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FORM L 27 (Read with Regulation 10) Unit Linked Insurance Business Part - B Linked to Item 'C' of Form 3A (Part A) (` in lakhs) Periodicty of Submission: Quarterly Statement as on: 31 December 2019 TEL TIL TLL TFL TAL TSL TGM TGE TCG TLC Opening Balance (Market Value) Add: Inflow during the Quarter Increase / (Decrease) Value of Inv [Net] Less: Outflow during the Quarter TOTAL INVESTIBLE FUNDS (MKT VALUE) Approved Investments (>=75%) A Central G Central Govt Securities - - 2,634.82 41.70% - - 298.96 22.35% 3,931.33 22.83% 800.43 35.77% 99.97 25.49% 22.03 54.73% 272.13 71.76% - - B State Go State Governement Securities - - - - - - - - - - - - - - - - - C Other Ap Other Approved Securities - - 367.41 5.82% - - 193.85 14.49% - - - - - - - - - D Corpora Corporate Bonds - - 969.03 15.34% - - 538.52 40.26% 103.30 0.60% - - - - 10.95 2.89% - - E Infrastru Infrastructure Bonds - - 1,762.22 27.89% - - 203.99 15.25% 1,164.87 6.76% 230.15 10.28% 10.58 2.70% - 21.16 5.58% - - F Equity Equity 1,15,923.35 81.38% - - - - - - 10,314.98 59.90% 861.62 38.50% 223.70 57.04% 14.74 36.61% 27.52 7.26% 90,152.28 79.74% G Money M Money Market Investments 7,244.08 5.09% 273.91 4.34% 1,779.68 115.53% 54.99 4.11% 999.93 5.81% 272.89 12.19% 41.75 10.64% - 37.68 9.93% 7,779.93 6.88% H Mutual F Mutual funds - - - - - - - - - - - - - - - - - I Deposits Deposit with Banks - - - - - - - - - - - - - - - - - Sub Total ( Sub Total (A) 1,23,167.43 86.46% 6,007.39 95.09% 1,779.68 115.53% 1,290.31 96.48% 16,514.42 95.89% 2,165.10 96.74% 375.99 95.87% 36.77 91.34% 369.43 97.42% 97,932.21 86.63% Currrent A Current Assets Accured In Accrued Interest 0.98 0.00% 88.56 1.40% 0.05 0.00% 42.21 3.16% 109.54 0.64% 19.24 0.86% 2.56 0.65% 0.66 1.64% 6.58 1.73% 1.06 0.00% Dividend R Dividend Receivable - - - - - - - - - - - - - - - - - Bank Balan Bank Balance 1.46 0.00% 4.88 0.08% 4.88 0.32% 4.96 0.37% 5.41 0.03% 4.61 0.21% 1.70 0.43% 1.93 4.80% 0.61 0.16% 0.88 0.00% Receivable Receivable for Sale of investment - - - - - - - - - - - - 0.04 0.01% - - - - Other Curr Other Current Assets ( for investment) 7,054.68 4.95% 812.72 12.86% 93.96 6.10% 124.43 9.30% 799.22 4.64% 85.12 3.80% 2.56 0.65% 0.24 0.59% 15.72 4.14% 19,403.62 17.16% Less : Curr Less : Current Liabilities Payable fo Payable for Investment - - - - 244.16 15.85% - - - - - - 0.00 0.00% - - - - Fund Man Fund Mgmt charges Payable 8.00 0.01% 0.25 0.00% 0.04 0.00% 0.04 0.00% 0.89 0.01% 0.10 0.00% 0.02 0.01% 0.00 0.00% 0.02 0.00% 4.35 0.00% Other curr Other Current Liabilities ( for investment) 7,129.54 5.00% 816.63 12.93% 93.97 6.10% 124.42 9.30% 801.59 4.65% 85.27 3.81% 2.37 0.61% 0.24 0.59% 15.60 4.11% 19,268.99 17.04% Sub Total ( Sub Total (B) (80.43) -0.06% 89.28 1.41% -239.28 -15.53% 47.14 3.52% 111.69 0.65% 23.60 1.05% 4.46 1.14% 2.59 6.43% 7.29 1.92% 132.21 0.12% OTHER INV OTHER INVESTMENT (<=25%) A Corpora Corporate Bonds - - - - - - - - - - - - - - - - - B Infrastru Infrastructure Bonds - - 221.22 3.50% - - - - - - - - - - - - - C Equity Equity 7,849.29 5.51% - - - - - - 595.34 3.46% 49.27 2.20% 11.75 3.00% 0.90 2.23% 2.51 0.66% 9,230.78 8.17% D Mutual F Mutual Fund 11,515.00 8.08% - - - - - - - - - - - - - 5,757.50 5.09% E Others Others - - - - - - - - - - - - - - - - - F Others Sub Total- Sub Total- (C) 19,364.29 13.59% 221.22 0.04 - - - - 595.34 3.46% 49.27 2.20% 11.75 3.00% 0.90 2.23% 2.51 0.66% 14,988.28 13.26% Total (A+B Total (A+B+C) 1,42,451.30 100% 6,317.90 100% 1,540.40 100% 1,337.45 100% 17,221.45 100% 2,237.97 100% 392.20 100% 40.26 100% 379.23 100% 1,13,052.71 100% Fund carri Fund carried forward ( as per LB 2) 1,42,451.30 6,317.90 1,540.40 1,337.45 17,221.45 2,237.97 392.20 40.26 379.23 1,13,052.71 Note: 1. The aggregate of all the above Segregated Unit-Funds should reconcile with item C of FORM 3A (Part A), for both Par & Non Par Business 2. Details of Item 12 of FORM LB 2 which forms part of IRDA (Acturial Report) Regulation, 2000 shall be reconciled with FORM 3A (Part B). 3. Other Investments' are as permitted under Sec 27A(2) MV of Inv. MV of Inv. MV of Inv. MV of Inv. MV of Inv. MV of Inv. MV of Inv. MV of Inv. MV of Inv. MV of Inv. PARTICULARS INVESTMENT OF UNIT FUND Registration Number: 110 Name of the Insurer: TATA AIA LIFE INSURANCE COMPANY LIMITED Growth Maximizer Fund Growth Enabler Fund Capital Guarantee Fund Large Cap Equity Fund Equity Fund Income Fund Liquid Fund Short Term Fixed Income Fund Aggressive Growth Fund Stable Growth Fund ULIF 016 17/10/07 TGM 110 ULIF 015 17/10/07 TGE 110 ULIF 014 17/10/07 TCG 110 ULIF 017 07/01/08 TLC 110 ULIF 001 04/02/04 TEL 110 ULIF 002 04/02/04 TIL 110 ULIF 003 04/02/04 TLL 110 ULIF 008 01/07/06 TFL 110 ULIF 006 01/07/06 TAL 110 ULIF 007 01/07/06 TSL 110 392.20 40.26 379.23 1,13,052.71 1,42,451.30 6,317.90 1,540.40 1,337.45 17,221.45 2,237.97 (1.40) (1.13) (11.58) (5,395.31) (5,937.52) (715.34) (128.17) (106.53) (460.65) (68.66) 8.31 0.69 4.35 4,902.05 6,648.89 126.58 19.25 26.56 325.44 37.01 7.35 0.16 7.08 6,718.60 1,705.28 272.14 386.57 81.72 240.29 63.14 377.94 40.54 379.38 1,06,827.37 1,40,034.64 6,634.52 1,262.75 1,335.70 17,116.38 2,206.47 Growth Maximizer Fund Growth Enabler Fund Capital Guarantee Fund Large Cap Equity Fund Equity Fund Income Fund Liquid Fund Short Term Fixed Income Fund Aggressive Growth Fund Stable Growth Fund ULIF 017 07/01/08 TLC 110 ULIF 001 04/02/04 TEL 110 ULIF 002 04/02/04 TIL 110 ULIF 003 04/02/04 TLL 110 ULIF 008 01/07/06 TFL 110 ULIF 006 01/07/06 TAL 110 ULIF 007 01/07/06 TSL 110 ULIF 016 17/10/07 TGM 110 ULIF 015 17/10/07 TGE 110 ULIF 014 17/10/07 TCG 110
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Unit Linked Insurance Business Part - B Name of the ... · FORM L 27 (Read with Regulation 10) Unit Linked Insurance Business Linked to Item 'C' of Form 3A (Part A) Periodicty of

Aug 07, 2020

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Page 1: Unit Linked Insurance Business Part - B Name of the ... · FORM L 27 (Read with Regulation 10) Unit Linked Insurance Business Linked to Item 'C' of Form 3A (Part A) Periodicty of

FORM L 27

(Read with Regulation 10)

Unit Linked Insurance Business Part - B

Linked to Item 'C' of Form 3A (Part A) (` in lakhs)

