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          <xs:element name="BSEFundMast">
            <xs:complexType>
              <xs:sequence>
                <xs:element name="Unique_No" type="xs:int" minOccurs="0" />
                <xs:element name="SCHEME_CODE" type="xs:string" minOccurs="0" />
                <xs:element name="RTA_x0020_Code" type="xs:string" minOccurs="0" />
                <xs:element name="AMC_SCHEME_CODE" type="xs:string" minOccurs="0" />
                <xs:element name="ISIN" type="xs:string" minOccurs="0" />
                <xs:element name="AMC_CODE1" type="xs:string" minOccurs="0" />
                <xs:element name="SCHEME_NAME" type="xs:string" minOccurs="0" />
                <xs:element name="PUR_TXNMODE" type="xs:string" minOccurs="0" />
                <xs:element name="PUR_AMT_MIN" type="xs:double" minOccurs="0" />
                <xs:element name="Additonal_x0020_Pur_x0023__x0020_Amt_x0023_" type="xs:double" minOccurs="0" />
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                <xs:element name="PUR_ALLOWED" type="xs:string" minOccurs="0" />
                <xs:element name="PUR_CUTOFF" type="xs:dateTime" minOccurs="0" />
                <xs:element name="RED_TXNMODE" type="xs:string" minOccurs="0" />
                <xs:element name="RED_QTY_MIN" type="xs:double" minOccurs="0" />
                <xs:element name="RED_QTY_MULTIPLE" type="xs:double" minOccurs="0" />
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                <xs:element name="RED_ALLOWED" type="xs:string" minOccurs="0" />
                <xs:element name="RED_CUTOFF" type="xs:dateTime" minOccurs="0" />
                <xs:element name="RTAAGENTCODE" type="xs:string" minOccurs="0" />
                <xs:element name="AMC_ACTIVE" type="xs:string" minOccurs="0" />
                <xs:element name="DIVIDEND_FLAG" type="xs:string" minOccurs="0" />
                <xs:element name="SCHEMETYPE" type="xs:string" minOccurs="0" />
                <xs:element name="SIP_FLAG" type="xs:string" minOccurs="0" />
                <xs:element name="SWP" type="xs:string" minOccurs="0" />
                <xs:element name="STP" type="xs:string" minOccurs="0" />
                <xs:element name="TAT" type="xs:string" minOccurs="0" />
                <xs:element name="PUR_AMT_MULTIPLE" type="xs:double" minOccurs="0" />
                <xs:element name="Start_Date" type="xs:dateTime" minOccurs="0" />
                <xs:element name="End_Date" type="xs:dateTime" minOccurs="0" />
                <xs:element name="Scheme_Plan" type="xs:string" minOccurs="0" />
                <xs:element name="RED_AMT_MIN" type="xs:double" minOccurs="0" />
                <xs:element name="RED_AMT_MAX" type="xs:double" minOccurs="0" />
                <xs:element name="RED_AMT_MUL" type="xs:double" minOccurs="0" />
                <xs:element name="SWITCH_Flag" type="xs:string" minOccurs="0" />
                <xs:element name="AMC_IND" type="xs:string" minOccurs="0" />
                <xs:element name="Face_Value" type="xs:double" minOccurs="0" />
                <xs:element name="Exit_Load_Flag" type="xs:string" minOccurs="0" />
                <xs:element name="Exit_Load" type="xs:string" minOccurs="0" />
                <xs:element name="LOC_Flag" type="xs:string" minOccurs="0" />
                <xs:element name="LOC_PER" type="xs:string" minOccurs="0" />
                <xs:element name="CHA_PAT_Cod" type="xs:string" minOccurs="0" />
              </xs:sequence>
            </xs:complexType>
          </xs:element>
        </xs:choice>
      </xs:complexType>
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  </xs:schema>
  <BSEFundMast>
    <Unique_No>50335</Unique_No>
    <SCHEME_CODE>KO1277D-DP</SCHEME_CODE>
    <RTA_x0020_Code>1277D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K1277D</AMC_SCHEME_CODE>
    <ISIN>INF174KA1XY4</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK RURAL OPPORTUNITIES FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K1277D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50340</Unique_No>
    <SCHEME_CODE>HDHBSRG-GR</SCHEME_CODE>
    <RTA_x0020_Code>HBSRG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>HBSRG</AMC_SCHEME_CODE>
    <ISIN>INF179KC1JX8</ISIN>
    <AMC_CODE1>HDFCMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>HDFC BSE INDIA SECTOR LEADERS INDEX FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>HHBSRG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50341</Unique_No>
    <SCHEME_CODE>HDHBSDG-GR</SCHEME_CODE>
    <RTA_x0020_Code>HBSDG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>HBSDG</AMC_SCHEME_CODE>
    <ISIN>INF179KC1JY6</ISIN>
    <AMC_CODE1>HDFCMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>HDFC BSE INDIA SECTOR LEADERS INDEX FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>HHBSDG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50344</Unique_No>
    <SCHEME_CODE>BJBSDD-DP</SCHEME_CODE>
    <RTA_x0020_Code>BSDD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>BSDDD</AMC_SCHEME_CODE>
    <ISIN>INF0QA701CA7</ISIN>
    <AMC_CODE1>BAJAJ FINSERV_MF</AMC_CODE1>
    <SCHEME_NAME>BAJAJ FINSERV BANKING AND FINANCIAL SERVICES FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-03T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-03T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>189BSDD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50345</Unique_No>
    <SCHEME_CODE>BJBSDD-DR</SCHEME_CODE>
    <RTA_x0020_Code>BSDD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>BSDDR</AMC_SCHEME_CODE>
    <ISIN>INF0QA701CB5</ISIN>
    <AMC_CODE1>BAJAJ FINSERV_MF</AMC_CODE1>
    <SCHEME_NAME>BAJAJ FINSERV BANKING AND FINANCIAL SERVICES FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-03T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-03T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>189BSDD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50346</Unique_No>
    <SCHEME_CODE>BJBSDG-GR</SCHEME_CODE>
    <RTA_x0020_Code>BSDG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>BSDGG</AMC_SCHEME_CODE>
    <ISIN>INF0QA701BZ6</ISIN>
    <AMC_CODE1>BAJAJ FINSERV_MF</AMC_CODE1>
    <SCHEME_NAME>BAJAJ FINSERV BANKING AND FINANCIAL SERVICES FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-03T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-03T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>189BSDG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50347</Unique_No>
    <SCHEME_CODE>BJBSRD-DP</SCHEME_CODE>
    <RTA_x0020_Code>BSRD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>BSRDD</AMC_SCHEME_CODE>
    <ISIN>INF0QA701BX1</ISIN>
    <AMC_CODE1>BAJAJ FINSERV_MF</AMC_CODE1>
    <SCHEME_NAME>BAJAJ FINSERV BANKING AND FINANCIAL SERVICES FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-03T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-03T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>189BSRD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50348</Unique_No>
    <SCHEME_CODE>BJBSRD-DR</SCHEME_CODE>
    <RTA_x0020_Code>BSRD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>BSRDR</AMC_SCHEME_CODE>
    <ISIN>INF0QA701BY9</ISIN>
    <AMC_CODE1>BAJAJ FINSERV_MF</AMC_CODE1>
    <SCHEME_NAME>BAJAJ FINSERV BANKING AND FINANCIAL SERVICES FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <End_Date>2099-12-03T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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  <BSEFundMast>
    <Unique_No>50349</Unique_No>
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    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <Start_Date>2025-12-03T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-03T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <Unique_No>50358</Unique_No>
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    <AMC_SCHEME_CODE>S1GPG</AMC_SCHEME_CODE>
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    <AMC_CODE1>ITI MUTUAL FUND_MF_SIF</AMC_CODE1>
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    <PUR_AMT_MIN>25000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>25000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_TXNMODE>DP</RED_TXNMODE>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <STP>N</STP>
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    <Start_Date>2025-12-03T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-03T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>25000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>908S1GP</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>50359</Unique_No>
    <SCHEME_CODE>TISS1DP-DP</SCHEME_CODE>
    <RTA_x0020_Code>S1DP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>S1DPD</AMC_SCHEME_CODE>
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    <AMC_CODE1>ITI MUTUAL FUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>DIVINITI EQUITY LONG SHORT FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>25000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>25000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <Start_Date>2025-12-03T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-03T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>908S1DP</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>50360</Unique_No>
    <SCHEME_CODE>TISS1DP-DR</SCHEME_CODE>
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    <AMC_SCHEME_CODE>S1DPR</AMC_SCHEME_CODE>
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    <AMC_CODE1>ITI MUTUAL FUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>DIVINITI EQUITY LONG SHORT FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>25000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>25000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_TXNMODE>DP</RED_TXNMODE>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <Start_Date>2025-12-03T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-03T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MUL>1</RED_AMT_MUL>
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    <LOC_Flag>N</LOC_Flag>
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    <CHA_PAT_Cod>908S1DP</CHA_PAT_Cod>
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    <Unique_No>50361</Unique_No>
    <SCHEME_CODE>TISS1G1-GR</SCHEME_CODE>
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    <AMC_SCHEME_CODE>S1G1G</AMC_SCHEME_CODE>
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    <AMC_CODE1>ITI MUTUAL FUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>DIVINITI EQUITY LONG SHORT FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>25000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>25000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
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    <Start_Date>2025-12-03T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-03T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>25000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>908S1G1</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>50362</Unique_No>
    <SCHEME_CODE>TISS1D1-DP</SCHEME_CODE>
    <RTA_x0020_Code>S1D1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>S1D1D</AMC_SCHEME_CODE>
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    <AMC_CODE1>ITI MUTUAL FUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>DIVINITI EQUITY LONG SHORT FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>25000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>25000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <STP>N</STP>
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    <Start_Date>2025-12-03T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-03T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>908S1D1</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>50363</Unique_No>
    <SCHEME_CODE>TISS1D1-DR</SCHEME_CODE>
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    <AMC_CODE1>ITI MUTUAL FUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>DIVINITI EQUITY LONG SHORT FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
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    <PUR_AMT_MIN>25000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>25000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_TXNMODE>DP</RED_TXNMODE>
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    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <Start_Date>2025-12-03T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-03T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <SWITCH_Flag>Y</SWITCH_Flag>
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    <LOC_Flag>N</LOC_Flag>
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    <CHA_PAT_Cod>908S1D1</CHA_PAT_Cod>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <End_Date>2099-12-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>G419</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50366</Unique_No>
    <SCHEME_CODE>ID419R-DR</SCHEME_CODE>
    <RTA_x0020_Code>419R</RTA_x0020_Code>
    <AMC_SCHEME_CODE>419R</AMC_SCHEME_CODE>
    <ISIN>INF194KB1KE8</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>BANDHAN HEALTHCARE FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>G419R</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50367</Unique_No>
    <SCHEME_CODE>IDD418-GR</SCHEME_CODE>
    <RTA_x0020_Code>D418</RTA_x0020_Code>
    <AMC_SCHEME_CODE>D418</AMC_SCHEME_CODE>
    <ISIN>INF194KB1KF5</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>BANDHAN HEALTHCARE FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GD418</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50368</Unique_No>
    <SCHEME_CODE>IDD419-DP</SCHEME_CODE>
    <RTA_x0020_Code>D419</RTA_x0020_Code>
    <AMC_SCHEME_CODE>D419</AMC_SCHEME_CODE>
    <ISIN>INF194KB1KG3</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>BANDHAN HEALTHCARE FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GD419</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50369</Unique_No>
    <SCHEME_CODE>IDD419R-DR</SCHEME_CODE>
    <RTA_x0020_Code>D419R</RTA_x0020_Code>
    <AMC_SCHEME_CODE>D419R</AMC_SCHEME_CODE>
    <ISIN>INF194KB1KH1</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>BANDHAN HEALTHCARE FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GD419R</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50370</Unique_No>
    <SCHEME_CODE>ID419-DR</SCHEME_CODE>
    <RTA_x0020_Code>419</RTA_x0020_Code>
    <AMC_SCHEME_CODE>419</AMC_SCHEME_CODE>
    <ISIN>INF194KB1KD0</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>BANDHAN HEALTHCARE FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>G419</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50371</Unique_No>
    <SCHEME_CODE>IDD419-DR</SCHEME_CODE>
    <RTA_x0020_Code>D419</RTA_x0020_Code>
    <AMC_SCHEME_CODE>D419</AMC_SCHEME_CODE>
    <ISIN>INF194KB1KG3</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>BANDHAN HEALTHCARE FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GD419</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50376</Unique_No>
    <SCHEME_CODE>FR1004-GR</SCHEME_CODE>
    <RTA_x0020_Code>1004</RTA_x0020_Code>
    <AMC_SCHEME_CODE>1004</AMC_SCHEME_CODE>
    <ISIN>INF090I01YN8</ISIN>
    <AMC_CODE1>FRANKLINTEMPLETON</AMC_CODE1>
    <SCHEME_NAME>FRANKLIN INDIA MULTI-FACTOR FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>FTI1004</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50377</Unique_No>
    <SCHEME_CODE>FR1005-DR</SCHEME_CODE>
    <RTA_x0020_Code>1005</RTA_x0020_Code>
    <AMC_SCHEME_CODE>1005</AMC_SCHEME_CODE>
    <ISIN>INF090I01YO6</ISIN>
    <AMC_CODE1>FRANKLINTEMPLETON</AMC_CODE1>
    <SCHEME_NAME>FRANKLIN INDIA MULTI-FACTOR FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
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    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>FTI1005</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50378</Unique_No>
    <SCHEME_CODE>FR1005P-DP</SCHEME_CODE>
    <RTA_x0020_Code>1005P</RTA_x0020_Code>
    <AMC_SCHEME_CODE>1005P</AMC_SCHEME_CODE>
    <ISIN>INF090I01YP3</ISIN>
    <AMC_CODE1>FRANKLINTEMPLETON</AMC_CODE1>
    <SCHEME_NAME>FRANKLIN INDIA MULTI-FACTOR FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
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    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-11-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-11-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125MMGP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50392</Unique_No>
    <SCHEME_CODE>INMMDP-DP</SCHEME_CODE>
    <RTA_x0020_Code>MMDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MMDPD</AMC_SCHEME_CODE>
    <ISIN>INF666M01NA7</ISIN>
    <AMC_CODE1>GROWWMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>GROWW MONEY MARKET FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-11-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-11-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125MMDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50393</Unique_No>
    <SCHEME_CODE>INMMDP-DR</SCHEME_CODE>
    <RTA_x0020_Code>MMDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MMDPR</AMC_SCHEME_CODE>
    <ISIN>INF666M01NB5</ISIN>
    <AMC_CODE1>GROWWMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>GROWW MONEY MARKET FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-11-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-11-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125MMDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50394</Unique_No>
    <SCHEME_CODE>ZEZBSEN-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>ZBSEN</RTA_x0020_Code>
    <AMC_SCHEME_CODE>ZBSEN</AMC_SCHEME_CODE>
    <ISIN>INF0R8F01174</ISIN>
    <AMC_CODE1>ZERODHAMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ZERODHA BSE SENSEX INDEX FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-11-10T00:00:00+05:30</Start_Date>
    <End_Date>2099-11-10T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>0.01</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>ZZBSEN</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50395</Unique_No>
    <SCHEME_CODE>PRMUD1-DP</SCHEME_CODE>
    <RTA_x0020_Code>MUD1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MUD1</AMC_SCHEME_CODE>
    <ISIN>INF663L011A1</ISIN>
    <AMC_CODE1>PGIMINDIAMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>PGIM INDIA MULTI ASSET ALLOCATION FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>HYBRID (NC)</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-03T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-03T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>129MUD1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50396</Unique_No>
    <SCHEME_CODE>PRMUD1-DR</SCHEME_CODE>
    <RTA_x0020_Code>MUD1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MUD1</AMC_SCHEME_CODE>
    <ISIN>INF663L012A9</ISIN>
    <AMC_CODE1>PGIMINDIAMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>PGIM INDIA MULTI ASSET ALLOCATION FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>HYBRID (NC)</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-03T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-03T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>129MUD1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50397</Unique_No>
    <SCHEME_CODE>PRMUG1-GR</SCHEME_CODE>
    <RTA_x0020_Code>MUG1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MUG1</AMC_SCHEME_CODE>
    <ISIN>INF663L010A3</ISIN>
    <AMC_CODE1>PGIMINDIAMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>PGIM INDIA MULTI ASSET ALLOCATION FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>HYBRID (NC)</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-03T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-03T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>129MUG1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50398</Unique_No>
    <SCHEME_CODE>PRMUDP-DP</SCHEME_CODE>
    <RTA_x0020_Code>MUDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MUDP</AMC_SCHEME_CODE>
    <ISIN>INF663L014A5</ISIN>
    <AMC_CODE1>PGIMINDIAMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>PGIM INDIA MULTI ASSET ALLOCATION FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>HYBRID (NC)</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-03T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-03T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>129MUDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50399</Unique_No>
    <SCHEME_CODE>PRMUDP-DR</SCHEME_CODE>
    <RTA_x0020_Code>MUDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MUDP</AMC_SCHEME_CODE>
    <ISIN>INF663L015A2</ISIN>
    <AMC_CODE1>PGIMINDIAMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>PGIM INDIA MULTI ASSET ALLOCATION FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>HYBRID (NC)</SCHEMETYPE>
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    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-03T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-03T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>129MUDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50400</Unique_No>
    <SCHEME_CODE>PRMUGP-GR</SCHEME_CODE>
    <RTA_x0020_Code>MUGP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MUGP</AMC_SCHEME_CODE>
    <ISIN>INF663L013A7</ISIN>
    <AMC_CODE1>PGIMINDIAMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>PGIM INDIA MULTI ASSET ALLOCATION FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>HYBRID (NC)</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-03T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-03T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>129MUGP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50419</Unique_No>
    <SCHEME_CODE>INYBG1-GR</SCHEME_CODE>
    <RTA_x0020_Code>YBG1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>YBG1G</AMC_SCHEME_CODE>
    <ISIN>INF666M01MG6</ISIN>
    <AMC_CODE1>GROWWMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>GROWW NIFTY CAPITAL MARKETS ETF FOF - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-08T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-08T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125YBG1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50420</Unique_No>
    <SCHEME_CODE>INYBD1-DP</SCHEME_CODE>
    <RTA_x0020_Code>YBD1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>YBD1D</AMC_SCHEME_CODE>
    <ISIN>INF666M01MH4</ISIN>
    <AMC_CODE1>GROWWMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>GROWW NIFTY CAPITAL MARKETS ETF FOF - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>N</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-08T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-08T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125YBD1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50421</Unique_No>
    <SCHEME_CODE>INYBD1-DR</SCHEME_CODE>
    <RTA_x0020_Code>YBD1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>YBD1R</AMC_SCHEME_CODE>
    <ISIN>INF666M01MI2</ISIN>
    <AMC_CODE1>GROWWMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>GROWW NIFTY CAPITAL MARKETS ETF FOF - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>N</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-08T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-08T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125YBD1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50422</Unique_No>
    <SCHEME_CODE>INYBGP-GR</SCHEME_CODE>
    <RTA_x0020_Code>YBGP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>YBGPG</AMC_SCHEME_CODE>
    <ISIN>INF666M01MJ0</ISIN>
    <AMC_CODE1>GROWWMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>GROWW NIFTY CAPITAL MARKETS ETF FOF - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-08T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-08T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125YBGP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50423</Unique_No>
    <SCHEME_CODE>INYBDP-DP</SCHEME_CODE>
    <RTA_x0020_Code>YBDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>YBDPD</AMC_SCHEME_CODE>
    <ISIN>INF666M01MK8</ISIN>
    <AMC_CODE1>GROWWMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>GROWW NIFTY CAPITAL MARKETS ETF FOF - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>N</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-08T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-08T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125YBDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50424</Unique_No>
    <SCHEME_CODE>INYBDP-DR</SCHEME_CODE>
    <RTA_x0020_Code>YBDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>YBDPR</AMC_SCHEME_CODE>
    <ISIN>INF666M01ML6</ISIN>
    <AMC_CODE1>GROWWMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>GROWW NIFTY CAPITAL MARKETS ETF FOF - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>N</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-08T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-08T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125YBDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50425</Unique_No>
    <SCHEME_CODE>SASCDG-GR</SCHEME_CODE>
    <RTA_x0020_Code>SCDG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>SCDG</AMC_SCHEME_CODE>
    <ISIN>INF0K1H01297</ISIN>
    <AMC_CODE1>SAMCOMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>SAMCO SMALL CAP FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-09T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-09T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>0.01</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>188SCDG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50426</Unique_No>
    <SCHEME_CODE>SASCRG-GR</SCHEME_CODE>
    <RTA_x0020_Code>SCRG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>SCRG</AMC_SCHEME_CODE>
    <ISIN>INF0K1H01305</ISIN>
    <AMC_CODE1>SAMCOMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>SAMCO SMALL CAP FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-09T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-09T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>0.01</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>188SCRG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50435</Unique_No>
    <SCHEME_CODE>OBAFGP-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>AFGP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>AFGP</AMC_SCHEME_CODE>
    <ISIN>INF0S5R01091</ISIN>
    <AMC_CODE1>OLDBRIDGEMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>OLD BRIDGE ARBITRAGE FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.01</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.01</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-11-14T00:00:00+05:30</Start_Date>
    <End_Date>2099-11-14T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>139AFGP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50436</Unique_No>
    <SCHEME_CODE>OBAFDP-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>AFDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>AFDP</AMC_SCHEME_CODE>
    <ISIN>INF0S5R01109</ISIN>
    <AMC_CODE1>OLDBRIDGEMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>OLD BRIDGE ARBITRAGE FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.01</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.01</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-11-14T00:00:00+05:30</Start_Date>
    <End_Date>2099-11-14T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>139AFDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50437</Unique_No>
    <SCHEME_CODE>OBAFDP-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>AFDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>AFDP</AMC_SCHEME_CODE>
    <ISIN>INF0S5R01117</ISIN>
    <AMC_CODE1>OLDBRIDGEMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>OLD BRIDGE ARBITRAGE FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.01</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.01</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-11-14T00:00:00+05:30</Start_Date>
    <End_Date>2099-11-14T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>139AFDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50438</Unique_No>
    <SCHEME_CODE>OBAFD1-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>AFD1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>AFD1</AMC_SCHEME_CODE>
    <ISIN>INF0S5R01125</ISIN>
    <AMC_CODE1>OLDBRIDGEMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>OLD BRIDGE ARBITRAGE FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.01</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.01</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-11-14T00:00:00+05:30</Start_Date>
    <End_Date>2099-11-14T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>139AFD1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50439</Unique_No>
    <SCHEME_CODE>OBAFD2-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>AFD2</RTA_x0020_Code>
    <AMC_SCHEME_CODE>AFD2</AMC_SCHEME_CODE>
    <ISIN>INF0S5R01075</ISIN>
    <AMC_CODE1>OLDBRIDGEMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>OLD BRIDGE ARBITRAGE FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.01</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.01</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-11-14T00:00:00+05:30</Start_Date>
    <End_Date>2099-11-14T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>139AFD2</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50440</Unique_No>
    <SCHEME_CODE>OBAFD2-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>AFD2</RTA_x0020_Code>
    <AMC_SCHEME_CODE>AFD2</AMC_SCHEME_CODE>
    <ISIN>INF0S5R01083</ISIN>
    <AMC_CODE1>OLDBRIDGEMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>OLD BRIDGE ARBITRAGE FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.01</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.01</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-11-14T00:00:00+05:30</Start_Date>
    <End_Date>2099-11-14T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>139AFD2</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50441</Unique_No>
    <SCHEME_CODE>MAIFRG-GR</SCHEME_CODE>
    <RTA_x0020_Code>IFRG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>IFRGG</AMC_SCHEME_CODE>
    <ISIN>INF769K01PS0</ISIN>
    <AMC_CODE1>MIRAEASSET</AMC_CODE1>
    <SCHEME_NAME>MIRAE ASSET INFRASTRUCTURE FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-08T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-08T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>117IFRG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50442</Unique_No>
    <SCHEME_CODE>MAIFRD-DP</SCHEME_CODE>
    <RTA_x0020_Code>IFRD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>IFRDD</AMC_SCHEME_CODE>
    <ISIN>INF769K01PU6</ISIN>
    <AMC_CODE1>MIRAEASSET</AMC_CODE1>
    <SCHEME_NAME>MIRAE ASSET INFRASTRUCTURE FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-08T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-08T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>117IFRD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50443</Unique_No>
    <SCHEME_CODE>MAIFRD-DR</SCHEME_CODE>
    <RTA_x0020_Code>IFRD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>IFRDR</AMC_SCHEME_CODE>
    <ISIN>INF769K01PT8</ISIN>
    <AMC_CODE1>MIRAEASSET</AMC_CODE1>
    <SCHEME_NAME>MIRAE ASSET INFRASTRUCTURE FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-08T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-08T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>117IFRD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50444</Unique_No>
    <SCHEME_CODE>MAIFD1-GR</SCHEME_CODE>
    <RTA_x0020_Code>IFD1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>IFD1G</AMC_SCHEME_CODE>
    <ISIN>INF769K01PV4</ISIN>
    <AMC_CODE1>MIRAEASSET</AMC_CODE1>
    <SCHEME_NAME>MIRAE ASSET INFRASTRUCTURE FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
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    <Scheme_Plan>DIRECT</Scheme_Plan>
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  <BSEFundMast>
    <Unique_No>50456</Unique_No>
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    <SCHEME_NAME>GROWW NIFTY MIDCAP 150 INDEX FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
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    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <Start_Date>2025-11-17T00:00:00+05:30</Start_Date>
    <End_Date>2099-11-17T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <LOC_Flag>N</LOC_Flag>
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    <SCHEME_NAME>CAPITALMIND LIQUID FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
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    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
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    <Start_Date>2025-12-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>183LFDG</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>50460</Unique_No>
    <SCHEME_CODE>CMLFGP-GR</SCHEME_CODE>
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    <AMC_SCHEME_CODE>LFGPG</AMC_SCHEME_CODE>
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    <AMC_CODE1>CAPITALMINDMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>CAPITALMIND LIQUID FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
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    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_TXNMODE>DP</RED_TXNMODE>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <Start_Date>2025-12-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
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    <LOC_Flag>N</LOC_Flag>
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    <CHA_PAT_Cod>183LFGP</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>50461</Unique_No>
    <SCHEME_CODE>WEMADD-DP</SCHEME_CODE>
    <RTA_x0020_Code>MADD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MADDD</AMC_SCHEME_CODE>
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    <AMC_CODE1>THEWEALTHCOMPANYMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>THE WEALTH COMPANY MULTI ASSET ALLOCATION FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
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    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <STP>N</STP>
    <TAT>T1</TAT>
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    <Start_Date>2025-12-12T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-12T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>174MADD</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>50462</Unique_No>
    <SCHEME_CODE>WEMADD-DR</SCHEME_CODE>
    <RTA_x0020_Code>MADD</RTA_x0020_Code>
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    <AMC_CODE1>THEWEALTHCOMPANYMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>THE WEALTH COMPANY MULTI ASSET ALLOCATION FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
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    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <Start_Date>2025-12-12T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-12T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <LOC_Flag>N</LOC_Flag>
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    <CHA_PAT_Cod>174MADD</CHA_PAT_Cod>
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    <Unique_No>50463</Unique_No>
    <SCHEME_CODE>WEMADG-GR</SCHEME_CODE>
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    <AMC_SCHEME_CODE>MADGG</AMC_SCHEME_CODE>
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    <SCHEME_NAME>THE WEALTH COMPANY MULTI ASSET ALLOCATION FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
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    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_TXNMODE>DP</RED_TXNMODE>
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    <Start_Date>2025-12-12T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-12T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>174MADG</CHA_PAT_Cod>
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    <Unique_No>50464</Unique_No>
    <SCHEME_CODE>WEMARD-DP</SCHEME_CODE>
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    <AMC_CODE1>THEWEALTHCOMPANYMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>THE WEALTH COMPANY MULTI ASSET ALLOCATION FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <SWP>Y</SWP>
    <STP>N</STP>
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    <Start_Date>2025-12-12T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-12T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <SWITCH_Flag>Y</SWITCH_Flag>
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    <LOC_Flag>N</LOC_Flag>
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    <CHA_PAT_Cod>174MARD</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>50465</Unique_No>
    <SCHEME_CODE>WEMARD-DR</SCHEME_CODE>
    <RTA_x0020_Code>MARD</RTA_x0020_Code>
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    <AMC_CODE1>THEWEALTHCOMPANYMUTUALFUND_MF</AMC_CODE1>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <STP>N</STP>
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    <Start_Date>2025-12-12T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-12T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MUL>0.01</RED_AMT_MUL>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>174MARG</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>50467</Unique_No>
    <SCHEME_CODE>INMMG1-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>MMG1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MMG1G</AMC_SCHEME_CODE>
    <ISIN>INF666M01MW3</ISIN>
    <AMC_CODE1>GROWWMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>GROWW MONEY MARKET FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <STP>N</STP>
    <TAT>L1</TAT>
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    <Start_Date>2025-11-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-11-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125MMG1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50468</Unique_No>
    <SCHEME_CODE>INMMD1-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>MMD1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MMD1D</AMC_SCHEME_CODE>
    <ISIN>INF666M01MX1</ISIN>
    <AMC_CODE1>GROWWMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>GROWW MONEY MARKET FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
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    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-11-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-11-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125MMD1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50469</Unique_No>
    <SCHEME_CODE>INMMD1-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>MMD1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MMD1R</AMC_SCHEME_CODE>
    <ISIN>INF666M01MY9</ISIN>
    <AMC_CODE1>GROWWMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>GROWW MONEY MARKET FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
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    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-11-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-11-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125MMD1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50470</Unique_No>
    <SCHEME_CODE>INMMGP-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>MMGP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MMGPG</AMC_SCHEME_CODE>
    <ISIN>INF666M01MZ6</ISIN>
    <AMC_CODE1>GROWWMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>GROWW MONEY MARKET FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-11-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-11-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125MMGP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50471</Unique_No>
    <SCHEME_CODE>INMMDP-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>MMDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MMDPD</AMC_SCHEME_CODE>
    <ISIN>INF666M01NA7</ISIN>
    <AMC_CODE1>GROWWMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>GROWW MONEY MARKET FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
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    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-11-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-11-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125MMDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50472</Unique_No>
    <SCHEME_CODE>INMMDP-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>MMDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MMDPR</AMC_SCHEME_CODE>
    <ISIN>INF666M01NB5</ISIN>
    <AMC_CODE1>GROWWMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>GROWW MONEY MARKET FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
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    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
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    <Start_Date>2025-11-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-11-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125MMDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50473</Unique_No>
    <SCHEME_CODE>KO1278-GR</SCHEME_CODE>
    <RTA_x0020_Code>1278</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K1278</AMC_SCHEME_CODE>
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    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK NIFTY500 MOMENTUM 50 INDEX FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-18T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-18T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K1278</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50474</Unique_No>
    <SCHEME_CODE>KO1279-DR</SCHEME_CODE>
    <RTA_x0020_Code>1279</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K1279</AMC_SCHEME_CODE>
    <ISIN>INF174KA1YH7</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK NIFTY500 MOMENTUM 50 INDEX FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
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    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-18T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-18T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K1279</CHA_PAT_Cod>
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    <Unique_No>50475</Unique_No>
    <SCHEME_CODE>KO127P9-DP</SCHEME_CODE>
    <RTA_x0020_Code>127P9</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K127P9</AMC_SCHEME_CODE>
    <ISIN>INF174KA1YG9</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK NIFTY500 MOMENTUM 50 INDEX FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
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    <Scheme_Plan>NORMAL</Scheme_Plan>
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  <BSEFundMast>
    <Unique_No>50476</Unique_No>
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    <Start_Date>2025-12-18T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-18T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <CHA_PAT_Cod>K1278D</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>50477</Unique_No>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_TXNMODE>DP</RED_TXNMODE>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <Start_Date>2025-12-18T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-18T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <SWITCH_Flag>Y</SWITCH_Flag>
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    <LOC_Flag>N</LOC_Flag>
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    <CHA_PAT_Cod>K1279D</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>50478</Unique_No>
    <SCHEME_CODE>KO127D9-DP</SCHEME_CODE>
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    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <Start_Date>2025-12-18T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-18T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <CHA_PAT_Cod>K127D9</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>50479</Unique_No>
    <SCHEME_CODE>KO1279-DP</SCHEME_CODE>
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    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_TXNMODE>P</RED_TXNMODE>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <Start_Date>2025-12-18T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-18T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50480</Unique_No>
    <SCHEME_CODE>KO1279D-DP</SCHEME_CODE>
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    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <Start_Date>2025-12-18T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-18T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <SWITCH_Flag>Y</SWITCH_Flag>
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    <CHA_PAT_Cod>K1279D</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>50481</Unique_No>
    <SCHEME_CODE>MHMAARG-GR</SCHEME_CODE>
    <RTA_x0020_Code>MAARG</RTA_x0020_Code>
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    <ISIN>INF174V01CR0</ISIN>
    <AMC_CODE1>MAHINDRA MANULIFE MUTUAL FUND_MF</AMC_CODE1>
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    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_TXNMODE>DP</RED_TXNMODE>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <Start_Date>2025-12-08T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-08T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <SWITCH_Flag>Y</SWITCH_Flag>
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    <CHA_PAT_Cod>MMMAARG</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>50482</Unique_No>
    <SCHEME_CODE>MHMAARD-DR</SCHEME_CODE>
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    <AMC_CODE1>MAHINDRA MANULIFE MUTUAL FUND_MF</AMC_CODE1>
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    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_TXNMODE>DP</RED_TXNMODE>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <Start_Date>2025-12-08T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-08T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <CHA_PAT_Cod>MMMAARD</CHA_PAT_Cod>
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    <Unique_No>50483</Unique_No>
    <SCHEME_CODE>MHMAARP-DP</SCHEME_CODE>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <End_Date>2099-12-08T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <Unique_No>50484</Unique_No>
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    <PUR_TXNMODE>DP</PUR_TXNMODE>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-08T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-08T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>MMMAADG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50485</Unique_No>
    <SCHEME_CODE>MHMAADD-DR</SCHEME_CODE>
    <RTA_x0020_Code>MAADD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MAADD</AMC_SCHEME_CODE>
    <ISIN>INF174V01CW0</ISIN>
    <AMC_CODE1>MAHINDRA MANULIFE MUTUAL FUND_MF</AMC_CODE1>
    <SCHEME_NAME>MAHINDRA MANULIFE INCOME PLUS ARBITRAGE ACTIVE FOF - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-08T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-08T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>MMMAADD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50486</Unique_No>
    <SCHEME_CODE>MHMAADP-DP</SCHEME_CODE>
    <RTA_x0020_Code>MAADP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MAADP</AMC_SCHEME_CODE>
    <ISIN>INF174V01CV2</ISIN>
    <AMC_CODE1>MAHINDRA MANULIFE MUTUAL FUND_MF</AMC_CODE1>
    <SCHEME_NAME>MAHINDRA MANULIFE INCOME PLUS ARBITRAGE ACTIVE FOF - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-08T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-08T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>MMMAADP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50487</Unique_No>
    <SCHEME_CODE>MHMAARD-DP</SCHEME_CODE>
    <RTA_x0020_Code>MAARD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MAARD</AMC_SCHEME_CODE>
    <ISIN>INF174V01CT6</ISIN>
    <AMC_CODE1>MAHINDRA MANULIFE MUTUAL FUND_MF</AMC_CODE1>
    <SCHEME_NAME>MAHINDRA MANULIFE INCOME PLUS ARBITRAGE ACTIVE FOF - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-08T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-08T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>MMMAARD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50488</Unique_No>
    <SCHEME_CODE>MHMAADD-DP</SCHEME_CODE>
    <RTA_x0020_Code>MAADD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MAADD</AMC_SCHEME_CODE>
    <ISIN>INF174V01CW0</ISIN>
    <AMC_CODE1>MAHINDRA MANULIFE MUTUAL FUND_MF</AMC_CODE1>
    <SCHEME_NAME>MAHINDRA MANULIFE INCOME PLUS ARBITRAGE ACTIVE FOF - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-08T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-08T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>MMMAADD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50489</Unique_No>
    <SCHEME_CODE>AXMADP-DR</SCHEME_CODE>
    <RTA_x0020_Code>MADP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MADPR</AMC_SCHEME_CODE>
    <ISIN>INF846KA1358</ISIN>
    <AMC_CODE1>AXISMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>AXIS MULTI-ASSET OMNI FOF - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-17T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-17T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>128MADP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50490</Unique_No>
    <SCHEME_CODE>AXMAGP-GR</SCHEME_CODE>
    <RTA_x0020_Code>MAGP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MAGPG</AMC_SCHEME_CODE>
    <ISIN>INF846KA1333</ISIN>
    <AMC_CODE1>AXISMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>AXIS MULTI-ASSET OMNI FOF - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-17T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-17T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>128MAGP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50491</Unique_No>
    <SCHEME_CODE>AXMAD1-DP</SCHEME_CODE>
    <RTA_x0020_Code>MAD1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MAD1D</AMC_SCHEME_CODE>
    <ISIN>INF846KA1374</ISIN>
    <AMC_CODE1>AXISMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>AXIS MULTI-ASSET OMNI FOF - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-17T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-17T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>128MAD1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50492</Unique_No>
    <SCHEME_CODE>AXMAD1-DR</SCHEME_CODE>
    <RTA_x0020_Code>MAD1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MAD1R</AMC_SCHEME_CODE>
    <ISIN>INF846KA1382</ISIN>
    <AMC_CODE1>AXISMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>AXIS MULTI-ASSET OMNI FOF - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-17T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-17T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>128MAD1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50493</Unique_No>
    <SCHEME_CODE>AXMADG-GR</SCHEME_CODE>
    <RTA_x0020_Code>MADG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MADGG</AMC_SCHEME_CODE>
    <ISIN>INF846KA1366</ISIN>
    <AMC_CODE1>AXISMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>AXIS MULTI-ASSET OMNI FOF - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-17T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-17T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>128MADG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50494</Unique_No>
    <SCHEME_CODE>AXMADP-DP</SCHEME_CODE>
    <RTA_x0020_Code>MADP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MADPD</AMC_SCHEME_CODE>
    <ISIN>INF846KA1341</ISIN>
    <AMC_CODE1>AXISMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>AXIS MULTI-ASSET OMNI FOF - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-17T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-17T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>128MADP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50499</Unique_No>
    <SCHEME_CODE>TTSTHD-DR</SCHEME_CODE>
    <RTA_x0020_Code>THD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>THD</AMC_SCHEME_CODE>
    <ISIN>INF277K30021</ISIN>
    <AMC_CODE1>TATAMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>TITANIUM HYBRID LONG-SHORT FUND - REGULAR PLAN  - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>HYBRID (NC)</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-17T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-17T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>TSTHD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50500</Unique_No>
    <SCHEME_CODE>TTSTHD-DP</SCHEME_CODE>
    <RTA_x0020_Code>THD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>THD</AMC_SCHEME_CODE>
    <ISIN>INF277K30021</ISIN>
    <AMC_CODE1>TATAMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>TITANIUM HYBRID LONG-SHORT FUND - REGULAR PLAN  - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>HYBRID (NC)</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-17T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-17T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>TSTHD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50501</Unique_No>
    <SCHEME_CODE>TTSTHDZ-DR</SCHEME_CODE>
    <RTA_x0020_Code>THDZ</RTA_x0020_Code>
    <AMC_SCHEME_CODE>THDZ</AMC_SCHEME_CODE>
    <ISIN>INF277K30054</ISIN>
    <AMC_CODE1>TATAMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>TITANIUM HYBRID LONG-SHORT FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>HYBRID (NC)</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-17T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-17T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>TSTHDZ</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50502</Unique_No>
    <SCHEME_CODE>TTSTHDZ-DP</SCHEME_CODE>
