of allotment (exercisable only
                             with the prior approval of RBI)
Annually on 21st August      Put: N.A.                              NA
                             Call:Can be exercised only once on
                             the date of completion of 10 year
                             from the date of Allotment with the
                             prior approval of Rerserve bank of
Annually on 14th August      Put: N.A.                              NA
                             Call:At the end of 10 years from the
                             date of allotment with prior RBI
                             approval i.e. 14/08/2020
Registrar with BP Id No.          Address where Physical Securities is Credit Rating with name of Credit
                                  to be sent                           Rating Agency and Date of Credit
                                                                       Rating


INTIME SPECTRUM REGISTRY, MUMBAI Mr. Vijay Kalyani
IN200094                          Company Secretary
                                  SADBHAV HOUSE
                                  OPP. LAW GARDEN POLICE CHOWKI
                                  ELISBRIDGE
IN200094                          MR. PARITOSH SANADHYA             BB+,CARE,DT-19-03-2011
LINK INTIME INDIA PRIVATE LIMITED CHIEF FINANCIAL OFFICER
                                  SAHAYATA MICROFINANCE PRIVATE
                                  LIMITED
                                  FLAT NO. 303, 3RD FLOOR
INTIME SPECTRUM REGISTRY, MUMBAI Mr Vinay Phadnis
IN200094                          Chairman & Managing Director
                                  57,Business Square , 2nd Floor
                                  Above UTI Bank , Mayur Colony
                                  Kothrud , Pune - 411 029
IN200512                          MR. VEDPRAKASH SONAR
UNIVERSAL CAPITAL SECURITIES      ACCOUNT DEPARTMENT
PRIVATE LIMITED                   SAHYOG HOMES LIMITED
                                  321, MORYA ESTATE,
                                  NEW LINK ROAD,
Sharepro Services (India)Pvt.Ltd. Mr Prakash Khare
IN200043                          Sr. Manager
                                  Sharepro Services (India)Pvt.Ltd.
                                  Samhita Warehousing Complex, Bldg
                                  No
Sharepro Services (India)Pvt.Ltd. Mr Prakash Khare
IN200043                          Sr. Manager
                                  Sharepro Services (India)Pvt.Ltd.
                                  Samhita Warehousing Complex, Bldg
                                  No
Sharepro Services (India)Pvt.Ltd. Mr Prakash Khare
IN200043                          Sr. Manager
                                  Sharepro Services (India)Pvt.Ltd.
                                  Samhita Warehousing Complex, Bldg
                                  No
MCS LTD                           Mr. Arun Mohan Bansal
IN200424                          Chief Internal Auditor & Company
                                  Secretary
                                  52, Community Centre
                                  New Friends Colony
Sharepro Services (India)Pvt.Ltd. Mr. Padam Kumar Jain
IN200043                          Company Secretary
                                  SARDA ENERGY & MINERALS LIMITED
                                  Industrial Growth Centre
                                  Siltara
MCS LTD, MUMBAI                   Mr. Mahendra Singh
IN200019                          Manager
                                  MCS Limited
                                  101, Shatdal Complex, 1st Floor
                                  Opp. Bata Showroom, Ashram Road
Same as above                     Mr. Harisingh Gehlot
                                  Sr.Manager,
                                  Mcs Limited,
                                  101, Shatdal Complex, 1st Floor,
                                  Opp. Bata Show Room, Ashram Road,
Same as Above                     Same as Above




MCS Limited                       Same as above
(IN200019)
MCS Limited                       Mr. Harisingh Gehlot
(IN200019)                        Sr.Manager,
                                  Mcs Limited,
                                  101, Shatdal Complex, 1st Floor,
                                  Opp. Bata Show Room, Ashram Road,
MCS                               Mr. Mahendra Singh
IN200019                          Manager
                                  MCS Limited
                                  101, Shatdal Complex, 1st Floor,
                                  Opp. BATA Show Room, Ashram Road,
MCS                               Mr. Mahendra Singh
IN200019                          Manager
                                  MCS Limited
                                  101, Shatdal Complex, 1st Floor,
                                  Opp. BATA Show Room, Ashram Road,
MCS                               Mr. Mahendra Singh
IN200019                          Manager
                                  101, Shatdal Complex, 1st Floor,
                                  Opp. BATA Show Room, Ashram Road,
                                  Ahmedabad - 380 009, GUJARAT
MCS LTD, MUMBAI                   Mr. Mahendra Singh
IN200019                          Manager
                                  MCS Limited
                                  101, Shatdal Complex, 1st Floor
                                  Opp. Bata Showroom, Ashram Road
IN200094                          MR.S.V.PRAKASH
LINK INTIME INDIA PRIVATE LIMITED COMPANY SECRETARY
                                  SATELLITE DEVELOPERS LIMITED
                                  BULD. NO- 12, 7TH FLOOR
                                  SOLITAIRE CORPORATE PARK,
IN200800                          MR. ALOK SHARMA                   CAREBBB,CARE,11/10/2010
KARVY COMPUTERSHARE-4             GENERAL MANAGER
                                  KARVY COMPUTERSHARE PVT LTD-RIL
                                  PLOT NO. 17-24
                                  VITTAL RAO NAGAR
INTIME SPECTRUM REGISTRY, MUMBAI Mr A S Khandwala
IN200094                          V.P. (Legal) & Company Secretary
                                  SAURASHTRA CEMENT LIMITED
                                  Agrima Business Centre,
                                  N.K.Mehta International House,
INTIME SPECTRUM REGISTRY, MUMBAI Mr A S Khandwala
IN200094                          V.P. (Legal) & Company Secretary
                                  SAURASHTRA CEMENT LIMITED
                                  Agrima Business Centre,
                                  N.K.Mehta International House,
GE CAPITAL SERVICES Ltd.          Mr. Nitin Behl
IN100181                          Manager Finance
                                  Floor # 12 Tower C
                                  DLF Infinity Tower, DLF Phase 2
                                  DLF Cyber City
GE CAPITAL SERVICES Ltd.          Mr. Nitin Behl
IN100181                          Manager Finance
                                  Floor # 12 Tower C
                                  DLF Infinity Tower, DLF Phase 2
                                  DLF Cyber City
COMPUTRONICS FIN SERV             Ms. Amita Joshi
IN200658                          Company Secretary
                                  61, 6th Floor Sakhar Bhavan
                                  Nariman Point Mumbai 400 021
                                  Phone: (022) 22877574-78
DATAMATICS FINANCIAL SOFTWARE     MR. ABHAY SARFARE
AND SERVICES LT                   ASST. GENERAL MANAGER
IN200336                          DATAMATICS FINANCIAL SOFTWARE
                                  AND SERVICES LT
                                  PLOT NO. A - 16 & 17, MIDC
CAMEO CORPORATE SERVICES LTD      Mr. R. D. Ramasamy
IN200176                          Director
                                  SUBRAMANIAN BUILDING
                                  1, CLUB HOUSE ROAD
                                  CHENNAI - 600002
CAMEO CORPORATE SERVICES LTD        Mr. R. D. Ramasamy
IN200176                            Director
                                    SUBRAMANIAN BUILDING
                                    1, CLUB HOUSE ROAD
                                    CHENNAI - 600002
Sharepro Services (India)Pvt.Ltd.   Mr D.Satyanarayana
IN200043                            Manager- Project Finance
                                    SEVENHILLS HEALTHCARE LIMITED
                                    Marol-Maroshi Road,
                                    Marol,
IN200800                            MR. CA.M.GOPALAKRISHNA               AA(ind)FITCH,24-06-2011
KARVY COMPUTERSHARE-4               GROUP CFO
                                    SEW INFRASTRUCTURE LIMITED
                                    6-3-871,SNEHALATA ,
                                    GREEN LAND ROAD
IN200607                            Mrs. Veena S. Shetty
ADROIT CORPORATE SER.               Adroit Corporate Services Pvt.
                                    Limited
                                    19/20 Jaferbhoy Industrial Estate
                                    1st Floor, Makwana Road, Marol Naka,
KARVY COMPUTERSHARE PVT LTD.-4      Mr B.B.Shankara Rao
IN200800                            Vice President - Finance
                                    SHARE MICROFIN LIMITED
                                    # NO.1-224/58,RAJEEV NAGAR,
                                    NACHARAM,
KARVY COMPUTERSHARE PVT LTD.-4      Mr B.B.Shankara Rao
IN200800                            Vice President - Finance
                                    SHARE MICROFIN LIMITED
                                    # NO.1-224/58,RAJEEV NAGAR,
                                    NACHARAM,
IN200449                            MR. VIMAL CHADHA                     BBB+,CARE,DT-07-02-2011
LINK INTIME INDIA PVT LTD, DELHI    COMPANY SECRETARY
                                    SHIV-VANI OIL & GAS EXPLORATION
                                    SERVICES LIMITED
                                    TOWER 1, 5TH FLOOR, NBCC PLAZA
KARVY COMPUTERSHARE PVT. LTD.       Mr. S.S. Khandelwal
IN200035                            Company Secretary
                                    Bangur Nagar
                                    Beawar 305 901
                                    Dist. Ajmer (Rajasthan)
KARVY COMPUTERSHARE PVT. LTD.       Mr. S.S. Khandelwal
IN200035                            Company Secretary
                                    SHREE CEMENT LIMITED
                                    Bangur Nagar
                                    Beawar 305 901
LINK INTIME INDIA PRIVATE LIMITED   MR. MUKUND CHANDAK
IN200094                            COMPANY SECRETARY
                                    SHREE GANESH JEWELLERY HOUSE
                                    LIMITED
                                    AVANI SIGNATURE
IN200094                            MR. MUKUND CHANDAK
LINK INTIME INDIA PRIVATE LIMITED   COMPANY SECRETARY
                                    SHREE GANESH JEWELLERY HOUSE
                                    LIMITED
                                    AVANI SIGNATURE
SKYLINE FIN.SERV PVT LTD            MR. KAPIL ARORA
IN200432                            MANAGER
                                    SKYLINE FIN.SERV PVT LTD
                                    123, VINOBAPURI
                                    LAJPAT NAGAR II
SKYLINE FIN.SERV PVT LTD            Mr. N. Rama Krishna
IN200432                            Company Secretary
                                    SKYLINE FIN.SERV PVT LTD
                                    123, VINOBAPURI
                                    LAJPAT NAGAR II
SKYLINE FIN.SERV PVT LTD            Mr. N. Rama Krishna
IN200432                            Company Secretary
                                    SKYLINE FIN.SERV PVT LTD
                                    123, VINOBAPURI
                                    LAJPAT NAGAR II
KARVY COMPUTERSHARE PVT LTD.-4   Mr Dakshinamurthy Iyer
IN200800                         Company Secretary
                                 7th Floor, Devchand House,
                                 Shiv Sagar Estate,
                                 Dr A.B.Road, Worli,
ABHIPRA CAPITAL LTD-SHR          Mr Rakesh Kumar Srivastava
IN200699                         Company Secretary cum Finance
                                 Controller
                                 SHRI LAKSHMI COTSYN LIMITED
                                 (FORMERLY SHRIVATSA
KARVY COMPUTERSHARE PVT LTD.-4   MR. ALOK SHARMA
IN200800                         VICE PRESIDENT
                                 PLOT NO. 17-24
                                 VITTAL RAO NAGAR
                                 MADHAPUR
INTEGRATED ENTP. (I) LTD         MR. SURESH BABU K.
IN200264                         ASSISTANT VICE PRESIDENT
                                 2ND FLOOR, KENCES TOWERS NO.1
                                 RAMAKRISHNA STREET
                                 NORTH USMAN ROAD
INTEGRATED ENTP. (I) LTD         MR. SURESH BABU K.
IN200264                         ASSISTANT VICE PRESIDENT
                                 2ND FLOOR, KENCES TOWERS NO.1
                                 RAMAKRISHNA STREET
                                 NORTH USMAN ROAD
INTEGRATED ENTP. (I) LTD         Mr. C R Dash
IN200264                         Company Secretary
                                 SHRIRAM - CITY UNION FINANCE
                                 LIMITED
                                 221, Royapettah High Road,
INTEGRATED ENTP. (I) LTD         MR. SURESH BABU K.
IN200264                         ASSISTANT VICE PRESIDENT
                                 INTEGRATED ENTP. (I) LTD
                                 5A,5TH FLOOR, KENCES TOWERS NO.1
                                 RAMAKRISHNA STREET
INTEGRATED ENTP. (I) LTD         MR. SURESH BABU K.
IN200264                         ASSISTANT VICE PRESIDENT
                                 2ND FLOOR, KENCES TOWERS NO.1
                                 RAMAKRISHNA STREET
                                 NORTH USMAN ROAD
INTEGRATED ENTP. (I) LTD         MR. SURESH BABU K.
IN200264                         ASSISTANT VICE PRESIDENT
                                 2ND FLOOR, KENCES TOWERS NO.1
                                 RAMAKRISHNA STREET
                                 NORTH USMAN ROAD
INTEGRATED ENTP. (I) LTD         MR. SURESH BABU K.
IN200264                         ASSISTANT VICE PRESIDENT
                                 2ND FLOOR, KENCES TOWERS NO.1
                                 RAMAKRISHNA STREET
                                 NORTH USMAN ROAD
INTEGRATED ENTP. (I) LTD         MR. SURESH BABU K.
IN200264                         ASSISTANT VICE PRESIDENT
                                 2ND FLOOR, KENCES TOWERS NO.1
                                 RAMAKRISHNA STREET
                                 NORTH USMAN ROAD
INTEGRATED ENTP. (I) LTD         MR. SURESH BABU K.
IN200264                         ASSISTANT VICE PRESIDENT
                                 2ND FLOOR, KENCES TOWERS NO.1
                                 RAMAKRISHNA STREET
                                 NORTH USMAN ROAD
INTEGRATED ENTP. (I) LTD         MR. SURESH BABU K.
IN200264                         ASSISTANT VICE PRESIDENT
                                 2ND FLOOR, KENCES TOWERS NO.1
                                 RAMAKRISHNA STREET
                                 NORTH USMAN ROAD
INTEGRATED ENTP. (I) LTD         MR. SURESH BABU K.
IN200264                         ASSISTANT VICE PRESIDENT
                                 INTEGRATED ENTP. (I) LTD
                                 5A,5TH FLOOR, KENCES TOWERS NO.1
                                 RAMAKRISHNA STREET
INTEGRATED ENTP. (I) LTD   MR. SURESH BABU K.
IN200264                   ASSISTANT VICE PRESIDENT
                           INTEGRATED ENTP. (I) LTD
                           5A,5TH FLOOR, KENCES TOWERS NO.1
                           RAMAKRISHNA STREET
IN200264                   MR. SURESH BABU K.               AA-(ind),FITCH,26-11-10
INTEGRATED ENTP. (I) LTD   ASSISTANT VICE PRESIDENT
                           INTEGRATED ENTP. (I) LTD
                           2ND FLOOR, KENCES TOWERS NO.1
                           RAMAKRISHNA STREET
IN200264                   MR. SURESH BABU K.               AA,CARE,DT-29-09-2010
INTEGRATED ENTP. (I) LTD   ASSISTANT VICE PRESIDENT
                           INTEGRATED ENTP. (I) LTD
                           2ND FLOOR, KENCES TOWERS NO.1
                           RAMAKRISHNA STREET
INTEGRATED ENTP. (I) LTD   Mr. Parag Sharma
IN200264                   Vice President - Finance
                           Wockhardt Towers, 3rd Floor
                           West wing , C-2, G- Block
                           Bandra Kurla Complex
INTEGRATED ENTP. (I) LTD   Mr. Parag Sharma
IN200264                   Vice President - Finance
                           Wockhardt Towers, 3rd Floor
                           West wing , C-2, G- Block
                           Bandra Kurla Complex
INTEGRATED ENTP. (I) LTD   Mr. Parag Sharma
IN200264                   Vice President - Finance
                           Wockhardt Towers, 3rd Floor
                           West wing , C-2, G- Block
                           Bandra Kurla Complex
IN200264                   Mr. Parag Sharma                 F1+,FITCH,DT-02-05-2011
INTEGRATED ENTP. (I) LTD   Chief Financial Officer
                           SHRIRAM TRANSPORT FINANCE
                           COMPANY LIMITED
                           Wockhardt Towers, 3rd Floor
INTEGRATED ENTP. (I) LTD   MS ANUSHA
IN200264                   SENIOR MANAGER
                           2ND FLOOR, KENCES TOWERS
                           NO.1, RAMAKRISHNA STREET
                           NORTH USMAN ROAD, T.NAGAR
INTEGRATED ENTP. (I) LTD   Mr. Parag Sharma
IN200264                   Vice President - Finance
                           Wockhardt Towers, 3rd Floor
                           West wing , C-2, G- Block
                           Bandra Kurla Complex
INTEGRATED ENTP. (I) LTD   Mr. Parag Sharma
IN200264                   Vice President - Finance
                           SHRIRAM TRANSPORT FINANCE
                           COMPANY LIMITED
                           Wockhardt Towers, 3rd Floor
INTEGRATED ENTP. (I) LTD   Mr. Parag Sharma
IN200264                   Vice President - Finance
                           SHRIRAM TRANSPORT FINANCE
                           COMPANY LIMITED
                           Wockhardt Towers, 3rd Floor
INTEGRATED ENTP. (I) LTD   Mr. Parag Sharma
IN200264                   Vice President - Finance
                           SHRIRAM TRANSPORT FINANCE
                           COMPANY LIMITED
                           Wockhardt Towers, 3rd Floor
INTEGRATED ENTP. (I) LTD   Mr. Parag Sharma
IN200264                   Vice President - Finance
                           Wockhardt Towers, 3rd Floor
                           West wing , C-2, G- Block
                           Bandra Kurla Complex
INTEGRATED ENTP. (I) LTD   Mr. Parag Sharma
IN200264                   Vice President - Finance
                           Wockhardt Towers, 3rd Floor
                           West wing , C-2, G- Block
                           Bandra Kurla Complex
INTEGRATED ENTP. (I) LTD   Mr. Parag Sharma
IN200264                   Vice President - Finance
                           Wockhardt Towers, 3rd Floor
                           West wing , C-2, G- Block
                           Bandra Kurla Complex
IN200264                   Mr. Parag Sharma              AA+,CARE,DT-28-06-2011
INTEGRATED ENTP. (I) LTD   Chief Financial Officer
                           SHRIRAM TRANSPORT FINANCE
                           COMPANY LIMITED
                           Wockhardt Towers, 3rd Floor
INTEGRATED ENTP. (I) LTD   Mr. Parag Sharma
IN200264                   Vice President - Finance
                           Wockhardt Towers, 3rd Floor
                           West wing , C-2, G- Block
                           Bandra Kurla Complex
INTEGRATED ENTP. (I) LTD   Mr. Parag Sharma
IN200264                   Vice President - Finance
                           Wockhardt Towers, 3rd Floor
                           West wing , C-2, G- Block
                           Bandra Kurla Complex
INTEGRATED ENTP. (I) LTD   Mr. Parag Sharma
IN200264                   Vice President - Finance
                           Wockhardt Towers, 3rd Floor
                           West wing , C-2, G- Block
                           Bandra Kurla Complex
INTEGRATED ENTP. (I) LTD   Mr. Parag Sharma
IN200264                   Vice President - Finance
                           Wockhardt Towers, 3rd Floor
                           West wing , C-2, G- Block
                           Bandra Kurla Complex
INTEGRATED ENTP. (I) LTD   Mr. Parag Sharma
IN200264                   Vice President - Finance
                           Wockhardt Towers, 3rd Floor
                           West wing , C-2, G- Block
                           Bandra Kurla Complex
INTEGRATED ENTP. (I) LTD   Mr. Parag Sharma
IN200264                   Vice President - Finance
                           Wockhardt Towers, 3rd Floor
                           West wing , C-2, G- Block
                           Bandra Kurla Complex
INTEGRATED ENTP. (I) LTD   Mr. Parag Sharma
IN200264                   Vice President - Finance
                           Wockhardt Towers, 3rd Floor
                           West wing , C-2, G- Block
                           Bandra Kurla Complex
INTEGRATED ENTP. (I) LTD   Mr. Parag Sharma
IN200264                   Vice President - Finance
                           Wockhardt Towers, 3rd Floor
                           West wing , C-2, G- Block
                           Bandra Kurla Complex
INTEGRATED ENTP. (I) LTD   Mr. Parag Sharma
IN200264                   Vice President - Finance
                           Wockhardt Towers, 3rd Floor
                           West wing , C-2, G- Block
                           Bandra Kurla Complex
INTEGRATED ENTP. (I) LTD   Mr. Parag Sharma
IN200264                   Vice President - Finance
                           Wockhardt Towers, 3rd Floor
                           West wing , C-2, G- Block
                           Bandra Kurla Complex
IN200264                   Mr. Parag Sharma              AA+,CARE,DT-13-06-2011
INTEGRATED ENTP. (I) LTD   Chief Financial Officer
                           SHRIRAM TRANSPORT FINANCE
                           COMPANY LIMITED
                           Wockhardt Towers, 3rd Floor
INTEGRATED ENTP. (I) LTD   Mr. Parag Sharma
IN200264                   Vice President - Finance
                           Wockhardt Towers, 3rd Floor
                           West wing , C-2, G- Block
                           Bandra Kurla Complex
INTEGRATED ENTP. (I) LTD   Mr. Parag Sharma
IN200264                   Vice President - Finance
                           Wockhardt Towers, 3rd Floor
                           West wing , C-2, G- Block
                           Bandra Kurla Complex
INTEGRATED ENTP. (I) LTD   MS ANUSHA
IN200264                   SENIOR MANAGER
                           2ND FLOOR, KENCES TOWERS
                           NO.1, RAMAKRISHNA STREET
                           NORTH USMAN ROAD, T.NAGAR
INTEGRATED ENTP. (I) LTD   MS ANUSHA
IN200264                   SENIOR MANAGER
                           2ND FLOOR, KENCES TOWERS
                           NO.1, RAMAKRISHNA STREET
                           NORTH USMAN ROAD, T.NAGAR
INTEGRATED ENTP. (I) LTD   MS ANUSHA
IN200264                   SENIOR MANAGER
                           2ND FLOOR, KENCES TOWERS
                           NO.1, RAMAKRISHNA STREET
                           NORTH USMAN ROAD, T.NAGAR
INTEGRATED ENTP. (I) LTD   MS ANUSHA
IN200264                   SENIOR MANAGER
                           2ND FLOOR, KENCES TOWERS
                           NO.1, RAMAKRISHNA STREET
                           NORTH USMAN ROAD, T.NAGAR
INTEGRATED ENTP. (I) LTD   Mr. Parag Sharma
IN200264                   Vice President - Finance
                           Wockhardt Towers, 3rd Floor
                           West wing , C-2, G- Block
                           Bandra Kurla Complex
INTEGRATED ENTP. (I) LTD   Mr. Parag Sharma
IN200264                   Vice President - Finance
                           Wockhardt Towers, 3rd Floor
                           West wing , C-2, G- Block
                           Bandra Kurla Complex
INTEGRATED ENTP. (I) LTD   Mr. Parag Sharma
IN200264                   Vice President - Finance
                           SHRIRAM TRANSPORT FINANCE
                           COMPANY LIMITED
                           Wockhardt Towers, 3rd Floor
INTEGRATED ENTP. (I) LTD   Mr. Parag Sharma
IN200264                   Vice President - Finance
                           SHRIRAM TRANSPORT FINANCE
                           COMPANY LIMITED
                           Wockhardt Towers, 3rd Floor
INTEGRATED ENTP. (I) LTD   MS ANUSHA
IN200264                   SENIOR MANAGER
                           INTEGRATED ENTP. (I) LTD
                           2ND FLOOR, KENCES TOWERS
                           NO.1, RAMAKRISHNA STREET
INTEGRATED ENTP. (I) LTD   MS ANUSHA
IN200264                   SENIOR MANAGER
                           INTEGRATED ENTP. (I) LTD
                           2ND FLOOR, KENCES TOWERS
                           NO.1, RAMAKRISHNA STREET
INTEGRATED ENTP. (I) LTD   MS ANUSHA
IN200264                   SENIOR MANAGER
                           INTEGRATED ENTP. (I) LTD
                           2ND FLOOR, KENCES TOWERS
                           NO.1, RAMAKRISHNA STREET
INTEGRATED ENTP. (I) LTD   MS ANUSHA
IN200264                   SENIOR MANAGER
                           INTEGRATED ENTP. (I) LTD
                           2ND FLOOR, KENCES TOWERS
                           NO.1, RAMAKRISHNA STREET
INTEGRATED ENTP. (I) LTD   MS ANUSHA
IN200264                   SENIOR MANAGER
                           INTEGRATED ENTP. (I) LTD
                           2ND FLOOR, KENCES TOWERS
                           NO.1, RAMAKRISHNA STREET
INTEGRATED ENTP. (I) LTD   MS ANUSHA
IN200264                   SENIOR MANAGER
                           INTEGRATED ENTP. (I) LTD
                           2ND FLOOR, KENCES TOWERS
                           NO.1, RAMAKRISHNA STREET
INTEGRATED ENTP. (I) LTD   Mr. Parag Sharma
IN200264                   Vice President - Finance
                           SHRIRAM TRANSPORT FINANCE
                           COMPANY LIMITED
                           Wockhardt Towers, 3rd Floor
INTEGRATED ENTP. (I) LTD   Mr. Parag Sharma
IN200264                   Vice President - Finance
                           SHRIRAM TRANSPORT FINANCE
                           COMPANY LIMITED
                           Wockhardt Towers, 3rd Floor
INTEGRATED ENTP. (I) LTD   Mr. Parag Sharma
IN200264                   Vice President - Finance
                           SHRIRAM TRANSPORT FINANCE
                           COMPANY LIMITED
                           Wockhardt Towers, 3rd Floor
INTEGRATED ENTP. (I) LTD   Mr. Parag Sharma
IN200264                   Vice President - Finance
                           SHRIRAM TRANSPORT FINANCE
                           COMPANY LIMITED
                           Wockhardt Towers, 3rd Floor
INTEGRATED ENTP. (I) LTD   Mr. Parag Sharma
IN200264                   Vice President - Finance
                           SHRIRAM TRANSPORT FINANCE
                           COMPANY LIMITED
                           Wockhardt Towers, 3rd Floor
INTEGRATED ENTP. (I) LTD   Mr. Parag Sharma
IN200264                   Vice President - Finance
                           SHRIRAM TRANSPORT FINANCE
                           COMPANY LIMITED
                           Wockhardt Towers, 3rd Floor
INTEGRATED ENTP. (I) LTD   Mr. Parag Sharma
IN200264                   Vice President - Finance
                           SHRIRAM TRANSPORT FINANCE
                           COMPANY LIMITED
                           Wockhardt Towers, 3rd Floor
INTEGRATED ENTP. (I) LTD   Mr. Parag Sharma
IN200264                   Vice President - Finance
                           SHRIRAM TRANSPORT FINANCE
                           COMPANY LIMITED
                           Wockhardt Towers, 3rd Floor
INTEGRATED ENTP. (I) LTD   Mr. Parag Sharma
IN200264                   Vice President - Finance
                           SHRIRAM TRANSPORT FINANCE
                           COMPANY LIMITED
                           Wockhardt Towers, 3rd Floor
INTEGRATED ENTP. (I) LTD   Mr. Parag Sharma
IN200264                   Vice President - Finance
                           SHRIRAM TRANSPORT FINANCE
                           COMPANY LIMITED
                           Wockhardt Towers, 3rd Floor
INTEGRATED ENTP. (I) LTD   MS ANUSHA
IN200264                   SENIOR MANAGER
                           INTEGRATED ENTP. (I) LTD
                           2ND FLOOR, KENCES TOWERS
                           NO.1, RAMAKRISHNA STREET
INTEGRATED ENTP. (I) LTD   MS ANUSHA
IN200264                   SENIOR MANAGER
                           INTEGRATED ENTP. (I) LTD
                           2ND FLOOR, KENCES TOWERS
                           NO.1, RAMAKRISHNA STREET
INTEGRATED ENTP. (I) LTD   MS ANUSHA
IN200264                   SENIOR MANAGER
                           INTEGRATED ENTP. (I) LTD
                           2ND FLOOR, KENCES TOWERS
                           NO.1, RAMAKRISHNA STREET
INTEGRATED ENTP. (I) LTD   MS ANUSHA
IN200264                   SENIOR MANAGER
                           INTEGRATED ENTP. (I) LTD
                           2ND FLOOR, KENCES TOWERS
                           NO.1, RAMAKRISHNA STREET
INTEGRATED ENTP. (I) LTD   MS ANUSHA
IN200264                   SENIOR MANAGER
                           INTEGRATED ENTP. (I) LTD
                           2ND FLOOR, KENCES TOWERS
                           NO.1, RAMAKRISHNA STREET
INTEGRATED ENTP. (I) LTD   MS ANUSHA
IN200264                   SENIOR MANAGER
                           INTEGRATED ENTP. (I) LTD
                           2ND FLOOR, KENCES TOWERS
                           NO.1, RAMAKRISHNA STREET
INTEGRATED ENTP. (I) LTD   MS ANUSHA
IN200264                   SENIOR MANAGER
                           INTEGRATED ENTP. (I) LTD
                           2ND FLOOR, KENCES TOWERS
                           NO.1, RAMAKRISHNA STREET
INTEGRATED ENTP. (I) LTD   Mr. Parag Sharma
IN200264                   Vice President - Finance
                           SHRIRAM TRANSPORT FINANCE
                           COMPANY LIMITED
                           Wockhardt Towers, 3rd Floor
INTEGRATED ENTP. (I) LTD   Mr. Parag Sharma
IN200264                   Vice President - Finance
                           Wockhardt Towers, 3rd Floor
                           West wing , C-2, G- Block
                           Bandra Kurla Complex
INTEGRATED ENTP. (I) LTD   Mr. Parag Sharma
IN200264                   Vice President - Finance
                           Wockhardt Towers, 3rd Floor
                           West wing , C-2, G- Block
                           Bandra Kurla Complex
INTEGRATED ENTP. (I) LTD   Mr. Parag Sharma
IN200264                   Vice President - Finance
                           Wockhardt Towers, 3rd Floor
                           West wing , C-2, G- Block
                           Bandra Kurla Complex
INTEGRATED ENTP. (I) LTD   Mr. Parag Sharma
IN200264                   Vice President - Finance
                           Wockhardt Towers, 3rd Floor
                           West wing , C-2, G- Block
                           Bandra Kurla Complex
INTEGRATED ENTP. (I) LTD   Mr. Parag Sharma
IN200264                   Vice President - Finance
                           Wockhardt Towers, 3rd Floor
                           West wing , C-2, G- Block
                           Bandra Kurla Complex
INTEGRATED ENTP. (I) LTD   Mr. Parag Sharma
IN200264                   Vice President - Finance
                           Wockhardt Towers, 3rd Floor
                           West wing , C-2, G- Block
                           Bandra Kurla Complex
INTEGRATED ENTP. (I) LTD   Mr. Parag Sharma
IN200264                   Vice President - Finance
                           SHRIRAM TRANSPORT FINANCE
                           COMPANY LIMITED
                           Wockhardt Towers, 3rd Floor
INTEGRATED ENTP. (I) LTD   Mr. Parag Sharma
IN200264                   Vice President - Finance
                           SHRIRAM TRANSPORT FINANCE
                           COMPANY LIMITED
                           Wockhardt Towers, 3rd Floor
INTEGRATED ENTP. (I) LTD   Mr. Parag Sharma
IN200264                   Vice President - Finance
                           SHRIRAM TRANSPORT FINANCE
                           COMPANY LIMITED
                           Wockhardt Towers, 3rd Floor
INTEGRATED ENTP. (I) LTD   Mr. Parag Sharma
IN200264                   Vice President - Finance
                           SHRIRAM TRANSPORT FINANCE
                           COMPANY LIMITED
                           Wockhardt Towers, 3rd Floor
INTEGRATED ENTP. (I) LTD   Mr. Parag Sharma
IN200264                   Vice President - Finance
                           SHRIRAM TRANSPORT FINANCE
                           COMPANY LIMITED
                           Wockhardt Towers, 3rd Floor
INTEGRATED ENTP. (I) LTD   Mr. Parag Sharma
IN200264                   Vice President - Finance
                           SHRIRAM TRANSPORT FINANCE
                           COMPANY LIMITED
                           Wockhardt Towers, 3rd Floor
INTEGRATED ENTP. (I) LTD   Mr. Parag Sharma
IN200264                   Vice President - Finance
                           SHRIRAM TRANSPORT FINANCE
                           COMPANY LIMITED
                           Wockhardt Towers, 3rd Floor
INTEGRATED ENTP. (I) LTD   Mr. Parag Sharma
IN200264                   Vice President - Finance
                           SHRIRAM TRANSPORT FINANCE
                           COMPANY LIMITED
                           Wockhardt Towers, 3rd Floor
INTEGRATED ENTP. (I) LTD   Mr. Parag Sharma
IN200264                   Vice President - Finance
                           SHRIRAM TRANSPORT FINANCE
                           COMPANY LIMITED
                           Wockhardt Towers, 3rd Floor
INTEGRATED ENTP. (I) LTD   Mr. Parag Sharma
IN200264                   Vice President - Finance
                           SHRIRAM TRANSPORT FINANCE
                           COMPANY LIMITED
                           Wockhardt Towers, 3rd Floor
IN200264                   Mr. Parag Sharma
INTEGRATED ENTP. (I) LTD   Vice President - Finance
                           Shriram Transport Finance Company
                           Limited
                           Wockhardt Towers, 3rd Floor
INTEGRATED ENTP. (I) LTD   Mr. Parag Sharma
IN200264                   Vice President - Finance
                           SHRIRAM TRANSPORT FINANCE
                           COMPANY LIMITED
                           Wockhardt Towers, 3rd Floor
INTEGRATED ENTP. (I) LTD   Mr. Parag Sharma
IN200264                   Vice President - Finance
                           SHRIRAM TRANSPORT FINANCE
                           COMPANY LIMITED
                           Wockhardt Towers, 3rd Floor
INTEGRATED ENTP. (I) LTD   MS ANUSHA
IN200264                   SENIOR MANAGER
                           INTEGRATED ENTP. (I) LTD
                           2ND FLOOR, KENCES TOWERS
                           NO.1, RAMAKRISHNA STREET
INTEGRATED ENTP. (I) LTD   MS ANUSHA
IN200264                   SENIOR MANAGER
                           INTEGRATED ENTP. (I) LTD
                           2ND FLOOR, KENCES TOWERS
                           NO.1, RAMAKRISHNA STREET
IN200264                   MS ANUSHA
INTEGRATED ENTP. (I) LTD   SENIOR MANAGER
                           INTEGRATED ENTP. (I) LTD
                           2ND FLOOR, KENCES TOWERS
                           NO.1, RAMAKRISHNA STREET
IN200264                   MS ANUSHA
INTEGRATED ENTP. (I) LTD   SENIOR MANAGER
                           INTEGRATED ENTP. (I) LTD
                           2ND FLOOR, KENCES TOWERS
                           NO.1, RAMAKRISHNA STREET
IN200264                             MS ANUSHA
INTEGRATED ENTP. (I) LTD             SENIOR MANAGER
                                     INTEGRATED ENTP. (I) LTD
                                     2ND FLOOR, KENCES TOWERS
                                     NO.1, RAMAKRISHNA STREET
IN200264                             MS ANUSHA
INTEGRATED ENTP. (I) LTD             SENIOR MANAGER
                                     INTEGRATED ENTP. (I) LTD
                                     2ND FLOOR, KENCES TOWERS
                                     NO.1, RAMAKRISHNA STREET
IN200264                             MS ANUSHA
INTEGRATED ENTP. (I) LTD             SENIOR MANAGER
                                     INTEGRATED ENTP. (I) LTD
                                     2ND FLOOR, KENCES TOWERS
                                     NO.1, RAMAKRISHNA STREET
IN200264                             MS ANUSHA
INTEGRATED ENTP. (I) LTD             SENIOR MANAGER
                                     INTEGRATED ENTP. (I) LTD
                                     2ND FLOOR, KENCES TOWERS
                                     NO.1, RAMAKRISHNA STREET
INTEGRATED ENTP. (I) LTD             Mr. Parag Sharma
IN200264                             Vice President - Finance
                                     SHRIRAM TRANSPORT FINANCE
                                     COMPANY LIMITED
                                     Wockhardt Towers, 3rd Floor
INTEGRATED ENTP. (I) LTD             Mr. Parag Sharma
IN200264                             Vice President - Finance
                                     SHRIRAM TRANSPORT FINANCE
                                     COMPANY LIMITED
                                     Wockhardt Towers, 3rd Floor
Alankit Assignment Limited(IN200086) Mr.Suraj Agarwal
                                     Company Secretary
                                     Shyam Telelink Limited
                                     A-60, Naraina Industrial Area, Ph-1
                                     New Delhi - 110 029.
Intime Spectrum Registry             Mr. Chandrahas C Charekar
Ltd.(IN200094)                       Dy. General Manager - Treasury Dept
                                     SICOM Ltd.
                                     Nirmal, 1st Floor
                                     Nariman Point
KARVY COMPUTERSHARE PVT LTD.-4 MR. P.A. VARGHESE
IN200800                             GENERAL MANAGER
                                     KARVY COMPUTERSHARE PVT LTD.-4
                                     CYBER VILLE,PLOT NO. 17 - 24,
                                     VITTALRAO NAGAR,
Sharepro Services (India)Pvt.Ltd.    Mr Hitesh Mehta
IN200043                             Manager
                                     SINTEX INDUSTRIES LIMITED
                                     Near Seven Garnala,
                                     Kalol (N.G.)-382721
PINNACLE SHR REGISTRYY PVT LTD       Mr Hitesh Mehta
IN200060                             Manager
                                     Near Seven Garnala,
                                     Kalol (N.G.)-382721
                                     Gandhinagar
Sharepro Services (India)Pvt.Ltd.    Mr Hitesh Mehta
IN200043                             Manager
                                     SINTEX INDUSTRIES LIMITED
                                     Near Seven Garnala,
                                     Kalol (N.G.)-382721
CAMEO CORPORATE SERVICES LTD         Mr. R.D. Ramaswamy
IN200176                             Director
                                     "Subramanian Building"
                                     No. 1, Club House Road
                                     Chennai 600002
CAMEO CORPORATE SERVICES LTD         Mr. R.D. Ramaswamy
IN200176                             Director
                                     "Subramanian Building"
                                     No. 1, Club House Road
                                     Chennai 600002
THE INDIAN HOTELS COMPANY LTD
IN100261