Periodicty of Submission: Quarterly

Statement as on: 31 December 2019 TEL TIL TLL TFL TAL TSL TGM TGE TCG TLC

Opening Balance (Market Value)

Add: Inflow during the Quarter

Increase / (Decrease) Value of Inv [Net]

Less: Outflow during the Quarter

TOTAL INVESTIBLE FUNDS (MKT VALUE)

Approved Investments (>=75%)

A Central Government SecuritiesCentral Govt Securities - - 2,634.82 41.70% - - 298.96 22.35% 3,931.33 22.83% 800.43 35.77% 99.97 25.49% 22.03 54.73% 272.13 71.76% - -

B State Government securitiesState Governement Securities - - - - - - - - - - - - - - - - - - - -

C Other Approved SecuritiesOther Approved Securities - - 367.41 5.82% - - 193.85 14.49% - - - - - - - - - - - -

D Corporate bonds Corporate Bonds - - 969.03 15.34% - - 538.52 40.26% 103.30 0.60% - - - - - - 10.95 2.89% - -

E Infrastructure Bonds Infrastructure Bonds - - 1,762.22 27.89% - - 203.99 15.25% 1,164.87 6.76% 230.15 10.28% 10.58 2.70% - - 21.16 5.58% - -

F Equity Equity 1,15,923.35 81.38% - - - - - - 10,314.98 59.90% 861.62 38.50% 223.70 57.04% 14.74 36.61% 27.52 7.26% 90,152.28 79.74%

G Money Market InvestmentMoney Market Investments 7,244.08 5.09% 273.91 4.34% 1,779.68 115.53% 54.99 4.11% 999.93 5.81% 272.89 12.19% 41.75 10.64% - - 37.68 9.93% 7,779.93 6.88%

H Mutual Funds Mutual funds - - - - - - - - - - - - - - - - - - - -

I Deposits with Bank Deposit with Banks - - - - - - - - - - - - - - - - - - - -

Sub Total (A) Sub Total (A) 1,23,167.43 86.46% 6,007.39 95.09% 1,779.68 115.53% 1,290.31 96.48% 16,514.42 95.89% 2,165.10 96.74% 375.99 95.87% 36.77 91.34% 369.43 97.42% 97,932.21 86.63%

Currrent AssetsCurrent Assets

Accured Interest Accrued Interest 0.98 0.00% 88.56 1.40% 0.05 0.00% 42.21 3.16% 109.54 0.64% 19.24 0.86% 2.56 0.65% 0.66 1.64% 6.58 1.73% 1.06 0.00%

Dividend Receivable Dividend Receivable - - - - - - - - - - - - - - - - - - - -

Bank Balance Bank Balance 1.46 0.00% 4.88 0.08% 4.88 0.32% 4.96 0.37% 5.41 0.03% 4.61 0.21% 1.70 0.43% 1.93 4.80% 0.61 0.16% 0.88 0.00%

Receivable for Sale of investmentsReceivable for Sale of investment - - - - - - - - - - - - 0.04 0.01% - - - - - -

Other Current Assets (for Investments)Other Current Assets ( for investment) 7,054.68 4.95% 812.72 12.86% 93.96 6.10% 124.43 9.30% 799.22 4.64% 85.12 3.80% 2.56 0.65% 0.24 0.59% 15.72 4.14% 19,403.62 17.16%

Less : Current LiabilitiesLess : Current Liabilities

Payable for InvestmentsPayable for Investment - - - - 244.16 15.85% - - - - - - 0.00 0.00% - - - - - -

Fund Management of Charges PayableFund Mgmt charges Payable 8.00 0.01% 0.25 0.00% 0.04 0.00% 0.04 0.00% 0.89 0.01% 0.10 0.00% 0.02 0.01% 0.00 0.00% 0.02 0.00% 4.35 0.00%

Other current liabilites (for Investments)Other Current Liabilities ( for investment) 7,129.54 5.00% 816.63 12.93% 93.97 6.10% 124.42 9.30% 801.59 4.65% 85.27 3.81% 2.37 0.61% 0.24 0.59% 15.60 4.11% 19,268.99 17.04%

Sub Total (B) Sub Total (B) (80.43) -0.06% 89.28 1.41% -239.28 -15.53% 47.14 3.52% 111.69 0.65% 23.60 1.05% 4.46 1.14% 2.59 6.43% 7.29 1.92% 132.21 0.12%

OTHER INVESTMENT (<=25%)OTHER INVESTMENT (<=25%)

A Corporate bonds Corporate Bonds - - - - - - - - - - - - - - - - - - - -

B Infrastructure Bonds Infrastructure Bonds - - 221.22 3.50% - - - - - - - - - - - - - - - -

C Equity Equity 7,849.29 5.51% - - - - - - 595.34 3.46% 49.27 2.20% 11.75 3.00% 0.90 2.23% 2.51 0.66% 9,230.78 8.17%

D Mutual Funds Mutual Fund 11,515.00 8.08% - - - - - - - - - - - - - - - - 5,757.50 5.09%

E Others Others - - - - - - - - - - - - - - - - - - - -

F Others

Sub Total- (C) Sub Total- (C) 19,364.29 13.59% 221.22 0.04 - - - - 595.34 3.46% 49.27 2.20% 11.75 3.00% 0.90 2.23% 2.51 0.66% 14,988.28 13.26%

Total (A+B+C) Total (A+B+C) 1,42,451.30 100% 6,317.90 100% 1,540.40 100% 1,337.45 100% 17,221.45 100% 2,237.97 100% 392.20 100% 40.26 100% 379.23 100% 1,13,052.71 100%

Fund carried forward ( as per LB 2)Fund carried forward ( as per LB 2) 1,42,451.30 6,317.90 1,540.40 1,337.45 17,221.45 2,237.97 392.20 40.26 379.23 1,13,052.71

Note:

1. The aggregate of all the above Segregated Unit-Funds should reconcile with item C of FORM 3A (Part A), for both Par & Non Par Business

2. Details of Item 12 of FORM LB 2 which forms part of IRDA (Acturial Report) Regulation, 2000 shall be reconciled with FORM 3A (Part B).

3. Other Investments' are as permitted under Sec 27A(2)

MV of Inv. MV of Inv. MV of Inv. MV of Inv. MV of Inv. MV of Inv. MV of Inv. MV of Inv. MV of Inv. MV of Inv.

PARTICULARS

INVESTMENT OF UNIT FUND

Registration Number: 110

Name of the Insurer: TATA AIA LIFE INSURANCE COMPANY LIMITED

Growth Maximizer Fund Growth Enabler Fund Capital Guarantee Fund Large Cap Equity FundEquity Fund Income Fund Liquid Fund Short Term Fixed Income Fund Aggressive Growth Fund Stable Growth Fund

ULIF 016 17/10/07 TGM 110 ULIF 015 17/10/07 TGE 110 ULIF 014 17/10/07 TCG 110 ULIF 017 07/01/08 TLC 110ULIF 001 04/02/04 TEL 110 ULIF 002 04/02/04 TIL 110 ULIF 003 04/02/04 TLL 110 ULIF 008 01/07/06 TFL 110 ULIF 006 01/07/06 TAL 110 ULIF 007 01/07/06 TSL 110

392.20 40.26 379.23 1,13,052.71 1,42,451.30 6,317.90 1,540.40 1,337.45 17,221.45 2,237.97

(1.40) (1.13) (11.58) (5,395.31) (5,937.52) (715.34) (128.17) (106.53) (460.65) (68.66)

8.31 0.69 4.35 4,902.05 6,648.89 126.58 19.25 26.56 325.44 37.01

7.35 0.16 7.08 6,718.60 1,705.28 272.14 386.57 81.72 240.29 63.14

377.94 40.54 379.38 1,06,827.37 1,40,034.64 6,634.52 1,262.75 1,335.70 17,116.38 2,206.47

Growth Maximizer Fund Growth Enabler Fund Capital Guarantee Fund Large Cap Equity FundEquity Fund Income Fund Liquid Fund Short Term Fixed Income Fund Aggressive Growth Fund Stable Growth Fund

ULIF 017 07/01/08 TLC 110ULIF 001 04/02/04 TEL 110 ULIF 002 04/02/04 TIL 110 ULIF 003 04/02/04 TLL 110 ULIF 008 01/07/06 TFL 110 ULIF 006 01/07/06 TAL 110 ULIF 007 01/07/06 TSL 110 ULIF 016 17/10/07 TGM 110 ULIF 015 17/10/07 TGE 110 ULIF 014 17/10/07 TCG 110

Page 2: Unit Linked Insurance Business Part - B Name of the ... · FORM L 27 (Read with Regulation 10) Unit Linked Insurance Business Linked to Item 'C' of Form 3A (Part A) Periodicty of

FORM L 27

(Read with Regulation 10)

Unit Linked Insurance Business

Linked to Item 'C' of Form 3A (Part A)