    <RTA_x0020_Code>THDZ</RTA_x0020_Code>
    <AMC_SCHEME_CODE>THDZ</AMC_SCHEME_CODE>
    <ISIN>INF277K30054</ISIN>
    <AMC_CODE1>TATAMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>TITANIUM HYBRID LONG-SHORT FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>HYBRID (NC)</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-17T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-17T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>TSTHDZ</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50503</Unique_No>
    <SCHEME_CODE>TTSTHG-GR</SCHEME_CODE>
    <RTA_x0020_Code>THG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>THG</AMC_SCHEME_CODE>
    <ISIN>INF277K30013</ISIN>
    <AMC_CODE1>TATAMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>TITANIUM HYBRID LONG-SHORT FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>HYBRID (NC)</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-17T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-17T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>TSTHG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50504</Unique_No>
    <SCHEME_CODE>TTSTHGZ-GR</SCHEME_CODE>
    <RTA_x0020_Code>THGZ</RTA_x0020_Code>
    <AMC_SCHEME_CODE>THGZ</AMC_SCHEME_CODE>
    <ISIN>INF277K30047</ISIN>
    <AMC_CODE1>TATAMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>TITANIUM HYBRID LONG-SHORT FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>HYBRID (NC)</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-17T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-17T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>TSTHGZ</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50505</Unique_No>
    <SCHEME_CODE>TTSTHDP-DP</SCHEME_CODE>
    <RTA_x0020_Code>THDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>THDP</AMC_SCHEME_CODE>
    <ISIN>INF277K30039</ISIN>
    <AMC_CODE1>TATAMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>TITANIUM HYBRID LONG-SHORT FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>HYBRID (NC)</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-17T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-17T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>TSTHDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50506</Unique_No>
    <SCHEME_CODE>TTSTHDZP-DP</SCHEME_CODE>
    <RTA_x0020_Code>THDZP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>THDZP</AMC_SCHEME_CODE>
    <ISIN>INF277K30062</ISIN>
    <AMC_CODE1>TATAMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>TITANIUM HYBRID LONG-SHORT FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <Start_Date>2025-12-17T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-17T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>TSTHDZP</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>50511</Unique_No>
    <SCHEME_CODE>DS2024-GR</SCHEME_CODE>
    <RTA_x0020_Code>2024</RTA_x0020_Code>
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    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_TXNMODE>DP</RED_TXNMODE>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
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    <SWP>Y</SWP>
    <STP>N</STP>
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    <Start_Date>2025-12-15T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-15T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>D2024</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50512</Unique_No>
    <SCHEME_CODE>DS2025-DP</SCHEME_CODE>
    <RTA_x0020_Code>2025</RTA_x0020_Code>
    <AMC_SCHEME_CODE>2025</AMC_SCHEME_CODE>
    <ISIN>INF740KA1WZ8</ISIN>
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    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
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    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-15T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-15T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>D2025</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50513</Unique_No>
    <SCHEME_CODE>DS2026-DR</SCHEME_CODE>
    <RTA_x0020_Code>2026</RTA_x0020_Code>
    <AMC_SCHEME_CODE>2026</AMC_SCHEME_CODE>
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    <AMC_CODE1>DSP_MF</AMC_CODE1>
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    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
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    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-15T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-15T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
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    <CHA_PAT_Cod>D2026</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>50514</Unique_No>
    <SCHEME_CODE>DS2027-GR</SCHEME_CODE>
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    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-15T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-15T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>D2027</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>50515</Unique_No>
    <SCHEME_CODE>DS2028-DP</SCHEME_CODE>
    <RTA_x0020_Code>2028</RTA_x0020_Code>
    <AMC_SCHEME_CODE>2028</AMC_SCHEME_CODE>
    <ISIN>INF740KA1XC5</ISIN>
    <AMC_CODE1>DSP_MF</AMC_CODE1>
    <SCHEME_NAME>DSP NIFTY MIDCAP 150 INDEX FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <SCHEMETYPE>EQUITY</SCHEMETYPE>
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    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-15T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-15T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>D2028</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>50516</Unique_No>
    <SCHEME_CODE>DS2029-DR</SCHEME_CODE>
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    <ISIN>INF740KA1XD3</ISIN>
    <AMC_CODE1>DSP_MF</AMC_CODE1>
    <SCHEME_NAME>DSP NIFTY MIDCAP 150 INDEX FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-15T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-15T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>D2029</CHA_PAT_Cod>
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    <Unique_No>50517</Unique_No>
    <SCHEME_CODE>DS2025-DR</SCHEME_CODE>
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    <ISIN>INF740KA1WZ8</ISIN>
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    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
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    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
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    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-15T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-15T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
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    <SWITCH_Flag>Y</SWITCH_Flag>
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    <Face_Value>10</Face_Value>
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    <CHA_PAT_Cod>D2025</CHA_PAT_Cod>
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    <Unique_No>50518</Unique_No>
    <SCHEME_CODE>DS2028-DR</SCHEME_CODE>
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    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <TAT>T2</TAT>
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    <Start_Date>2025-12-15T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-15T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <SWITCH_Flag>Y</SWITCH_Flag>
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    <CHA_PAT_Cod>D2028</CHA_PAT_Cod>
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    <ISIN>INF740KA1XE1</ISIN>
    <AMC_CODE1>DSP_MF</AMC_CODE1>
    <SCHEME_NAME>DSP NIFTY SMALLCAP 250 INDEX FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <Start_Date>2025-12-15T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-15T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <CHA_PAT_Cod>D2030</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>50520</Unique_No>
    <SCHEME_CODE>DS2031-DP</SCHEME_CODE>
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    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
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    <RED_TXNMODE>DP</RED_TXNMODE>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
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    <STP>N</STP>
    <TAT>T2</TAT>
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    <Start_Date>2025-12-15T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-15T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>D2031</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50521</Unique_No>
    <SCHEME_CODE>DS2032-DR</SCHEME_CODE>
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    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-15T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-15T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
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    <LOC_Flag>N</LOC_Flag>
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    <CHA_PAT_Cod>D2032</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50522</Unique_No>
    <SCHEME_CODE>DS2033-GR</SCHEME_CODE>
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    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
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    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-15T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-15T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>D2033</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50523</Unique_No>
    <SCHEME_CODE>DS2034-DP</SCHEME_CODE>
    <RTA_x0020_Code>2034</RTA_x0020_Code>
    <AMC_SCHEME_CODE>2034</AMC_SCHEME_CODE>
    <ISIN>INF740KA1XI2</ISIN>
    <AMC_CODE1>DSP_MF</AMC_CODE1>
    <SCHEME_NAME>DSP NIFTY SMALLCAP 250 INDEX FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
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    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-15T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-15T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>D2034</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50524</Unique_No>
    <SCHEME_CODE>DS2035-DR</SCHEME_CODE>
    <RTA_x0020_Code>2035</RTA_x0020_Code>
    <AMC_SCHEME_CODE>2035</AMC_SCHEME_CODE>
    <ISIN>INF740KA1XJ0</ISIN>
    <AMC_CODE1>DSP_MF</AMC_CODE1>
    <SCHEME_NAME>DSP NIFTY SMALLCAP 250 INDEX FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-15T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-15T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>D2035</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50525</Unique_No>
    <SCHEME_CODE>DS2031-DR</SCHEME_CODE>
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    <ISIN>INF740KA1XF8</ISIN>
    <AMC_CODE1>DSP_MF</AMC_CODE1>
    <SCHEME_NAME>DSP NIFTY SMALLCAP 250 INDEX FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
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    <STP>N</STP>
    <TAT>T2</TAT>
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    <Start_Date>2025-12-15T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-15T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
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    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>D2031</CHA_PAT_Cod>
  </BSEFundMast>
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    <Unique_No>50526</Unique_No>
    <SCHEME_CODE>DS2034-DR</SCHEME_CODE>
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    <ISIN>INF740KA1XI2</ISIN>
    <AMC_CODE1>DSP_MF</AMC_CODE1>
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    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
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    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
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    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-15T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-15T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
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    <LOC_Flag>N</LOC_Flag>
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    <CHA_PAT_Cod>D2034</CHA_PAT_Cod>
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    <Unique_No>50527</Unique_No>
    <SCHEME_CODE>ESMSGDG-GR</SCHEME_CODE>
    <RTA_x0020_Code>MSGDG</RTA_x0020_Code>
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    <AMC_CODE1>NAVIMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>NAVI NIFTY MIDSMALLCAP 400 INDEX FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
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    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
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    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-11T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-11T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
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    <LOC_Flag>N</LOC_Flag>
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    <CHA_PAT_Cod>PLFMSGDG</CHA_PAT_Cod>
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    <Unique_No>50528</Unique_No>
    <SCHEME_CODE>ESMSGPG-GR</SCHEME_CODE>
    <RTA_x0020_Code>MSGPG</RTA_x0020_Code>
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    <SCHEME_NAME>NAVI NIFTY MIDSMALLCAP 400 INDEX FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
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    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-11T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-11T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>10</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>PLFMSGPG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50529</Unique_No>
    <SCHEME_CODE>LCCND1-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>CND1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>CND1D</AMC_SCHEME_CODE>
    <ISIN>INF767K01SF5</ISIN>
    <AMC_CODE1>LICMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>LIC MF CONSUMPTION FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-11-25T00:00:00+05:30</Start_Date>
    <End_Date>2099-11-25T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>102CND1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50530</Unique_No>
    <SCHEME_CODE>LCCND1-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>CND1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>CND1R</AMC_SCHEME_CODE>
    <ISIN>INF767K01SE8</ISIN>
    <AMC_CODE1>LICMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>LIC MF CONSUMPTION FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-11-25T00:00:00+05:30</Start_Date>
    <End_Date>2099-11-25T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>102CND1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50531</Unique_No>
    <SCHEME_CODE>LCCNDP-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>CNDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>CNDPD</AMC_SCHEME_CODE>
    <ISIN>INF767K01SC2</ISIN>
    <AMC_CODE1>LICMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>LIC MF CONSUMPTION FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-11-25T00:00:00+05:30</Start_Date>
    <End_Date>2099-11-25T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>102CNDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50532</Unique_No>
    <SCHEME_CODE>LCCNDP-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>CNDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>CNDPR</AMC_SCHEME_CODE>
    <ISIN>INF767K01SB4</ISIN>
    <AMC_CODE1>LICMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>LIC MF CONSUMPTION FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-11-25T00:00:00+05:30</Start_Date>
    <End_Date>2099-11-25T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>102CNDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50533</Unique_No>
    <SCHEME_CODE>LCCNG1-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>CNG1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>CNG1G</AMC_SCHEME_CODE>
    <ISIN>INF767K01SD0</ISIN>
    <AMC_CODE1>LICMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>LIC MF CONSUMPTION FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-11-25T00:00:00+05:30</Start_Date>
    <End_Date>2099-11-25T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>102CNG1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50534</Unique_No>
    <SCHEME_CODE>LCCNGP-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>CNGP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>CNGPG</AMC_SCHEME_CODE>
    <ISIN>INF767K01SA6</ISIN>
    <AMC_CODE1>LICMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>LIC MF CONSUMPTION FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-11-25T00:00:00+05:30</Start_Date>
    <End_Date>2099-11-25T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>102CNGP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50535</Unique_No>
    <SCHEME_CODE>AOAOMRG-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>AOMRG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>AOMRG</AMC_SCHEME_CODE>
    <ISIN>INF1J2R01130</ISIN>
    <AMC_CODE1>ANGELONEMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ANGEL ONE NIFTY TOTAL MARKET MOMENTUM QUALITY 50 INDEX FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-11-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-11-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>0.01</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>AOAOMRG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50536</Unique_No>
    <SCHEME_CODE>AOAOMDG-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>AOMDG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>AOMDG</AMC_SCHEME_CODE>
    <ISIN>INF1J2R01122</ISIN>
    <AMC_CODE1>ANGELONEMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ANGEL ONE NIFTY TOTAL MARKET MOMENTUM QUALITY 50 INDEX FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-11-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-11-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>0.01</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>AOAOMDG</CHA_PAT_Cod>
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    <Unique_No>50547</Unique_No>
    <SCHEME_CODE>HOHSCRG-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>HSCRG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>HSCRG</AMC_SCHEME_CODE>
    <ISIN>INF0R8701350</ISIN>
    <AMC_CODE1>HELIOSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>HELIOS SMALL CAP FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <STP>N</STP>
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    <End_Date>2099-11-28T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <AMC_IND />
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  <BSEFundMast>
    <Unique_No>50548</Unique_No>
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    <RTA_x0020_Code>HSCRD</RTA_x0020_Code>
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    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <STP>N</STP>
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    <Start_Date>2025-11-28T00:00:00+05:30</Start_Date>
    <End_Date>2099-11-28T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
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    <CHA_PAT_Cod>HLSHSCRD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50549</Unique_No>
    <SCHEME_CODE>HOHSCRP-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>HSCRP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>HSCRP</AMC_SCHEME_CODE>
    <ISIN>INF0R8701368</ISIN>
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    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
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    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-11-28T00:00:00+05:30</Start_Date>
    <End_Date>2099-11-28T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>HLSHSCRP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50550</Unique_No>
    <SCHEME_CODE>HOHSCDG-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>HSCDG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>HSCDG</AMC_SCHEME_CODE>
    <ISIN>INF0R8701384</ISIN>
    <AMC_CODE1>HELIOSMUTUALFUND_MF</AMC_CODE1>
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    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <SCHEMETYPE>EQUITY</SCHEMETYPE>
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    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-11-28T00:00:00+05:30</Start_Date>
    <End_Date>2099-11-28T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>HLSHSCDG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50551</Unique_No>
    <SCHEME_CODE>HOHSCDD-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>HSCDD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>HSCDD</AMC_SCHEME_CODE>
    <ISIN>INF0R8701400</ISIN>
    <AMC_CODE1>HELIOSMUTUALFUND_MF</AMC_CODE1>
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    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <STP>N</STP>
    <TAT>L1</TAT>
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    <Start_Date>2025-11-28T00:00:00+05:30</Start_Date>
    <End_Date>2099-11-28T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>HLSHSCDD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50552</Unique_No>
    <SCHEME_CODE>HOHSCDP-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>HSCDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>HSCDP</AMC_SCHEME_CODE>
    <ISIN>INF0R8701392</ISIN>
    <AMC_CODE1>HELIOSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>HELIOS SMALL CAP FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
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    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
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    <Start_Date>2025-11-28T00:00:00+05:30</Start_Date>
    <End_Date>2099-11-28T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>HLSHSCDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50553</Unique_No>
    <SCHEME_CODE>HOHSCRD-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>HSCRD</RTA_x0020_Code>
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    <SCHEME_NAME>HELIOS SMALL CAP FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
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    <Start_Date>2025-11-28T00:00:00+05:30</Start_Date>
    <End_Date>2099-11-28T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <SWITCH_Flag>N</SWITCH_Flag>
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    <LOC_Flag>N</LOC_Flag>
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    <CHA_PAT_Cod>HLSHSCRD</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>50554</Unique_No>
    <SCHEME_CODE>HOHSCDD-DP-L1</SCHEME_CODE>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <Start_Date>2025-11-28T00:00:00+05:30</Start_Date>
    <End_Date>2099-11-28T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>HLSHSCDD</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>50555</Unique_No>
    <SCHEME_CODE>UNCORGR-GR</SCHEME_CODE>
    <RTA_x0020_Code>CORGR</RTA_x0020_Code>
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    <ISIN>INF582M01MD2</ISIN>
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    <SCHEME_NAME>UNION CONSUMPTION FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
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    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
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    <Start_Date>2025-12-26T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-26T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
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    <LOC_Flag>N</LOC_Flag>
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    <CHA_PAT_Cod>UKCORGR</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>50556</Unique_No>
    <SCHEME_CODE>UNCORDR-DR</SCHEME_CODE>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <PUR_ALLOWED>Y</PUR_ALLOWED>
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    <RED_TXNMODE>DP</RED_TXNMODE>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <STP>N</STP>
    <TAT>T2</TAT>
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    <Start_Date>2025-12-26T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-26T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>UKCORDR</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50557</Unique_No>
    <SCHEME_CODE>UNCORDP-DP</SCHEME_CODE>
    <RTA_x0020_Code>CORDP</RTA_x0020_Code>
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    <ISIN>INF582M01ME0</ISIN>
    <AMC_CODE1>UNIONMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>UNION CONSUMPTION FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
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    <RED_TXNMODE>DP</RED_TXNMODE>
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    <SCHEMETYPE>EQUITY</SCHEMETYPE>
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    <SWP>Y</SWP>
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    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-26T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-26T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>UKCORDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50558</Unique_No>
    <SCHEME_CODE>UNCODGR-GR</SCHEME_CODE>
    <RTA_x0020_Code>CODGR</RTA_x0020_Code>
    <AMC_SCHEME_CODE>UK</AMC_SCHEME_CODE>
    <ISIN>INF582M01MH3</ISIN>
    <AMC_CODE1>UNIONMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>UNION CONSUMPTION FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-26T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-26T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>UKCODGR</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50559</Unique_No>
    <SCHEME_CODE>UNCODDR-DR</SCHEME_CODE>
    <RTA_x0020_Code>CODDR</RTA_x0020_Code>
    <AMC_SCHEME_CODE>UK</AMC_SCHEME_CODE>
    <ISIN>INF582M01MJ9</ISIN>
    <AMC_CODE1>UNIONMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>UNION CONSUMPTION FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-26T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-26T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>UKCODDR</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50560</Unique_No>
    <SCHEME_CODE>UNCODDP-DP</SCHEME_CODE>
    <RTA_x0020_Code>CODDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>UK</AMC_SCHEME_CODE>
    <ISIN>INF582M01MI1</ISIN>
    <AMC_CODE1>UNIONMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>UNION CONSUMPTION FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-26T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-26T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>UKCODDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50563</Unique_No>
    <SCHEME_CODE>ID418-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>418</RTA_x0020_Code>
    <AMC_SCHEME_CODE>418</AMC_SCHEME_CODE>
    <ISIN>INF194KB1KC2</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>BANDHAN HEALTHCARE FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>G418</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50564</Unique_No>
    <SCHEME_CODE>ID419-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>419</RTA_x0020_Code>
    <AMC_SCHEME_CODE>419</AMC_SCHEME_CODE>
    <ISIN>INF194KB1KD0</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>BANDHAN HEALTHCARE FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>G419</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50565</Unique_No>
    <SCHEME_CODE>ID419R-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>419R</RTA_x0020_Code>
    <AMC_SCHEME_CODE>419R</AMC_SCHEME_CODE>
    <ISIN>INF194KB1KE8</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>BANDHAN HEALTHCARE FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>G419R</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50566</Unique_No>
    <SCHEME_CODE>IDD418-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>D418</RTA_x0020_Code>
    <AMC_SCHEME_CODE>D418</AMC_SCHEME_CODE>
    <ISIN>INF194KB1KF5</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>BANDHAN HEALTHCARE FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GD418</CHA_PAT_Cod>
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    <Unique_No>50567</Unique_No>
    <SCHEME_CODE>IDD419-DP-L1</SCHEME_CODE>
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    <AMC_SCHEME_CODE>D419</AMC_SCHEME_CODE>
    <ISIN>INF194KB1KG3</ISIN>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_TXNMODE>DP</RED_TXNMODE>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <SCHEMETYPE>EQUITY</SCHEMETYPE>
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    <STP>N</STP>
    <TAT>L1</TAT>
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    <Start_Date>2025-12-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GD419</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50568</Unique_No>
    <SCHEME_CODE>IDD419R-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>D419R</RTA_x0020_Code>
    <AMC_SCHEME_CODE>D419R</AMC_SCHEME_CODE>
    <ISIN>INF194KB1KH1</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>BANDHAN HEALTHCARE FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
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    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <PUR_ALLOWED>Y</PUR_ALLOWED>
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    <RED_TXNMODE>D</RED_TXNMODE>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GD419R</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50569</Unique_No>
    <SCHEME_CODE>ID419-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>419</RTA_x0020_Code>
    <AMC_SCHEME_CODE>419</AMC_SCHEME_CODE>
    <ISIN>INF194KB1KD0</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>BANDHAN HEALTHCARE FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>G419</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50570</Unique_No>
    <SCHEME_CODE>IDD419-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>D419</RTA_x0020_Code>
    <AMC_SCHEME_CODE>D419</AMC_SCHEME_CODE>
    <ISIN>INF194KB1KG3</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>BANDHAN HEALTHCARE FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
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    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <PUR_ALLOWED>Y</PUR_ALLOWED>
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    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GD419</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>50571</Unique_No>
    <SCHEME_CODE>HDHBSRG-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>HBSRG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>HBSRG</AMC_SCHEME_CODE>
    <ISIN>INF179KC1JX8</ISIN>
    <AMC_CODE1>HDFCMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>HDFC BSE INDIA SECTOR LEADERS INDEX FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
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    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>HHBSRG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50572</Unique_No>
    <SCHEME_CODE>HDHBSDG-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>HBSDG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>HBSDG</AMC_SCHEME_CODE>
    <ISIN>INF179KC1JY6</ISIN>
    <AMC_CODE1>HDFCMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>HDFC BSE INDIA SECTOR LEADERS INDEX FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>HHBSDG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50575</Unique_No>
    <SCHEME_CODE>CMLFDG-GR-L0</SCHEME_CODE>
    <RTA_x0020_Code>LFDG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>LFDGG</AMC_SCHEME_CODE>
    <ISIN>INF226401034</ISIN>
    <AMC_CODE1>CAPITALMINDMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>CAPITALMIND LIQUID FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T13:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T13:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>LIQUID</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L0</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>183LFDG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50576</Unique_No>
    <SCHEME_CODE>CMLFGP-GR-L0</SCHEME_CODE>
    <RTA_x0020_Code>LFGP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>LFGPG</AMC_SCHEME_CODE>
    <ISIN>INF226401042</ISIN>
    <AMC_CODE1>CAPITALMINDMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>CAPITALMIND LIQUID FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T13:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T13:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>LIQUID</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L0</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>183LFGP</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>50577</Unique_No>
    <SCHEME_CODE>FR1004-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>1004</RTA_x0020_Code>
    <AMC_SCHEME_CODE>1004</AMC_SCHEME_CODE>
    <ISIN>INF090I01YN8</ISIN>
    <AMC_CODE1>FRANKLINTEMPLETON</AMC_CODE1>
    <SCHEME_NAME>FRANKLIN INDIA MULTI-FACTOR FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>FTI1004</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>50578</Unique_No>
    <SCHEME_CODE>FR1005-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>1005</RTA_x0020_Code>
    <AMC_SCHEME_CODE>1005</AMC_SCHEME_CODE>
    <ISIN>INF090I01YO6</ISIN>
    <AMC_CODE1>FRANKLINTEMPLETON</AMC_CODE1>
    <SCHEME_NAME>FRANKLIN INDIA MULTI-FACTOR FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>FTI1005P</CHA_PAT_Cod>
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    <Unique_No>50580</Unique_No>
    <SCHEME_CODE>FR1006-GR-L1</SCHEME_CODE>
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    <SCHEME_NAME>FRANKLIN INDIA MULTI-FACTOR FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
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    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
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    <STP>N</STP>
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    <Start_Date>2025-12-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <AMC_IND />
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>FTI1006</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>50581</Unique_No>
    <SCHEME_CODE>FR1007-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>1007</RTA_x0020_Code>
    <AMC_SCHEME_CODE>1007</AMC_SCHEME_CODE>
    <ISIN>INF090I01YR9</ISIN>
    <AMC_CODE1>FRANKLINTEMPLETON</AMC_CODE1>
    <SCHEME_NAME>FRANKLIN INDIA MULTI-FACTOR FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
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    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <STP>N</STP>
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    <Start_Date>2025-12-02T00:00:00+05:30</Start_Date>
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    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <AMC_IND />
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>FTI1007</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>50582</Unique_No>
    <SCHEME_CODE>FR1007P-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>1007P</RTA_x0020_Code>
    <AMC_SCHEME_CODE>1007P</AMC_SCHEME_CODE>
    <ISIN>INF090I01YS7</ISIN>
    <AMC_CODE1>FRANKLINTEMPLETON</AMC_CODE1>
    <SCHEME_NAME>FRANKLIN INDIA MULTI-FACTOR FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <Start_Date>2025-12-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <SWITCH_Flag>N</SWITCH_Flag>
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
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    <CHA_PAT_Cod>FTI1007P</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>50583</Unique_No>
    <SCHEME_CODE>FR1005-DP-L1</SCHEME_CODE>
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    <SCHEME_NAME>FRANKLIN INDIA MULTI-FACTOR FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <Start_Date>2025-12-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <CHA_PAT_Cod>FTI1005</CHA_PAT_Cod>
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    <Unique_No>50584</Unique_No>
    <SCHEME_CODE>FR1007-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>1007</RTA_x0020_Code>
    <AMC_SCHEME_CODE>1007</AMC_SCHEME_CODE>
    <ISIN>INF090I01YR9</ISIN>
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    <SCHEME_NAME>FRANKLIN INDIA MULTI-FACTOR FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <STP>N</STP>
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    <Start_Date>2025-12-02T00:00:00+05:30</Start_Date>
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    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
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    <CHA_PAT_Cod>FTI1007</CHA_PAT_Cod>
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    <Unique_No>50589</Unique_No>
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    <SCHEME_NAME>GROWW MULTI ASSET OMNI FOF - DIRECT PLAN - GROWTH</SCHEME_NAME>
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    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
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    <STP>N</STP>
    <TAT>T3</TAT>
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    <Start_Date>2025-12-24T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125YEG1</CHA_PAT_Cod>
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    <Unique_No>50590</Unique_No>
    <SCHEME_CODE>INYED1-DP</SCHEME_CODE>
    <RTA_x0020_Code>YED1</RTA_x0020_Code>
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    <SCHEME_NAME>GROWW MULTI ASSET OMNI FOF - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
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    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T3</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-24T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <CHA_PAT_Cod>125YED1</CHA_PAT_Cod>
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    <Unique_No>50591</Unique_No>
    <SCHEME_CODE>INYED1-DR</SCHEME_CODE>
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    <SCHEME_NAME>GROWW MULTI ASSET OMNI FOF - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
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    <SWP>Y</SWP>
    <STP>N</STP>
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    <Start_Date>2025-12-24T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
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  <BSEFundMast>
    <Unique_No>50592</Unique_No>
    <SCHEME_CODE>INYEGP-GR</SCHEME_CODE>
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    <AMC_CODE1>GROWWMUTUALFUND_MF</AMC_CODE1>
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    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <PUR_ALLOWED>Y</PUR_ALLOWED>
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    <RED_TXNMODE>DP</RED_TXNMODE>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <STP>N</STP>
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    <Start_Date>2025-12-24T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125YEGP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50593</Unique_No>
    <SCHEME_CODE>INYEDP-DP</SCHEME_CODE>
    <RTA_x0020_Code>YEDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>YEDPD</AMC_SCHEME_CODE>
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    <AMC_CODE1>GROWWMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>GROWW MULTI ASSET OMNI FOF - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>N</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T3</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-24T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125YEDP</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>50594</Unique_No>
    <SCHEME_CODE>INYEDP-DR</SCHEME_CODE>
    <RTA_x0020_Code>YEDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>YEDPR</AMC_SCHEME_CODE>
    <ISIN>INF666M01NH2</ISIN>
    <AMC_CODE1>GROWWMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>GROWW MULTI ASSET OMNI FOF - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>N</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T3</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-24T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125YEDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50597</Unique_No>
    <SCHEME_CODE>PRMUD1-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>MUD1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MUD1</AMC_SCHEME_CODE>
    <ISIN>INF663L011A1</ISIN>
    <AMC_CODE1>PGIMINDIAMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>PGIM INDIA MULTI ASSET ALLOCATION FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
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    <SCHEMETYPE>HYBRID (NC)</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-03T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-03T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>129MUD1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50598</Unique_No>
    <SCHEME_CODE>PRMUD1-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>MUD1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MUD1</AMC_SCHEME_CODE>
    <ISIN>INF663L012A9</ISIN>
    <AMC_CODE1>PGIMINDIAMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>PGIM INDIA MULTI ASSET ALLOCATION FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-03T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-03T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>129MUD1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50599</Unique_No>
    <SCHEME_CODE>PRMUG1-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>MUG1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MUG1</AMC_SCHEME_CODE>
    <ISIN>INF663L010A3</ISIN>
    <AMC_CODE1>PGIMINDIAMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>PGIM INDIA MULTI ASSET ALLOCATION FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-03T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-03T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>129MUG1</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>50600</Unique_No>
    <SCHEME_CODE>PRMUDP-DP-L1</SCHEME_CODE>
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    <AMC_SCHEME_CODE>MUDP</AMC_SCHEME_CODE>
    <ISIN>INF663L014A5</ISIN>
    <AMC_CODE1>PGIMINDIAMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>PGIM INDIA MULTI ASSET ALLOCATION FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
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    <Start_Date>2025-12-03T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-03T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>129MUDP</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>50601</Unique_No>
    <SCHEME_CODE>PRMUDP-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>MUDP</RTA_x0020_Code>
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    <ISIN>INF663L015A2</ISIN>
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    <SCHEME_NAME>PGIM INDIA MULTI ASSET ALLOCATION FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
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    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
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    <SWP>N</SWP>
    <STP>N</STP>
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    <Start_Date>2025-12-03T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-03T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MUL>1</RED_AMT_MUL>
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>129MUDP</CHA_PAT_Cod>
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    <Unique_No>50602</Unique_No>
    <SCHEME_CODE>PRMUGP-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>MUGP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MUGP</AMC_SCHEME_CODE>
    <ISIN>INF663L013A7</ISIN>
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    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <Unique_No>50604</Unique_No>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <Unique_No>50606</Unique_No>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <Unique_No>50607</Unique_No>
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    <Unique_No>50608</Unique_No>
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    <STP>N</STP>
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    <End_Date>2099-12-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <AMC_IND />
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    <LOC_Flag>N</LOC_Flag>
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  <BSEFundMast>
    <Unique_No>50612</Unique_No>
    <SCHEME_CODE>KO1276D-GR-L1</SCHEME_CODE>
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    <AMC_SCHEME_CODE>K1276D</AMC_SCHEME_CODE>
    <ISIN>INF174KA1XW8</ISIN>
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    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
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    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K1276D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50613</Unique_No>
    <SCHEME_CODE>KO127D7-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>127D7</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K127D7</AMC_SCHEME_CODE>
    <ISIN>INF174KA1XX6</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK RURAL OPPORTUNITIES FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K127D7</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50614</Unique_No>
    <SCHEME_CODE>KO1277D-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>1277D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K1277D</AMC_SCHEME_CODE>
    <ISIN>INF174KA1XY4</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK RURAL OPPORTUNITIES FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
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    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K1277D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50615</Unique_No>
    <SCHEME_CODE>KO1277-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>1277</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K1277</AMC_SCHEME_CODE>
    <ISIN>INF174KA1YB0</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK RURAL OPPORTUNITIES FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
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    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K1277</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50616</Unique_No>
    <SCHEME_CODE>KO1277D-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>1277D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K1277D</AMC_SCHEME_CODE>
    <ISIN>INF174KA1XY4</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK RURAL OPPORTUNITIES FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
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    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K1277D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50617</Unique_No>
    <SCHEME_CODE>AKFCDG-GR</SCHEME_CODE>
    <RTA_x0020_Code>FCDG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>FCDGG</AMC_SCHEME_CODE>
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    <AMC_CODE1>ABAKKUSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ABAKKUS FLEXI CAP FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <SCHEMETYPE>EQUITY</SCHEMETYPE>
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    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>172FCDG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50618</Unique_No>
    <SCHEME_CODE>AKFCDD-DP</SCHEME_CODE>
    <RTA_x0020_Code>FCDD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>FCDDP</AMC_SCHEME_CODE>
    <ISIN>INF2JJD01128</ISIN>
    <AMC_CODE1>ABAKKUSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ABAKKUS FLEXI CAP FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
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    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
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    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>172FCDD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50619</Unique_No>
    <SCHEME_CODE>AKFCDD-DR</SCHEME_CODE>
    <RTA_x0020_Code>FCDD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>FCDDR</AMC_SCHEME_CODE>
    <ISIN>INF2JJD01110</ISIN>
    <AMC_CODE1>ABAKKUSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ABAKKUS FLEXI CAP FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
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    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <SCHEMETYPE>EQUITY</SCHEMETYPE>
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    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>172FCDD</CHA_PAT_Cod>
  </BSEFundMast>
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    <Unique_No>50620</Unique_No>
    <SCHEME_CODE>AKFCRG-GR</SCHEME_CODE>
    <RTA_x0020_Code>FCRG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>FCRGG</AMC_SCHEME_CODE>
    <ISIN>INF2JJD01169</ISIN>
    <AMC_CODE1>ABAKKUSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ABAKKUS FLEXI CAP FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>172FCRG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50621</Unique_No>
    <SCHEME_CODE>AKFCRD-DP</SCHEME_CODE>
    <RTA_x0020_Code>FCRD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>FCRDP</AMC_SCHEME_CODE>
    <ISIN>INF2JJD01151</ISIN>
    <AMC_CODE1>ABAKKUSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ABAKKUS FLEXI CAP FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>172FCRD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50622</Unique_No>
    <SCHEME_CODE>AKFCRD-DR</SCHEME_CODE>
    <RTA_x0020_Code>FCRD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>FCRDR</AMC_SCHEME_CODE>
    <ISIN>INF2JJD01144</ISIN>
    <AMC_CODE1>ABAKKUSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ABAKKUS FLEXI CAP FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>172FCRD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50623</Unique_No>
    <SCHEME_CODE>AKLFDG-GR</SCHEME_CODE>
    <RTA_x0020_Code>LFDG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>LFDGG</AMC_SCHEME_CODE>
    <ISIN>INF2JJD01029</ISIN>
    <AMC_CODE1>ABAKKUSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ABAKKUS LIQUID FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>LIQUID</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-15T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-15T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>100</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>172LFDG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50624</Unique_No>
    <SCHEME_CODE>AKLFDD-DR</SCHEME_CODE>
    <RTA_x0020_Code>LFDD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>LFDDR</AMC_SCHEME_CODE>
    <ISIN>INF2JJD01011</ISIN>
    <AMC_CODE1>ABAKKUSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ABAKKUS LIQUID FUND - DIRECT PLAN - DAILY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>LIQUID</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-15T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-15T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>100</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>172LFDD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50625</Unique_No>
    <SCHEME_CODE>AKLFDM-DR</SCHEME_CODE>
    <RTA_x0020_Code>LFDM</RTA_x0020_Code>
    <AMC_SCHEME_CODE>LFDMR</AMC_SCHEME_CODE>
    <ISIN>INF2JJD01037</ISIN>
    <AMC_CODE1>ABAKKUSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ABAKKUS LIQUID FUND - DIRECT PLAN - MONTHLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>LIQUID</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-15T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-15T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>100</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>172LFDM</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50626</Unique_No>
    <SCHEME_CODE>AKLFDQ-DR</SCHEME_CODE>
    <RTA_x0020_Code>LFDQ</RTA_x0020_Code>
    <AMC_SCHEME_CODE>LFDQR</AMC_SCHEME_CODE>
    <ISIN>INF2JJD01052</ISIN>
    <AMC_CODE1>ABAKKUSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ABAKKUS LIQUID FUND - DIRECT PLAN - QUARTERLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>LIQUID</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-15T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-15T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>100</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>172LFDQ</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50627</Unique_No>
    <SCHEME_CODE>AKLFDW-DR</SCHEME_CODE>
    <RTA_x0020_Code>LFDW</RTA_x0020_Code>
    <AMC_SCHEME_CODE>LFDWR</AMC_SCHEME_CODE>
    <ISIN>INF2JJD01045</ISIN>
    <AMC_CODE1>ABAKKUSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ABAKKUS LIQUID FUND - DIRECT PLAN - WEEKLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>LIQUID</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-15T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-15T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>100</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>172LFDW</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50628</Unique_No>
    <SCHEME_CODE>AKLFRG-GR</SCHEME_CODE>
    <RTA_x0020_Code>LFRG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>LFRGG</AMC_SCHEME_CODE>
    <ISIN>INF2JJD01078</ISIN>
    <AMC_CODE1>ABAKKUSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ABAKKUS LIQUID FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>LIQUID</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-15T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-15T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>100</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>172LFRG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50629</Unique_No>
    <SCHEME_CODE>AKLFRD-DR</SCHEME_CODE>
    <RTA_x0020_Code>LFRD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>LFRDR</AMC_SCHEME_CODE>