DATAMATICS FINANCIAL SOFTWARE   Mr.Deepak Phanse
AND SERVICES LTD                Senior Manager
IN200336                        DATAMATICS FINANCIAL SOFTWARE
                                AND SERVICES LTD
                                Plot No. A 16 & 17, MIDC
DATAMATICS FINANCIAL SOFTWARE   Mr.Deepak Phanse
AND SERVICES LTD                Senior Manager
IN200336                        DATAMATICS FINANCIAL SOFTWARE
                                AND SERVICES LTD
                                Plot No. A 16 & 17, MIDC
INVESTOR SERV OF INDIA          MR. K. I. Mani
IN200553                        General Manager - Resources
                                Management Dept.
                                SMALL INDUSTRIES DEVELOPMENT
                                BANK OF INDIA
INVESTOR SERV OF INDIA          MR. K. I. Mani
IN200553                        General Manager - Resources
                                Management Dept.
                                SMALL INDUSTRIES DEVELOPMENT
                                BANK OF INDIA
INVESTOR SERV OF INDIA          MR. K. I. Mani
IN200553                        General Manager - Resources
                                Management Dept.
                                SMALL INDUSTRIES DEVELOPMENT
                                BANK OF INDIA
INVESTOR SERV OF INDIA          MR. K. I. Mani
IN200553                        General Manager - Resources
                                Management Dept.
                                SMALL INDUSTRIES DEVELOPMENT
                                BANK OF INDIA
INVESTOR SERV OF INDIA          MR. K. I. Mani
IN200553                        General Manager - Resources
                                Management Dept.
                                SMALL INDUSTRIES DEVELOPMENT
                                BANK OF INDIA
IN200553                        MR. K. I. MANI                         AAA,CRISIL,DT-08-12-2010
INVESTOR SERV OF INDIA          GENERAL MANAGER - RESOURCES
                                MANAGEMENT DEPT.
                                SMALL INDUSTRIES DEVELOPMENT
                                BANK OF INDIA
DATAMATICS FINANCIAL SOFTWARE   Mr. R.D. Kumbhar
AND SERVICES LT                 General Manager
IN200336                        Datamatics Financial Software &
                                Services Ltd.
                                Plot No. A-16 &17, Part B Cross Lane
DATAMATICS FINANCIAL SOFTWARE   Mr. R.D. Kumbhar
AND SERVICES LT                 General Manager
IN200336                        Plot No. A-16 &17, Part B Cross Lane
                                Marol, MIDC
                                Andheri (East)
DATAMATICS FINANCIAL SOFTWARE   Mr. R.D. Kumbhar
AND SERVICES LT                 General Manager
IN200336                        Datamatics Financial Software &
                                Services Ltd.
                                Plot No. A-16 &17, Part B Cross Lane
INVESTOR SERV OF INDIA          MR. K. I. Mani
IN200553                        General Manager - Resources
                                Management Dept.
                                SMALL INDUSTRIES DEVELOPMENT
                                BANK OF INDIA
INVESTOR SERV OF INDIA          MR. K. I. Mani
IN200553                        General Manager - Resources
                                Management Dept.
                                SMALL INDUSTRIES DEVELOPMENT
                                BANK OF INDIA
INVESTOR SERV OF INDIA              MR. K. I. Mani
IN200553                            General Manager - Resources
                                    Management Dept.
                                    SMALL INDUSTRIES DEVELOPMENT
                                    BANK OF INDIA
DATAMATICS FINANCIAL SOFTWARE       Mr.Deepak Phanse
AND SERVICES LT                     Senior Manager
IN200336                            Datamatics Financial Software and
                                    Services Limited
                                    Plot No. A 16 & 17, MIDC
DATAMATICS FINANCIAL SOFTWARE       Mr.Deepak Phanse
AND SERVICES LT                     Senior Manager
IN200336                            Datamatics Financial Software and
                                    Services Limited
                                    Plot No. A 16 & 17, MIDC
INVESTOR SERV OF INDIA              MR. K. I. Mani
IN200553                            General Manager - Resources
                                    Management Dept.
                                    SMALL INDUSTRIES DEVELOPMENT
                                    BANK OF INDIA
LINK INTIME INDIA PRIVATE LIMITED   Ms Poonam Mirchandani
IN200094                            Compliance Officer
                                    IL&FS TRUST COMPANY LIMITED
                                    The IL&FS Financial Centre
                                    C-22, Block G,
LINK INTIME INDIA PRIVATE LIMITED   Ms Poonam Mirchandani
IN200094                            Compliance Officer
                                    IL&FS TRUST COMPANY LIMITED
                                    The IL&FS Financial Centre
                                    C-22, Block G,
RCMC SHARE REGISTRY PVT. LTD.
IN200301



Sharepro Services (India)Pvt.Ltd.   Mr P.Bhoopalan
IN200043                            Company Secretary
                                    Pottaneri , Mecheri
                                    Mettur Taluk , District Salem
                                    Pin - 636453
CAMEO CORPORATE SERVICES LTD        Mr. N. Ramkrishnan
IN200176                            Vice President - Corporate Affairs
                                    "SPIC" House,
                                    88, Mount Road,
                                    Guindy, Chennai 600 032
BIGSHARE SERVICES LTD               Mr.Prem Iyes
IN200117                            Compant Secretary
                                    B-22, Krishna Bhavan,B.S.Deoshi Marg
                                    Deonar,Mumbai - 400 088
BIGSHARE SERVICES LTD               Mr.Prem Iyes
IN200117                            Compant Secretary
                                    B-22, Krishna Bhavan,B.S.Deoshi Marg
                                    Deonar,Mumbai - 400 088
BIGSHARE SERVICES LTD               Mr.Prem Iyes
IN200117                            Compant Secretary
                                    B-22, Krishna Bhavan,B.S.Deoshi Marg
                                    Deonar,Mumbai - 400 088
BEETAL FINAN.AND COMPU.             Mr. Pradeepta Kumar Puhan
IN200504                            Company Secretary
                                    SPENTEX INDUSTRIES LIMITED
                                    A-60, Okhla Industrial Area
                                    Phase - II
S. K. COMPUTERS                     Mr. Dilip Bhattacharya
IN200596                            Senior Manager
                                    S. K. COMPUTERS
                                    34/1A, Sudhir Chatterjee Street
                                    Kolkata 700006
S. K. COMPUTERS   Mr. Dilip Bhattacharya
IN200596          Senior Manager
                  S. K. COMPUTERS
                  34/1A, Sudhir Chatterjee Street
                  Kolkata 700006
S. K. COMPUTERS   Mr. Dilip Bhattacharya
IN200596          Senior Manager
                  S. K. COMPUTERS
                  34/1A, Sudhir Chatterjee Street
                  Kolkata 700006
S. K. COMPUTERS   Mr. Dilip Bhattacharya
IN200596          Senior Manager
                  S. K. COMPUTERS
                  34/1A, Sudhir Chatterjee Street
                  Kolkata 700006
S. K. COMPUTERS   Mr. Dilip Bhattacharya
IN200596          Senior Manager
                  S. K. COMPUTERS
                  34/1A, Sudhir Chatterjee Street
                  Kolkata 700006
S. K. COMPUTERS   Mr. Dilip Bhattacharya
IN200596          Senior Manager
                  34/1A, Sudhir Chatterjee Street
                  Kolkata 700006
                  Phone: (033) 22194815 / 6797
S. K. COMPUTERS   Mr. Dilip Bhattacharya
IN200596          Senior Manager
                  34/1A, Sudhir Chatterjee Street
                  Kolkata 700006
S. K. COMPUTERS   Mr. Dilip Bhattacharya
IN200596          Senior Manager
                  S. K. COMPUTERS
                  34/1A, Sudhir Chatterjee Street
                  Kolkata 700006
S. K. COMPUTERS   Mr. Dilip Bhattacharya
IN200596          Senior Manager
                  S. K. COMPUTERS
                  34/1A, Sudhir Chatterjee Street
                  Kolkata 700006
S. K. COMPUTERS   Mr. Dilip Bhattacharya
IN200596          Senior Manager
                  S. K. COMPUTERS
                  34/1A, Sudhir Chatterjee Street
                  Kolkata 700006
S. K. COMPUTERS   Mr. Dilip Bhattacharya
IN200596          Senior Manager
                  S. K. COMPUTERS
                  34/1A, Sudhir Chatterjee Street
                  Kolkata 700006
IN200596          MR. DILIP BHATTACHARYA            AA(ind)FITCH,DT-24-6-10
S. K. COMPUTERS   SENIOR MANAGER
                  S. K. COMPUTERS
                  34/1A, SUDHIR
                  CHATTERJEE STREET
IN200596          MR. DILIP BHATTACHARYA            AA(ind)FITCH,DT-24-06-10
S. K. COMPUTERS   SENIOR MANAGER
                  S. K. COMPUTERS
                  34/1A, SUDHIR
                  CHATTERJEE STREET
S. K. COMPUTERS   Mr. Dilip Bhattacharya
IN200596          Senior Manager
                  S. K. COMPUTERS
                  34/1A, Sudhir Chatterjee Street
                  Kolkata 700006
S. K. COMPUTERS   Mr. Dilip Bhattacharya
IN200596          Senior Manager
                  S. K. COMPUTERS
                  34/1A, Sudhir Chatterjee Street
                  Kolkata 700006
S. K. COMPUTERS                     Mr. Dilip Bhattacharya
IN200596                            Senior Manager
                                    S. K. COMPUTERS
                                    34/1A, Sudhir Chatterjee Street
                                    Kolkata 700006
IN200596                            MR. DILIP BHATTACHARYA              AA(ind),FITCH,24-06-2010
S. K. COMPUTERS                     SENIOR MANAGER
                                    S. K. COMPUTERS
                                    34/1A, SUDHIR
                                    CHATTERJEE STREET
IN200596                            MR. DILIP BHATTACHARYA              AA(ind)FITCH,DT-24-06-10
S. K. COMPUTERS                     SENIOR MANAGER
                                    S. K. COMPUTERS
                                    34/1A, SUDHIR
                                    CHATTERJEE STREET
LINK INTIME INDIA PRIVATE LIMITED   Mr. Nikunj Daftary
IN200094                            Head - Depository & IPO
                                    C13. pannalal Silk Mills Compound
                                    L.B.S Marg,
                                    Bhandup West
LINK INTIME INDIA PRIVATE LIMITED   Mr. Nikunj Daftary
IN200094                            Head - Depository & IPO
                                    C13. pannalal Silk Mills Compound
                                    L.B.S Marg,
                                    Bhandup West
LINK INTIME INDIA PRIVATE LIMITED   Mr. Nikunj Daftary
IN200094                            Head - Depository & IPO
                                    C13. pannalal Silk Mills Compound
                                    L.B.S Marg,
                                    Bhandup West
S. K. COMPUTERS                     Mr. Dilip Bhattacharya
IN200596                            Senior Manager
                                    S. K. COMPUTERS
                                    34/1A, Sudhir Chatterjee Street
                                    Kolkata 700006
S. K. COMPUTERS                     Mr. Dilip Bhattacharya
IN200596                            Senior Manager
                                    S. K. COMPUTERS
                                    34/1A, Sudhir Chatterjee Street
                                    Kolkata 700006
S. K. COMPUTERS                     Mr. Dilip Bhattacharya
IN200596                            Senior Manager
                                    S. K. COMPUTERS
                                    34/1A, Sudhir Chatterjee Street
                                    Kolkata 700006
S. K. COMPUTERS                     Mr. Dilip Bhattacharya
IN200596                            Senior Manager
                                    S. K. COMPUTERS
                                    34/1A, Sudhir Chatterjee Street
                                    Kolkata 700006
S. K. COMPUTERS                     Mr. Dilip Bhattacharya
IN200596                            Senior Manager
                                    S. K. COMPUTERS
                                    34/1A, Sudhir Chatterjee Street
                                    Kolkata 700006
S. K. COMPUTERS                     Mr. Dilip Bhattacharya
IN200596                            Senior Manager
                                    S. K. COMPUTERS
                                    34/1A, Sudhir Chatterjee Street
                                    Kolkata 700006
S. K. COMPUTERS                     Mr. Dilip Bhattacharya
IN200596                            Senior Manager
                                    S. K. COMPUTERS
                                    34/1A, Sudhir Chatterjee Street
                                    Kolkata 700006
S. K. COMPUTERS                     Mr. Dilip Bhattacharya
IN200596                            Senior Manager
                                    S. K. COMPUTERS
                                    34/1A, Sudhir Chatterjee Street
                                    Kolkata 700006
S. K. COMPUTERS   Mr. Dilip Bhattacharya
IN200596          Senior Manager
                  S. K. COMPUTERS
                  34/1A, Sudhir Chatterjee Street
                  Kolkata 700006
S. K. COMPUTERS   Mr. Dilip Bhattacharya
IN200596          Senior Manager
                  S. K. COMPUTERS
                  34/1A, Sudhir Chatterjee Street
                  Kolkata 700006
IN200596          MR. DILIP BHATTACHARYA             AA,FITCH,DT-29-12-2009
S. K. COMPUTERS   SENIOR MANAGER
                  S. K. COMPUTERS
                  34/1A, SUDHIR
                  CHATTERJEE STREET
IN200596          MR. DILIP BHATTACHARYA             AA,FITCH,DT-29-12-2009
S. K. COMPUTERS   SENIOR MANAGER
                  S. K. COMPUTERS
                  34/1A, SUDHIR
                  CHATTERJEE STREET
IN200596          MR. DILIP BHATTACHARYA             AA,FITCH,DT-29-12-2009
S. K. COMPUTERS   SENIOR MANAGER
                  S. K. COMPUTERS
                  34/1A, SUDHIR
                  CHATTERJEE STREET
IN200596          MR. DILIP BHATTACHARYA             AA,FITCH,DT-29-12-2009
S. K. COMPUTERS   SENIOR MANAGER
                  S. K. COMPUTERS
                  34/1A, SUDHIR
                  CHATTERJEE STREET
IN200596          MR. DILIP BHATTACHARYA             AA,FITCH,DT-29-12-2009
S. K. COMPUTERS   SENIOR MANAGER
                  S. K. COMPUTERS
                  34/1A, SUDHIR
                  CHATTERJEE STREET
IN200596          MR. DILIP BHATTACHARYA             AA,FITCH,DT-29-12-2009
S. K. COMPUTERS   SENIOR MANAGER
                  S. K. COMPUTERS
                  34/1A, SUDHIR
                  CHATTERJEE STREET
IN200596          MR. DILIP BHATTACHARYA             AA,FITCH,DT-29-12-2009
S. K. COMPUTERS   SENIOR MANAGER
                  S. K. COMPUTERS
                  34/1A, SUDHIR
                  CHATTERJEE STREET
IN200596          Mr. Dilip Bhattacharya
S. K. COMPUTERS   Manager
                  S K Computers
                  34/1 A, Sudhir Chatterjee Street
                          7
                  Kolkata– 00006
IN200596          MR. DILIP BHATTACHARYA             AA,FITCH,DT-29-12-2009
S. K. COMPUTERS   SENIOR MANAGER
                  S. K. COMPUTERS
                  34/1A, SUDHIR
                  CHATTERJEE STREET
IN200596          MR. DILIP BHATTACHARYA             AA,FITCH,DT-28-03-2011
S. K. COMPUTERS   SENIOR MANAGER
                  S. K. COMPUTERS
                  34/1A, SUDHIR
                  CHATTERJEE STREET
IN200596          MR. DILIP BHATTACHARYA
S. K. COMPUTERS   SENIOR MANAGER
                  S. K. COMPUTERS
                  34/1A, SUDHIR
                  CHATTERJEE STREET
MCS,KOLKATA       MR. ALOK MUKHERJEE
IN200328          PRESIDENT
                  MCS,KOLKATA
                  77 / 2A
                  HAZRA ROAD
MCS,KOLKATA                            MR. ALOK MUKHERJEE
IN200328                               PRESIDENT
                                       MCS,KOLKATA
                                       77 / 2A
                                       HAZRA ROAD
MCS,KOLKATA                            MR. ALOK MUKHERJEE
IN200328                               PRESIDENT
                                       MCS,KOLKATA
                                       77 / 2A
                                       HAZRA ROAD
MCS,KOLKATA                            MR. ALOK MUKHERJEE
IN200328                               PRESIDENT
                                       MCS,KOLKATA
                                       77 / 2A
                                       HAZRA ROAD
IN200328                               Mr. Alok Mukherjee
MCS,KOLKATA                            General Manager
                                       MCS, Kolkata
                                       77 / 2A
                                       Hazra Road
MCS,KOLKATA                            Mr. S.K. Jhawar
IN200328                               President
                                       77/2A, Hazra Road
                                       Kolkata 700 029
MCS,KOLKATA                            Mr. S.K. Jhawar
IN200328                               President
                                       MCS Ltd.
                                       77/2A, Hazra Road
                                       Kolkata 700 029
MCS,KOLKATA                            MR. ALOK MUKHERJEE
IN200328                               PRESIDENT
                                       MCS,KOLKATA
                                       77 / 2A
                                       HAZRA ROAD
MCS,KOLKATA                            MR. ALOK MUKHERJEE
IN200328                               PRESIDENT
                                       MCS,KOLKATA
                                       77 / 2A
                                       HAZRA ROAD
MCS,KOLKATA                            MR. ALOK MUKHERJEE
IN200328                               PRESIDENT
                                       MCS,KOLKATA
                                       77 / 2A
                                       HAZRA ROAD
MCS,KOLKATA                            MR. ALOK MUKHERJEE
IN200328                               PRESIDENT
                                       MCS,KOLKATA
                                       77 / 2A
                                       HAZRA ROAD
MCS,KOLKATA                            MR. ALOK MUKHERJEE
IN200328                               PRESIDENT
                                       MCS,KOLKATA
                                       77 / 2A
                                       HAZRA ROAD
MCS Limited(IN200424)                  Mr.S P Guha,
                                       Vice President,
                                       MCS Limited,
                                       77/2A Hazra Road,
                                       Kolkata - 700 029
AMI Computers (India) Limited (BP Id   Mr. Ratan Mishra
IN200385).                             Director
                                       AMI Computers (India) Limited
                                       60 A&B, Chowringhee Road
                                       Calcutta – 700 020.
KARVY COMPUTERSHARE PVT LTD.-4         Mr.Anoop K.Joshi
IN200800                               Company Secretary
                                       Block- C, Sector -45
                                       Gurgaon - 122 003
KARVY COMPUTERSHARE PVT LTD.-4      MR. ALOK SHARMA
IN200800                            VICE PRESIDENT
                                    KARVY COMPUTERSHARE PVT LTD
                                    PLOT NO. 17-24
                                    VITTAL RAO NAGAR
KARVY COMPUTERSHARE PVT LTD.-4      MR. ALOK SHARMA
IN200800                            VICE PRESIDENT
                                    KARVY COMPUTERSHARE PVT LTD
                                    PLOT NO. 17-24
                                    VITTAL RAO NAGAR
KARVY COMPUTERSHARE PVT LTD.-4      MR. ALOK SHARMA
IN200800                            VICE PRESIDENT
                                    KARVY COMPUTERSHARE PVT LTD
                                    PLOT NO. 17-24
                                    VITTAL RAO NAGAR
KARVY COMPUTERSHARE PVT LTD.-4      MR. ALOK SHARMA
IN200800                            VICE PRESIDENT
                                    KARVY COMPUTERSHARE PVT LTD
                                    PLOT NO. 17-24
                                    VITTAL RAO NAGAR
KARVY COMPUTERSHARE PVT LTD.-4      MR. ALOK SHARMA
IN200800                            VICE PRESIDENT
                                    KARVY COMPUTERSHARE PVT LTD
                                    PLOT NO. 17-24
                                    VITTAL RAO NAGAR
INTEGRATED ENTP. (I) LTD            Mr Ajit Guruji
IN200264                            Vice President - Operation
                                    Ground Floor, Asian Bldg,
                                    17, R. Kamani Marg, Ballard Estate,
                                    Mumbai - 400 001
INTEGRATED ENTP. (I) LTD            Mr Shivaji Gunware
IN200264                            Vice President
                                    IDBI Trusteeship Services Limited