Periodicty of Submission: Quarterly

Statement as on: 31 December 2019

Opening Balance (Market Value)

Add: Inflow during the Quarter

Increase / (Decrease) Value of Inv [Net]

Less: Outflow during the Quarter

TOTAL INVESTIBLE FUNDS (MKT VALUE)

Approved Investments (>=75%)

A Central Government SecuritiesCentral Govt Securities

B State Government securitiesState Governement Securities

C Other Approved SecuritiesOther Approved Securities

D Corporate bonds Corporate Bonds

E Infrastructure Bonds Infrastructure Bonds

F Equity Equity

G Money Market InvestmentMoney Market Investments

H Mutual Funds Mutual funds

I Deposits with Bank Deposit with Banks

Sub Total (A) Sub Total (A)

Currrent AssetsCurrent Assets

Accured Interest Accrued Interest

Dividend Receivable Dividend Receivable

Bank Balance Bank Balance

Receivable for Sale of investmentsReceivable for Sale of investment

Other Current Assets (for Investments)Other Current Assets ( for investment)

Less : Current LiabilitiesLess : Current Liabilities

Payable for InvestmentsPayable for Investment

Fund Management of Charges PayableFund Mgmt charges Payable

Other current liabilites (for Investments)Other Current Liabilities ( for investment)

Sub Total (B) Sub Total (B)

OTHER INVESTMENT (<=25%)OTHER INVESTMENT (<=25%)

A Corporate bonds Corporate Bonds

B Infrastructure Bonds Infrastructure Bonds

C Equity Equity

D Mutual Funds Mutual Fund

E Others Others

F Others

Sub Total- (C) Sub Total- (C)

Total (A+B+C) Total (A+B+C)

Fund carried forward ( as per LB 2)Fund carried forward ( as per LB 2)

PARTICULARS

INVESTMENT OF UNIT FUND

Registration Number: 110

Name of the Insurer: TATA AIA LIFE INSURANCE COMPANY LIMITED

Part - B

(` in lakhs)

TSE WLE WLA WLS WLI WLF FBP FCG FEP FGP

- - - - 8,018.94 18.95% 4,262.86 43.98% 17,592.72 39.67% 3,900.68 24.26% 457.97 73.88% 149.88 72.06% - - 481.18 50.41%

- - - - - - - - - - - - - - - - - - - -

- - - - - - - - 2,368.25 5.34% 1,754.43 10.91% - - - - - - - -

- - - - 744.42 1.76% 197.05 2.03% 6,271.97 14.14% 5,976.40 37.17% 21.89 3.53% 10.95 5.26% - - 43.79 4.59%

- - - - 2,969.12 7.02% 805.71 8.31% 10,783.18 24.31% 2,239.85 13.93% 52.90 8.53% 10.58 5.09% - - 93.43 9.79%

12,917.44 97.62% 3,63,060.32 81.80% 25,409.08 60.05% 3,341.97 34.48% - - - - 56.22 9.07% 19.41 9.33% 7,155.53 83.32% 311.47 32.63%

- - 28,607.87 6.45% 1,398.07 3.30% 508.11 5.24% 5,586.18 12.59% 1,655.69 10.30% 21.38 3.45% 11.20 5.39% 64.15 0.75% - -

- - - - - - - - - - - - - - - - - - - -

- - - - - - - - - - - - - - - - - - - -

12,917.44 97.62% 3,91,668.19 88.24% 38,539.63 91.08% 9,115.70 94.04% 42,602.30 96.05% 15,527.06 96.57% 610.36 98.46% 202.02 97.13% 7,219.68 84.07% 929.86 97.41%

- - 1.78 0.00% 212.88 0.50% 95.94 0.99% 538.25 1.21% 468.03 2.91% 9.98 1.61% 3.42 1.64% 0.01 0.00% 9.52 1.00%

- - - - - - - - - - - - - - - - - - - -

252.33 1.91% 39.09 0.01% 1.49 0.00% 1.78 0.02% 0.65 0.00% 1.32 0.01% 1.43 0.23% 0.89 0.43% 1.05 0.01% 0.77 0.08%

- - 1,996.91 0.45% - - - - - - - - - - - - 56.13 0.65% - -

2,024.40 15.30% 1,00,227.14 22.58% 5,725.07 13.53% 1,890.23 19.50% 26,515.17 59.78% 7,365.39 45.81% 41.22 6.65% 2.58 1.24% 1,054.40 12.28% 98.68 10.34%

- - 4.61 0.00% - - - - - - - - - - - - 0.12 0.00% - -

0.62 0.00% 17.09 0.00% 1.50 0.00% 0.31 0.00% 1.14 0.00% 0.34 0.00% 0.02 0.00% 0.01 0.00% 0.35 0.00% 0.03 0.00%

2,033.94 15.37% 99,066.59 22.32% 5,671.03 13.40% 1,847.39 19.06% 26,388.39 59.50% 7,282.15 45.29% 47.31 7.63% 2.58 1.24% 1,199.76 13.97% 100.88 10.57%

242.18 1.83% 3,176.62 0.72% 266.91 0.63% 140.26 1.45% 664.54 1.50% 552.26 3.43% 5.29 0.85% 4.30 2.07% -88.65 -1.03% 8.05 0.84%

- - - - - - - - - - - - - - - - - - - -

- - - - - - - - 1,085.99 2.45% - - - - - - - - - -

73.35 0.55% 44,843.43 10.10% 3,507.29 8.29% 437.69 4.52% - - - - 4.25 0.68% 1.67 0.80% 765.77 8.92% 16.65 1.74%

- - 4,176.00 0.94% - - - - - - - - - - - - 690.90 8.05% - -

- - - - - - - - - - - - - - - - - - - -

73.35 0.55% 49,019.43 11.04% 3,507.29 8.29% 437.69 4.52% 1,085.99 0.02 - - 4.25 0.68% 1.67 0.80% 1,456.67 16.96% 16.65 1.74%

13,232.96 100% 4,43,864.24 100% 42,313.83 100% 9,693.65 100% 44,352.83 100% 16,079.33 100% 619.90 100% 207.99 100% 8,587.70 100% 954.57 100%

13,232.96 4,43,864.24 42,313.83 9,693.65 44,352.83 16,079.33 619.90 207.99 8,587.70 954.57

Note:

1. The aggregate of all the above Segregated Unit-Funds should reconcile with item C of FORM 3A (Part A), for both Par & Non Par Business

2. Details of Item 12 of FORM LB 2 which forms part of IRDA (Acturial Report) Regulation, 2000 shall be reconciled with FORM 3A (Part B).

3. Other Investments' are as permitted under Sec 27A(2)

MV of Inv. MV of Inv. MV of Inv. MV of Inv. MV of Inv. MV of Inv. MV of Inv. MV of Inv. MV of Inv. MV of Inv.

Future Equity Pension Fund Future Growth Pension FundWhole Life Aggressive Growth

FundWhole Life Stable Growth Fund Whole Life Income Fund

Whole Life Short Term Fixed

Income FundFuture Balanced Pension Fund

Future Capital Guarantee

Pension FundSelect Equity Fund Whole Life Mid Cap Equity Fund

ULIF 020 04/02/08 FEP 110 ULIF 021 04/02/08 FGP 110ULIF 010 04/01/07 WLA 110 ULIF 011 04/01/07 WLS 110 ULIF 012 04/01/07 WLI 110 ULIF 013 04/01/07 WLF 110 ULIF 018 04/02/08 FBP 110 ULIF 019 04/02/08 FCG 110ULIF 024 06/10/08 TSE 110 ULIF 009 04/01/07 WLE 110

8,587.70 954.57 42,313.83 9,693.65 44,352.83 16,079.33 619.90 207.99 13,232.96 4,43,864.24

(1,799.92) (187.94) (2,233.12) (711.00) (6,981.86) (1,993.56) (78.23) (9.74) (1,325.71) (24,244.91)

495.86 20.60 2,094.97 321.02 906.95 282.78 9.90 2.67 201.75 21,594.11

549.51 61.53 1,565.25 899.84 8,384.54 2,903.10 13.08 3.13 622.25 39,222.40

9,342.25 1,060.37 40,886.74 9,183.80 42,043.20 14,887.00 675.15 211.93 13,734.66 4,07,292.64

Future Equity Pension Fund Future Growth Pension FundWhole Life Aggressive Growth

FundWhole Life Stable Growth Fund Whole Life Income Fund

Whole Life Short Term Fixed

Income FundFuture Balanced Pension Fund

Future Capital Guarantee

Pension FundSelect Equity Fund Whole Life Mid Cap Equity Fund

ULIF 013 04/01/07 WLF 110 ULIF 018 04/02/08 FBP 110 ULIF 019 04/02/08 FCG 110 ULIF 020 04/02/08 FEP 110 ULIF 021 04/02/08 FGP 110ULIF 024 06/10/08 TSE 110 ULIF 009 04/01/07 WLE 110 ULIF 010 04/01/07 WLA 110 ULIF 011 04/01/07 WLS 110 ULIF 012 04/01/07 WLI 110

