Goldman Portfolio

Goldman Portfolio

GOLDMAN SACHS MUTUAL FUND 951-A, Rational House, Appasaheb Marathe Marg, Prabhadevi, Mumbai - 400 025. Tel. (9122) 6616 9000 Fax: (9122) 6627 9245 Toll Free: 1800-266-1220 E-mail us at [email protected]. Visit us at www.gsam.in HALF-YEARLY FINANCIAL RESULTS (UNAUDITED) FOR THE PERIOD ENDED MARCH 31, 2014 Investors / Unit holders are requested to note that the unaudited fi nancial results of the schemes of Goldman Sachs Mutual Fund for the half-year ended March 31, 2014 have been hosted on the website of Mutual Fund www.gsam.in HALF-YEARLY PORTFOLIO AS ON MARCH 31, 2014 ( Pursuant to Regulation 59A of Securities and Exchange Board of India [ Mutual Funds ] Regulations, 1996 ) Goldman Sachs Nifty Exchange Traded Scheme (GS NIFTY BeES) Sr. ISIN Name of Instrument Sub - Industry Quantity Market value % to Net No. Classifi cation* (Rs. in lakhs) Assets Sr. ISIN Name of Instrument Sub - Industry Quantity Market value % to Net No. Classifi cation* (Rs. in lakhs) Assets 39 INE465A01025 Bharat Forge Limited Industrial Products 20,651 87.11 1.43% 40 INE094A01015 Hindustan Petroleum Corporation Limited Petroleum Products 27,576 85.43 1.40% (a) EQUITY & EQUITY RELATED 41 INE092A01019 Tata Chemicals Limited Chemicals 29,255 84.02 1.38% INSTRUMENTS 42 INE264A01014 GlaxoSmithKline Consumer Healthcare Limited Consumer Non Durables 1,929 82.95 1.36% LISTED 43 INE614G01033 Reliance Power Limited Power 116,889 82.58 1.35% 1 INE154A01025 ITC Limited Consumer Non Durables 924,010 3,260.37 8.68% 44 INE084A01016 Bank of India Banks 35,629 81.41 1.33% 2 INE009A01021 Infosys Limited Software 80,664 2,648.04 7.05% 45 INE918I01018 Bajaj Finserv Limited Finance 9,943 78.36 1.28% 3 INE002A01018 Reliance Industries Limited Petroleum Products 274,722 2,556.98 6.81% 46 INE347G01014 Petronet LNG Limited Gas 49,972 68.46 1.12% 4 INE090A01013 ICICI Bank Limited Banks 192,922 2,401.98 6.39% 47 INE013A01015 Reliance Capital Limited Finance 18,764 64.90 1.06% 5 INE040A01026 HDFC Bank Limited Banks 309,718 2,319.17 6.17% 48 INE476A01014 Canara Bank Banks 23,820 62.97 1.03% 6 INE001A01036 Housing Development Finance Corporation Limited Finance 260,610 2,303.53 6.13% 49 INE692A01016 Union Bank of India Banks 41,865 57.52 0.94% 7 INE467B01029 Tata Consultancy Services Limited Software 85,436 1,822.48 4.85% 50 INE356A01018 MphasiS Limited Software 12,230 49.41 0.81% 8 INE018A01030 Larsen & Toubro Limited Construction Project 136,163 1,731.86 4.61% Total 6,092.55 99.75% 9 INE155A01022 Tata Motors Limited Auto 300,304 1,197.16 3.19% 10 INE062A01012 State Bank of India Banks 51,653 990.55 2.64% (b) SECURITIZED DEBT - - 11 INE213A01029 Oil & Natural Gas Corporation Limited Oil 295,669 942.30 2.51% Total - - 12 INE238A01026 Axis Bank Limited Banks 51,860 757.42 2.02% (c) NET CURRENT ASSETS 15.31 0.25% 13 INE101A01026 Mahindra & Mahindra Limited Auto 76,940 754.55 2.01% Total 15.31 0.25% 14 INE044A01036 Sun Pharmaceuticals Industries Limited Pharmaceuticals 125,796 723.01 1.92% TOTAL NET ASSETS 6,107.86 100.00% 15 INE030A01027 Hindustan Unilever Limited Consumer Non Durables 118,246 716.04 1.91% 16 INE397D01024 Bharti Airtel Limited Telecom - Services 198,853 631.86 1.68% *Classifi