
NATIONAL STOCK EXCHANGE OF INDIA LTD.
LISTING
CIRCULAR
Download Ref no. NSE/CML/16277
Ref. No. NSE/LIST/C/2010/1087
Date: November 10, 2010
To all Members,
Sub: Listing of units issued by HDFC Asset Management Company Limited (HDFC Fixed Maturity Plans - Series XVII-HDFC FMP 370D November 2010 (1)), IDFC Asset Management Company Limited (IDFC Fixed Maturity Plan -Eighteen Months Series 7) and Reliance Capital Asset Management Limited (Reliance Fixed Horizon Fund - XVI - Series 2)
In pursuance of Regulation 3.1.1 of the National Stock Exchange (Capital Market) Trading Regulations Part A, it is hereby notified that the list of securities further admitted to dealings on the National Stock Exchange (Capital Market segment) with effect from November 11, 2010 and the designated security codes thereof shall be as specified in Annexure.
In pursuance of Regulation 2.5.5 of the National Stock Exchange (Capital Market) Trading Regulations Part A, it is hereby notified that the respective lot sizes in respect of securities above shall be as specified in Annexure.
For the purpose of trading on the system, the security shall be identified only by its designated codes and trading in such securities shall be in such lot sizes as specified in Annexure.
This circular shall be effective from November 11, 2010.
For and on behalf of
National Stock Exchange of India Limited.
Johnson Joseph
Chief Manager
Annexure
1. HDFC Asset Management Company
Limited
|
Name
of Scheme |
HDFC
Fixed Maturity Plans - Series XVII-HDFC FMP 370D November 2010 (1) |
||
|
Symbol |
HNOV17370G |
HNOV17370D |
HNOV17370Q |
|
Security
Description |
Units
of Rs.10/- each of HDFC Mutual Fund - HDFC Fixed Maturity Plans - Series XVII
- HDFC FMP 370D November 2010 (1) - Growth Option |
Units
of Rs.10/- each of HDFC Mutual Fund - HDFC Fixed Maturity Plan- Series XVII -
HDFC FMP 370D November 2010 (1) - Normal Dividend Option |
Units
of Rs.10/- each of HDFC Mutual Fund - HDFC Fixed Maturity Plan- Series XVII -
HDFC FMP 370 D November 2010 (1) - Quarterly Dividend Option |
|
ISIN |
INF179K01FI4 |
INF179K01FJ2 |
INF179K01FK0 |
|
No
of Units |
546906852 |
7294929 |
1073662 |
|
Scheme
Type |
Close
Ended |
||
|
Series |
MF |
||
|
Date
of Redemption |
November
8, 2011 |
||
|
Face
Value per unit |
Rs.10/- |
||
|
Paid
Up Value per unit |
Rs.10/- |
||
|
Issue
Price |
Rs.10/- |
||
|
Market
Lot |
1 |
||
|
Address
of the Trustee: Churchgate
Mumbai-400020
|
|
Address
of the Asset Management Company: Churchgate
Mumbai-400020
Email:
yezdik@hdfcfund.com Website:
www.hdfcfund.com |
|
Address
of the Registrar and Share Transfer Agent: Chennai-600002
Email:
b_subramani@camsonline.com |
2. IDFC Asset Management
Company Limited
|
Name
of Scheme |
IDFC
Fixed Maturity Plan -Eighteen Months Series 7 |
|
|
Symbol |
IDFCEMS7G |
IDFCEMS7P |
|
Security
Description |
Units
of Rs.10/- each of IDFC Mutual Fund-IDFC Fixed Maturity Plan 18 Months Series
7- Growth |
Units
of Rs.10/- each of IDFC Mutual Fund-IDFC Fixed Maturity Plan 18 Months Series
7 - Dividend |
|
ISIN |
INF194K01AU9 |
INF194K01AV7 |
|
No
of Units |
89978957 |
12928183 |
|
Scheme
Type |
Close
Ended |
|
|
Series |
MF |
|
|
Date
of Redemption |
May
3, 2012 |
|
|
Face
Value per unit |
Rs.10/- |
|
|
Paid
Up Value per unit |
Rs.10/- |
|
|
Issue
Price |
Rs.10/- |
|
|
Market
Lot |
1 |
|
|
Address
of the Trustee: Senapati
Bapat Marg, Elphinstone
Road (W), Mumbai-400013
|
|
Address
of the Asset Management Company: Senapati
Bapat Marg, Elphinstone
Road (W), Mumbai-400013
Email:
jyothi.krishnan@idfcmf.com |
|
Address
of the Registrar and Share Transfer Agent: Kodambakkam
High Road, Numgambakkam,
Chennai-600034
. |
3. Reliance Capital Asset
Management Limited
|
Name
of Scheme |
Reliance
Fixed Horizon Fund - XVI - Series 2 |
|
|
Symbol |
RELFXVI2GP |
RELFXVI2DP |
|
Security
Description |
Units
of Rs.10/- each of Reliance Mutual Fund - Reliance Fixed Horizon Fund - XVI -
Series 2 - Growth Option |
Units
of Rs.10/- each of Reliance Mutual Fund - Reliance Fixed Horizon Fund - XVI -
Series 2 - Dividend Payout Option |
|
ISIN |
INF204K01JJ0 |
INF204K01JK8 |
|
No
of Units |
741987740 |
15515791 |
|
Scheme
Type |
Close
Ended |
|
|
Series |
MF |
|
|
Date
of Redemption |
November
8, 2011 |
|
|
Face
Value per unit |
Rs.10/- |
|
|
Paid
Up Value per unit |
Rs.10/- |
|
|
Issue
Price |
Rs.10/- |
|
|
Market
Lot |
1 |
|
|
Address
of the Trustee: Senapati
Bapat Marg, Elphinstone
Road, Mumbai-400013
|
|
Address
of the Asset Management Company: Senapati
Bapat Marg, Elphinstone
Road Mumbai-400013
|
|
Address
of the Registrar and Share Transfer Agent: Banjara
Hills, Hyderabad-500034
|