Name of the Insurer: TATA AIA LIFE INSURANCE COMPANY LIMITEDRegistration Number: 110

Page 3: Unit Linked Insurance Business Part - B Name of the ... · FORM L 27 (Read with Regulation 10) Unit Linked Insurance Business Linked to Item 'C' of Form 3A (Part A) Periodicty of

FORM L 27

(Read with Regulation 10)

Unit Linked Insurance Business

Linked to Item 'C' of Form 3A (Part A)

Periodicty of Submission: Quarterly

Statement as on: 31 December 2019

Opening Balance (Market Value)

Add: Inflow during the Quarter

Increase / (Decrease) Value of Inv [Net]

Less: Outflow during the Quarter

TOTAL INVESTIBLE FUNDS (MKT VALUE)

Approved Investments (>=75%)

A Central Government SecuritiesCentral Govt Securities

B State Government securitiesState Governement Securities

C Other Approved SecuritiesOther Approved Securities

D Corporate bonds Corporate Bonds

E Infrastructure Bonds Infrastructure Bonds

F Equity Equity

G Money Market InvestmentMoney Market Investments

H Mutual Funds Mutual funds

I Deposits with Bank Deposit with Banks

Sub Total (A) Sub Total (A)

Currrent AssetsCurrent Assets

Accured Interest Accrued Interest

Dividend Receivable Dividend Receivable

Bank Balance Bank Balance

Receivable for Sale of investmentsReceivable for Sale of investment

Other Current Assets (for Investments)Other Current Assets ( for investment)

Less : Current LiabilitiesLess : Current Liabilities

Payable for InvestmentsPayable for Investment

Fund Management of Charges PayableFund Mgmt charges Payable

Other current liabilites (for Investments)Other Current Liabilities ( for investment)

Sub Total (B) Sub Total (B)

OTHER INVESTMENT (<=25%)OTHER INVESTMENT (<=25%)

A Corporate bonds Corporate Bonds

B Infrastructure Bonds Infrastructure Bonds

C Equity Equity

D Mutual Funds Mutual Fund

E Others Others

F Others

Sub Total- (C) Sub Total- (C)

Total (A+B+C) Total (A+B+C)

Fund carried forward ( as per LB 2)Fund carried forward ( as per LB 2)

PARTICULARS

INVESTMENT OF UNIT FUND

Registration Number: 110

Name of the Insurer: TATA AIA LIFE INSURANCE COMPANY LIMITED

Part - B

(` in lakhs)

FIP FSE UCX ITF ITT IAF ISF IBF AIN ARL

445.56 42.88% - - 91.16 70.16% - - - - 379.10 47.27% 333.11 56.43% 316.22 42.70% - - - -

- - - - - - - - - - - - - - - - - - - -

58.91 5.67% - - - - - - - - - - - - 41.10 5.55% - - - -

146.12 14.06% - - - - - - - - 21.89 2.73% 21.89 3.71% 97.54 13.17% - - - -

277.92 26.75% - - 10.58 8.14% - - - - 52.90 6.60% 42.32 7.17% 188.98 25.52% - - - -

- - 1,153.93 102.11% 9.73 7.49% 4,726.62 82.38% 12,500.38 83.45% 285.93 35.65% 76.41 12.94% - - - - - -

65.17 6.27% - - 14.26 10.97% 226.05 3.94% 543.75 3.63% 32.58 4.06% 96.73 16.39% 64.15 8.66% - - - -

- - - - - - - - - - - - - - - - - - - -

- - - - - - - - - - - - - - - - - - - -

993.69 95.64% 1,153.93 102.11% 125.72 96.76% 4,952.67 86.32% 13,044.13 87.08% 772.40 96.30% 570.47 96.63% 707.99 95.60% - 0.00% - 0.00%

13.94 1.34% - - 2.03 1.56% 0.03 0.00% 0.07 0.00% 11.51 1.44% 9.02 1.53% 9.14 1.23% - N.A. - N.A.

- - - - - - - - - - - - - - - - - N.A. - N.A.

1.23 0.12% 4.14 0.37% 1.26 0.97% 0.96 0.02% 1.32 0.01% 0.74 0.09% 1.41 0.24% 0.95 0.13% - N.A. 0.00 N.A.

- - - - - - - - - - - - - - - - - N.A. - N.A.

379.84 36.56% 318.25 28.16% 2.47 1.90% 1,049.73 18.30% 2,605.56 17.39% 54.79 6.83% 66.94 11.34% 157.06 21.21% - N.A. 2,993.39 N.A.

- - - - - - - - 120.21 0.80% - - - - - - - N.A. - N.A.

0.03 0.00% 0.05 0.00% 0.01 0.01% 0.22 0.00% 0.58 0.00% 0.03 0.00% 0.02 0.00% 0.03 0.00% - N.A. - N.A.

379.84 36.56% 356.68 31.56% 2.48 1.91% 1,045.42 18.22% 2,573.31 17.18% 56.05 6.99% 62.45 10.58% 154.67 20.89% - N.A. 2,993.39 N.A.

15.14 1.46% -34.34 -3.04% 3.27 2.52% 5.08 0.09% -87.15 -0.58% 10.96 1.37% 14.89 2.52% 12.45 1.68% 0.00 0.00% 0.00 0.00%

- - - - - - - - - - - - - - - - - - - -

30.17 2.90% - - - - - - - - - - - - 20.11 2.72% - - - -

- - 10.49 0.93% 0.94 0.72% 286.56 4.99% 1,529.51 10.21% 18.70 2.33% 4.98 0.84% - - - - - -

- - - - - - 493.50 8.60% 493.50 3.29% - - - - - - - - - -

- - - - - - - - - - - - - - - - - - - -

30.17 0.03 10.49 0.93% 0.94 0.72% 780.06 13.60% 2,023.01 13.50% 18.70 2.33% 4.98 0.84% 20.11 0.03 - - - 0.00%

1,039.00 100% 1,130.08 100% 129.93 100% 5,737.81 100% 14,980.00 100% 802.06 100% 590.34 100% 740.56 100% - 0% 0.00 0%

1,039.00 1,130.08 129.93 5,737.81 14,980.00 802.06 590.34 740.56 - 0.00

Note:

1. The aggregate of all the above Segregated Unit-Funds should reconcile with item C of FORM 3A (Part A), for both Par & Non Par Business

2. Details of Item 12 of FORM LB 2 which forms part of IRDA (Acturial Report) Regulation, 2000 shall be reconciled with FORM 3A (Part B).

3. Other Investments' are as permitted under Sec 27A(2)

MV of Inv.MV of Inv. MV of Inv. MV of Inv. MV of Inv. MV of Inv. MV of Inv. MV of Inv. MV of Inv. MV of Inv.

Top 200 Fund Aggressive Flexi Fund Stable Flexi Fund Bond Fund Apex Investment Fund Apex Return Lock-in FundFuture Income Pension Fund Future Select Equity Fund. 110% Capital Guarantee Fund Top 50 Fund

ULIF 027 12/01/09 ITT 110 ULIF 028 12/01/09 IAF 110 ULIF 029 12/01/09 ISF 110 ULIF 030 12/01/09 IBF 110 ULIF 031 18/02/09 AIN 110 ULIF 032 18/02/09 ARL 110ULIF 022 04/02/08 FIP 110 ULIF 023 06/10/08 FSE 110 ULIF 025 10/11/08 UCX 110 ULIF 026 12/01/09 ITF 110

14,980.00 802.06 590.34 740.56 - - 1,039.00 1,130.08 129.93 5,737.81

(912.90) (65.30) (64.43) (118.40) - (11.12) (561.50) (385.24) (4.81) (320.16)

946.71 16.26 8.57 14.52 - 0.00 21.81 13.90 1.31 152.19

1,258.64 12.78 49.66 74.74 - 11.12 436.85 40.95 2.66 470.18

13,687.55 838.32 596.54 769.70 - - 1,141.83 1,460.47 130.77 5,435.59

Top 200 Fund Aggressive Flexi Fund Stable Flexi Fund Bond Fund Apex Investment Fund Apex Return Lock-in FundFuture Income Pension Fund Future Select Equity Fund. 110% Capital Guarantee Fund Top 50 Fund

ULIF 030 12/01/09 IBF 110 ULIF 031 18/02/09 AIN 110 ULIF 032 18/02/09 ARL 110ULIF 023 06/10/08 FSE 110 ULIF 025 10/11/08 UCX 110 ULIF 026 12/01/09 ITF 110 ULIF 027 12/01/09 ITT 110 ULIF 028 12/01/09 IAF 110 ULIF 029 12/01/09 ISF 110ULIF 022 04/02/08 FIP 110