cation as per SEBI Circular No. MFD/CIR/14/18337/2002 dated 19th September 2002 17 INE860A01027 HCL Technologies Limited Software 44,695 621.57 1.65% NOTES : 18 INE075A01022 Wipro Limited Software 109,214 593.25 1.58% 1. Total NPAs provided for Nil 19 INE089A01023 Dr. Reddy's Laboratories Limited Pharmaceuticals 21,170 542.78 1.44% 2. Total value and percentage of illiquid equity shares Nil 20 INE237A01028 Kotak Mahindra Bank Limited Banks 63,660 497.22 1.32% 3. NAV at the beginning of the half-year period (Rs. per unit) 113.5140 21 INE917I01010 Bajaj Auto Limited Auto 22,425 467.25 1.24% 4. NAV at the end of the half-year period (Rs. per unit) 135.2736 5. Exposure to derivative instrument at the end of the half-year period Nil 22 INE158A01026 Hero MotoCorp Limited Auto 20,048 456.05 1.21% 6. Investment in foreign securities/ADRs/GDRs at the end of the half-year period Nil 23 INE669C01028 Tech Mahindra Limited Software 24,860 446.32 1.19% 7. Portfolio Turnover Ratio 0.30 24 INE081A01012 Tata Steel Limited Ferrous Metals 111,406 438.88 1.17% 8. Dividend declared during the half year period (Rs. per unit) 1.00 25 INE585B01010 Maruti Suzuki India Limited Auto 22,105 435.86 1.16% 9. Repo transactions in corporate debt securities Nil 26 INE021A01026 Asian Paints Limited Consumer Non Durables 75,672 414.64 1.10% 27 INE733E01010 NTPC Limited Power 344,454 413.00 1.10% Goldman Sachs Liquid Exchange Traded Scheme (GS LIQUID BeES) 28 INE205A01025 Sesa Sterlite Limited Minerals/Mining 206,541 389.43 1.04% 29 INE752E01010 Power Grid Corporation of India Limited Power 368,079 386.48 1.03% Sr. ISIN Name of Instrument Rating Quantity Market value % to Net 30 INE326A01037 Lupin Limited Pharmaceuticals 39,886 372.20 0.99% No. (Rs. in lakhs) Assets 31 INE481G01011 UltraTech Cement Limited Cement 16,978 371.30 0.99% (a) DEBT INSTRUMENTS - - 32 INE095A01012 IndusInd Bank Limited Banks 71,193 357.28 0.95% Total - - 33 INE854D01016 United Spirits Limited Consumer Non Durables 13,209 349.70 0.93% (b) SECURITIZED DEBT - - 34 INE910H01017 Cairn India Limited Oil 98,747 328.83 0.88% 35 INE059A01026 Cipla Limited Pharmaceuticals 84,792 324.58 0.86% Total - - 36 INE047A01013 Grasim Industries Limited Cement 10,626 306.88 0.82% (c) FIXED DEPOSIT PLACED AS A MARGIN 37 INE522F01014 Coal India Limited Minerals/Mining 105,546 304.76 0.81% 1 8.00% Citibank N.A. (April 24, 2014) 1,000.00 1.82% 38 INE038A01020 Hindalco Industries Limited Non - Ferrous Metals 214,930 304.66 0.81% 2 8.00% Citibank N.A. (May 06, 2014) 200.00 0.36% 39 INE129A01019 GAIL (India) Limited Gas 75,059 282.26 0.75% Total 1,200.00 2.18% 40 INE257A01026 Bharat Heavy Electricals Limited Industrial Capital Goods 132,017 258.82 0.69% (d) COLLATERALISED BORROWING AND 41 INE079A01024 Ambuja Cements Limited Cement 127,923 258.66 0.69% LENDING OBLIGATION 53,283.87 96.97% 42 INE043D01016 IDFC Limited Finance 209,680 256.33 0.68% Total 53,283.87 96.97% 43 INE028A01013 Bank of Baroda Banks 31,997 230.62 0.61% (e) NET CURRENT ASSETS 465.85 0.85% 44 INE245A01021 Tata Power Company Limited Power 265,648 226.20 0.60% Total 465.85 0.85% 45 INE012A01025 ACC Limited Cement 15,630 218.75 0.58% 46 INE029A01011 Bharat Petroleum Corporation Limited Petroleum