    <ISIN>INF2JJD01060</ISIN>
    <AMC_CODE1>ABAKKUSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ABAKKUS LIQUID FUND - REGULAR PLAN - DAILY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>LIQUID</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-15T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-15T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>100</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>172LFRD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50630</Unique_No>
    <SCHEME_CODE>AKLFRM-DR</SCHEME_CODE>
    <RTA_x0020_Code>LFRM</RTA_x0020_Code>
    <AMC_SCHEME_CODE>LFRMR</AMC_SCHEME_CODE>
    <ISIN>INF2JJD01086</ISIN>
    <AMC_CODE1>ABAKKUSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ABAKKUS LIQUID FUND - REGULAR PLAN - MONTHLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>LIQUID</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-15T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-15T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>100</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>172LFRM</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50631</Unique_No>
    <SCHEME_CODE>AKLFRQ-DR</SCHEME_CODE>
    <RTA_x0020_Code>LFRQ</RTA_x0020_Code>
    <AMC_SCHEME_CODE>LFRQR</AMC_SCHEME_CODE>
    <ISIN>INF2JJD01102</ISIN>
    <AMC_CODE1>ABAKKUSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ABAKKUS LIQUID FUND - REGULAR PLAN - QUARTERLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>LIQUID</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-15T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-15T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>100</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>172LFRQ</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50632</Unique_No>
    <SCHEME_CODE>AKLFRW-DR</SCHEME_CODE>
    <RTA_x0020_Code>LFRW</RTA_x0020_Code>
    <AMC_SCHEME_CODE>LFRWR</AMC_SCHEME_CODE>
    <ISIN>INF2JJD01094</ISIN>
    <AMC_CODE1>ABAKKUSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ABAKKUS LIQUID FUND - REGULAR PLAN - WEEKLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>LIQUID</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-15T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-15T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>100</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>172LFRW</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50633</Unique_No>
    <SCHEME_CODE>INYBG1-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>YBG1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>YBG1G</AMC_SCHEME_CODE>
    <ISIN>INF666M01MG6</ISIN>
    <AMC_CODE1>GROWWMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>GROWW NIFTY CAPITAL MARKETS ETF FOF - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-08T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-08T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125YBG1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50636</Unique_No>
    <SCHEME_CODE>INYBGP-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>YBGP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>YBGPG</AMC_SCHEME_CODE>
    <ISIN>INF666M01MJ0</ISIN>
    <AMC_CODE1>GROWWMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>GROWW NIFTY CAPITAL MARKETS ETF FOF - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-08T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-08T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125YBGP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50639</Unique_No>
    <SCHEME_CODE>MAIFRG-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>IFRG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>IFRGG</AMC_SCHEME_CODE>
    <ISIN>INF769K01PS0</ISIN>
    <AMC_CODE1>MIRAEASSET</AMC_CODE1>
    <SCHEME_NAME>MIRAE ASSET INFRASTRUCTURE FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-08T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-08T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>117IFRG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50640</Unique_No>
    <SCHEME_CODE>MAIFRD-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>IFRD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>IFRDD</AMC_SCHEME_CODE>
    <ISIN>INF769K01PU6</ISIN>
    <AMC_CODE1>MIRAEASSET</AMC_CODE1>
    <SCHEME_NAME>MIRAE ASSET INFRASTRUCTURE FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-08T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-08T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>117IFRD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50641</Unique_No>
    <SCHEME_CODE>MAIFRD-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>IFRD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>IFRDR</AMC_SCHEME_CODE>
    <ISIN>INF769K01PT8</ISIN>
    <AMC_CODE1>MIRAEASSET</AMC_CODE1>
    <SCHEME_NAME>MIRAE ASSET INFRASTRUCTURE FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-08T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-08T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>117IFRD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50642</Unique_No>
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    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <Unique_No>50644</Unique_No>
    <SCHEME_CODE>MAIFD2-DR-L1</SCHEME_CODE>
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    <CHA_PAT_Cod>118SLRG</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>50647</Unique_No>
    <SCHEME_CODE>MHMAADD-DR-L1</SCHEME_CODE>
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    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <Unique_No>50648</Unique_No>
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    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <Unique_No>50649</Unique_No>
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    <CHA_PAT_Cod>MMMAARD</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>50651</Unique_No>
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    <STP>N</STP>
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    <End_Date>2099-12-08T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
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    <CHA_PAT_Cod>MMMAARG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50652</Unique_No>
    <SCHEME_CODE>MHMAARD-DR-L1</SCHEME_CODE>
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    <AMC_SCHEME_CODE>MAARD</AMC_SCHEME_CODE>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <STP>N</STP>
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    <Start_Date>2025-12-08T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-08T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>MMMAARD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50653</Unique_No>
    <SCHEME_CODE>MHMAARP-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>MAARP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MAARP</AMC_SCHEME_CODE>
    <ISIN>INF174V01CS8</ISIN>
    <AMC_CODE1>MAHINDRA MANULIFE MUTUAL FUND_MF</AMC_CODE1>
    <SCHEME_NAME>MAHINDRA MANULIFE INCOME PLUS ARBITRAGE ACTIVE FOF - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
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    <STP>N</STP>
    <TAT>L1</TAT>
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    <Start_Date>2025-12-08T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-08T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <SWITCH_Flag>N</SWITCH_Flag>
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    <CHA_PAT_Cod>MMMAARP</CHA_PAT_Cod>
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    <Unique_No>50654</Unique_No>
    <SCHEME_CODE>MHMAADG-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>MAADG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MAADG</AMC_SCHEME_CODE>
    <ISIN>INF174V01CU4</ISIN>
    <AMC_CODE1>MAHINDRA MANULIFE MUTUAL FUND_MF</AMC_CODE1>
    <SCHEME_NAME>MAHINDRA MANULIFE INCOME PLUS ARBITRAGE ACTIVE FOF - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <Start_Date>2025-12-08T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-08T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>MMMAADG</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>50655</Unique_No>
    <SCHEME_CODE>JI190-GR</SCHEME_CODE>
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    <AMC_SCHEME_CODE>190</AMC_SCHEME_CODE>
    <ISIN>INF22M001101</ISIN>
    <AMC_CODE1>JIOBLACKROCKMUTUALFUND_MF</AMC_CODE1>
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    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <PUR_ALLOWED>Y</PUR_ALLOWED>
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    <RED_TXNMODE>DP</RED_TXNMODE>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <TAT>T2</TAT>
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    <Start_Date>2025-12-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>JIO190</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>50656</Unique_No>
    <SCHEME_CODE>SASCDG-GR-L1</SCHEME_CODE>
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    <ISIN>INF0K1H01297</ISIN>
    <AMC_CODE1>SAMCOMUTUALFUND_MF</AMC_CODE1>
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    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
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    <Start_Date>2025-12-09T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-09T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>188SCDG</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>50657</Unique_No>
    <SCHEME_CODE>SASCRG-GR-L1</SCHEME_CODE>
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    <ISIN>INF0K1H01305</ISIN>
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    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <Start_Date>2025-12-09T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-09T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <SWITCH_Flag>N</SWITCH_Flag>
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    <CHA_PAT_Cod>188SCRG</CHA_PAT_Cod>
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    <Unique_No>50658</Unique_No>
    <SCHEME_CODE>TABMCD-DR</SCHEME_CODE>
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    <SCHEME_NAME>TATA BSE MULTICAP CONSUMPTION 50:30:20 INDEX FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <Start_Date>2026-01-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-01-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <Unique_No>50659</Unique_No>
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    <SCHEME_NAME>TATA BSE MULTICAP CONSUMPTION 50:30:20 INDEX FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
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    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <End_Date>2099-01-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>TBMCDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50660</Unique_No>
    <SCHEME_CODE>TABMCDZ-DR</SCHEME_CODE>
    <RTA_x0020_Code>BMCDZ</RTA_x0020_Code>
    <AMC_SCHEME_CODE>TBMCIFC</AMC_SCHEME_CODE>
    <ISIN>INF277KA1EQ6</ISIN>
    <AMC_CODE1>TATAMutualFund_MF</AMC_CODE1>
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    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-01-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-01-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>TBMCDZ</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50661</Unique_No>
    <SCHEME_CODE>TABMCZP-DP</SCHEME_CODE>
    <RTA_x0020_Code>BMCZP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>TBMCIFC</AMC_SCHEME_CODE>
    <ISIN>INF277KA1ER4</ISIN>
    <AMC_CODE1>TATAMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>TATA BSE MULTICAP CONSUMPTION 50:30:20 INDEX FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-01-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-01-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>TBMCZP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50662</Unique_No>
    <SCHEME_CODE>TABMCG-GR</SCHEME_CODE>
    <RTA_x0020_Code>BMCG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>TBMCIFB</AMC_SCHEME_CODE>
    <ISIN>INF277KA1EM5</ISIN>
    <AMC_CODE1>TATAMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>TATA BSE MULTICAP CONSUMPTION 50:30:20 INDEX FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-01-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-01-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>TBMCG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50663</Unique_No>
    <SCHEME_CODE>TABMCGZ-GR</SCHEME_CODE>
    <RTA_x0020_Code>BMCGZ</RTA_x0020_Code>
    <AMC_SCHEME_CODE>TBMCIFD</AMC_SCHEME_CODE>
    <ISIN>INF277KA1EP8</ISIN>
    <AMC_CODE1>TATAMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>TATA BSE MULTICAP CONSUMPTION 50:30:20 INDEX FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-01-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-01-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>TBMCGZ</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50664</Unique_No>
    <SCHEME_CODE>TABMCD-DP</SCHEME_CODE>
    <RTA_x0020_Code>BMCD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>TBMCIFA</AMC_SCHEME_CODE>
    <ISIN>INF277KA1EN3</ISIN>
    <AMC_CODE1>TATAMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>TATA BSE MULTICAP CONSUMPTION 50:30:20 INDEX FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-01-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-01-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>TBMCD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50665</Unique_No>
    <SCHEME_CODE>TABMCDZ-DP</SCHEME_CODE>
    <RTA_x0020_Code>BMCDZ</RTA_x0020_Code>
    <AMC_SCHEME_CODE>TBMCIFC</AMC_SCHEME_CODE>
    <ISIN>INF277KA1EQ6</ISIN>
    <AMC_CODE1>TATAMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>TATA BSE MULTICAP CONSUMPTION 50:30:20 INDEX FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-01-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-01-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>TBMCDZ</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50666</Unique_No>
    <SCHEME_CODE>AXGSDG-GR</SCHEME_CODE>
    <RTA_x0020_Code>GSDG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>GSDGG</AMC_SCHEME_CODE>
    <ISIN>INF846KA1408</ISIN>
    <AMC_CODE1>AXISMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>AXIS GOLD AND SILVER PASSIVE FOF - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-01-01T00:00:00+05:30</Start_Date>
    <End_Date>2099-01-01T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>128GSDG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50667</Unique_No>
    <SCHEME_CODE>AXGSGP-GR</SCHEME_CODE>
    <RTA_x0020_Code>GSGP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>GSGPG</AMC_SCHEME_CODE>
    <ISIN>INF846KA1390</ISIN>
    <AMC_CODE1>AXISMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>AXIS GOLD AND SILVER PASSIVE FOF - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-01-01T00:00:00+05:30</Start_Date>
    <End_Date>2099-01-01T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>128GSGP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50672</Unique_No>
    <SCHEME_CODE>ESMSGDG-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>MSGDG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MSGDG</AMC_SCHEME_CODE>
    <ISIN>INF959L01HR4</ISIN>
    <AMC_CODE1>NAVIMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>NAVI NIFTY MIDSMALLCAP 400 INDEX FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.01</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-11T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-11T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>10</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>172LFRD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50700</Unique_No>
    <SCHEME_CODE>AKLFRM-DR-L0</SCHEME_CODE>
    <RTA_x0020_Code>LFRM</RTA_x0020_Code>
    <AMC_SCHEME_CODE>LFRMR</AMC_SCHEME_CODE>
    <ISIN>INF2JJD01086</ISIN>
    <AMC_CODE1>ABAKKUSMUTUALFUND_MF</AMC_CODE1>
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    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T13:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
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    <SIP_FLAG>N</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L0</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-15T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-15T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>100</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>172LFRM</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50701</Unique_No>
    <SCHEME_CODE>AKLFRQ-DR-L0</SCHEME_CODE>
    <RTA_x0020_Code>LFRQ</RTA_x0020_Code>
    <AMC_SCHEME_CODE>LFRQR</AMC_SCHEME_CODE>
    <ISIN>INF2JJD01102</ISIN>
    <AMC_CODE1>ABAKKUSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ABAKKUS LIQUID FUND - REGULAR PLAN - QUARTERLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T13:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>LIQUID</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L0</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-15T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-15T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>100</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>172LFRQ</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50702</Unique_No>
    <SCHEME_CODE>AKLFRW-DR-L0</SCHEME_CODE>
    <RTA_x0020_Code>LFRW</RTA_x0020_Code>
    <AMC_SCHEME_CODE>LFRWR</AMC_SCHEME_CODE>
    <ISIN>INF2JJD01094</ISIN>
    <AMC_CODE1>ABAKKUSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ABAKKUS LIQUID FUND - REGULAR PLAN - WEEKLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T13:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
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    <SIP_FLAG>N</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L0</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-15T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-15T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>100</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>172LFRW</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50703</Unique_No>
    <SCHEME_CODE>AKLFDG-GR-L0</SCHEME_CODE>
    <RTA_x0020_Code>LFDG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>LFDGG</AMC_SCHEME_CODE>
    <ISIN>INF2JJD01029</ISIN>
    <AMC_CODE1>ABAKKUSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ABAKKUS LIQUID FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T13:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
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    <SIP_FLAG>N</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L0</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-15T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-15T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>100</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>172LFDG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50704</Unique_No>
    <SCHEME_CODE>AKLFDD-DR-L0</SCHEME_CODE>
    <RTA_x0020_Code>LFDD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>LFDDR</AMC_SCHEME_CODE>
    <ISIN>INF2JJD01011</ISIN>
    <AMC_CODE1>ABAKKUSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ABAKKUS LIQUID FUND - DIRECT PLAN - DAILY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T13:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>LIQUID</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L0</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-15T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-15T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>100</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>172LFDD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50705</Unique_No>
    <SCHEME_CODE>AKLFDM-DR-L0</SCHEME_CODE>
    <RTA_x0020_Code>LFDM</RTA_x0020_Code>
    <AMC_SCHEME_CODE>LFDMR</AMC_SCHEME_CODE>
    <ISIN>INF2JJD01037</ISIN>
    <AMC_CODE1>ABAKKUSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ABAKKUS LIQUID FUND - DIRECT PLAN - MONTHLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T13:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>LIQUID</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L0</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-15T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-15T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>100</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>172LFDM</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50708</Unique_No>
    <SCHEME_CODE>AXMADP-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>MADP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MADPR</AMC_SCHEME_CODE>
    <ISIN>INF846KA1358</ISIN>
    <AMC_CODE1>AXISMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>AXIS MULTI-ASSET OMNI FOF - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-17T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-17T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>128MADP</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>50709</Unique_No>
    <SCHEME_CODE>AXMAGP-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>MAGP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MAGPG</AMC_SCHEME_CODE>
    <ISIN>INF846KA1333</ISIN>
    <AMC_CODE1>AXISMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>AXIS MULTI-ASSET OMNI FOF - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
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    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
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    <Start_Date>2025-12-17T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-17T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>128MAGP</CHA_PAT_Cod>
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    <Unique_No>50710</Unique_No>
    <SCHEME_CODE>AXMAD1-DP-L1</SCHEME_CODE>
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    <ISIN>INF846KA1374</ISIN>
    <AMC_CODE1>AXISMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>AXIS MULTI-ASSET OMNI FOF - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
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    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-17T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-17T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>128MAD1</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>50711</Unique_No>
    <SCHEME_CODE>AXMAD1-DR-L1</SCHEME_CODE>
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    <AMC_SCHEME_CODE>MAD1R</AMC_SCHEME_CODE>
    <ISIN>INF846KA1382</ISIN>
    <AMC_CODE1>AXISMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>AXIS MULTI-ASSET OMNI FOF - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
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    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <PUR_ALLOWED>Y</PUR_ALLOWED>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-17T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-17T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>128MAD1</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>50712</Unique_No>
    <SCHEME_CODE>AXMADG-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>MADG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MADGG</AMC_SCHEME_CODE>
    <ISIN>INF846KA1366</ISIN>
    <AMC_CODE1>AXISMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>AXIS MULTI-ASSET OMNI FOF - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-17T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-17T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>128MADG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50713</Unique_No>
    <SCHEME_CODE>AXMADP-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>MADP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MADPD</AMC_SCHEME_CODE>
    <ISIN>INF846KA1341</ISIN>
    <AMC_CODE1>AXISMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>AXIS MULTI-ASSET OMNI FOF - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-17T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-17T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>128MADP</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>50714</Unique_No>
    <SCHEME_CODE>KO1278-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>1278</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K1278</AMC_SCHEME_CODE>
    <ISIN>INF174KA1YF1</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK NIFTY500 MOMENTUM 50 INDEX FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-18T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-18T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K1278</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>50715</Unique_No>
    <SCHEME_CODE>KO1279-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>1279</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K1279</AMC_SCHEME_CODE>
    <ISIN>INF174KA1YH7</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK NIFTY500 MOMENTUM 50 INDEX FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2025-12-18T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-18T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K1279</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>50716</Unique_No>
    <SCHEME_CODE>KO127P9-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>127P9</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K127P9</AMC_SCHEME_CODE>
    <ISIN>INF174KA1YG9</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK NIFTY500 MOMENTUM 50 INDEX FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
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    <SCHEMETYPE>EQUITY</SCHEMETYPE>
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    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
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    <Start_Date>2025-12-18T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-18T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K127P9</CHA_PAT_Cod>
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    <Unique_No>50717</Unique_No>
    <SCHEME_CODE>KO1278D-GR-L1</SCHEME_CODE>
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    <AMC_SCHEME_CODE>K1278D</AMC_SCHEME_CODE>
    <ISIN>INF174KA1YC8</ISIN>
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    <SCHEME_NAME>KOTAK NIFTY500 MOMENTUM 50 INDEX FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
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    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
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    <Start_Date>2025-12-18T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-18T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K1278D</CHA_PAT_Cod>
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    <Unique_No>50718</Unique_No>
    <SCHEME_CODE>KO1279D-DR-L1</SCHEME_CODE>
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    <AMC_SCHEME_CODE>K1279D</AMC_SCHEME_CODE>
    <ISIN>INF174KA1YE4</ISIN>
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    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
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    <Start_Date>2025-12-18T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-18T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K1279D</CHA_PAT_Cod>
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    <Unique_No>50719</Unique_No>
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    <Start_Date>2025-12-18T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-18T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <Unique_No>50720</Unique_No>
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    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <SCHEMETYPE>EQUITY</SCHEMETYPE>
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    <STP>N</STP>
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    <Start_Date>2025-12-18T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-18T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <AMC_IND />
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K1279</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>50721</Unique_No>
    <SCHEME_CODE>KO1279D-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>1279D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K1279D</AMC_SCHEME_CODE>
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    <SCHEME_NAME>KOTAK NIFTY500 MOMENTUM 50 INDEX FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
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    <Start_Date>2025-12-18T00:00:00+05:30</Start_Date>
    <End_Date>2099-12-18T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K1279D</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>50724</Unique_No>
    <SCHEME_CODE>DS2047-GR</SCHEME_CODE>
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    <AMC_SCHEME_CODE>2047</AMC_SCHEME_CODE>
    <ISIN>INF740KA1XV5</ISIN>
    <AMC_CODE1>DSP_MF</AMC_CODE1>
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    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
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    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
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    <STP>N</STP>
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    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-01-07T00:00:00+05:30</Start_Date>
    <End_Date>2099-01-07T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>D2047</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>50725</Unique_No>
    <SCHEME_CODE>DS2048-DP</SCHEME_CODE>
    <RTA_x0020_Code>2048</RTA_x0020_Code>
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    <ISIN>INF740KA1XW3</ISIN>
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    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <PUR_ALLOWED>Y</PUR_ALLOWED>
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    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
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    <STP>N</STP>
    <TAT>T2</TAT>
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    <Start_Date>2026-01-07T00:00:00+05:30</Start_Date>
    <End_Date>2099-01-07T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
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    <LOC_Flag>N</LOC_Flag>
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    <CHA_PAT_Cod>D2048</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>50726</Unique_No>
    <SCHEME_CODE>DS2049-DR</SCHEME_CODE>
    <RTA_x0020_Code>2049</RTA_x0020_Code>
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    <ISIN>INF740KA1XX1</ISIN>
    <AMC_CODE1>DSP_MF</AMC_CODE1>
    <SCHEME_NAME>DSP NIFTY 500 INDEX FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
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    <STP>N</STP>
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    <Start_Date>2026-01-07T00:00:00+05:30</Start_Date>
    <End_Date>2099-01-07T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
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    <LOC_Flag>N</LOC_Flag>
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    <CHA_PAT_Cod>D2049</CHA_PAT_Cod>
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    <Unique_No>50727</Unique_No>
    <SCHEME_CODE>DS2050-GR</SCHEME_CODE>
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    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_TXNMODE>DP</RED_TXNMODE>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <Start_Date>2026-01-07T00:00:00+05:30</Start_Date>
    <End_Date>2099-01-07T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
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    <CHA_PAT_Cod>D2050</CHA_PAT_Cod>
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    <Unique_No>50728</Unique_No>
    <SCHEME_CODE>DS2051-DP</SCHEME_CODE>
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    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <Start_Date>2026-01-07T00:00:00+05:30</Start_Date>
    <End_Date>2099-01-07T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
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    <CHA_PAT_Cod>D2051</CHA_PAT_Cod>
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    <Unique_No>50729</Unique_No>
    <SCHEME_CODE>DS2052-DR</SCHEME_CODE>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
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    <Start_Date>2026-01-07T00:00:00+05:30</Start_Date>
    <End_Date>2099-01-07T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
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    <SWITCH_Flag>Y</SWITCH_Flag>
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    <CHA_PAT_Cod>D2052</CHA_PAT_Cod>
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    <SCHEME_CODE>DS2048-DR</SCHEME_CODE>
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    <Start_Date>2026-01-07T00:00:00+05:30</Start_Date>
    <End_Date>2099-01-07T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <CHA_PAT_Cod>JIO190</CHA_PAT_Cod>
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    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <CHA_PAT_Cod>UKCORGR</CHA_PAT_Cod>
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    <Unique_No>50744</Unique_No>
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    <CHA_PAT_Cod>UKCORDR</CHA_PAT_Cod>
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    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>128GSGP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50766</Unique_No>
    <SCHEME_CODE>TABMCD-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>BMCD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>TBMCIFA</AMC_SCHEME_CODE>
    <ISIN>INF277KA1EN3</ISIN>
    <AMC_CODE1>TATAMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>TATA BSE MULTICAP CONSUMPTION 50:30:20 INDEX FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-01-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-01-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>TBMCD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50767</Unique_No>
    <SCHEME_CODE>TABMCDP-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>BMCDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>TBMCIFA</AMC_SCHEME_CODE>
    <ISIN>INF277KA1EO1</ISIN>
    <AMC_CODE1>TATAMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>TATA BSE MULTICAP CONSUMPTION 50:30:20 INDEX FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-01-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-01-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>TBMCDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50768</Unique_No>
    <SCHEME_CODE>TABMCDZ-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>BMCDZ</RTA_x0020_Code>
    <AMC_SCHEME_CODE>TBMCIFC</AMC_SCHEME_CODE>
    <ISIN>INF277KA1EQ6</ISIN>
    <AMC_CODE1>TATAMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>TATA BSE MULTICAP CONSUMPTION 50:30:20 INDEX FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-01-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-01-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>TBMCDZ</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50769</Unique_No>
    <SCHEME_CODE>TABMCZP-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>BMCZP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>TBMCIFC</AMC_SCHEME_CODE>
    <ISIN>INF277KA1ER4</ISIN>
    <AMC_CODE1>TATAMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>TATA BSE MULTICAP CONSUMPTION 50:30:20 INDEX FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-01-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-01-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>TBMCZP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50770</Unique_No>
    <SCHEME_CODE>TABMCG-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>BMCG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>TBMCIFB</AMC_SCHEME_CODE>
    <ISIN>INF277KA1EM5</ISIN>
    <AMC_CODE1>TATAMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>TATA BSE MULTICAP CONSUMPTION 50:30:20 INDEX FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-01-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-01-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>TBMCG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50771</Unique_No>
    <SCHEME_CODE>TABMCGZ-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>BMCGZ</RTA_x0020_Code>
    <AMC_SCHEME_CODE>TBMCIFD</AMC_SCHEME_CODE>
    <ISIN>INF277KA1EP8</ISIN>
    <AMC_CODE1>TATAMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>TATA BSE MULTICAP CONSUMPTION 50:30:20 INDEX FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-01-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-01-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>TBMCGZ</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50772</Unique_No>
    <SCHEME_CODE>TABMCD-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>BMCD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>TBMCIFA</AMC_SCHEME_CODE>
    <ISIN>INF277KA1EN3</ISIN>
    <AMC_CODE1>TATAMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>TATA BSE MULTICAP CONSUMPTION 50:30:20 INDEX FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-01-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-01-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>TBMCD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50773</Unique_No>
    <SCHEME_CODE>TABMCDZ-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>BMCDZ</RTA_x0020_Code>
    <AMC_SCHEME_CODE>TBMCIFC</AMC_SCHEME_CODE>
    <ISIN>INF277KA1EQ6</ISIN>
    <AMC_CODE1>TATAMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>TATA BSE MULTICAP CONSUMPTION 50:30:20 INDEX FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-01-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-01-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>TBMCDZ</CHA_PAT_Cod>
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    <Unique_No>50774</Unique_No>
    <SCHEME_CODE>MOFPGD-GR</SCHEME_CODE>
    <RTA_x0020_Code>FPGD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>FPGD</AMC_SCHEME_CODE>
    <ISIN>INF247L01GL9</ISIN>
    <AMC_CODE1>MOTILALOSWAL_MF</AMC_CODE1>
    <SCHEME_NAME>MOTILAL OSWAL DIVERSIFIED EQUITY FLEXICAP PASSIVE FUND OF FUNDS - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-01-29T00:00:00+05:30</Start_Date>
    <End_Date>2099-01-29T00:00:00+05:30</End_Date>
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    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K1281D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50784</Unique_No>
    <SCHEME_CODE>SUIPD1-DR</SCHEME_CODE>
    <RTA_x0020_Code>IPD1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>IPD1</AMC_SCHEME_CODE>
    <ISIN>INF903JA1MB6</ISIN>
    <AMC_CODE1>SUNDARAMMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>SUNDARAM INCOME PLUS ARBITRAGE ACTIVE FOF - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-01-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-01-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>176IPD1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50785</Unique_No>
    <SCHEME_CODE>SUIPD1-DP</SCHEME_CODE>
    <RTA_x0020_Code>IPD1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>IPD1</AMC_SCHEME_CODE>
    <ISIN>INF903JA1MA8</ISIN>
    <AMC_CODE1>SUNDARAMMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>SUNDARAM INCOME PLUS ARBITRAGE ACTIVE FOF - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-01-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-01-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>176IPD1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50786</Unique_No>
    <SCHEME_CODE>SUIPDG-GR</SCHEME_CODE>
    <RTA_x0020_Code>IPDG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>IPDG</AMC_SCHEME_CODE>
    <ISIN>INF903JA1LZ7</ISIN>
    <AMC_CODE1>SUNDARAMMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>SUNDARAM INCOME PLUS ARBITRAGE ACTIVE FOF - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-01-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-01-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>176IPDG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50787</Unique_No>
    <SCHEME_CODE>SUIPDP-DR</SCHEME_CODE>
    <RTA_x0020_Code>IPDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>IPDP</AMC_SCHEME_CODE>
    <ISIN>INF903JA1ME0</ISIN>
    <AMC_CODE1>SUNDARAMMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>SUNDARAM INCOME PLUS ARBITRAGE ACTIVE FOF - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-01-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-01-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>176IPDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50788</Unique_No>
    <SCHEME_CODE>SUIPDP-DP</SCHEME_CODE>
    <RTA_x0020_Code>IPDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>IPDP</AMC_SCHEME_CODE>
    <ISIN>INF903JA1MD2</ISIN>
    <AMC_CODE1>SUNDARAMMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>SUNDARAM INCOME PLUS ARBITRAGE ACTIVE FOF - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-01-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-01-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>176IPDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50789</Unique_No>
    <SCHEME_CODE>SUIPGP-GR</SCHEME_CODE>
    <RTA_x0020_Code>IPGP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>IPGP</AMC_SCHEME_CODE>
    <ISIN>INF903JA1MC4</ISIN>
    <AMC_CODE1>SUNDARAMMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>SUNDARAM INCOME PLUS ARBITRAGE ACTIVE FOF - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-01-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-01-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>176IPGP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50790</Unique_No>
    <SCHEME_CODE>DS2047-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>2047</RTA_x0020_Code>
    <AMC_SCHEME_CODE>2047</AMC_SCHEME_CODE>
    <ISIN>INF740KA1XV5</ISIN>
    <AMC_CODE1>DSP_MF</AMC_CODE1>
    <SCHEME_NAME>DSP NIFTY 500 INDEX FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-01-07T00:00:00+05:30</Start_Date>
    <End_Date>2099-01-07T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>D2047</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50791</Unique_No>
    <SCHEME_CODE>DS2048-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>2048</RTA_x0020_Code>
    <AMC_SCHEME_CODE>2048</AMC_SCHEME_CODE>
    <ISIN>INF740KA1XW3</ISIN>
    <AMC_CODE1>DSP_MF</AMC_CODE1>
    <SCHEME_NAME>DSP NIFTY 500 INDEX FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
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    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-01-07T00:00:00+05:30</Start_Date>
    <End_Date>2099-01-07T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>D2048</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>50792</Unique_No>
    <SCHEME_CODE>DS2049-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>2049</RTA_x0020_Code>
    <AMC_SCHEME_CODE>2049</AMC_SCHEME_CODE>
    <ISIN>INF740KA1XX1</ISIN>
    <AMC_CODE1>DSP_MF</AMC_CODE1>
    <SCHEME_NAME>DSP NIFTY 500 INDEX FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-01-07T00:00:00+05:30</Start_Date>
    <End_Date>2099-01-07T00:00:00+05:30</End_Date>
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    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <CHA_PAT_Cod>D2051</CHA_PAT_Cod>
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    <Unique_No>50795</Unique_No>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <Unique_No>50796</Unique_No>
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    <Unique_No>50797</Unique_No>
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    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <Unique_No>50798</Unique_No>
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    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <Unique_No>50800</Unique_No>
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    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <End_Date>2099-02-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
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  <BSEFundMast>
    <Unique_No>50802</Unique_No>
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    <RTA_x0020_Code>SCDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>SCDPD</AMC_SCHEME_CODE>
    <ISIN>INF666M01NN0</ISIN>
    <AMC_CODE1>GROWWMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>GROWW SMALL CAP FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
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    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125SCDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50803</Unique_No>
    <SCHEME_CODE>INSCDP-DR</SCHEME_CODE>
    <RTA_x0020_Code>SCDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>SCDPR</AMC_SCHEME_CODE>
    <ISIN>INF666M01NO8</ISIN>
    <AMC_CODE1>GROWWMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>GROWW SMALL CAP FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>N</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125SCDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50804</Unique_No>
    <SCHEME_CODE>JI200-GR</SCHEME_CODE>
    <RTA_x0020_Code>200</RTA_x0020_Code>
    <AMC_SCHEME_CODE>200</AMC_SCHEME_CODE>
    <ISIN>INF22M001150</ISIN>
    <AMC_CODE1>JIOBLACKROCKMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>JIOBLACKROCK LOW DURATION FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-01-22T00:00:00+05:30</Start_Date>
    <End_Date>2099-01-22T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>0.1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>JIO200</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>50805</Unique_No>
    <SCHEME_CODE>JI210-GR</SCHEME_CODE>
    <RTA_x0020_Code>210</RTA_x0020_Code>
    <AMC_SCHEME_CODE>210</AMC_SCHEME_CODE>
    <ISIN>INF22M001143</ISIN>
    <AMC_CODE1>JIOBLACKROCKMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>JIOBLACKROCK SHORT DURATION FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-01-22T00:00:00+05:30</Start_Date>
    <End_Date>2099-01-22T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>0.1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
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    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>JIO210</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50806</Unique_No>
    <SCHEME_CODE>BABFDG-GR</SCHEME_CODE>
    <RTA_x0020_Code>BFDG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>BFDGG</AMC_SCHEME_CODE>
    <ISIN>INF761K01HE4</ISIN>
    <AMC_CODE1>BANKOFINDIAMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>BANK OF INDIA BANKING &amp; FINANCIAL SERVICES FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>116BFDG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50807</Unique_No>
    <SCHEME_CODE>BABFDD-DP</SCHEME_CODE>
    <RTA_x0020_Code>BFDD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>BFDDP</AMC_SCHEME_CODE>
    <ISIN>INF761K01HF1</ISIN>
    <AMC_CODE1>BANKOFINDIAMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>BANK OF INDIA BANKING &amp; FINANCIAL SERVICES FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>116BFDD</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>50808</Unique_No>
    <SCHEME_CODE>BABFDD-DR</SCHEME_CODE>
    <RTA_x0020_Code>BFDD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>BFDDR</AMC_SCHEME_CODE>
    <ISIN>INF761K01HG9</ISIN>
    <AMC_CODE1>BANKOFINDIAMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>BANK OF INDIA BANKING &amp; FINANCIAL SERVICES FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>116BFDD</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>50809</Unique_No>
    <SCHEME_CODE>BABFRG-GR</SCHEME_CODE>
    <RTA_x0020_Code>BFRG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>BFRGG</AMC_SCHEME_CODE>
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    <AMC_CODE1>BANKOFINDIAMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>BANK OF INDIA BANKING &amp; FINANCIAL SERVICES FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
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    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>116BFRG</CHA_PAT_Cod>
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    <Unique_No>50810</Unique_No>
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    <AMC_CODE1>BANKOFINDIAMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>BANK OF INDIA BANKING &amp; FINANCIAL SERVICES FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
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    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
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    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>116BFRD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50811</Unique_No>
    <SCHEME_CODE>BABFRD-DR</SCHEME_CODE>
    <RTA_x0020_Code>BFRD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>BFRDR</AMC_SCHEME_CODE>
    <ISIN>INF761K01HJ3</ISIN>
    <AMC_CODE1>BANKOFINDIAMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>BANK OF INDIA BANKING &amp; FINANCIAL SERVICES FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>116BFRD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50812</Unique_No>
    <SCHEME_CODE>MHMIORG-GR</SCHEME_CODE>
    <RTA_x0020_Code>MIORG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MIORG</AMC_SCHEME_CODE>
    <ISIN>INF174V01CX8</ISIN>
    <AMC_CODE1>MAHINDRA MANULIFE MUTUAL FUND_MF</AMC_CODE1>
    <SCHEME_NAME>MAHINDRA MANULIFE INNOVATION OPPORTUNITIES FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>MMMIORG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50813</Unique_No>
    <SCHEME_CODE>MHMIORD-DR</SCHEME_CODE>
    <RTA_x0020_Code>MIORD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MIORD</AMC_SCHEME_CODE>
    <ISIN>INF174V01CY6</ISIN>
    <AMC_CODE1>MAHINDRA MANULIFE MUTUAL FUND_MF</AMC_CODE1>
    <SCHEME_NAME>MAHINDRA MANULIFE INNOVATION OPPORTUNITIES FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>MMMIORD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50814</Unique_No>
    <SCHEME_CODE>MHMIORP-DP</SCHEME_CODE>
    <RTA_x0020_Code>MIORP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MIORP</AMC_SCHEME_CODE>
    <ISIN>INF174V01CZ3</ISIN>
    <AMC_CODE1>MAHINDRA MANULIFE MUTUAL FUND_MF</AMC_CODE1>
    <SCHEME_NAME>MAHINDRA MANULIFE INNOVATION OPPORTUNITIES FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>MMMIORP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50815</Unique_No>
    <SCHEME_CODE>MHMIODG-GR</SCHEME_CODE>
    <RTA_x0020_Code>MIODG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MIODG</AMC_SCHEME_CODE>
    <ISIN>INF174V01DA4</ISIN>
    <AMC_CODE1>MAHINDRA MANULIFE MUTUAL FUND_MF</AMC_CODE1>
    <SCHEME_NAME>MAHINDRA MANULIFE INNOVATION OPPORTUNITIES FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>MMMIODG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50816</Unique_No>
    <SCHEME_CODE>MHMIODD-DR</SCHEME_CODE>
    <RTA_x0020_Code>MIODD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MIODD</AMC_SCHEME_CODE>
    <ISIN>INF174V01DB2</ISIN>
    <AMC_CODE1>MAHINDRA MANULIFE MUTUAL FUND_MF</AMC_CODE1>
    <SCHEME_NAME>MAHINDRA MANULIFE INNOVATION OPPORTUNITIES FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>MMMIODD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50817</Unique_No>
    <SCHEME_CODE>MHMIODP-DP</SCHEME_CODE>
    <RTA_x0020_Code>MIODP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MIODP</AMC_SCHEME_CODE>
    <ISIN>INF174V01DC0</ISIN>
    <AMC_CODE1>MAHINDRA MANULIFE MUTUAL FUND_MF</AMC_CODE1>
    <SCHEME_NAME>MAHINDRA MANULIFE INNOVATION OPPORTUNITIES FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>MMMIODP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50818</Unique_No>
    <SCHEME_CODE>MHMIORD-DP</SCHEME_CODE>
    <RTA_x0020_Code>MIORD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MIORD</AMC_SCHEME_CODE>
    <ISIN>INF174V01CY6</ISIN>
    <AMC_CODE1>MAHINDRA MANULIFE MUTUAL FUND_MF</AMC_CODE1>
    <SCHEME_NAME>MAHINDRA MANULIFE INNOVATION OPPORTUNITIES FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>MMMIORD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50819</Unique_No>
    <SCHEME_CODE>MHMIODD-DP</SCHEME_CODE>
    <RTA_x0020_Code>MIODD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MIODD</AMC_SCHEME_CODE>
    <ISIN>INF174V01DB2</ISIN>
    <AMC_CODE1>MAHINDRA MANULIFE MUTUAL FUND_MF</AMC_CODE1>
    <SCHEME_NAME>MAHINDRA MANULIFE INNOVATION OPPORTUNITIES FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>MMMIODD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50820</Unique_No>
    <SCHEME_CODE>WEGFDD-DP</SCHEME_CODE>
    <RTA_x0020_Code>GFDD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>GFDDD</AMC_SCHEME_CODE>
    <ISIN>INF2F0001420</ISIN>
    <AMC_CODE1>THEWEALTHCOMPANYMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>THE WEALTH COMPANY GOLD ETF FOF FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>174GFDD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50821</Unique_No>
    <SCHEME_CODE>WEGFDD-DR</SCHEME_CODE>
    <RTA_x0020_Code>GFDD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>GFDDR</AMC_SCHEME_CODE>
    <ISIN>INF2F0001438</ISIN>
    <AMC_CODE1>THEWEALTHCOMPANYMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>THE WEALTH COMPANY GOLD ETF FOF FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>174GFDD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50822</Unique_No>
    <SCHEME_CODE>WEGFDG-GR</SCHEME_CODE>
    <RTA_x0020_Code>GFDG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>GFDGG</AMC_SCHEME_CODE>
    <ISIN>INF2F0001412</ISIN>
    <AMC_CODE1>THEWEALTHCOMPANYMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>THE WEALTH COMPANY GOLD ETF FOF FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>174GFDG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50823</Unique_No>
    <SCHEME_CODE>WEGFRD-DP</SCHEME_CODE>
    <RTA_x0020_Code>GFRD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>GFRDD</AMC_SCHEME_CODE>