Name of the Insurer: TATA AIA LIFE INSURANCE COMPANY LIMITED

Registration Number: 110

Page 4: Unit Linked Insurance Business Part - B Name of the ... · FORM L 27 (Read with Regulation 10) Unit Linked Insurance Business Linked to Item 'C' of Form 3A (Part A) Periodicty of

FORM L 27

(Read with Regulation 10)

Unit Linked Insurance Business

Linked to Item 'C' of Form 3A (Part A)

Periodicty of Submission: Quarterly

Statement as on: 31 December 2019

Opening Balance (Market Value)

Add: Inflow during the Quarter

Increase / (Decrease) Value of Inv [Net]

Less: Outflow during the Quarter

TOTAL INVESTIBLE FUNDS (MKT VALUE)

Approved Investments (>=75%)

A Central Government SecuritiesCentral Govt Securities

B State Government securitiesState Governement Securities

C Other Approved SecuritiesOther Approved Securities

D Corporate bonds Corporate Bonds

E Infrastructure Bonds Infrastructure Bonds

F Equity Equity

G Money Market InvestmentMoney Market Investments

H Mutual Funds Mutual funds

I Deposits with Bank Deposit with Banks

Sub Total (A) Sub Total (A)

Currrent AssetsCurrent Assets

Accured Interest Accrued Interest

Dividend Receivable Dividend Receivable

Bank Balance Bank Balance

Receivable for Sale of investmentsReceivable for Sale of investment

Other Current Assets (for Investments)Other Current Assets ( for investment)

Less : Current LiabilitiesLess : Current Liabilities

Payable for InvestmentsPayable for Investment

Fund Management of Charges PayableFund Mgmt charges Payable

Other current liabilites (for Investments)Other Current Liabilities ( for investment)

Sub Total (B) Sub Total (B)

OTHER INVESTMENT (<=25%)OTHER INVESTMENT (<=25%)

A Corporate bonds Corporate Bonds

B Infrastructure Bonds Infrastructure Bonds

C Equity Equity

D Mutual Funds Mutual Fund

E Others Others

F Others

Sub Total- (C) Sub Total- (C)

Total (A+B+C) Total (A+B+C)

Fund carried forward ( as per LB 2)Fund carried forward ( as per LB 2)

PARTICULARS

INVESTMENT OF UNIT FUND

Registration Number: 110

Name of the Insurer: TATA AIA LIFE INSURANCE COMPANY LIMITED

Part - B

(` in lakhs)

FSS

AR2 TIS TSS UCS FSX PI1 PI2 PI3 PI4 AP1

- - - - - - 46.36 83.49% - - - - - - - - - - - -

- - - - - - - - - - - - - - - - - - - -

- - - - - - - - - - - - - - - - - - - -

- - - - - - - - - - - - - - - - - - - -

- - - - - - - - - - - - - - - - - - - -

- - 1,667.76 93.00% 55,716.98 92.68% 4.07 7.33% 1,758.99 97.42% - - - - - - - - - -

6.11 N.A. 60.08 3.35% - - 3.05 5.50% - - - - - - - - - - - -

- - - - - - - - - - - - - - - - - - - -

- - - - - - - - - - - - - - - - - - - -

6.11 0.00% 1,727.83 96.35% 55,716.98 92.68% 53.48 96.32% 1,758.99 97.42% - - - 0.00% - 0.00% - 0.00% - 0.00%

0.00 N.A. 0.01 0.00% - - 0.82 1.48% - - - N.A. - N.A. - N.A. - - - N.A.

- N.A. - - - - - - - - - N.A. - N.A. - N.A. - - - N.A.

0.84 N.A. 1.37 0.08% 4,044.56 6.73% 0.93 1.67% 37.22 2.06% - N.A. - N.A. - N.A. 0.36 100.00% - N.A.

- N.A. 8.86 0.49% - - - - - - - N.A. - N.A. - N.A. - - - N.A.

990.26 N.A. 101.52 5.66% 9,222.25 15.34% 0.95 1.71% 58.78 3.26% - N.A. - N.A. - N.A. 0.82 228.20% - N.A.

- N.A. 0.02 0.00% - - - - - - - N.A. - N.A. - N.A. - - - N.A.

0.00 N.A. 0.07 0.00% 2.32 0.00% 0.00 0.00% 0.07 0.00% - N.A. - N.A. - N.A. - - - N.A.

997.21 N.A. 101.60 5.67% 9,154.57 15.23% 0.96 1.73% 58.76 3.25% - N.A. - N.A. - N.A. 0.82 228.20% - N.A.

(6.11) 0.00% 10.06 0.56% 4,109.91 6.84% 1.74 3.13% 37.17 2.06% - - 0.00 0.00% 0.00 0.00% 0.36 100.00% 0.00 0.00%

- - - - - - - - - - - - - - - - - - - -

- - - - - - - - - - - - - - - - - - - -

- - 55.38 3.09% 290.59 0.48% 0.30 0.55% 9.44 0.52% - - - - - - - - - -

- - - - - - - - - - - - - - - - - - - -

- - - - - - - - - - - - - - - - - - - -

- 0.00% 55.38 3.09% 290.59 0.48% 0.30 0.55% 9.44 0.52% - - - - - - - - - -

0.00 0% 1,793.27 100% 60,117.48 100% 55.53 100% 1,805.59 100% - 0% - 0% - 0% 0.36 100% - 0%

0.00 1,793.27 60,117.48 55.53 1,805.59 - - - 0.36 -

Note:

1. The aggregate of all the above Segregated Unit-Funds should reconcile with item C of FORM 3A (Part A), for both Par & Non Par Business

2. Details of Item 12 of FORM LB 2 which forms part of IRDA (Acturial Report) Regulation, 2000 shall be reconciled with FORM 3A (Part B).

3. Other Investments' are as permitted under Sec 27A(2)

MV of Inv. MV of Inv.MV of Inv. MV of Inv. MV of Inv. MV of Inv. MV of Inv. MV of Inv. MV of Inv. MV of Inv.

Apex Pension 10 Investment

Fund

Apex Pension 15 Investment

Fund

Apex Pension 20 Investment

FundApex Plus Investment FundApex Return Lock-in Fund II Infrastructure Fund Super Select Equity Fund

Super 110% Capital Guarantee

Fund

Super Select Equity Pension

FundApex Pension Investment Fund

ULIF 039 20/01/10 PI2 110 ULIF 040 20/01/10 PI3 110 ULIF 041 20/01/10 PI4 110 ULIF 046 01/02/10 AP1 110ULIF 033 03/08/09 AR2 110 ULIF 034 16/10/09 TIS 110 ULIF 035 16/10/09 TSS 110 ULIF 036 23/11/09 UCS 110 ULIF 037 04/01/10 FSS 110 ULIF 038 20/01/10 PI1 110

- - 0.36 - - 1,793.27 60,117.48 55.53 1,805.59 -

- - (4.98) - (6,386.77) (86.01) (3,392.45) (0.37) (140.71) -

- - 0.00 - 21.23 87.39 612.42 0.62 25.62 -

- - 3.37 - 992.50 45.87 2,956.74 1.13 8.14 -

- - 1.97 - 5,373.04 1,746.03 59,940.76 54.15 1,912.55 -

Apex Pension 10 Investment

Fund

Apex Pension 15 Investment

Fund

Apex Pension 20 Investment

FundApex Plus Investment FundApex Return Lock-in Fund II Infrastructure Fund Super Select Equity Fund

Super 110% Capital Guarantee

Fund

Super Select Equity Pension

FundApex Pension Investment Fund

ULIF 046 01/02/10 AP1 110ULIF 036 23/11/09 UCS 110 ULIF 037 04/01/10 FSS 110 ULIF 038 20/01/10 PI1 110 ULIF 039 20/01/10 PI2 110 ULIF 040 20/01/10 PI3 110 ULIF 041 20/01/10 PI4 110ULIF 033 03/08/09 AR2 110 ULIF 034 16/10/09 TIS 110 ULIF 035 16/10/09 TSS 110

Name of the Insurer: TATA AIA LIFE INSURANCE COMPANY LIMITED

Registration Number: 110

Page 5: Unit Linked Insurance Business Part - B Name of the ... · FORM L 27 (Read with Regulation 10) Unit Linked Insurance Business Linked to Item 'C' of Form 3A (Part A) Periodicty of

FORM L 27

(Read with Regulation 10)

Unit Linked Insurance Business

Linked to Item 'C' of Form 3A (Part A)

Periodicty of Submission: Quarterly

Statement as on: 31 December 2019

Opening Balance (Market Value)

Add: Inflow during the Quarter

Increase / (Decrease) Value of Inv [Net]

Less: Outflow during the Quarter

TOTAL INVESTIBLE FUNDS (MKT VALUE)

Approved Investments (>=75%)