Products 43,183 198.66 0.53% TOTAL NET ASSETS 54,949.72 100.00% 47 INE160A01014 Punjab National Bank Banks 24,881 185.09 0.49% NOTES : 48 INE584A01023 NMDC Limited Minerals/Mining 132,471 184.47 0.49% 1. Total NPAs provided for Nil 49 INE749A01030 Jindal Steel & Power Limited Ferrous Metals 61,658 180.32 0.48% 2. Total value and percentage of illiquid equity shares Nil 50 INE271C01023 DLF Limited Construction 74,630 131.68 0.35% 3. NAV at the beginning of the half year period (Rs. per unit) 1,000.0000 4. NAV at the end of the half year period (Rs. per unit) 1,000.0000 Total 37,492.08 99.79% 5. Exposure to derivative instrument at the end of the half-year period Nil UNLISTED 6. Investment in foreign securities/ADRs/GDRs at the end of the half-year period Nil 51 Tata Power Company Limited - Rights ** Power 39,625 9.96 0.03% 7. Average Maturity Period (in days) 2.53 Total 9.96 0.03% 8. Dividend declared during the half year period (Rs. per unit) (b) SECURITIZED DEBT - - Individual & HUF 30.020319 Others 28.751081 Total - - 9. Repo transactions in corporate debt securities Nil (c) NET CURRENT ASSETS 68.55 0.18% Total 68.55 0.18% Goldman Sachs Banking Index Exchange Traded Scheme (GS BANK BeES) TOTAL NET ASSETS 37,570.59 100.00% Sr. ISIN Name of Instrument Sub - Industry Quantity Market value % to Net *Classifi cation as per SEBI Circular No. MFD/CIR/14/18337/2002 dated 19th September 2002 No. Classifi cation* (Rs. in lakhs) Assets **Indicates thinly traded/non traded and illiquid securities as defi ned in SEBI Regulations and Guidelines (a) EQUITY & EQUITY RELATED NOTES : INSTRUMENTS 1. Total NPAs provided for Nil LISTED 2. Total value of illiquid equity shares amounts to Rs. 9.96 Lakhs and its percentage to Net Asset Value is 0.03% 1 INE090A01013 ICICI Bank Limited Banks 110,158 1,371.52 29.19% 3. NAV at the beginning of the half-year period (Rs. per unit) 580.7267 2 INE040A01026 HDFC Bank Limited Banks 176,849 1,324.25 28.18% 4. NAV at the end of the half-year period (Rs. per unit) 672.4072 5. Exposure to derivative instrument at the end of the half-year period Nil 3 INE062A01012 State Bank of India Banks 29,494 565.61 12.04% 6. Investment in foreign securities/ADRs/GDRs at the end of the half-year period Nil 4 INE238A01026 Axis Bank Limited Banks 29,612 432.48 9.20% 7. Portfolio Turnover Ratio 1.19 5 INE237A01028 Kotak Mahindra Bank Limited Banks 36,350 283.91 6.04% 8.

View Full Text

Details

  • File Type
    pdf
  • Upload Time
    -
  • Content Languages
    English
  • Upload User
    Anonymous/Not logged-in
  • File Pages
    5 Page
  • File Size
    -

Download

Channel Download Status
Express Download Enable

Copyright

We respect the copyrights and intellectual property rights of all users. All uploaded documents are either original works of the uploader or authorized works of the rightful owners.

  • Not to be reproduced or distributed without explicit permission.
  • Not used for commercial purposes outside of approved use cases.
  • Not used to infringe on the rights of the original creators.
  • If you believe any content infringes your copyright, please contact us immediately.

Support

For help with questions, suggestions, or problems, please contact us