    <ISIN>INF2F0001396</ISIN>
    <AMC_CODE1>THEWEALTHCOMPANYMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>THE WEALTH COMPANY GOLD ETF FOF FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>174GFRD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50824</Unique_No>
    <SCHEME_CODE>WEGFRD-DR</SCHEME_CODE>
    <RTA_x0020_Code>GFRD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>GFRDR</AMC_SCHEME_CODE>
    <ISIN>INF2F0001404</ISIN>
    <AMC_CODE1>THEWEALTHCOMPANYMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>THE WEALTH COMPANY GOLD ETF FOF FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>174GFRD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50825</Unique_No>
    <SCHEME_CODE>WEGFRG-GR</SCHEME_CODE>
    <RTA_x0020_Code>GFRG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>GFRGG</AMC_SCHEME_CODE>
    <ISIN>INF2F0001388</ISIN>
    <AMC_CODE1>THEWEALTHCOMPANYMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>THE WEALTH COMPANY GOLD ETF FOF FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>174GFRG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50826</Unique_No>
    <SCHEME_CODE>BNSA01-GR</SCHEME_CODE>
    <RTA_x0020_Code>A01</RTA_x0020_Code>
    <AMC_SCHEME_CODE>A01</AMC_SCHEME_CODE>
    <ISIN>INF194K30010</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARUDHA HYBRID LONG - SHORT FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>HYBRID (C)</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSA01</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50829</Unique_No>
    <SCHEME_CODE>BNSA02R-DR</SCHEME_CODE>
    <RTA_x0020_Code>A02R</RTA_x0020_Code>
    <AMC_SCHEME_CODE>A02R</AMC_SCHEME_CODE>
    <ISIN>INF194K30101</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARUDHA HYBRID LONG - SHORT FUND - REGULAR PLAN - DAILY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>HYBRID (C)</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSA02R</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50832</Unique_No>
    <SCHEME_CODE>BNSA03R-DR</SCHEME_CODE>
    <RTA_x0020_Code>A03R</RTA_x0020_Code>
    <AMC_SCHEME_CODE>A03R</AMC_SCHEME_CODE>
    <ISIN>INF194K30119</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARUDHA HYBRID LONG - SHORT FUND - REGULAR PLAN - WEEKLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>HYBRID (C)</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSA03R</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50833</Unique_No>
    <SCHEME_CODE>BNSA04-DP</SCHEME_CODE>
    <RTA_x0020_Code>A04</RTA_x0020_Code>
    <AMC_SCHEME_CODE>A04</AMC_SCHEME_CODE>
    <ISIN>INF194K30044</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARUDHA HYBRID LONG - SHORT FUND - REGULAR PLAN - FORTNIGHTLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>HYBRID (C)</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSA04</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50834</Unique_No>
    <SCHEME_CODE>BNSA04-DR</SCHEME_CODE>
    <RTA_x0020_Code>A04</RTA_x0020_Code>
    <AMC_SCHEME_CODE>A04</AMC_SCHEME_CODE>
    <ISIN>INF194K30044</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARUDHA HYBRID LONG - SHORT FUND - REGULAR PLAN - FORTNIGHTLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>HYBRID (C)</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSA04</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50835</Unique_No>
    <SCHEME_CODE>BNSA04R-DR</SCHEME_CODE>
    <RTA_x0020_Code>A04R</RTA_x0020_Code>
    <AMC_SCHEME_CODE>A04R</AMC_SCHEME_CODE>
    <ISIN>INF194K30127</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARUDHA HYBRID LONG - SHORT FUND - REGULAR PLAN - FORTNIGHTLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>HYBRID (C)</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSA04R</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50836</Unique_No>
    <SCHEME_CODE>BNSA05-DP</SCHEME_CODE>
    <RTA_x0020_Code>A05</RTA_x0020_Code>
    <AMC_SCHEME_CODE>A05</AMC_SCHEME_CODE>
    <ISIN>INF194K30051</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARUDHA HYBRID LONG - SHORT FUND - REGULAR PLAN - MONTHLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>HYBRID (C)</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSA05</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50837</Unique_No>
    <SCHEME_CODE>BNSA05-DR</SCHEME_CODE>
    <RTA_x0020_Code>A05</RTA_x0020_Code>
    <AMC_SCHEME_CODE>A05</AMC_SCHEME_CODE>
    <ISIN>INF194K30051</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARUDHA HYBRID LONG - SHORT FUND - REGULAR PLAN - MONTHLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>HYBRID (C)</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSA05</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50838</Unique_No>
    <SCHEME_CODE>BNSA05R-DR</SCHEME_CODE>
    <RTA_x0020_Code>A05R</RTA_x0020_Code>
    <AMC_SCHEME_CODE>A05R</AMC_SCHEME_CODE>
    <ISIN>INF194K30135</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARUDHA HYBRID LONG - SHORT FUND - REGULAR PLAN - MONTHLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>HYBRID (C)</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSA05R</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50839</Unique_No>
    <SCHEME_CODE>BNSA06-DP</SCHEME_CODE>
    <RTA_x0020_Code>A06</RTA_x0020_Code>
    <AMC_SCHEME_CODE>A06</AMC_SCHEME_CODE>
    <ISIN>INF194K30069</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARUDHA HYBRID LONG - SHORT FUND - REGULAR PLAN - QUARTERLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>HYBRID (C)</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSA06</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50840</Unique_No>
    <SCHEME_CODE>BNSA06-DR</SCHEME_CODE>
    <RTA_x0020_Code>A06</RTA_x0020_Code>
    <AMC_SCHEME_CODE>A06</AMC_SCHEME_CODE>
    <ISIN>INF194K30069</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARUDHA HYBRID LONG - SHORT FUND - REGULAR PLAN - QUARTERLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>HYBRID (C)</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSA06</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50841</Unique_No>
    <SCHEME_CODE>BNSA06R-DR</SCHEME_CODE>
    <RTA_x0020_Code>A06R</RTA_x0020_Code>
    <AMC_SCHEME_CODE>A06R</AMC_SCHEME_CODE>
    <ISIN>INF194K30143</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARUDHA HYBRID LONG - SHORT FUND - REGULAR PLAN - QUARTERLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>HYBRID (C)</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSA06R</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50842</Unique_No>
    <SCHEME_CODE>BNSA07-DP</SCHEME_CODE>
    <RTA_x0020_Code>A07</RTA_x0020_Code>
    <AMC_SCHEME_CODE>A07</AMC_SCHEME_CODE>
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    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARUDHA HYBRID LONG - SHORT FUND - REGULAR PLAN - HALF YEARLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>HYBRID (C)</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSA07</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50843</Unique_No>
    <SCHEME_CODE>BNSA07-DR</SCHEME_CODE>
    <RTA_x0020_Code>A07</RTA_x0020_Code>
    <AMC_SCHEME_CODE>A07</AMC_SCHEME_CODE>
    <ISIN>INF194K30077</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARUDHA HYBRID LONG - SHORT FUND - REGULAR PLAN - HALF YEARLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>HYBRID (C)</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSA07</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50844</Unique_No>
    <SCHEME_CODE>BNSA07R-DR</SCHEME_CODE>
    <RTA_x0020_Code>A07R</RTA_x0020_Code>
    <AMC_SCHEME_CODE>A07R</AMC_SCHEME_CODE>
    <ISIN>INF194K30150</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARUDHA HYBRID LONG - SHORT FUND - REGULAR PLAN - HALF YEARLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>HYBRID (C)</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSA07R</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50845</Unique_No>
    <SCHEME_CODE>BNSA08-DP</SCHEME_CODE>
    <RTA_x0020_Code>A08</RTA_x0020_Code>
    <AMC_SCHEME_CODE>A08</AMC_SCHEME_CODE>
    <ISIN>INF194K30085</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARUDHA HYBRID LONG - SHORT FUND - REGULAR PLAN - ANNUAL IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>HYBRID (C)</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSA08</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50846</Unique_No>
    <SCHEME_CODE>BNSA08-DR</SCHEME_CODE>
    <RTA_x0020_Code>A08</RTA_x0020_Code>
    <AMC_SCHEME_CODE>A08</AMC_SCHEME_CODE>
    <ISIN>INF194K30085</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARUDHA HYBRID LONG - SHORT FUND - REGULAR PLAN - ANNUAL IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>HYBRID (C)</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSA08</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50847</Unique_No>
    <SCHEME_CODE>BNSA08R-DR</SCHEME_CODE>
    <RTA_x0020_Code>A08R</RTA_x0020_Code>
    <AMC_SCHEME_CODE>A08R</AMC_SCHEME_CODE>
    <ISIN>INF194K30168</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARUDHA HYBRID LONG - SHORT FUND - REGULAR PLAN - ANNUAL IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>HYBRID (C)</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSA08R</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50848</Unique_No>
    <SCHEME_CODE>BNSA09-DP</SCHEME_CODE>
    <RTA_x0020_Code>A09</RTA_x0020_Code>
    <AMC_SCHEME_CODE>A09</AMC_SCHEME_CODE>
    <ISIN>INF194K30093</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARUDHA HYBRID LONG - SHORT FUND - REGULAR PLAN - PERIODIC IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>HYBRID (C)</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSA09</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50849</Unique_No>
    <SCHEME_CODE>BNSA09-DR</SCHEME_CODE>
    <RTA_x0020_Code>A09</RTA_x0020_Code>
    <AMC_SCHEME_CODE>A09</AMC_SCHEME_CODE>
    <ISIN>INF194K30093</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARUDHA HYBRID LONG - SHORT FUND - REGULAR PLAN - PERIODIC IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>HYBRID (C)</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSA09</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50850</Unique_No>
    <SCHEME_CODE>BNSA09R-DR</SCHEME_CODE>
    <RTA_x0020_Code>A09R</RTA_x0020_Code>
    <AMC_SCHEME_CODE>A09R</AMC_SCHEME_CODE>
    <ISIN>INF194K30176</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARUDHA HYBRID LONG - SHORT FUND - REGULAR PLAN - PERIODIC IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>HYBRID (C)</SCHEMETYPE>
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    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <Start_Date>2026-02-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <Unique_No>50857</Unique_No>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <End_Date>2099-02-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <CHA_PAT_Cod>GSDA03R</CHA_PAT_Cod>
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    <Unique_No>50858</Unique_No>
    <SCHEME_CODE>BNSDA04-DP</SCHEME_CODE>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <Start_Date>2026-02-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <CHA_PAT_Cod>GSDA04</CHA_PAT_Cod>
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    <Unique_No>50859</Unique_No>
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    <PUR_TXNMODE>P</PUR_TXNMODE>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <Start_Date>2026-02-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <LOC_Flag>N</LOC_Flag>
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    <CHA_PAT_Cod>GSDA04</CHA_PAT_Cod>
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    <Unique_No>50860</Unique_No>
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    <End_Date>2099-02-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <End_Date>2099-02-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <End_Date>2099-02-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <CHA_PAT_Cod>GSDA05R</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>50864</Unique_No>
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    <RTA_x0020_Code>DA06</RTA_x0020_Code>
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    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_TXNMODE>DP</RED_TXNMODE>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <STP>N</STP>
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    <Start_Date>2026-02-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
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    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSDA06</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>50865</Unique_No>
    <SCHEME_CODE>BNSDA06-DR</SCHEME_CODE>
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    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_TXNMODE>P</RED_TXNMODE>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <STP>N</STP>
    <TAT>T1</TAT>
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    <Start_Date>2026-02-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
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    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSDA06</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50866</Unique_No>
    <SCHEME_CODE>BNSDA06R-DR</SCHEME_CODE>
    <RTA_x0020_Code>DA06R</RTA_x0020_Code>
    <AMC_SCHEME_CODE>DA06R</AMC_SCHEME_CODE>
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    <SCHEME_NAME>ARUDHA HYBRID LONG - SHORT FUND - DIRECT PLAN - QUARTERLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <STP>N</STP>
    <TAT>T1</TAT>
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    <Start_Date>2026-02-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSDA06R</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>50867</Unique_No>
    <SCHEME_CODE>BNSDA07-DP</SCHEME_CODE>
    <RTA_x0020_Code>DA07</RTA_x0020_Code>
    <AMC_SCHEME_CODE>DA07</AMC_SCHEME_CODE>
    <ISIN>INF194K30242</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARUDHA HYBRID LONG - SHORT FUND - DIRECT PLAN - HALF YEARLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
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    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSDA07</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>50868</Unique_No>
    <SCHEME_CODE>BNSDA07-DR</SCHEME_CODE>
    <RTA_x0020_Code>DA07</RTA_x0020_Code>
    <AMC_SCHEME_CODE>DA07</AMC_SCHEME_CODE>
    <ISIN>INF194K30242</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARUDHA HYBRID LONG - SHORT FUND - DIRECT PLAN - HALF YEARLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSDA07</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>50869</Unique_No>
    <SCHEME_CODE>BNSDA07R-DR</SCHEME_CODE>
    <RTA_x0020_Code>DA07R</RTA_x0020_Code>
    <AMC_SCHEME_CODE>DA07R</AMC_SCHEME_CODE>
    <ISIN>INF194K30325</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARUDHA HYBRID LONG - SHORT FUND - DIRECT PLAN - HALF YEARLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <STP>N</STP>
    <TAT>T1</TAT>
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    <Start_Date>2026-02-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
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    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
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    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSDA07R</CHA_PAT_Cod>
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    <Unique_No>50870</Unique_No>
    <SCHEME_CODE>BNSDA08-DP</SCHEME_CODE>
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    <SCHEME_NAME>ARUDHA HYBRID LONG - SHORT FUND - DIRECT PLAN - ANNUAL IDCW PAYOUT</SCHEME_NAME>
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    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
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    <STP>N</STP>
    <TAT>T1</TAT>
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    <Start_Date>2026-02-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <SWITCH_Flag>Y</SWITCH_Flag>
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    <CHA_PAT_Cod>GSDA08</CHA_PAT_Cod>
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    <Unique_No>50871</Unique_No>
    <SCHEME_CODE>BNSDA08-DR</SCHEME_CODE>
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    <SCHEME_NAME>ARUDHA HYBRID LONG - SHORT FUND - DIRECT PLAN - ANNUAL IDCW REINVESTMENT</SCHEME_NAME>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <Start_Date>2026-02-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <SWITCH_Flag>Y</SWITCH_Flag>
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    <LOC_Flag>N</LOC_Flag>
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    <CHA_PAT_Cod>GSDA08</CHA_PAT_Cod>
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    <Unique_No>50872</Unique_No>
    <SCHEME_CODE>BNSDA08R-DR</SCHEME_CODE>
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    <SCHEME_NAME>ARUDHA HYBRID LONG - SHORT FUND - DIRECT PLAN - ANNUAL IDCW REINVESTMENT</SCHEME_NAME>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <End_Date>2099-02-10T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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  <BSEFundMast>
    <Unique_No>50898</Unique_No>
    <SCHEME_CODE>IPS1002-GR</SCHEME_CODE>
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    <SCHEME_NAME>ISIF HYBRID LONG-SHORT FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
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    <PUR_AMT_MIN>10000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <STP>N</STP>
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    <Start_Date>2026-02-10T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-10T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MUL>0.01</RED_AMT_MUL>
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    <AMC_IND />
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>PS1002</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>50899</Unique_No>
    <SCHEME_CODE>IPS6002-GR</SCHEME_CODE>
    <RTA_x0020_Code>6002</RTA_x0020_Code>
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    <SCHEME_NAME>ISIF HYBRID LONG-SHORT FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>10000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
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    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-10T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-10T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>PS6002</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>50900</Unique_No>
    <SCHEME_CODE>KO1284-GR</SCHEME_CODE>
    <RTA_x0020_Code>1284</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K1284</AMC_SCHEME_CODE>
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    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK NIFTY200 VALUE 30 INDEX FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-12T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-12T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K1284</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50901</Unique_No>
    <SCHEME_CODE>KO1285-DR</SCHEME_CODE>
    <RTA_x0020_Code>1285</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K1285</AMC_SCHEME_CODE>
    <ISIN>INF174KA1YU0</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK NIFTY200 VALUE 30 INDEX FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
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    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-12T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-12T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K1285</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50902</Unique_No>
    <SCHEME_CODE>KO1285-DP</SCHEME_CODE>
    <RTA_x0020_Code>1285</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K1285</AMC_SCHEME_CODE>
    <ISIN>INF174KA1YU0</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK NIFTY200 VALUE 30 INDEX FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
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    <Start_Date>2026-02-12T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-12T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K1285</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>50903</Unique_No>
    <SCHEME_CODE>KO128P5-DP</SCHEME_CODE>
    <RTA_x0020_Code>128P5</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K128P5</AMC_SCHEME_CODE>
    <ISIN>INF174KA1YT2</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK NIFTY200 VALUE 30 INDEX FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <STP>N</STP>
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    <Start_Date>2026-02-12T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-12T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <SWITCH_Flag>Y</SWITCH_Flag>
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    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K128P5</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>50904</Unique_No>
    <SCHEME_CODE>KO1284D-GR</SCHEME_CODE>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <STP>N</STP>
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    <Start_Date>2026-02-12T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-12T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
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    <CHA_PAT_Cod>K1284D</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>50905</Unique_No>
    <SCHEME_CODE>KO1285D-DR</SCHEME_CODE>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
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    <Start_Date>2026-02-12T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-12T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
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    <Unique_No>50906</Unique_No>
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    <SCHEME_NAME>KOTAK NIFTY200 VALUE 30 INDEX FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
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    <End_Date>2099-02-12T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <Start_Date>2026-02-12T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-12T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <CHA_PAT_Cod>K1285D</CHA_PAT_Cod>
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    <Unique_No>50908</Unique_No>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <STP>N</STP>
    <TAT>L1</TAT>
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    <Start_Date>2026-01-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-01-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <SWITCH_Flag>N</SWITCH_Flag>
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>176IPD1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50909</Unique_No>
    <SCHEME_CODE>SUIPD1-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>IPD1</RTA_x0020_Code>
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    <AMC_CODE1>SUNDARAMMUTUALFUND_MF</AMC_CODE1>
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    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
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    <Start_Date>2026-01-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-01-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>176IPD1</CHA_PAT_Cod>
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    <Unique_No>50910</Unique_No>
    <SCHEME_CODE>SUIPDG-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>IPDG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>IPDG</AMC_SCHEME_CODE>
    <ISIN>INF903JA1LZ7</ISIN>
    <AMC_CODE1>SUNDARAMMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>SUNDARAM INCOME PLUS ARBITRAGE ACTIVE FOF - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
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    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-01-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-01-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>176IPDG</CHA_PAT_Cod>
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    <Unique_No>50911</Unique_No>
    <SCHEME_CODE>SUIPDP-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>IPDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>IPDP</AMC_SCHEME_CODE>
    <ISIN>INF903JA1ME0</ISIN>
    <AMC_CODE1>SUNDARAMMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>SUNDARAM INCOME PLUS ARBITRAGE ACTIVE FOF - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
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    <Start_Date>2026-01-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-01-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>176IPDP</CHA_PAT_Cod>
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    <Unique_No>50912</Unique_No>
    <SCHEME_CODE>SUIPDP-DP-L1</SCHEME_CODE>
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    <AMC_SCHEME_CODE>IPDP</AMC_SCHEME_CODE>
    <ISIN>INF903JA1MD2</ISIN>
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    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <STP>N</STP>
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    <Start_Date>2026-01-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-01-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>176IPDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50913</Unique_No>
    <SCHEME_CODE>SUIPGP-GR-L1</SCHEME_CODE>
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    <ISIN>INF903JA1MC4</ISIN>
    <AMC_CODE1>SUNDARAMMUTUALFUND_MF</AMC_CODE1>
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    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_TXNMODE>DP</RED_TXNMODE>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <Start_Date>2026-01-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-01-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <LOC_Flag>N</LOC_Flag>
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    <CHA_PAT_Cod>176IPGP</CHA_PAT_Cod>
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    <Unique_No>50914</Unique_No>
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    <ISIN>INF680P01489</ISIN>
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    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <Start_Date>2026-01-28T00:00:00+05:30</Start_Date>
    <End_Date>2099-01-28T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <LOC_Flag>N</LOC_Flag>
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    <Unique_No>50915</Unique_No>
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    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <PUR_ALLOWED>Y</PUR_ALLOWED>
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    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-01-28T00:00:00+05:30</Start_Date>
    <End_Date>2099-01-28T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>SH208D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50916</Unique_No>
    <SCHEME_CODE>PPLCFGZ-GR</SCHEME_CODE>
    <RTA_x0020_Code>LCFGZ</RTA_x0020_Code>
    <AMC_SCHEME_CODE>PPLCFGZ</AMC_SCHEME_CODE>
    <ISIN>INF879O01332</ISIN>
    <AMC_CODE1>PPFAS_MF</AMC_CODE1>
    <SCHEME_NAME>PARAG PARIKH LARGE CAP FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-06T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-06T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>PPLCFGZ</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50917</Unique_No>
    <SCHEME_CODE>PPLCFRG-GR</SCHEME_CODE>
    <RTA_x0020_Code>LCFRG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>PPLCFRG</AMC_SCHEME_CODE>
    <ISIN>INF879O01365</ISIN>
    <AMC_CODE1>PPFAS_MF</AMC_CODE1>
    <SCHEME_NAME>PARAG PARIKH LARGE CAP FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-06T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-06T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>PPLCFRG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50918</Unique_No>
    <SCHEME_CODE>PPLCFDZ-DR</SCHEME_CODE>
    <RTA_x0020_Code>LCFDZ</RTA_x0020_Code>
    <AMC_SCHEME_CODE>PPLCFDZ</AMC_SCHEME_CODE>
    <ISIN>INF879O01357</ISIN>
    <AMC_CODE1>PPFAS_MF</AMC_CODE1>
    <SCHEME_NAME>PARAG PARIKH LARGE CAP FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-06T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-06T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>PPLCFDZ</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50919</Unique_No>
    <SCHEME_CODE>PPLCFPZ-DP</SCHEME_CODE>
    <RTA_x0020_Code>LCFPZ</RTA_x0020_Code>
    <AMC_SCHEME_CODE>PPLCFPZ</AMC_SCHEME_CODE>
    <ISIN>INF879O01340</ISIN>
    <AMC_CODE1>PPFAS_MF</AMC_CODE1>
    <SCHEME_NAME>PARAG PARIKH LARGE CAP FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-06T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-06T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>PPLCFPZ</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50920</Unique_No>
    <SCHEME_CODE>PPLCFRD-DR</SCHEME_CODE>
    <RTA_x0020_Code>LCFRD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>PPLCFRD</AMC_SCHEME_CODE>
    <ISIN>INF879O01381</ISIN>
    <AMC_CODE1>PPFAS_MF</AMC_CODE1>
    <SCHEME_NAME>PARAG PARIKH LARGE CAP FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-06T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-06T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>PPLCFRD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50921</Unique_No>
    <SCHEME_CODE>PPLCFRP-DP</SCHEME_CODE>
    <RTA_x0020_Code>LCFRP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>PPLCFRP</AMC_SCHEME_CODE>
    <ISIN>INF879O01373</ISIN>
    <AMC_CODE1>PPFAS_MF</AMC_CODE1>
    <SCHEME_NAME>PARAG PARIKH LARGE CAP FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-06T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-06T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>PPLCFRP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50922</Unique_No>
    <SCHEME_CODE>PPLCFDZ-DP</SCHEME_CODE>
    <RTA_x0020_Code>LCFDZ</RTA_x0020_Code>
    <AMC_SCHEME_CODE>PPLCFDZ</AMC_SCHEME_CODE>
    <ISIN>INF879O01357</ISIN>
    <AMC_CODE1>PPFAS_MF</AMC_CODE1>
    <SCHEME_NAME>PARAG PARIKH LARGE CAP FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-06T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-06T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>PPLCFDZ</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50923</Unique_No>
    <SCHEME_CODE>PPLCFRD-DP</SCHEME_CODE>
    <RTA_x0020_Code>LCFRD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>PPLCFRD</AMC_SCHEME_CODE>
    <ISIN>INF879O01381</ISIN>
    <AMC_CODE1>PPFAS_MF</AMC_CODE1>
    <SCHEME_NAME>PARAG PARIKH LARGE CAP FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-06T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-06T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>PPLCFRD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50924</Unique_No>
    <SCHEME_CODE>ZEZNSDG-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>ZNSDG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>ZNSDG</AMC_SCHEME_CODE>
    <ISIN>INF0R8F01182</ISIN>
    <AMC_CODE1>ZERODHAMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ZERODHA NIFTY SHORT DURATION G-SEC INDEX FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-01-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-01-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>0.01</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>ZZNSDG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50925</Unique_No>
    <SCHEME_CODE>YE117G-GR</SCHEME_CODE>
    <RTA_x0020_Code>117G</RTA_x0020_Code>
    <AMC_SCHEME_CODE>117G</AMC_SCHEME_CODE>
    <ISIN>INF03VN01AE1</ISIN>
    <AMC_CODE1>WHITEOAKCAPITALMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>WHITEOAK CAPITAL - CONSUMPTION OPPORTUNITIES FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-11T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-11T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>Y117G</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50926</Unique_No>
    <SCHEME_CODE>YED117G-GR</SCHEME_CODE>
    <RTA_x0020_Code>D117G</RTA_x0020_Code>
    <AMC_SCHEME_CODE>D117G</AMC_SCHEME_CODE>
    <ISIN>INF03VN01AD3</ISIN>
    <AMC_CODE1>WHITEOAKCAPITALMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>WHITEOAK CAPITAL - CONSUMPTION OPPORTUNITIES FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-11T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-11T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>YD117G</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50927</Unique_No>
    <SCHEME_CODE>SAMIDG-GR</SCHEME_CODE>
    <RTA_x0020_Code>MIDG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MIDG</AMC_SCHEME_CODE>
    <ISIN>INF0K1H01313</ISIN>
    <AMC_CODE1>SAMCOMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>SAMCO MID CAP FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>0.001</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>188MIDG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50928</Unique_No>
    <SCHEME_CODE>SAMIRG-GR</SCHEME_CODE>
    <RTA_x0020_Code>MIRG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MIRG</AMC_SCHEME_CODE>
    <ISIN>INF0K1H01321</ISIN>
    <AMC_CODE1>SAMCOMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>SAMCO MID CAP FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>0.001</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>188MIRG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50939</Unique_No>
    <SCHEME_CODE>JI200-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>200</RTA_x0020_Code>
    <AMC_SCHEME_CODE>200</AMC_SCHEME_CODE>
    <ISIN>INF22M001150</ISIN>
    <AMC_CODE1>JIOBLACKROCKMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>JIOBLACKROCK LOW DURATION FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-01-22T00:00:00+05:30</Start_Date>
    <End_Date>2099-01-22T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>0.1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>JIO200</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50940</Unique_No>
    <SCHEME_CODE>JI210-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>210</RTA_x0020_Code>
    <AMC_SCHEME_CODE>210</AMC_SCHEME_CODE>
    <ISIN>INF22M001143</ISIN>
    <AMC_CODE1>JIOBLACKROCKMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>JIOBLACKROCK SHORT DURATION FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-01-22T00:00:00+05:30</Start_Date>
    <End_Date>2099-01-22T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>0.1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>JIO210</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50941</Unique_No>
    <SCHEME_CODE>INYGG1-GR</SCHEME_CODE>
    <RTA_x0020_Code>YGG1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>YGG1G</AMC_SCHEME_CODE>
    <ISIN>INF666M01NR1</ISIN>
    <AMC_CODE1>GROWWMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>GROWW NIFTY PSE ETF FOF - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125YGG1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50942</Unique_No>
    <SCHEME_CODE>INYGD1-DP</SCHEME_CODE>
    <RTA_x0020_Code>YGD1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>YGD1D</AMC_SCHEME_CODE>
    <ISIN>INF666M01NS9</ISIN>
    <AMC_CODE1>GROWWMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>GROWW NIFTY PSE ETF FOF - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>N</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125YGD1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50943</Unique_No>
    <SCHEME_CODE>INYGD1-DR</SCHEME_CODE>
    <RTA_x0020_Code>YGD1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>YGD1R</AMC_SCHEME_CODE>
    <ISIN>INF666M01NT7</ISIN>
    <AMC_CODE1>GROWWMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>GROWW NIFTY PSE ETF FOF - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>N</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125YGD1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50944</Unique_No>
    <SCHEME_CODE>INYGGP-GR</SCHEME_CODE>
    <RTA_x0020_Code>YGGP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>YGGPG</AMC_SCHEME_CODE>
    <ISIN>INF666M01NU5</ISIN>
    <AMC_CODE1>GROWWMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>GROWW NIFTY PSE ETF FOF - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125YGGP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50945</Unique_No>
    <SCHEME_CODE>INYGDP-DP</SCHEME_CODE>
    <RTA_x0020_Code>YGDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>YGDPD</AMC_SCHEME_CODE>
    <ISIN>INF666M01NV3</ISIN>
    <AMC_CODE1>GROWWMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>GROWW NIFTY PSE ETF FOF - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>N</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125YGDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50946</Unique_No>
    <SCHEME_CODE>INYGDP-DR</SCHEME_CODE>
    <RTA_x0020_Code>YGDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>YGDPR</AMC_SCHEME_CODE>
    <ISIN>INF666M01NW1</ISIN>
    <AMC_CODE1>GROWWMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>GROWW NIFTY PSE ETF FOF - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>N</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125YGDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50947</Unique_No>
    <SCHEME_CODE>AXSLDG-GR</SCHEME_CODE>
    <RTA_x0020_Code>SLDG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>SLDGG</AMC_SCHEME_CODE>
    <ISIN>INF846KA1424</ISIN>
    <AMC_CODE1>AXISMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>AXIS BSE INDIA SECTOR LEADERS INDEX FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-16T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-16T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>128SLDG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50948</Unique_No>
    <SCHEME_CODE>AXSLGP-GR</SCHEME_CODE>
    <RTA_x0020_Code>SLGP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>SLGPG</AMC_SCHEME_CODE>
    <ISIN>INF846KA1416</ISIN>
    <AMC_CODE1>AXISMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>AXIS BSE INDIA SECTOR LEADERS INDEX FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-16T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-16T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>128SLGP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50953</Unique_No>
    <SCHEME_CODE>EDFSD1-GR</SCHEME_CODE>
    <RTA_x0020_Code>FSD1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>FSD1</AMC_SCHEME_CODE>
    <ISIN>INF754K01WH1</ISIN>
    <AMC_CODE1>EDELWEISSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>EDELWEISS FINANCIAL SERVICES FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-18T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-18T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>0.001</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>118FSD1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50954</Unique_No>
    <SCHEME_CODE>EDFSD2-DP</SCHEME_CODE>
    <RTA_x0020_Code>FSD2</RTA_x0020_Code>
    <AMC_SCHEME_CODE>FSD2</AMC_SCHEME_CODE>
    <ISIN>INF754K01WI9</ISIN>
    <AMC_CODE1>EDELWEISSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>EDELWEISS FINANCIAL SERVICES FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-18T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-18T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>0.001</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>118FSD2</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50955</Unique_No>
    <SCHEME_CODE>EDFSD2-DR</SCHEME_CODE>
    <RTA_x0020_Code>FSD2</RTA_x0020_Code>
    <AMC_SCHEME_CODE>FSD2</AMC_SCHEME_CODE>
    <ISIN>INF754K01WJ7</ISIN>
    <AMC_CODE1>EDELWEISSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>EDELWEISS FINANCIAL SERVICES FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-18T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-18T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>0.001</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>118FSD2</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50956</Unique_No>
    <SCHEME_CODE>EDFSRG-GR</SCHEME_CODE>
    <RTA_x0020_Code>FSRG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>FSRG</AMC_SCHEME_CODE>
    <ISIN>INF754K01WL3</ISIN>
    <AMC_CODE1>EDELWEISSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>EDELWEISS FINANCIAL SERVICES FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-18T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-18T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>0.001</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>118FSRG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50957</Unique_No>
    <SCHEME_CODE>EDFSDP-DP</SCHEME_CODE>
    <RTA_x0020_Code>FSDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>FSDP</AMC_SCHEME_CODE>
    <ISIN>INF754K01WM1</ISIN>
    <AMC_CODE1>EDELWEISSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>EDELWEISS FINANCIAL SERVICES FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-18T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-18T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>0.001</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>118FSDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50958</Unique_No>
    <SCHEME_CODE>EDFSDP-DR</SCHEME_CODE>
    <RTA_x0020_Code>FSDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>FSDP</AMC_SCHEME_CODE>
    <ISIN>INF754K01WN9</ISIN>
    <AMC_CODE1>EDELWEISSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>EDELWEISS FINANCIAL SERVICES FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-18T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-18T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>0.001</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>118FSDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50959</Unique_No>
    <SCHEME_CODE>JI220-GR</SCHEME_CODE>
    <RTA_x0020_Code>220</RTA_x0020_Code>
    <AMC_SCHEME_CODE>220</AMC_SCHEME_CODE>
    <ISIN>INF22M001168</ISIN>
    <AMC_CODE1>JIOBLACKROCKMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>JIOBLACKROCK SECTOR ROTATION FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>0.1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>JIO220</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50962</Unique_No>
    <SCHEME_CODE>MOFIGD-GR</SCHEME_CODE>
    <RTA_x0020_Code>FIGD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>FIGD</AMC_SCHEME_CODE>
    <ISIN>INF247L01GN5</ISIN>
    <AMC_CODE1>MOTILALOSWAL_MF</AMC_CODE1>
    <SCHEME_NAME>MOTILAL OSWAL FINANCIAL SERVICES FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>127FIGD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50963</Unique_No>
    <SCHEME_CODE>MOFIPD-DP</SCHEME_CODE>
    <RTA_x0020_Code>FIPD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>FIPD</AMC_SCHEME_CODE>
    <ISIN>INF247L01GO3</ISIN>
    <AMC_CODE1>MOTILALOSWAL_MF</AMC_CODE1>
    <SCHEME_NAME>MOTILAL OSWAL FINANCIAL SERVICES FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>127FIPD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50964</Unique_No>
    <SCHEME_CODE>MOFIPD-DR</SCHEME_CODE>
    <RTA_x0020_Code>FIPD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>FIPD</AMC_SCHEME_CODE>
    <ISIN>INF247L01GP0</ISIN>
    <AMC_CODE1>MOTILALOSWAL_MF</AMC_CODE1>
    <SCHEME_NAME>MOTILAL OSWAL FINANCIAL SERVICES FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>127FIPD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50965</Unique_No>
    <SCHEME_CODE>MOFIGP-GR</SCHEME_CODE>
    <RTA_x0020_Code>FIGP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>FIGP</AMC_SCHEME_CODE>
    <ISIN>INF247L01GQ8</ISIN>
    <AMC_CODE1>MOTILALOSWAL_MF</AMC_CODE1>
    <SCHEME_NAME>MOTILAL OSWAL FINANCIAL SERVICES FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>127FIGP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50966</Unique_No>
    <SCHEME_CODE>MOFIDP-DP</SCHEME_CODE>
    <RTA_x0020_Code>FIDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>FIDP</AMC_SCHEME_CODE>
    <ISIN>INF247L01GR6</ISIN>
    <AMC_CODE1>MOTILALOSWAL_MF</AMC_CODE1>
    <SCHEME_NAME>MOTILAL OSWAL FINANCIAL SERVICES FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>127FIDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50967</Unique_No>
    <SCHEME_CODE>MOFIDP-DR</SCHEME_CODE>
    <RTA_x0020_Code>FIDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>FIDP</AMC_SCHEME_CODE>
    <ISIN>INF247L01GS4</ISIN>
    <AMC_CODE1>MOTILALOSWAL_MF</AMC_CODE1>
    <SCHEME_NAME>MOTILAL OSWAL FINANCIAL SERVICES FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>127FIDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50968</Unique_No>
    <SCHEME_CODE>WEBADG-GR</SCHEME_CODE>
    <RTA_x0020_Code>BADG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>BADGG</AMC_SCHEME_CODE>
    <ISIN>INF2F0001479</ISIN>
    <AMC_CODE1>THEWEALTHCOMPANYMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>THE WEALTH COMPANY BALANCED ADVANTAGE FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>174BADG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50969</Unique_No>
    <SCHEME_CODE>WEBADD-DP</SCHEME_CODE>
    <RTA_x0020_Code>BADD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>BADDD</AMC_SCHEME_CODE>
    <ISIN>INF2F0001487</ISIN>
    <AMC_CODE1>THEWEALTHCOMPANYMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>THE WEALTH COMPANY BALANCED ADVANTAGE FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>174BADD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50970</Unique_No>
    <SCHEME_CODE>WEBADD-DR</SCHEME_CODE>
    <RTA_x0020_Code>BADD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>BADDR</AMC_SCHEME_CODE>
    <ISIN>INF2F0001495</ISIN>
    <AMC_CODE1>THEWEALTHCOMPANYMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>THE WEALTH COMPANY BALANCED ADVANTAGE FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>174BADD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50971</Unique_No>
    <SCHEME_CODE>WEBARG-GR</SCHEME_CODE>
    <RTA_x0020_Code>BARG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>BARGG</AMC_SCHEME_CODE>
    <ISIN>INF2F0001446</ISIN>
    <AMC_CODE1>THEWEALTHCOMPANYMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>THE WEALTH COMPANY BALANCED ADVANTAGE FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>174BARG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50972</Unique_No>
    <SCHEME_CODE>WEBARD-DP</SCHEME_CODE>
    <RTA_x0020_Code>BARD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>BARDD</AMC_SCHEME_CODE>
    <ISIN>INF2F0001453</ISIN>
    <AMC_CODE1>THEWEALTHCOMPANYMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>THE WEALTH COMPANY BALANCED ADVANTAGE FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>174BARD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50973</Unique_No>
    <SCHEME_CODE>WEBARD-DR</SCHEME_CODE>
    <RTA_x0020_Code>BARD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>BARDR</AMC_SCHEME_CODE>
    <ISIN>INF2F0001461</ISIN>
    <AMC_CODE1>THEWEALTHCOMPANYMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>THE WEALTH COMPANY BALANCED ADVANTAGE FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>174BARD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50976</Unique_No>
    <SCHEME_CODE>SH208-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>208</RTA_x0020_Code>
    <AMC_SCHEME_CODE>208</AMC_SCHEME_CODE>
    <ISIN>INF680P01489</ISIN>
    <AMC_CODE1>SHRIRAMMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>SHRIRAM MONEY MARKET FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-01-28T00:00:00+05:30</Start_Date>
    <End_Date>2099-01-28T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>SH208</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50977</Unique_No>
    <SCHEME_CODE>SH208D-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>208D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>208D</AMC_SCHEME_CODE>
    <ISIN>INF680P01471</ISIN>
    <AMC_CODE1>SHRIRAMMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>SHRIRAM MONEY MARKET FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-01-28T00:00:00+05:30</Start_Date>
    <End_Date>2099-01-28T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>SH208D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50978</Unique_No>
    <SCHEME_CODE>ID421-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>421</RTA_x0020_Code>
    <AMC_SCHEME_CODE>421</AMC_SCHEME_CODE>
    <ISIN>INF194KB1KM1</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>BANDHAN SILVER ETF FOF - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
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    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <Unique_No>50981</Unique_No>
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    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <Unique_No>50983</Unique_No>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <Unique_No>50984</Unique_No>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <Unique_No>50986</Unique_No>
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    <SCHEMETYPE>EQUITY</SCHEMETYPE>
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    <SWP>Y</SWP>
    <STP>N</STP>
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    <Start_Date>2026-02-23T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-23T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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  <BSEFundMast>
    <Unique_No>50988</Unique_No>
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    <RTA_x0020_Code>705D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>705D</AMC_SCHEME_CODE>
    <ISIN>INF200KB1AF8</ISIN>
    <AMC_CODE1>SBIMutualFund_MF</AMC_CODE1>
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    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <PUR_ALLOWED>Y</PUR_ALLOWED>
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    <RED_TXNMODE>P</RED_TXNMODE>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
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    <SCHEMETYPE>EQUITY</SCHEMETYPE>
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    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-23T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-23T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>L705D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50989</Unique_No>
    <SCHEME_CODE>SBD705D-DP</SCHEME_CODE>
    <RTA_x0020_Code>D705D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>705D1D</AMC_SCHEME_CODE>
    <ISIN>INF200KB1AI2</ISIN>
    <AMC_CODE1>SBIMutualFund_MF</AMC_CODE1>
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    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <PUR_ALLOWED>Y</PUR_ALLOWED>
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    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
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    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-23T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-23T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>LD705D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50994</Unique_No>
    <SCHEME_CODE>MOFPGD-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>FPGD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>FPGD</AMC_SCHEME_CODE>
    <ISIN>INF247L01GL9</ISIN>
    <AMC_CODE1>MOTILALOSWAL_MF</AMC_CODE1>
    <SCHEME_NAME>MOTILAL OSWAL DIVERSIFIED EQUITY FLEXICAP PASSIVE FUND OF FUNDS - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
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    <RED_TXNMODE>DP</RED_TXNMODE>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
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    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-01-29T00:00:00+05:30</Start_Date>
    <End_Date>2099-01-29T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>127FPGD</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>50995</Unique_No>
    <SCHEME_CODE>MOFPGP-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>FPGP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>FPGP</AMC_SCHEME_CODE>
    <ISIN>INF247L01GM7</ISIN>
    <AMC_CODE1>MOTILALOSWAL_MF</AMC_CODE1>
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    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
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    <SCHEMETYPE>EQUITY</SCHEMETYPE>
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    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-01-29T00:00:00+05:30</Start_Date>
    <End_Date>2099-01-29T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>127FPGP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>50996</Unique_No>
    <SCHEME_CODE>MHMIODD-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>MIODD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MIODD</AMC_SCHEME_CODE>
    <ISIN>INF174V01DB2</ISIN>
    <AMC_CODE1>MAHINDRA MANULIFE MUTUAL FUND_MF</AMC_CODE1>
    <SCHEME_NAME>MAHINDRA MANULIFE INNOVATION OPPORTUNITIES FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>MMMIODD</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>50997</Unique_No>
    <SCHEME_CODE>MHMIODP-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>MIODP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MIODP</AMC_SCHEME_CODE>
    <ISIN>INF174V01DC0</ISIN>
    <AMC_CODE1>MAHINDRA MANULIFE MUTUAL FUND_MF</AMC_CODE1>
    <SCHEME_NAME>MAHINDRA MANULIFE INNOVATION OPPORTUNITIES FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>MMMIODP</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>50998</Unique_No>
    <SCHEME_CODE>MHMIORD-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>MIORD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MIORD</AMC_SCHEME_CODE>
    <ISIN>INF174V01CY6</ISIN>
    <AMC_CODE1>MAHINDRA MANULIFE MUTUAL FUND_MF</AMC_CODE1>
    <SCHEME_NAME>MAHINDRA MANULIFE INNOVATION OPPORTUNITIES FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
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    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>MMMIORD</CHA_PAT_Cod>