A Central Government SecuritiesCentral Govt Securities

B State Government securitiesState Governement Securities

C Other Approved SecuritiesOther Approved Securities

D Corporate bonds Corporate Bonds

E Infrastructure Bonds Infrastructure Bonds

F Equity Equity

G Money Market InvestmentMoney Market Investments

H Mutual Funds Mutual funds

I Deposits with Bank Deposit with Banks

Sub Total (A) Sub Total (A)

Currrent AssetsCurrent Assets

Accured Interest Accrued Interest

Dividend Receivable Dividend Receivable

Bank Balance Bank Balance

Receivable for Sale of investmentsReceivable for Sale of investment

Other Current Assets (for Investments)Other Current Assets ( for investment)

Less : Current LiabilitiesLess : Current Liabilities

Payable for InvestmentsPayable for Investment

Fund Management of Charges PayableFund Mgmt charges Payable

Other current liabilites (for Investments)Other Current Liabilities ( for investment)

Sub Total (B) Sub Total (B)

OTHER INVESTMENT (<=25%)OTHER INVESTMENT (<=25%)

A Corporate bonds Corporate Bonds

B Infrastructure Bonds Infrastructure Bonds

C Equity Equity

D Mutual Funds Mutual Fund

E Others Others

F Others

Sub Total- (C) Sub Total- (C)

Total (A+B+C) Total (A+B+C)

Fund carried forward ( as per LB 2)Fund carried forward ( as per LB 2)

PARTICULARS

INVESTMENT OF UNIT FUND

Registration Number: 110

Name of the Insurer: TATA AIA LIFE INSURANCE COMPANY LIMITED

Part - B

(` in lakhs)

PR1 PR2 PR3 PR4 RA1 PR5 PR6 PR7 PR8 RA2

76.52 46.51% 2,323.82 37.58% 1,059.90 48.74% 111.23 35.75% 3,470.43 36.52% 229.42 39.45% 554.60 38.55% 267.73 49.88% 16.25 45.18% 816.27 36.21%

- - - - - - - - - - - - - - - - - - - -

- - - - 272.54 12.53% - - - - - - - - 55.82 10.40% - - - -

40.33 24.51% 1,942.54 31.41% 120.64 5.55% - - 2,403.33 25.29% 192.35 33.08% 538.86 37.45% 20.11 3.75% - - 645.58 28.64%

33.37 20.28% 1,200.77 19.42% - - 22.59 7.26% 1,843.26 19.39% 63.49 10.92% 40.76 2.83% - - - - 416.85 18.49%

9.73 5.91% 508.90 8.23% 582.39 26.78% 131.44 42.25% 894.39 9.41% 51.85 8.92% 128.88 8.96% 152.33 28.38% 14.92 41.50% 208.94 9.27%

- - 9.16 0.15% 52.95 2.44% 32.58 10.47% 587.54 6.18% 21.38 3.68% 137.47 9.55% 24.44 4.55% 2.04 5.66% 102.84 4.56%

- - - - - - - - - - - - - - - - - - - -

- - - - - - - - - - - - - - - - - - - -

159.94 97.22% 5,985.19 96.79% 2,088.42 96.04% 297.85 95.74% 9,198.94 96.79% 558.50 96.04% 1,400.56 97.35% 520.41 96.95% 33.21 92.35% 2,190.49 97.17%

4.26 2.59% 177.30 2.87% 27.90 1.28% 1.76 0.56% 224.95 2.37% 16.21 2.79% 24.94 1.73% 5.94 1.11% 0.21 0.58% 39.95 1.77%

- - - - - - - - - - - - - - - - - - - -

0.83 0.51% 0.99 0.02% 0.70 0.03% 0.68 0.22% 0.92 0.01% 1.50 0.26% 1.00 0.07% 1.23 0.23% 1.45 4.04% 0.59 0.03%

0.15 0.09% - - - - - - - - - - - - - - - - - -

0.09 0.05% 2.25 0.04% 0.06 0.00% 5.78 1.86% 2.93 0.03% 0.40 0.07% 0.59 0.04% 0.21 0.04% 0.01 0.03% 1.22 0.05%

0.00 0.00% - - - - - - - - - - - - - - - - - -

0.01 0.00% 0.24 0.00% 0.08 0.00% 0.01 0.00% 0.37 0.00% 0.02 0.00% 0.06 0.00% 0.02 0.00% 0.00 0.00% 0.09 0.00%

1.00 0.61% 5.14 0.08% 0.10 0.00% 5.78 1.86% 3.19 0.03% 0.46 0.08% 0.63 0.04% 0.23 0.04% 0.01 0.03% 1.28 0.06%

4.32 2.63% 175.16 2.83% 28.47 1.31% 2.42 0.78% 225.25 2.37% 17.62 3.03% 25.84 1.80% 7.13 1.33% 1.66 4.61% 40.39 1.79%

- - - - - - - - - - - - - - - - - - - -

- - - - - - - - - - - - - - - - - - - -

0.26 0.16% 23.63 0.38% 57.58 2.65% 10.83 3.48% 79.70 0.84% 5.38 0.93% 12.33 0.86% 9.24 1.72% 1.09 3.04% 23.43 1.04%

- - - - - - - - - - - - - - - - - - - -

- - - - - - - - - - - - - - - - - - - -

0.26 0.16% 23.63 0.38% 57.58 2.65% 10.83 3.48% 79.70 0.84% 5.38 0.93% 12.33 0.86% 9.24 1.72% 1.09 3.04% 23.43 1.04%

164.52 100% 6,183.97 100% 2,174.48 100% 311.11 100% 9,503.88 100% 581.51 100% 1,438.73 100% 536.78 100% 35.96 100% 2,254.31 100%

164.52 6,183.97 2,174.48 311.11 9,503.88 581.51 1,438.73 536.78 35.96 2,254.31

Note:

1. The aggregate of all the above Segregated Unit-Funds should reconcile with item C of FORM 3A (Part A), for both Par & Non Par Business

2. Details of Item 12 of FORM LB 2 which forms part of IRDA (Acturial Report) Regulation, 2000 shall be reconciled with FORM 3A (Part B).

3. Other Investments' are as permitted under Sec 27A(2)

MV of Inv. MV of Inv. MV of Inv.MV of Inv. MV of Inv. MV of Inv. MV of Inv. MV of Inv. MV of Inv. MV of Inv.

Apex Pension 20 Return Lock-in

Fund II

Apex Plus Return Lock-in Fund

II

Apex Pension 15 Return Lock-in

Fund

Apex Pension 20 Return Lock-in

Fund Apex Plus Return Lock-in Fund

Apex Pension Return Lock-in

Fund II

Apex Pension 10 Return Lock-in

Fund II

Apex Pension 15 Return Lock-in

Fund II

Apex Pension Return Lock-in

Fund

Apex Pension 10 Return Lock-in

Fund

ULIF 048 01/07/10 PR5 110 ULIF 049 01/07/10 PR6 110 ULIF 050 01/07/10 PR7 110ULIF 042 20/01/10 PR1 110 ULIF 043 20/01/10 PR2 110 ULIF 051 01/07/10 PR8 110 ULIF 052 01/07/10 RA2 110ULIF 044 20/01/10 PR3 110 ULIF 045 20/01/10 PR4 110 ULIF 047 01/02/10 RA1 110

2,174.48 311.11 9,503.88 581.51 1,438.73 536.78 164.50 6,183.97 35.96 2,254.31

(27.22) (7.78) (155.63) (20.60) (192.25) (8.69) (16.74) (817.05) (0.02) (49.58)

52.71 9.32 192.22 10.69 29.71 12.20 3.09 121.90 1.05 43.32

0.11 4.21 1.12 0.12 0.17 0.08 0.03 0.68 0.50 0.37

2,148.88 305.36 9,466.18 591.30 1,601.10 533.19 178.12 6,878.44 34.43 2,260.19

Apex Pension 15 Return Lock-in

Fund

Apex Pension 20 Return Lock-in

Fund Apex Plus Return Lock-in Fund

Apex Pension Return Lock-in

Fund II

Apex Pension 10 Return Lock-in

Fund II

Apex Pension 15 Return Lock-in

Fund II

Apex Pension Return Lock-in

Fund

Apex Pension 10 Return Lock-in

Fund

Apex Pension 20 Return Lock-in

Fund II

Apex Plus Return Lock-in Fund

II

ULIF 048 01/07/10 PR5 110 ULIF 049 01/07/10 PR6 110 ULIF 050 01/07/10 PR7 110 ULIF 051 01/07/10 PR8 110 ULIF 052 01/07/10 RA2 110ULIF 042 20/01/10 PR1 110 ULIF 043 20/01/10 PR2 110 ULIF 044 20/01/10 PR3 110 ULIF 045 20/01/10 PR4 110 ULIF 047 01/02/10 RA1 110

