Atul Ltd 2019-20

121 Standalone | Notes to the Financial Statements ( ` cr) Note 5.2 Other investments Face value 1 As at March 31, 2020 As at March 31, 2019 Number of shares Amount Number of shares Amount a) Investment in equity instruments (fully paid-up) Other companies measured at FVOCI Quoted Arvind Fashions Ltd 4 8,25,494 12.10 8,25,494 86.11 Arvind Ltd 10 41,27,471 8.11 41,27,471 37.54 Arvind SmartSpaces Ltd 10 4,12,747 2.79 4,12,747 5.40 BASF India Ltd 10 2,61,396 29.41 2,61,396 38.70 ICICI Bank Ltd 2 1,09,026 3.53 1,09,026 4.36 Jain Irrigation Systems Ltd 2 - - 4,000 0.02 Jain Irrigation Systems Ltd - DVR 5 2 - - 200 Nagarjuna Fertilizers and Chemicals Ltd 1 - - 34,650 0.02 Nagarjuna Oil Refinery Ltd (Previous year ` 11,025) 1 - - 31,500 Novartis India Ltd 5 3,74,627 18.81 3,74,627 25.69 Pfizer Ltd 10 9,58,927 385.78 9,58,927 318.94 The Anup Engineering Ltd 10 1,52,869 4.98 1,52,869 8.54 Unquoted Bharuch Enviro Infrastructure Ltd 10 70,000 0.07 70,000 0.07 Narmada Clean Tech Ltd 10 7,15,272 0.72 7,15,272 0.72 OPGS Power Gujarat Pvt Ltd 0.19 5,03,000 0.01 5,03,000 0.01 Gujarat Synthwood Ltd 6 10 4,00,000 - 4,00,000 - b) Investment in government or trust securities measured at amortised cost 6 Years National Savings Certificates (deposited with government departments) - 0.01 - 0.01 466.32 526.13 ( ` cr) Note 5.3 Current investment As at March 31, 2020 As at March 31, 2019 Number of units Amount Number of units Amount Investment in mutual funds measured at FVPL Unquoted Aditya Birla Sun Life Arbitrage Fund 3,52,48,336 73.76 1,35,95,661 14.99 Axis Arbitrage Fund 4,54,47,910 67.53 - - DSP Arbitrage Fund 1,02,01,709 11.77 - - Edelweiss Arbitrage Fund 38,90,613 5.88 2,34,29,739 24.98 HDFC Arbitrage Fund 4,96,26,820 73.87 95,50,642 9.99 ICICI Prudential Equity Arbitrage Fund 2,52,04,429 68.01 - - Nippon Arbitrage Fund 9,56,976 2.00 4,29,28,057 47.20 SBI Arbitrage Fund 2,83,40,502 75.01 21,03,802 2.99 Aditya Birla Liquid Fund - - 5,45,935 16.40 Axis Liquid | Short-term Fund 6,06,524 92.33 1,35,338 28.06 HDFC Liquid Fund 1,84,728 72.17 46,535 17.12 Nippon Liquid Fund - - 45,244 20.64 SBI Liquid | Short-term Fund 2,71,042 85.16 52,166 15.27 627.49 197.64

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