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    <Unique_No>50999</Unique_No>
    <SCHEME_CODE>MHMIODD-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>MIODD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MIODD</AMC_SCHEME_CODE>
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    <AMC_CODE1>MAHINDRA MANULIFE MUTUAL FUND_MF</AMC_CODE1>
    <SCHEME_NAME>MAHINDRA MANULIFE INNOVATION OPPORTUNITIES FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_QTY_MIN>0.001</RED_QTY_MIN>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
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    <STP>N</STP>
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    <Start_Date>2026-02-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <SWITCH_Flag>N</SWITCH_Flag>
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>MMMIODD</CHA_PAT_Cod>
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    <Unique_No>51000</Unique_No>
    <SCHEME_CODE>MHMIORG-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>MIORG</RTA_x0020_Code>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <PUR_ALLOWED>Y</PUR_ALLOWED>
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    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
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    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
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    <STP>N</STP>
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    <Start_Date>2026-02-24T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
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    <LOC_Flag>N</LOC_Flag>
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    <CHA_PAT_Cod>117DFRD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51021</Unique_No>
    <SCHEME_CODE>MADFRD-DR</SCHEME_CODE>
    <RTA_x0020_Code>DFRD</RTA_x0020_Code>
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    <SCHEME_NAME>MIRAE ASSET BSE INDIA DEFENCE ETF FOF - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
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    <STP>N</STP>
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    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-24T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>117DFRD</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>51024</Unique_No>
    <SCHEME_CODE>KO1280-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>1280</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K1280</AMC_SCHEME_CODE>
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    <SCHEME_NAME>KOTAK DIVIDEND YIELD FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-03T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-03T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K1280</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>51025</Unique_No>
    <SCHEME_CODE>KO1281-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>1281</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K1281</AMC_SCHEME_CODE>
    <ISIN>INF174KA1YN5</ISIN>
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    <SCHEME_NAME>KOTAK DIVIDEND YIELD FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-03T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-03T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K1281</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51026</Unique_No>
    <SCHEME_CODE>KO128P1-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>128P1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K128P1</AMC_SCHEME_CODE>
    <ISIN>INF174KA1YM7</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK DIVIDEND YIELD FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
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    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-03T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-03T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K128P1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51027</Unique_No>
    <SCHEME_CODE>KO1280D-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>1280D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K1280D</AMC_SCHEME_CODE>
    <ISIN>INF174KA1YI5</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK DIVIDEND YIELD FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-03T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-03T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K1280D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51028</Unique_No>
    <SCHEME_CODE>KO1281D-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>1281D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K1281D</AMC_SCHEME_CODE>
    <ISIN>INF174KA1YK1</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK DIVIDEND YIELD FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-03T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-03T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K1281D</CHA_PAT_Cod>
  </BSEFundMast>
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    <Unique_No>51029</Unique_No>
    <SCHEME_CODE>KO128D1-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>128D1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K128D1</AMC_SCHEME_CODE>
    <ISIN>INF174KA1YJ3</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK DIVIDEND YIELD FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
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    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-03T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-03T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K128D1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51030</Unique_No>
    <SCHEME_CODE>KO1281-DP-L1</SCHEME_CODE>
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    <AMC_SCHEME_CODE>K1281</AMC_SCHEME_CODE>
    <ISIN>INF174KA1YN5</ISIN>
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    <SCHEME_NAME>KOTAK DIVIDEND YIELD FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
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    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
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    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
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    <Start_Date>2026-02-03T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-03T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
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    <Unique_No>51031</Unique_No>
    <SCHEME_CODE>KO1281D-DP-L1</SCHEME_CODE>
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    <AMC_SCHEME_CODE>K1281D</AMC_SCHEME_CODE>
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    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
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    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-03T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-03T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K1281D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51032</Unique_No>
    <SCHEME_CODE>KO1282-GR</SCHEME_CODE>
    <RTA_x0020_Code>1282</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K1282</AMC_SCHEME_CODE>
    <ISIN>INF174KA1YY2</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK SERVICES FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K1282</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51033</Unique_No>
    <SCHEME_CODE>KO1283-DR</SCHEME_CODE>
    <RTA_x0020_Code>1283</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K1283</AMC_SCHEME_CODE>
    <ISIN>INF174KA1ZA9</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK SERVICES FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K1283</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51034</Unique_No>
    <SCHEME_CODE>KO1282D-GR</SCHEME_CODE>
    <RTA_x0020_Code>1282D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K1282D</AMC_SCHEME_CODE>
    <ISIN>INF174KA1YV8</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK SERVICES FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K1282D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51035</Unique_No>
    <SCHEME_CODE>KO1283D-DR</SCHEME_CODE>
    <RTA_x0020_Code>1283D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K1283D</AMC_SCHEME_CODE>
    <ISIN>INF174KA1YX4</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK SERVICES FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K1283D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51036</Unique_No>
    <SCHEME_CODE>KO128P3-DP</SCHEME_CODE>
    <RTA_x0020_Code>128P3</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K128P3</AMC_SCHEME_CODE>
    <ISIN>INF174KA1YZ9</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK SERVICES FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K128P3</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51037</Unique_No>
    <SCHEME_CODE>KO128D3-DP</SCHEME_CODE>
    <RTA_x0020_Code>128D3</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K128D3</AMC_SCHEME_CODE>
    <ISIN>INF174KA1YW6</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK SERVICES FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K128D3</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51038</Unique_No>
    <SCHEME_CODE>KO1283-DP</SCHEME_CODE>
    <RTA_x0020_Code>1283</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K1283</AMC_SCHEME_CODE>
    <ISIN>INF174KA1ZA9</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK SERVICES FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K1283</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51039</Unique_No>
    <SCHEME_CODE>KO1283D-DP</SCHEME_CODE>
    <RTA_x0020_Code>1283D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K1283D</AMC_SCHEME_CODE>
    <ISIN>INF174KA1YX4</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK SERVICES FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K1283D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51040</Unique_No>
    <SCHEME_CODE>WEGFDD-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>GFDD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>GFDDD</AMC_SCHEME_CODE>
    <ISIN>INF2F0001420</ISIN>
    <AMC_CODE1>THEWEALTHCOMPANYMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>THE WEALTH COMPANY GOLD ETF FOF FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
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    <STP>N</STP>
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    <End_Date>2099-02-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <LOC_Flag>N</LOC_Flag>
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  <BSEFundMast>
    <Unique_No>51041</Unique_No>
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    <AMC_CODE1>THEWEALTHCOMPANYMUTUALFUND_MF</AMC_CODE1>
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    <Start_Date>2026-02-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>174GFDD</CHA_PAT_Cod>
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    <Unique_No>51042</Unique_No>
    <SCHEME_CODE>WEGFDG-GR-L1</SCHEME_CODE>
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    <AMC_SCHEME_CODE>GFDGG</AMC_SCHEME_CODE>
    <ISIN>INF2F0001412</ISIN>
    <AMC_CODE1>THEWEALTHCOMPANYMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>THE WEALTH COMPANY GOLD ETF FOF FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>174GFDG</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>51043</Unique_No>
    <SCHEME_CODE>WEGFRD-DP-L1</SCHEME_CODE>
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    <AMC_SCHEME_CODE>GFRDD</AMC_SCHEME_CODE>
    <ISIN>INF2F0001396</ISIN>
    <AMC_CODE1>THEWEALTHCOMPANYMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>THE WEALTH COMPANY GOLD ETF FOF FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
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    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>174GFRD</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>51044</Unique_No>
    <SCHEME_CODE>WEGFRD-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>GFRD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>GFRDR</AMC_SCHEME_CODE>
    <ISIN>INF2F0001404</ISIN>
    <AMC_CODE1>THEWEALTHCOMPANYMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>THE WEALTH COMPANY GOLD ETF FOF FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
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    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <Start_Date>2026-02-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <SWITCH_Flag>N</SWITCH_Flag>
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>174GFRD</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>51045</Unique_No>
    <SCHEME_CODE>WEGFRG-GR-L1</SCHEME_CODE>
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    <AMC_SCHEME_CODE>GFRGG</AMC_SCHEME_CODE>
    <ISIN>INF2F0001388</ISIN>
    <AMC_CODE1>THEWEALTHCOMPANYMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>THE WEALTH COMPANY GOLD ETF FOF FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
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    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>174GFRG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51046</Unique_No>
    <SCHEME_CODE>HDHNIRG-GR</SCHEME_CODE>
    <RTA_x0020_Code>HNIRG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>HNIRG</AMC_SCHEME_CODE>
    <ISIN>INF179KC1JZ3</ISIN>
    <AMC_CODE1>HDFCMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>HDFC NIFTY INDIA CONSUMPTION INDEX FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-24T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
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    <SWITCH_Flag>Y</SWITCH_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>HHNIRG</CHA_PAT_Cod>
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    <Unique_No>51047</Unique_No>
    <SCHEME_CODE>HDHNIDG-GR</SCHEME_CODE>
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    <AMC_CODE1>HDFCMutualFund_MF</AMC_CODE1>
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    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <PUR_ALLOWED>Y</PUR_ALLOWED>
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    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-24T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
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    <CHA_PAT_Cod>HHNIDG</CHA_PAT_Cod>
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    <Unique_No>51048</Unique_No>
    <SCHEME_CODE>DS2053-GR</SCHEME_CODE>
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    <ISIN>INF740KA1YB5</ISIN>
    <AMC_CODE1>DSP_MF</AMC_CODE1>
    <SCHEME_NAME>DSP MULTI ASSET OMNI FUND OF FUNDS - REGULAR PLAN - GROWTH</SCHEME_NAME>
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    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
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    <RED_TXNMODE>DP</RED_TXNMODE>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
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    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T3</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
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    <CHA_PAT_Cod>D2053</CHA_PAT_Cod>
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    <Unique_No>51049</Unique_No>
    <SCHEME_CODE>DS2054-DP</SCHEME_CODE>
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    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <Start_Date>2026-02-27T00:00:00+05:30</Start_Date>
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    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_TXNMODE>DP</RED_TXNMODE>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
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    <Start_Date>2026-02-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <Unique_No>51052</Unique_No>
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    <End_Date>2099-02-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <Unique_No>51053</Unique_No>
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    <Start_Date>2026-02-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <Unique_No>51054</Unique_No>
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    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <Unique_No>51055</Unique_No>
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    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <Start_Date>2026-02-26T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-26T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <LOC_Flag>N</LOC_Flag>
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    <CHA_PAT_Cod>108SAG1</CHA_PAT_Cod>
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    <Unique_No>51057</Unique_No>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <CHA_PAT_Cod>108SAGP</CHA_PAT_Cod>
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    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-06T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-06T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>PPLCFGZ</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51059</Unique_No>
    <SCHEME_CODE>PPLCFRG-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>LCFRG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>PPLCFRG</AMC_SCHEME_CODE>
    <ISIN>INF879O01365</ISIN>
    <AMC_CODE1>PPFAS_MF</AMC_CODE1>
    <SCHEME_NAME>PARAG PARIKH LARGE CAP FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-06T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-06T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>PPLCFRG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51060</Unique_No>
    <SCHEME_CODE>PPLCFDZ-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>LCFDZ</RTA_x0020_Code>
    <AMC_SCHEME_CODE>PPLCFDZ</AMC_SCHEME_CODE>
    <ISIN>INF879O01357</ISIN>
    <AMC_CODE1>PPFAS_MF</AMC_CODE1>
    <SCHEME_NAME>PARAG PARIKH LARGE CAP FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-06T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-06T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>PPLCFDZ</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51061</Unique_No>
    <SCHEME_CODE>PPLCFPZ-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>LCFPZ</RTA_x0020_Code>
    <AMC_SCHEME_CODE>PPLCFPZ</AMC_SCHEME_CODE>
    <ISIN>INF879O01340</ISIN>
    <AMC_CODE1>PPFAS_MF</AMC_CODE1>
    <SCHEME_NAME>PARAG PARIKH LARGE CAP FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-06T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-06T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>PPLCFPZ</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51062</Unique_No>
    <SCHEME_CODE>PPLCFRD-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>LCFRD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>PPLCFRD</AMC_SCHEME_CODE>
    <ISIN>INF879O01381</ISIN>
    <AMC_CODE1>PPFAS_MF</AMC_CODE1>
    <SCHEME_NAME>PARAG PARIKH LARGE CAP FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-06T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-06T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>PPLCFRD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51063</Unique_No>
    <SCHEME_CODE>PPLCFRP-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>LCFRP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>PPLCFRP</AMC_SCHEME_CODE>
    <ISIN>INF879O01373</ISIN>
    <AMC_CODE1>PPFAS_MF</AMC_CODE1>
    <SCHEME_NAME>PARAG PARIKH LARGE CAP FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-06T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-06T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>PPLCFRP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51064</Unique_No>
    <SCHEME_CODE>PPLCFDZ-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>LCFDZ</RTA_x0020_Code>
    <AMC_SCHEME_CODE>PPLCFDZ</AMC_SCHEME_CODE>
    <ISIN>INF879O01357</ISIN>
    <AMC_CODE1>PPFAS_MF</AMC_CODE1>
    <SCHEME_NAME>PARAG PARIKH LARGE CAP FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-06T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-06T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>PPLCFDZ</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51065</Unique_No>
    <SCHEME_CODE>PPLCFRD-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>LCFRD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>PPLCFRD</AMC_SCHEME_CODE>
    <ISIN>INF879O01381</ISIN>
    <AMC_CODE1>PPFAS_MF</AMC_CODE1>
    <SCHEME_NAME>PARAG PARIKH LARGE CAP FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-06T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-06T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>PPLCFRD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51066</Unique_No>
    <SCHEME_CODE>TOSELSDG-GR</SCHEME_CODE>
    <RTA_x0020_Code>ELSDG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>ELSDG</AMC_SCHEME_CODE>
    <ISIN>INF579M30042</ISIN>
    <AMC_CODE1>360_ONE_MUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>DYNASIF EQUITY LONG - SHORT FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>20000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>0.01</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>IFSELSDG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51067</Unique_No>
    <SCHEME_CODE>TOSELSDP-DP</SCHEME_CODE>
    <RTA_x0020_Code>ELSDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>ELSDP</AMC_SCHEME_CODE>
    <ISIN>INF579M30059</ISIN>
    <AMC_CODE1>360_ONE_MUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>DYNASIF EQUITY LONG - SHORT FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>20000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>0.01</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>IFSELSDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51068</Unique_No>
    <SCHEME_CODE>TOSELSDR-DR</SCHEME_CODE>
    <RTA_x0020_Code>ELSDR</RTA_x0020_Code>
    <AMC_SCHEME_CODE>ELSDR</AMC_SCHEME_CODE>
    <ISIN>INF579M30067</ISIN>
    <AMC_CODE1>360_ONE_MUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>DYNASIF EQUITY LONG - SHORT FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>20000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>0.01</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>IFSELSDR</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51069</Unique_No>
    <SCHEME_CODE>TOSELSRG-GR</SCHEME_CODE>
    <RTA_x0020_Code>ELSRG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>ELSRG</AMC_SCHEME_CODE>
    <ISIN>INF579M30018</ISIN>
    <AMC_CODE1>360_ONE_MUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>DYNASIF EQUITY LONG - SHORT FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>20000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>0.01</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>IFSELSRG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51070</Unique_No>
    <SCHEME_CODE>TOSELSRP-DP</SCHEME_CODE>
    <RTA_x0020_Code>ELSRP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>ELSRP</AMC_SCHEME_CODE>
    <ISIN>INF579M30026</ISIN>
    <AMC_CODE1>360_ONE_MUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>DYNASIF EQUITY LONG - SHORT FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>20000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>0.01</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>IFSELSRP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51071</Unique_No>
    <SCHEME_CODE>TOSELSRR-DR</SCHEME_CODE>
    <RTA_x0020_Code>ELSRR</RTA_x0020_Code>
    <AMC_SCHEME_CODE>ELSRR</AMC_SCHEME_CODE>
    <ISIN>INF579M30034</ISIN>
    <AMC_CODE1>360_ONE_MUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>DYNASIF EQUITY LONG - SHORT FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>20000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>0.01</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>IFSELSRR</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51072</Unique_No>
    <SCHEME_CODE>AOSLFRG-GR</SCHEME_CODE>
    <RTA_x0020_Code>SLFRG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>SLFRG</AMC_SCHEME_CODE>
    <ISIN>INF1J2R01163</ISIN>
    <AMC_CODE1>ANGELONEMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ANGEL ONE SILVER ETF FOF - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-06T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-06T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>AOSLFRG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51073</Unique_No>
    <SCHEME_CODE>AOSLFDG-GR</SCHEME_CODE>
    <RTA_x0020_Code>SLFDG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>SLFDG</AMC_SCHEME_CODE>
    <ISIN>INF1J2R01155</ISIN>
    <AMC_CODE1>ANGELONEMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ANGEL ONE SILVER ETF FOF - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-06T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-06T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>AOSLFDG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51076</Unique_No>
    <SCHEME_CODE>BJLDDD-DP</SCHEME_CODE>
    <RTA_x0020_Code>LDDD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>LDDDD</AMC_SCHEME_CODE>
    <ISIN>INF0QA701CG4</ISIN>
    <AMC_CODE1>BAJAJ FINSERV_MF</AMC_CODE1>
    <SCHEME_NAME>BAJAJ FINSERV LOW DURATION FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-23T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-23T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>189LDDD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51077</Unique_No>
    <SCHEME_CODE>BJLDDD-DR</SCHEME_CODE>
    <RTA_x0020_Code>LDDD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>LDDDR</AMC_SCHEME_CODE>
    <ISIN>INF0QA701CH2</ISIN>
    <AMC_CODE1>BAJAJ FINSERV_MF</AMC_CODE1>
    <SCHEME_NAME>BAJAJ FINSERV LOW DURATION FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-23T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-23T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>189LDDD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51078</Unique_No>
    <SCHEME_CODE>BJLDDG-GR</SCHEME_CODE>
    <RTA_x0020_Code>LDDG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>LDDGG</AMC_SCHEME_CODE>
    <ISIN>INF0QA701CF6</ISIN>
    <AMC_CODE1>BAJAJ FINSERV_MF</AMC_CODE1>
    <SCHEME_NAME>BAJAJ FINSERV LOW DURATION FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-23T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-23T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>189LDDG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51079</Unique_No>
    <SCHEME_CODE>BJLDRD-DP</SCHEME_CODE>
    <RTA_x0020_Code>LDRD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>LDRDD</AMC_SCHEME_CODE>
    <ISIN>INF0QA701CD1</ISIN>
    <AMC_CODE1>BAJAJ FINSERV_MF</AMC_CODE1>
    <SCHEME_NAME>BAJAJ FINSERV LOW DURATION FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
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    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-23T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-23T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>189LDRD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51080</Unique_No>
    <SCHEME_CODE>BJLDRD-DR</SCHEME_CODE>
    <RTA_x0020_Code>LDRD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>LDRDR</AMC_SCHEME_CODE>
    <ISIN>INF0QA701CE9</ISIN>
    <AMC_CODE1>BAJAJ FINSERV_MF</AMC_CODE1>
    <SCHEME_NAME>BAJAJ FINSERV LOW DURATION FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-23T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-23T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>189LDRD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51081</Unique_No>
    <SCHEME_CODE>BJLDRG-GR</SCHEME_CODE>
    <RTA_x0020_Code>LDRG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>LDRGG</AMC_SCHEME_CODE>
    <ISIN>INF0QA701CC3</ISIN>
    <AMC_CODE1>BAJAJ FINSERV_MF</AMC_CODE1>
    <SCHEME_NAME>BAJAJ FINSERV LOW DURATION FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-23T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-23T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>189LDRG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51098</Unique_No>
    <SCHEME_CODE>MAMED1-GR</SCHEME_CODE>
    <RTA_x0020_Code>MED1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MED1G</AMC_SCHEME_CODE>
    <ISIN>INF769K01QM1</ISIN>
    <AMC_CODE1>MIRAEASSET</AMC_CODE1>
    <SCHEME_NAME>MIRAE ASSET NIFTY METAL ETF FOF - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>FOF</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>117MED1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51099</Unique_No>
    <SCHEME_CODE>MAMED2-DP</SCHEME_CODE>
    <RTA_x0020_Code>MED2</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MED2D</AMC_SCHEME_CODE>
    <ISIN>INF769K01QO7</ISIN>
    <AMC_CODE1>MIRAEASSET</AMC_CODE1>
    <SCHEME_NAME>MIRAE ASSET NIFTY METAL ETF FOF - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>FOF</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>117MED2</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51100</Unique_No>
    <SCHEME_CODE>MAMED2-DR</SCHEME_CODE>
    <RTA_x0020_Code>MED2</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MED2R</AMC_SCHEME_CODE>
    <ISIN>INF769K01QN9</ISIN>
    <AMC_CODE1>MIRAEASSET</AMC_CODE1>
    <SCHEME_NAME>MIRAE ASSET NIFTY METAL ETF FOF - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
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    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>117MED2</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51101</Unique_No>
    <SCHEME_CODE>MAMERG-GR</SCHEME_CODE>
    <RTA_x0020_Code>MERG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MERGG</AMC_SCHEME_CODE>
    <ISIN>INF769K01QJ7</ISIN>
    <AMC_CODE1>MIRAEASSET</AMC_CODE1>
    <SCHEME_NAME>MIRAE ASSET NIFTY METAL ETF FOF - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>FOF</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>117MERG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51102</Unique_No>
    <SCHEME_CODE>MAMERD-DP</SCHEME_CODE>
    <RTA_x0020_Code>MERD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MERDD</AMC_SCHEME_CODE>
    <ISIN>INF769K01QL3</ISIN>
    <AMC_CODE1>MIRAEASSET</AMC_CODE1>
    <SCHEME_NAME>MIRAE ASSET NIFTY METAL ETF FOF - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>FOF</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>117MERD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51103</Unique_No>
    <SCHEME_CODE>MAMERD-DR</SCHEME_CODE>
    <RTA_x0020_Code>MERD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MERDR</AMC_SCHEME_CODE>
    <ISIN>INF769K01QK5</ISIN>
    <AMC_CODE1>MIRAEASSET</AMC_CODE1>
    <SCHEME_NAME>MIRAE ASSET NIFTY METAL ETF FOF - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
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    <End_Date>2099-02-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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  <BSEFundMast>
    <Unique_No>51104</Unique_No>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <Start_Date>2026-03-09T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-09T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
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    <CHA_PAT_Cod>125YHG1</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>51105</Unique_No>
    <SCHEME_CODE>INYHD1-DP</SCHEME_CODE>
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    <SCHEME_NAME>GROWW BSE HOSPITALS ETF FOF - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>N</PUR_ALLOWED>
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    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
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    <SIP_FLAG>N</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
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    <Start_Date>2026-03-09T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-09T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125YHD1</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>51106</Unique_No>
    <SCHEME_CODE>INYHD1-DR</SCHEME_CODE>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <Start_Date>2026-03-09T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-09T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <Unique_No>51107</Unique_No>
    <SCHEME_CODE>INYHGP-GR</SCHEME_CODE>
    <RTA_x0020_Code>YHGP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>YHGPG</AMC_SCHEME_CODE>
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    <SCHEME_NAME>GROWW BSE HOSPITALS ETF FOF - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_TXNMODE>DP</RED_TXNMODE>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <Start_Date>2026-03-09T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-09T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <SWITCH_Flag>Y</SWITCH_Flag>
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125YHGP</CHA_PAT_Cod>
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    <Unique_No>51108</Unique_No>
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    <AMC_CODE1>GROWWMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>GROWW BSE HOSPITALS ETF FOF - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_TXNMODE>DP</RED_TXNMODE>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
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    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <SWP>Y</SWP>
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    <Start_Date>2026-03-09T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-09T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125YHDP</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>51109</Unique_No>
    <SCHEME_CODE>INYHDP-DR</SCHEME_CODE>
    <RTA_x0020_Code>YHDP</RTA_x0020_Code>
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    <SCHEME_NAME>GROWW BSE HOSPITALS ETF FOF - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <End_Date>2099-03-09T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <SWITCH_Flag>Y</SWITCH_Flag>
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125YHDP</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>51112</Unique_No>
    <SCHEME_CODE>YE117G-GR-L1</SCHEME_CODE>
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    <SCHEME_NAME>WHITEOAK CAPITAL - CONSUMPTION OPPORTUNITIES FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
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    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <TAT>L1</TAT>
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    <Start_Date>2026-02-11T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-11T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
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    <LOC_Flag>N</LOC_Flag>
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    <CHA_PAT_Cod>Y117G</CHA_PAT_Cod>
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    <Unique_No>51113</Unique_No>
    <SCHEME_CODE>YED117G-GR-L1</SCHEME_CODE>
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    <SWP>N</SWP>
    <STP>N</STP>
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    <Start_Date>2026-02-11T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-11T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <LOC_Flag>N</LOC_Flag>
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    <CHA_PAT_Cod>YD117G</CHA_PAT_Cod>
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    <Unique_No>51114</Unique_No>
    <SCHEME_CODE>KO1284-GR-L1</SCHEME_CODE>
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    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <Unique_No>51118</Unique_No>
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    <ISIN>INF754K01WQ2</ISIN>
    <AMC_CODE1>EDELWEISSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>EDELWEISS GOLD ETF FOF - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-06T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-06T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>118GLRG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51124</Unique_No>
    <SCHEME_CODE>BPEBRG-GR</SCHEME_CODE>
    <RTA_x0020_Code>EBRG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>EBRGG</AMC_SCHEME_CODE>
    <ISIN>INF251K01VM0</ISIN>
    <AMC_CODE1>BARODABNPPARIBASMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>BARODA BNP PARIBAS ESG BEST-IN-CLASS STRATEGY FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-06T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-06T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>178EBRG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51125</Unique_No>
    <SCHEME_CODE>BPEBRD-DP</SCHEME_CODE>
    <RTA_x0020_Code>EBRD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>EBRDD</AMC_SCHEME_CODE>
    <ISIN>INF251K01VN8</ISIN>
    <AMC_CODE1>BARODABNPPARIBASMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>BARODA BNP PARIBAS ESG BEST-IN-CLASS STRATEGY FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-06T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-06T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>178EBRD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51126</Unique_No>
    <SCHEME_CODE>BPEBRD-DR</SCHEME_CODE>
    <RTA_x0020_Code>EBRD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>EBRDR</AMC_SCHEME_CODE>
    <ISIN>INF251K01VO6</ISIN>
    <AMC_CODE1>BARODABNPPARIBASMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>BARODA BNP PARIBAS ESG BEST-IN-CLASS STRATEGY FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
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    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-06T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-06T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>178EBRD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51127</Unique_No>
    <SCHEME_CODE>BPEBDG-GR</SCHEME_CODE>
    <RTA_x0020_Code>EBDG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>EBDGG</AMC_SCHEME_CODE>
    <ISIN>INF251K01VP3</ISIN>
    <AMC_CODE1>BARODABNPPARIBASMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>BARODA BNP PARIBAS ESG BEST-IN-CLASS STRATEGY FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-06T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-06T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>178EBDG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51128</Unique_No>
    <SCHEME_CODE>BPEBDD-DP</SCHEME_CODE>
    <RTA_x0020_Code>EBDD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>EBDDD</AMC_SCHEME_CODE>
    <ISIN>INF251K01VQ1</ISIN>
    <AMC_CODE1>BARODABNPPARIBASMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>BARODA BNP PARIBAS ESG BEST-IN-CLASS STRATEGY FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-06T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-06T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>178EBDD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51129</Unique_No>
    <SCHEME_CODE>BPEBDD-DR</SCHEME_CODE>
    <RTA_x0020_Code>EBDD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>EBDDR</AMC_SCHEME_CODE>
    <ISIN>INF251K01VR9</ISIN>
    <AMC_CODE1>BARODABNPPARIBASMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>BARODA BNP PARIBAS ESG BEST-IN-CLASS STRATEGY FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-06T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-06T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>178EBDD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51130</Unique_No>
    <SCHEME_CODE>SAMIDG-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>MIDG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MIDG</AMC_SCHEME_CODE>
    <ISIN>INF0K1H01313</ISIN>
    <AMC_CODE1>SAMCOMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>SAMCO MID CAP FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>0.001</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>188MIDG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51131</Unique_No>
    <SCHEME_CODE>SAMIRG-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>MIRG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MIRG</AMC_SCHEME_CODE>
    <ISIN>INF0K1H01321</ISIN>
    <AMC_CODE1>SAMCOMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>SAMCO MID CAP FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>0.001</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>188MIRG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51132</Unique_No>
    <SCHEME_CODE>OBFXD1-GR</SCHEME_CODE>
    <RTA_x0020_Code>FXD1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>FXD1</AMC_SCHEME_CODE>
    <ISIN>INF0S5R01133</ISIN>
    <AMC_CODE1>OLDBRIDGEMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>OLD BRIDGE FLEXI CAP FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.01</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.01</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>139FXD1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51133</Unique_No>
    <SCHEME_CODE>OBFXD2-DP</SCHEME_CODE>
    <RTA_x0020_Code>FXD2</RTA_x0020_Code>
    <AMC_SCHEME_CODE>FXD2</AMC_SCHEME_CODE>
    <ISIN>INF0S5R01141</ISIN>
    <AMC_CODE1>OLDBRIDGEMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>OLD BRIDGE FLEXI CAP FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.01</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.01</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>139FXD2</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51134</Unique_No>
    <SCHEME_CODE>OBFXD2-DR</SCHEME_CODE>
    <RTA_x0020_Code>FXD2</RTA_x0020_Code>
    <AMC_SCHEME_CODE>FXD2</AMC_SCHEME_CODE>
    <ISIN>INF0S5R01158</ISIN>
    <AMC_CODE1>OLDBRIDGEMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>OLD BRIDGE FLEXI CAP FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.01</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.01</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>139FXD2</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51135</Unique_No>
    <SCHEME_CODE>OBFXDP-DP</SCHEME_CODE>
    <RTA_x0020_Code>FXDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>FXDP</AMC_SCHEME_CODE>
    <ISIN>INF0S5R01174</ISIN>
    <AMC_CODE1>OLDBRIDGEMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>OLD BRIDGE FLEXI CAP FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.01</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.01</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>139FXDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51136</Unique_No>
    <SCHEME_CODE>OBFXDP-DR</SCHEME_CODE>
    <RTA_x0020_Code>FXDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>FXDP</AMC_SCHEME_CODE>
    <ISIN>INF0S5R01182</ISIN>
    <AMC_CODE1>OLDBRIDGEMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>OLD BRIDGE FLEXI CAP FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.01</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.01</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>139FXDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51137</Unique_No>
    <SCHEME_CODE>OBFXGP-GR</SCHEME_CODE>
    <RTA_x0020_Code>FXGP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>FXGP</AMC_SCHEME_CODE>
    <ISIN>INF0S5R01166</ISIN>
    <AMC_CODE1>OLDBRIDGEMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>OLD BRIDGE FLEXI CAP FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.01</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.01</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>139FXGP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51138</Unique_No>
    <SCHEME_CODE>ITCBGP-GR</SCHEME_CODE>
    <RTA_x0020_Code>CBGP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>CBGPG</AMC_SCHEME_CODE>
    <ISIN>INF00XX01DJ5</ISIN>
    <AMC_CODE1>ITI MUTUAL FUND_MF</AMC_CODE1>
    <SCHEME_NAME>ITI BUSINESS CYCLE FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-12T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-12T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>152CBGP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51139</Unique_No>
    <SCHEME_CODE>ITCBDP-DP</SCHEME_CODE>
    <RTA_x0020_Code>CBDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>CBDPD</AMC_SCHEME_CODE>
    <ISIN>INF00XX01DK3</ISIN>
    <AMC_CODE1>ITI MUTUAL FUND_MF</AMC_CODE1>
    <SCHEME_NAME>ITI BUSINESS CYCLE FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-12T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-12T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>152CBDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51140</Unique_No>
    <SCHEME_CODE>ITCBDP-DR</SCHEME_CODE>
    <RTA_x0020_Code>CBDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>CBDPR</AMC_SCHEME_CODE>
    <ISIN>INF00XX01DL1</ISIN>
    <AMC_CODE1>ITI MUTUAL FUND_MF</AMC_CODE1>
    <SCHEME_NAME>ITI BUSINESS CYCLE FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-12T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-12T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>152CBDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51141</Unique_No>
    <SCHEME_CODE>ITCBG1-GR</SCHEME_CODE>
    <RTA_x0020_Code>CBG1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>CBG1G</AMC_SCHEME_CODE>
    <ISIN>INF00XX01DM9</ISIN>
    <AMC_CODE1>ITI MUTUAL FUND_MF</AMC_CODE1>
    <SCHEME_NAME>ITI BUSINESS CYCLE FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-12T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-12T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>152CBG1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51142</Unique_No>
    <SCHEME_CODE>ITCBD1-DP</SCHEME_CODE>
    <RTA_x0020_Code>CBD1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>CBD1D</AMC_SCHEME_CODE>
    <ISIN>INF00XX01DN7</ISIN>
    <AMC_CODE1>ITI MUTUAL FUND_MF</AMC_CODE1>
    <SCHEME_NAME>ITI BUSINESS CYCLE FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-12T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-12T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>152CBD1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51143</Unique_No>
    <SCHEME_CODE>ITCBD1-DR</SCHEME_CODE>
    <RTA_x0020_Code>CBD1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>CBD1R</AMC_SCHEME_CODE>
    <ISIN>INF00XX01DO5</ISIN>
    <AMC_CODE1>ITI MUTUAL FUND_MF</AMC_CODE1>
    <SCHEME_NAME>ITI BUSINESS CYCLE FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-12T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-12T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>152CBD1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51144</Unique_No>
    <SCHEME_CODE>INYGG1-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>YGG1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>YGG1G</AMC_SCHEME_CODE>
    <ISIN>INF666M01NR1</ISIN>
    <AMC_CODE1>GROWWMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>GROWW NIFTY PSE ETF FOF - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125YGG1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51147</Unique_No>
    <SCHEME_CODE>INYGGP-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>YGGP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>YGGPG</AMC_SCHEME_CODE>
    <ISIN>INF666M01NU5</ISIN>
    <AMC_CODE1>GROWWMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>GROWW NIFTY PSE ETF FOF - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125YGGP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51150</Unique_No>
    <SCHEME_CODE>AXSLDG-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>SLDG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>SLDGG</AMC_SCHEME_CODE>
    <ISIN>INF846KA1424</ISIN>
    <AMC_CODE1>AXISMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>AXIS BSE INDIA SECTOR LEADERS INDEX FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-16T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-16T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>128SLDG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51151</Unique_No>
    <SCHEME_CODE>AXSLGP-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>SLGP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>SLGPG</AMC_SCHEME_CODE>
    <ISIN>INF846KA1416</ISIN>
    <AMC_CODE1>AXISMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>AXIS BSE INDIA SECTOR LEADERS INDEX FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-16T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-16T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>128SLGP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51154</Unique_No>
    <SCHEME_CODE>EDFSD1-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>FSD1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>FSD1</AMC_SCHEME_CODE>
    <ISIN>INF754K01WH1</ISIN>
    <AMC_CODE1>EDELWEISSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>EDELWEISS FINANCIAL SERVICES FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-18T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-18T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>0.001</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>118FSD1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51155</Unique_No>
    <SCHEME_CODE>EDFSD2-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>FSD2</RTA_x0020_Code>
    <AMC_SCHEME_CODE>FSD2</AMC_SCHEME_CODE>
    <ISIN>INF754K01WI9</ISIN>
    <AMC_CODE1>EDELWEISSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>EDELWEISS FINANCIAL SERVICES FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-18T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-18T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>0.001</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>118FSD2</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51156</Unique_No>
    <SCHEME_CODE>EDFSD2-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>FSD2</RTA_x0020_Code>
    <AMC_SCHEME_CODE>FSD2</AMC_SCHEME_CODE>
    <ISIN>INF754K01WJ7</ISIN>
    <AMC_CODE1>EDELWEISSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>EDELWEISS FINANCIAL SERVICES FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-18T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-18T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>0.001</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>118FSD2</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51157</Unique_No>
    <SCHEME_CODE>EDFSRG-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>FSRG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>FSRG</AMC_SCHEME_CODE>
    <ISIN>INF754K01WL3</ISIN>
    <AMC_CODE1>EDELWEISSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>EDELWEISS FINANCIAL SERVICES FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-18T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-18T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>0.001</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>118FSRG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51158</Unique_No>
    <SCHEME_CODE>EDFSDP-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>FSDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>FSDP</AMC_SCHEME_CODE>
    <ISIN>INF754K01WM1</ISIN>
    <AMC_CODE1>EDELWEISSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>EDELWEISS FINANCIAL SERVICES FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-18T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-18T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>0.001</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>118FSDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51159</Unique_No>
    <SCHEME_CODE>EDFSDP-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>FSDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>FSDP</AMC_SCHEME_CODE>
    <ISIN>INF754K01WN9</ISIN>
    <AMC_CODE1>EDELWEISSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>EDELWEISS FINANCIAL SERVICES FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-18T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-18T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>0.001</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>118FSDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51164</Unique_No>
    <SCHEME_CODE>WEBADG-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>BADG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>BADGG</AMC_SCHEME_CODE>
    <ISIN>INF2F0001479</ISIN>
    <AMC_CODE1>THEWEALTHCOMPANYMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>THE WEALTH COMPANY BALANCED ADVANTAGE FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>174BADG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51165</Unique_No>
    <SCHEME_CODE>WEBADD-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>BADD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>BADDD</AMC_SCHEME_CODE>
    <ISIN>INF2F0001487</ISIN>
    <AMC_CODE1>THEWEALTHCOMPANYMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>THE WEALTH COMPANY BALANCED ADVANTAGE FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>174BADD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51166</Unique_No>
    <SCHEME_CODE>WEBADD-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>BADD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>BADDR</AMC_SCHEME_CODE>
    <ISIN>INF2F0001495</ISIN>
    <AMC_CODE1>THEWEALTHCOMPANYMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>THE WEALTH COMPANY BALANCED ADVANTAGE FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>174BADD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51167</Unique_No>
    <SCHEME_CODE>WEBARG-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>BARG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>BARGG</AMC_SCHEME_CODE>
    <ISIN>INF2F0001446</ISIN>
    <AMC_CODE1>THEWEALTHCOMPANYMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>THE WEALTH COMPANY BALANCED ADVANTAGE FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>174BARG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51168</Unique_No>
    <SCHEME_CODE>WEBARD-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>BARD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>BARDD</AMC_SCHEME_CODE>
    <ISIN>INF2F0001453</ISIN>