Name of the Insurer: TATA AIA LIFE INSURANCE COMPANY LIMITED

Registration Number: 110

Page 6: Unit Linked Insurance Business Part - B Name of the ... · FORM L 27 (Read with Regulation 10) Unit Linked Insurance Business Linked to Item 'C' of Form 3A (Part A) Periodicty of

FORM L 27

(Read with Regulation 10)

Unit Linked Insurance Business

Linked to Item 'C' of Form 3A (Part A)

Periodicty of Submission: Quarterly

Statement as on: 31 December 2019

Opening Balance (Market Value)

Add: Inflow during the Quarter

Increase / (Decrease) Value of Inv [Net]

Less: Outflow during the Quarter

TOTAL INVESTIBLE FUNDS (MKT VALUE)

Approved Investments (>=75%)

A Central Government SecuritiesCentral Govt Securities

B State Government securitiesState Governement Securities

C Other Approved SecuritiesOther Approved Securities

D Corporate bonds Corporate Bonds

E Infrastructure Bonds Infrastructure Bonds

F Equity Equity

G Money Market InvestmentMoney Market Investments

H Mutual Funds Mutual funds

I Deposits with Bank Deposit with Banks

Sub Total (A) Sub Total (A)

Currrent AssetsCurrent Assets

Accured Interest Accrued Interest

Dividend Receivable Dividend Receivable

Bank Balance Bank Balance

Receivable for Sale of investmentsReceivable for Sale of investment

Other Current Assets (for Investments)Other Current Assets ( for investment)

Less : Current LiabilitiesLess : Current Liabilities

Payable for InvestmentsPayable for Investment

Fund Management of Charges PayableFund Mgmt charges Payable

Other current liabilites (for Investments)Other Current Liabilities ( for investment)

Sub Total (B) Sub Total (B)

OTHER INVESTMENT (<=25%)OTHER INVESTMENT (<=25%)

A Corporate bonds Corporate Bonds

B Infrastructure Bonds Infrastructure Bonds

C Equity Equity

D Mutual Funds Mutual Fund

E Others Others

F Others

Sub Total- (C) Sub Total- (C)

Total (A+B+C) Total (A+B+C)

Fund carried forward ( as per LB 2)Fund carried forward ( as per LB 2)

PARTICULARS

INVESTMENT OF UNIT FUND

Registration Number: 110

Name of the Insurer: TATA AIA LIFE INSURANCE COMPANY LIMITED

Part - B

(` in lakhs)

DCF ASI ASR SI2 SR2 SI3 MCF ICF SR3 TBL

46,174.34 83.47% - - 1,733.65 37.38% - - 926.04 33.43% - - - - - - 1,252.15 35.45% 1,236.77 30.02%

- - - - - - - - - - - - - - - - - - - -

- - - - - - - - - - - - - - - - - - - -

- - - - 1,083.00 23.35% - - 690.42 24.93% - - - - - - 788.47 22.33% 131.37 3.19%

- - - - 832.90 17.96% - - 401.16 14.48% - - - - - - 830.78 23.52% 492.04 11.94%

- - - - 340.51 7.34% - - 323.85 11.69% - - 7,627.89 75.47% 3,047.20 70.69% 509.40 14.42% 1,767.31 42.89%

15,212.72 27.50% - - 528.48 11.40% - - 348.25 12.57% - - 1,115.00 11.03% 603.83 14.01% 28.51 0.81% 354.36 8.60%

- - - - - - - - - - - - - - - - - - - -

- - - - - - - - - - - - - - - - - - - -

61,387.05 110.97% - 0.00% 4,518.54 97.43% - 0.00% 2,689.72 97.11% - 0.00% 8,742.89 86.50% 3,651.03 84.69% 3,409.32 96.53% 3,981.84 96.64%

880.12 1.59% - N.A. 98.78 2.13% - N.A. 58.72 2.12% - N.A. 0.15 0.00% 0.08 0.00% 87.42 2.48% 34.03 0.83%

- - - N.A. - - - N.A. - - - N.A. - - - - - - - -

1.64 0.00% - N.A. 1.20 0.03% - N.A. 0.84 0.03% - N.A. 1.95 0.02% 1.75 0.04% 1.32 0.04% 1.14 0.03%

- - - N.A. - - - N.A. - - - N.A. - - - - - - 0.25 0.01%

18,523.36 33.49% - N.A. 1.86 0.04% - N.A. 2.74 0.10% - N.A. 2,503.76 24.77% 873.43 20.26% 3.65 0.10% 136.01 3.30%

6,963.49 12.59% - N.A. - - - N.A. - - - N.A. 99.42 0.98% 49.71 1.15% - - 0.00 0.00%

0.89 0.00% - N.A. 0.20 0.00% - N.A. 0.12 0.00% - N.A. 0.38 0.00% 0.16 0.00% 0.15 0.00% 0.19 0.00%

18,510.71 33.46% - N.A. 1.94 0.04% - N.A. 2.85 0.10% - N.A. 2,337.26 23.12% 762.71 17.69% 3.97 0.11% 137.75 3.34%

(6,069.98) -10.97% 0.00 0.00% 99.70 2.15% 0.00 0.00% 59.34 2.14% 0.00 0.00% 68.80 0.68% 62.67 1.45% 88.26 2.50% 33.49 0.81%

- - - - - - - - - - - - - - - - - - - -

- - - - - - - - - - - - - - - - - - - -

- - - - 19.50 0.42% - - 20.66 0.75% - - 966.71 9.56% 432.75 10.04% 34.13 0.97% 104.97 2.55%

- - - - - - - - - - - - 329.00 3.26% 164.50 3.82% - - - -

- - - - - - - - - - - - - - - - - - - -

- - - - 19.50 0.42% - - 20.66 0.75% - - 1,295.71 12.82% 597.25 13.85% 34.13 0.97% 104.97 2.55%

55,317.07 100% - 0% 4,637.73 100% - 0% 2,769.72 100% - 0% 10,107.40 100% 4,310.95 100% 3,531.70 100% 4,120.30 100%

55,317.07 - 4,637.73 - 2,769.72 - 10,107.40 4,310.95 3,531.70 4,120.30

Note:

1. The aggregate of all the above Segregated Unit-Funds should reconcile with item C of FORM 3A (Part A), for both Par & Non Par Business

2. Details of Item 12 of FORM LB 2 which forms part of IRDA (Acturial Report) Regulation, 2000 shall be reconciled with FORM 3A (Part B).

3. Other Investments' are as permitted under Sec 27A(2)

MV of Inv. MV of Inv. MV of Inv. MV of Inv.MV of Inv. MV of Inv. MV of Inv. MV of Inv. MV of Inv. MV of Inv.

Apex Supreme Return Lock-in

Fund

Apex Supreme Investment Fund

II

Apex Supreme Return Lock-in

Fund IIApex Supreme Investment Fund III Multi Cap Fund India Consumption Fund

Apex Supreme Return Lock-in

Fund IIIBalanced FundDiscontinued Policy Fund Apex Supreme Investment Fund

ULIF 057 01/07/11 SR2 110 ULIF 058 01/11/11 SI3 110 ULIF 060 15/07/14 MCF 110 ULIF 061 15/07/14 ICF 110 ULIF 059 01/11/11 SR3 110 ULIF 005 04/02/04 TBL 110ULIF 053 07/01/11 DCF 110 ULIF 054 01/02/11 ASI 110 ULIF 055 01/02/11 ASR 110 ULIF 056 01/07/11 SI2 110

- 2,769.72 - 10,107.40 4,310.95 3,531.70 4,120.30 55,317.07 - 4,637.73

- (77.07) - (680.65) (277.06) (452.02) (454.55) (5,216.51) - (91.66)

- 51.80 - 605.74 277.52 83.45 76.08 779.63 - 79.39

- 0.85 - 2,991.41 1,493.09 1.16 42.83 11,468.40 - 0.68

- 2,794.14 - 7,190.90 2,817.40 3,899.11 4,455.94 48,285.56 - 4,649.33

Apex Supreme Investment Fund

II

Apex Supreme Return Lock-in

Fund IIApex Supreme Investment Fund III Multi Cap Fund India Consumption Fund

Apex Supreme Return Lock-in

Fund IIIBalanced FundDiscontinued Policy Fund Apex Supreme Investment Fund

Apex Supreme Return Lock-in

Fund

ULIF 061 15/07/14 ICF 110 ULIF 059 01/11/11 SR3 110 ULIF 005 04/02/04 TBL 110ULIF 054 01/02/11 ASI 110 ULIF 055 01/02/11 ASR 110 ULIF 056 01/07/11 SI2 110 ULIF 057 01/07/11 SR2 110 ULIF 058 01/11/11 SI3 110 ULIF 060 15/07/14 MCF 110ULIF 053 07/01/11 DCF 110