                                    Ground Floor, Asian Bldg,
LINK INTIME INDIA PRIVATE LIMITED   Mr. Magaram Suthar
IN200094                            Company Secretary
                                    STANDARD CHARTERED INVESTMENTS
                                    AND LOANS (INDIA) LIMITED
                                    Oriental House
LINK INTIME INDIA PRIVATE LIMITED   Mr. Magaram Suthar
IN200094                            Company Secretary
                                    STANDARD CHARTERED INVESTMENTS
                                    AND LOANS (INDIA) LIMITED
                                    Oriental House
NICHE TECHNOLOGIES                  Mr. Ashish Kejriwal
IN200490                            Senior Executive - Finance & Accounts
                                    1/4C, Khagendra Chatterjee Road,
                                    Kolkata - 700 002
ADROIT CORPORATE SER.               MS. VEENA SHETTY
IN200607                            DIRECTOR
                                    ADROIT CORPORATE SER.
                                    19/20, JAFERBHOY INDUSTRIAL
                                    ESTATE
ADROIT CORPORATE SER.               MS. VEENA SHETTY
IN200607                            DIRECTOR
                                    ADROIT CORPORATE SER.
                                    19/20, JAFERBHOY INDUSTRIAL
                                    ESTATE
KARVY COMPUTERSHARE PVT. LTD.       Mr. H.R. Sankhla
IN200035                            Chief Manager
                                    STATE BANK OF BIKANER AND JAIPUR
                                    Head Office
                                    Tilak Marg "C"
UTI TECHNOLOGY SERVICES LIMITED     Mr. K.Bhaskar
IN200631                            Dy.General Manager (Finance &
                                    Accounts)
                                    STATE BANK OF BIKANER AND JAIPUR
                                    Head Office
UTI TECHNOLOGY SERVICES LIMITED   Mr. K.Bhaskar
IN200631                          Dy.General Manager (Finance &
                                  Accounts)
                                  STATE BANK OF BIKANER AND JAIPUR
                                  Head Office
UTI TECHNOLOGY SERVICES LIMITED   Mr. K.Bhaskar
IN200631                          Dy.General Manager (Finance &
                                  Accounts)
                                  STATE BANK OF BIKANER AND JAIPUR
                                  Head Office
UTI TECHNOLOGY SERVICES LIMITED   Mr. K.Bhaskar
IN200631                          Dy.General Manager (Finance &
                                  Accounts)
                                  Head Office
                                  Tilak Marg "C" Scheme
KARVY COMPUTERSHARE PVT. LTD.     Mr. V. Mahesh
IN200035                          Vice President
                                  Karvy Computershare Pvt Ltd
                                  Karvy House
                                  No. 46, Avenue, No. 4
KARVY COMPUTERSHARE PVT. LTD.     Mr. V. Mahesh
IN200035                          Vice President
                                  Karvy Computershare Pvt. Ltd.
                                  Karvy House
                                  No. 46, Avenue, No. 4
KARVY COMPUTERSHARE PVT. LTD.     Mr. V. Mahesh
IN200035                          Vice President
                                  Karvy House
                                  No. 46, Avenue, No. 4
                                  Street No.1, Banjara Hills
KARVY COMPUTERSHARE PVT. LTD.     Mr. V. Mahesh
IN200035                          Vice President
                                  Karvy House
                                  No. 46, Avenue, No. 4
                                  Street No.1, Banjara Hills
KARVY COMPUTERSHARE PVT. LTD.     Mr. V. Mahesh
IN200035                          Vice President
                                  Karvy House
                                  No. 46, Avenue, No. 4
                                  Street No.1, Banjara Hills
KARVY COMPUTERSHARE PVT. LTD.     Mr. V. Mahesh
IN200035                          Vice President
                                  Karvy House
                                  No. 46, Avenue, No. 4
                                  Street No.1, Banjara Hills
KARVY COMPUTERSHARE PVT. LTD.     Mr. V. Mahesh
IN200035                          Vice President
                                  Karvy House
                                  No. 46, Avenue, No. 4
                                  Street No.1, Banjara Hills
KARVY COMPUTERSHARE PVT. LTD.     Mr. V. Mahesh
IN200035                          Vice President
                                  Karvy House
                                  No. 46, Avenue, No. 4
                                  Street No.1, Banjara Hills
KARVY COMPUTERSHARE PVT. LTD.     Mr. V.K. Jayaraman
IN200035                          Dy. General Manager
                                  KARVY COMPUTERSHARE PVT. LTD.
                                  17-24, Vittalrao Nagar
                                  Madhapur
KARVY COMPUTERSHARE PVT. LTD.     Mr. V. Mahesh
IN200035                          Vice President
                                  Karvy Computershare Pvt. Ltd.
                                  Karvy House
                                  No. 46, Avenue, No. 4
DATAMATICS FINANCIAL SOFTWARE     Mr. S. Sanyal
AND SERVICES LT                   General Manager ,Sahres & bonds
IN200336                          Department
                                  STATE BANK OF INDIA
                                  Corporate Centre, 8th Floor
DATAMATICS FINANCIAL SOFTWARE   Mr. S. Sanyal
AND SERVICES LT                 General Manager,Shares & bonds Dept
IN200336                        STATE BANK OF INDIA
                                Corporate Centre, 8th Floor
                                SBI Bhavan, Madame Cama Road
DATAMATICS FINANCIAL SOFTWARE   Mr. S. Sanyal
AND SERVICES LT                 General Manager,Shares & bonds Dept
IN200336                        Corporate Centre, 8th Floor
                                SBI Bhavan, Madame Cama Road
                                Corporate Centre,Nariman Point
DATAMATICS FINANCIAL SOFTWARE   Mr. S. Sanyal
AND SERVICES LT                 General Manager,Shares & bonds Dept
IN200336                        Corporate Centre, 8th Floor
                                SBI Bhavan, Madame Cama Road
                                Corporate Centre,Nariman Point
DATAMATICS FINANCIAL SOFTWARE   Mr. Shyamal Sinha
AND SERVICES LT                 General Manager
IN200336                        STATE BANK OF INDIA
                                State Bank Bhavan
                                Madame Cama Road,
DATAMATICS FINANCIAL SOFTWARE   Mr. S. Sanyal
AND SERVICES LT                 General Manager,Shares & bonds Dept
IN200336                        STATE BANK OF INDIA
                                Corporate Centre, 8th Floor
                                SBI Bhavan, Madame Cama Road
DATAMATICS FINANCIAL SOFTWARE   Mr. S. Sanyal
AND SERVICES LT                 General Manager,Shares & bonds Dept
IN200336                        STATE BANK OF INDIA
                                Corporate Centre, 8th Floor
                                SBI Bhavan, Madame Cama Road
DATAMATICS FINANCIAL SOFTWARE   Mr. S. Sanyal
AND SERVICES LT                 General Manager,Shares & bonds Dept
IN200336                        STATE BANK OF INDIA
                                Corporate Centre, 8th Floor
                                SBI Bhavan, Madame Cama Road
DATAMATICS FINANCIAL SOFTWARE   Mr. S. Sanyal
AND SERVICES LT                 General Manager,Shares & bonds Dept
IN200336                        STATE BANK OF INDIA
                                Corporate Centre, 8th Floor
                                SBI Bhavan, Madame Cama Road
DATAMATICS FINANCIAL SOFTWARE   Mr. S. Sanyal
AND SERVICES LT                 General Manager,Shares & bonds Dept
IN200336                        STATE BANK OF INDIA
                                Corporate Centre, 8th Floor
                                SBI Bhavan, Madame Cama Road
DATAMATICS FINANCIAL SOFTWARE   Mr. S. Sanyal
AND SERVICES LT                 General Manager,Shares & bonds Dept
IN200336                        STATE BANK OF INDIA
                                Corporate Centre, 8th Floor
                                SBI Bhavan, Madame Cama Road
DATAMATICS FINANCIAL SOFTWARE   Mr. S. Sanyal
AND SERVICES LT                 General Manager,Shares & bonds Dept
IN200336                        STATE BANK OF INDIA
                                Corporate Centre, 8th Floor
                                SBI Bhavan, Madame Cama Road
DATAMATICS FINANCIAL SOFTWARE   Mr. S. Sanyal
AND SERVICES LT                 General Manager,Shares & bonds Dept
IN200336                        STATE BANK OF INDIA
                                Corporate Centre, 8th Floor
                                SBI Bhavan, Madame Cama Road
DATAMATICS FINANCIAL SOFTWARE   Mr. S. Sanyal
AND SERVICES LT                 General Manager,Shares & bonds Dept
IN200336                        STATE BANK OF INDIA
                                Corporate Centre, 8th Floor
                                SBI Bhavan, Madame Cama Road
DATAMATICS FINANCIAL SOFTWARE   Mr. S. Sanyal
AND SERVICES LT                 General Manager,Shares & bonds Dept
IN200336                        STATE BANK OF INDIA
                                Corporate Centre, 8th Floor
                                SBI Bhavan, Madame Cama Road
DATAMATICS FINANCIAL SOFTWARE   Mr. S. Sanyal
AND SERVICES LT                 General Manager,Shares & bonds Dept
IN200336                        Corporate Centre, 8th Floor
                                SBI Bhavan, Madame Cama Road
                                Corporate Centre,Nariman Point
DATAMATICS FINANCIAL SOFTWARE   Mr. S. Sanyal
AND SERVICES LT                 General Manager,Shares & bonds Dept
IN200336                        Corporate Centre, 8th Floor
                                SBI Bhavan, Madame Cama Road
                                Corporate Centre,Nariman Point
DATAMATICS FINANCIAL SOFTWARE   Mr. S. Sanyal
AND SERVICES LT                 General Manager,Shares & bonds Dept
IN200336                        Corporate Centre, 8th Floor
                                SBI Bhavan, Madame Cama Road
                                Corporate Centre,Nariman Point
DATAMATICS FINANCIAL SOFTWARE   Mr. Shyamal Sinha
AND SERVICES LT                 General Manager
IN200336                        STATE BANK OF INDIA
                                State Bank Bhavan
                                Madame Cama Road,
DATAMATICS FINANCIAL SOFTWARE   Mr. S. Sanyal
AND SERVICES LT                 General Manager,Shares & bonds Dept
IN200336                        Corporate Centre, 8th Floor
                                SBI Bhavan, Madame Cama Road
                                Corporate Centre,Nariman Point
DATAMATICS FINANCIAL SOFTWARE   Mr. Man Mohan Pathak
AND SERVICES LT                 General Manager,Shares & bonds Dept
IN200336                        STATE BANK OF INDIA
                                3rd Floor, Varma Chambers,
                                11, Homjee Street
ANKIT CONSULTANCY PVT LT        Mr. Ashok Kumar Ghosh
IN200481                        General Manager- Treasury
                                STATE BANK OF INDORE
                                State Bank of Indore - Head Office
                                5, Yashwant Niwas Road
ANKIT CONSULTANCY PVT LT        Mr. Ashok Kumar Ghosh
IN200481                        General Manager- Treasury
                                STATE BANK OF INDORE
                                State Bank of Indore - Head Office
                                5, Yashwant Niwas Road
ANKIT CONSULTANCY PVT LT        Mr. Ashok Kumar Ghosh
IN200481                        General Manager- Treasury
                                State Bank of Indore - Head Office
                                5, Yashwant Niwas Road
                                Indore- 452003
ANKIT CONSULTANCY PVT LT        Ms Annie Pawar
IN200481                        General manager
                                STATE BANK OF INDORE
                                Head Office
                                5, YESHWANT NIWAS ROAD,
ANKIT CONSULTANCY PVT LT        Ms Annie Pawar
IN200481                        General manager
                                STATE BANK OF INDORE
                                Head Office
                                5, YESHWANT NIWAS ROAD,
ANKIT CONSULTANCY PVT LT        Mr Sanjay Singh
IN200481                        General manager
                                Head Office
                                5, YESHWANT NIWAS ROAD,
                                Indore (M.P) - 452003
ANKIT CONSULTANCY PVT LT        Mr N Ravi Chandran
IN200481                        General manager
                                STATE BANK OF INDORE
                                Head Office
                                5, YESHWANT NIWAS ROAD,
CANBANK COMPUTER SERVICE        Mr. V.P. Prathap
IN200570                        Vice President
                                CANBANK COMPUTER SERVICE
                                R & T Centre 4th Floor
                                Naveen Complex 14 M.G. Road
CANBANK COMPUTER SERVICE         Mr.S. Shivakumar
IN200570                         Chief Manager Shares & Bonds Dept
                                 STATE BANK OF MYSORE
                                 P.B. No. 9997
                                 Head Office K.G. Road
CANBANK COMPUTER SERVICE         Mr. V.P. Prathap
IN200570                         Vice President
                                 CANBANK COMPUTER SERVICE
                                 R & T Centre 4th Floor
                                 Naveen Complex 14 M.G. Road
CANBANK COMPUTER SERVICE         MR. S. JAYASHANKAR
IN200570                         ASST. VICE PRESIDENT
                                 NAVEEN COMPLEX, 4TH FLOOR
                                 14, M.G. ROAD
                                 BANGALORE 560001
CANBANK COMPUTER SERVICE         Mr. V.P. Prathap
IN200570                         Vice President
                                 R & T Centre 4th Floor
                                 Naveen Complex 14 M.G. Road
                                 Bangalore 560001
CANBANK COMPUTER SERVICE         MR. P RADHAKRISHNAN NAIR
IN200570
                                 # 218, JP ROYALE
                                 1ST FLOOR,2ND MAIN,
                                 SAMPIGE ROAD,MALLESWARAM,
INVESTOR SERV OF INDIA           Mr. Nachhattar Singh
IN200553                         Chief Manager- balance sheet
                                 department
                                 STATE BANK OF PATIALA
                                 Head office
INVESTOR SERV OF INDIA           Mr. Nachhattar Singh
IN200553                         Chief Manager- balance sheet
                                 department
                                 STATE BANK OF PATIALA
                                 Head office
INVESTOR SERV OF INDIA           Mr. Nachhattar Singh
IN200553                         Chief Manager- balance sheet
                                 department
                                 STATE BANK OF PATIALA
                                 Head office
INVESTOR SERV OF INDIA           Mr. A.K. Bhalla
IN200553                         Chief Manager
                                 Head office
                                 The Mall, Patiala
                                 Punjab- 147 001
INVESTOR SERV OF INDIA           Mr. A.K. Bhalla
IN200553                         Chief Manager
                                 Head office
                                 The Mall, Patiala
                                 Punjab- 147 001
INVESTOR SERV OF INDIA           Mr. A.K. Bhalla
IN200553                         Chief Manager
                                 Head office
                                 The Mall, Patiala
                                 Punjab- 147 001
INVESTOR SERV OF INDIA           Mr. Rajiv Gaur
IN200553                         Chief Manager
                                 Shares & Bonds Department,
                                 Head office
                                 The Mall, Patiala
INVESTOR SERV OF INDIA           Mr. V.N.Rathi
IN200553                         Deputy General Manager
                                 STATE BANK OF PATIALA
                                 Shares & Bonds Department,
                                 Head office
PINNACLE SHR REGISTRYY PVT LTD   Mr A. KARUNANIDHI
IN200060                         Dy.General Manager (F&A)
                                 STATE BANK OF SAURASHTRA
                                 Head Office
                                 Nilambaug Chowk
PINNACLE SHR REGISTRYY PVT LTD        Mr R.P.Bansal
IN200060                              Dy.General Manager (F&A)
                                      STATE BANK OF SAURASHTRA
                                      Head Office
                                      Nilambaug Chowk
CAMEO CORPORATE SERVICES LTD          Mr.C.V.Krishnakumar
IN200176                              Dy. General Manager -Finance &
                                      Accounts Dept.
                                      STATE BANK OF TRAVANCORE
                                      Poojappura
CAMEO CORPORATE SERVICES LTD          Mr. A.K. Raghunathan
IN200176                              Chief Manager
                                      STATE BANK OF TRAVANCORE
                                      Head Office, Poojapura
                                      Thiruvananthapuram
INTEGRATED ENTP. (I) LTD              Mr. A.K. Raghunathan
IN200264                              Chief Manager
                                      STATE BANK OF TRAVANCORE
                                      Head Office, Poojapura
                                      Thiruvananthapuram
INTEGRATED ENTP. (I) LTD              Mr. A.K. Raghunathan
IN200264                              Chief Manager
                                      STATE BANK OF TRAVANCORE
                                      Head Office, Poojapura
                                      Thiruvananthapuram
INTEGRATED ENTP. (I) LTD              Mr. A.K. Raghunathan
IN200264                              Chief Manager
                                      Head Office, Poojapura
                                      Thiruvananthapuram
                                      Kerala - 695 012
INTEGRATED ENTP. (I) LTD              Mr. A.K. Raghunathan
IN200264                              Chief Manager
                                      STATE BANK OF TRAVANCORE
                                      Head Office, Poojapura
                                      Thiruvananthapuram
INTEGRATED ENTP. (I) LTD              Mr. A.K. Raghunathan
IN200264                              Chief Manager
                                      STATE BANK OF TRAVANCORE
                                      Head Office, Poojapura
                                      Thiruvananthapuram
INTEGRATED ENTP. (I) LTD              Mr. A.K. Raghunathan
IN200264                              Chief Manager
                                      Head Office, Poojapura
                                      Thiruvananthapuram
                                      Kerala - 695 012
INTEGRATED ENTP. (I) LTD              Mr. A.K. Raghunathan
IN200264                              Chief Manager
                                      STATE BANK OF TRAVANCORE
                                      Head Office, Poojapura
                                      Thiruvananthapuram
Integrated Enterprises (India) Ltd.   Mr. N. Renganathan
(IN200264)                            Vice President & Company Secretary
                                      ST-CMS Electric Company Pvt. Ltd.
                                      Oxford Centre, Ist Floor
                                      66,C.P. Ramasamy Road, Alwarpet
RCMC SHARE REGISTRY PVT. LTD.         Mr. Devinder Kumar
IN200301                              Secretary
                                      Ispat Bhawan, Lodhi Road,
                                      New Delhi - 110003
RCMC SHARE REGISTRY PVT. LTD.         Mr. Devinder Kumar
IN200301                              Secretary
                                      Ispat Bhawan, Lodhi Road,
                                      New Delhi - 110003
RCMC SHARE REGISTRY PVT. LTD.         Mr. Devinder Kumar
IN200301                              Secretary
                                      Ispat Bhawan, Lodhi Road,
                                      New Delhi - 110003
RCMC SHARE REGISTRY PVT. LTD.   Mr. Devinder Kumar
IN200301                        Secretary
                                Ispat Bhawan, Lodhi Road,
                                New Delhi - 110003
RCMC SHARE REGISTRY PVT. LTD.   Mr. Devinder Kumar
IN200301                        Secretary
                                Ispat Bhawan, Lodhi Road,
                                New Delhi - 110003
RCMC SHARE REGISTRY PVT. LTD.   Mr. Devinder Kumar
IN200301                        Secretary
                                Ispat Bhawan, Lodhi Road,
                                New Delhi - 110003
RCMC SHARE REGISTRY PVT. LTD.   Mr. Devinder Kumar
IN200301                        Secretary
                                Ispat Bhawan, Lodhi Road,
                                New Delhi - 110003
RCMC SHARE REGISTRY PVT. LTD.   Mr. Devinder Kumar
IN200301                        Secretary
                                Ispat Bhawan, Lodhi Road,
                                New Delhi - 110003
RCMC SHARE REGISTRY PVT. LTD.   Mr. Devinder Kumar
IN200301                        Secretary
                                Ispat Bhawan, Lodhi Road,
                                New Delhi - 110003
RCMC SHARE REGISTRY PVT. LTD.   Mr. Devinder Kumar
IN200301                        Secretary
                                Ispat Bhawan, Lodhi Road,
                                New Delhi - 110003
RCMC SHARE REGISTRY PVT. LTD.   Mr. Devinder Kumar
IN200301                        Secretary
                                Ispat Bhawan, Lodhi Road,
                                New Delhi - 110003
RCMC SHARE REGISTRY PVT. LTD.   Mr. Devinder Kumar
IN200301                        Secretary
                                Ispat Bhawan, Lodhi Road,
                                New Delhi - 110003
RCMC SHARE REGISTRY PVT. LTD.   Mr. Devinder Kumar
IN200301                        Secretary
                                STEEL AUTHORITY OF INDIA    LIMITED
                                Ispat Bhawan, Lodhi Road,
                                New Delhi - 110003
RCMC SHARE REGISTRY PVT. LTD.   Mr. Devinder Kumar
IN200301                        Secretary
                                STEEL AUTHORITY OF INDIA    LIMITED
                                Ispat Bhawan, Lodhi Road,
                                New Delhi - 110003
RCMC SHARE REGISTRY PVT. LTD.   Mr. Devinder Kumar
IN200301                        Secretary
                                STEEL AUTHORITY OF INDIA    LIMITED
                                Ispat Bhawan, Lodhi Road,
                                New Delhi - 110003
RCMC SHARE REGISTRY PVT. LTD.   Mr. Devinder Kumar
IN200301                        Secretary
                                STEEL AUTHORITY OF INDIA    LIMITED
                                Ispat Bhawan, Lodhi Road,
                                New Delhi - 110003
RCMC SHARE REGISTRY PVT. LTD.   Mr. Devinder Kumar
IN200301                        Secretary
                                STEEL AUTHORITY OF INDIA    LIMITED
                                Ispat Bhawan, Lodhi Road,
                                New Delhi - 110003
RCMC SHARE REGISTRY PVT. LTD.   Mr. Devinder Kumar
IN200301                        Secretary
                                STEEL AUTHORITY OF INDIA LIMITED
                                Ispat Bhawan, Lodhi Road,
                                New Delhi - 110003
RCMC SHARE REGISTRY PVT. LTD.   Mr. Devinder Kumar
IN200301                        Secretary
                                Ispat Bhawan, Lodhi Road,
                                New Delhi - 110003
RCMC SHARE REGISTRY PVT. LTD.   Mr. Devinder Kumar
IN200301                        Secretary
                                Ispat Bhawan, Lodhi Road,
                                New Delhi - 110003
RCMC SHARE REGISTRY PVT. LTD.   Mr. Devinder Kumar
IN200301                        Secretary
                                Ispat Bhawan, Lodhi Road,
                                New Delhi - 110003
RCMC SHARE REGISTRY PVT. LTD.   Mr. Devinder Kumar
IN200301                        Secretary
                                Ispat Bhawan, Lodhi Road,
                                New Delhi - 110003
RCMC SHARE REGISTRY PVT. LTD.   Mr. Devinder Kumar
IN200301                        Secretary
                                Ispat Bhawan, Lodhi Road,
                                New Delhi - 110003
RCMC SHARE REGISTRY PVT. LTD.   Mr. Devinder Kumar
IN200301                        Secretary
                                Ispat Bhawan, Lodhi Road,
                                New Delhi - 110003
RCMC SHARE REGISTRY PVT. LTD.   Mr. Devinder Kumar
IN200301                        Secretary
                                Ispat Bhawan, Lodhi Road,
                                New Delhi - 110003
RCMC SHARE REGISTRY PVT. LTD.   Mr. Devinder Kumar
IN200301                        Secretary
                                Ispat Bhawan, Lodhi Road,
                                New Delhi - 110003
RCMC SHARE REGISTRY PVT. LTD.   Mr. Devinder Kumar
IN200301                        Secretary
                                Ispat Bhawan, Lodhi Road,
                                New Delhi - 110003
RCMC SHARE REGISTRY IN200301    Mr. S. K. Gupta
                                Manager (Bonds & Services)
                                STEEL AUTHORITY OF INDIA LIMITED
                                Ispat Bhawan, Lodhi Road,, New
                                Delhi - 110003
RCMC SHARE REGISTRY IN200301    Mr. S. K. Gupta
                                Manager (Bonds & Services)
                                STEEL AUTHORITY OF INDIA LIMITED
                                Ispat Bhawan, Lodhi Road,, New
                                Delhi - 110003
RCMC SHARE REGISTRY IN200301    Mr. S. K. Gupta
                                Manager (Bonds & Services)
                                STEEL AUTHORITY OF INDIA LIMITED
                                Ispat Bhawan, Lodhi Road,, New
                                Delhi - 110003
RCMC SHARE REGISTRY IN200301    Mr. S. K. Gupta
                                Manager (Bonds & Services)
                                STEEL AUTHORITY OF INDIA LIMITED
                                Ispat Bhawan, Lodhi Road,, New
                                Delhi - 110003
RCMC Share Registry(IN200301)    Mr.S.K.Gupta/Mr. Deninder Kumar,
                                 Manager(bonds)/Secretary,
                                 Steel Authbority of India Ltd.,
                                 Ispat Bhavan,
                                 Lodi Road,
INTIME SPECTRUM REGISTRY, MUMBAI Mr. KIRTIDEV KHATRI
IN200094                         Company Secretary
                                 43, Atlanta,
                                 Naiman Point,
                                 Mumbai
SHAREPRO SERVICES                Mr.Anil Sathe,
IN200043                         Manager,
                                 Sharepro Services,
                                 Satam Estate,3rd Floor,Above Bank of
                                 Baroda,
INDUS PORTFOLIO PVT LTD          Mr Pawan Kumar Agarwal
IN200666                         Corporate
                                 STL FERTILIZERS PRIVATE LIMITED
                                 A-60, NARAINA INDUSTRIAL AREA
                                 PHASE - I
IN200176                         Mr. V.Swaminathan                      AA+,CARE
CAMEO CORPORATE SERV LTD         Company Secretary
                                 Sundaram Bnp Paribas Home Finance
                                 Limited
                                 46 Whites Road
IN200176                         Mr.V.Swaminathan
CAMEO CORPORATE SERV LTD         Company Secretary
                                 SUNDARAM BNP PARIBAS HOME
                                 FINANCE LIMITED
                                 46 Whites Road
IN200176                         Mr. V.Swaminathan                      AA+,CARE,DT-02-02-2011
CAMEO CORPORATE SERV LTD         Company Secretary
                                 Sundaram Bnp Paribas Home Finance
                                 Limited
                                 46 Whites Road
IN200176                         MR. V. SWAMINATHAN                     AA+,CARE,DT-02-02-2011
CAMEO CORPORATE SERV LTD         COMPANY SECRETARY
                                 SUNDARAM BNP PARIBAS HOME
                                 FINANCE LTD
                                 Sundaram Tower
IN200176                         Mr. V.Swaminathan                      AA+,CARE,DT-02-02-2011
CAMEO CORPORATE SERV LTD         Company Secretary
                                 Sundaram Bnp Paribas Home Finance
                                 Limited
                                 46 Whites Road
IN200176                         Mr. V.Swaminathan                      LAA,ICRA,28/07/10&22/12/1
CAMEO CORPORATE SERV LTD         Company Secretary
                                 Sundaram BNP Paribas Home Finance
                                 Limited
                                 46 Whites Road
IN200176                         Mr. V.Swaminathan                      AA+,CARE DT 02/02/2011
CAMEO CORPORATE SERV LTD         Company Secretary
                                 Sundaram Bnp Paribas Home Finance
                                 Limited
                                 46 Whites Road
IN200176                         Mr. S. Ramabadran                      LAA,ICRA,DT-28/07/2010
CAMEO CORPORATE SERV LTD         Executive Director & Company
                                 Secretary
                                 SUNDARAM BNP PARIBAS HOME
                                 FINANCE LIMITED
IN200176                         MR. V. SWAMINATHAN                     AA+, CARE,DT-02-02-2011
CAMEO CORPORATE SERV LTD         COMPANY SECRETARY
                                 SUNDARAM BNP PARIBAS HOME
                                 FINANCE LTD
                                 Sundaram Tower
IN200176                         MR. V. SWAMINATHAN                     LAA, ICRA,DT-22/12/2010
CAMEO CORPORATE SERV LTD         COMPANY SECRETARY
                                 SUNDARAM BNP PARIBAS HOME
                                 FINANCE LTD
                                 Sundaram Tower
IN200176                       MR. V. SWAMINATHAN                  LAA,ICRA,DT-28/07/2010
CAMEO CORPORATE SERV LTD       COMPANY SECRETARY
                               SUNDARAM BNP PARIBAS HOME
                               FINANCE LTD
                               Sundaram Tower
IN200176                       Mr. V. Sriraman                     AA+,CARE,DT-02/02/2011
CAMEO CORPORATE SERV LTD       Company Secretary
                               SUNDARAM HOME FINANCE LIMITED
                               46 Whites Road
                               Royapettah
IN200176                       Mr. V.Swaminathan                   LAA,ICRA-28/07/10&22/12/1
CAMEO CORPORATE SERV LTD       Company Secretary
                               Sundaram BNP Paribas Home Finance
                               Limited
                               46 Whites Road
IN200176                       MR. V. SWAMINATHAN                  LAA,ICRA,DT-28/12/2010
CAMEO CORPORATE SERV LTD       COMPANY SECRETARY
                               SUNDARAM BNP PARIBAS HOME
                               FINANCE LTD
                               Sundaram Tower
CAMEO CORPORATE SERVICES LTD   Mr. G. Sundararajan
IN200176                       General Manager - Finance
                               46 Whites Road
                               Royapettah
                               Chennai 600 014
CAMEO CORPORATE SERVICES LTD   Mr.V.Swaminathan
IN200176                       Company Secretary
                               SUNDARAM BNP PARIBAS HOME
                               FINANCE LIMITED
                               46 Whites Road
CAMEO CORPORATE SERVICES LTD   Mr.V.Swaminathan
IN200176                       Company Secretary
                               SUNDARAM BNP PARIBAS HOME
                               FINANCE LIMITED
                               46 Whites Road
CAMEO CORPORATE SERVICES LTD   Mr.V.Swaminathan
IN200176                       Company Secretary
                               SUNDARAM BNP PARIBAS HOME
                               FINANCE LIMITED
                               46 Whites Road
CAMEO CORPORATE SERVICES LTD   Mr.V.Swaminathan
IN200176                       Company Secretary
                               SUNDARAM BNP PARIBAS HOME
                               FINANCE LIMITED
                               46 Whites Road
CAMEO CORPORATE SERVICES LTD   Mr.V.Swaminathan
IN200176                       Company Secretary
                               SUNDARAM BNP PARIBAS HOME
                               FINANCE LIMITED
                               46 Whites Road
CAMEO CORPORATE SERVICES LTD   Mr.V.Swaminathan
IN200176                       Company Secretary
                               SUNDARAM BNP PARIBAS HOME
                               FINANCE LIMITED
                               46 Whites Road
IN200176                       Mr. V.Swaminathan                   AA+,CARE,DT-17-06-2011
CAMEO CORPORATE SERV LTD       Company Secretary
                               Sundaram Bnp Paribas Home Finance
                               Limited
                               46 Whites Road
CAMEO CORPORATE SERVICES LTD   Mr.V.Swaminathan
IN200176                       Company Secretary
                               SUNDARAM BNP PARIBAS HOME
                               FINANCE LIMITED
                               46 Whites Road
CAMEO CORPORATE SERVICES LTD   Mr.V.Swaminathan
IN200176                       Company Secretary
                               SUNDARAM BNP PARIBAS HOME
                               FINANCE LIMITED
                               46 Whites Road
CAMEO CORPORATE SERVICES LTD   Mr.V.Swaminathan
IN200176                       Company Secretary
                               SUNDARAM BNP PARIBAS HOME
                               FINANCE LIMITED
                               46 Whites Road
CAMEO CORPORATE SERVICES LTD   Mr.V.Swaminathan
IN200176                       Company Secretary
                               SUNDARAM BNP PARIBAS HOME
                               FINANCE LIMITED
                               46 Whites Road
CAMEO CORPORATE SERVICES LTD   Mr.V.Swaminathan
IN200176                       Company Secretary
                               SUNDARAM BNP PARIBAS HOME
                               FINANCE LIMITED
                               46 Whites Road
IN200176                       Mr. V.Swaminathan                   AA+,CARE,DT-02-02-2011
CAMEO CORPORATE SERV LTD       Company Secretary
                               Sundaram Bnp Paribas Home Finance
                               Limited
                               46 Whites Road
IN200176                       Mr. V.Swaminathan                   AA+,CARE,DT-17-06-2011
CAMEO CORPORATE SERV LTD       Company Secretary
                               Sundaram Bnp Paribas Home Finance
                               Limited
                               46 Whites Road
IN200176                       Mr. V.Swaminathan                   AA+,CARE,DT-17-06-2011
CAMEO CORPORATE SERV LTD       Company Secretary
                               Sundaram Bnp Paribas Home Finance
                               Limited
                               46 Whites Road
IN200176                       Mr. V.Swaminathan                   AA+,CARE,DT-17-06-2011
CAMEO CORPORATE SERV LTD       Company Secretary
                               Sundaram Bnp Paribas Home Finance
                               Limited
                               46 Whites Road
CAMEO CORPORATE SERVICES LTD   Mr.V.Swaminathan
IN200176                       Company Secretary
                               SUNDARAM BNP PARIBAS HOME
                               FINANCE LIMITED
                               46 Whites Road
CAMEO CORPORATE SERVICES LTD   Mr.V.Swaminathan
IN200176                       Company Secretary
                               SUNDARAM BNP PARIBAS HOME
                               FINANCE LIMITED
                               46 Whites Road
CAMEO CORPORATE SERVICES LTD   Mr.V.Swaminathan
IN200176                       Company Secretary
                               SUNDARAM BNP PARIBAS HOME
                               FINANCE LIMITED
                               46 Whites Road
IN200176                       Mr. V.Swaminathan                   AA+,CARE,DT-02-02-2011
CAMEO CORPORATE SERV LTD       Company Secretary
                               Sundaram Bnp Paribas Home Finance
                               Limited
                               46 Whites Road
IN200176                       Mr. V.Swaminathan                   AA+,CARE,DT-17-06-2011
CAMEO CORPORATE SERV LTD       Company Secretary
                               Sundaram Bnp Paribas Home Finance
                               Limited
                               46 Whites Road
IN200176                       Mr. V.Swaminathan                   AA+,CARE,DT-17-06-2011
CAMEO CORPORATE SERV LTD       Company Secretary
                               Sundaram Bnp Paribas Home Finance
                               Limited
                               46 Whites Road
CAMEO CORPORATE SERVICES LTD   Mr.V.Swaminathan
IN200176                       Company Secretary
                               SUNDARAM BNP PARIBAS HOME
                               FINANCE LIMITED
                               46 Whites Road
IN200176                       Mr. V.Swaminathan                   AA+,CARE,DT-17-06-2011
CAMEO CORPORATE SERV LTD       Company Secretary
                               Sundaram Bnp Paribas Home Finance
                               Limited
                               46 Whites Road
IN200176                       Mr. V.Swaminathan                   AA+,CARE,DT-17-06-2011
CAMEO CORPORATE SERV LTD       Company Secretary
                               Sundaram Bnp Paribas Home Finance
                               Limited
                               46 Whites Road
IN200176                       Mr. V.Swaminathan                   AA+,CARE,DT-17-06-2011
CAMEO CORPORATE SERV LTD       Company Secretary
                               Sundaram Bnp Paribas Home Finance
                               Limited
                               46 Whites Road
CAMEO CORPORATE SERVICES LTD   Mr.V.Swaminathan
IN200176                       Company Secretary
                               SUNDARAM BNP PARIBAS HOME
                               FINANCE LIMITED
                               46 Whites Road
CAMEO CORPORATE SERVICES LTD   Mr. P.S. SRIDHAR
IN200176                       DGM - FINANCE
                               21, PATULLOS ROAD,
                               CHENNAI - 600 002
CAMEO CORPORATE SERVICES LTD   Mr. P.S. SRIDHAR
IN200176                       DGM - FINANCE
                               21, PATULLOS ROAD,
                               CHENNAI - 600 002
CAMEO CORPORATE SERVICES LTD   Mr. V. Sriraman
IN200176                       Company Secretary
                               46 Whites Road
                               Royapettah Chennai 600 014
CAMEO CORPORATE SERVICES LTD   Mr. V. Sriraman
IN200176                       Company Secretary
                               46 Whites Road
                               Royapettah Chennai 600 014
CAMEO CORPORATE SERVICES LTD   Mr. R.D.Ramaswamy
IN200176                       Vice President
                               No 1 ,Club House Road,
                               Chennai - 600 002
CAMEO CORPORATE SERVICES LTD   Mr. P.S. SRIDHAR
IN200176                       DGM - FINANCE
                               21, PATULLOS ROAD,
                               CHENNAI - 600 002
CAMEO CORPORATE SERVICES LTD   Mr. P.S. SRIDHAR
IN200176                       DGM - FINANCE
                               21, PATULLOS ROAD,
                               CHENNAI - 600 002
CAMEO CORPORATE SERVICES LTD   Mr. J. Prakash
IN200176                       Manager (Finance)
                               4 Patullos Road
                               Chennai 600 002
CAMEO CORPORATE SERVICES LTD   Mr. R.D.Ramaswamy
IN200176                       Vice President
                               No 1 ,Club House Road,
                               Chennai - 600 002
CAMEO CORPORATE SERVICES LTD   Mr. R.D.Ramaswamy
IN200176                       Vice President
                               No 1 ,Club House Road,
                               Chennai - 600 002
CAMEO CORPORATE SERVICES LTD   Mr. R.D.Ramaswamy
IN200176                       Vice President
                               No 1 ,Club House Road,
                               Chennai - 600 002
CAMEO CORPORATE SERVICES LTD   Mr. J. Prakash
IN200176                       Manager (Finance)
                               4 Patullos Road
                               Chennai 600 002
CAMEO CORPORATE SERVICES LTD   Mr. P.S. SRIDHAR
IN200176                       DGM - FINANCE
                               21, PATULLOS ROAD,
                               CHENNAI - 600 002
CAMEO CORPORATE SERVICES LTD   Mr. S.Balakrishnan
IN200176                       Manager - Finance
                               SUNDARAM FINANCE LIMITED
                               21,Patullos Road,
                               Chennai - 600 002
CAMEO CORPORATE SERVICES LTD   Mr. V. Sriraman
IN200176                       Company Secretary
                               46 Whites Road
                               Royapettah Chennai 600 014
CAMEO CORPORATE SERVICES LTD   Mr. G. Sundararajan
IN200176                       General Manager (Finance)
                               4 Patullos Road
                               Chennai 600 002
CAMEO CORPORATE SERVICES LTD   Mr. R.D.Ramaswamy
IN200176                       Vice President
                               SUNDARAM FINANCE LIMITED
                               No 1 ,Club House Road,
                               Chennai - 600 002
CAMEO CORPORATE SERVICES LTD   Mr. R.D.Ramaswamy
IN200176                       Vice President
                               SUNDARAM FINANCE LIMITED
                               No 1 ,Club House Road,
                               Chennai - 600 002
CAMEO CORPORATE SERVICES LTD   Mr. J. Prakash
IN200176                       Manager (Finance)
                               4 Patullos Road
                               Chennai 600 002
IN200176                       MR. S.BALAKRISHNAN           P1+,CRISL DT 01/06/2011
CAMEO CORPORATE SERV LTD       MANAGER - FINANCE
                               SUNDARAM FINANCE LIMITED
                               21,PATULLOS ROAD
                               CHENNAI - 600 002
IN200176                       MR. S.BALAKRISHNAN           P1+,CRISIL,DT-01-06-2011
CAMEO CORPORATE SERV LTD       MANAGER - FINANCE
                               SUNDARAM FINANCE LIMITED
                               21,PATULLOS ROAD,
                               CHENNAI - 600 002
CAMEO CORPORATE SERVICES LTD   Mr. P.S. SRIDHAR
IN200176                       DGM - FINANCE
                               21, PATULLOS ROAD,
                               CHENNAI - 600 002
CAMEO CORPORATE SERVICES LTD   Mr. S.Balakrishnan
IN200176                       Manager - Finance
                               SUNDARAM FINANCE LIMITED
                               21,Patullos Road,
                               Chennai - 600 002
CAMEO CORPORATE SERVICES LTD   Mr. S.Balakrishnan
IN200176                       Manager - Finance
                               SUNDARAM FINANCE LIMITED
                               21,Patullos Road,
                               Chennai - 600 002
CAMEO CORPORATE SERVICES LTD   Mr. S.Balakrishnan
IN200176                       Manager - Finance
                               SUNDARAM FINANCE LIMITED
                               21,Patullos Road,
                               Chennai - 600 002
CAMEO CORPORATE SERVICES LTD   Mr. S.Balakrishnan
IN200176                       Manager - Finance
                               SUNDARAM FINANCE LIMITED
                               21,Patullos Road,
                               Chennai - 600 002
CAMEO CORPORATE SERVICES LTD   Mr. S.Balakrishnan
IN200176                       Manager - Finance
                               SUNDARAM FINANCE LIMITED
                               21,Patullos Road,
                               Chennai - 600 002
CAMEO CORPORATE SERVICES LTD   Mr. S.Balakrishnan
IN200176                       Manager - Finance
                               SUNDARAM FINANCE LIMITED
                               21,Patullos Road,
                               Chennai - 600 002
CAMEO CORPORATE SERVICES LTD   Mr. R.D.Ramaswamy
IN200176                       Vice President
                               No 1 ,Club House Road,
                               Chennai - 600 002
CAMEO CORPORATE SERVICES LTD   Mr. R.D.Ramaswamy
IN200176                       Vice President
                               No 1 ,Club House Road,
                               Chennai - 600 002
CAMEO CORPORATE SERVICES LTD   Mr. R.D.Ramaswamy
IN200176                       Vice President
                               No 1 ,Club House Road,
                               Chennai - 600 002
CAMEO CORPORATE SERVICES LTD   Mr. R.D.Ramaswamy
IN200176                       Vice President
                               No 1 ,Club House Road,
                               Chennai - 600 002
CAMEO CORPORATE SERVICES LTD   Mr. S.Balakrishnan
IN200176                       Manager - Finance
                               SUNDARAM FINANCE LIMITED
                               21,Patullos Road,
                               Chennai - 600 002
CAMEO CORPORATE SERVICES LTD   Mr. R.D.Ramaswamy
IN200176                       Vice President
                               SUNDARAM FINANCE LIMITED
                               No 1 ,Club House Road,
                               Chennai - 600 002
CAMEO CORPORATE SERVICES LTD   Mr. S.Balakrishnan
IN200176                       Manager - Finance
                               SUNDARAM FINANCE LIMITED
                               21,Patullos Road,
                               Chennai - 600 002
CAMEO CORPORATE SERVICES LTD   Mr. S.Balakrishnan
IN200176                       Manager - Finance
                               SUNDARAM FINANCE LIMITED
                               21,Patullos Road,
                               Chennai - 600 002
CAMEO CORPORATE SERVICES LTD   Mr. S.Balakrishnan
IN200176                       Manager - Finance
                               SUNDARAM FINANCE LIMITED
                               21,Patullos Road,
                               Chennai - 600 002
CAMEO CORPORATE SERVICES LTD   Mr. J. Prakash
IN200176                       Manager (Finance)
                               4 Patullos Road
                               Chennai 600 002
IN200176                       MR. S.BALAKRISHNAN         LAAA+ ICRA dt 01/11/2010
CAMEO CORPORATE SERV LTD       MANAGER - FINANCE
                               SUNDARAM FINANCE LIMITED
                               21,PATULLOS ROAD
                               CHENNAI - 600 002
IN200176                       MR. S.BALAKRISHNAN         LAA+ICRA,DT 31/05/2011
CAMEO CORPORATE SERV LTD       MANAGER - FINANCE
                               SUNDARAM FINANCE LIMITED
                               21,PATULLOS ROAD,
                               CHENNAI - 600 002
IN200176                       MR. S.BALAKRISHNAN         LAA+,ICRA,DT-31-05-2011
CAMEO CORPORATE SERV LTD       MANAGER - FINANCE
                               SUNDARAM FINANCE LIMITED
                               21,PATULLOS ROAD,
                               CHENNAI - 600 002
IN200176                       MR. S.BALAKRISHNAN         LAA+,ICRA,DT-31-05-2011
CAMEO CORPORATE SERV LTD       MANAGER - FINANCE
                               SUNDARAM FINANCE LIMITED
                               21,PATULLOS ROAD,
                               CHENNAI - 600 002
IN200176                       MR. S.BALAKRISHNAN         LAA+,ICRA DT 31/05/2011
CAMEO CORPORATE SERV LTD       MANAGER - FINANCE
                               SUNDARAM FINANCE LIMITED
                               21,PATULLOS ROAD,
                               CHENNAI - 600 002
CAMEO CORPORATE SERVICES LTD   Mr. J. Prakash
IN200176                       Manager (Finance)
                               4 Patullos Road
                               Chennai 600 002
CAMEO CORPORATE SERVICES LTD   Mr. S.Balakrishnan
IN200176                       Manager - Finance
                               SUNDARAM FINANCE LIMITED
                               21,Patullos Road,
                               Chennai - 600 002
CAMEO CORPORATE SERVICES LTD   Mr. S.Balakrishnan
IN200176                       Manager - Finance
                               SUNDARAM FINANCE LIMITED
                               21,Patullos Road,
                               Chennai - 600 002
CAMEO CORPORATE SERVICES LTD   Mr. J. Prakash
IN200176                       Manager (Finance)
                               4 Patullos Road
                               Chennai 600 002
IN200176                       MR. S.BALAKRISHNAN         LAA+ ICRA 01/11/2010
CAMEO CORPORATE SERV LTD       MANAGER - FINANCE
                               SUNDARAM FINANCE LIMITED
                               21,PATULLOS ROAD
                               CHENNAI - 600 002
IN200176                       MR. S.BALAKRISHNAN         LAA+,ICRA DT 01/11/2010
CAMEO CORPORATE SERV LTD       MANAGER - FINANCE
                               SUNDARAM FINANCE LIMITED
                               21,PATULLOS ROAD,
                               CHENNAI - 600 002
IN200176                       MR. S.BALAKRISHNAN         LAA+,ICRA,DT-31-05-2011
CAMEO CORPORATE SERV LTD       MANAGER - FINANCE
                               SUNDARAM FINANCE LIMITED
                               21,PATULLOS ROAD,
                               CHENNAI - 600 002
IN200176                       MR. S.BALAKRISHNAN         LAA+,ICRA,DT-31-05-2011
CAMEO CORPORATE SERV LTD       MANAGER - FINANCE
                               SUNDARAM FINANCE LIMITED
                               21,PATULLOS ROAD,
                               CHENNAI - 600 002
IN200176                       MR. S.BALAKRISHNAN         LAA+,ICRA DT 31/05/2011
CAMEO CORPORATE SERV LTD       MANAGER - FINANCE
                               SUNDARAM FINANCE LIMITED
                               21,PATULLOS ROAD,
                               CHENNAI - 600 002
CAMEO CORPORATE SERVICES LTD   Mr. S.Balakrishnan
IN200176                       Manager - Finance
                               SUNDARAM FINANCE LIMITED
                               21,Patullos Road,
                               Chennai - 600 002
CAMEO CORPORATE SERVICES LTD   Mr. S.Balakrishnan
IN200176                       Manager - Finance
                               SUNDARAM FINANCE LIMITED
                               21,Patullos Road,
                               Chennai - 600 002
CAMEO CORPORATE SERVICES LTD   Mr. R.D.Ramaswamy
IN200176                       Vice President
                               SUNDARAM FINANCE LIMITED
                               No 1 ,Club House Road,
                               Chennai - 600 002
CAMEO CORPORATE SERVICES LTD   Mr. S.Balakrishnan
IN200176                       Manager - Finance
                               SUNDARAM FINANCE LIMITED
                               21,Patullos Road,
                               Chennai - 600 002
IN200176                       Mr. S. Balakrishnan
CAMEO CORPORATE SERV LTD       Manager - Finance
                               SUNDARAM FINANCE LIMITED
                               Sundaram Finance Limited
                               No. 4, Patullos Road
IN200176                       MR. S.BALAKRISHNAN               AA+,ICRA,DT-18-11-2010
CAMEO CORPORATE SERV LTD       MANAGER - FINANCE
                               SUNDARAM FINANCE LIMITED
                               21,PATULLOS ROAD,
                               CHENNAI - 600 002
CAMEO CORPORATE SERVICES LTD   Mr. S.Balakrishnan
IN200176                       Manager - Finance
                               SUNDARAM FINANCE LIMITED
                               21,Patullos Road,
                               Chennai - 600 002
CAMEO CORPORATE SERVICES LTD   Mr. S.Balakrishnan
IN200176                       Manager - Finance
                               SUNDARAM FINANCE LIMITED
                               21,Patullos Road,
                               Chennai - 600 002
CAMEO CORPORATE SERVICES LTD   Mr. R.D.Ramaswamy
IN200176                       Vice President
                               SUNDARAM FINANCE LIMITED
                               No 1 ,Club House Road,
                               Chennai - 600 002
CAMEO CORPORATE SERVICES LTD   Mr. S.Balakrishnan
IN200176                       Manager - Finance
                               SUNDARAM FINANCE LIMITED
                               21,Patullos Road,
                               Chennai - 600 002
CAMEO CORPORATE SERVICES LTD   Mr. S.Balakrishnan
IN200176                       Manager - Finance
                               SUNDARAM FINANCE LIMITED
                               21,Patullos Road,
                               Chennai - 600 002
CAMEO CORPORATE SERVICES LTD   Mr. S.Balakrishnan
IN200176                       Manager - Finance
                               SUNDARAM FINANCE LIMITED
                               21,Patullos Road,
                               Chennai - 600 002
CAMEO CORPORATE SERVICES LTD   Mr. S.Balakrishnan
IN200176                       Manager - Finance
                               SUNDARAM FINANCE LIMITED
                               21,Patullos Road,
                               Chennai - 600 002
BIGSHARE SERVICES LTD          Mr. Chain Sukh Jain
IN200117                       Vice President Finance
                               SUPER SYNCOTEX (INDIA) LIMITED
                               Khari Ka Lamba
                               Gulabpura- 311021
SYSTEM SUPPORT SERVICES-SHR     Mr Malay Vora
IN200762                        Compliance Officer
                                Dheeraj Arma,
                                4th Floor,Anant Kanekar Marg,
                                Bandra (East)
Intime Spectrum Registry        Mr. Surendra U. Tamboli
Ltd.(IN200094)                  Company Secretary
                                SWIL Limited
                                Plot No. 747,
                                GIDC Industrial Estate
Intime Spectrum Registry        Mr. Surendra U. Tamboli
Ltd.(IN200094)                  Company Secretary
                                SWIL Limited
                                Plot No. 747,
                                GIDC Industrial Estate
KARVY                           Mr. Sunil Y. Barve
IN200035                        Manager
                                Syndicate Bank
                                Investor Relation Centre
                                Gandhinagar
KARVY COMPUTERSHARE PVT. LTD.   Mr. Sunil Y. Barve
IN200035                        Manager
                                Syndicate Bank
                                Investor Relation Centre
                                Gandhinagar, Bangalore 560 009
KARVY COMPUTERSHARE PVT. LTD.   Mr. Sunil Y. Barve
IN200035                        Company Secretary
                                SYNDICATE BANK
                                Investor Relation Centre
                                Gandhinagar, Bangalore 560 009
KARVY COMPUTERSHARE PVT. LTD.   Mr. V. Maruti Rao
IN200035                        Asst. General Manager
                                SYNDICATE BANK
                                Tax Cell Accounts Department
                                Head Office
KARVY COMPUTERSHARE PVT. LTD.   Mr. V. Maruti Rao
IN200035                        Asst. General Manager
                                SYNDICATE BANK
                                Tax Cell Accounts Department
                                Head Office
KARVY COMPUTERSHARE PVT. LTD.   Mr Santosh Ballal
IN200035                        Sr.Manager
                                Accounts Department
                                Bonds Servicing Cell
                                Head Office
KARVY COMPUTERSHARE PVT. LTD.   Mr. R.Ravi
IN200035                        Company Secretary
                                Investor Relation Centre
                                Gandhinagar, Bangalore 560 009
                                Karnataka
KARVY COMPUTERSHARE PVT. LTD.   Mr. V. Maruti Rao
IN200035                        Asst. General Manager
                                SYNDICATE BANK
                                Tax Cell Accounts Department
                                Head Office
KARVY COMPUTERSHARE PVT. LTD.   Mr. V. Maruti Rao
IN200035                        Asst. General Manager
                                Tax Cell Accounts Department
                                Head Office
                                Manipal 576 104
KARVY COMPUTERSHARE PVT. LTD.   Mr Santosh Ballal
IN200035                        Sr.Manager
                                Accounts Department
                                Bonds Servicing Cell
                                Head Office
KARVY COMPUTERSHARE PVT. LTD.   Mr Santosh Ballal
IN200035                        Sr.Manager
                                Accounts Department
                                Bonds Servicing Cell
                                Head Office
KARVY COMPUTERSHARE PVT. LTD.       Mr R Ravi
IN200035                            Company Secretary
                                    Investor Relation Centre
                                    Corporate office
                                    Gandhi Nagar
IN200094                            MS. AVANTI SANKAV                AA,,CARE,DT-19/01/2011
LINK INTIME INDIA PRIVATE LIMITED   COMPANY SECRETARY
                                    TALWALKARS BETTER VALUE FITNESS
                                    LTD
                                    801-813, Mahalaxmi Chamber
IN200800                            MR. ALOK SHARMA                  AA+(SO),CRISIL,11/01/2011
KARVY COMPUTERSHARE-4               VICE PRESIDENT
                                    KARVY COMPUTERSHARE PVT LTD
                                    PLOT NO. 17-24
                                    VITTAL RAO NAGAR
KARVY COMPUTERSHARE PVT LTD.-4      MR. ALOK SHARMA
IN200800                            VICE PRESIDENT
                                    KARVY COMPUTERSHARE PVT LTD
                                    PLOT NO. 17-24
                                    VITTAL RAO NAGAR
CAMEO CORPORATE SERVICES LTD        Mr V Sivakumar
IN200176                            Asst Company Secretary
                                    TAMIL NADU NEWSPRINT AND PAPERS
                                    LIMITED
                                    67, Mount Road
CAMEO CORPORATE SERVICES LTD        Mr. R.D. Ramasamy
IN200176                            General Manager
                                    Subramaniam Building
                                    1, Club House Road
                                    Chennai 600 002
INTEGRATED ENTP. (I) LTD            Mr. M. Maheswari Bai
IN200264                            Dy. Financial Controller (Funds)
                                    TamilNadu Electricity Board
                                    800, Anna Salai,
                                    NPKRR Maaligai, 7th Floor,
INTEGRATED ENTP. (I) LTD            Mr. G. Rajagopal
IN200264                            Chief Financial Controller
                                    N.P.K.R.R. Maaligai, 7th Floor
                                    144, Anna Salai
                                    Chennai 600 002
INTEGRATED ENTP. (I) LTD            Mr K.Balakrishnan
IN200264                            Deputy Financial Controller
                                    N.P.K.R.R. Maaligai, 7th Floor
                                    144, Anna Salai
                                    Chennai 600 002
INTEGRATED ENTP. (I) LTD            Mr K.Balakrishnan
IN200264                            Deputy Financial Controller
                                    N.P.K.R.R. Maaligai, 7th Floor
                                    144, Anna Salai
                                    Chennai 600 002
INTEGRATED ENTP. (I) LTD            Mr K.Balakrishnan
IN200264                            Deputy Financial Controller
                                    N.P.K.R.R. Maaligai, 7th Floor
                                    144, Anna Salai
                                    Chennai 600 002
INTEGRATED ENTP. (I) LTD            Mr K.Balakrishnan
IN200264                            Deputy Financial Controller
                                    N.P.K.R.R. Maaligai, 7th Floor
                                    144, Anna Salai
                                    Chennai 600 002
INTEGRATED ENTP. (I) LTD            Mr K.Balakrishnan
IN200264                            Deputy Financial Controller
                                    N.P.K.R.R. Maaligai, 7th Floor
                                    144, Anna Salai
                                    Chennai 600 002
INTEGRATED ENTP. (I) LTD            Mr K.Balakrishnan
IN200264                            Deputy Financial Controller
                                    N.P.K.R.R. Maaligai, 7th Floor
                                    144, Anna Salai
                                    Chennai 600 002
INTEGRATED ENTP. (I) LTD            Mr K.Balakrishnan
IN200264                            Deputy Financial Controller
                                    TAMILNADU ELECTRICITY BOARD
                                    N.P.K.R.R. Maaligai, 7th Floor
                                    144, Anna Salai
INTEGRATED ENTP. (I) LTD            Mr K.Balakrishnan
IN200264                            Deputy Financial Controller
                                    TAMILNADU ELECTRICITY BOARD
                                    N.P.K.R.R. Maaligai, 7th Floor
                                    144, Anna Salai
INTEGRATED ENTP. (I) LTD            Mr K.Balakrishnan
IN200264                            Deputy Financial Controller
                                    TAMILNADU ELECTRICITY BOARD
                                    N.P.K.R.R. Maaligai, 7th Floor
                                    144, Anna Salai
IN200264                            MR.THIRU G.RAJGOPAL                   A (SO) CRISIL 27/05/2011
INTEGRATED ENTP. (I) LTD            DIRECTOR-FINANCE
                                    TAMILNADU GENERATION AND
                                    DISTRIBUTION CORPORATION
                                    NPKRR MAALIGAR,144
IN200264                            MR.THIRU G.RAJGOPAL                   A (SO) CRISIL 27/05/2011
INTEGRATED ENTP. (I) LTD            DIRECTOR-FINANCE
                                    TAMILNADU GENERATION AND
                                    DISTRIBUTION CORPORATION
                                    NPKRR MAALIGAR,144
Same as above                       Same as above