    <AMC_CODE1>THEWEALTHCOMPANYMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>THE WEALTH COMPANY BALANCED ADVANTAGE FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>174BARD</CHA_PAT_Cod>
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    <End_Date>2099-02-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <LOC_Flag>N</LOC_Flag>
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    <CHA_PAT_Cod>174BARD</CHA_PAT_Cod>
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    <Unique_No>51170</Unique_No>
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    <SCHEME_NAME>JIOBLACKROCK SECTOR ROTATION FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <Start_Date>2026-02-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <SWITCH_Flag>N</SWITCH_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>JIO220</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>51171</Unique_No>
    <SCHEME_CODE>MOFIGD-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>FIGD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>FIGD</AMC_SCHEME_CODE>
    <ISIN>INF247L01GN5</ISIN>
    <AMC_CODE1>MOTILALOSWAL_MF</AMC_CODE1>
    <SCHEME_NAME>MOTILAL OSWAL FINANCIAL SERVICES FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
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    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <SWP>N</SWP>
    <STP>N</STP>
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    <Start_Date>2026-02-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>127FIGD</CHA_PAT_Cod>
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    <Unique_No>51172</Unique_No>
    <SCHEME_CODE>MOFIPD-DP-L1</SCHEME_CODE>
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    <AMC_SCHEME_CODE>FIPD</AMC_SCHEME_CODE>
    <ISIN>INF247L01GO3</ISIN>
    <AMC_CODE1>MOTILALOSWAL_MF</AMC_CODE1>
    <SCHEME_NAME>MOTILAL OSWAL FINANCIAL SERVICES FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
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    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <SCHEMETYPE>EQUITY</SCHEMETYPE>
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    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>127FIPD</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>51173</Unique_No>
    <SCHEME_CODE>MOFIPD-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>FIPD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>FIPD</AMC_SCHEME_CODE>
    <ISIN>INF247L01GP0</ISIN>
    <AMC_CODE1>MOTILALOSWAL_MF</AMC_CODE1>
    <SCHEME_NAME>MOTILAL OSWAL FINANCIAL SERVICES FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>127FIPD</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>51174</Unique_No>
    <SCHEME_CODE>MOFIGP-GR-L1</SCHEME_CODE>
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    <AMC_SCHEME_CODE>FIGP</AMC_SCHEME_CODE>
    <ISIN>INF247L01GQ8</ISIN>
    <AMC_CODE1>MOTILALOSWAL_MF</AMC_CODE1>
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    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <PUR_ALLOWED>Y</PUR_ALLOWED>
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    <RED_TXNMODE>DP</RED_TXNMODE>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
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    <Start_Date>2026-02-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>127FIGP</CHA_PAT_Cod>
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    <Unique_No>51175</Unique_No>
    <SCHEME_CODE>MOFIDP-DP-L1</SCHEME_CODE>
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    <AMC_SCHEME_CODE>FIDP</AMC_SCHEME_CODE>
    <ISIN>INF247L01GR6</ISIN>
    <AMC_CODE1>MOTILALOSWAL_MF</AMC_CODE1>
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    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <End_Date>2099-02-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <LOC_Flag>N</LOC_Flag>
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    <CHA_PAT_Cod>127FIDP</CHA_PAT_Cod>
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    <Unique_No>51176</Unique_No>
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    <ISIN>INF247L01GS4</ISIN>
    <AMC_CODE1>MOTILALOSWAL_MF</AMC_CODE1>
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    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <SWP>N</SWP>
    <STP>N</STP>
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    <End_Date>2099-02-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MUL>0.01</RED_AMT_MUL>
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    <LOC_Flag>N</LOC_Flag>
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    <CHA_PAT_Cod>127FIDP</CHA_PAT_Cod>
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    <Unique_No>51177</Unique_No>
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    <End_Date>2099-03-18T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>127PFGD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51178</Unique_No>
    <SCHEME_CODE>MOPFGP-GR</SCHEME_CODE>
    <RTA_x0020_Code>PFGP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>PFGP</AMC_SCHEME_CODE>
    <ISIN>INF247L01GU0</ISIN>
    <AMC_CODE1>MOTILALOSWAL_MF</AMC_CODE1>
    <SCHEME_NAME>MOTILAL OSWAL MULTI FACTOR PASSIVE FUND OF FUNDS - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-18T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-18T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>127PFGP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51179</Unique_No>
    <SCHEME_CODE>LCTFD1-DP</SCHEME_CODE>
    <RTA_x0020_Code>TFD1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>TFD1D</AMC_SCHEME_CODE>
    <ISIN>INF767K01SL3</ISIN>
    <AMC_CODE1>LICMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>LIC MF TECHNOLOGY FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>102TFD1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51180</Unique_No>
    <SCHEME_CODE>LCTFD1-DR</SCHEME_CODE>
    <RTA_x0020_Code>TFD1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>TFD1R</AMC_SCHEME_CODE>
    <ISIN>INF767K01SK5</ISIN>
    <AMC_CODE1>LICMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>LIC MF TECHNOLOGY FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>102TFD1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51181</Unique_No>
    <SCHEME_CODE>LCTFDP-DP</SCHEME_CODE>
    <RTA_x0020_Code>TFDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>TFDPD</AMC_SCHEME_CODE>
    <ISIN>INF767K01SI9</ISIN>
    <AMC_CODE1>LICMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>LIC MF TECHNOLOGY FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>102TFDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51182</Unique_No>
    <SCHEME_CODE>LCTFDP-DR</SCHEME_CODE>
    <RTA_x0020_Code>TFDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>TFDPR</AMC_SCHEME_CODE>
    <ISIN>INF767K01SH1</ISIN>
    <AMC_CODE1>LICMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>LIC MF TECHNOLOGY FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>102TFDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51183</Unique_No>
    <SCHEME_CODE>LCTFG1-GR</SCHEME_CODE>
    <RTA_x0020_Code>TFG1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>TFG1G</AMC_SCHEME_CODE>
    <ISIN>INF767K01SJ7</ISIN>
    <AMC_CODE1>LICMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>LIC MF TECHNOLOGY FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>102TFG1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51184</Unique_No>
    <SCHEME_CODE>LCTFGP-GR</SCHEME_CODE>
    <RTA_x0020_Code>TFGP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>TFGPG</AMC_SCHEME_CODE>
    <ISIN>INF767K01SG3</ISIN>
    <AMC_CODE1>LICMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>LIC MF TECHNOLOGY FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>102TFGP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51189</Unique_No>
    <SCHEME_CODE>CMARDD-DP</SCHEME_CODE>
    <RTA_x0020_Code>ARDD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>ARDD</AMC_SCHEME_CODE>
    <ISIN>INF226401125</ISIN>
    <AMC_CODE1>CAPITALMINDMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>CAPITALMIND ARBITRAGE FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>HYBRID</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>183ARDD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51191</Unique_No>
    <SCHEME_CODE>CMARDG-GR</SCHEME_CODE>
    <RTA_x0020_Code>ARDG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>ARDG</AMC_SCHEME_CODE>
    <ISIN>INF226401117</ISIN>
    <AMC_CODE1>CAPITALMINDMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>CAPITALMIND ARBITRAGE FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>HYBRID</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>183ARDG</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>51192</Unique_No>
    <SCHEME_CODE>CMARRD-DP</SCHEME_CODE>
    <RTA_x0020_Code>ARRD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>ARRD</AMC_SCHEME_CODE>
    <ISIN>INF226401158</ISIN>
    <AMC_CODE1>CAPITALMINDMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>CAPITALMIND ARBITRAGE FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>HYBRID</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>183ARRD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51194</Unique_No>
    <SCHEME_CODE>CMARRG-GR</SCHEME_CODE>
    <RTA_x0020_Code>ARRG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>ARRG</AMC_SCHEME_CODE>
    <ISIN>INF226401141</ISIN>
    <AMC_CODE1>CAPITALMINDMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>CAPITALMIND ARBITRAGE FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>HYBRID</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>183ARRG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51195</Unique_No>
    <SCHEME_CODE>CMMADD-DP</SCHEME_CODE>
    <RTA_x0020_Code>MADD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MADD</AMC_SCHEME_CODE>
    <ISIN>INF226401067</ISIN>
    <AMC_CODE1>CAPITALMINDMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>CAPITALMIND MULTI ASSET ALLOCATION FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>HYBRID</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>183MADD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51197</Unique_No>
    <SCHEME_CODE>CMMADG-GR</SCHEME_CODE>
    <RTA_x0020_Code>MADG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MADG</AMC_SCHEME_CODE>
    <ISIN>INF226401059</ISIN>
    <AMC_CODE1>CAPITALMINDMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>CAPITALMIND MULTI ASSET ALLOCATION FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>HYBRID</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>183MADG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51198</Unique_No>
    <SCHEME_CODE>CMMARD-DP</SCHEME_CODE>
    <RTA_x0020_Code>MARD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MARD</AMC_SCHEME_CODE>
    <ISIN>INF226401091</ISIN>
    <AMC_CODE1>CAPITALMINDMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>CAPITALMIND MULTI ASSET ALLOCATION FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>HYBRID</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>183MARD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51200</Unique_No>
    <SCHEME_CODE>CMMARG-GR</SCHEME_CODE>
    <RTA_x0020_Code>MARG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MARG</AMC_SCHEME_CODE>
    <ISIN>INF226401083</ISIN>
    <AMC_CODE1>CAPITALMINDMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>CAPITALMIND MULTI ASSET ALLOCATION FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>HYBRID</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>183MARG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51201</Unique_No>
    <SCHEME_CODE>RLIYGP-GR</SCHEME_CODE>
    <RTA_x0020_Code>IYGP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>IYGP</AMC_SCHEME_CODE>
    <ISIN>INF204KC1GO2</ISIN>
    <AMC_CODE1>NipponIndiaMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>NIPPON INDIA CRISIL-IBX FINANCIAL SERVICES 9-12 MONTHS DEBT INDEX FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-05T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-05T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>RMFIYGP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51202</Unique_No>
    <SCHEME_CODE>RLIYAD-DP</SCHEME_CODE>
    <RTA_x0020_Code>IYAD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>IYAD</AMC_SCHEME_CODE>
    <ISIN>INF204KC1GS3</ISIN>
    <AMC_CODE1>NipponIndiaMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>NIPPON INDIA CRISIL-IBX FINANCIAL SERVICES 9-12 MONTHS DEBT INDEX FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-05T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-05T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>RMFIYAD</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>51203</Unique_No>
    <SCHEME_CODE>RLIYAD-DR</SCHEME_CODE>
    <RTA_x0020_Code>IYAD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>IYAD</AMC_SCHEME_CODE>
    <ISIN>INF204KC1GT1</ISIN>
    <AMC_CODE1>NipponIndiaMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>NIPPON INDIA CRISIL-IBX FINANCIAL SERVICES 9-12 MONTHS DEBT INDEX FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
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    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-05T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-05T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>RMFIYAD</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>51204</Unique_No>
    <SCHEME_CODE>RLIYDP-DP</SCHEME_CODE>
    <RTA_x0020_Code>IYDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>IYDP</AMC_SCHEME_CODE>
    <ISIN>INF204KC1GP9</ISIN>
    <AMC_CODE1>NipponIndiaMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>NIPPON INDIA CRISIL-IBX FINANCIAL SERVICES 9-12 MONTHS DEBT INDEX FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-05T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-05T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>RMFIYDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51205</Unique_No>
    <SCHEME_CODE>RLIYDP-DR</SCHEME_CODE>
    <RTA_x0020_Code>IYDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>IYDP</AMC_SCHEME_CODE>
    <ISIN>INF204KC1GQ7</ISIN>
    <AMC_CODE1>NipponIndiaMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>NIPPON INDIA CRISIL-IBX FINANCIAL SERVICES 9-12 MONTHS DEBT INDEX FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-05T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-05T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>RMFIYDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51206</Unique_No>
    <SCHEME_CODE>RLIYAG-GR</SCHEME_CODE>
    <RTA_x0020_Code>IYAG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>IYAG</AMC_SCHEME_CODE>
    <ISIN>INF204KC1GR5</ISIN>
    <AMC_CODE1>NipponIndiaMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>NIPPON INDIA CRISIL-IBX FINANCIAL SERVICES 9-12 MONTHS DEBT INDEX FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-05T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-05T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>RMFIYAG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51209</Unique_No>
    <SCHEME_CODE>BJLDDD-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>LDDD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>LDDDD</AMC_SCHEME_CODE>
    <ISIN>INF0QA701CG4</ISIN>
    <AMC_CODE1>BAJAJ FINSERV_MF</AMC_CODE1>
    <SCHEME_NAME>BAJAJ FINSERV LOW DURATION FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-23T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-23T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>189LDDD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51210</Unique_No>
    <SCHEME_CODE>BJLDDD-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>LDDD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>LDDDR</AMC_SCHEME_CODE>
    <ISIN>INF0QA701CH2</ISIN>
    <AMC_CODE1>BAJAJ FINSERV_MF</AMC_CODE1>
    <SCHEME_NAME>BAJAJ FINSERV LOW DURATION FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-23T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-23T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>189LDDD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51211</Unique_No>
    <SCHEME_CODE>BJLDDG-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>LDDG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>LDDGG</AMC_SCHEME_CODE>
    <ISIN>INF0QA701CF6</ISIN>
    <AMC_CODE1>BAJAJ FINSERV_MF</AMC_CODE1>
    <SCHEME_NAME>BAJAJ FINSERV LOW DURATION FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-23T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-23T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>189LDDG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51212</Unique_No>
    <SCHEME_CODE>BJLDRD-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>LDRD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>LDRDD</AMC_SCHEME_CODE>
    <ISIN>INF0QA701CD1</ISIN>
    <AMC_CODE1>BAJAJ FINSERV_MF</AMC_CODE1>
    <SCHEME_NAME>BAJAJ FINSERV LOW DURATION FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-23T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-23T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>189LDRD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51213</Unique_No>
    <SCHEME_CODE>BJLDRD-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>LDRD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>LDRDR</AMC_SCHEME_CODE>
    <ISIN>INF0QA701CE9</ISIN>
    <AMC_CODE1>BAJAJ FINSERV_MF</AMC_CODE1>
    <SCHEME_NAME>BAJAJ FINSERV LOW DURATION FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-23T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-23T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>189LDRD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51214</Unique_No>
    <SCHEME_CODE>BJLDRG-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>LDRG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>LDRGG</AMC_SCHEME_CODE>
    <ISIN>INF0QA701CC3</ISIN>
    <AMC_CODE1>BAJAJ FINSERV_MF</AMC_CODE1>
    <SCHEME_NAME>BAJAJ FINSERV LOW DURATION FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-23T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-23T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
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    <Unique_No>51215</Unique_No>
    <SCHEME_CODE>SB705D-DR-L1</SCHEME_CODE>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
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    <RED_TXNMODE>DP</RED_TXNMODE>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
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    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <SCHEMETYPE>EQUITY</SCHEMETYPE>
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    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-23T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-23T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>L705D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51216</Unique_No>
    <SCHEME_CODE>SB705DP-DP-L1</SCHEME_CODE>
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    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
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    <RED_TXNMODE>D</RED_TXNMODE>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-23T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-23T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>L705DP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51217</Unique_No>
    <SCHEME_CODE>SB705G-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>705G</RTA_x0020_Code>
    <AMC_SCHEME_CODE>705G</AMC_SCHEME_CODE>
    <ISIN>INF200KB1AD3</ISIN>
    <AMC_CODE1>SBIMutualFund_MF</AMC_CODE1>
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    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
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    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-23T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-23T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>L705G</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51218</Unique_No>
    <SCHEME_CODE>SBD705D-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>D705D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>705D1D</AMC_SCHEME_CODE>
    <ISIN>INF200KB1AI2</ISIN>
    <AMC_CODE1>SBIMutualFund_MF</AMC_CODE1>
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    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
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    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-23T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-23T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>LD705D</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>51219</Unique_No>
    <SCHEME_CODE>SBD705G-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>D705G</RTA_x0020_Code>
    <AMC_SCHEME_CODE>705D1G</AMC_SCHEME_CODE>
    <ISIN>INF200KB1AG6</ISIN>
    <AMC_CODE1>SBIMutualFund_MF</AMC_CODE1>
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    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-23T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-23T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>LD705G</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51220</Unique_No>
    <SCHEME_CODE>SBD705P-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>D705P</RTA_x0020_Code>
    <AMC_SCHEME_CODE>705D1D</AMC_SCHEME_CODE>
    <ISIN>INF200KB1AH4</ISIN>
    <AMC_CODE1>SBIMutualFund_MF</AMC_CODE1>
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    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
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    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <SCHEMETYPE>EQUITY</SCHEMETYPE>
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    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
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    <Start_Date>2026-02-23T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-23T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>LD705P</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51221</Unique_No>
    <SCHEME_CODE>SB705D-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>705D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>705D</AMC_SCHEME_CODE>
    <ISIN>INF200KB1AF8</ISIN>
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    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_TXNMODE>P</RED_TXNMODE>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
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    <STP>N</STP>
    <TAT>L1</TAT>
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    <Start_Date>2026-02-23T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-23T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>L705D</CHA_PAT_Cod>
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    <Unique_No>51222</Unique_No>
    <SCHEME_CODE>SBD705D-DP-L1</SCHEME_CODE>
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    <ISIN>INF200KB1AI2</ISIN>
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    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
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    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-23T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-23T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>LD705D</CHA_PAT_Cod>
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    <Unique_No>51223</Unique_No>
    <SCHEME_CODE>HDHNIRG-GR-L1</SCHEME_CODE>
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    <AMC_SCHEME_CODE>HNIRG</AMC_SCHEME_CODE>
    <ISIN>INF179KC1JZ3</ISIN>
    <AMC_CODE1>HDFCMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>HDFC NIFTY INDIA CONSUMPTION INDEX FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
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    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
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    <RED_TXNMODE>DP</RED_TXNMODE>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-24T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>HHNIRG</CHA_PAT_Cod>
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    <Unique_No>51224</Unique_No>
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    <End_Date>2099-02-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-24T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>117DFD1</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>51226</Unique_No>
    <SCHEME_CODE>MADFD2-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>DFD2</RTA_x0020_Code>
    <AMC_SCHEME_CODE>DFD2D</AMC_SCHEME_CODE>
    <ISIN>INF769K01QI9</ISIN>
    <AMC_CODE1>MIRAEASSET</AMC_CODE1>
    <SCHEME_NAME>MIRAE ASSET BSE INDIA DEFENCE ETF FOF - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
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    <SCHEMETYPE>FOF</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-24T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>117DFD2</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>51227</Unique_No>
    <SCHEME_CODE>MADFD2-DR-L1</SCHEME_CODE>
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    <ISIN>INF769K01QH1</ISIN>
    <AMC_CODE1>MIRAEASSET</AMC_CODE1>
    <SCHEME_NAME>MIRAE ASSET BSE INDIA DEFENCE ETF FOF - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <STP>N</STP>
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    <Start_Date>2026-02-24T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>117DFD2</CHA_PAT_Cod>
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    <Unique_No>51228</Unique_No>
    <SCHEME_CODE>MADFRG-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>DFRG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>DFRGG</AMC_SCHEME_CODE>
    <ISIN>INF769K01QD0</ISIN>
    <AMC_CODE1>MIRAEASSET</AMC_CODE1>
    <SCHEME_NAME>MIRAE ASSET BSE INDIA DEFENCE ETF FOF - REGULAR PLAN GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
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    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-24T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>117DFRG</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>51229</Unique_No>
    <SCHEME_CODE>MADFRD-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>DFRD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>DFRDD</AMC_SCHEME_CODE>
    <ISIN>INF769K01QF5</ISIN>
    <AMC_CODE1>MIRAEASSET</AMC_CODE1>
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    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <PUR_ALLOWED>Y</PUR_ALLOWED>
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    <RED_TXNMODE>DP</RED_TXNMODE>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
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    <Start_Date>2026-02-24T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <SWITCH_Flag>N</SWITCH_Flag>
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>117DFRD</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>51230</Unique_No>
    <SCHEME_CODE>MADFRD-DR-L1</SCHEME_CODE>
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    <AMC_CODE1>MIRAEASSET</AMC_CODE1>
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    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <End_Date>2099-02-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <LOC_Flag>N</LOC_Flag>
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    <CHA_PAT_Cod>117DFRD</CHA_PAT_Cod>
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    <Unique_No>51231</Unique_No>
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    <AMC_CODE1>ABAKKUSMUTUALFUND_MF</AMC_CODE1>
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    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <Start_Date>2026-03-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <SWITCH_Flag>Y</SWITCH_Flag>
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    <LOC_Flag>N</LOC_Flag>
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    <CHA_PAT_Cod>172SCRG</CHA_PAT_Cod>
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    <Unique_No>51232</Unique_No>
    <SCHEME_CODE>AKSCDG-GR</SCHEME_CODE>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
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    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
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    <End_Date>2099-03-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <SWITCH_Flag>Y</SWITCH_Flag>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
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    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-26T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-26T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <SWITCH_Flag>N</SWITCH_Flag>
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    <LOC_Flag>N</LOC_Flag>
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    <Unique_No>51234</Unique_No>
    <SCHEME_CODE>TSSAGP-GR-L1</SCHEME_CODE>
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    <AMC_SCHEME_CODE>788</AMC_SCHEME_CODE>
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    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-26T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-26T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>108SAGP</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>51235</Unique_No>
    <SCHEME_CODE>MAMED1-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>MED1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MED1G</AMC_SCHEME_CODE>
    <ISIN>INF769K01QM1</ISIN>
    <AMC_CODE1>MIRAEASSET</AMC_CODE1>
    <SCHEME_NAME>MIRAE ASSET NIFTY METAL ETF FOF - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>FOF</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>117MED1</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>51236</Unique_No>
    <SCHEME_CODE>MAMED2-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>MED2</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MED2D</AMC_SCHEME_CODE>
    <ISIN>INF769K01QO7</ISIN>
    <AMC_CODE1>MIRAEASSET</AMC_CODE1>
    <SCHEME_NAME>MIRAE ASSET NIFTY METAL ETF FOF - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
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    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>117MED2</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>51237</Unique_No>
    <SCHEME_CODE>MAMED2-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>MED2</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MED2R</AMC_SCHEME_CODE>
    <ISIN>INF769K01QN9</ISIN>
    <AMC_CODE1>MIRAEASSET</AMC_CODE1>
    <SCHEME_NAME>MIRAE ASSET NIFTY METAL ETF FOF - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
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    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
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    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>117MED2</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51238</Unique_No>
    <SCHEME_CODE>MAMERG-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>MERG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MERGG</AMC_SCHEME_CODE>
    <ISIN>INF769K01QJ7</ISIN>
    <AMC_CODE1>MIRAEASSET</AMC_CODE1>
    <SCHEME_NAME>MIRAE ASSET NIFTY METAL ETF FOF - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
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    <Start_Date>2026-02-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>117MERG</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>51239</Unique_No>
    <SCHEME_CODE>MAMERD-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>MERD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MERDD</AMC_SCHEME_CODE>
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    <AMC_CODE1>MIRAEASSET</AMC_CODE1>
    <SCHEME_NAME>MIRAE ASSET NIFTY METAL ETF FOF - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
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    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
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    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
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    <Start_Date>2026-02-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>117MERD</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>51240</Unique_No>
    <SCHEME_CODE>MAMERD-DR-L1</SCHEME_CODE>
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    <AMC_SCHEME_CODE>MERDR</AMC_SCHEME_CODE>
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    <AMC_CODE1>MIRAEASSET</AMC_CODE1>
    <SCHEME_NAME>MIRAE ASSET NIFTY METAL ETF FOF - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
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    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>117MERD</CHA_PAT_Cod>
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    <SCHEME_CODE>CABFGP-GR</SCHEME_CODE>
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    <AMC_CODE1>CANARAROBECOMUTUALFUND_MF</AMC_CODE1>
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    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
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    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-24T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
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  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51242</Unique_No>
    <SCHEME_CODE>CABFDG-GR</SCHEME_CODE>
    <RTA_x0020_Code>BFDG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>BFDG</AMC_SCHEME_CODE>
    <ISIN>INF760K01LN9</ISIN>
    <AMC_CODE1>CANARAROBECOMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>CANARA ROBECO BANKING AND FINANCIAL SERVICES FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-24T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>101BFDG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51243</Unique_No>
    <SCHEME_CODE>CABFDP-DP</SCHEME_CODE>
    <RTA_x0020_Code>BFDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>BFDP</AMC_SCHEME_CODE>
    <ISIN>INF760K01LO7</ISIN>
    <AMC_CODE1>CANARAROBECOMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>CANARA ROBECO BANKING AND FINANCIAL SERVICES FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-24T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>101BFDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51244</Unique_No>
    <SCHEME_CODE>CABFDD-DP</SCHEME_CODE>
    <RTA_x0020_Code>BFDD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>BFDD</AMC_SCHEME_CODE>
    <ISIN>INF760K01LP4</ISIN>
    <AMC_CODE1>CANARAROBECOMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>CANARA ROBECO BANKING AND FINANCIAL SERVICES FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-24T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>101BFDD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51245</Unique_No>
    <SCHEME_CODE>CABFDP-DR</SCHEME_CODE>
    <RTA_x0020_Code>BFDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>BFDP</AMC_SCHEME_CODE>
    <ISIN>INF760K01LQ2</ISIN>
    <AMC_CODE1>CANARAROBECOMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>CANARA ROBECO BANKING AND FINANCIAL SERVICES FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-24T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>101BFDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51246</Unique_No>
    <SCHEME_CODE>CABFDD-DR</SCHEME_CODE>
    <RTA_x0020_Code>BFDD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>BFDD</AMC_SCHEME_CODE>
    <ISIN>INF760K01LR0</ISIN>
    <AMC_CODE1>CANARAROBECOMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>CANARA ROBECO BANKING AND FINANCIAL SERVICES FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-24T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>101BFDD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51247</Unique_No>
    <SCHEME_CODE>UTMDDG-GR</SCHEME_CODE>
    <RTA_x0020_Code>MDDG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MDDG</AMC_SCHEME_CODE>
    <ISIN>INF0GCD01875</ISIN>
    <AMC_CODE1>TRUSTMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>TRUSTMF MID CAP FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-24T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>0</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>185MDDG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51248</Unique_No>
    <SCHEME_CODE>UTMDRG-GR</SCHEME_CODE>
    <RTA_x0020_Code>MDRG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MDRG</AMC_SCHEME_CODE>
    <ISIN>INF0GCD01883</ISIN>
    <AMC_CODE1>TRUSTMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>TRUSTMF MID CAP FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-24T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>0</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>185MDRG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51249</Unique_No>
    <SCHEME_CODE>KO1286-GR</SCHEME_CODE>
    <RTA_x0020_Code>1286</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K1286</AMC_SCHEME_CODE>
    <ISIN>INF174KA1ZH4</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK MULTI FACTOR PASSIVE FOF - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T3</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-23T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-23T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K1286</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51250</Unique_No>
    <SCHEME_CODE>KO1286D-GR</SCHEME_CODE>
    <RTA_x0020_Code>1286D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K1286D</AMC_SCHEME_CODE>
    <ISIN>INF174KA1ZG6</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK MULTI FACTOR PASSIVE FOF - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T3</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-23T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-23T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K1286D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51251</Unique_No>
    <SCHEME_CODE>HDIPDGR-GR</SCHEME_CODE>
    <RTA_x0020_Code>IPDGR</RTA_x0020_Code>
    <AMC_SCHEME_CODE>IPDGR</AMC_SCHEME_CODE>
    <ISIN>INF179KC1KE6</ISIN>
    <AMC_CODE1>HDFCMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>HDFC INCOME PLUS ARBITRAGE OMNI FOF - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-18T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-18T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>50</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>HIPDGR</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51252</Unique_No>
    <SCHEME_CODE>HDIPDDP-DP</SCHEME_CODE>
    <RTA_x0020_Code>IPDDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>IPDDP</AMC_SCHEME_CODE>
    <ISIN>INF179KC1KF3</ISIN>
    <AMC_CODE1>HDFCMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>HDFC INCOME PLUS ARBITRAGE OMNI FOF - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-18T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-18T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>50</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>HIPDDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51253</Unique_No>
    <SCHEME_CODE>HDIPDDR-DR</SCHEME_CODE>
    <RTA_x0020_Code>IPDDR</RTA_x0020_Code>
    <AMC_SCHEME_CODE>IPDDR</AMC_SCHEME_CODE>
    <ISIN>INF179KC1KG1</ISIN>
    <AMC_CODE1>HDFCMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>HDFC INCOME PLUS ARBITRAGE OMNI FOF - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-18T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-18T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>50</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>HIPDDR</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51254</Unique_No>
    <SCHEME_CODE>HDIPRGR-GR</SCHEME_CODE>
    <RTA_x0020_Code>IPRGR</RTA_x0020_Code>
    <AMC_SCHEME_CODE>IPRGR</AMC_SCHEME_CODE>
    <ISIN>INF179KC1KB2</ISIN>
    <AMC_CODE1>HDFCMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>HDFC INCOME PLUS ARBITRAGE OMNI FOF - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-18T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-18T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>50</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>HIPRGR</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51255</Unique_No>
    <SCHEME_CODE>HDIPRDP-DP</SCHEME_CODE>
    <RTA_x0020_Code>IPRDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>IPRDP</AMC_SCHEME_CODE>
    <ISIN>INF179KC1KC0</ISIN>
    <AMC_CODE1>HDFCMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>HDFC INCOME PLUS ARBITRAGE OMNI FOF - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-18T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-18T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>50</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>HIPRDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51256</Unique_No>
    <SCHEME_CODE>HDIPRDR-DR</SCHEME_CODE>
    <RTA_x0020_Code>IPRDR</RTA_x0020_Code>
    <AMC_SCHEME_CODE>IPRDR</AMC_SCHEME_CODE>
    <ISIN>INF179KC1KD8</ISIN>
    <AMC_CODE1>HDFCMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>HDFC INCOME PLUS ARBITRAGE OMNI FOF - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-18T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-18T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>50</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>HIPRDR</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51257</Unique_No>
    <SCHEME_CODE>HDIPDDP-DR</SCHEME_CODE>
    <RTA_x0020_Code>IPDDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>IPDDP</AMC_SCHEME_CODE>
    <ISIN>INF179KC1KF3</ISIN>
    <AMC_CODE1>HDFCMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>HDFC INCOME PLUS ARBITRAGE OMNI FOF - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-18T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-18T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>50</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>HIPDDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51258</Unique_No>
    <SCHEME_CODE>HDIPRDP-DR</SCHEME_CODE>
    <RTA_x0020_Code>IPRDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>IPRDP</AMC_SCHEME_CODE>
    <ISIN>INF179KC1KC0</ISIN>
    <AMC_CODE1>HDFCMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>HDFC INCOME PLUS ARBITRAGE OMNI FOF - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-18T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-18T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>50</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>HIPRDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51261</Unique_No>
    <SCHEME_CODE>DS2053-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>2053</RTA_x0020_Code>
    <AMC_SCHEME_CODE>2053</AMC_SCHEME_CODE>
    <ISIN>INF740KA1YB5</ISIN>
    <AMC_CODE1>DSP_MF</AMC_CODE1>
    <SCHEME_NAME>DSP MULTI ASSET OMNI FUND OF FUNDS - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-02-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-02-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>D2053</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51262</Unique_No>
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    <Unique_No>51274</Unique_No>
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    <AMC_SCHEME_CODE>FXD2</AMC_SCHEME_CODE>
    <ISIN>INF0S5R01141</ISIN>
    <AMC_CODE1>OLDBRIDGEMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>OLD BRIDGE FLEXI CAP FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.01</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.01</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>139FXD2</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51332</Unique_No>
    <SCHEME_CODE>OBFXD2-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>FXD2</RTA_x0020_Code>
    <AMC_SCHEME_CODE>FXD2</AMC_SCHEME_CODE>
    <ISIN>INF0S5R01158</ISIN>
    <AMC_CODE1>OLDBRIDGEMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>OLD BRIDGE FLEXI CAP FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.01</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.01</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>139FXD2</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51333</Unique_No>
    <SCHEME_CODE>OBFXDP-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>FXDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>FXDP</AMC_SCHEME_CODE>
    <ISIN>INF0S5R01174</ISIN>
    <AMC_CODE1>OLDBRIDGEMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>OLD BRIDGE FLEXI CAP FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.01</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.01</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>139FXDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51334</Unique_No>
    <SCHEME_CODE>OBFXDP-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>FXDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>FXDP</AMC_SCHEME_CODE>
    <ISIN>INF0S5R01182</ISIN>
    <AMC_CODE1>OLDBRIDGEMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>OLD BRIDGE FLEXI CAP FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.01</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.01</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>139FXDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51335</Unique_No>
    <SCHEME_CODE>OBFXGP-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>FXGP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>FXGP</AMC_SCHEME_CODE>
    <ISIN>INF0S5R01166</ISIN>
    <AMC_CODE1>OLDBRIDGEMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>OLD BRIDGE FLEXI CAP FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.01</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.01</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>139FXGP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51336</Unique_No>
    <SCHEME_CODE>WESCDD-DP</SCHEME_CODE>
    <RTA_x0020_Code>SCDD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>SCDDD</AMC_SCHEME_CODE>
    <ISIN>INF2F0001545</ISIN>
    <AMC_CODE1>THEWEALTHCOMPANYMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>THE WEALTH COMPANY SMALL CAP FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>10000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>5000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>174SCDD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51337</Unique_No>
    <SCHEME_CODE>WESCDD-DR</SCHEME_CODE>
    <RTA_x0020_Code>SCDD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>SCDDR</AMC_SCHEME_CODE>
    <ISIN>INF2F0001552</ISIN>
    <AMC_CODE1>THEWEALTHCOMPANYMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>THE WEALTH COMPANY SMALL CAP FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>10000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>5000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>174SCDD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51338</Unique_No>
    <SCHEME_CODE>WESCDG-GR</SCHEME_CODE>
    <RTA_x0020_Code>SCDG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>SCDGG</AMC_SCHEME_CODE>
    <ISIN>INF2F0001537</ISIN>
    <AMC_CODE1>THEWEALTHCOMPANYMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>THE WEALTH COMPANY SMALL CAP FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>10000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>5000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>174SCDG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51339</Unique_No>
    <SCHEME_CODE>WESCRD-DP</SCHEME_CODE>
    <RTA_x0020_Code>SCRD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>SCRDD</AMC_SCHEME_CODE>
    <ISIN>INF2F0001511</ISIN>
    <AMC_CODE1>THEWEALTHCOMPANYMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>THE WEALTH COMPANY SMALL CAP FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>10000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>5000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>174SCRD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51340</Unique_No>
    <SCHEME_CODE>WESCRD-DR</SCHEME_CODE>
    <RTA_x0020_Code>SCRD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>SCRDR</AMC_SCHEME_CODE>
    <ISIN>INF2F0001529</ISIN>
    <AMC_CODE1>THEWEALTHCOMPANYMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>THE WEALTH COMPANY SMALL CAP FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>10000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>5000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>174SCRD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51341</Unique_No>
    <SCHEME_CODE>WESCRG-GR</SCHEME_CODE>
    <RTA_x0020_Code>SCRG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>SCRGG</AMC_SCHEME_CODE>
    <ISIN>INF2F0001503</ISIN>
    <AMC_CODE1>THEWEALTHCOMPANYMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>THE WEALTH COMPANY SMALL CAP FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>10000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>5000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>174SCRG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51342</Unique_No>
    <SCHEME_CODE>RLIHGP-GR</SCHEME_CODE>
    <RTA_x0020_Code>IHGP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>IHGP</AMC_SCHEME_CODE>
    <ISIN>INF204KC1GU9</ISIN>
    <AMC_CODE1>NipponIndiaMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>NIPPON INDIA CRISIL-IBX FINANCIAL SERVICES 3-6 MONTHS DEBT INDEX FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-16T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-16T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>RMFIHGP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51343</Unique_No>
    <SCHEME_CODE>RLIHAD-DP</SCHEME_CODE>
    <RTA_x0020_Code>IHAD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>IHAD</AMC_SCHEME_CODE>
    <ISIN>INF204KC1GY1</ISIN>
    <AMC_CODE1>NipponIndiaMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>NIPPON INDIA CRISIL-IBX FINANCIAL SERVICES 3-6 MONTHS DEBT INDEX FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-16T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-16T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>RMFIHAD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51344</Unique_No>
    <SCHEME_CODE>RLIHAD-DR</SCHEME_CODE>
    <RTA_x0020_Code>IHAD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>IHAD</AMC_SCHEME_CODE>
    <ISIN>INF204KC1GZ8</ISIN>
    <AMC_CODE1>NipponIndiaMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>NIPPON INDIA CRISIL-IBX FINANCIAL SERVICES 3-6 MONTHS DEBT INDEX FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-16T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-16T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>RMFIHAD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51345</Unique_No>
    <SCHEME_CODE>RLIHAG-GR</SCHEME_CODE>
    <RTA_x0020_Code>IHAG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>IHAG</AMC_SCHEME_CODE>
    <ISIN>INF204KC1GX3</ISIN>
    <AMC_CODE1>NipponIndiaMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>NIPPON INDIA CRISIL-IBX FINANCIAL SERVICES 3-6 MONTHS DEBT INDEX FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-16T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-16T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>RMFIHAG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51346</Unique_No>
    <SCHEME_CODE>RLIHDP-DP</SCHEME_CODE>
    <RTA_x0020_Code>IHDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>IHDP</AMC_SCHEME_CODE>
    <ISIN>INF204KC1GV7</ISIN>
    <AMC_CODE1>NipponIndiaMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>NIPPON INDIA CRISIL-IBX FINANCIAL SERVICES 3-6 MONTHS DEBT INDEX FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-16T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-16T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>RMFIHDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51347</Unique_No>
    <SCHEME_CODE>RLIHDP-DR</SCHEME_CODE>
    <RTA_x0020_Code>IHDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>IHDP</AMC_SCHEME_CODE>
    <ISIN>INF204KC1GW5</ISIN>
    <AMC_CODE1>NipponIndiaMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>NIPPON INDIA CRISIL-IBX FINANCIAL SERVICES 3-6 MONTHS DEBT INDEX FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-16T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-16T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>RMFIHDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51348</Unique_No>
    <SCHEME_CODE>RLIYGP-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>IYGP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>IYGP</AMC_SCHEME_CODE>
    <ISIN>INF204KC1GO2</ISIN>
    <AMC_CODE1>NipponIndiaMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>NIPPON INDIA CRISIL-IBX FINANCIAL SERVICES 9-12 MONTHS DEBT INDEX FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-05T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-05T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>RMFIYGP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51349</Unique_No>
    <SCHEME_CODE>RLIYAD-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>IYAD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>IYAD</AMC_SCHEME_CODE>
    <ISIN>INF204KC1GS3</ISIN>
    <AMC_CODE1>NipponIndiaMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>NIPPON INDIA CRISIL-IBX FINANCIAL SERVICES 9-12 MONTHS DEBT INDEX FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-05T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-05T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>RMFIYAD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51350</Unique_No>
    <SCHEME_CODE>RLIYAD-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>IYAD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>IYAD</AMC_SCHEME_CODE>
    <ISIN>INF204KC1GT1</ISIN>
    <AMC_CODE1>NipponIndiaMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>NIPPON INDIA CRISIL-IBX FINANCIAL SERVICES 9-12 MONTHS DEBT INDEX FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-05T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-05T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>RMFIYAD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51351</Unique_No>