Name of the Insurer: TATA AIA LIFE INSURANCE COMPANY LIMITED

Registration Number: 110

Page 7: Unit Linked Insurance Business Part - B Name of the ... · FORM L 27 (Read with Regulation 10) Unit Linked Insurance Business Linked to Item 'C' of Form 3A (Part A) Periodicty of

FORM L 27

(Read with Regulation 10)

Unit Linked Insurance Business

Linked to Item 'C' of Form 3A (Part A)

Periodicty of Submission: Quarterly

Statement as on: 31 December 2019

Opening Balance (Market Value)

Add: Inflow during the Quarter

Increase / (Decrease) Value of Inv [Net]

Less: Outflow during the Quarter

TOTAL INVESTIBLE FUNDS (MKT VALUE)

Approved Investments (>=75%)

A Central Government SecuritiesCentral Govt Securities

B State Government securitiesState Governement Securities

C Other Approved SecuritiesOther Approved Securities

D Corporate bonds Corporate Bonds

E Infrastructure Bonds Infrastructure Bonds

F Equity Equity

G Money Market InvestmentMoney Market Investments

H Mutual Funds Mutual funds

I Deposits with Bank Deposit with Banks

Sub Total (A) Sub Total (A)

Currrent AssetsCurrent Assets

Accured Interest Accrued Interest

Dividend Receivable Dividend Receivable

Bank Balance Bank Balance

Receivable for Sale of investmentsReceivable for Sale of investment

Other Current Assets (for Investments)Other Current Assets ( for investment)

Less : Current LiabilitiesLess : Current Liabilities

Payable for InvestmentsPayable for Investment

Fund Management of Charges PayableFund Mgmt charges Payable

Other current liabilites (for Investments)Other Current Liabilities ( for investment)

Sub Total (B) Sub Total (B)

OTHER INVESTMENT (<=25%)OTHER INVESTMENT (<=25%)

A Corporate bonds Corporate Bonds

B Infrastructure Bonds Infrastructure Bonds

C Equity Equity

D Mutual Funds Mutual Fund

E Others Others

F Others

Sub Total- (C) Sub Total- (C)

Total (A+B+C) Total (A+B+C)

Fund carried forward ( as per LB 2)Fund carried forward ( as per LB 2)

PARTICULARS

INVESTMENT OF UNIT FUND

Registration Number: 110

Name of the Insurer: TATA AIA LIFE INSURANCE COMPANY LIMITED

Part - B

(` in lakhs)

E1 I1 L1 S1 BO BL G2 M1

TGL PEF PIF PLF PSTFI PBF PBLF PGF M1 Total

3,159.36 21.00% - - 12,243.92 40.61% - - 203.48 22.81% 3,190.36 41.02% 3,732.54 50.83% - - - - 1,27,314.18 11.22%

- - - - - - - - - - - - - - - - - - - -

- - - - 1,663.57 5.52% - - 113.79 12.76% 437.70 5.63% - - - - - - 7,327.38 0.65%

63.33 0.42% - - 4,346.39 14.42% - - 299.90 33.62% 1,157.95 14.89% 437.89 5.96% - - - - 30,078.18 2.65%

1,027.38 6.83% - - 7,549.65 25.04% - - 173.63 19.47% 1,993.43 25.63% 1,133.18 15.43% - - - - 38,975.67 3.43%

9,599.94 63.82% 9,274.51 83.40% - - - - - - - - 845.36 11.51% - - - - 7,43,710.17 65.54%

575.32 3.82% 207.73 1.87% 3,101.42 10.29% 822.04 116.44% 73.31 8.22% 762.68 9.81% 1,060.01 14.44% - - - - 83,213.48 7.33%

- - - - - - - - - - - - - - - - - - - -

- - - - - - - - - - - - - - - - - - - -

14,425.33 95.90% 9,482.23 85.27% 28,904.95 95.87% 822.04 116.44% 864.12 96.88% 7,542.12 96.97% 7,208.98 98.18% - 0.00% - 0.00% 10,30,619.06 90.82%

82.77 0.55% 0.03 0.00% 382.30 1.27% 0.03 0.00% 26.31 2.95% 93.84 1.21% 68.69 0.94% - N.A. - N.A. 3,994.48 0.35%

- - - - - - - - - - - - - - - N.A. - N.A. - -

1.57 0.01% 1.10 0.01% 1.24 0.00% 1.15 0.16% 1.52 0.17% 1.33 0.02% 1.41 0.02% - N.A. - N.A. 4,458.46 0.39%

- - - - - - - - - - - - - - - N.A. - N.A. 2,062.33 0.18%

498.96 3.32% 293.91 2.64% 1,385.14 4.59% 0.18 0.03% 2.35 0.26% 62.02 0.80% 27.44 0.37% - N.A. - N.A. 2,15,667.50 19.00%

- - - - - - 117.20 16.60% - - - - - - - N.A. - N.A. 7,598.95 0.67%

0.78 0.01% 0.48 0.00% 0.97 0.00% 0.02 0.00% 0.03 0.00% 0.25 0.00% 0.25 0.00% - N.A. - N.A. 44.35 0.00%

499.33 3.32% 294.24 2.65% 1,407.42 4.67% 0.17 0.02% 2.34 0.26% 61.88 0.80% 27.26 0.37% - N.A. - N.A. 2,13,984.49 18.86%

83.19 0.55% 0.33 0.00% 360.30 1.20% -116.04 -16.44% 27.81 3.12% 95.06 1.22% 70.03 0.95% 0.00 0.00% - 0.00% 4,554.98 0.40%

- - - - - - - - - - - - - - - - - - - -

- - - - 884.88 2.93% - - - - 140.78 1.81% - - - - - - 2,383.15 0.21%

532.85 3.54% 814.95 7.33% - - - - - - - - 63.72 0.87% - - - - 72,810.52 6.42%

- - 822.50 7.40% - - - - - - - - - - - - - - 24,442.40 2.15%

- - - - - - - - - - - - - - - - - - - -

532.85 3.54% 1,637.45 14.73% 884.88 0.03 - - - - 140.78 0.02 63.72 0.87% - - - - 99,636.06 8.78%

15,041.37 100% 11,120.01 100% 30,150.12 100% 706.00 100% 891.92 100% 7,777.95 100% 7,342.73 100% - 0% - 0% 11,34,810.10 100%

15,041.37 11,120.01 30,150.12 706.00 891.92 7,777.95 7,342.73 - - 11,34,810.10

Note:

1. The aggregate of all the above Segregated Unit-Funds should reconcile with item C of FORM 3A (Part A), for both Par & Non Par Business

2. Details of Item 12 of FORM LB 2 which forms part of IRDA (Acturial Report) Regulation, 2000 shall be reconciled with FORM 3A (Part B).

3. Other Investments' are as permitted under Sec 27A(2)

MV of Inv. MV of Inv. MV of Inv. MV of Inv. MV of Inv.MV of Inv. MV of Inv. MV of Inv. MV of Inv. MV of Inv.

Pension Balanced Fund Pension Growth Fund Pension Maxima Fund TOTALGrowth Fund Pension Equity Fund Pension Income Fund Pension Liquid FundPension Short Term Fixed

Income FundPension Bond Fund

ULGF 006 17/08/07 BL 110 ULGF 007 17/08/07 G2 110 ULGF 008 17/08/07 M1 110ULGF 002 02/03/04 I1 110 ULGF 003 02/03/04 L1 110 ULGF 004 01/07/06 S1 110 ULGF 005 17/08/07 BO 110ULIF 004 04/02/04 TGL 110 ULGF 001 02/03/04 E1 110

7,342.73 - - 11,34,810.08 15,041.37 11,120.01 30,150.12 706.00 891.92 7,777.95

(515.69) - - (77,087.34) (747.90) (341.47) (1,909.03) (10.46) (15.72) (154.53)

134.88 - - 44,053.59 285.52 474.18 597.62 10.45 16.13 152.68

272.51 - - 88,463.93 126.93 311.70 1,492.27 0.80 2.40 179.21

7,451.02 - - 10,79,379.90 15,376.82 10,675.60 29,969.26 705.21 889.11 7,600.59

Pension Balanced Fund Pension Growth Fund Pension Maxima Fund Total of All FundsGrowth Fund Pension Equity Fund Pension Income Fund Pension Liquid FundPension Short Term Fixed

Income FundPension Bond Fund

ULGF 003 02/03/04 L1 110 ULGF 004 01/07/06 S1 110 ULGF 005 17/08/07 BO 110 ULGF 006 17/08/07 BL 110 ULGF 007 17/08/07 G2 110 ULGF 008 17/08/07 M1 110ULIF 004 04/02/04 TGL 110 ULGF 001 02/03/04 E1 110 ULGF 002 02/03/04 I1 110

Name of the Insurer: TATA AIA LIFE INSURANCE COMPANY LIMITED

Registration Number: 110