Cameo Corporate Services Ltd.       Mr. A.R. Alagappan
(IN200176)                          General Manager ( F &R)
                                    The Tamilnadu Industrial Investment
                                    Company Ltd.
                                    692, Anna Salai, Nandanam
Cameo Corporate Services Ltd.       Same as above
(IN200176)



Cameo Corporate Services Ltd.       Same as above
(IN200176)



Cameo Corporate Services Ltd.       Same as above
(IN200176)



Cameo Corporate Services Ltd.       Mr. A.R. Alagappan
(IN200176)                          General Manager ( F &R)
                                    The Tamilnadu Industrial Investment
                                    Company Ltd.
                                    692, Anna Salai, Nandanam
CAMEO CORPORATE SERV LTD            Mr. A.R. Alagappan
IN200176                            General Manager ( F &R)
                                    The Tamilnadu Industrial Investment
                                    Company Ltd.
                                    692, Anna Salai, Nandanam
INTIME SPECTRUM REGISTRY            Mr. Nikun Daftary
IN200094                            Head - Depository IPO
                                    Intime Spectrum Registry Ltd.
                                    260, Sarojini Naidu Road
                                    Mulund (West)
LINK INTIME INDIA PRIVATE LIMITED   Mr. Nikunj Daftary
IN200094                            Head - Depository & IPO
                                    C13. pannalal Silk Mills Compound
                                    L.B.S Marg,
                                    Bhandup West
Mennen Financial Services Ltd.      Same as above
(IN200682)



MENNEN FIN.SERVICES LTD             Mr. R.S. Pandey
IN200682                            Mr. Sandeep T. Madhavi
                                    Sr. Manager /Manager Dept - R & T
                                    Mennen Financial Services Ltd.
                                    307, 3rd Floor, Tirupati Udyog
Mennen Financial Services Ltd.      Same as above
(IN200682)



MENNEN FIN.SERVICES LTD             Mr. R.S. Pandey
IN200682                            Mr. Sandeep T. Madhavi
                                    Sr. Manager /Manager Dept - R & T
                                    Mennen Financial Services Ltd.
                                    307, 3rd Floor, Tirupati Udyog
Mennen Financial Services Ltd.      Same as above
(IN200682)



TSR DARASHAW LIMITED                Ms. S. R. Bilimoria
IN200125                            Senior Manager
                                    6-10
                                    HAJI MOOSA PATRAWA INDUSTRIAL
                                    ESTATE
TSR DARASHAW LIMITED                Ms. S. R. Bilimoria
IN200125                            Senior Manager
                                    TSR DARASHAW LIMITED
                                    6-10
                                    HAJI MOOSA PATRAWA INDUSTRIAL
TSR DARASHAW LIMITED                MS. NANDINI NAIR
IN200125                            CHIEF MANAGER
                                    TSR DARASHAW LIMITED
                                    6-10
                                    HAJI MOOSA PATRAWALA INDL ESTATE
TSR DARASHAW LIMITED                MS. NANDINI NAIR
IN200125                            CHIEF MANAGER
                                    TSR DARASHAW LIMITED
                                    6-10
                                    HAJI MOOSA PATRAWALA INDL ESTATE
Sharepro Services (India)Pvt.Ltd.   MR. S. H. RAJADHYAKSHA
IN200043                            HEAD - LEGAL & COMPLIANCE AND
                                    COMPANY SECRETARY
                                    ONE FORBES
                                    A WING, 2ND FLOOR
Sharepro Services (India)Pvt.Ltd.   MR. S. H. RAJADHYAKSHA
IN200043                            HEAD - LEGAL & COMPLIANCE AND
                                    COMPANY SECRETARY
                                    ONE FORBES
                                    A WING, 2ND FLOOR
Sharepro Services (India)Pvt.Ltd.   MR. S. H. RAJADHYAKSHA
IN200043                            HEAD - LEGAL & COMPLIANCE AND
                                    COMPANY SECRETARY
                                    TATA CAPITAL LIMITED
                                    ONE FORBES
Sharepro Services (India)Pvt.Ltd.   MR. S. H. RAJADHYAKSHA
IN200043                            HEAD - LEGAL & COMPLIANCE AND
                                    COMPANY SECRETARY
                                    ONE FORBES
                                    A WING, 2ND FLOOR
Sharepro Services (India)Pvt.Ltd.   MR. S. H. RAJADHYAKSHA
IN200043                            HEAD - LEGAL & COMPLIANCE AND
                                    COMPANY SECRETARY
                                    ONE FORBES
                                    A WING, 2ND FLOOR
Sharepro Services (India)Pvt.Ltd.   MR. S. H. RAJADHYAKSHA
IN200043                            HEAD - LEGAL & COMPLIANCE   AND
                                    COMPANY SECRETARY
                                    TATA CAPITAL LIMITED
                                    ONE FORBES
Sharepro Services (India)Pvt.Ltd.   MR. S. H. RAJADHYAKSHA
IN200043                            HEAD - LEGAL & COMPLIANCE   AND
                                    COMPANY SECRETARY
                                    TATA CAPITAL LIMITED
                                    ONE FORBES
Sharepro Services (India)Pvt.Ltd.   MR. S. H. RAJADHYAKSHA
IN200043                            HEAD - LEGAL & COMPLIANCE   AND
                                    COMPANY SECRETARY
                                    TATA CAPITAL LIMITED
                                    ONE FORBES
Sharepro Services (India)Pvt.Ltd.   MR. S. H. RAJADHYAKSHA
IN200043                            HEAD - LEGAL & COMPLIANCE   AND
                                    COMPANY SECRETARY
                                    TATA CAPITAL LIMITED
                                    ONE FORBES
Sharepro Services (India)Pvt.Ltd.   MR. S. H. RAJADHYAKSHA
IN200043                            HEAD - LEGAL & COMPLIANCE   AND
                                    COMPANY SECRETARY
                                    ONE FORBES
                                    A WING, 2ND FLOOR
Sharepro Services (India)Pvt.Ltd.
IN200043



Sharepro Services (India)Pvt.Ltd.   MR. S. H. RAJADHYAKSHA
IN200043                            HEAD - LEGAL & COMPLIANCE   AND
                                    COMPANY SECRETARY
                                    ONE FORBES
                                    A WING, 2ND FLOOR
Sharepro Services (India)Pvt.Ltd.   MR. S. H. RAJADHYAKSHA
IN200043                            HEAD - LEGAL & COMPLIANCE   AND
                                    COMPANY SECRETARY
                                    TATA CAPITAL LIMITED
                                    ONE FORBES
Sharepro Services (India)Pvt.Ltd.   MR. S. H. RAJADHYAKSHA
IN200043                            HEAD - LEGAL & COMPLIANCE   AND
                                    COMPANY SECRETARY
                                    TATA CAPITAL LIMITED
                                    ONE FORBES
Sharepro Services (India)Pvt.Ltd.   MR. S. H. RAJADHYAKSHA
IN200043                            HEAD - LEGAL & COMPLIANCE   AND
                                    COMPANY SECRETARY
                                    ONE FORBES
                                    A WING, 2ND FLOOR
Sharepro Services (India)Pvt.Ltd.   MR. S. H. RAJADHYAKSHA
IN200043                            HEAD - LEGAL & COMPLIANCE   AND
                                    COMPANY SECRETARY
                                    TATA CAPITAL LIMITED
                                    ONE FORBES
Sharepro Services (India)Pvt.Ltd.   MR. S. H. RAJADHYAKSHA
IN200043                            HEAD - LEGAL & COMPLIANCE   AND
                                    COMPANY SECRETARY
                                    TATA CAPITAL LIMITED
                                    ONE FORBES
Sharepro Services (India)Pvt.Ltd.   MR. S. H. RAJADHYAKSHA
IN200043                            HEAD - LEGAL & COMPLIANCE   AND
                                    COMPANY SECRETARY
                                    TATA CAPITAL LIMITED
                                    ONE FORBES
Sharepro Services (India)Pvt.Ltd.   MR. S. H. RAJADHYAKSHA
IN200043                            HEAD - LEGAL & COMPLIANCE   AND
                                    COMPANY SECRETARY
                                    TATA CAPITAL LIMITED
                                    ONE FORBES
Sharepro Services (India)Pvt.Ltd.   MR. S. H. RAJADHYAKSHA
IN200043                            HEAD - LEGAL & COMPLIANCE   AND
                                    COMPANY SECRETARY
                                    ONE FORBES
                                    A WING, 2ND FLOOR
Sharepro Services (India)Pvt.Ltd.   MR. S. H. RAJADHYAKSHA
IN200043                            HEAD - LEGAL & COMPLIANCE   AND
                                    COMPANY SECRETARY
                                    TATA CAPITAL LIMITED
                                    ONE FORBES
Sharepro Services (India)Pvt.Ltd.   MR. S. H. RAJADHYAKSHA
IN200043                            HEAD - LEGAL & COMPLIANCE   AND
                                    COMPANY SECRETARY
                                    ONE FORBES
                                    A WING, 2ND FLOOR
Sharepro Services (India)Pvt.Ltd.   MR. S. H. RAJADHYAKSHA
IN200043                            HEAD - LEGAL & COMPLIANCE   AND
                                    COMPANY SECRETARY
                                    TATA CAPITAL LIMITED
                                    ONE FORBES
Sharepro Services (India)Pvt.Ltd.   MR. S. H. RAJADHYAKSHA
IN200043                            HEAD - LEGAL & COMPLIANCE   AND
                                    COMPANY SECRETARY
                                    TATA CAPITAL LIMITED
                                    ONE FORBES
Sharepro Services (India)Pvt.Ltd.   MR. S. H. RAJADHYAKSHA
IN200043                            HEAD - LEGAL & COMPLIANCE   AND
                                    COMPANY SECRETARY
                                    ONE FORBES
                                    A WING, 2ND FLOOR
Sharepro Services (India)Pvt.Ltd.   MR. S. H. RAJADHYAKSHA
IN200043                            HEAD - LEGAL & COMPLIANCE   AND
                                    COMPANY SECRETARY
                                    ONE FORBES
                                    A WING, 2ND FLOOR
Sharepro Services (India)Pvt.Ltd.   MR. S. H. RAJADHYAKSHA
IN200043                            HEAD - LEGAL & COMPLIANCE   AND
                                    COMPANY SECRETARY
                                    ONE FORBES
                                    A WING, 2ND FLOOR
Sharepro Services (India)Pvt.Ltd.   MR. S. H. RAJADHYAKSHA
IN200043                            HEAD - LEGAL & COMPLIANCE   AND
                                    COMPANY SECRETARY
                                    TATA CAPITAL LIMITED
                                    ONE FORBES
Sharepro Services (India)Pvt.Ltd.   MR. S. H. RAJADHYAKSHA
IN200043                            HEAD - LEGAL & COMPLIANCE   AND
                                    COMPANY SECRETARY
                                    TATA CAPITAL LIMITED
                                    ONE FORBES
Sharepro Services (India)Pvt.Ltd.   MR. S. H. RAJADHYAKSHA
IN200043                            HEAD - LEGAL & COMPLIANCE   AND
                                    COMPANY SECRETARY
                                    TATA CAPITAL LIMITED
                                    ONE FORBES
Sharepro Services (India)Pvt.Ltd.   MR. S. H. RAJADHYAKSHA
IN200043                            HEAD - LEGAL & COMPLIANCE   AND
                                    COMPANY SECRETARY
                                    TATA CAPITAL LIMITED
                                    ONE FORBES
Sharepro Services (India)Pvt.Ltd.   MR. S. H. RAJADHYAKSHA
IN200043                            HEAD - LEGAL & COMPLIANCE   AND
                                    COMPANY SECRETARY
                                    TATA CAPITAL LIMITED
                                    ONE FORBES
Sharepro Services (India)Pvt.Ltd.   MR. S. H. RAJADHYAKSHA
IN200043                            HEAD - LEGAL & COMPLIANCE   AND
                                    COMPANY SECRETARY
                                    TATA CAPITAL LIMITED
                                    ONE FORBES
Sharepro Services (India)Pvt.Ltd.   MR. S. H. RAJADHYAKSHA
IN200043                            HEAD - LEGAL & COMPLIANCE AND
                                    COMPANY SECRETARY
                                    TATA CAPITAL LIMITED
                                    ONE FORBES
Sharepro Services (India)Pvt.Ltd.   MR. S. H. RAJADHYAKSHA
IN200043                            HEAD - LEGAL & COMPLIANCE AND
                                    COMPANY SECRETARY
                                    TATA CAPITAL LIMITED
                                    ONE FORBES
IN200043                            MR. S. H. RAJADHYAKSHA          AA+,CARE,DT-25-10-2010
SHAREPRO SERVICES (INDIA) PVT.LTD   HEAD- LEGAL & COMPLIANCE &
                                    COMPANY SECRETARY
                                    TATA CAPITAL LIMITED
                                    One Forbes
IN200043                            MR. S. H. RAJADHYAKSHA          AA+,CARE,DT-11-04-2011
SHAREPRO SERVICES (INDIA) PVT.LTD   HEAD- LEGAL & COMPLIANCE &
                                    COMPANY SECRETARY
                                    TATA CAPITAL LIMITED
                                    One Forbes
IN200043                            MR. S. H. RAJADHYAKSHA          AA+,CARE,DT-25-10-2010
SHAREPRO SERVICES (INDIA) PVT.LTD   HEAD- LEGAL & COMPLIANCE &
                                    COMPANY SECRETARY
                                    TATA CAPITAL LIMITED
                                    One Forbes
Sharepro Services (India)Pvt.Ltd.   MR. S. H. RAJADHYAKSHA
IN200043                            HEAD - LEGAL & COMPLIANCE AND
                                    COMPANY SECRETARY
                                    TATA CAPITAL LIMITED
                                    ONE FORBES
Sharepro Services (India)Pvt.Ltd.   MR. S. H. RAJADHYAKSHA
IN200043                            HEAD - LEGAL & COMPLIANCE AND
                                    COMPANY SECRETARY
                                    TATA CAPITAL LIMITED
                                    ONE FORBES
Sharepro Services (India)Pvt.Ltd.   MR. S. H. RAJADHYAKSHA
IN200043                            HEAD - LEGAL & COMPLIANCE AND
                                    COMPANY SECRETARY
                                    TATA CAPITAL LIMITED
                                    ONE FORBES
Sharepro Services (India)Pvt.Ltd.   MR. S. H. RAJADHYAKSHA
IN200043                            HEAD - LEGAL & COMPLIANCE AND
                                    COMPANY SECRETARY
                                    TATA CAPITAL LIMITED
                                    ONE FORBES
Sharepro Services (India)Pvt.Ltd.   MR. S. H. RAJADHYAKSHA
IN200043                            HEAD - LEGAL & COMPLIANCE AND
                                    COMPANY SECRETARY
                                    TATA CAPITAL LIMITED
                                    ONE FORBES
KARVY COMPUTERSHARE PVT LTD.-4      MR. S. H. RAJADHYAKSHA
IN200800                            HEAD - LEGAL & COMPLIANCE AND
                                    COMPANY SECRETARY
                                    ONE FORBES
                                    A WING, 2ND FLOOR
KARVY COMPUTERSHARE PVT LTD.-4      MR. S. H. RAJADHYAKSHA
IN200800                            HEAD - LEGAL & COMPLIANCE AND
                                    COMPANY SECRETARY
                                    ONE FORBES
                                    A WING, 2ND FLOOR
KARVY COMPUTERSHARE PVT LTD.-4      MR. S. H. RAJADHYAKSHA
IN200800                            HEAD - LEGAL & COMPLIANCE AND
                                    COMPANY SECRETARY
                                    ONE FORBES
                                    A WING, 2ND FLOOR
KARVY COMPUTERSHARE PVT LTD.-4      MR. S. H. RAJADHYAKSHA
IN200800                            HEAD - LEGAL & COMPLIANCE AND
                                    COMPANY SECRETARY
                                    ONE FORBES
                                    A WING, 2ND FLOOR
Sharepro Services (India)Pvt.Ltd.   MR. S. H. RAJADHYAKSHA
IN200043                            HEAD - LEGAL & COMPLIANCE AND
                                    COMPANY SECRETARY
                                    ONE FORBES
                                    A WING, 2ND FLOOR
Sharepro Services (India)Pvt.Ltd.   MR. S. H. RAJADHYAKSHA
IN200043                            HEAD - LEGAL & COMPLIANCE AND
                                    COMPANY SECRETARY
                                    TATA CAPITAL LIMITED
                                    ONE FORBES
Sharepro Services (India)Pvt.Ltd.   MR. S. H. RAJADHYAKSHA
IN200043                            HEAD - LEGAL & COMPLIANCE AND
                                    COMPANY SECRETARY
                                    TATA CAPITAL LIMITED
                                    ONE FORBES
IN200043                            MR. S. H. RAJADHYAKSHA          AA+,CARE,DT-25-10-2010
SHAREPRO SERVICES (INDIA) PVT.LTD   HEAD- LEGAL & COMPLIANCE &
                                    COMPANY SECRETARY
                                    TATA CAPITAL LIMITED
                                    One Forbes
Sharepro Services (India)Pvt.Ltd.   MR. S. H. RAJADHYAKSHA
IN200043                            HEAD - LEGAL & COMPLIANCE AND
                                    COMPANY SECRETARY
                                    ONE FORBES
                                    A WING, 2ND FLOOR
Sharepro Services (India)Pvt.Ltd.   MR. S. H. RAJADHYAKSHA
IN200043                            HEAD - LEGAL & COMPLIANCE AND
                                    COMPANY SECRETARY
                                    ONE FORBES
                                    A WING, 2ND FLOOR
Sharepro Services (India)Pvt.Ltd.   MR. S. H. RAJADHYAKSHA
IN200043                            HEAD - LEGAL & COMPLIANCE AND
                                    COMPANY SECRETARY
                                    ONE FORBES
                                    A WING, 2ND FLOOR
Sharepro Services (India)Pvt.Ltd.   MR. S. H. RAJADHYAKSHA
IN200043                            HEAD - LEGAL & COMPLIANCE AND
                                    COMPANY SECRETARY
                                    ONE FORBES
                                    A WING, 2ND FLOOR
Sharepro Services (India)Pvt.Ltd.
IN200043