    <SCHEME_CODE>RLIYDP-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>IYDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>IYDP</AMC_SCHEME_CODE>
    <ISIN>INF204KC1GP9</ISIN>
    <AMC_CODE1>NipponIndiaMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>NIPPON INDIA CRISIL-IBX FINANCIAL SERVICES 9-12 MONTHS DEBT INDEX FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-05T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-05T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>RMFIYDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51352</Unique_No>
    <SCHEME_CODE>RLIYDP-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>IYDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>IYDP</AMC_SCHEME_CODE>
    <ISIN>INF204KC1GQ7</ISIN>
    <AMC_CODE1>NipponIndiaMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>NIPPON INDIA CRISIL-IBX FINANCIAL SERVICES 9-12 MONTHS DEBT INDEX FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-05T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-05T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>RMFIYDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51353</Unique_No>
    <SCHEME_CODE>RLIYAG-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>IYAG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>IYAG</AMC_SCHEME_CODE>
    <ISIN>INF204KC1GR5</ISIN>
    <AMC_CODE1>NipponIndiaMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>NIPPON INDIA CRISIL-IBX FINANCIAL SERVICES 9-12 MONTHS DEBT INDEX FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-05T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-05T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>RMFIYAG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51354</Unique_No>
    <SCHEME_CODE>MASOD1-GR</SCHEME_CODE>
    <RTA_x0020_Code>SOD1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>SOD1G</AMC_SCHEME_CODE>
    <ISIN>INF769K01QS8</ISIN>
    <AMC_CODE1>MIRAEASSET</AMC_CODE1>
    <SCHEME_NAME>MIRAE ASSET SILVER ETF FOF - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>FOF</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-25T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-25T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>117SOD1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51355</Unique_No>
    <SCHEME_CODE>MASOD2-DP</SCHEME_CODE>
    <RTA_x0020_Code>SOD2</RTA_x0020_Code>
    <AMC_SCHEME_CODE>SOD2D</AMC_SCHEME_CODE>
    <ISIN>INF769K01QU4</ISIN>
    <AMC_CODE1>MIRAEASSET</AMC_CODE1>
    <SCHEME_NAME>MIRAE ASSET SILVER ETF FOF - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>FOF</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-25T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-25T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>117SOD2</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51356</Unique_No>
    <SCHEME_CODE>MASOD2-DR</SCHEME_CODE>
    <RTA_x0020_Code>SOD2</RTA_x0020_Code>
    <AMC_SCHEME_CODE>SOD2R</AMC_SCHEME_CODE>
    <ISIN>INF769K01QT6</ISIN>
    <AMC_CODE1>MIRAEASSET</AMC_CODE1>
    <SCHEME_NAME>MIRAE ASSET SILVER ETF FOF - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>FOF</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-25T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-25T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>117SOD2</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51357</Unique_No>
    <SCHEME_CODE>MASORG-GR</SCHEME_CODE>
    <RTA_x0020_Code>SORG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>SORGG</AMC_SCHEME_CODE>
    <ISIN>INF769K01QP4</ISIN>
    <AMC_CODE1>MIRAEASSET</AMC_CODE1>
    <SCHEME_NAME>MIRAE ASSET SILVER ETF FOF - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>FOF</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-25T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-25T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>117SORG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51358</Unique_No>
    <SCHEME_CODE>MASORD-DP</SCHEME_CODE>
    <RTA_x0020_Code>SORD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>SORDD</AMC_SCHEME_CODE>
    <ISIN>INF769K01QR0</ISIN>
    <AMC_CODE1>MIRAEASSET</AMC_CODE1>
    <SCHEME_NAME>MIRAE ASSET SILVER ETF FOF - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>FOF</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-25T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-25T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>117SORD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51359</Unique_No>
    <SCHEME_CODE>MASORD-DR</SCHEME_CODE>
    <RTA_x0020_Code>SORD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>SORDR</AMC_SCHEME_CODE>
    <ISIN>INF769K01QQ2</ISIN>
    <AMC_CODE1>MIRAEASSET</AMC_CODE1>
    <SCHEME_NAME>MIRAE ASSET SILVER ETF FOF - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>FOF</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-25T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-25T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>117SORD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51360</Unique_No>
    <SCHEME_CODE>BNSDB02R-DR</SCHEME_CODE>
    <RTA_x0020_Code>DB02R</RTA_x0020_Code>
    <AMC_SCHEME_CODE>DB02R</AMC_SCHEME_CODE>
    <ISIN>INF194K30614</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARUDHA EQUITY LONG SHORT FUND - DIRECT PLAN - DAILY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSDB02R</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51361</Unique_No>
    <SCHEME_CODE>BNSDB03R-DR</SCHEME_CODE>
    <RTA_x0020_Code>DB03R</RTA_x0020_Code>
    <AMC_SCHEME_CODE>DB03R</AMC_SCHEME_CODE>
    <ISIN>INF194K30622</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARUDHA EQUITY LONG SHORT FUND - DIRECT PLAN - WEEKLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSDB03R</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51362</Unique_No>
    <SCHEME_CODE>BNSDB04R-DR</SCHEME_CODE>
    <RTA_x0020_Code>DB04R</RTA_x0020_Code>
    <AMC_SCHEME_CODE>DB04R</AMC_SCHEME_CODE>
    <ISIN>INF194K30630</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARUDHA EQUITY LONG SHORT FUND - DIRECT PLAN - FORTNIGHTLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSDB04R</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51363</Unique_No>
    <SCHEME_CODE>BNSDB05R-DR</SCHEME_CODE>
    <RTA_x0020_Code>DB05R</RTA_x0020_Code>
    <AMC_SCHEME_CODE>DB05R</AMC_SCHEME_CODE>
    <ISIN>INF194K30648</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARUDHA EQUITY LONG SHORT FUND - DIRECT PLAN - MONTHLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSDB05R</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51364</Unique_No>
    <SCHEME_CODE>BNSDB06R-DR</SCHEME_CODE>
    <RTA_x0020_Code>DB06R</RTA_x0020_Code>
    <AMC_SCHEME_CODE>DB06R</AMC_SCHEME_CODE>
    <ISIN>INF194K30655</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARUDHA EQUITY LONG SHORT FUND - DIRECT PLAN - QUARTERLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSDB06R</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51365</Unique_No>
    <SCHEME_CODE>BNSDB07R-DR</SCHEME_CODE>
    <RTA_x0020_Code>DB07R</RTA_x0020_Code>
    <AMC_SCHEME_CODE>DB07R</AMC_SCHEME_CODE>
    <ISIN>INF194K30663</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARUDHA EQUITY LONG SHORT FUND - DIRECT PLAN - HALF YEARLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
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    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSDB07R</CHA_PAT_Cod>
  </BSEFundMast>
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    <Unique_No>51366</Unique_No>
    <SCHEME_CODE>BNSDB08R-DR</SCHEME_CODE>
    <RTA_x0020_Code>DB08R</RTA_x0020_Code>
    <AMC_SCHEME_CODE>DB08R</AMC_SCHEME_CODE>
    <ISIN>INF194K30671</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARUDHA EQUITY LONG SHORT FUND - DIRECT PLAN - ANNUAL IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
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    <RED_AMT_MUL>0.01</RED_AMT_MUL>
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    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSDB08R</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51367</Unique_No>
    <SCHEME_CODE>BNSDB09R-DR</SCHEME_CODE>
    <RTA_x0020_Code>DB09R</RTA_x0020_Code>
    <AMC_SCHEME_CODE>DB09R</AMC_SCHEME_CODE>
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    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARUDHA EQUITY LONG SHORT FUND - DIRECT PLAN - PERIODIC IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSDB09R</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51368</Unique_No>
    <SCHEME_CODE>BNSB02-DR</SCHEME_CODE>
    <RTA_x0020_Code>B02</RTA_x0020_Code>
    <AMC_SCHEME_CODE>B02</AMC_SCHEME_CODE>
    <ISIN>INF194K30366</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARUDHA EQUITY LONG SHORT FUND - REGULAR PLAN - DAILY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSB02</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51369</Unique_No>
    <SCHEME_CODE>BNSB03-DR</SCHEME_CODE>
    <RTA_x0020_Code>B03</RTA_x0020_Code>
    <AMC_SCHEME_CODE>B03</AMC_SCHEME_CODE>
    <ISIN>INF194K30374</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARUDHA EQUITY LONG SHORT FUND - REGULAR PLAN - WEEKLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSB03</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51370</Unique_No>
    <SCHEME_CODE>BNSB04-DR</SCHEME_CODE>
    <RTA_x0020_Code>B04</RTA_x0020_Code>
    <AMC_SCHEME_CODE>B04</AMC_SCHEME_CODE>
    <ISIN>INF194K30382</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARUDHA EQUITY LONG SHORT FUND - REGULAR PLAN - FORTNIGHTLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSB04</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51371</Unique_No>
    <SCHEME_CODE>BNSB05-DR</SCHEME_CODE>
    <RTA_x0020_Code>B05</RTA_x0020_Code>
    <AMC_SCHEME_CODE>B05</AMC_SCHEME_CODE>
    <ISIN>INF194K30390</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARUDHA EQUITY LONG SHORT FUND - REGULAR PLAN - MONTHLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSB05</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51372</Unique_No>
    <SCHEME_CODE>BNSB06-DR</SCHEME_CODE>
    <RTA_x0020_Code>B06</RTA_x0020_Code>
    <AMC_SCHEME_CODE>B06</AMC_SCHEME_CODE>
    <ISIN>INF194K30408</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARUDHA EQUITY LONG SHORT FUND - REGULAR PLAN - QUARTERLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSB06</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51373</Unique_No>
    <SCHEME_CODE>BNSDB05-DP</SCHEME_CODE>
    <RTA_x0020_Code>DB05</RTA_x0020_Code>
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    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARUDHA EQUITY LONG SHORT FUND - DIRECT PLAN - MONTHLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSDB05</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51374</Unique_No>
    <SCHEME_CODE>BNSDB06-DP</SCHEME_CODE>
    <RTA_x0020_Code>DB06</RTA_x0020_Code>
    <AMC_SCHEME_CODE>DB06</AMC_SCHEME_CODE>
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    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARUDHA EQUITY LONG SHORT FUND - DIRECT PLAN - QUARTERLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
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    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSDB06</CHA_PAT_Cod>
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    <Unique_No>51375</Unique_No>
    <SCHEME_CODE>BNSDB07-DP</SCHEME_CODE>
    <RTA_x0020_Code>DB07</RTA_x0020_Code>
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    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARUDHA EQUITY LONG SHORT FUND - DIRECT PLAN - HALF YEARLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <CHA_PAT_Cod>GSDB07</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51376</Unique_No>
    <SCHEME_CODE>BNSDB08-DP</SCHEME_CODE>
    <RTA_x0020_Code>DB08</RTA_x0020_Code>
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    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
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    <STP>N</STP>
    <TAT>T2</TAT>
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    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSDB08</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51377</Unique_No>
    <SCHEME_CODE>BNSDB09-DP</SCHEME_CODE>
    <RTA_x0020_Code>DB09</RTA_x0020_Code>
    <AMC_SCHEME_CODE>DB09</AMC_SCHEME_CODE>
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    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARUDHA EQUITY LONG SHORT FUND - DIRECT PLAN - PERIODIC IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <SCHEMETYPE>EQUITY</SCHEMETYPE>
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    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSDB09</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51378</Unique_No>
    <SCHEME_CODE>BNSB02R-DR</SCHEME_CODE>
    <RTA_x0020_Code>B02R</RTA_x0020_Code>
    <AMC_SCHEME_CODE>B02R</AMC_SCHEME_CODE>
    <ISIN>INF194K30440</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARUDHA EQUITY LONG SHORT FUND - REGULAR PLAN - DAILY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSB02R</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51379</Unique_No>
    <SCHEME_CODE>BNSB03R-DR</SCHEME_CODE>
    <RTA_x0020_Code>B03R</RTA_x0020_Code>
    <AMC_SCHEME_CODE>B03R</AMC_SCHEME_CODE>
    <ISIN>INF194K30457</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARUDHA EQUITY LONG SHORT FUND - REGULAR PLAN - WEEKLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
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    <SCHEMETYPE>EQUITY</SCHEMETYPE>
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    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSB03R</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51380</Unique_No>
    <SCHEME_CODE>BNSB04R-DR</SCHEME_CODE>
    <RTA_x0020_Code>B04R</RTA_x0020_Code>
    <AMC_SCHEME_CODE>B04R</AMC_SCHEME_CODE>
    <ISIN>INF194K30465</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARUDHA EQUITY LONG SHORT FUND - REGULAR PLAN - FORTNIGHTLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSB04R</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51381</Unique_No>
    <SCHEME_CODE>BNSB05R-DR</SCHEME_CODE>
    <RTA_x0020_Code>B05R</RTA_x0020_Code>
    <AMC_SCHEME_CODE>B05R</AMC_SCHEME_CODE>
    <ISIN>INF194K30473</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARUDHA EQUITY LONG SHORT FUND - REGULAR PLAN - MONTHLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSB05R</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51382</Unique_No>
    <SCHEME_CODE>BNSB06R-DR</SCHEME_CODE>
    <RTA_x0020_Code>B06R</RTA_x0020_Code>
    <AMC_SCHEME_CODE>B06R</AMC_SCHEME_CODE>
    <ISIN>INF194K30481</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARUDHA EQUITY LONG SHORT FUND - REGULAR PLAN - QUARTERLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSB06R</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51383</Unique_No>
    <SCHEME_CODE>BNSB07R-DR</SCHEME_CODE>
    <RTA_x0020_Code>B07R</RTA_x0020_Code>
    <AMC_SCHEME_CODE>B07R</AMC_SCHEME_CODE>
    <ISIN>INF194K30499</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARUDHA EQUITY LONG SHORT FUND - REGULAR PLAN - HALF YEARLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <STP>N</STP>
    <TAT>T2</TAT>
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    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
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    <CHA_PAT_Cod>GSB07R</CHA_PAT_Cod>
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    <Unique_No>51384</Unique_No>
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    <SCHEME_NAME>ARUDHA EQUITY LONG SHORT FUND - REGULAR PLAN - ANNUAL IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
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    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
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    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
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    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <AMC_IND />
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    <LOC_Flag>N</LOC_Flag>
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  <BSEFundMast>
    <Unique_No>51385</Unique_No>
    <SCHEME_CODE>BNSB09R-DR</SCHEME_CODE>
    <RTA_x0020_Code>B09R</RTA_x0020_Code>
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    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
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    <STP>N</STP>
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    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSB09R</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51386</Unique_No>
    <SCHEME_CODE>BNSB01-GR</SCHEME_CODE>
    <RTA_x0020_Code>B01</RTA_x0020_Code>
    <AMC_SCHEME_CODE>B01</AMC_SCHEME_CODE>
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    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
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    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSB01</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51387</Unique_No>
    <SCHEME_CODE>BNSDB01-GR</SCHEME_CODE>
    <RTA_x0020_Code>DB01</RTA_x0020_Code>
    <AMC_SCHEME_CODE>DB01</AMC_SCHEME_CODE>
    <ISIN>INF194K30523</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARUDHA EQUITY LONG SHORT FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSDB01</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51388</Unique_No>
    <SCHEME_CODE>BNSB02-DP</SCHEME_CODE>
    <RTA_x0020_Code>B02</RTA_x0020_Code>
    <AMC_SCHEME_CODE>B02</AMC_SCHEME_CODE>
    <ISIN>INF194K30366</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARUDHA EQUITY LONG SHORT FUND - REGULAR PLAN - DAILY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSB02</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51389</Unique_No>
    <SCHEME_CODE>BNSB03-DP</SCHEME_CODE>
    <RTA_x0020_Code>B03</RTA_x0020_Code>
    <AMC_SCHEME_CODE>B03</AMC_SCHEME_CODE>
    <ISIN>INF194K30374</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARUDHA EQUITY LONG SHORT FUND - REGULAR PLAN - WEEKLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSB03</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51390</Unique_No>
    <SCHEME_CODE>BNSB04-DP</SCHEME_CODE>
    <RTA_x0020_Code>B04</RTA_x0020_Code>
    <AMC_SCHEME_CODE>B04</AMC_SCHEME_CODE>
    <ISIN>INF194K30382</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARUDHA EQUITY LONG SHORT FUND - REGULAR PLAN - FORTNIGHTLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSB04</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51391</Unique_No>
    <SCHEME_CODE>BNSB05-DP</SCHEME_CODE>
    <RTA_x0020_Code>B05</RTA_x0020_Code>
    <AMC_SCHEME_CODE>B05</AMC_SCHEME_CODE>
    <ISIN>INF194K30390</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARUDHA EQUITY LONG SHORT FUND - REGULAR PLAN - MONTHLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
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    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSB05</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51392</Unique_No>
    <SCHEME_CODE>BNSB06-DP</SCHEME_CODE>
    <RTA_x0020_Code>B06</RTA_x0020_Code>
    <AMC_SCHEME_CODE>B06</AMC_SCHEME_CODE>
    <ISIN>INF194K30408</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARUDHA EQUITY LONG SHORT FUND - REGULAR PLAN - QUARTERLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
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    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSB06</CHA_PAT_Cod>
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    <Unique_No>51393</Unique_No>
    <SCHEME_CODE>BNSB07-DP</SCHEME_CODE>
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    <AMC_SCHEME_CODE>B07</AMC_SCHEME_CODE>
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    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARUDHA EQUITY LONG SHORT FUND - REGULAR PLAN - HALF YEARLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
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    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
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    <SWP>Y</SWP>
    <STP>N</STP>
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    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSB07</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51394</Unique_No>
    <SCHEME_CODE>BNSB08-DP</SCHEME_CODE>
    <RTA_x0020_Code>B08</RTA_x0020_Code>
    <AMC_SCHEME_CODE>B08</AMC_SCHEME_CODE>
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    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <PUR_ALLOWED>Y</PUR_ALLOWED>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
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    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
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    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSB08</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51395</Unique_No>
    <SCHEME_CODE>BNSB09-DP</SCHEME_CODE>
    <RTA_x0020_Code>B09</RTA_x0020_Code>
    <AMC_SCHEME_CODE>B09</AMC_SCHEME_CODE>
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    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARUDHA EQUITY LONG SHORT FUND - REGULAR PLAN - PERIODIC IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSB09</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51396</Unique_No>
    <SCHEME_CODE>BNSDB02-DP</SCHEME_CODE>
    <RTA_x0020_Code>DB02</RTA_x0020_Code>
    <AMC_SCHEME_CODE>DB02</AMC_SCHEME_CODE>
    <ISIN>INF194K30531</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARUDHA EQUITY LONG SHORT FUND - DIRECT PLAN - DAILY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSDB02</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51397</Unique_No>
    <SCHEME_CODE>BNSDB03-DP</SCHEME_CODE>
    <RTA_x0020_Code>DB03</RTA_x0020_Code>
    <AMC_SCHEME_CODE>DB03</AMC_SCHEME_CODE>
    <ISIN>INF194K30549</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARUDHA EQUITY LONG SHORT FUND - DIRECT PLAN - WEEKLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSDB03</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51398</Unique_No>
    <SCHEME_CODE>BNSDB04-DP</SCHEME_CODE>
    <RTA_x0020_Code>DB04</RTA_x0020_Code>
    <AMC_SCHEME_CODE>DB04</AMC_SCHEME_CODE>
    <ISIN>INF194K30556</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARUDHA EQUITY LONG SHORT FUND - DIRECT PLAN - FORTNIGHTLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSDB04</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51399</Unique_No>
    <SCHEME_CODE>BNSB07-DR</SCHEME_CODE>
    <RTA_x0020_Code>B07</RTA_x0020_Code>
    <AMC_SCHEME_CODE>B07</AMC_SCHEME_CODE>
    <ISIN>INF194K30416</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARUDHA EQUITY LONG SHORT FUND - REGULAR PLAN - HALF YEARLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSB07</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51400</Unique_No>
    <SCHEME_CODE>BNSB08-DR</SCHEME_CODE>
    <RTA_x0020_Code>B08</RTA_x0020_Code>
    <AMC_SCHEME_CODE>B08</AMC_SCHEME_CODE>
    <ISIN>INF194K30424</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARUDHA EQUITY LONG SHORT FUND - REGULAR PLAN - ANNUAL IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSB08</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51401</Unique_No>
    <SCHEME_CODE>BNSB09-DR</SCHEME_CODE>
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    <AMC_SCHEME_CODE>B09</AMC_SCHEME_CODE>
    <ISIN>INF194K30432</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARUDHA EQUITY LONG SHORT FUND - REGULAR PLAN - PERIODIC IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
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    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSB09</CHA_PAT_Cod>
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    <Unique_No>51402</Unique_No>
    <SCHEME_CODE>BNSDB02-DR</SCHEME_CODE>
    <RTA_x0020_Code>DB02</RTA_x0020_Code>
    <AMC_SCHEME_CODE>DB02</AMC_SCHEME_CODE>
    <ISIN>INF194K30531</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARUDHA EQUITY LONG SHORT FUND - DIRECT PLAN - DAILY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSDB02</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51403</Unique_No>
    <SCHEME_CODE>BNSDB03-DR</SCHEME_CODE>
    <RTA_x0020_Code>DB03</RTA_x0020_Code>
    <AMC_SCHEME_CODE>DB03</AMC_SCHEME_CODE>
    <ISIN>INF194K30549</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARUDHA EQUITY LONG SHORT FUND - DIRECT PLAN - WEEKLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSDB03</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51404</Unique_No>
    <SCHEME_CODE>BNSDB04-DR</SCHEME_CODE>
    <RTA_x0020_Code>DB04</RTA_x0020_Code>
    <AMC_SCHEME_CODE>DB04</AMC_SCHEME_CODE>
    <ISIN>INF194K30556</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARUDHA EQUITY LONG SHORT FUND - DIRECT PLAN - FORTNIGHTLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSDB04</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51405</Unique_No>
    <SCHEME_CODE>BNSDB05-DR</SCHEME_CODE>
    <RTA_x0020_Code>DB05</RTA_x0020_Code>
    <AMC_SCHEME_CODE>DB05</AMC_SCHEME_CODE>
    <ISIN>INF194K30564</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARUDHA EQUITY LONG SHORT FUND - DIRECT PLAN - MONTHLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSDB05</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51406</Unique_No>
    <SCHEME_CODE>BNSDB06-DR</SCHEME_CODE>
    <RTA_x0020_Code>DB06</RTA_x0020_Code>
    <AMC_SCHEME_CODE>DB06</AMC_SCHEME_CODE>
    <ISIN>INF194K30572</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARUDHA EQUITY LONG SHORT FUND - DIRECT PLAN - QUARTERLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSDB06</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51407</Unique_No>
    <SCHEME_CODE>BNSDB07-DR</SCHEME_CODE>
    <RTA_x0020_Code>DB07</RTA_x0020_Code>
    <AMC_SCHEME_CODE>DB07</AMC_SCHEME_CODE>
    <ISIN>INF194K30580</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARUDHA EQUITY LONG SHORT FUND - DIRECT PLAN - HALF YEARLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSDB07</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51408</Unique_No>
    <SCHEME_CODE>BNSDB08-DR</SCHEME_CODE>
    <RTA_x0020_Code>DB08</RTA_x0020_Code>
    <AMC_SCHEME_CODE>DB08</AMC_SCHEME_CODE>
    <ISIN>INF194K30598</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARUDHA EQUITY LONG SHORT FUND - DIRECT PLAN - ANNUAL IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSDB08</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51409</Unique_No>
    <SCHEME_CODE>BNSDB09-DR</SCHEME_CODE>
    <RTA_x0020_Code>DB09</RTA_x0020_Code>
    <AMC_SCHEME_CODE>DB09</AMC_SCHEME_CODE>
    <ISIN>INF194K30606</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARUDHA EQUITY LONG SHORT FUND - DIRECT PLAN - PERIODIC IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GSDB09</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51410</Unique_No>
    <SCHEME_CODE>ABS2000A-DP</SCHEME_CODE>
    <RTA_x0020_Code>2000A</RTA_x0020_Code>
    <AMC_SCHEME_CODE>2000A</AMC_SCHEME_CODE>
    <ISIN>INF209K30057</ISIN>
    <AMC_CODE1>BIRLASUNLIFEMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>APEX HYBRID LONG-SHORT FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>HYBRID (NC)</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>BS2000A</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51411</Unique_No>
    <SCHEME_CODE>ABS2000B-GR</SCHEME_CODE>
    <RTA_x0020_Code>2000B</RTA_x0020_Code>
    <AMC_SCHEME_CODE>2000B</AMC_SCHEME_CODE>
    <ISIN>INF209K30040</ISIN>
    <AMC_CODE1>BIRLASUNLIFEMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>APEX HYBRID LONG-SHORT FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>HYBRID (NC)</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>BS2000B</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51412</Unique_No>
    <SCHEME_CODE>ABS2000C-DR</SCHEME_CODE>
    <RTA_x0020_Code>2000C</RTA_x0020_Code>
    <AMC_SCHEME_CODE>2000C</AMC_SCHEME_CODE>
    <ISIN>INF209K30065</ISIN>
    <AMC_CODE1>BIRLASUNLIFEMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>APEX HYBRID LONG-SHORT FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>HYBRID (NC)</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>BS2000C</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51413</Unique_No>
    <SCHEME_CODE>ABS2000X-DP</SCHEME_CODE>
    <RTA_x0020_Code>2000X</RTA_x0020_Code>
    <AMC_SCHEME_CODE>2000X</AMC_SCHEME_CODE>
    <ISIN>INF209K30024</ISIN>
    <AMC_CODE1>BIRLASUNLIFEMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>APEX HYBRID LONG-SHORT FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>HYBRID (NC)</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>BS2000X</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51414</Unique_No>
    <SCHEME_CODE>ABS2000Y-GR</SCHEME_CODE>
    <RTA_x0020_Code>2000Y</RTA_x0020_Code>
    <AMC_SCHEME_CODE>2000Y</AMC_SCHEME_CODE>
    <ISIN>INF209K30016</ISIN>
    <AMC_CODE1>BIRLASUNLIFEMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>APEX HYBRID LONG-SHORT FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>HYBRID (NC)</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>BS2000Y</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51415</Unique_No>
    <SCHEME_CODE>ABS2000Z-DR</SCHEME_CODE>
    <RTA_x0020_Code>2000Z</RTA_x0020_Code>
    <AMC_SCHEME_CODE>2000Z</AMC_SCHEME_CODE>
    <ISIN>INF209K30032</ISIN>
    <AMC_CODE1>BIRLASUNLIFEMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>APEX HYBRID LONG-SHORT FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>HYBRID (NC)</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>BS2000Z</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51416</Unique_No>
    <SCHEME_CODE>ABS2000A-DR</SCHEME_CODE>
    <RTA_x0020_Code>2000A</RTA_x0020_Code>
    <AMC_SCHEME_CODE>2000A</AMC_SCHEME_CODE>
    <ISIN>INF209K30057</ISIN>
    <AMC_CODE1>BIRLASUNLIFEMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>APEX HYBRID LONG-SHORT FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>HYBRID (NC)</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>BS2000A</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51417</Unique_No>
    <SCHEME_CODE>ABS2000X-DR</SCHEME_CODE>
    <RTA_x0020_Code>2000X</RTA_x0020_Code>
    <AMC_SCHEME_CODE>2000X</AMC_SCHEME_CODE>
    <ISIN>INF209K30024</ISIN>
    <AMC_CODE1>BIRLASUNLIFEMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>APEX HYBRID LONG-SHORT FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>HYBRID (NC)</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>BS2000X</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51418</Unique_No>
    <SCHEME_CODE>BPEBRG-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>EBRG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>EBRGG</AMC_SCHEME_CODE>
    <ISIN>INF251K01VM0</ISIN>
    <AMC_CODE1>BARODABNPPARIBASMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>BARODA BNP PARIBAS ESG BEST-IN-CLASS STRATEGY FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-06T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-06T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>178EBRG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51419</Unique_No>
    <SCHEME_CODE>BPEBRD-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>EBRD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>EBRDD</AMC_SCHEME_CODE>
    <ISIN>INF251K01VN8</ISIN>
    <AMC_CODE1>BARODABNPPARIBASMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>BARODA BNP PARIBAS ESG BEST-IN-CLASS STRATEGY FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-06T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-06T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>178EBRD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51420</Unique_No>
    <SCHEME_CODE>BPEBRD-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>EBRD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>EBRDR</AMC_SCHEME_CODE>
    <ISIN>INF251K01VO6</ISIN>
    <AMC_CODE1>BARODABNPPARIBASMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>BARODA BNP PARIBAS ESG BEST-IN-CLASS STRATEGY FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-06T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-06T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>178EBRD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51421</Unique_No>
    <SCHEME_CODE>BPEBDG-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>EBDG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>EBDGG</AMC_SCHEME_CODE>
    <ISIN>INF251K01VP3</ISIN>
    <AMC_CODE1>BARODABNPPARIBASMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>BARODA BNP PARIBAS ESG BEST-IN-CLASS STRATEGY FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-06T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-06T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>178EBDG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51422</Unique_No>
    <SCHEME_CODE>BPEBDD-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>EBDD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>EBDDD</AMC_SCHEME_CODE>
    <ISIN>INF251K01VQ1</ISIN>
    <AMC_CODE1>BARODABNPPARIBASMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>BARODA BNP PARIBAS ESG BEST-IN-CLASS STRATEGY FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-06T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-06T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>178EBDD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51423</Unique_No>
    <SCHEME_CODE>BPEBDD-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>EBDD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>EBDDR</AMC_SCHEME_CODE>
    <ISIN>INF251K01VR9</ISIN>
    <AMC_CODE1>BARODABNPPARIBASMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>BARODA BNP PARIBAS ESG BEST-IN-CLASS STRATEGY FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-06T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-06T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>178EBDD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51424</Unique_No>
    <SCHEME_CODE>EDGLD1-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>GLD1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>GLD1</AMC_SCHEME_CODE>
    <ISIN>INF754K01WP4</ISIN>
    <AMC_CODE1>EDELWEISSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>EDELWEISS GOLD ETF FOF - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-06T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-06T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>118GLD1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51425</Unique_No>
    <SCHEME_CODE>EDGLRG-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>GLRG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>GLRG</AMC_SCHEME_CODE>
    <ISIN>INF754K01WQ2</ISIN>
    <AMC_CODE1>EDELWEISSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>EDELWEISS GOLD ETF FOF - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-06T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-06T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>118GLRG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51426</Unique_No>
    <SCHEME_CODE>KO1287-GR</SCHEME_CODE>
    <RTA_x0020_Code>1287</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K1287</AMC_SCHEME_CODE>
    <ISIN>INF174KA1ZL6</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK QUALITY OVERSEAS EQUITY OMNI FOF - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>100000</PUR_AMT_MAX>
    <PUR_ALLOWED>N</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T6</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K1287</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51427</Unique_No>
    <SCHEME_CODE>KO1288-DR</SCHEME_CODE>
    <RTA_x0020_Code>1288</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K1288</AMC_SCHEME_CODE>
    <ISIN>INF174KA1ZN2</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK QUALITY OVERSEAS EQUITY OMNI FOF - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>100000</PUR_AMT_MAX>
    <PUR_ALLOWED>N</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T6</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K1288</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51428</Unique_No>
    <SCHEME_CODE>KO1287D-GR</SCHEME_CODE>
    <RTA_x0020_Code>1287D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K1287D</AMC_SCHEME_CODE>
    <ISIN>INF174KA1ZI2</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK QUALITY OVERSEAS EQUITY OMNI FOF - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>100000</PUR_AMT_MAX>
    <PUR_ALLOWED>N</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T6</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K1287D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51429</Unique_No>
    <SCHEME_CODE>KO1288D-DR</SCHEME_CODE>
    <RTA_x0020_Code>1288D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K1288D</AMC_SCHEME_CODE>
    <ISIN>INF174KA1ZK8</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK QUALITY OVERSEAS EQUITY OMNI FOF - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>100000</PUR_AMT_MAX>
    <PUR_ALLOWED>N</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T6</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K1288D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51430</Unique_No>
    <SCHEME_CODE>KO128P8-DP</SCHEME_CODE>
    <RTA_x0020_Code>128P8</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K128P8</AMC_SCHEME_CODE>
    <ISIN>INF174KA1ZM4</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK QUALITY OVERSEAS EQUITY OMNI FOF - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>100000</PUR_AMT_MAX>
    <PUR_ALLOWED>N</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T6</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K128P8</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51431</Unique_No>
    <SCHEME_CODE>KO128D8-DP</SCHEME_CODE>
    <RTA_x0020_Code>128D8</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K128D8</AMC_SCHEME_CODE>
    <ISIN>INF174KA1ZJ0</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK QUALITY OVERSEAS EQUITY OMNI FOF - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>100000</PUR_AMT_MAX>
    <PUR_ALLOWED>N</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T6</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K128D8</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51432</Unique_No>
    <SCHEME_CODE>KO1288-DP</SCHEME_CODE>
    <RTA_x0020_Code>1288</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K1288</AMC_SCHEME_CODE>
    <ISIN>INF174KA1ZN2</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK QUALITY OVERSEAS EQUITY OMNI FOF - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>100000</PUR_AMT_MAX>
    <PUR_ALLOWED>N</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T6</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K1288</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51433</Unique_No>
    <SCHEME_CODE>KO1288D-DP</SCHEME_CODE>
    <RTA_x0020_Code>1288D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K1288D</AMC_SCHEME_CODE>
    <ISIN>INF174KA1ZK8</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK QUALITY OVERSEAS EQUITY OMNI FOF - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>100000</PUR_AMT_MAX>
    <PUR_ALLOWED>N</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T6</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K1288D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51434</Unique_No>
    <SCHEME_CODE>INYIG1-GR</SCHEME_CODE>
    <RTA_x0020_Code>YIG1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>YIG1G</AMC_SCHEME_CODE>
    <ISIN>INF666M01OH0</ISIN>
    <AMC_CODE1>GROWWMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>GROWW NIFTY PSU BANK INDEX FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125YIG1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51435</Unique_No>
    <SCHEME_CODE>INYID1-DP</SCHEME_CODE>
    <RTA_x0020_Code>YID1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>YID1D</AMC_SCHEME_CODE>
    <ISIN>INF666M01OI8</ISIN>
    <AMC_CODE1>GROWWMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>GROWW NIFTY PSU BANK INDEX FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>N</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125YID1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51436</Unique_No>
    <SCHEME_CODE>INYID1-DR</SCHEME_CODE>
    <RTA_x0020_Code>YID1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>YID1R</AMC_SCHEME_CODE>
    <ISIN>INF666M01OJ6</ISIN>
    <AMC_CODE1>GROWWMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>GROWW NIFTY PSU BANK INDEX FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>N</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125YID1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51437</Unique_No>
    <SCHEME_CODE>INYIGP-GR</SCHEME_CODE>
    <RTA_x0020_Code>YIGP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>YIGPG</AMC_SCHEME_CODE>
    <ISIN>INF666M01OK4</ISIN>
    <AMC_CODE1>GROWWMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>GROWW NIFTY PSU BANK INDEX FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125YIGP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51438</Unique_No>
    <SCHEME_CODE>INYIDP-DP</SCHEME_CODE>
    <RTA_x0020_Code>YIDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>YIDPD</AMC_SCHEME_CODE>
    <ISIN>INF666M01OL2</ISIN>
    <AMC_CODE1>GROWWMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>GROWW NIFTY PSU BANK INDEX FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>N</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125YIDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51439</Unique_No>
    <SCHEME_CODE>INYIDP-DR</SCHEME_CODE>
    <RTA_x0020_Code>YIDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>YIDPR</AMC_SCHEME_CODE>
    <ISIN>INF666M01OM0</ISIN>
    <AMC_CODE1>GROWWMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>GROWW NIFTY PSU BANK INDEX FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>N</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125YIDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51440</Unique_No>
    <SCHEME_CODE>TOSALSRG-GR</SCHEME_CODE>
    <RTA_x0020_Code>ALSRG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>ALSRG</AMC_SCHEME_CODE>
    <ISIN>INF579M30075</ISIN>
    <AMC_CODE1>360_ONE_MUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>DYNASIF ACTIVE ASSET ALLOCATOR LONG-SHORT FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>20000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>HYBRID (C)</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>0.01</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>IFSALSRG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51441</Unique_No>
    <SCHEME_CODE>TOSALSRP-DP</SCHEME_CODE>
    <RTA_x0020_Code>ALSRP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>ALSRP</AMC_SCHEME_CODE>
    <ISIN>INF579M30083</ISIN>
    <AMC_CODE1>360_ONE_MUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>DYNASIF ACTIVE ASSET ALLOCATOR LONG-SHORT FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>20000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>HYBRID (C)</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>0.01</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>IFSALSRP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51442</Unique_No>
    <SCHEME_CODE>TOSALSRR-DR</SCHEME_CODE>
    <RTA_x0020_Code>ALSRR</RTA_x0020_Code>
    <AMC_SCHEME_CODE>ALSRR</AMC_SCHEME_CODE>
    <ISIN>INF579M30091</ISIN>
    <AMC_CODE1>360_ONE_MUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>DYNASIF ACTIVE ASSET ALLOCATOR LONG-SHORT FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>20000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>HYBRID (C)</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>0.01</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>IFSALSRR</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51443</Unique_No>
    <SCHEME_CODE>TOSALSDG-GR</SCHEME_CODE>
    <RTA_x0020_Code>ALSDG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>ALSDG</AMC_SCHEME_CODE>
    <ISIN>INF579M30109</ISIN>
    <AMC_CODE1>360_ONE_MUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>DYNASIF ACTIVE ASSET ALLOCATOR LONG-SHORT FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>20000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>HYBRID (C)</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>0.01</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>IFSALSDG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51444</Unique_No>
    <SCHEME_CODE>TOSALSDP-DP</SCHEME_CODE>
    <RTA_x0020_Code>ALSDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>ALSDP</AMC_SCHEME_CODE>
    <ISIN>INF579M30117</ISIN>
    <AMC_CODE1>360_ONE_MUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>DYNASIF ACTIVE ASSET ALLOCATOR LONG-SHORT FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>20000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>HYBRID (C)</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>0.01</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>IFSALSDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51445</Unique_No>
    <SCHEME_CODE>TOSALSDR-DR</SCHEME_CODE>
    <RTA_x0020_Code>ALSDR</RTA_x0020_Code>
    <AMC_SCHEME_CODE>ALSDR</AMC_SCHEME_CODE>
    <ISIN>INF579M30125</ISIN>
    <AMC_CODE1>360_ONE_MUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>DYNASIF ACTIVE ASSET ALLOCATOR LONG-SHORT FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>20000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>HYBRID (C)</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>0.01</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>IFSALSDR</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51448</Unique_No>
    <SCHEME_CODE>INYHG1-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>YHG1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>YHG1G</AMC_SCHEME_CODE>
    <ISIN>INF666M01NX9</ISIN>
    <AMC_CODE1>GROWWMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>GROWW BSE HOSPITALS ETF FOF - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-09T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-09T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125YHG1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51451</Unique_No>
    <SCHEME_CODE>INYHGP-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>YHGP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>YHGPG</AMC_SCHEME_CODE>
    <ISIN>INF666M01OA5</ISIN>
    <AMC_CODE1>GROWWMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>GROWW BSE HOSPITALS ETF FOF - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-09T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-09T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125YHGP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51454</Unique_No>
    <SCHEME_CODE>HOHARRG-GR</SCHEME_CODE>
    <RTA_x0020_Code>HARRG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>HARRG</AMC_SCHEME_CODE>
    <ISIN>INF0R8701418</ISIN>
    <AMC_CODE1>HELIOSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>HELIOS ARBITRAGE FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-23T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-23T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>HLSHARRG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51455</Unique_No>
    <SCHEME_CODE>HOHARRD-DR</SCHEME_CODE>
    <RTA_x0020_Code>HARRD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>HARRD</AMC_SCHEME_CODE>
    <ISIN>INF0R8701434</ISIN>
    <AMC_CODE1>HELIOSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>HELIOS ARBITRAGE FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-23T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-23T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>HLSHARRD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51456</Unique_No>
    <SCHEME_CODE>HOHAFRP-DP</SCHEME_CODE>
    <RTA_x0020_Code>HAFRP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>HAFRP</AMC_SCHEME_CODE>
    <ISIN>INF0R8701426</ISIN>
    <AMC_CODE1>HELIOSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>HELIOS ARBITRAGE FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-23T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-23T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>HLSHAFRP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51457</Unique_No>
    <SCHEME_CODE>HOHARDG-GR</SCHEME_CODE>
    <RTA_x0020_Code>HARDG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>HARDG</AMC_SCHEME_CODE>
    <ISIN>INF0R8701442</ISIN>
    <AMC_CODE1>HELIOSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>HELIOS ARBITRAGE FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-23T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-23T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>HLSHARDG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51458</Unique_No>
    <SCHEME_CODE>HOHARDD-DR</SCHEME_CODE>
    <RTA_x0020_Code>HARDD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>HARDD</AMC_SCHEME_CODE>
    <ISIN>INF0R8701467</ISIN>
    <AMC_CODE1>HELIOSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>HELIOS ARBITRAGE FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-23T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-23T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>HLSHARDD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51459</Unique_No>
    <SCHEME_CODE>HOHARDP-DP</SCHEME_CODE>
    <RTA_x0020_Code>HARDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>HARDP</AMC_SCHEME_CODE>
    <ISIN>INF0R8701459</ISIN>
    <AMC_CODE1>HELIOSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>HELIOS ARBITRAGE FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-23T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-23T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>HLSHARDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51460</Unique_No>
    <SCHEME_CODE>HOHARRD-DP</SCHEME_CODE>
    <RTA_x0020_Code>HARRD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>HARRD</AMC_SCHEME_CODE>
    <ISIN>INF0R8701434</ISIN>
    <AMC_CODE1>HELIOSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>HELIOS ARBITRAGE FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-23T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-23T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>HLSHARRD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51461</Unique_No>
    <SCHEME_CODE>HOHARDD-DP</SCHEME_CODE>
    <RTA_x0020_Code>HARDD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>HARDD</AMC_SCHEME_CODE>
    <ISIN>INF0R8701467</ISIN>
    <AMC_CODE1>HELIOSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>HELIOS ARBITRAGE FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-23T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-23T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>HLSHARDD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51466</Unique_No>
    <SCHEME_CODE>AOSLFRG-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>SLFRG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>SLFRG</AMC_SCHEME_CODE>
    <ISIN>INF1J2R01163</ISIN>
    <AMC_CODE1>ANGELONEMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ANGEL ONE SILVER ETF FOF - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
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    <End_Date>2099-03-06T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <LOC_Flag>N</LOC_Flag>
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    <CHA_PAT_Cod>AOSLFRG</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>51467</Unique_No>
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    <AMC_CODE1>ANGELONEMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ANGEL ONE SILVER ETF FOF - DIRECT PLAN - GROWTH</SCHEME_NAME>
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    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <Start_Date>2026-03-06T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-06T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
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    <AMC_IND />
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>AOSLFDG</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>51474</Unique_No>
    <SCHEME_CODE>ITCBGP-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>CBGP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>CBGPG</AMC_SCHEME_CODE>
    <ISIN>INF00XX01DJ5</ISIN>
    <AMC_CODE1>ITI MUTUAL FUND_MF</AMC_CODE1>
    <SCHEME_NAME>ITI BUSINESS CYCLE FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-12T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-12T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>152CBGP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51475</Unique_No>
    <SCHEME_CODE>ITCBDP-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>CBDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>CBDPD</AMC_SCHEME_CODE>
    <ISIN>INF00XX01DK3</ISIN>
    <AMC_CODE1>ITI MUTUAL FUND_MF</AMC_CODE1>
    <SCHEME_NAME>ITI BUSINESS CYCLE FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
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    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-12T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-12T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>152CBDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51476</Unique_No>
    <SCHEME_CODE>ITCBDP-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>CBDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>CBDPR</AMC_SCHEME_CODE>
    <ISIN>INF00XX01DL1</ISIN>
    <AMC_CODE1>ITI MUTUAL FUND_MF</AMC_CODE1>
    <SCHEME_NAME>ITI BUSINESS CYCLE FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-12T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-12T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>152CBDP</CHA_PAT_Cod>