Sharepro Services (India)Pvt.Ltd.   MR. S. H. RAJADHYAKSHA
IN200043                            HEAD - LEGAL & COMPLIANCE AND
                                    COMPANY SECRETARY
                                    TATA CAPITAL LIMITED
                                    ONE FORBES
Sharepro Services (India)Pvt.Ltd.   MR. S. H. RAJADHYAKSHA
IN200043                            HEAD - LEGAL & COMPLIANCE AND
                                    COMPANY SECRETARY
                                    TATA CAPITAL LIMITED
                                    ONE FORBES
Sharepro Services (India)Pvt.Ltd.   MR. S. H. RAJADHYAKSHA
IN200043                            HEAD - LEGAL & COMPLIANCE AND
                                    COMPANY SECRETARY
                                    TATA CAPITAL LIMITED
                                    ONE FORBES
IN200043                            MR. S. H. RAJADHYAKSHA          AA,CARE,DT-15-04-2011
SHAREPRO SERVICES (INDIA) PVT.LTD   HEAD- LEGAL & COMPLIANCE &
                                    COMPANY SECRETARY
                                    TATA CAPITAL LIMITED
                                    One Forbes
Sharepro Services (India)Pvt.Ltd.   MR. S. H. RAJADHYAKSHA
IN200043                            HEAD - LEGAL & COMPLIANCE AND
                                    COMPANY SECRETARY
                                    TATA CAPITAL LIMITED
                                    ONE FORBES
Sharepro Services (India)Pvt.Ltd.   MR. S. H. RAJADHYAKSHA
IN200043                            HEAD - LEGAL & COMPLIANCE AND
                                    COMPANY SECRETARY
                                    TATA CAPITAL LIMITED
                                    ONE FORBES
IN200043                            MR. S. H. RAJADHYAKSHA             AA+, CARE, DT-25/10/2010
SHAREPRO SERVICES (INDIA) PVT.LTD   HEAD- LEGAL & COMPLIANCE &
                                    COMPANY SECRETARY
                                    TATA CAPITAL LIMITED
                                    One Forbes
Sharepro Services (India)Pvt.Ltd.   MR. S. H. RAJADHYAKSHA
IN200043                            HEAD - LEGAL & COMPLIANCE AND
                                    COMPANY SECRETARY
                                    TATA CAPITAL LIMITED
                                    ONE FORBES
Sharepro Services (India)Pvt.Ltd.   MR. S. H. RAJADHYAKSHA
IN200043                            HEAD - LEGAL & COMPLIANCE AND
                                    COMPANY SECRETARY
                                    TATA CAPITAL LIMITED
                                    ONE FORBES
Sharepro Services (India)Pvt.Ltd.   MR. S. H. RAJADHYAKSHA
IN200043                            HEAD - LEGAL & COMPLIANCE AND
                                    COMPANY SECRETARY
                                    TATA CAPITAL LIMITED
                                    ONE FORBES
Sharepro Services (India)Pvt.Ltd.   MR. S. H. RAJADHYAKSHA
IN200043                            HEAD - LEGAL & COMPLIANCE AND
                                    COMPANY SECRETARY
                                    TATA CAPITAL LIMITED
                                    ONE FORBES
IN200043                            MR. S. H. RAJADHYAKSHA
SHAREPRO SERVICES (INDIA) PVT.LTD   HEAD - LEGAL & COMPLIANCE AND
                                    COMPANY SECRETARY
                                    TATA CAPITAL LIMITED
                                    ONE FORBES
TSR DARASHAW LIMITED                Mr Rajiv Chandan
IN200125                            Company Secretary
                                    Bombay House
                                    24, Homi Mody Street
                                    Mumbai 400 001
TSR DARASHAW LIMITED                Mr Rajiv Chandan
IN200125                            Company Secretary
                                    Bombay House
                                    24, Homi Mody Street
                                    Mumbai 400 001
TSR DARASHAW LIMITED                Mr Rajiv Chandan
IN200125                            Company Secretary
                                    Bombay House
                                    24, Homi Mody Street
                                    Mumbai 400 001
TSR DARASHAW LIMITED                MS NANDINI NAIR
IN200125                            MANAGER - OPERATIONS
                                    TSR DARASHAW LIMITED
                                    6-10 HAJI MOOSA PATRAWALA IND.
                                    EST.
Sharepro Services (India)Pvt.Ltd.   Mr. Dilip Sawant
IN200043                            Sr. Manager
                                    Sharepro Services (I) Pvt Ltd
                                    Satam Estate, 3rd Floor
                                    Cardinal Gracious Road
Sharepro Services (India)Pvt.Ltd.   Mr Satish Ranade
IN200043                            Company Secretary
                                    VSB, Fort ,
                                    M G Road
                                    Mumbai - 400 001
Sharepro Services (India)Pvt.Ltd.   Ms Indira Karkare
IN200043                            Senior Manager
                                    13 AB Samhita Warehousing Complex,
                                    2nd Floor,Andheri Kurla Road,
                                    Andheri,
Sharepro Services (India)Pvt.Ltd.   Ms. Indira Karkera
IN200043                            Senior Manager
                                    Satam Estate,3rd Floor
                                    Cardinal Gracious Road
                                    Chakala,Andheri (East)
Sharepro Services (India)Pvt.Ltd.   Ms. Indira Karkera
IN200043                            Senior Manager
                                    Satam Estate,3rd Floor
                                    Cardinal Gracious Road
                                    Chakala,Andheri (East)
Sharepro Services (India)Pvt.Ltd.   Ms. Indira Karkera
IN200043                            Senior Manager
                                    Satam Estate,3rd Floor
                                    Cardinal Gracious Road
                                    Chakala,Andheri (East)
Sharepro Services (India)Pvt.Ltd.   Mr. Dilip Sawant
IN200043                            General Manager
                                    13AB, Samhita Warehousing Complex,
                                    2
                                    Sakinaka Telephone Exchange Lane
TSR DARASHAW LIMITED                MS NANDINI NAIR
IN200125                            CHIEF MANAGER - OPERATIONS
                                    TSR DARASHAW LIMITED
                                    6-10 HAJI MOOSA PATRAWALA IND.
                                    EST.
LINK INTIME INDIA PRIVATE LIMITED   MR. AMIT SHAH
IN200094                            COMPANY SECRETARY
                                    TATA HOUSING DEVELOPMENT
                                    COMPANY LIMITED
                                    TIMES TOWER, 12TH FLOOR,
LINK INTIME INDIA PRIVATE LIMITED   MR. AMIT SHAH
IN200094                            COMPANY SECRETARY
                                    TATA HOUSING DEVELOPMENT
                                    COMPANY LIMITED
                                    TIMES TOWER, 12TH FLOOR,
IN200125                            MR. MANOJ DESHMUKH
TSR DARASHAW LIMITED                HEAD- LEGAL
                                    TATA INTERNATIONAL LIMITED
                                    3rd ,FLOOR,STERLING CENTRE
                                    DR. ANNIE BESANT ROAD
TSR DARASHAW LIMITED                MR. MANOJ DESHMUKH
IN200125                            HEAD- LEGAL
                                    TATA INTERNATIONAL LIMITED
                                    3rd ,FLOOR,STERLING CENTRE
                                    DR. ANNIE BESANT ROAD
R&D INFOTECH LIMITED                MR. SHANKAR PAL
IN200826                            MANAGER
                                    22/4, NAKULESHWAR BATTACHARJEE
                                    LANE
                                    GROUND FLOOR, BHAWANIPORE
Sharepro Services (India)Pvt.Ltd.   Mr. Vinay Lavannis
IN200043                            Dy Company Secrectary
                                    TATA MOTORS FINANCE LIMITED
                                    (FORMERLY TML FINANCIAL SERVICES
                                    LTD.)
Sharepro Services (India)Pvt.Ltd.   Mr. Vinay Lavannis
IN200043                            Dy Company Secrectary
                                    Cyber Tech House,
                                    1st Floor, Plot No.B-63:65,
                                    J.B.Sawant Marg,Wagle Estate,
Sharepro Services (India)Pvt.Ltd.   Mr. Vinay Lavannis
IN200043                            Dy Company Secrectary
                                    TATA MOTORS FINANCE LIMITED
                                    (FORMERLY TML FINANCIAL SERVICES
                                    LTD.)
Sharepro Services (India)Pvt.Ltd.   Mr. Vinay Lavannis
IN200043                            Dy Company Secrectary
                                    TATA MOTORS FINANCE LIMITED
                                    (FORMERLY TML FINANCIAL SERVICES
                                    LTD.)
Sharepro Services (India)Pvt.Ltd.   Mr. Vinay Lavannis
IN200043                            Dy Company Secrectary
                                    TATA MOTORS FINANCE LIMITED
                                    (FORMERLY TML FINANCIAL SERVICES
                                    LTD.)
Sharepro Services (India)Pvt.Ltd.   Mr. Vinay Lavannis
IN200043                            Dy Company Secrectary
                                    TATA MOTORS FINANCE LIMITED
                                    (FORMERLY TML FINANCIAL SERVICES
                                    LTD.)
Sharepro Services (India)Pvt.Ltd.   Mr. Vinay Lavannis
IN200043                            Dy Company Secrectary
                                    TATA MOTORS FINANCE LIMITED
                                    (FORMERLY TML FINANCIAL SERVICES
                                    LTD.)
Sharepro Services (India)Pvt.Ltd.   Mr. Vinay Lavannis
IN200043                            Dy Company Secrectary
                                    TATA MOTORS FINANCE LIMITED
                                    (FORMERLY TML FINANCIAL SERVICES
                                    LTD.)
Sharepro Services (India)Pvt.Ltd.   Mr. Vinay Lavannis
IN200043                            Dy Company Secrectary
                                    TATA MOTORS FINANCE LIMITED
                                    (FORMERLY TML FINANCIAL SERVICES
                                    LTD.)
Sharepro Services (India)Pvt.Ltd.   Mr. Vinay Lavannis
IN200043                            Dy Company Secrectary
                                    TATA MOTORS FINANCE LIMITED
                                    (FORMERLY TML FINANCIAL SERVICES
                                    LTD.)
Sharepro Services (India)Pvt.Ltd.
IN200043



Sharepro Services (India)Pvt.Ltd.   Mr. Vinay Lavannis
IN200043                            Dy Company Secrectary
                                    TATA MOTORS FINANCE LIMITED
                                    (FORMERLY TML FINANCIAL SERVICES
                                    LTD.)
Sharepro Services (India)Pvt.Ltd.   Mr. Vinay Lavannis
IN200043                            Dy Company Secrectary
                                    TATA MOTORS FINANCE LIMITED
                                    (FORMERLY TML FINANCIAL SERVICES
                                    LTD.)
Sharepro Services (India)Pvt.Ltd.   Mr. Vinay Lavannis
IN200043                            Dy Company Secrectary
                                    TATA MOTORS FINANCE LIMITED
                                    (FORMERLY TML FINANCIAL SERVICES
                                    LTD.)
TSR DARASHAW LIMITED                Mr. Hoshang Sethna
IN200125                            Company Secretary
                                    Bombay House
                                    First Floor, 24 Homi Modi Street
                                    Mumbai 400 001
TSR DARASHAW LIMITED                Mr. Hoshang Sethna
IN200125                            Company Secretary
                                    Bombay House
                                    First Floor, 24 Homi Modi Street
                                    Mumbai 400 001
TSR DARASHAW LIMITED                Mr. Hoshang Sethna
IN200125                            Company Secretary
                                    Bombay House
                                    First Floor, 24 Homi Modi Street
                                    Mumbai 400 001
TSR DARASHAW LIMITED                Mr. Hoshang Sethna
IN200125                            Company Secretary
                                    TATA MOTORS LIMITED (EARLIER
                                    TATA ENGINEERING AND LOCOMOTIVE
                                    CO. LTD)
TSR DARASHAW LIMITED   Mr. Hoshang Sethna
IN200125               Company Secretary
                       TATA MOTORS LIMITED (EARLIER
                       TATA ENGINEERING AND LOCOMOTIVE
                       CO. LTD)
TSR DARASHAW LIMITED   Mr. Hoshang Sethna
IN200125               Company Secretary
                       TATA MOTORS LIMITED (EARLIER
                       TATA ENGINEERING AND LOCOMOTIVE
                       CO. LTD)
TSR DARASHAW LIMITED   Mr. Hoshang Sethna
IN200125               Company Secretary
                       TATA MOTORS LIMITED (EARLIER
                       TATA ENGINEERING AND LOCOMOTIVE
                       CO. LTD)
TSR DARASHAW LIMITED   Mr. Hoshang Sethna
IN200125               Company Secretary
                       TATA MOTORS LIMITED (EARLIER
                       TATA ENGINEERING AND LOCOMOTIVE
                       CO. LTD)
TSR DARASHAW LIMITED   Mr Kaushik Majumder
IN200125               Company Secretary & Head - Legal
                       SURYODAYA
                       1 - 10 - 603, SURYODAYA
                       BEGUMPET
TSR DARASHAW LIMITED   Mr. K. V. Manoj
IN200125               Senior Manager
                       Bombay House
                       24, Homi Mody Street
                       Mumbai 400 001
TSR DARASHAW LIMITED   Mr. Manoj Kumar C.V.
IN200125               Senior Manager
                       TATA SONS LIMITED
                       Bombay House,
                       24, Homi Mody Street,
TSR DARASHAW LIMITED   Mr. Manoj Kumar C.V.
IN200125               Senior Manager
                       Bombay House,
                       24, Homi Mody Street,
                       Mumbai 400 001
TSR DARASHAW LIMITED   Mr. K. V. Manoj
IN200125               Senior Manager
                       Bombay House
                       24, Homi Mody Street
                       Mumbai 400 001
TSR DARASHAW LIMITED   Mr. K. V. Manoj
IN200125               Senior Manager
                       Bombay House
                       24, Homi Mody Street
                       Mumbai 400 001
TSR DARASHAW LIMITED   Mr. Manoj Kumar C.V.
IN200125               Senior Manager
                       TATA SONS LIMITED
                       Bombay House,
                       24, Homi Mody Street,
TSR DARASHAW LIMITED   Mr. K. V. Manoj
IN200125               Senior Manager
                       Bombay House
                       24, Homi Mody Street
                       Mumbai 400 001
TSR DARASHAW LIMITED   Mr. K. V. Manoj
IN200125               Senior Manager
                       Bombay House
                       24, Homi Mody Street
                       Mumbai 400 001
TSR DARASHAW LIMITED   Mr. K. V. Manoj
IN200125               Senior Manager
                       Bombay House
                       24, Homi Mody Street
                       Mumbai 400 001
TSR DARASHAW LIMITED   Mr. Manoj Kumar C.V.
IN200125               Senior Manager
                       Bombay House,
                       24, Homi Mody Street,
                       Mumbai 400 001
TSR DARASHAW LIMITED   Mr. Manoj Kumar C.V.
IN200125               Senior Manager
                       TATA SONS LIMITED
                       Bombay House,
                       24, Homi Mody Street,
TSR DARASHAW LIMITED   Mr. Manoj Kumar C.V.
IN200125               Senior Manager
                       Bombay House,
                       24, Homi Mody Street,
                       Mumbai 400 001
IN200125               Mr. Manoj Kumar C.V.    AAA-CRISIL,LAAA-ICRA
TSR DARASHAW LIMITED   Senior Manager
                       TATA SONS LIMITED
                       Bombay House,
                       24, Homi Mody Street
IN200125               Mr. Manoj Kumar C.V.    AAA,CRISIL,DT-27-05-2011
TSR DARASHAW LIMITED   Senior Manager
                       TATA SONS LIMITED
                       Bombay House,
                       24, Homi Mody Street
IN200125               Mr. Manoj Kumar C.V.    AAA,CRISIL,DT-16-06-2011
TSR DARASHAW LIMITED   Senior Manager
                       TATA SONS LIMITED
                       Bombay House,
                       24, Homi Mody Street
TSR DARASHAW LIMITED   Mr. R.R. Shastri
IN200125               Dy. Company Secretary
                       TATA SONS LIMITED
                       Bombay House
                       24, Homi Mody Street
TSR DARASHAW LIMITED   Mr. Manoj Kumar C.V.
IN200125               Senior Manager
                       TATA SONS LIMITED
                       Bombay House,
                       24, Homi Mody Street,
IN200125               Mr. Manoj Kumar C.V.
TSR DARASHAW LIMITED   Senior Manager
                       TATA SONS LIMITED
                       Bombay House,
                       24, Homi Mody Street,
IN200125               Mr. Manoj Kumar C.V.
TSR DARASHAW LIMITED   Senior Manager
                       TATA SONS LIMITED
                       Bombay House,
                       24, Homi Mody Street
IN200125               Mr. Manoj Kumar C.V.    AAA,CRISIL,DT-20-04-2011
TSR DARASHAW LIMITED   Senior Manager
                       TATA SONS LIMITED
                       Bombay House,
                       24, Homi Mody Street
IN200125               Mr. Manoj Kumar C.V.    AAA,CRISIL,DT-28/04/2011
TSR DARASHAW LIMITED   Senior Manager
                       TATA SONS LIMITED
                       Bombay House,
                       24, Homi Mody Street
IN200125               Mr. Manoj Kumar C.V.    AAA,CRISIL,DT-08-03-2011
TSR DARASHAW LIMITED   Senior Manager
                       TATA SONS LIMITED
                       Bombay House,
                       24, Homi Mody Street
TSR DARASHAW LIMITED   Mr. R.R. Shastri
IN200125               Dy. Company Secretary
                       TATA SONS LIMITED
                       Bombay House
                       24, Homi Mody Street
TSR DARASHAW LIMITED   Mr. R.R. Shastri
IN200125               Dy. Company Secretary
                       TATA SONS LIMITED
                       Bombay House
                       24, Homi Mody Street
TSR DARASHAW LIMITED   Mr. Manoj Kumar C.V.
IN200125               Senior Manager
                       TATA SONS LIMITED
                       Bombay House,
                       24, Homi Mody Street,
TSR DARASHAW LIMITED   Mr. Manoj Kumar C.V.
IN200125               Senior Manager
                       TATA SONS LIMITED
                       Bombay House,
                       24, Homi Mody Street,
TSR DARASHAW LIMITED   Mr. Manoj Kumar C.V.
IN200125               Senior Manager
                       TATA SONS LIMITED
                       Bombay House,
                       24, Homi Mody Street,
TSR DARASHAW LIMITED   Mr. Manoj Kumar C.V.
IN200125               Senior Manager
                       TATA SONS LIMITED
                       Bombay House,
                       24, Homi Mody Street,
IN200125               Mr. Manoj Kumar C.V.
TSR DARASHAW LIMITED   Senior Manager
                       TATA SONS LIMITED
                       Bombay House,
                       24, Homi Mody Street
IN200125               Mr. A.Anijeneyam
TSR DARASHAW LIMITED   Company Secretary
                       TATA STEEL LIMITED
                       Bombay House
                       24, Homi Mody Street
IN200125               Mr. A. Anjeneyam
TSR DARASHAW LIMITED   Company Secretary
                       Tata Steel Limited
                       Bombay House 24,
                       Homi Mody Street,
IN200125               MR. A. ANJENEYAN        AA,CARE,DT-16-03-2011
TSR DARASHAW LIMITED   COMPANY SECRTETARY
                       TATA STEEL LTD
                       BOMBAY HOUSE,
                       24, HOMI MODY STREET
IN200125               MR. A. ANJENEYAN        AA,CARE,DT-09-05-2011
TSR DARASHAW LIMITED   COMPANY SECRTETARY
                       TATA STEEL LTD
                       BOMBAY HOUSE,
                       24, HOMI MODY STREET
TSR DARASHAW LIMITED   Mr. J.C. Bham
IN200125               Company Secretary
                       Bombay House
                       24, Homi Mody Street
                       Fort
TSR DARASHAW LIMITED   Mr. J.C. Bham
IN200125               Company Secretary
                       Bombay House
                       24, Homi Mody Street
                       Fort
TSR DARASHAW LIMITED   Mr. J.C. Bham
IN200125               Company Secretary
                       Bombay House
                       24, Homi Mody Street
                       Fort
TSR DARASHAW LIMITED   Mr. J.C. Bham
IN200125               Company Secretary
                       Bombay House
                       24, Homi Mody Street
                       Fort
KARVY                              Mr. V. Mahesh
IN200035                           Vice President Karvy Consultants Ltd.
                                   'Karvy House', 46, Avenue 4, Street
                                   No. 1, Banjara Hills, Hyderabad 500
                                   034
KARVY                              Mr. V. Mahesh
IN200035                           Vice President Karvy Consultants Ltd.
                                   'Karvy House', 46, Avenue 4, Street
                                   No. 1, Banjara Hills, Hyderabad 500
                                   034
KARVY COMPUTERSHARE PVT. LTD.
IN200035



KARVY COMPUTERSHARE PVT. LTD.    Mr. Kiran Thacker
IN200035                         G.M. - Company Secretary
                                 TATA TELESERVICES LIMITED
                                 A,E & F blocks,Voltas Premises,
                                 T.B.Kadam Marg,
IN200035                         MS.VIBHA SHINDE
KARVY COMPUTERSHARE              COMPANY SECRETARY
                                 TCI FINANCE LIMITED
                                 1-7-293, M G ROAD
                                 SECUNDERABAD
INTIME SPECTRUM REGISTRY, MUMBAI Mr. Vikrant Gandhe
IN200094                         Asst. Company Secretary
                                 Sharda Centre, Off Karve Road
                                 Erandwane
                                 Pune - 411 004
INTIME SPECTRUM REGISTRY, MUMBAI Mr. Vikrant Gandhe
IN200094                         Asst. Company Secretary
                                 Sharda Centre, Off Karve Road
                                 Erandwane
                                 Pune - 411 004
NICHE TECHNOLOGIES               Mr. Shoab Abbas
IN200490                         Senior Manager Systems
                                 Niche Technologies Pvt. Ltd.
                                 D 511, Bagree Market
                                 5th Floor
KARVY COMPUTERSHARE PVT LTD.-4
IN200800



THE BANK OF RAJASTHAN LIMITED      Mr. S.C. Arora
IN100212                           Company Secretary
                                   THE BANK OF RAJASTHAN LIMITED
                                   11/12 Raghuvanshi Mills
                                   Compound Senapati Bapat Marg
THE BANK OF RAJASTHAN LIMITED      Mr. S.C. Arora
IN100212                           Company Secretary
                                   THE BANK OF RAJASTHAN LIMITED
                                   11/12 Raghuvanshi Mills
                                   Compound Senapati Bapat Marg
THE BANK OF RAJASTHAN LIMITED      Mr. D.K. Jain
IN100212                           Company Secretary
                                   THE BANK OF RAJASTHAN LIMITED
                                   11/12 Raghuvanshi Mills Compound
                                   Senapati Bapat Marg
THE BANK OF RAJASTHAN LIMITED      Mr. P.K.Agarwal
IN100212                           Company Secretary
                                   11/12 Raghuvanshi Mills Compound
                                   Senapati Bapat Marg
                                   Lower Parel West
THE BANK OF RAJASTHAN LIMITED      Mr. P.K.Agarwal
IN100212                           Company Secretary
                                   11/12 Raghuvanshi Mills Compound
                                   Senapati Bapat Marg
                                   Lower Parel West
THE BANK OF RAJASTHAN LIMITED     Mr. P.K.Agarwal
IN100212                          Company Secretary
                                  11/12 Raghuvanshi Mills Compound
                                  Senapati Bapat Marg
                                  Lower Parel West
THE BANK OF RAJASTHAN LIMITED     Mr. P.K.Agarwal
IN100212                          Company Secretary
                                  11/12 Raghuvanshi Mills Compound
                                  Senapati Bapat Marg
                                  Lower Parel West
THE BANK OF RAJASTHAN LIMITED     Mr. D.K. Jain
IN100212                          Company Secretary
                                  THE BANK OF RAJASTHAN LIMITED
                                  11/12 Raghuvanshi Mills Compound
                                  Senapati Bapat Marg
SKDC CONSULTANTS LTD.             Mr. K.P. Mohanakumar
IN200465                          Company Secretary-Board & Shares
                                  Dept
                                  THE CATHOLIC SYRIAN BANK LIMITED
                                  College View
SKDC CONSULTANTS LTD.             Mr. K.P. Mohanakumar
IN200465                          Company Secretary-Board & Shares
                                  Dept.
                                  THE CATHOLIC SYRIAN BANK LTD
                                  College View, Post Box No.,
SKDC CONSULTANTS LTD.             Mr. K.P. Mohanakumar
IN200465                          Company Secretary-Board & Shares
                                  Dept
                                  THE CATHOLIC SYRIAN BANK LIMITED
                                  College View
SKDC CONSULTANTS LTD.             Mr. K.P. Mohanakumar
IN200465                          Company Secretary-Board & Shares
                                  Dept.
                                  THE CATHOLIC SYRIAN BANK LTD
                                  College View, Post Box No.,
SKDC CONSULTANTS LTD.             Mr. K.P. Mohanakumar
IN200465                          Company Secretary-Board & Shares
                                  Dept
                                  THE CATHOLIC SYRIAN BANK LIMITED
                                  College View
KARVY COMPUTERSHARE PVT. LTD.     Mr. V.K. Jayaraman
IN200035                          Asst. General Manger
                                  Karvy Computershare Pvt Ltd.
                                  Karvy House, 46
                                  Avenue-4, Street No. 1,Banjara Hills
UTI TECHNOLOGY SERVICES LIMITED   Mr. Ravindran K. Warrier
IN200631                          Company Secretary & Secretary to
                                  Board
                                  Dhanalakshmi Buildings
                                  Naickanal
UTI TECHNOLOGY SERVICES LIMITED   Mr.Sunil Bhoite
IN200631                          Asst.Vice President
                                  UTI TECHNOLOGY SERVICES LIMITED
                                  Plot No.3, Sector 11,
                                  CBD Belapur
KARVY COMPUTERSHARE PVT. LTD.     Mr. V. Mahesh
IN200035                          Vice President
                                  46, Avenue 4, Karvy House
                                  Street No-1
                                  Banjara Hills
INTEGRATED ENTP. (I) LTD          Mr. Suresh Babu
IN200264                          AGM
                                  Integrated Enterprises (India) Ltd.
                                  2nd Floor, Kences Towers,
                                  No. 1, Ramakrishna Street
INTEGRATED ENTP. (I) LTD          Mr. Suresh Babu
IN200264                          AGM
                                  Integrated Enterprises (India) Ltd.
                                  2nd Floor, Kences Towers,
                                  No. 1, Ramakrishna Street
INTEGRATED ENTP. (I) LTD            Mr. Girish Kumar Ganapathy
IN200264                            Company Secretary
                                    THE FEDERAL BANK LIMITED
                                    Corporate Office Post Bag No. 103
                                    Federal Towers
INTEGRATED ENTP. (I) LTD            Mr. Suresh Babu K
IN200264                            Manager – Shares
                                    Integrated Enterprises (India) Limited
                                    IInd Floor, Kences Towers, No. 1,
                                    Ramakrishana Street
Sharepro Services (India)Pvt.Ltd.   Mr. Dilip Sawant
IN200043                            General Manager
                                    Sharepro Services (India)Pvt.Ltd.
                                    13AB, Samhita Warehousing Complex,
                                    2
Sharepro Services (India)Pvt.Ltd.   Mr. Dilip Sawant
IN200043                            General Manager
                                    Sharepro Services (India)Pvt.Ltd.
                                    13AB, Samhita Warehousing Complex,
                                    2
Sharepro Services (India)Pvt.Ltd.   Mr. Dilip Sawant
IN200043                            General Manager
                                    Sharepro Services (India)Pvt.Ltd.
                                    13AB, Samhita Warehousing Complex,
                                    2
Sharepro Services (India)Pvt.Ltd.   Mr. Dilip Sawant
IN200043                            General Manager
                                    Sharepro Services (India)Pvt.Ltd.
                                    13AB, Samhita Warehousing Complex,
                                    2
Sharepro Services (India)Pvt.Ltd.   Mr. Dilip Sawant
IN200043                            General Manager
                                    13AB, Samhita Warehousing Complex,
                                    2
                                    Sakinaka Telephone Exchange Lane
Sharepro Services (India)Pvt.Ltd.   Mr. Dilip Sawant
IN200043                            General Manager
                                    13AB, Samhita Warehousing Complex,
                                    2
                                    Sakinaka Telephone Exchange Lane
Sharepro Services (India)Pvt.Ltd.   Mr. Dilip Sawant
IN200043                            General Manager
                                    13AB, Samhita Warehousing Complex,
                                    2
                                    Sakinaka Telephone Exchange Lane
IN200043                            MR. DILIP SAWANT                         AAA,CARE,DT-19-11-2010
SHAREPRO SERVICES (INDIA) PVT.LTD   GENERAL MANAGER
                                    SHAREPRO SERVICES (INDIA) PRIVATE
                                    LIMITED
                                    13AB, SAMHITA WAREHOUSING
IN200043                            Mr. Dilip Sawant                         AAA,CARE,DT-19-11-2010
SHAREPRO SERVICES (INDIA) PVT.LTD   General Manager
                                    Sharepro Services (India) Private
                                    Limited
                                    13AB, Samhita Warehousing Complex,
IN200043                            Mr. Dilip Sawant                         AAA,CARE,DT-19-11-2010
SHAREPRO SERVICES (INDIA) PVT.LTD   General Manager
                                    Sharepro Services (India) Private
                                    Limited
                                    13AB, Samhita Warehousing Complex,
IN200043                            Mr. Dilip Sawant
SHAREPRO SERVICES (INDIA) PVT.LTD   General Manager
                                    Sharepro Services (India)Pvt.Ltd.
                                    13AB, Samhita Warehousing Complex
                                    Sakinaka Telephone Exchange Lane
IN200043                            Mr. Dilip Sawant                         AAA,CARE DT 19/11/2010
SHAREPRO SERVICES (INDIA) PVT.LTD   General Manager
                                    Sharepro Services (India) Private
                                    Limited
                                    13AB, Samhita Warehousing Complex,
THE INDIAN HOTELS COMPANY LTD     Mr. Bipin Singh
IN100261                          Manager - Secretarial & Legal
                                  The Indian Hotels Company Limited
                                  Mandlik House, Mandlik Road
                                  Colaba,
THE INDIAN HOTELS COMPANY LTD     Mr.P.Sanker
IN100261                          Vice President - Legal & Company
                                  Secretary
                                  Mandlik House
                                  Mandlik Road
THE INDIAN HOTELS COMPANY LTD     Mr.P.Sanker
IN100261                          Vice President - Legal & Company
                                  Secretary
                                  THE INDIAN HOTELS COMPANY
                                  LIMITED
THE INDIAN HOTELS COMPANY LTD
IN100261



THE INDIAN HOTELS COMPANY LTD     Mr.P.Sanker
IN100261                          Vice President - Legal & Company
                                  Secretary
                                  THE INDIAN HOTELS COMPANY
                                  LIMITED
KARVY                             Mr. A.K. Mukherjee
IN200035                          Secretary
                                  THE INDIAN IRON & STEEL CO.LTD.
                                  IISCO House, 50, Chowringhee Road,
                                  Kolkata-700 001
KARVY COMPUTERSHARE PVT. LTD.     Mr. Parvez Ahmad
IN200035                          President & Company Secretary
                                  THE JAMMU & KASHMIR BANK LTD.
                                  Corporate Headquarters
                                  Maulana Azad Road
SKDC CONSULTANTS LTD.
IN200465



INTEGRATED ENTP. (I) LTD          Mr. S. Venkateswaran
IN200264                          Company Secretary
                                  Salem Road
                                  Kathaparai
                                  Karur 639 006
INTEGRATED ENTP. (I) LTD          Mr. S. Venkateswaran
IN200264                          Company Secretary
                                  THE LAKSHMI VILAS BANK LIMITED
                                  Salem Road
                                  Kathaparai
ALPHA SYSTEMS PVT. LTD.
IN200248



ALPHA SYSTEMS PVT. LTD.          Mr. H. S. N. Rao
IN200248                         General Manager & Company
                                 Secretary
                                 THE MYSORE PAPER MILLS LIMITED
                                 # 16/4, Ali Asker Road
KARVY COMPUTERSHARE PVT LTD.-4 Mr. K. S. krishanan
IN200800                         Deputy General Manager
                                 THE SOUTH INDIAN BANK LTD.
                                 CFM Department
                                 Head Office, TB Road
BTS CONSULTANCY SERVICES PVT LTD Mr. K. S. Krishanan
IN200859                         Company Secretary
                                 SIB House,TB Road
                                 PB No.28
                                 Mission Quarter, Trichur-680 001
CAMEO CORPORATE SERVICES LTD   Mr. A.R. Alagappan
IN200176                       General Manager ( F & R)
                               THE TAMILNADU INDUSTRIAL
                               INVESTMENT CORPORATION LTD
                               692, Anna Salai
CAMEO CORPORATE SERVICES LTD   Mr. R. Bhaskaran
IN200176                       Company Secretary
                               THE TAMILNADU INDUSTRIAL
                               INVESTMENT CORPORATION LI
                               692, Anna Salai
CAMEO CORPORATE SERVICES LTD   Mr. A.R. Alagappan
IN200176                       General Manager ( F & R)
                               THE TAMILNADU INDUSTRIAL
                               INVESTMENT CORPORATION LTD
                               692, Anna Salai
CAMEO CORPORATE SERVICES LTD   Mr. A.R. Alagappan
IN200176                       General Manager ( F & R)
                               THE TAMILNADU INDUSTRIAL
                               INVESTMENT CORPORATION LTD
                               692, Anna Salai
CAMEO CORPORATE SERVICES LTD   Mr. A.R. Alagappan
IN200176                       General Manager ( F & R)
                               THE TAMILNADU INDUSTRIAL
                               INVESTMENT CORPORATION LTD
                               692, Anna Salai
CAMEO CORPORATE SERVICES LTD   Mr. R. Bhaskaran
IN200176                       Company Secretary
                               THE TAMILNADU INDUSTRIAL
                               INVESTMENT CORPORATION LI
                               692, Anna Salai
CAMEO CORPORATE SERVICES LTD   Mr. A.R. Alagappan
IN200176                       General Manager ( F & R)
                               THE TAMILNADU INDUSTRIAL
                               INVESTMENT CORPORATION LTD
                               692, Anna Salai
CAMEO CORPORATE SERVICES LTD   Mr. A.R. Alagappan
IN200176                       General Manager ( F & R)
                               THE TAMILNADU INDUSTRIAL
                               INVESTMENT CORPORATION LTD
                               692, Anna Salai
CAMEO CORPORATE SERVICES LTD   Mr. A.R. Alagappan
IN200176                       General Manager ( F & R)
                               THE TAMILNADU INDUSTRIAL
                               INVESTMENT CORPORATION LTD
                               692, Anna Salai
TSR DARASHAW LIMITED           Mr. B. J. Shroff
IN200125                       Company Secretary
                               THE TATA POWER COMPANY LIMITED
                               Bombay House
                               24, Homi Mody Street
TSR DARASHAW LIMITED           Mr. B. J. Shroff
IN200125                       Company Secretary
                               THE TATA POWER COMPANY LIMITED
                               Bombay House
                               24, Homi Mody Street
TSR DARASHAW LIMITED           Mr. B. J. Shroff
IN200125                       Company Secretary
                               THE TATA POWER COMPANY LIMITED
                               Bombay House
                               24, Homi Mody Street
TSR DARASHAW LIMITED           Mr. B. J. Shroff
IN200125                       Company Secretary
                               THE TATA POWER COMPANY LIMITED
                               Bombay House
                               24, Homi Mody Street
TSR DARASHAW LIMITED           Mr. B. J. Shroff
IN200125                       Company Secretary
                               THE TATA POWER COMPANY LIMITED
                               Bombay House
                               24, Homi Mody Street
TSR DARASHAW LIMITED       Mr. B. J. Shroff
IN200125                   Company Secretary
                           THE TATA POWER COMPANY LIMITED
                           Bombay House
                           24, Homi Mody Street
TSR DARASHAW LIMITED       Mr. B. J. Shroff
IN200125                   Company Secretary
                           THE TATA POWER COMPANY LIMITED
                           Bombay House
                           24, Homi Mody Street
TSR DARASHAW LIMITED       Mr. B. J. Shroff
IN200125                   Company Secretary
                           THE TATA POWER COMPANY LIMITED
                           Bombay House
                           24, Homi Mody Street
TSR DARASHAW LIMITED       Mr. B. J. Shroff
IN200125                   Company Secretary
                           THE TATA POWER COMPANY LIMITED
                           Bombay House
                           24, Homi Mody Street
TSR DARASHAW LIMITED       Mr. B. J. Shroff
IN200125                   Company Secretary
                           THE TATA POWER COMPANY LIMITED
                           Bombay House
                           24, Homi Mody Street
TATA SHARE REGISTRY LTD.   Ms.Kashmira Mewawala
IN200125                   General Manager
                           Tata Share Registry Limited
                           Army & Navy Building
                           148, Mahatma Gandhi Road
TSR DARASHAW LIMITED       Mr. B. J. Shroff
IN200125                   Company Secretary
                           THE TATA POWER COMPANY LIMITED
                           Bombay House
                           24, Homi Mody Street
TSR DARASHAW LIMITED       Mr. B. J. Shroff
IN200125                   Company Secretary
                           THE TATA POWER COMPANY LIMITED
                           Bombay House
                           24, Homi Mody Street
TSR DARASHAW LIMITED       Mr. B. J. Shroff
IN200125                   Company Secretary
                           THE TATA POWER COMPANY LIMITED
                           Bombay House
                           24, Homi Mody Street
TSR DARASHAW LIMITED       Mr. B. J. Shroff
IN200125                   Company Secretary
                           THE TATA POWER COMPANY LIMITED
                           Bombay House
                           24, Homi Mody Street
TSR DARASHAW LIMITED       Mr. B. J. Shroff
IN200125                   Company Secretary
                           Bombay House
                           24, Homi Mody Street
                           Mumbai 400 001
TSR DARASHAW LIMITED       Mr. B. J. Shroff
IN200125                   Company Secretary
                           Bombay House
                           24, Homi Mody Street
                           Mumbai 400 001
TSR DARASHAW LIMITED       Mr. B. J. Shroff
IN200125                   Company Secretary
                           THE TATA POWER COMPANY LIMITED
                           Bombay House
                           24, Homi Mody Street
TSR DARASHAW LIMITED       Mr. B. J. Shroff
IN200125                   Company Secretary
                           THE TATA POWER COMPANY LIMITED
                           Bombay House
                           24, Homi Mody Street
TSR DARASHAW LIMITED   Mr. B. J. Shroff
IN200125               Company Secretary
                       THE TATA POWER COMPANY LIMITED
                       Bombay House
                       24, Homi Mody Street
TSR DARASHAW LIMITED   Mr. B. J. Shroff
IN200125               Company Secretary
                       THE TATA POWER COMPANY LIMITED
                       Bombay House
                       24, Homi Mody Street
TSR DARASHAW LIMITED   Mr. B. J. Shroff
IN200125               Company Secretary
                       THE TATA POWER COMPANY LIMITED
                       Bombay House
                       24, Homi Mody Street
TSR DARASHAW LIMITED   Mr. B. J. Shroff
IN200125               Company Secretary
                       THE TATA POWER COMPANY LIMITED
                       Bombay House
                       24, Homi Mody Street
TSR DARASHAW LIMITED   Mr. B. J. Shroff
IN200125               Company Secretary
                       THE TATA POWER COMPANY LIMITED
                       Bombay House
                       24, Homi Mody Street
TSR DARASHAW LIMITED   Mr. B. J. Shroff
IN200125               Company Secretary
                       THE TATA POWER COMPANY LIMITED
                       Bombay House
                       24, Homi Mody Street
TSR DARASHAW LIMITED   Mr. B. J. Shroff
IN200125               Company Secretary
                       THE TATA POWER COMPANY LIMITED
                       Bombay House
                       24, Homi Mody Street
TSR DARASHAW LIMITED   Mr. B. J. Shroff
IN200125               Company Secretary
                       THE TATA POWER COMPANY LIMITED
                       Bombay House
                       24, Homi Mody Street
TSR DARASHAW LIMITED   Mr. B. J. Shroff
IN200125               Company Secretary
                       THE TATA POWER COMPANY LIMITED
                       Bombay House
                       24, Homi Mody Street
TSR DARASHAW LIMITED   Mr. B. J. Shroff
IN200125               Company Secretary
                       THE TATA POWER COMPANY LIMITED
                       Bombay House
                       24, Homi Mody Street
TSR DARASHAW LIMITED   Mr. B. J. Shroff
IN200125               Company Secretary
                       THE TATA POWER COMPANY LIMITED
                       Bombay House
                       24, Homi Mody Street
TSR DARASHAW LIMITED   Mr. B. J. Shroff
IN200125               Company Secretary
                       THE TATA POWER COMPANY LIMITED
                       Bombay House
                       24, Homi Mody Street
TSR DARASHAW LIMITED   Mr. B. J. Shroff
IN200125               Company Secretary
                       THE TATA POWER COMPANY LIMITED
                       Bombay House
                       24, Homi Mody Street
TSR DARASHAW LIMITED   Mr. B. J. Shroff
IN200125               Company Secretary
                       THE TATA POWER COMPANY LIMITED
                       Bombay House
                       24, Homi Mody Street
IN200125                            Mr. B. J. Shroff                       AA,CARE,DT-27-05-2011
TSR DARASHAW LIMITED                Company Secretary
                                    THE TATA POWER COMPANY LIMITED
                                    Bombay House
                                    24, Homi Mody Street
IIT CORPORATE - SR                  Mr. R.J. Joshi
IN200150                            Company Secretary-Secretarial &
                                    Shares Dept
                                    The United Western Bank Ltd.
                                    172-4, Raviwar Peth
IN200504                            Mr.Punit Mittal                        BWR BB,DT-04/01/2011
BEETAL FINAN.AND COMPU.             General Manager
                                    Beetal Financial and Computer
                                    Services Limited
                                    99, Madangiri
IN200094                            MR. SHADAB ALAM
LINK INTIME INDIA PRIVATE LIMITED   ADMINISTRATION
                                    THYROCARE TECHNOLOGIES LIMITED
                                    D-37/1, TTC Industrial Area
                                    MIDC, Turbhe
Sharepro Services (India)Pvt.Ltd.   Mr. Adrish Ghosh
IN200043                            Asst. Vice President
                                    The IL&FS Financial Centre
                                    C-22, Block G,
                                    Bandra Kurla Complex
LINK INTIME INDIA PRIVATE LIMITED   Ms Poonam Mirchandani
IN200094                            Compliance Officer
                                    IL&FS TRUST COMPANY LIMITED
                                    The IL&FS Financial Centre
                                    C-22, Block G,
LINK INTIME INDIA PRIVATE LIMITED   Ms Poonam Mirchandani
IN200094                            Compliance Officer
                                    IL&FS TRUST COMPANY LIMITED
                                    The IL&FS Financial Centre
                                    C-22, Block G,
LINK INTIME INDIA PRIVATE LIMITED   Ms Poonam Mirchandani
IN200094                            Compliance Officer
                                    IL&FS TRUST COMPANY LIMITED
                                    The IL&FS Financial Centre
                                    C-22, Block G,
IN200094                            MR.RADHAKRISHNAN. AR                   BWR Bbso, BRICKWORK,8-2-11
LINK INTIME INDIA PRIVATE LIMITED   CHIEF FINANCIAL OFFICER
                                    TOTAL ENVIRONMENT LIVING SPACES
                                    PRIVATE LTD
                                    78, IMAGINE
Same as above                       Same as above




Computech International             Same as above
(IN200328)



COMPUTECH INTERNATIONAL             Mr. S.P. Yadav
IN200328                            Dy. G.M. & Company Secretary
                                    Computech International Ltd.
                                    Sri Venkatesh Bhawan
                                    Ground Floor
COMPUTECH INTERNATIONAL             Mr. S.P. Yadav
IN200328                            Dy. G.M. & Company Secretary
                                    Computech International Ltd.
                                    Sri Venkatesh Bhawan
                                    Ground Floor
MCS LTD                             Mr. Amarjeet Singh
IN200424                            Sr. Manager
                                    MCS Ltd.
                                    Sri Venkatesh Bhavan
                                    W-40, Okhla Industrial Area Phase II
MCS LTD                         Mr. Amarjeet Singh
IN200424                        Sr. Manager
                                MCS Ltd.
                                Sri Venkatesh Bhavan
                                W-40, Okhla Industrial Area Phase II
MCS LTD                         Mr. Sanjay Ahuja
IN200424                        Company Secretary
                                4th Floor,,Tower - I, NBCC Plaza,
                                Sector - V, Pushp Vihar,Saket
                                New Delhi 110 017
MCS LTD                         Mr. Sanjay Ahuja
IN200424                        Company Secretary
                                4th Floor,,Tower - I, NBCC Plaza,
                                Sector - V, Pushp Vihar,Saket
                                New Delhi 110 017
MCS LTD                         Mr. Sanjay Ahuja
IN200424                        Company Secretary
                                TOURISM FINANCE CORPORATION OF
                                INDIA LIMITED
                                4th Floor,,Tower - I, NBCC Plaza,
KARVY COMPUTERSHARE PVT. LTD.   Mr. V.K. Jayaraman
IN200035                        Asst. General Manger
                                Karvy Computershare Pvt. Ltd.
                                Karvy House, 46
                                Avenue-4, Street No. 1,Banjara Hills
KARVY                           Mr. V.K. Jayaraman
IN200035                        Asst. General Manager
                                Karvy Consultants Limites
                                46, Avenue 4, Street No.1
                                Banjara Hills
KARVY COMPUTERSHARE PVT. LTD.   Mr. V.K. Jayaraman
IN200035                        Asst. General Manger
                                Karvy Computershare Pvt. Ltd.
                                Karvy House, 46
                                Avenue-4, Street No. 1,Banjara Hills
KARVY COMPUTERSHARE PVT. LTD.   Mr. V.K. Jayaraman
IN200035                        Asst. General Manger
                                Karvy Computershare Pvt. Ltd.
                                Karvy House, 46
                                Avenue-4, Street No. 1,Banjara Hills
KARVY COMPUTERSHARE PVT. LTD.   Mr. V.K. Jayaraman
IN200035                        Asst. General Manger
                                Karvy Computershare Pvt. Ltd.
                                Karvy House, 46
                                Avenue-4, Street No. 1,Banjara Hills
KARVY COMPUTERSHARE PVT. LTD.   Mr. V.K. Jayaraman
IN200035                        Asst. General Manger
                                Karvy Computershare Pvt. Ltd.
                                Karvy House, 46
                                Avenue-4, Street No. 1,Banjara Hills
BIGSHARE SERVICES LTD           Mr. S. Ramesh
IN200117                        Sr. Accounts Officer - Loans
                                TRANSMISSION CORPORATION OF A.P.
                                LIMITED
                                Room No.514
BIGSHARE SERVICES LTD           Mr. S. Ramesh
IN200117                        Sr. Accounts Officer - Loans
                                TRANSMISSION CORPORATION OF A.P.
                                LIMITED
                                Room No.514
KARVY COMPUTERSHARE PVT. LTD.   Mr. S. Ramesh
IN200035                        Sr. Accounts Officer - Loans
                                Room No.514
                                Vidyut Soudha
                                Hyderabad
KARVY COMPUTERSHARE PVT. LTD.   Mr. P Sathya Moorthy
IN200035                        Deputy Chief Controller of Accounts
                                APTRANSCO
                                Vidyut Soudha
                                Hyderabad
BIGSHARE SERVICES LTD            Mr. S. Ramesh
IN200117                         Sr. Accounts Officer - Loans
                                 TRANSMISSION CORPORATION OF A.P.
                                 LIMITED
                                 Room No.514
BIGSHARE SERVICES LTD            Mr. S. Ramesh
IN200117                         Sr. Accounts Officer - Loans
                                 TRANSMISSION CORPORATION OF A.P.
                                 LIMITED
                                 Room No.514
KARVY COMPUTERSHARE PVT. LTD.    Mr. P Sathya Moorthy
IN200035                         Deputy Chief Controller of Accounts
                                 APTRANSCO
                                 Vidyut Soudha
                                 Hyderabad
TSR DARASHAW LIMITED             Mr M M Surti
IN200125                         Company Secretary
                                 Taj Building
                                 2nd Floor, 210
                                 Dr. D. N. Road
TSR DARASHAW LIMITED             Mr M M Surti
IN200125                         Company Secretary
                                 TRENT LIMITED
                                 Taj Building
                                 2nd Floor, 210
TSR DARASHAW LIMITED             Mr M M Surti
IN200125                         Company Secretary
                                 TRENT LIMITED
                                 Taj Building
                                 2nd Floor, 210
TSR DARASHAW LIMITED             Mr M M Surti
IN200125                         Company Secretary
                                 TRENT LIMITED
                                 Trent House
                                 10th Floor, G Block, Plot No. C-60,
TSR DARASHAW LIMITED             Mr M M Surti
IN200125                         Company Secretary
                                 TRENT LIMITED
                                 Trent House
                                 10th Floor, G Block, Plot No. C-60,
ZUARI INVESTMENTS LIMITED        MS. SANJANA MAGO
IN100382                         COMPANY SECRETARY
                                 TRICONE PROJECTS INDIA LIMITED
                                 2ND FLOOR, MAHATTA TOWERS
                                 STAR CITY MALL
ZUARI INVESTMENTS LIMITED        MS. SANJANA MAGO
IN100382                         COMPANY SECRETARY
                                 TRICONE PROJECTS INDIA LIMITED
                                 2ND FLOOR, MAHATTA TOWERS
                                 STAR CITY MALL
SYSTEM SUPPORT SERVICES-SHR      Mr. Mahendra Mehta
IN200762                         Partner
                                 System Support Service Ltd.
                                 209, Shivai Industrial Estate
                                 Near Parke Davis,
KARVY COMPUTERSHARE PVT LTD.-4   Mr. V.P. Ghuliani
IN200800                         Vice President (Legal) & Company
                                 Secretary
                                 "Express Trade Towers
                                 8th Floor 15-16 Sector 16A,
KARVY COMPUTERSHARE PVT. LTD.    MR. ALOK SHARMA
IN200035                         VICE PRESIDENT
                                 PLOT NO. 17-24
                                 VITTAL RAO NAGAR
                                 MADHAPUR
KARVY COMPUTERSHARE PVT. LTD.    MR. ALOK SHARMA
IN200035                         VICE PRESIDENT
                                 PLOT NO. 17-24
                                 VITTAL RAO NAGAR
                                 MADHAPUR
KARVY COMPUTERSHARE PVT. LTD.    MR. ALOK SHARMA
IN200035                         VICE PRESIDENT
                                 KARVY COMPUTERSHARE PVT LTD
                                 PLOT NO. 17-24
                                 VITTAL RAO NAGAR
KARVY COMPUTERSHARE PVT. LTD.    MR. ALOK SHARMA
IN200035                         VICE PRESIDENT
                                 KARVY COMPUTERSHARE PVT LTD
                                 PLOT NO. 17-24
                                 VITTAL RAO NAGAR
KARVY COMPUTERSHARE PVT LTD.-4   Mr.Deepinder Singh Bedi
IN200800                         Executive Director
                                 TULIP TELECOM LIMITED
                                 C-160, Okhla Industrial Area
                                 Phase - I
KARVY COMPUTERSHARE PVT LTD.-4   Mr.Deepinder Singh Bedi
IN200800                         Executive Director
                                 TULIP TELECOM LIMITED
                                 C-160, Okhla Industrial Area
                                 Phase - I
KARVY COMPUTERSHARE PVT LTD.-4   Mr.Dinesh Kaushal
IN200800                         CFO & Company Secretary
                                 H.No.-34, Sector - 11D,
                                 Faridabad - 121006
                                 Haryana
KARVY COMPUTERSHARE PVT LTD.-4   Mr.Deepinder Singh Bedi
IN200800                         Executive Director
                                 TULIP TELECOM LIMITED
                                 C-160, Okhla Industrial Area
                                 Phase - I
KARVY                            Mr. M.S. Madhusudan
IN200035                         Asst. General Manager
                                 KARVY
                                 Karvy House, 46, Avenue 4,
                                 Street No. 1, Street No. 1, Banjara
KARVY COMPUTERSHARE PVT. LTD.    Mr. M.S. Madhusudan
IN200035                         Asst. General Manager
                                 UCO BANK
                                 Karvy House, 46, Avenue 4,
                                 Street No. 1, Banjara Hills
KARVY COMPUTERSHARE PVT. LTD.    Mr. M.S. Madhusudan
IN200035                         Asst. General Manager
                                 KARVY COMPUTERSHARE PVT. LTD.
                                 Karvy House, 46, Avenue 4,
                                 Street No. 1, Banjara Hills
KARVY COMPUTERSHARE PVT. LTD.    Mr. M.S. Madhusudan
IN200035                         Asst. General Manager
                                 KARVY COMPUTERSHARE PVT. LTD.
                                 Karvy House, 46, Avenue 4,
                                 Street No. 1, Banjara Hills
KARVY COMPUTERSHARE PVT. LTD.    Mr. M.S. Madhusudan
IN200035                         Asst. General Manager
                                 KARVY COMPUTERSHARE PVT. LTD.
                                 Karvy House, 46, Avenue 4,
                                 Street No. 1, Banjara Hills
KARVY COMPUTERSHARE PVT. LTD.    Mr. S. K. Ghosh
IN200035                         Asst. General Manager (Finance)
                                 10, BTM Sarani,
                                 7th Floor, Kolkata - 700 001
KARVY COMPUTERSHARE PVT. LTD.    Mr. S. K. Ghosh
IN200035                         Asst. General Manager (Finance)
                                 10, BTM Sarani,
                                 7th Floor, Kolkata - 700 001
KARVY COMPUTERSHARE PVT. LTD.    Mr. S. K. Ghosh
IN200035                         Asst. General Manager (Finance)
                                 UCO BANK
                                 10, BTM Sarani,
                                 7th Floor, Kolkata - 700 001
KARVY COMPUTERSHARE PVT. LTD.       Mr. M.S. Madhusudan
IN200035                            Asst. General Manager
                                    Karvy House, 46, Avenue 4,
                                    Street No. 1, Banjara Hills
                                    Hyderabad 500 034
KARVY COMPUTERSHARE PVT. LTD.       Mr. M.S. Madhusudan
IN200035                            Asst. General Manager
                                    KARVY COMPUTERSHARE PVT. LTD.
                                    Karvy House, 46, Avenue 4,
                                    Street No. 1, Banjara Hills
KARVY COMPUTERSHARE PVT. LTD.       Mr. S. K. Ghosh
IN200035                            Asst. General Manager (Finance)
                                    10, BTM Sarani,
                                    7th Floor, Kolkata - 700 001
KARVY COMPUTERSHARE PVT. LTD.       Mr. S. K. Ghosh
IN200035                            Asst. General Manager (Finance)
                                    UCO BANK
                                    10, BTM Sarani,
                                    7th Floor, Kolkata - 700 001
KARVY COMPUTERSHARE PVT. LTD.       Mr. M.S. Madhusudan
IN200035                            Asst. General Manager
                                    Karvy House, 46, Avenue 4,
                                    Street No. 1, Banjara Hills
                                    Hyderabad 500 034
KARVY COMPUTERSHARE PVT. LTD.       Mr. M.S. Madhusudan
IN200035                            Asst. General Manager
                                    KARVY COMPUTERSHARE PVT. LTD.
                                    Karvy House, 46, Avenue 4,
                                    Street No. 1, Banjara Hills
KARVY COMPUTERSHARE PVT LTD.-4      MR. ANIL KUMAR .M
IN200800                            Company Secretary
                                    UJJIVAN FINANCIAL SERVICES PVT LTD
                                    #93, JAKKASANDRA EXTENSION
                                    SARJAPUR MAIN CROSS ROAD,
IN200800                            MS. SUDHA SURESH
KARVY COMPUTERSHARE-4               CHIEF FINANCIAL OFFICER
                                    UJJIVAN FINANCIAL SERVICES PVT LTD
                                    #93, JAKKASANDRA EXTENSION
                                    SARJAPUR MAIN CROSS ROAD,
IN200800                            MR. ALOK SHARMA                      LBBB,ICRA,15-06-2011
KARVY COMPUTERSHARE-4               GENERAL MANAGER
                                    KARVY COMPUTERSHARE PVT LTD-RIL
                                    PLOT NO. 17-24
                                    VITTAL RAO NAGAR
LINK INTIME INDIA PRIVATE LIMITED   Mr Vijay S.Tawde
IN200094                            Director
                                    ULTRA SPACE DEVELOPERS PRIVATE
                                    LIMITED
                                    Dheeraj Arma,
Sharepro Services (India)Pvt.Ltd.   Mr. Sanjeeb Chhatterjee
IN200043                            Company Secretary
                                    "B Wing" IInd Ffloor Ahura
                                    Center Mahakali Caves Road
                                    Andheri East
Sharepro Services                   Mr.Anil Sathe,
(IN200043)                          Manager,
                                    Sharepro Services,
                                    Satam Estate,3rd Floor,Above Bank of
                                    Baroda,
Sharepro Services                   Mr.Anil Sathe,
(IN200043)                          Manager,
                                    Sharepro Services,
                                    Satam Estate,3rd Floor,Above Bank of
                                    Baroda,
Sharepro Services                   Mr.Anil Sathe,
(IN200043)                          Manager,
                                    Sharepro Services,
                                    Satam Estate,3rd Floor,Above Bank of
                                    Baroda,
SHAREPRO SERVICES                Mr.Anil Sathe,
IN200043                         Manager,
                                 Sharepro Services,
                                 Satam Estate,3rd Floor,Above Bank of
                                 Baroda,
SHAREPRO SERVICES                Mr.Anil Sathe,
IN200043                         Manager,
                                 Sharepro Services,
                                 Satam Estate,3rd Floor,Above Bank of
                                 Baroda,
KARVY COMPUTERSHARE PVT. LTD.    Mr Vishwas Joshi
IN200035                         Accounts & Finance
                                 UNILAZER EXPORTS AND MANAGEMENT
                                 CONSULTANTS LIMITED
                                 1076, Dr. E.Moses Road,
KARVY COMPUTERSHARE PVT LTD.-4   MR. P.A. VARGHESE
IN200800                         GENERAL MANAGER
                                 KARVY COMPUTERSHARE PVT. LTD.
                                 CYBER VILLE, PLOT NO. 17 TO 24
                                 VITHALRAO NAGAR, NEAR IMAGE
R AND D CONSULTANTS LTD          Mr. V.B. Shah
IN200588                         Sr. Executive
                                 R & D Consultants Ltd.
                                 610, Dalamal Tower
                                 211, Nariman Point
INVESTOR SERV OF INDIA           Mr. Nayak
IN200553                         Dy. Gen Manager
                                 INVESTOR SERV OF INDIA
                                 IDBI Building , IInd Floor
                                 Rajiv Gandhi Marg
INVESTOR SERV OF INDIA           Mr. R. V. Khanna
IN200553                         General Manager
                                 239, Union Bank Bhavan,
                                 Merchant Banking Division,
                                 Vidhan Bhavan, Nariman Point,
INVESTOR SERV OF INDIA           Mr. R. V. Khanna
IN200553                         General Manager
                                 239, Union Bank Bhavan,
                                 Merchant Banking Division,
                                 Vidhan Bhavan, Nariman Point,
INVESTOR SERV OF INDIA           Mr. R. V. Khanna
IN200553                         General Manager
                                 239, Union Bank Bhavan,
                                 Merchant Banking Division,
                                 Vidhan Bhavan, Nariman Point,
INVESTOR SERV OF INDIA           Mr. R.Maheshwaran
IN200553                         Asst General Manager
                                 239, Union Bank Bhavan,
                                 Merchant Banking Division,
                                 Vidhan Bhavan, Nariman Point,
INVESTOR SERV OF INDIA           Mr. Nayak
IN200553                         Dy. Gen Manager
                                 INVESTOR SERV OF INDIA
                                 IDBI Building , IInd Floor
                                 Rajiv Gandhi Marg
INVESTOR SERV OF INDIA           Ms Monika Kalia
IN200553                         Company Secretary
                                 239, Union Bank Bhavan,
                                 Merchant Banking Division,
                                 Vidhan Bhavan, Nariman Point,
INVESTOR SERV OF INDIA           Ms Monika Kalia
IN200553                         Company Secretary
                                 UNION BANK OF INDIA
                                 239, Union Bank Bhavan,
                                 Merchant Banking Division,
INVESTOR SERV OF INDIA           Ms Monika Kalia
IN200553                         Company Secretary
                                 UNION BANK OF INDIA
                                 239, Union Bank Bhavan,
                                 Merchant Banking Division,
INVESTOR SERV OF INDIA           Mr. R. V. Khanna
IN200553                         General Manager
                                 239, Union Bank Bhavan,
                                 Merchant Banking Division,
                                 Vidhan Bhavan, Nariman Point,
INVESTOR SERV OF INDIA           Ms Monika Kalia
IN200553                         Company Secretary
                                 239, Union Bank Bhavan,
                                 Merchant Banking Division,
                                 Vidhan Bhavan, Nariman Point,
INVESTOR SERV OF INDIA           Ms Monika Kalia
IN200553                         Company Secretary
                                 239, Union Bank Bhavan,
                                 Merchant Banking Division,
                                 Vidhan Bhavan, Nariman Point,
INVESTOR SERV OF INDIA           Mr. R. V. Khanna
IN200553                         General Manager
                                 239, Union Bank Bhavan,
                                 Merchant Banking Division,
                                 Vidhan Bhavan, Nariman Point,
INVESTOR SERV OF INDIA           Mr. Nayak
IN200553                         Dy. Gen Manager
                                 INVESTOR SERV OF INDIA
                                 IDBI Building , IInd Floor
                                 Rajiv Gandhi Marg
INVESTOR SERV OF INDIA           Mr. Nayak
IN200553                         Dy. Gen Manager
                                 UNION BANK OF INDIA
                                 IDBI Building , IInd Floor
                                 Rajiv Gandhi Marg
INVESTOR SERV OF INDIA           Mr. Nayak
IN200553                         Dy. Gen Manager
                                 Investro Services of India Limited
                                 IDBI Building , IInd Floor
                                 Rajiv Gandhi Marg
INVESTOR SERV OF INDIA           Ms.Sara Samuel
IN200553                         Asst. General Manager
                                 Investor Services of India
                                 IDBI Building, 2nd Floor
                                 A Wing, Sector 11
ALANKIT ASSIGNMENTS LTD          Mr. Deepak Jain
IN200086                         Company Secretary
                                 Unitech House
                                 L Block , South City - 1,
                                 Gurgaon - 122001
ALANKIT ASSIGNMENTS LTD          Mr. Deepak Jain
IN200086                         Company Secretary
                                 Unitech House
                                 L Block , South City - 1,
                                 Gurgaon - 122001
INTIME SPECTRUM REGISTRY, MUMBAI Mr. Asim Kumar Sanyal
IN200094                         Asst General Manager - I & FM
                                 11, Hemanta Basu Sarani
                                 16, Old Court House Street
                                 kolkata-700001
KARVY COMPUTERSHARE PVT. LTD.    Mr. A. K. Roy
IN200035                         General Manager- Treasury
                                 UNITED BANK OF INDIA
                                 11, Hemanta Basu Sarani
                                 16, Old Court House Street
INTIME SPECTRUM REGISTRY, MUMBAI Mr. A. K. Roy
IN200094                         General Manager- Treasury
                                 UNITED BANK OF INDIA
                                 11, Hemanta Basu Sarani
                                 16, Old Court House Street
INTIME SPECTRUM REGISTRY, MUMBAI Mr. A. K. Roy
IN200094                         General Manager- Treasury
                                 UNITED BANK OF INDIA
                                 11, Hemanta Basu Sarani
                                 16, Old Court House Street
INTIME SPECTRUM REGISTRY, MUMBAI Mr. A. K. Roy
IN200094                          General Manager- Treasury
                                  UNITED BANK OF INDIA
                                  11, Hemanta Basu Sarani
                                  16, Old Court House Street
INTIME SPECTRUM REGISTRY, MUMBAI Mr. A. K. Roy
IN200094                          General Manager- Treasury
                                  11, Hemanta Basu Sarani
                                  16, Old Court House Street
                                  kolkata-700001
Sharepro Services (India)Pvt.Ltd. Mr. M B Trivedi
IN200043                          Company Secretary
                                  UNIPHOS HOUSE,
                                  Opp. Madhu Park,
                                  C.D. Marg, Khar(W)
Sharepro Services (India)Pvt.Ltd. Mr. M B Trivedi
IN200043                          Company Secretary
                                  UNIPHOS HOUSE,
                                  Opp. Madhu Park,
                                  C.D. Marg, Khar(W)
Sharepro Services (India)Pvt.Ltd. Mr. M B Trivedi
IN200043                          Company Secretary
                                  UNITED PHOSPHORUS LIMITED
                                  UNIPHOS HOUSE,
                                  Opp. Madhu Park,
Sharepro Services (India)Pvt.Ltd. Mr. M B Trivedi
IN200043                          Company Secretary
                                  UNIPHOS HOUSE,
                                  Opp. Madhu Park,
                                  C.D. Marg, Khar(W)
Sharepro Services (India)Pvt.Ltd. Mr. M B Trivedi
IN200043                          Company Secretary
                                  UNITED PHOSPHORUS LIMITED
                                  UNIPHOS HOUSE,
                                  Opp. Madhu Park,
Sharepro Services (India)Pvt.Ltd. Mr. M B Trivedi
IN200043                          Company Secretary
                                  UNITED PHOSPHORUS LIMITED
                                  UNIPHOS HOUSE,
                                  Opp. Madhu Park,
Sharepro Services (India)Pvt.Ltd. Mr. M B Trivedi
IN200043                          Company Secretary
                                  UNITED PHOSPHORUS LIMITED
                                  UNIPHOS HOUSE,
                                  Opp. Madhu Park,
Sharepro Services (India)Pvt.Ltd. Mr. M B Trivedi
IN200043                          Company Secretary
                                  UNITED PHOSPHORUS LIMITED
                                  UNIPHOS HOUSE,
                                  Opp. Madhu Park,
Sharepro Services (India)Pvt.Ltd. Mr. M B Trivedi
IN200043                          Company Secretary
                                  UNITED PHOSPHORUS LIMITED
                                  UNIPHOS HOUSE,
                                  Opp. Madhu Park,
Sharepro Services (India)Pvt.Ltd. Mr. M B Trivedi
IN200043                          Company Secretary
                                  UNITED PHOSPHORUS LIMITED
                                  UNIPHOS HOUSE,
                                  Opp. Madhu Park,
IN200043                          Mr. M. B. Trivedi
SHAREPRO SERVICES (INDIA) PVT.LTD Company Secretary
                                  UNITED PHOSPHORUS LIMITED
                                  UNIPHOS HOUSE, Madhu Park, 11the
                                  Road, Khar(W) Mumbai - 400 052
IN200094                          Mr. Ganesh Jadhav
LINK INTIME INDIA PRIVATE LIMITED Senior Executive-Operation,
                                  Link Intime India Pvt. Ltd.
                                  C-13, Pannalal Silk Mills Compound,
                                  L.B.S. Marg,
IN200094                            Mr. Ganesh Jadhav
LINK INTIME INDIA PRIVATE LIMITED   Senior Executive-Operation,
                                    Link Intime India Pvt. Ltd.
                                    C-13, Pannalal Silk Mills Compound,
                                    L.B.S. Marg,
IN200094                            Mr. Ganesh Jadhav
LINK INTIME INDIA PRIVATE LIMITED   Senior Executive-Operation,
                                    Link Intime India Pvt. Ltd.
                                    C-13, Pannalal Silk Mills Compound,
                                    L.B.S. Marg,
IN200094                            Mr. Ganesh Jadhav
LINK INTIME INDIA PRIVATE LIMITED   Senior Executive-Operation,
                                    Link Intime India Pvt. Ltd.
                                    C-13, Pannalal Silk Mills Compound,
                                    L.B.S. Marg,
IN200094                            Mr. Ganesh Jadhav
LINK INTIME INDIA PRIVATE LIMITED   Senior Executive-Operation,
                                    Link Intime India Pvt. Ltd.
                                    C-13, Pannalal Silk Mills Compound,
                                    L.B.S. Marg,
IN200094                            Mr. Ganesh Jadhav
LINK INTIME INDIA PRIVATE LIMITED   Senior Executive-Operation,
                                    Link Intime India Pvt. Ltd.
                                    C-13, Pannalal Silk Mills Compound,
                                    L.B.S. Marg,
IN200800                            MR. ROHIT SHAH
KARVY COMPUTERSHARE-4               DIRECTOR
                                    URBAN INFRASTRUCTURE HOLDINGS
                                    PRIVATE LIMITED
                                    JAI CENTRE, 1ST FLOOR,
KARVY                               Shri. V. K. Jayaraman
IN200035                            Mr. K.S. Reddy
                                    Asst. General Manager – RIS
                                    Karvy Consultants Limited
                                    Karvy House
Karvy Consultants Ltd(IN200035)     Same as above




KARVY COMPUTERSHARE PVT. LTD.       Mr. M. S. Madhusudhan / Mr. Mohd
IN200035                            Mohsinuddin
                                    KARVY COMPUTERSHARE PVT. LTD
                                    Karvy House
                                    46, Avenue 4, Street No. 1
Karvy Consultants Ltd(IN200035)     Shri. V. K. Jayaraman
                                    Mr. K.S. Reddy
                                    Asst. General Manager – RIS
                                    Karvy Consultants Limited
                                    Karvy House
KARVY                               Shri. V. K. Jayaraman
IN200035                            Mr. K.S. Reddy
                                    Asst. General Manager – RIS
                                    Karvy Consultants Limited
                                    Karvy House
KARVY COMPUTERSHARE PVT. LTD.       Mr. M. S. Madhusudhan / Mr. Mohd
IN200035                            Mohsinuddin

                                    KARVY COMPUTERSHARE PVT. LTD.
                                    Karvy House
KARVY COMPUTERSHARE PVT. LTD.       Mr. M. S. Madhusudhan / Mr. Mohd
IN200035                            Mohsinuddin

                                    KARVY COMPUTERSHARE PVT. LTD.
                                    Karvy House
KARVY COMPUTERSHARE PVT. LTD.       Mr. V.K. Jayaraman
IN200035                            Asst. General Manger
                                    Karvy Computershare Pvt Ltd.
                                    Karvy House, 46
                                    Avenue-4, Street No. 1,Banjara Hills
KARVY                           Shri. V. K. Jayaraman
IN200035                        Mr. K.S. Reddy
                                Asst. General Manager – RIS
                                Karvy Consultants Limited
                                Karvy House
KARVY COMPUTERSHARE PVT. LTD.   Mr. M. S. Madhusudhan / Mr. Mohd
IN200035                        Mohsinuddin

                                KARVY COMPUTERSHARE PVT. LTD.
                                Karvy House
KARVY COMPUTERSHARE PVT. LTD.   Mr. M. S. Madhusudhan / Mr. Mohd
IN200035                        Mohsinuddin

                                KARVY COMPUTERSHARE PVT. LTD.
                                Karvy House
KARVY COMPUTERSHARE PVT. LTD.   Mr. V.K. Jayaraman
IN200035                        Asst. General Manger
                                Karvy Computershare Pvt Ltd.
                                Karvy House, 46
                                Avenue-4, Street No. 1,Banjara Hills
KARVY COMPUTERSHARE PVT. LTD.   Mr. V.K. Jayaraman
IN200035                        Asst. General Manger
                                Karvy Computershare Pvt Ltd.
                                Karvy House, 46
                                Avenue-4, Street No. 1,Banjara Hills
KARVY COMPUTERSHARE PVT. LTD.   Mr. V.K. Jayaraman
IN200035                        Asst. General Manger
                                Karvy Computershare Pvt Ltd.
                                Karvy House, 46
                                Avenue-4, Street No. 1,Banjara Hills
KARVY COMPUTERSHARE PVT. LTD.   Mr. V.K. Jayaraman
IN200035                        Asst. General Manger
                                Karvy Computershare Pvt Ltd.
                                Karvy House, 46
                                Avenue-4, Street No. 1,Banjara Hills
KARVY COMPUTERSHARE PVT. LTD.   Mr. V.K. Jayaraman
IN200035                        Asst. General Manger
                                Karvy Computershare Pvt Ltd.
                                Karvy House, 46
                                Avenue-4, Street No. 1,Banjara Hills
MONDKAR COMPUTERS P.LTD         Mr. R. K. Agrawal
IN200512                        Vice President & Company Secretary
                                UTTAM GALVA STEELS LIMITED
                                Uttam House,
                                69, P D'Mello Road,
INTIME SPECTRUM,DELHI           Mr. R.K. Maheshwari
IN200449                        Chief Manager(Fin. Div.)
                                UTTAR PRADESH FINANCIAL
                                CORPORATION
                                14/88, Civil Lines, Kanpur,
INTIME SPECTRUM,DELHI           Mr. R.K. Maheshwari
IN200449                        Chief Manager(Fin. Div.)
                                UTTAR PRADESH FINANCIAL
                                CORPORATION
                                14/88, Civil Lines, Kanpur,
INTIME SPECTRUM,DELHI           Mr. R.K. Maheshwari
IN200449                        Chief Manager(Fin. Div.)
                                UTTAR PRADESH FINANCIAL
                                CORPORATION
                                14/88, Civil Lines, Kanpur,
INTIME SPECTRUM,DELHI           Mr. R.K. Maheshwari
IN200449                        Chief Manager (Fin. Div.)
                                UTTAR PRADESH FINANCIAL
                                CORPORATION
                                14/88, Civil Lines, Kanpur
Intime Spectrum Registry        Mr. Kishore Thakker
Ltd.(IN200094)                  Director
                                Intime Spectrum Registry Ltd.
                                260, Shanti Industrial Estate
                                Sarojini Naidu Road
Intime Spectrum Registry         Same as above
Ltd.(IN200094)



Intime Spectrum Registry         Same as above
Ltd.(IN200094)



KARVY COMPUTERSHARE PVT LTD.-4   MR. P.A.VARGHESE
IN200800                         GENERAL MANAGER
                                 PLOT NO. 17-24
                                 VITHALRAO NAGAR, MADHAPUR
                                 HYDERABAD - 500081
AARTHI CONSULTANTS LTD.          Mr.G.Bhaskar Murthy
IN200256                         Manager
                                 AARTHI CONSULTANTS
                                 1-2-285
                                 Domalguda
Mennen Financial Services Ltd.   Mr. R.S. Pandey
(IN200682)                       Mr. Sandeep T. Madhavi
                                 Sr. Manager /Manager Dept - R & T
                                 Mennen Financial Services Ltd.
                                 307, 3rd Floor, Tirupati Udyog
Mennen Financial Services Ltd.   Mr. R.S. Pandey
(IN200682)                       Mr. Sandeep T. Madhavi
                                 Sr. Manager /Manager Dept - R & T
                                 Mennen Financial Services Ltd.
                                 307, 3rd Floor, Tirupati Udyog
MENNEN FIN.SERVICES LTD          Mr. R.S. Pandey
IN200682                         Mr. Sandeep T. Madhavi
                                 Sr. Manager /Manager Dept - R & T
                                 Mennen Financial Services Ltd.
                                 307, 3rd Floor, Tirupati Udyog
MENNEN FIN.SERVICES LTD          Mr. R.S. Pandey
IN200682                         Mr. Sandeep T. Madhavi
                                 Sr. Manager /Manager Dept - R & T
                                 Mennen Financial Services Ltd.
                                 307, 3rd Floor, Tirupati Udyog
Mennen Financial Services Ltd.   Mr. R.S. Pandey
(IN200682)                       Mr. Sandeep T. Madhavi
                                 Sr. Manager /Manager Dept - R & T
                                 Mennen Financial Services Ltd.
                                 307, 3rd Floor, Tirupati Udyog
MENNEN FIN.SERVICES LTD          Mr. R.S. Pandey
IN200682                         Mr. Sandeep T. Madhavi
                                 Sr. Manager /Manager Dept - R & T
                                 Mennen Financial Services Ltd.
                                 307, 3rd Floor, Tirupati Udyog
MENNEN FIN.SERVICES LTD          Mr. R.S. Pandey
IN200682                         Mr. Sandeep T. Madhavi
                                 Sr. Manager /Manager Dept - R & T
                                 Mennen Financial Services Ltd.
                                 307, 3rd Floor, Tirupati Udyog
Mennen Financial Services Ltd.   Mr. R.S. Pandey
(IN200682)                       Mr. Sandeep T. Madhavi
                                 Sr. Manager /Manager Dept - R & T
                                 Mennen Financial Services Ltd.
                                 307, 3rd Floor, Tirupati Udyog
MCS Limited                      Mr/.Sanjay Chudnaik
Mumbai                           Asst. Manager
(IN 200019)                      Videocon Appliances Limited
                                 171C, 17th Floor, Mittal Court
                                 Nariman Point
MCS                              Mr/.Sanjay Chudnaik
IN200019                         Asst. Manager
                                 Videocon Appliances Limited
                                 171C, 17th Floor, Mittal Court
                                 Nariman Point
MCS Limited                         Mr/.Sanjay Chudnaik
Mumbai                              Asst. Manager
(IN 200019)                         Videocon Communications Ltd.
                                    171C, 17th Floor, Mittal Court
                                    Nariman Point
MCS                                 Mr/.Sanjay Chudnaik
IN200019                            Asst. Manager
                                    Videocon Communications Ltd.
                                    171C, 17th Floor, Mittal Court
                                    Nariman Point
MCS LTD, MUMBAI                     Mr.Vinod Kumar Bohra
IN200019                            Company Secretary
                                    Auto Cars Compound
                                    Adalat Road
                                    Aurangabad - 431 005
IN200561                            MR. RAJESH SHAH                      BBB,CARE,DT-12-08-2010
PURVA SHAREGISTRY                   DIRECTOR
                                    PURVA SHAREGISTRY
                                    9 SHIV SHAKTI IND. ESTT.
                                    J R BORICHA MARG
PURVA SHAREGISTRY                   MR. RAJESH SHAH
IN200561                            DIRECTOR
                                    PURVA SHAREGISTRY
                                    9 SHIV SHAKTI IND. ESTT.
                                    J R BORICHA MARG
PURVA SHAREGISTRY                   MR. RAJESH SHAH
IN200561                            DIRECTOR
                                    PURVA SHAREGISTRY
                                    9 SHIV SHAKTI IND. ESTT.
                                    J R BORICHA MARG
MCS LTD, MUMBAI                     Mr. M. Jayarajan
IN200019                            Chief Manager, Central Accounts Dept
                                    VIJAYA BANK
                                    41/2, M.G. Road
                                    Trinity Circle
MCS LTD, MUMBAI                     Mr. M. Jayarajan
IN200019                            Chief Manager, Central Accounts Dept
                                    VIJAYA BANK
                                    41/2, M.G. Road
                                    Trinity Circle
INTIME SPECTRUM REGISTRY, MUMBAI    Mr. Gopalakrishnan Nair
IN200094                            Company Secretary
                                    VIJAYA BANK
                                    Head Office
                                    41/2, M.G.Road
INTIME SPECTRUM REGISTRY, MUMBAI    Mr. Gopalakrishnan Nair
IN200094                            Company Secretary
                                    Head Office
                                    41/2, M.G.Road
                                    BANGALORE - 560 001
INTIME SPECTRUM REGISTRY, MUMBAI    Mr. Gopalakrishnan Nair
IN200094                            Company Secretary
                                    Head Office
                                    41/2, M.G.Road
                                    BANGALORE - 560 001
INTIME SPECTRUM REGISTRY, MUMBAI    Mr. Gopalakrishnan Nair
IN200094                            Company Secretary
                                    VIJAYA BANK
                                    Head Office
                                    41/2, M.G.Road
LINK INTIME INDIA PRIVATE LIMITED   Mr. Subrat Kumar
IN200094                            Asst General Manager
                                    Treasury Management Dept
                                    41/2, M.G.Road
                                    BANGALORE - 560 001
KARVY COMPUTERSHARE PVT LTD.-4      Mr. M.R.V. Subrahmanyam
IN200800                            Deputy General Manager
                                    Plot No. 17 to 24
                                    Vithalrao Nagar
                                    Madhapur
Integrated Enterprises (I) Limited (BP Mr. R. Murali
Id IN200264).                          Sr. Manager
                                       Integrated Enterprises (India) Ltd.
                                       IInd Floor, Kences Towers, No.1,
                                       Ramakrishna Street,
CAMEO CORPORATE SERVICES LTD           Mr. Vikram Kapur
IN200176                               Member Secretary,WSPF
                                       VAIRAM COMPLEX
                                       1ST FLOOR,112,
                                       SIR THEYAGARAYA ROAD,T.NAGAR,
CAMEO CORPORATE SERVICES LTD           Mr. Vikram Kapur
IN200176                               Member Secretary,WSPF
                                       WATER AND SANITATION POOLED
                                       FUND
                                       VAIRAM COMPLEX
LINK INTIME INDIA PRIVATE LIMITED      Mr. Nikunj Daftary
IN200094                               Head - Depository & IPO
                                       Intime Spectrum Registry Ltd.
                                       C13. pannalal Silk Mills Compound
                                       L.B.S Marg,
LINK INTIME INDIA PRIVATE LIMITED      Mr. Nikunj Daftary
IN200094                               Head - Depository & IPO
                                       Intime Spectrum Registry Ltd.
                                       C13. pannalal Silk Mills Compound
                                       L.B.S Marg,
INTIME SPECTRUM REGISTRY, MUMBAI Mr. Nikunj Daftary
IN200094                               Head - Depository & IPO
                                       C13. pannalal Silk Mills Compound
                                       L.B.S Marg,
                                       Bhandup West
INTIME SPECTRUM REGISTRY, MUMBAI Mr. Nikunj Daftary
IN200094                               Head - Depository & IPO
                                       C13. pannalal Silk Mills Compound
                                       L.B.S Marg,
                                       Bhandup West
MCS Ltd.                               Same as above
(IN200019)



CB Management Services Pvt. Ltd.       Same as above
(IN200221)



CB Management Services Pvt. Ltd.       Same as above
(IN200221)



CB Management Services Pvt. Ltd.       Same as above
(IN200221)



CB Management Services Pvt. Ltd.       Same as above
(IN200221)



CB Management Services Pvt. Ltd.       Mr. M.M. Chakraborty
(IN200221)                             General Manager(FA & A)
                                       West Bengal Financial Corporation
                                       12A, Netaji Subhas Road
                                       4th Floor, Kolkata 700 001
CB MGMT SERV PVT. LTD                  Mr. M.M. Chakraborty
IN200221                               General Manager
                                       West Bengal Financial Corporation
                                       12A, Netaji Subhas Road
                                       4th Floor, Kolkata 700 001
CB MGMT SERV PVT. LTD   Mr. M.M. Chakraborty
IN200221                General Manager (F&A)
                        WEST BENGAL FINANCIAL
                        CORPORATION
                        12A, Netaji Subhash Road
CB MGMT SERV PVT. LTD   Mr. T.K.Sinha
IN200221                Managing Director
                        WEST BENGAL FINANCIAL
                        CORPORATION
                        12A, Netaji Subhash Road
CB MGMT SERV PVT. LTD   Mr. T.K.Sinha
IN200221                Managing Director
                        WEST BENGAL FINANCIAL
                        CORPORATION
                        12A, Netaji Subhash Road
CB MGMT SERV PVT. LTD   Mr. T.K.Sinha
IN200221                Managing Director
                        WEST BENGAL FINANCIAL
                        CORPORATION
                        12A, Netaji Subhash Road
CB MGMT SERV PVT. LTD   Mr. N.K. Babu
IN200221                General Manager (R&A)
                        WEST BENGAL FINANCIAL
                        CORPORATION
                        12A, Netaji Subhash Road
CB MGMT SERV PVT. LTD   Mr. N.K. Babu
IN200221                General Manager (R&A)
                        WEST BENGAL FINANCIAL
                        CORPORATION
                        12A, Netaji Subhash Road
CB MGMT SERV PVT. LTD   Mr. T.K.Sinha
IN200221                Managing Director
                        WEST BENGAL FINANCIAL
                        CORPORATION
                        12A, Netaji Subhash Road
CB MGMT SERV PVT. LTD   Mr. T.K.Sinha
IN200221                Managing Director
                        WEST BENGAL FINANCIAL
                        CORPORATION
                        12A, Netaji Subhash Road
CB MGMT SERV PVT. LTD   Mr. M. M. Chakrabarti
IN200221                General Manager - O&A
                        12A, Netaji Subhash Road
                        3rd & 4th Floor, Kolkata 700 001
CB MGMT SERV PVT. LTD   Mr. N.K. Basu
IN200221                General Manager (R&A)
                        WEST BENGAL FINANCIAL
                        CORPORATION
                        12A, Netaji Subhash Road
CB MGMT SERV PVT. LTD   Mr. N.K. Basu
IN200221                General Manager (R&A)
                        WEST BENGAL FINANCIAL
                        CORPORATION
                        12A, Netaji Subhash Road
CB MGMT SERV PVT. LTD   Mr. N.K. Basu
IN200221                General Manager (R&A)
                        WEST BENGAL FINANCIAL
                        CORPORATION
                        12A, Netaji Subhash Road
CB MGMT SERV PVT. LTD   Mr. T.K.Sinha
IN200221                Managing Director
                        12A, Netaji Subhash Road
                        3rd & 4th Floor
                        Kolkata 700 001
CB MGMT SERV PVT. LTD   Mr. M. M. Chakrabarti
IN200221                General Manager - O&A
                        12A, Netaji Subhash Road
                        3rd & 4th Floor, Kolkata 700 001
CB MGMT SERV PVT. LTD              Mr. M. M. Chakrabarti
IN200221                           General Manager - O&A
                                   12A, Netaji Subhash Road
                                   3rd & 4th Floor, Kolkata 700 001
CB MGMT SERV PVT. LTD              Mr. M. M. Chakrabarti
IN200221                           General Manager - O&A
                                   12A, Netaji Subhash Road
                                   3rd & 4th Floor, Kolkata 700 001
CB MGMT SERV PVT. LTD              Mr. M. M. Chakrabarti
IN200221                           General Manager - O&A
                                   12A, Netaji Subhash Road
                                   3rd & 4th Floor, Kolkata 700 001
CB MGMT SERV PVT. LTD              Mr. M. M. Chakrabarti
IN200221                           General Manager - O&A
                                   WEST BENGAL FINANCIAL
                                   CORPORATION
                                   12A, Netaji Subhash Road
CB MGMT SERV PVT. LTD              Mr. Kamal Chakrabarti
IN200221                           Managing Director
                                   WEST BENGAL FINANCIAL
                                   CORPORATION
                                   12A, Netaji Subhash Road
INTIME SPECTRUM REGISTRY, MUMBAI   Mr. S. Bhattacharya
IN200094                           Company Secretary
                                   WEST BENGAL INFRASTRUCTURE
                                   DEVELOPMENT FIN. CORP LTD.
                                   3/2, Dalhousie Square (East)
INTIME SPECTRUM REGISTRY, MUMBAI   Mr. S. Bhattacharya
IN200094                           Company Secretary
                                   WEST BENGAL INFRASTRUCTURE
                                   DEVELOPMENT FIN. CORP LTD.
                                   3/2, Dalhousie Square (East)
KARVY COMPUTERSHARE PVT. LTD.      Mr. V. Mahesh
IN200035                           Vice President
                                   Karvy House
                                   No. 46, Avenue, No. 4
                                   Street No.1, Banjara Hills
KARVY COMPUTERSHARE PVT. LTD.      Mr. S. Bhattacharya
IN200035                           Company Secretary
                                   WEST BENGAL INFRASTRUCTURE
                                   DEVELOPMENT FIN. CORP LTD.
                                   3/2, Dalhousie Square (East)
INTIME SPECTRUM REGISTRY, MUMBAI   Mr. S. Bhattacharya
IN200094                           Company Secretary
                                   WEST BENGAL INFRASTRUCTURE
                                   DEVELOPMENT FIN. CORP LTD.
                                   3/2, Dalhousie Square (East)
INTIME SPECTRUM REGISTRY, MUMBAI   Mr. S. Bhattacharya
IN200094                           Company Secretary
                                   WEST BENGAL INFRASTRUCTURE
                                   DEVELOPMENT FIN. CORP LTD.
                                   3/2, Dalhousie Square (East)
KARVY COMPUTERSHARE PVT. LTD.      Mr Ananya Kumar Kali
IN200035                           Company Secretary
                                   WEST BENGAL INFRASTRUCTURE
                                   DEVELOPMENT FIN. CORP LTD.
                                   Mangalam Building;Block A,1st Floor
INTIME SPECTRUM REGISTRY, MUMBAI   Mr. S. Bhattacharya
IN200094                           Company Secretary
                                   WEST BENGAL INFRASTRUCTURE
                                   DEVELOPMENT FIN. CORP LTD.
                                   3/2, Dalhousie Square (East)
INTIME SPECTRUM REGISTRY, MUMBAI   Mr. S. Bhattacharya
IN200094                           Company Secretary
                                   WEST BENGAL INFRASTRUCTURE
                                   DEVELOPMENT FIN. CORP LTD.
                                   3/2, Dalhousie Square (East)
KARVY COMPUTERSHARE PVT. LTD.       Mr Ananya Kumar Kali
IN200035                            Company Secretary
                                    WEST BENGAL INFRASTRUCTURE
                                    DEVELOPMENT FIN. CORP LTD.
                                    Mangalam Building;Block A,1st Floor
KARVY COMPUTERSHARE PVT. LTD.       Mr Ananya Kumar Kali
IN200035                            Company Secretary
                                    WEST BENGAL INFRASTRUCTURE
                                    DEVELOPMENT FIN. CORP LTD.
                                    Mangalam Building;Block A,1st Floor
KARVY COMPUTERSHARE PVT. LTD.       Mr. V.K. Jayaraman
IN200035                            Asst. General Manger
                                    Karvy Computershare Pvt Ltd.
                                    Karvy House, 46
                                    Avenue-4, Street No. 1,Banjara Hills
KARVY COMPUTERSHARE PVT. LTD.       Mr. V.K. Jayaraman
IN200035                            Asst. General Manger
                                    Karvy Computershare Pvt Ltd.
                                    Karvy House, 46
                                    Avenue-4, Street No. 1,Banjara Hills
KARVY IN200035                      Mr. V. Mahesh/Mr. V.K. Jayaraman
                                    Vice President
                                    KARVY COMPUTERSHARE P. LTD
                                    46, Road No. 4, Street No. 1,
                                    Banjara Hills, Hyderabad 500 034
KARVY IN200035                      Mr. V. Mahesh/Mr. V.K. Jayaraman
                                    Vice President
                                    KARVY COMPUTERSHARE P. LTD
                                    46, Road No. 4, Street No. 1,
                                    Banjara Hills, Hyderabad 500 034
KARVY                               Mr. V. Mahesh
IN200035                            Mr. V.K. Jayaraman
                                    Vice President
                                    Karvy Consultants Limited
                                    46 Avenue 4, Street No. 1
KARVY                               Mr. V. Mahesh
IN200035                            Mr. V.K. Jayaraman
                                    Vice President
                                    Karvy Consultants Limited
                                    46 Avenue 4, Street No. 1
KARVY                               Mr. V. Mahesh
IN200035                            Mr. V.K. Jayaraman
                                    Vice President
                                    Karvy Consultants Limited
                                    46 Avenue 4, Street No. 1
KARVY                               Mr. V. Mahesh
IN200035                            Mr. V.K. Jayaraman
                                    Vice President
                                    Karvy Consultants Limited
                                    46 Avenue 4, Street No. 1
CB MGMT SERV PVT. LTD               Mr. S. K. Rakshit
IN200221                            Sr. Manager - Loans & Bond
                                    WEST BENGAL STATE ELECTRICITY
                                    BOARD
                                    "Vidyut Bhawan"
CB MGMT SERV PVT. LTD               Mr. S. K. Rakshit
IN200221                            Sr. Manager - Loans & Bond
                                    WEST BENGAL STATE ELECTRICITY
                                    BOARD
                                    "Vidyut Bhawan"
LINK INTIME INDIA PRIVATE LIMITED
IN200094



LINK INTIME INDIA PRIVATE LIMITED   MR. SHYAMAL KR. SEN
IN200094                            GENERAL MANAGER (F & A)
                                    WEST BENGAL STATE ELECTRICITY
                                    DISTRIBUTION COMPANY LIMITED
                                    BIDYUR BHAVAN, 7TH FLOOR
INTIME SPECTRUM REGISTRY, MUMBAI Ms. Jyotsana Herwadkar
IN200094                          Company Secretary
                                  WEST GUJARAT EXPRESSWAY LIMITED
                                  THE IL & FS Financial Center
                                  Plot C-22, G Block
Sharepro Services (India)Pvt.Ltd. Mr Sameer Raval
IN200043                          Company Secretary
                                  Continental Building, 135,
                                  Dr. A.B.Road,
                                  Worli, Mumbai - 400 018
INTIME SPECTRUM REGISTRY, MUMBAI MR. SANJEEV NANDU
IN200094                          DIRECTOR - OPERATIONS
                                  C13, PANNALAL SILK MILLS COMPOUND
                                  L.B.S. MARG
                                  BHANDUP (WEST)
IN200094                          MR. SANJEEV KAPOOR                LAA,ICRA,DT-03-01-2011
LINK INTIME INDIA PRIVATE LIMITED COMPANY SECRETARY
                                  YES BANK LIMITED
                                  ION HOUSE,2ND FLOOR
                                  NEXT TO FAMOUS STUDIO
INTIME SPECTRUM REGISTRY, MUMBAI Mr. Sanjeev Kapoor
IN200094                          Company Secretary
                                  YES BANK LIMITED
                                  Ground Floor, Nehru Centre
                                  Discovery of India Bldg
INTIME SPECTRUM REGISTRY, MUMBAI Mr. Sanjeev Kapoor
IN200094                          Company Secretary
                                  Ground Floor, Nehru Centre
                                  Discovery of India Bldg.
                                  Dr.A.B.Road
INTIME SPECTRUM REGISTRY, MUMBAI Mr. Sanjeev Kapoor
IN200094                          Company Secretary
                                  Ground Floor, Nehru Centre
                                  Discovery of India Bldg
                                  Dr. Annie Besant Road
INTIME SPECTRUM REGISTRY, MUMBAI Mr. Sanjeev Kapoor
IN200094                          Company Secretary
                                  Ground Floor, Nehru Centre
                                  Discovery of India Bldg
                                  Dr. Annie Besant Road
INTIME SPECTRUM REGISTRY, MUMBAI Mr. Sanjeev Kapoor
IN200094                          Company Secretary
                                  Ground Floor, Nehru Centre
                                  Discovery of India Bldg
                                  Dr. Annie Besant Road
LINK INTIME INDIA PRIVATE LIMITED Mr. Sanjeev Kapoor
IN200094                          Company Secretary
                                  YES BANK LIMITED
                                  Ground Floor, Nehru Centre
                                  Discovery of India Bldg.
LINK INTIME INDIA PRIVATE LIMITED Mr. Sanjeev Kapoor
IN200094                          Company Secretary
                                  Ground Floor, Nehru Centre
                                  Discovery of India Bldg.
                                  Dr.A.B.Road
LINK INTIME INDIA PRIVATE LIMITED Mr. Sanjeev Kapoor
IN200094                          Company Secretary
                                  YES BANK LIMITED
                                  2nd Floor, Ion House
                                  Dr. E Moses Road,
INTIME SPECTRUM REGISTRY, MUMBAI Mr. Sanjeev Kapoor
IN200094                          Company Secretary
                                  YES BANK LIMITED
                                  Ground Floor, Nehru Centre
                                  Discovery of India Bldg
INTIME SPECTRUM REGISTRY, MUMBAI Mr. Sanjeev Kapoor
IN200094                          Company Secretary
                                  YES BANK LIMITED
                                  Ground Floor, Nehru Centre
                                  Discovery of India Bldg
INTIME SPECTRUM REGISTRY, MUMBAI Mr. Sanjeev Kapoor
IN200094                          Company Secretary
                                  YES BANK LIMITED
                                  Ground Floor, Nehru Centre
                                  Discovery of India Bldg
INTIME SPECTRUM REGISTRY, MUMBAI Mr. Sanjeev Kapoor
IN200094                          Company Secretary
                                  YES BANK LIMITED
                                  Ground Floor, Nehru Centre
                                  Discovery of India Bldg.
INTIME SPECTRUM REGISTRY, MUMBAI Mr. Sanjeev Kapoor
IN200094                          Company Secretary
                                  YES BANK LIMITED
                                  Ground Floor, Nehru Centre
                                  Discovery of India Bldg
INTIME SPECTRUM REGISTRY, MUMBAI Mr. Sanjeev Kapoor
IN200094                          Company Secretary
                                  YES BANK LIMITED
                                  Ground Floor, Nehru Centre
                                  Discovery of India Bldg.
INTIME SPECTRUM REGISTRY, MUMBAI Mr. Sanjeev Kapoor
IN200094                          Company Secretary
                                  Ground Floor, Nehru Centre
                                  Discovery of India Bldg
                                  Dr. Annie Besant Road
INTIME SPECTRUM REGISTRY, MUMBAI Mr. Sanjeev Kapoor
IN200094                          Company Secretary
                                  Ground Floor, Nehru Centre
                                  Discovery of India Bldg.
                                  Dr.A.B.Road
INTIME SPECTRUM REGISTRY, MUMBAI Mr. Sanjeev Kapoor
IN200094                          Company Secretary
                                  Ground Floor, Nehru Centre
                                  Discovery of India Bldg.
                                  Dr.A.B.Road
INTIME SPECTRUM REGISTRY, MUMBAI Mr. Sanjeev Kapoor
IN200094                          Company Secretary
                                  Ground Floor, Nehru Centre
                                  Discovery of India Bldg.
                                  Dr.A.B.Road
LINK INTIME INDIA PRIVATE LIMITED Mr. Sanjeev Kapoor
IN200094                          Company Secretary
                                  YES BANK LIMITED
                                  2nd Floor, Ion House
                                  Dr. E Moses Road,
INTIME SPECTRUM REGISTRY, MUMBAI Mr. Sanjeev Kapoor
IN200094                          Company Secretary
                                  Ground Floor, Nehru Centre
                                  Discovery of India Bldg.
                                  Dr.A.B.Road
INTIME SPECTRUM REGISTRY, MUMBAI Mr Sanjeev Kapoor
IN200094                          Company Secretary
                                  9th Floor, Nehru Centre,
                                  Discovery of Idia Bldg.,
                                  Dr.A.B.Road, Worli,
LINK INTIME INDIA PRIVATE LIMITED Mr Sanjeev Kapoor
IN200094                          Company Secretary
                                  YES BANK LIMITED
                                  9th Floor, Nehru Centre,
                                  Discovery of Idia Bldg.,
LINK INTIME INDIA PRIVATE LIMITED Mr Sanjeev Kapoor
IN200094                          Company Secretary
                                  YES BANK LIMITED
                                  9th Floor, Nehru Centre,
                                  Discovery of Idia Bldg.,
LINK INTIME INDIA PRIVATE LIMITED Mr. Sanjeev Kapoor
IN200094                          Company Secretary
                                  YES BANK LIMITED
                                  ION House, Dr. E. Moses Road
                                  Mahalaxmi
Arranger/Lead Manager to the issue Remarks




IFMR CAPITAL FINANCE PRIVATE LTD




                                   Debenture will be optionally
                                   redeemable partly or fully on
                                   07/09/2009 & 07/09/2011. Refer
                                   Issuer for further details
                                   Debentures will be redeemable in 10
                                   equal installments starting from
                                   31/03/2012 till 20/06/2014




                                   Zero Coupon bond shall be repaid in
                                   bullet redempn on 31/12/16 along
                                   with redemption premium of 150%


                                   Debenture Redeemed in 3 equal
                                   Instalments starting from 26th July,
                                   2015 till 26th July, 2017




                                   Remark on Redemption date :
                                   Partial-
                                   Rs.25,000 - 26/12/08
                                   Rs.25,000 -26/12/09
                                   Rs.25,000 - 26/12/10
                                   Issue date / Allotment date :
                                   13/03/2002
                                   26/03/2002
                                   21/04/2002
                                   24/04/2002
                                    Remark on Redemption date : Rs.
                                   30,000 on 06-Aug-10
                                   Rs. 30,000 on 06-Aug-11
                                   Rs. 40,000 on 06-Aug-12
Remark on Redemption date :
25% on 09-Mar-2012, 25% on 09-Mar-
2013, 25% on 09-Mar-2014 & 25% on 09-
Mar-2015




Debentures will be redeemable in 4
install ments on 28/09/2012,
29/03/2013, 27/09/2013 &
28/03/2014.




Average rate @ 8.50%, refer issuer for
further details.



Average rate @ 8.50%, refer issuer for
further details.




Debenture will be redeemable in 8
equal semi annual installments
starting from 17/02/2013 till 17/08
                                   Debenture will be redeemable in 8
                                   equal semi annual installments
                                   starting from 17/02/2013 till 17/08



                                   Debenture will be redeemable in 96
                                   equal monthly instalment of Rs
                                   2083334/- starting for 01/07/2010
Arranger- DARASHAW & COMPANY PVT
LTD, ICICI BANK



                                   Contact issuer for conversion details




NA                                 Redemption Date:At the end of 18
                                   months i.e.10/08/2012,However
                                   voluntary redemption may take place
                                   after a period of 12 months from the
                                   date of issue subject to approval of




                                   Debenture will be redeemable in 22
                                   equal half yearly instalments
                                   commencing from 23rd
                                   September,2011 to 23rd
                                   Debenture will be redeemable in 22
                                   equal half yearly installments
                                   commencing from 14th February,2012
                                   to 14th August,2022
                                   Debenture will be redeemable in 22
                                   equal half yearly installments
                                   commencing from 14th February,2012
                                   to 14th August,2022
Mr. J. Radhakrishnan
Company Secretary
SHRIRAM - CITY UNION FINANCE
LIMITED
Mookambika Complex, 4th Floor
                                 Debentures will be redeemable at the
                                 end of 5th,6th,7th year
                                 i.e.23/11/2015,23/11/2016 &
                                 23/11/2017
                                 First 2 years 9.00% subsequent year 12
                                 month INR MIOIS+3.00% p.a.



Arranger- SPA MERCHANT BANKERS   Debenture will be redeemable in 5
LTD                              equal installment of 20% each on
                                 04/02/2017, 04/02/2018,
                                 04/02/2019, 04/02/2020 &
                                 04/02/2021.




                                 Coupon rate : From 14/05/2010 till
                                 13/05/2012, 8.50%. From 14/05/2012
                                 till 14/05/2013, 1 Year INBMK
Senior Citizen shall be entitled to an
additional interest at the rate of
0.25% per annum.Debenture


Senior Citizen shall be entitled to an
additional interest at the rate of
0.25% per annum.Debenture




Mr. Parag Sharma
Vice President - Finance
SHRIRAM TRANSPORT FINANCE
COMPANY LIMITED
Wockhardt Towers, 3rd Floor
Mr. Parag Sharma
Vice President - Finance
SHRIRAM TRANSPORT FINANCE
COMPANY LIMITED
Wockhardt Towers, 3rd Floor




Senior Citizen (First allottee) in the
reserved individual portion shall be
entitled to an additiona


Debenture will be redeemable in 3
installments. 40% (Rs.400) on
01/06/2013,40% (Rs.400) on
01/06/201
Debenture will be redeemable in 3
installments. 40% (Rs.400) on
01/06/2013,40% (Rs.400) on
01/06/201
Debenture will be redeemable in 3
installments. 40% (Rs.400) on
01/06/2013,40% (Rs.400) on
01/06/201
Mr. Parag Sharma
Vice President - Finance
SHRIRAM TRANSPORT FINANCE
COMPANY LIMITED
Wockhardt Towers, 3rd Floor
Mr. Parag Sharma
Vice President - Finance
SHRIRAM TRANSPORT FINANCE
COMPANY LIMITED
Wockhardt Towers, 3rd Floor
Mr. Parag Sharma
Vice President - Finance
SHRIRAM TRANSPORT FINANCE
COMPANY LIMITED
Wockhardt Towers, 3rd Floor
Mr. Parag Sharma
Vice President - Finance
SHRIRAM TRANSPORT FINANCE
COMPANY LIMITED
Wockhardt Towers, 3rd Floor
1st year Fixed rate 9.35% & thereafter
1 year INBMK (reset annually) +3.25%



Mr. Parag Sharma
Vice President - Finance
SHRIRAM TRANSPORT FINANCE
COMPANY LIMITED
Wockhardt Towers, 3rd Floor
Mr. Parag Sharma
Vice President - Finance
SHRIRAM TRANSPORT FINANCE
COMPANY LIMITED
Wockhardt Towers, 3rd Floor




Senior Citizen (First allottee) in the
reserved individual portion shall be
entitled to an additiona
100% (Rs.1000) to be redeemed on
01/06/2017 plus a premium of
Rs.1000.




7% p.a. for the first two interest
payments & thereafter 1 year INBMK +
2.80%




Mr. Parag Sharma
Vice President - Finance
SHRIRAM TRANSPORT FINANCE
COMPANY LIMITED
Wockhardt Towers, 3rd Floor
Mr. Parag Sharma
Vice President - Finance
SHRIRAM TRANSPORT FINANCE
COMPANY LIMITED
Wockhardt Towers, 3rd Floor
Mr. Parag Sharma
Vice President - Finance
SHRIRAM TRANSPORT FINANCE
COMPANY LIMITED
Wockhardt Towers, 3rd Floor
Mr. Parag Sharma
Vice President - Finance
SHRIRAM TRANSPORT FINANCE
COMPANY LIMITED
Wockhardt Towers, 3rd Floor
Mr. Parag Sharma
Vice President - Finance
SHRIRAM TRANSPORT FINANCE
COMPANY LIMITED
Wockhardt Towers, 3rd Floor
Mr. Parag Sharma
Vice President - Finance
SHRIRAM TRANSPORT FINANCE
COMPANY LIMITED
Wockhardt Towers, 3rd Floor




100% (Rs.1000) to be redeemed on
01/03/2017 plus a premium of
Rs.1000.


100% (Rs.1000) to be redeemed on
01/12/2016 plus a premium of
Rs.1000.
Remark on Redemption date : 24
Quarterly instalments from 15th
December, 2005 to 15th September,
2011




MR.NIRANJAN BRAHMA
SECRETARIAL
SIMRAN WIND PROJECT PRIVATE
LIMITED
P-46A,




Debenture will be redeemable in 3
installment.33% on 18/02/2016,33%
on 18/02/2017& 34% on 18/02/2018




Debenture will be redeemable in 3
installments on
09/12/2011,09/03/2012 &
09/06/2012. Coupon rate 14.35% p.a.
are upto 31/12/2009 and 10% from
Debenture will be redeemable in 3
equal installments on
09/12/2011,09/03/2012 &
09/06/2012. Coupon rate 14.35% p.a.
are upto 31/12/2009 and 10% from
                       The bonds have lock in period of
                       three years from deemed date of
                       allotment till May 31, 2008


                       The bonds have lock in period of
                       three years from deemed date of
                       allotment till May 31, 2008




Arranger- ICICI BANK
The bonds have lock in period of 3
years from deemed date of allotment,
till February 28,2008


The bonds have lock in period of 3
years from deemed date of allotment,
till February 28,2008




Debenture will be redeemable in
31equal quarterly instalments starting
from 01/07/2007 & ending on
01/01/2015




Debenture will be redeemable in two
equal installments on 03/07/2012 &
on 03/07/2013
Debenture will redeemable in two
equal installments on 03/07/2012 &
on 03/07/2013


Debenture will be redeemable in two
equal installments on 10/07/2012 &
on 10/07/2013


Debenture will be redeemable in 26
equal instalment from 31/12/2006 to
31/03/2013


MR. SANJAY CHAURASIA
COMPANY SECRETARY
SREI EQUIPMENT FINANCE PRIVATE
LIMITED
VISHWAKARMA
     MR. SANJAY CHAURASIA
     COMPANY SECRETARY
     SREI EQUIPMENT FINANCE   PRIVATE
     LIMITED
     VISHWAKARMA
     MR. SANJAY CHAURASIA
     COMPANY SECRETARY
     SREI EQUIPMENT FINANCE   PRIVATE
     LIMITED
     VISHWAKARMA
     MR. SANJAY CHAURASIA
     COMPANY SECRETARY
     SREI EQUIPMENT FINANCE   PRIVATE
     LIMITED
     VISHWAKARMA
     MR. SANJAY CHAURASIA
     COMPANY SECRETARY
     SREI EQUIPMENT FINANCE   PRIVATE
     LIMITED
     VISHWAKARMA




     MR. SANJAY CHAURASIA
     COMPANY SECRETARY
     SREI EQUIPMENT FINANCE PRIVATE
     LIMITED
     VISHWAKARMA




     MR. SANJAY CHAURASIA
     COMPANY SECRETARY
     SREI EQUIPMENT FINANCE PRIVATE
     LIMITED
     VISHWAKARMA




NA




     MR. SANJAY CHAURASIA
     COMPANY SECRETARY
     SREI EQUIPMENT FINANCE PRIVATE
     LIMITED
     VISHWAKARMA
     MR. SANJAY CHAURASIA
     COMPANY SECRETARY
     SREI EQUIPMENT FINANCE PRIVATE
     LIMITED
     VISHWAKARMA




NA




     Debenture will be redeemable in 3
     installments.30% on26/08/2012,30%
     on 26/08/2013& 40% on 26/08/2014




     MR. SANJAY CHAURASIA
     COMPANY SECRETARY
     SREI EQUIPMENT FINANCE PRIVATE
     LIMITED
     VISHWAKARMA
     MR. SANJAY CHAURASIA
     COMPANY SECRETARY
     SREI EQUIPMENT FINANCE PRIVATE
     LIMITED
     VISHWAKARMA
Arranger- ICICI BANK LTD & TRUST
INVESTMENT ADVISORS LTD
Mr. Sandeep Lakhotia
Company Secretary / Secretarial
SREI INFRASTRUCTURE FINANCE
LIMITED
‘Viswakarma’
Mr. Sandeep Lakhotia
Company Secretary / Secretarial
SREI INFRASTRUCTURE FINANCE
LIMITED
‘Viswakarma’




Mr. Sandeep Lakhotia
Company Secretary / Secretarial
SREI INFRASTRUCTURE FINANCE
LIMITED
‘Viswakarma’




Remark on Redemption date : Partial
-
18/04/04 - Rs.1,56,250
18/10/04 - Rs.1,56,250
18/04/05 - Rs.1,56,250
Full
[Rs. 15/- on 25.08.2006, Rs. 15/- on
25.08.2007, Rs. 15/- on 25.08.2008,
Rs. 15/- on 25.08.2009, Rs. 15/- on
25.08.2010, Rs. 15/- on 25.08.2011,
Debentures will be redeemable in 3
installments.30% on 19/11/2012;30%
on 19/11/2013 & 40% on19/11/14
Final payout date is 15th August
2013




Mr Satish Gundewar
Senior Risk Manager
STANDARD CHARTERED INVESTMENTS
AND LOANS (INDIA) LIMITED
Oriental Building,364,
Refer issuer for further detail




Debenture holders shall have right to
convert the debentures in to Fully
paid Eq shares and/or prefe
9.85% for 1st 10 years and step up
rate of 10.35% if call option is not
exercised




9.35% for 1st 10 years and step up
rate of 9.85% if call option is not
exercised


The Bank may have a step up option
which may be exercised only once
during the whole life of the in


The Bank may have a step up option
which may be exercised only once
during the whole life of the in


The Bank may have a step up option
which may be exercised only once
during the whole life of the in


9.95% for 1st 10 years and step up
rate of 10.45% if call option is not
exercised


9.05%, The bank have a step up
option which may be exercised only
once during the whole life of the


The Bank may have a step up option
which may be exercised only once
during the whole life of the ins
Coupon rate: Fixed @9.25% p.a. if the
bank does not exercise call option
five years & one day after the date of
allotment , the bonds will accrue
interest at a higher rate, the coupon




9.00% for 1st 10 years and step up
rate of 9.50% for last 5 year if call
option is not exercised


8.96% for 1st 10 years and step up
rate of 9.46% for last 5 year if call
option is not exercised


8.97% for 1st 10 years and step up
rate of 9.47% for last 5 year if call
option is not exercised


8.98% for 1st 10 years and step up
rate of 9.48% for last 5 year if call
option is not exercised


8.85% for 1st 10 years and step up
rate of 9.35% for last 5 year if call
option is not exercised


8.88% for 1st 10 years and step up
rate of 9.38% for last 5 year if call
option is not exercised


9.37% for 1st 10 years and step up
rate of 9.87% for last 5 year if call
option is not exercised


10.20% for 1st 10 years and step up
rate of 10.70% for last 5 year if call
option is not exercised
8.90% for 1st 10 years and step up
rate of 9.40% for last 5 year if call
option is not exercised


9.15% for 1st 10 years and step up
rate of 9.65% for last 5 year if call
option is not exercised


9.15% for 1st 10 years and step up
rate of 9.65% for last 5 year if call
option is not exercised


Coupon rate: Fixed @9.50% p.a. if the
bank does not exercise call option ten
years & one day after the date of
allotment, the bonds will accrue
interest at a higher rate, the coupon
9.10% from 14/08/2009 upto but
excluding 14/08/2019. if Bonds are
not redeemed,interst rate from 14


Mr. A. V. Bidwe
Chief Manager
STATE BANK OF INDIA
Securities Service Branch
2nd floor, Mumbai Main branch Bldg,




bonds has a lockin period of three
years



8.95% for 1st 10 years and step up
rate of 9.45% for last 5 year if call
option is not exercised


10.25% for 1st 10 years and step up
rate of 10.75% for last 5 year if call
option is not exercised


9.17% for 1st 10 years and step up
rate of 9.67% for last 5 year if call
option is not exercised
Coupon rate step up to 9.45%
from15/11/2016 if call option not
exercised by bank


Coupon rate will step up by 0.50%
from 16/01/2018 if call option not
exercised




9.10% for first 10 years & step up
option of 50 bps over & above 9.10%
after 10 years from the dat




10.25% for 1st 10 years and step up
rate of 10.75% for last 5 year if call
option is not exercised


10.24% for 1st 10 years and step up
rate of 10.74% for last 5 year if call
option is not exercised




9.30% for 1st 10 years and step up
rate of 9.80% for last 5 year if call
option is not exercised


9.15% for 1st 10 years and step up
rate of 9.65% for last 5 year if call
option is not exercised


Mr. D Babu Jayaraj
DGM - Commercial Branch
STATE BANK OF PATIALA
Atlanta Bldg, 1st Floor,
Nariman Point
Coupon rate step up 10.15% if call
option is not exercised at the end of
10 yr from dt of allotment


Coupon rate step up 10.75% if call
option is not exercised at the end of
10 yr from dt of allotment


Coupon rate step up 10.45% if call
option is not exercised.



Coupon rate step up 9.84% if call
option is not exercised at the end of
10 yr from dt of allotment


Issue date / Allotment date : 05-Nov-
99
19-Nov-99
18-Feb-00
31-Mar-00
Mr. Devinder Kumar
Secretary
Steel Authority of India Ltd.
Ispat Bhavan, Lodi Road
New Delhi 110 003
Mr. Devinder Kumar
Secretary
Steel Authority of India Ltd.
Ispat Bhavan, Lodi Road
New Delhi 110 003
Mr. Devinder Kumar
Secretary
Steel Authority of India Ltd.
Ispat Bhavan, Lodi Road
New Delhi 110 003
Mr. Devinder Kumar
Secretary
Steel Authority of India Ltd.
Ispat Bhavan, Lodi Road
New Delhi 110 003
Mr. Devinder Kumar
Secretary
Steel Authority of India Ltd.
Ispat Bhavan, Lodi Road
New Delhi 110 003
                                    Debenture will be redeemable in 20
                                    quarterly installments starting from
                                    05/11/2010 to 05/08/2015




Arranger- SPA MERCHANT BANKER LTD




Arranger- ALTIUS FINSERV PVT LTD




NA




Arranger-ALTIUS FINSERV PVT LTD




DERIVIUM , TRUST INVESTMENT




Arranger- DERIVIUM TRADITION
SECURITIES PVT LTD



NA




Arranger-Altius Finserv Private
Limited
Mr. S. Ramabadran
Executive Director & Company
Secretary
SUNDARAM BNP PARIBAS HOME
FINANCE LIMITED




Mr. S. Ramabadran
Executive Director & Company
Secretary
SUNDARAM BNP PARIBAS HOME
FINANCE LIMITED
                                     Mr. S. Ramabadran
                                     Executive Director & Company
                                     Secretary
                                     SUNDARAM BNP PARIBAS HOME
                                     FINANCE LIMITED
                                     Mr. S. Ramabadran
                                     Executive Director & Company
                                     Secretary
                                     SUNDARAM BNP PARIBAS HOME
                                     FINANCE LIMITED




Arranger-DERIVIUM TRADITION
SECURITIES (INDIA) PVT.LTD




Arranger- A K CAPITAL SERVICES LTD




Arranger- ICICI BANK LTD




NA
Mr. S. Balakrishnan
Manager - Finance
SUNDARAM FINANCE LIMITED
Sundaram Finance Limited
No. 4, Patullos Road
Mr. S. Balakrishnan
Manager - Finance
SUNDARAM FINANCE LIMITED
Sundaram Finance Limited
No. 4, Patullos Road
Mr. S. Balakrishnan
Manager - Finance
SUNDARAM FINANCE LIMITED
Sundaram Finance Limited
No. 4, Patullos Road
                                    Mr. S. Balakrishnan
                                    Manager - Finance
                                    SUNDARAM FINANCE LIMITED
                                    Sundaram Finance Limited
                                    No. 4, Patullos Road




Arranger- BNK SECURITIES PVT
LTD,DERIVIUM TRADITION SECURITIES
PVT LTD




                                    Partial Quarterly Redemption from
                                    01/04/2006 to 01/07/2012 (for
                                    Further detail contact issuer)
Convertible in to equity shares.
Contact issuer for conversion details.




9.35% p.a.(step up option coupon
9.85% from 27/07/2016,if call option
not exercised)


Coupon rate will be step up to 9.80% ,
if the call option is not exercised
after 10 yrs by bank


Coupon rate step up 9.90% if call
option is not exercised at the end of
10 yr from dt of allotment


Coupon rate step up 10.40% if call
option is not exercised at the end of
10 yr from dt of allotment
                                      8.90% p.a.for 10 years & 9.40% p.a
                                      thereafter if call option is not
                                      exercised after 10 years


Arranger/Lead Manager to the issue-   Debentures will be redeemed in three
Enam Securities pvt ltd & Axis Bank   installments on 21/01/2015,
ltd                                   21/01/2016 & 21/01/2017 .


                                      9.8% per annuam if call option not
                                      exercised then 10.05%.



                                      9.80% p.a.. If call option not
                                      exercised then 10.05%.




                                      Redeemable in 18 quarterly
                                      installments starting from 31/03/2011
                                      till 30/06/2015


                                      Bonds will be redeemable in 3
                                      installments.35% on 15/09/09; 35%
                                      on 15/09/10; 30% on 15/09/11


                                      Debenture will be redeemable in 3
                                      installments starting from 01/02/2013
                                      to 01/02/2015



                                      Bonds will be redeemable in 3 annual
                                      installments on 35% on 01/04/2013;
                                      35% on 01/04/2014 & 30% on
                                      01/04/2015
                                      Redeemable in 3 annual installments
                                      on 30% on 03/11/2013; 30% on
                                      03/11/2014 & 40% on 03/11/2015


                                      Redeemable in 3 annual installments
                                      on 30% on 26/12/2013; 30% on
                                      26/12/2014 & 40% on 26/12/2015




                                      Debenture will be redeemable in 3
                                      annual installments.30% on
                                      04/05/2017; 30% on 04/05/2018 &
                                      40% o
                                      Debenture will be redeemable in 3
                                      annual installments.30% on
                                      30/06/2017; 30% on 30/06/2018 &
                                      40% o
Mr. K. Sundaravadhanam
Dy. Financial Controller-Resources
TAMILNADU ELECTRICITY BOARD
N.P.K.R.R. Maaligai, 7th Floor
800, Anna Salai
Mr. K. Sundaravadhanam
Dy. Financial Controller-Resources
TAMILNADU ELECTRICITY BOARD
N.P.K.R.R. Maaligai, 7th Floor
800, Anna Salai
Debenture will be redeemable in 3
installments.30% on 19/02/2018; 30%
on 19/02/2019 & 40% on 19/02/2


Bonds will be redeemable in 5
installments,07/02/2017-20%,
07/02/2018-20%, 07/02/2019-20%,
07/02/2020-20% & 07/02/2021 - 20%.
Bonds will be redeemable in 3
installments, 07/07/2019-30%,
07/07/2020-30% & 07/07/2021-40% .




Debenture will be redeemable in 8
equal annual installments starting
from 13/11/2006 till 13/11/2014
Ms Avan Doomasia
Dy Company Secretary
TATA CAPITAL LIMITED
Bombay House
24,Homi Modi Street
Ms Avan Doomasia
Dy Company Secretary
TATA CAPITAL LIMITED
Bombay House
24,Homi Modi Street
Ms Avan Doomasia
Dy Company Secretary
TATA CAPITAL LIMITED
Bombay House
24,Homi Modi Street
Ms Avan Doomasia
Dy Company Secretary
TATA CAPITAL LIMITED
Bombay House
24,Homi Modi Street




Ms Avan Doomasia
Dy Company Secretary
TATA CAPITAL LIMITED
Bombay House
24,Homi Modi Street
Ms Avan Doomasia
Dy Company Secretary
TATA CAPITAL LIMITED
Bombay House
24,Homi Modi Street




Zero coupon Debenture giving yield of
9.15% p.a. on XIRR basis.



Ms Avan Doomasia
Dy Company Secretary
TATA CAPITAL LIMITED
Bombay House
24,Homi Modi Street




Ms Avan Doomasia
Dy Company Secretary
TATA CAPITAL LIMITED
Bombay House
24,Homi Modi Street
Ms Avan Doomasia
Dy Company Secretary
TATA CAPITAL LIMITED
Bombay House
24,Homi Modi Street




7.75% p.a. for 1st year,7.75% p.a. for
2nd year & 8.05% p.a. for 3rd year.




Ms Avan Doomasia
Dy Company Secretary
TATA CAPITAL LIMITED
Bombay House
24,Homi Modi Street
Ms Avan Doomasia
Dy Company Secretary
TATA CAPITAL LIMITED
Bombay House
24,Homi Modi Street
Ms Avan Doomasia
Dy Company Secretary
TATA CAPITAL LIMITED
Bombay House
24,Homi Modi Street
Ms Avan Doomasia
Dy Company Secretary
TATA CAPITAL LIMITED
Bombay House
24,Homi Modi Street
Ms Avan Doomasia
Dy Company Secretary
TATA CAPITAL LIMITED
Bombay House
24,Homi Modi Street
Ms Avan Doomasia
Dy Company Secretary
TATA CAPITAL LIMITED
Bombay House
24,Homi Modi Street
                               Ms Avan Doomasia
                               Dy Company Secretary
                               TATA CAPITAL LIMITED
                               Bombay House
                               24,Homi Modi Street




Arranger- AXIS BANK LTD




Arranger- AXIS BANK LTD




Arranger- DERIVIUM TRADITION
SECURITIES PVT LTD




                               8.23% p.a. for 1st year,8.23% p.a. for
                               2nd year & 8.00% p.a.for 3rd year
Arranger- SPA SECURITIES LTD &
DARASHAW & CO PVT LTD




                                 Ms Avan Doomasia
                                 Dy Company Secretary
                                 TATA CAPITAL LIMITED
                                 Bombay House
                                 24,Homi Modi Street
                                 Ms Avan Doomasia
                                 Dy Company Secretary
                                 TATA CAPITAL LIMITED
                                 Bombay House
                                 24,Homi Modi Street
                                 Ms Avan Doomasia
                                 Dy Company Secretary
                                 TATA CAPITAL LIMITED
                                 Bombay House
                                 24,Homi Modi Street
Arranger- SPA SECURITIES LTD




                               Coupon rate :10%. The issuer retain
                               the option to step up the interest
                               rate only once during the lif


                               10.00% p.a.,The Issuer retain the
                               option to step up the rate only once
                               during the life of the perpetual
                               debentures after the expiry of 10
                               (ten) years from the date of issue of




                               Debenture will be redeemable in 3
                               equal instalment of Rs.50/- each on
                               29/12/2010,29/12/2011 &
                               29/12/2012




                               Deb will be redeemable in 3
                               installments on 40% on 25/11/2011 ;
                               40% on25/11/2012 & 20% on
                               25/11/2013
Debenture will be redeemable at a
premium of Rs.1,95,247 per NCD



Debenture will be redeemable at a
premium of 34.855%




Debenture will be redeemable in 3
installments.Rs.300000 on
07/01/2012;Rs.300000 on 07/01/2013
& Rs.
Mr. Vinay Lavannis
Dy Company Secrectary
TATA MOTORS FINANCE LIMITED
(FORMERLY TML FINANCIAL SERVICES
LTD.)




Mr. Vinay Lavannis
Dy Company Secrectary
TATA MOTORS FINANCE LIMITED
(FORMERLY TML FINANCIAL SERVICES
LTD.)
Mr. Vinay Lavannis
Dy Company Secrectary
TATA MOTORS FINANCE LIMITED
(FORMERLY TML FINANCIAL SERVICES
LTD.)
Mr. Vinay Lavannis
Dy Company Secrectary
TATA MOTORS FINANCE LIMITED
(FORMERLY TML FINANCIAL SERVICES
LTD.)




Mr. Vinay Lavannis
Dy Company Secrectary
TATA MOTORS FINANCE LIMITED
(FORMERLY TML FINANCIAL SERVICES
LTD.)




Mr. Vinay Lavannis
Dy Company Secrectary
TATA MOTORS FINANCE LIMITED
(FORMERLY TML FINANCIAL SERVICES
LTD.)
11.35% p.a.The step- up shall be 50
bps. In effect the coupon rate on the
NCDs shall be stepped up


Contact issuer for Redemption
Premium details



Contact issuer for Redemption
Premium details.



Contact issuer for Redemption
Premium details



Mr. Hoshang Sethna
Company Secretary
TATA MOTORS LIMITED (EARLIER
TATA ENGINEERING AND LOCOMOTIVE
CO. LTD)
Debenture shall be redeemable as
follows: 20% on 30/04/2022,20% on
30/04/2023,30% on 30/04/2024 & 30




Debenture will be redeemable in 3
equal instalment of Rs.1000/- each on
29/08/2010,29/08/2011 &
29/08/2012




Mr. F.N. Subedar
Senior Vice President & Company
Secretary
TATA SONS LIMITED
Bombay House




Mr. F.N. Subedar
Senior Vice President & Company
Secretary
TATA SONS LIMITED
Bombay House
                                     Mr. F.N. Subedar
                                     Senior Vice President & Company
                                     Secretary
                                     TATA SONS LIMITED
                                     Bombay House




ARRANGER-CITI GROUP GLOBAL
MARKET INDIA PVT LTD



Arranger- CITIGROUP GLOBAL MARKET
INDIA PVT LTD



Arranger- HSBC




Arranger- STANDARD CHARTERED
BANK



Arranger-BARCLAYS CAPITAL




Arranger- ICICI SECURITIES PRIMARY
DEALERSHIP LTD
                                 Debenture will be redeemable in
                                 three installments. Rs.3,30,000 on
                                 06/01/2029, Rs.3,30,000 on
                                 06/01/2030 & Rs. 3,40,000 on
                                 06/01/2031.
Arranger- JP MORGAN SECURITIES
INDIA PVT LTD, ICICI BANK LTD



Arranger- CITIGROUP GLOBAL       Unpaid interests will be cumulative
MARKETS INDIA PVT LTD            semi annually on compounding basis
                                 at the relevant rate.




                                 Debentures will be redeemable in 3
                                 equal installments on
                                 19/11/2014;19/11/2015 &
                                 19/11/2016
Remark on Redemption date : In 5
equal annual instalments on
23.07.2007
23.07.2008
23.07.2009




Mr. S.R. Venkatesan
Company Secretary
Tata Teleservices Ltd.
5th Floor, KLK Estate
Fateh Maidan Road




Debenture will be redeemable in two
installments on 29/11/2011 &
29/11/2012




Mr Niranjan Brahma
Company Secretary
TECHNO ELECTRIC AND ENGINEERING
CO. LTD
P-46A, RADHA BAZAR LANE
Coupon Rate: 10.00%, Stepped up by
50bps if call is not exercise at the end
of 10 year.


bonds has a lockin period of three
years
                                      Mr. Jayesh M. Trivedi
                                      General Manager (Secl & Legal)
                                      &Company Secretary
                                      The Great Eastern Shipping Company
                                      Ltd.
                                      Mr. Jayesh M. Trivedi
                                      General Manager (Secl & Legal)
                                      &Company Secretary
                                      The Great Eastern Shipping Company
                                      Ltd.
                                      Mr. Jayesh M. Trivedi
                                      General Manager (Secl & Legal)
                                      &Company Secretary
                                      The Great Eastern Shipping Company
                                      Ltd.
                                      Mr. Jayesh M. Trivedi
                                      General Manager (Secl & Legal)
                                      &Company Secretary
                                      The Great Eastern Shipping Company
                                      Ltd.




Arranger- Barclays Bank PLC & Trust
Investment Advisors ltd



Arranger- BARCLYAS BANK PLC, TRUST
INVESTMENT ADVISORS (P) LTD



Arranger- BARCLYAS BANK PLC &
TRUST INVESTMENT ADVISORS (P) LTD
Refer issuer for details regarding non
creation of security



Mr. Surender Sharma
Manager - Secretarial & Legal
THE INDIAN HOTELS COMPANY
LIMITED
The Indian Hotels Company Limited




Mr. Surender Sharma
Manager - Secretarial & Legal
THE INDIAN HOTELS COMPANY
LIMITED
The Indian Hotels Company Limited
Remark on Redemption date : In 4
Equal Annual Instalments Starting
From End Of 7th Year From Date Of
Issue : 14/10/2010, 14/10/2011,
14/10/2012, 14/10/2013.
Mr. Arun Gandotra
Executive Manager , Investment
Department
THE JAMMU & KASHMIR BANK LTD.
5th Flloor Merchant Chambers




Debenture will be redeemable in 4
equal installment on
15/10/2013,15/10/2014,15/10/2015
& 15/10/2016
Debenture will be redeemable in 4
equal installments on
16/07/2017,16/07/2018,16/07/2019
& 16/07/202
Remark on Redemption date : In 3
Annual instalments on
18.10.2013 - 30% with 6.75%premium
on face value
18.10.2014-40% with premium of
Arranger- STANDARD CHARTERED   11.40% p.a for first 10 years. 12.40%
BANK, YES BANK LTD             thereafter




NA




                               Final payout date is 23rd April 2012




                               Ms. Poonam Mirchandani
                               Compliance Officer
                               TML AUTO SECURITISATION TRUST
                               FEBRUARY 2010
                               The IL&FS Financial Centre
                               Ms. Poonam Mirchandani
                               Compliance Officer
                               TML AUTO SECURITISATION TRUST
                               FEBRUARY 2010
                               The IL&FS Financial Centre
                               Ms. Poonam Mirchandani
                               Compliance Officer
                               TML AUTO SECURITISATION TRUST
                               FEBRUARY 2010
                               The IL&FS Financial Centre
NA
Premium on redemption - Rs 193556/-
per debenture.Total Redemption
value - Rs.11,93,556/- per debent


Mr M M Surti
Company Secretary
TRENT LIMITED
Taj Building
2nd Floor, 210
Mr M M Surti
Company Secretary
TRENT LIMITED
Taj Building
2nd Floor, 210




Premium on Redemption- 9,12,787
per Debenture.




The CCD will be entitled to interest
(subject to withholding taxes)
equivalent to the amount of cash


Debenture will be redeemable in 3
installments in the ration of 30:30:40
respectively on 26/12/2012;
Mr.Deepinder Singh Bedi
Executive Director
TULIP TELECOM LIMITED
C-160, Okhla Industrial Area
Phase - I
Mr.Deepinder Singh Bedi
Executive Director
TULIP TELECOM LIMITED
C-160, Okhla Industrial Area
Phase - I
Debenture will be
redeemable in 4 annual
installments.25% on 31/10/2011;25%
on 31/10/2012;25% on 31/10/2013 &
25% on 31/10/2014
Mr.Deepinder Singh Bedi
Executive Director
TULIP TELECOM LIMITED
C-160, Okhla Industrial Area
Phase - I




Bullet redemption on 30-4-2014




Mr. H.L. Dave
Chief Manager - Forex
UCO BANK
Treasury Branch
Mafatlal Centre I Floor
                               bonds has a lockin period of three
                               years



                               9.28% for 1st 10 years and step up
                               rate of 9.78% if call option is not
                               exercised for the last 5 Yrs




                               Mr. H.L. Dave
                               Chief Manager - Forex
                               UCO BANK
                               Treasury Branch
                               Uco Bank Building
                               bonds has a lockin period of three
                               years




                               Redemption date 31/12/2012 is
                               subject to roll over of further one
                               year upto 31/12/2013.Contact issuer
                               for further details
Arranger- STANDARD CHARTERED
BANK



                               Company with th consent of the
                               debenture holder may redeem the
                               face value of the debentures, in part




                               Interest will be payable at a fixed
                               rate as follows :
                               1. From the deemed date of
                               allotment till the end of 5 years -
                               8.00% payable annually
Contact issuer for conversion details.




8.95% for 1st 10 years and step up
rate of 9.45% for last 5 year if call
option is not exercised


Bond will bear interest rate of 8.65%
p.a. & step up of 0.50% after lapse of
10 years in conjunctio


Mr. Anand Manvi
Dy General Manager
UNION BANK OF INDIA
66/80 Mumbai Samachar Marg
Fort
8.48% p.a. for first 10 years & 8.98%
p.a.for subsequent years if call option
is not exercised at th
Bond will bear interest rate of 9.10%
p.a. & step up of 0.50% if call option
is not exercised


Bond will bear interest rate of 8.85%
p.a. & step up of 0.50% after lapse of
10 years in conjuctio


11.15% till 09/09/2018 and stepped
up to 11.65% thereafter, if call option
is not exercised by bank


9.45% till 10/10/2016 and stepped up
to 9.95% thereafter, if call option is
not exercised by bank




Debenture will be redeemable in 4
equal installments on
15/11/2010,15/02/2011 ,16/05/2011
& 16/08/20
Debenture will be redeemable in 3
equal installments on
15/09/2011,15/12/2011 &
15/03/2012
10.65% for 1st 10 years and step up
rate of 11.15% for last 5 year if call
option is not exercised




Mr. M B Trivedi
Company Secretary
UNITED PHOSPHORUS LIMITED
UNIPHOS HOUSE,
Opp. Madhu Park,
Debenture will be redeemable in 3
equal annual installments on
27/01/2014;27/01/2015 &
27/01/2016
Mr. M B Trivedi
Company Secretary
UNITED PHOSPHORUS LIMITED
UNIPHOS HOUSE,
Opp. Madhu Park,




Mr. M B Trivedi
Company Secretary
UNITED PHOSPHORUS LIMITED
UNIPHOS HOUSE,
Opp. Madhu Park,




10.70% p.a.payable annually for first
10 years and 10.90% p.a.payable
annually for the 11th,12th,13th,14th
& 15th years if the call option is not
exercised.
Debenture will be redeemed in 8
equal instalment starting from
21/04/2012 till 21/01/2014
Debenture will be redeemed in 8
equal instalment starting from
04/05/2012 till 04/02/2014


Debenture will be redeemed in 8
equal instalment starting from
01/06/2012 till 01/03/2014


Debenture will be redeemed in 8
equal instalment starting from
01/06/2012 till 01/03/2014


Debenture will be redeemed in 8
equal instalment starting from
20/07/2012 till 20/04/2014


Debenture will be redeemed in 8
equal instalment starting from
11/08/2012 till 11/05/2014


The company debenture holder shall
have option to convert each
Debenture of the face value of Rs-100
into 10 equity share of the face value
of Rs-10/- each. The




Reddemable at part at the end of the
7th Year of the deemed date of
allotment 25th July, 2012




For Option I, Option II & Option III -
consolidated certificate number (s)
ranging from 1 to 12 and distinctive
number (s) ranging from 1 to 2,000.
All redemption shall be made only
with the prior approval of the
RBI.Coupon rate will be step 9.85% , if
the call option is not exercised by the
All redemption shall be made only
with the prior approval of the RBI.
Coupon rate will be step up to 10.50%
, if the call option is not exercised by
10.05% for first 10 Years and 11.05%
from 30-09-2016 if call option not
exercised by bank.


Mr. Rajendra Kumar Haran
Chief Gen. Manager (Legal) &
Company Secretary
Uttam Galva Steels Ltd.
Uttam House
Redeemable in 3 equated installments
on 23/10/2013 ; 23/10/2014 &
23/10/2015


Debenture will be redeemable in 16
quarterly instalments starting from
June 2010 to 31/03/2014.1st 8
instalment of Rs 250 lakhs,Next 4 instl
of Rs.312.50 lakhs,Next 4 instl of Rs
Debenture will be redeemable in 20
quarterly installments starting from
01/04/2007 to 01/01/2012




Contact Issuer for conversion details
Remark on Redemption date : 15
Equal annual instalments beginning
from 20th December, 2003 to 20th
December, 2017
Bonds will be redeemable in 5 equal
annual installments starting from
09/04/2014 till 09/04/2018


Redeemable in 5 equal instalment
starting from 09/09/2016 till
09/09/2020


Debenture will be redeemable in 5
equal annual installments starting
from 03/08/2021 till 03/08/2025


Debenture will be redeemable in 5
equal annual installments starting
from 28/09/2021 till 28/09/2025




Remark on Redemption date :
Redeemable in two equal annual
installments commencing from 30th
September, 2010 alongwith 25%
redemption premium payable
Mr. N.K. Basu
General Manager (R&A)
WEST BENGAL FINANCIAL
CORPORATION
12A, Netaji Subhash Road
Mr. N.K. Basu
General Manager (R&A)
WEST BENGAL FINANCIAL
CORPORATION
12A, Netaji Subhash Road
Remark on Redemption date :
60 Equal Quarterly Instalments From
1st April 2003 to 1st Jan 2018


Remark on Redemption date :
60 Quarterly Instalments From 1st
April 2003 to 1st Jan 2018
     1st Instalment shall be redeemed on
     31/03/2011 & balance in 36 equal
     quarterly installment commencing
     from 30/06/2011.Contact Issuer for
     Debenture will be redeemable in 4
     installments. 20% on 10/12/2010,20%
     on 10/06/2011,30% on 10/12/201


     Debenture will be redeemable in 4
     equal installments on
     07/08/2012;07/08/2013;07/08/2014
     & 07/08/2015
NA   The margin of 55 basis point and the
     average of the previous 3 business
     days one-year (1Y) FIMMDA commecial
     paper Benchmark rate which is
     appearing under the heading




     Mr Sanjeev Kapoor
     Company Secretary
     YES BANK LIMITED
     9th Floor, Nehru Centre,
     Discovery of Idia Bldg.,




     9.73% for 1st 10 years and step up of
     50bps if call option is not exercised



     9.60% for 1st 10 years and step up of
     50bps if call option is not exercised
10.00% for 1st 10 years and step up of
50bps if call option is not exercised



10.10% for 1st 10 years and step up of
50bps if call option is not exercised



10.40% for 1st 10 years and step up of
50bps if call option is not exercised



10.40% for 1st 10 years and step up of
50bps if call option is not exercised



10.40% for 1st 10 years and step up of
50bps if call option is not exercised




11.75% for 1st 10 years and step up of
100bps if call option is not exercised



Coupon rate: 9.50%, The bonds shall
have a step up option which shall be
exercised only once during


Step up of 50bps over & above the
initial coupon rate of 10.25% if call
option is not exercised


Step up of 50bps over & above the
initial coupon rate of 10.25% if call
option is not exercised.


Step up of 100bps over & above the
initial coupon rate of 10.25% if call
option is not exercised at


9.90% , The step up shall be 50 bps
over and above the initial coupon rate
of 9.90%, if call option


9.65% for 1st 10 years and step up of
70bps over and above initial coupon
rate of 9.65% if call opti

				
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