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    <Unique_No>51477</Unique_No>
    <SCHEME_CODE>ITCBG1-GR-L1</SCHEME_CODE>
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    <AMC_SCHEME_CODE>CBG1G</AMC_SCHEME_CODE>
    <ISIN>INF00XX01DM9</ISIN>
    <AMC_CODE1>ITI MUTUAL FUND_MF</AMC_CODE1>
    <SCHEME_NAME>ITI BUSINESS CYCLE FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-12T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-12T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>152CBG1</CHA_PAT_Cod>
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    <Unique_No>51478</Unique_No>
    <SCHEME_CODE>ITCBD1-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>CBD1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>CBD1D</AMC_SCHEME_CODE>
    <ISIN>INF00XX01DN7</ISIN>
    <AMC_CODE1>ITI MUTUAL FUND_MF</AMC_CODE1>
    <SCHEME_NAME>ITI BUSINESS CYCLE FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
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    <Start_Date>2026-03-12T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-12T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>152CBD1</CHA_PAT_Cod>
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    <Unique_No>51479</Unique_No>
    <SCHEME_CODE>ITCBD1-DR-L1</SCHEME_CODE>
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    <AMC_SCHEME_CODE>CBD1R</AMC_SCHEME_CODE>
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    <AMC_CODE1>ITI MUTUAL FUND_MF</AMC_CODE1>
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    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_TXNMODE>DP</RED_TXNMODE>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
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    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
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    <Start_Date>2026-03-12T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-12T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>152CBD1</CHA_PAT_Cod>
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    <Unique_No>51480</Unique_No>
    <SCHEME_CODE>RLIHGP-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>IHGP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>IHGP</AMC_SCHEME_CODE>
    <ISIN>INF204KC1GU9</ISIN>
    <AMC_CODE1>NipponIndiaMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>NIPPON INDIA CRISIL-IBX FINANCIAL SERVICES 3-6 MONTHS DEBT INDEX FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_TXNMODE>DP</RED_TXNMODE>
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    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
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    <SWP>N</SWP>
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    <Start_Date>2026-03-16T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-16T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
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    <CHA_PAT_Cod>RMFIHGP</CHA_PAT_Cod>
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    <Unique_No>51481</Unique_No>
    <SCHEME_CODE>RLIHAD-DP-L1</SCHEME_CODE>
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    <ISIN>INF204KC1GY1</ISIN>
    <AMC_CODE1>NipponIndiaMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>NIPPON INDIA CRISIL-IBX FINANCIAL SERVICES 3-6 MONTHS DEBT INDEX FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
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    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <CHA_PAT_Cod>RMFIHDP</CHA_PAT_Cod>
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    <Unique_No>51485</Unique_No>
    <SCHEME_CODE>RLIHDP-DR-L1</SCHEME_CODE>
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    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <Unique_No>51490</Unique_No>
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    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
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    <End_Date>2099-03-18T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <CHA_PAT_Cod>HIPDGR</CHA_PAT_Cod>
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    <Unique_No>51491</Unique_No>
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    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
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    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <AMC_CODE1>HDFCMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>HDFC INCOME PLUS ARBITRAGE OMNI FOF - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-18T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-18T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>50</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>HIPRDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51495</Unique_No>
    <SCHEME_CODE>HDIPRDR-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>IPRDR</RTA_x0020_Code>
    <AMC_SCHEME_CODE>IPRDR</AMC_SCHEME_CODE>
    <ISIN>INF179KC1KD8</ISIN>
    <AMC_CODE1>HDFCMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>HDFC INCOME PLUS ARBITRAGE OMNI FOF - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-18T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-18T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>50</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>HIPRDR</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51496</Unique_No>
    <SCHEME_CODE>HDIPDDP-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>IPDDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>IPDDP</AMC_SCHEME_CODE>
    <ISIN>INF179KC1KF3</ISIN>
    <AMC_CODE1>HDFCMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>HDFC INCOME PLUS ARBITRAGE OMNI FOF - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-18T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-18T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>50</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>HIPDDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51497</Unique_No>
    <SCHEME_CODE>HDIPRDP-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>IPRDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>IPRDP</AMC_SCHEME_CODE>
    <ISIN>INF179KC1KC0</ISIN>
    <AMC_CODE1>HDFCMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>HDFC INCOME PLUS ARBITRAGE OMNI FOF - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-18T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-18T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>50</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>HIPRDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51498</Unique_No>
    <SCHEME_CODE>MOPFGD-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>PFGD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>PFGD</AMC_SCHEME_CODE>
    <ISIN>INF247L01GT2</ISIN>
    <AMC_CODE1>MOTILALOSWAL_MF</AMC_CODE1>
    <SCHEME_NAME>MOTILAL OSWAL MULTI FACTOR PASSIVE FUND OF FUNDS - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-18T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-18T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>127PFGD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51499</Unique_No>
    <SCHEME_CODE>MOPFGP-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>PFGP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>PFGP</AMC_SCHEME_CODE>
    <ISIN>INF247L01GU0</ISIN>
    <AMC_CODE1>MOTILALOSWAL_MF</AMC_CODE1>
    <SCHEME_NAME>MOTILAL OSWAL MULTI FACTOR PASSIVE FUND OF FUNDS - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-18T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-18T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>127PFGP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51500</Unique_No>
    <SCHEME_CODE>EDNPD1-GR</SCHEME_CODE>
    <RTA_x0020_Code>NPD1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>NPD1</AMC_SCHEME_CODE>
    <ISIN>INF754K01WR0</ISIN>
    <AMC_CODE1>EDELWEISSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>EDELWEISS NIFTY LARGEMIDCAP250 PLUS 8-13 YR G-SEC 70:30 INDEX FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-04-09T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-09T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>118NPD1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51501</Unique_No>
    <SCHEME_CODE>EDNPMD-DP</SCHEME_CODE>
    <RTA_x0020_Code>NPMD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>NPMD</AMC_SCHEME_CODE>
    <ISIN>INF754K01WS8</ISIN>
    <AMC_CODE1>EDELWEISSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>EDELWEISS NIFTY LARGEMIDCAP250 PLUS 8-13 YR G-SEC 70:30 INDEX FUND - DIRECT PLAN - MONTHLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-04-09T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-09T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>118NPMD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51502</Unique_No>
    <SCHEME_CODE>EDNPMD-DR</SCHEME_CODE>
    <RTA_x0020_Code>NPMD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>NPMD</AMC_SCHEME_CODE>
    <ISIN>INF754K01WT6</ISIN>
    <AMC_CODE1>EDELWEISSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>EDELWEISS NIFTY LARGEMIDCAP250 PLUS 8-13 YR G-SEC 70:30 INDEX FUND - DIRECT PLAN - MONTHLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-04-09T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-09T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>118NPMD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51503</Unique_No>
    <SCHEME_CODE>EDNPD2-DP</SCHEME_CODE>
    <RTA_x0020_Code>NPD2</RTA_x0020_Code>
    <AMC_SCHEME_CODE>NPD2</AMC_SCHEME_CODE>
    <ISIN>INF754K01WZ3</ISIN>
    <AMC_CODE1>EDELWEISSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>EDELWEISS NIFTY LARGEMIDCAP250 PLUS 8-13 YR G-SEC 70:30 INDEX FUND - DIRECT PLAN - QUARTERLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-04-09T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-09T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>118NPD2</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51504</Unique_No>
    <SCHEME_CODE>EDNPD2-DR</SCHEME_CODE>
    <RTA_x0020_Code>NPD2</RTA_x0020_Code>
    <AMC_SCHEME_CODE>NPD2</AMC_SCHEME_CODE>
    <ISIN>INF754K01XA4</ISIN>
    <AMC_CODE1>EDELWEISSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>EDELWEISS NIFTY LARGEMIDCAP250 PLUS 8-13 YR G-SEC 70:30 INDEX FUND - DIRECT PLAN - QUARTERLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-04-09T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-09T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>118NPD2</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51505</Unique_No>
    <SCHEME_CODE>EDNPRG-GR</SCHEME_CODE>
    <RTA_x0020_Code>NPRG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>NPRG</AMC_SCHEME_CODE>
    <ISIN>INF754K01WV2</ISIN>
    <AMC_CODE1>EDELWEISSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>EDELWEISS NIFTY LARGEMIDCAP250 PLUS 8-13 YR G-SEC 70:30 INDEX FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-04-09T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-09T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>118NPRG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51506</Unique_No>
    <SCHEME_CODE>EDNPMR-DP</SCHEME_CODE>
    <RTA_x0020_Code>NPMR</RTA_x0020_Code>
    <AMC_SCHEME_CODE>NPMR</AMC_SCHEME_CODE>
    <ISIN>INF754K01WW0</ISIN>
    <AMC_CODE1>EDELWEISSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>EDELWEISS NIFTY LARGEMIDCAP250 PLUS 8-13 YR G-SEC 70:30 INDEX FUND - REGULAR PLAN - MONTHLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-04-09T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-09T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>118NPMR</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51507</Unique_No>
    <SCHEME_CODE>EDNPMR-DR</SCHEME_CODE>
    <RTA_x0020_Code>NPMR</RTA_x0020_Code>
    <AMC_SCHEME_CODE>NPMR</AMC_SCHEME_CODE>
    <ISIN>INF754K01WX8</ISIN>
    <AMC_CODE1>EDELWEISSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>EDELWEISS NIFTY LARGEMIDCAP250 PLUS 8-13 YR G-SEC 70:30 INDEX FUND - REGULAR PLAN - MONTHLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-04-09T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-09T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>118NPMR</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51508</Unique_No>
    <SCHEME_CODE>EDNPDP-DP</SCHEME_CODE>
    <RTA_x0020_Code>NPDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>NPDP</AMC_SCHEME_CODE>
    <ISIN>INF754K01XC0</ISIN>
    <AMC_CODE1>EDELWEISSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>EDELWEISS NIFTY LARGEMIDCAP250 PLUS 8-13 YR G-SEC 70:30 INDEX FUND - REGULAR PLAN - QUARTERLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-04-09T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-09T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>118NPDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51509</Unique_No>
    <SCHEME_CODE>EDNPDP-DR</SCHEME_CODE>
    <RTA_x0020_Code>NPDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>NPDP</AMC_SCHEME_CODE>
    <ISIN>INF754K01XD8</ISIN>
    <AMC_CODE1>EDELWEISSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>EDELWEISS NIFTY LARGEMIDCAP250 PLUS 8-13 YR G-SEC 70:30 INDEX FUND - REGULAR PLAN - QUARTERLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-04-09T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-09T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>118NPDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51510</Unique_No>
    <SCHEME_CODE>LCTFD1-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>TFD1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>TFD1D</AMC_SCHEME_CODE>
    <ISIN>INF767K01SL3</ISIN>
    <AMC_CODE1>LICMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>LIC MF TECHNOLOGY FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>102TFD1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51511</Unique_No>
    <SCHEME_CODE>LCTFD1-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>TFD1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>TFD1R</AMC_SCHEME_CODE>
    <ISIN>INF767K01SK5</ISIN>
    <AMC_CODE1>LICMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>LIC MF TECHNOLOGY FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
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    <LOC_Flag>N</LOC_Flag>
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    <Unique_No>51512</Unique_No>
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    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
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    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>102TFDP</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>51513</Unique_No>
    <SCHEME_CODE>LCTFDP-DR-L1</SCHEME_CODE>
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    <AMC_SCHEME_CODE>TFDPR</AMC_SCHEME_CODE>
    <ISIN>INF767K01SH1</ISIN>
    <AMC_CODE1>LICMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>LIC MF TECHNOLOGY FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
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    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
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    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>102TFDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51514</Unique_No>
    <SCHEME_CODE>LCTFG1-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>TFG1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>TFG1G</AMC_SCHEME_CODE>
    <ISIN>INF767K01SJ7</ISIN>
    <AMC_CODE1>LICMUTUALFUND_MF</AMC_CODE1>
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    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>102TFG1</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>51515</Unique_No>
    <SCHEME_CODE>LCTFGP-GR-L1</SCHEME_CODE>
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    <AMC_SCHEME_CODE>TFGPG</AMC_SCHEME_CODE>
    <ISIN>INF767K01SG3</ISIN>
    <AMC_CODE1>LICMUTUALFUND_MF</AMC_CODE1>
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    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <STP>N</STP>
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    <Start_Date>2026-03-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>102TFGP</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>51516</Unique_No>
    <SCHEME_CODE>CHD102G-GR</SCHEME_CODE>
    <RTA_x0020_Code>D102G</RTA_x0020_Code>
    <AMC_SCHEME_CODE>102D1G</AMC_SCHEME_CODE>
    <ISIN>INF2KCX01020</ISIN>
    <AMC_CODE1>CHOICEMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>CHOICE NIFTY 50 INDEX FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
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    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-04-09T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-09T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>0.01</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>CHSD102G</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>51517</Unique_No>
    <SCHEME_CODE>CH102G-GR</SCHEME_CODE>
    <RTA_x0020_Code>102G</RTA_x0020_Code>
    <AMC_SCHEME_CODE>102G</AMC_SCHEME_CODE>
    <ISIN>INF2KCX01038</ISIN>
    <AMC_CODE1>CHOICEMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>CHOICE NIFTY 50 INDEX FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
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    <STP>N</STP>
    <TAT>T2</TAT>
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    <Start_Date>2026-04-09T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-09T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>CHS102G</CHA_PAT_Cod>
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    <Unique_No>51518</Unique_No>
    <SCHEME_CODE>CHD103G-GR</SCHEME_CODE>
    <RTA_x0020_Code>D103G</RTA_x0020_Code>
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    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <STP>N</STP>
    <TAT>T2</TAT>
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    <Start_Date>2026-04-09T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-09T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
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    <LOC_Flag>N</LOC_Flag>
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    <CHA_PAT_Cod>CHSD103G</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>51519</Unique_No>
    <SCHEME_CODE>CH103G-GR</SCHEME_CODE>
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    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <End_Date>2099-04-09T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <Unique_No>51520</Unique_No>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <End_Date>2099-04-01T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>HHCBRG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51521</Unique_No>
    <SCHEME_CODE>HDHCBDG-GR</SCHEME_CODE>
    <RTA_x0020_Code>HCBDG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>HCBDG</AMC_SCHEME_CODE>
    <ISIN>INF179KC1KI7</ISIN>
    <AMC_CODE1>HDFCMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>HDFC CRISIL-IBX FINANCIAL SERVICES 9-12 MONTHS DEBT INDEX FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-04-01T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-01T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>HHCBDG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51522</Unique_No>
    <SCHEME_CODE>HSHGFRG-GR</SCHEME_CODE>
    <RTA_x0020_Code>HGFRG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>O</AMC_SCHEME_CODE>
    <ISIN>INF336L01RY0</ISIN>
    <AMC_CODE1>HSBCMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>HSBC GOLD ETF FUND OF FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-04-07T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-07T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>OHGFRG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51523</Unique_No>
    <SCHEME_CODE>HSHGFRP-DP</SCHEME_CODE>
    <RTA_x0020_Code>HGFRP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>O</AMC_SCHEME_CODE>
    <ISIN>INF336L01SA8</ISIN>
    <AMC_CODE1>HSBCMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>HSBC GOLD ETF FUND OF FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-04-07T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-07T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>OHGFRP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51524</Unique_No>
    <SCHEME_CODE>HSHGFRD-DR</SCHEME_CODE>
    <RTA_x0020_Code>HGFRD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>O</AMC_SCHEME_CODE>
    <ISIN>INF336L01RZ7</ISIN>
    <AMC_CODE1>HSBCMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>HSBC GOLD ETF FUND OF FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-04-07T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-07T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>OHGFRD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51525</Unique_No>
    <SCHEME_CODE>HSHGFDG-GR</SCHEME_CODE>
    <RTA_x0020_Code>HGFDG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>O</AMC_SCHEME_CODE>
    <ISIN>INF336L01SB6</ISIN>
    <AMC_CODE1>HSBCMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>HSBC GOLD ETF FUND OF FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-04-07T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-07T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>OHGFDG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51526</Unique_No>
    <SCHEME_CODE>HSHGFDP-DP</SCHEME_CODE>
    <RTA_x0020_Code>HGFDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>O</AMC_SCHEME_CODE>
    <ISIN>INF336L01SD2</ISIN>
    <AMC_CODE1>HSBCMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>HSBC GOLD ETF FUND OF FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-04-07T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-07T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>OHGFDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51527</Unique_No>
    <SCHEME_CODE>HSHGFDD-DR</SCHEME_CODE>
    <RTA_x0020_Code>HGFDD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>O</AMC_SCHEME_CODE>
    <ISIN>INF336L01SC4</ISIN>
    <AMC_CODE1>HSBCMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>HSBC GOLD ETF FUND OF FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-04-07T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-07T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>OHGFDD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51528</Unique_No>
    <SCHEME_CODE>HSHGFRD-DP</SCHEME_CODE>
    <RTA_x0020_Code>HGFRD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>O</AMC_SCHEME_CODE>
    <ISIN>INF336L01RZ7</ISIN>
    <AMC_CODE1>HSBCMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>HSBC GOLD ETF FUND OF FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-04-07T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-07T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>OHGFRD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51529</Unique_No>
    <SCHEME_CODE>HSHGFDD-DP</SCHEME_CODE>
    <RTA_x0020_Code>HGFDD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>O</AMC_SCHEME_CODE>
    <ISIN>INF336L01SC4</ISIN>
    <AMC_CODE1>HSBCMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>HSBC GOLD ETF FUND OF FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-04-07T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-07T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
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    <Unique_No>51548</Unique_No>
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    <Start_Date>2026-03-23T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-23T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <AMC_IND />
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    <Unique_No>51549</Unique_No>
    <SCHEME_CODE>HOHARRD-DP-L1</SCHEME_CODE>
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    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <Start_Date>2026-03-23T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-23T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>HLSHARRD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51550</Unique_No>
    <SCHEME_CODE>HOHARDD-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>HARDD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>HARDD</AMC_SCHEME_CODE>
    <ISIN>INF0R8701467</ISIN>
    <AMC_CODE1>HELIOSMUTUALFUND_MF</AMC_CODE1>
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    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <Start_Date>2026-03-23T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-23T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <CHA_PAT_Cod>HLSHARDD</CHA_PAT_Cod>
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    <Unique_No>51551</Unique_No>
    <SCHEME_CODE>IC3575-GR-L1</SCHEME_CODE>
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    <ISIN>INF109K1A450</ISIN>
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    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <Start_Date>2026-03-24T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <CHA_PAT_Cod>P3575</CHA_PAT_Cod>
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    <Unique_No>51552</Unique_No>
    <SCHEME_CODE>IC9777-GR-L1</SCHEME_CODE>
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    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <STP>N</STP>
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    <Start_Date>2026-03-24T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>P9777</CHA_PAT_Cod>
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    <Unique_No>51553</Unique_No>
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    <ISIN>INF760K01LM1</ISIN>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_TXNMODE>DP</RED_TXNMODE>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
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    <Start_Date>2026-03-24T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <AMC_IND />
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>101BFGP</CHA_PAT_Cod>
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    <Unique_No>51554</Unique_No>
    <SCHEME_CODE>CABFDG-GR-L1</SCHEME_CODE>
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    <ISIN>INF760K01LN9</ISIN>
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    <SCHEME_NAME>CANARA ROBECO BANKING AND FINANCIAL SERVICES FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
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    <SWP>N</SWP>
    <STP>N</STP>
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    <Start_Date>2026-03-24T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
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    <CHA_PAT_Cod>101BFDG</CHA_PAT_Cod>
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    <Unique_No>51555</Unique_No>
    <SCHEME_CODE>CABFDP-DP-L1</SCHEME_CODE>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <End_Date>2099-03-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MUL>1</RED_AMT_MUL>
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
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    <Unique_No>51556</Unique_No>
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    <End_Date>2099-03-24T00:00:00+05:30</End_Date>
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>101BFDD</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>51557</Unique_No>
    <SCHEME_CODE>CABFDP-DR-L1</SCHEME_CODE>
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    <AMC_SCHEME_CODE>BFDP</AMC_SCHEME_CODE>
    <ISIN>INF760K01LQ2</ISIN>
    <AMC_CODE1>CANARAROBECOMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>CANARA ROBECO BANKING AND FINANCIAL SERVICES FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-24T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>101BFDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51558</Unique_No>
    <SCHEME_CODE>CABFDD-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>BFDD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>BFDD</AMC_SCHEME_CODE>
    <ISIN>INF760K01LR0</ISIN>
    <AMC_CODE1>CANARAROBECOMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>CANARA ROBECO BANKING AND FINANCIAL SERVICES FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
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    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-24T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>101BFDD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51559</Unique_No>
    <SCHEME_CODE>UTMDDG-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>MDDG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MDDG</AMC_SCHEME_CODE>
    <ISIN>INF0GCD01875</ISIN>
    <AMC_CODE1>TRUSTMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>TRUSTMF MID CAP FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-24T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>0</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>185MDDG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51560</Unique_No>
    <SCHEME_CODE>UTMDRG-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>MDRG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MDRG</AMC_SCHEME_CODE>
    <ISIN>INF0GCD01883</ISIN>
    <AMC_CODE1>TRUSTMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>TRUSTMF MID CAP FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-24T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>0</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>185MDRG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51561</Unique_No>
    <SCHEME_CODE>JI230-GR</SCHEME_CODE>
    <RTA_x0020_Code>230</RTA_x0020_Code>
    <AMC_SCHEME_CODE>230</AMC_SCHEME_CODE>
    <ISIN>INF22M001176</ISIN>
    <AMC_CODE1>JIOBLACKROCKMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>JIOBLACKROCK LARGE CAP FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-04-16T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-16T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>0.1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>JIO230</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51562</Unique_No>
    <SCHEME_CODE>MASOD1-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>SOD1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>SOD1G</AMC_SCHEME_CODE>
    <ISIN>INF769K01QS8</ISIN>
    <AMC_CODE1>MIRAEASSET</AMC_CODE1>
    <SCHEME_NAME>MIRAE ASSET SILVER ETF FOF - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
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    <SCHEMETYPE>FOF</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-25T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-25T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>117SOD1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51563</Unique_No>
    <SCHEME_CODE>MASOD2-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>SOD2</RTA_x0020_Code>
    <AMC_SCHEME_CODE>SOD2D</AMC_SCHEME_CODE>
    <ISIN>INF769K01QU4</ISIN>
    <AMC_CODE1>MIRAEASSET</AMC_CODE1>
    <SCHEME_NAME>MIRAE ASSET SILVER ETF FOF - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
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    <SCHEMETYPE>FOF</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-25T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-25T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>117SOD2</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51564</Unique_No>
    <SCHEME_CODE>MASOD2-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>SOD2</RTA_x0020_Code>
    <AMC_SCHEME_CODE>SOD2R</AMC_SCHEME_CODE>
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    <AMC_CODE1>MIRAEASSET</AMC_CODE1>
    <SCHEME_NAME>MIRAE ASSET SILVER ETF FOF - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
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    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-25T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-25T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>117SOD2</CHA_PAT_Cod>
  </BSEFundMast>
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    <Unique_No>51565</Unique_No>
    <SCHEME_CODE>MASORG-GR-L1</SCHEME_CODE>
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    <AMC_SCHEME_CODE>SORGG</AMC_SCHEME_CODE>
    <ISIN>INF769K01QP4</ISIN>
    <AMC_CODE1>MIRAEASSET</AMC_CODE1>
    <SCHEME_NAME>MIRAE ASSET SILVER ETF FOF - REGULAR PLAN - GROWTH</SCHEME_NAME>
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    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>FOF</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-03-25T00:00:00+05:30</Start_Date>
    <End_Date>2099-03-25T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
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    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <Unique_No>51588</Unique_No>
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    <Unique_No>51589</Unique_No>
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    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <CHA_PAT_Cod>ZZNH73</CHA_PAT_Cod>
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    <SCHEME_NAME>QSIF ACTIVE ASSET ALLOCATOR LONG-SHORT FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <End_Date>2099-04-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <LOC_Flag>N</LOC_Flag>
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    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <Scheme_Plan>DIRECT</Scheme_Plan>
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  <BSEFundMast>
    <Unique_No>51596</Unique_No>
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    <TAT>T2</TAT>
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    <Start_Date>2026-04-24T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <SWITCH_Flag>Y</SWITCH_Flag>
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    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>905F4GP</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>51597</Unique_No>
    <SCHEME_CODE>HSHGFRG-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>HGFRG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>O</AMC_SCHEME_CODE>
    <ISIN>INF336L01RY0</ISIN>
    <AMC_CODE1>HSBCMUTUALFUND_MF</AMC_CODE1>
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    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <PUR_ALLOWED>Y</PUR_ALLOWED>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
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    <STP>N</STP>
    <TAT>L1</TAT>
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    <Start_Date>2026-04-07T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-07T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>OHGFRG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51598</Unique_No>
    <SCHEME_CODE>HSHGFRP-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>HGFRP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>O</AMC_SCHEME_CODE>
    <ISIN>INF336L01SA8</ISIN>
    <AMC_CODE1>HSBCMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>HSBC GOLD ETF FUND OF FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-04-07T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-07T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>OHGFRP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51599</Unique_No>
    <SCHEME_CODE>HSHGFRD-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>HGFRD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>O</AMC_SCHEME_CODE>
    <ISIN>INF336L01RZ7</ISIN>
    <AMC_CODE1>HSBCMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>HSBC GOLD ETF FUND OF FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
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    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-04-07T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-07T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>OHGFRD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51600</Unique_No>
    <SCHEME_CODE>HSHGFDG-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>HGFDG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>O</AMC_SCHEME_CODE>
    <ISIN>INF336L01SB6</ISIN>
    <AMC_CODE1>HSBCMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>HSBC GOLD ETF FUND OF FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-04-07T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-07T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>OHGFDG</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>51601</Unique_No>
    <SCHEME_CODE>HSHGFDP-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>HGFDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>O</AMC_SCHEME_CODE>
    <ISIN>INF336L01SD2</ISIN>
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    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_TXNMODE>D</RED_TXNMODE>
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    <STP>N</STP>
    <TAT>L1</TAT>
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    <Start_Date>2026-04-07T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-07T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>OHGFDP</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>51602</Unique_No>
    <SCHEME_CODE>HSHGFDD-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>HGFDD</RTA_x0020_Code>
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    <SCHEME_NAME>HSBC GOLD ETF FUND OF FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
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    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
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    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
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    <Start_Date>2026-04-07T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-07T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>OHGFDD</CHA_PAT_Cod>
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    <Unique_No>51603</Unique_No>
    <SCHEME_CODE>HSHGFRD-DP-L1</SCHEME_CODE>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <End_Date>2099-04-07T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <SWITCH_Flag>N</SWITCH_Flag>
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    <STP>N</STP>
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    <End_Date>2099-04-07T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>OHGFDD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51605</Unique_No>
    <SCHEME_CODE>INARG1-GR</SCHEME_CODE>
    <RTA_x0020_Code>ARG1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>ARG1G</AMC_SCHEME_CODE>
    <ISIN>INF666M01ON8</ISIN>
    <AMC_CODE1>GROWWMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>GROWW ARBITRAGE FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-04-29T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-29T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125ARG1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51606</Unique_No>
    <SCHEME_CODE>INARD1-DP</SCHEME_CODE>
    <RTA_x0020_Code>ARD1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>ARD1D</AMC_SCHEME_CODE>
    <ISIN>INF666M01OO6</ISIN>
    <AMC_CODE1>GROWWMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>GROWW ARBITRAGE FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-04-29T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-29T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125ARD1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51607</Unique_No>
    <SCHEME_CODE>INARD1-DR</SCHEME_CODE>
    <RTA_x0020_Code>ARD1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>ARD1R</AMC_SCHEME_CODE>
    <ISIN>INF666M01OP3</ISIN>
    <AMC_CODE1>GROWWMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>GROWW ARBITRAGE FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>N</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-04-29T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-29T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125ARD1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51608</Unique_No>
    <SCHEME_CODE>INARGP-GR</SCHEME_CODE>
    <RTA_x0020_Code>ARGP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>ARGPG</AMC_SCHEME_CODE>
    <ISIN>INF666M01OQ1</ISIN>
    <AMC_CODE1>GROWWMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>GROWW ARBITRAGE FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-04-29T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-29T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125ARGP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51609</Unique_No>
    <SCHEME_CODE>INARDP-DP</SCHEME_CODE>
    <RTA_x0020_Code>ARDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>ARDPD</AMC_SCHEME_CODE>
    <ISIN>INF666M01OR9</ISIN>
    <AMC_CODE1>GROWWMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>GROWW ARBITRAGE FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-04-29T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-29T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125ARDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51610</Unique_No>
    <SCHEME_CODE>INARDP-DR</SCHEME_CODE>
    <RTA_x0020_Code>ARDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>ARDPR</AMC_SCHEME_CODE>
    <ISIN>INF666M01OS7</ISIN>
    <AMC_CODE1>GROWWMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>GROWW ARBITRAGE FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>N</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-04-29T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-29T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125ARDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51611</Unique_No>
    <SCHEME_CODE>KO1289-GR</SCHEME_CODE>
    <RTA_x0020_Code>1289</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K1289</AMC_SCHEME_CODE>
    <ISIN>INF174KA1ZR3</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK MULTI ASSET ACTIVE FOF - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T3</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-04-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K1289</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51612</Unique_No>
    <SCHEME_CODE>KO1290-DR</SCHEME_CODE>
    <RTA_x0020_Code>1290</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K1290</AMC_SCHEME_CODE>
    <ISIN>INF174KA1ZT9</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK MULTI ASSET ACTIVE FOF - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T3</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-04-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K1290</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51613</Unique_No>
    <SCHEME_CODE>KO1289D-GR</SCHEME_CODE>
    <RTA_x0020_Code>1289D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K1289D</AMC_SCHEME_CODE>
    <ISIN>INF174KA1ZO0</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK MULTI ASSET ACTIVE FOF - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T3</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-04-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K1289D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51614</Unique_No>
    <SCHEME_CODE>KO1290D-DR</SCHEME_CODE>
    <RTA_x0020_Code>1290D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K1290D</AMC_SCHEME_CODE>
    <ISIN>INF174KA1ZQ5</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK MULTI ASSET ACTIVE FOF - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T3</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-04-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K1290D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51615</Unique_No>
    <SCHEME_CODE>KO129P0-DP</SCHEME_CODE>
    <RTA_x0020_Code>129P0</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K129P0</AMC_SCHEME_CODE>
    <ISIN>INF174KA1ZS1</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK MULTI ASSET ACTIVE FOF - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T3</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-04-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K129P0</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51616</Unique_No>
    <SCHEME_CODE>KO129D0-DP</SCHEME_CODE>
    <RTA_x0020_Code>129D0</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K129D0</AMC_SCHEME_CODE>
    <ISIN>INF174KA1ZP7</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK MULTI ASSET ACTIVE FOF - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T3</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-04-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K129D0</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51617</Unique_No>
    <SCHEME_CODE>KO1290-DP</SCHEME_CODE>
    <RTA_x0020_Code>1290</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K1290</AMC_SCHEME_CODE>
    <ISIN>INF174KA1ZT9</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK MULTI ASSET ACTIVE FOF - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T3</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-04-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K1290</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51618</Unique_No>
    <SCHEME_CODE>KO1290D-DP</SCHEME_CODE>
    <RTA_x0020_Code>1290D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K1290D</AMC_SCHEME_CODE>
    <ISIN>INF174KA1ZQ5</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK MULTI ASSET ACTIVE FOF - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T3</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-04-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K1290D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51619</Unique_No>
    <SCHEME_CODE>EDNPDP-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>NPDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>NPDP</AMC_SCHEME_CODE>
    <ISIN>INF754K01XD8</ISIN>
    <AMC_CODE1>EDELWEISSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>EDELWEISS NIFTY LARGEMIDCAP250 PLUS 8-13 YR G-SEC 70:30 INDEX FUND - REGULAR PLAN - QUARTERLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-04-09T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-09T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>118NPDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51620</Unique_No>
    <SCHEME_CODE>EDNPD1-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>NPD1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>NPD1</AMC_SCHEME_CODE>
    <ISIN>INF754K01WR0</ISIN>
    <AMC_CODE1>EDELWEISSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>EDELWEISS NIFTY LARGEMIDCAP250 PLUS 8-13 YR G-SEC 70:30 INDEX FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-04-09T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-09T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>118NPD1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51621</Unique_No>
    <SCHEME_CODE>EDNPMD-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>NPMD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>NPMD</AMC_SCHEME_CODE>
    <ISIN>INF754K01WS8</ISIN>
    <AMC_CODE1>EDELWEISSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>EDELWEISS NIFTY LARGEMIDCAP250 PLUS 8-13 YR G-SEC 70:30 INDEX FUND - DIRECT PLAN - MONTHLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-04-09T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-09T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>118NPMD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51622</Unique_No>
    <SCHEME_CODE>EDNPMD-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>NPMD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>NPMD</AMC_SCHEME_CODE>
    <ISIN>INF754K01WT6</ISIN>
    <AMC_CODE1>EDELWEISSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>EDELWEISS NIFTY LARGEMIDCAP250 PLUS 8-13 YR G-SEC 70:30 INDEX FUND - DIRECT PLAN - MONTHLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-04-09T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-09T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>118NPMD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51623</Unique_No>
    <SCHEME_CODE>EDNPD2-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>NPD2</RTA_x0020_Code>
    <AMC_SCHEME_CODE>NPD2</AMC_SCHEME_CODE>
    <ISIN>INF754K01WZ3</ISIN>
    <AMC_CODE1>EDELWEISSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>EDELWEISS NIFTY LARGEMIDCAP250 PLUS 8-13 YR G-SEC 70:30 INDEX FUND - DIRECT PLAN - QUARTERLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-04-09T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-09T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>118NPD2</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51624</Unique_No>
    <SCHEME_CODE>EDNPD2-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>NPD2</RTA_x0020_Code>
    <AMC_SCHEME_CODE>NPD2</AMC_SCHEME_CODE>
    <ISIN>INF754K01XA4</ISIN>
    <AMC_CODE1>EDELWEISSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>EDELWEISS NIFTY LARGEMIDCAP250 PLUS 8-13 YR G-SEC 70:30 INDEX FUND - DIRECT PLAN - QUARTERLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-04-09T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-09T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>118NPD2</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51625</Unique_No>
    <SCHEME_CODE>EDNPRG-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>NPRG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>NPRG</AMC_SCHEME_CODE>
    <ISIN>INF754K01WV2</ISIN>
    <AMC_CODE1>EDELWEISSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>EDELWEISS NIFTY LARGEMIDCAP250 PLUS 8-13 YR G-SEC 70:30 INDEX FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-04-09T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-09T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>118NPRG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51626</Unique_No>
    <SCHEME_CODE>EDNPMR-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>NPMR</RTA_x0020_Code>
    <AMC_SCHEME_CODE>NPMR</AMC_SCHEME_CODE>
    <ISIN>INF754K01WW0</ISIN>
    <AMC_CODE1>EDELWEISSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>EDELWEISS NIFTY LARGEMIDCAP250 PLUS 8-13 YR G-SEC 70:30 INDEX FUND - REGULAR PLAN - MONTHLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-04-09T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-09T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>118NPMR</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51627</Unique_No>
    <SCHEME_CODE>EDNPMR-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>NPMR</RTA_x0020_Code>
    <AMC_SCHEME_CODE>NPMR</AMC_SCHEME_CODE>
    <ISIN>INF754K01WX8</ISIN>
    <AMC_CODE1>EDELWEISSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>EDELWEISS NIFTY LARGEMIDCAP250 PLUS 8-13 YR G-SEC 70:30 INDEX FUND - REGULAR PLAN - MONTHLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-04-09T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-09T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>118NPMR</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51628</Unique_No>
    <SCHEME_CODE>EDNPDP-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>NPDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>NPDP</AMC_SCHEME_CODE>
    <ISIN>INF754K01XC0</ISIN>
    <AMC_CODE1>EDELWEISSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>EDELWEISS NIFTY LARGEMIDCAP250 PLUS 8-13 YR G-SEC 70:30 INDEX FUND - REGULAR PLAN - QUARTERLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-04-09T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-09T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>118NPDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51629</Unique_No>
    <SCHEME_CODE>FSS2000-GR</SCHEME_CODE>
    <RTA_x0020_Code>2000</RTA_x0020_Code>
    <AMC_SCHEME_CODE>2000</AMC_SCHEME_CODE>
    <ISIN>INF090I30014</ISIN>
    <AMC_CODE1>FRANKLINTEMPLETON_SIF</AMC_CODE1>
    <SCHEME_NAME>SAPPHIRE EQUITY LONG-SHORT SIF - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1000</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>FTS2000</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51630</Unique_No>
    <SCHEME_CODE>FSS2001-DR</SCHEME_CODE>
    <RTA_x0020_Code>2001</RTA_x0020_Code>
    <AMC_SCHEME_CODE>2001</AMC_SCHEME_CODE>
    <ISIN>INF090I30022</ISIN>
    <AMC_CODE1>FRANKLINTEMPLETON_SIF</AMC_CODE1>
    <SCHEME_NAME>SAPPHIRE EQUITY LONG-SHORT SIF - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1000</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>FTS2001</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51631</Unique_No>
    <SCHEME_CODE>FSS2001P-DP</SCHEME_CODE>
    <RTA_x0020_Code>2001P</RTA_x0020_Code>
    <AMC_SCHEME_CODE>2001P</AMC_SCHEME_CODE>
    <ISIN>INF090I30030</ISIN>
    <AMC_CODE1>FRANKLINTEMPLETON_SIF</AMC_CODE1>
    <SCHEME_NAME>SAPPHIRE EQUITY LONG-SHORT SIF - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
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    <End_Date>2099-05-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
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    <LOC_Flag>N</LOC_Flag>
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    <CHA_PAT_Cod>FTS2001P</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51632</Unique_No>
    <SCHEME_CODE>FSS2002-GR</SCHEME_CODE>
    <RTA_x0020_Code>2002</RTA_x0020_Code>
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    <ISIN>INF090I30048</ISIN>
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    <SCHEME_NAME>SAPPHIRE EQUITY LONG-SHORT SIF - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <PUR_ALLOWED>Y</PUR_ALLOWED>
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    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
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    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1000</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>FTS2002</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51633</Unique_No>
    <SCHEME_CODE>FSS2003-DR</SCHEME_CODE>
    <RTA_x0020_Code>2003</RTA_x0020_Code>
    <AMC_SCHEME_CODE>2003</AMC_SCHEME_CODE>
    <ISIN>INF090I30055</ISIN>
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    <SCHEME_NAME>SAPPHIRE EQUITY LONG-SHORT SIF - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1000</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>FTS2003</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51634</Unique_No>
    <SCHEME_CODE>FSS2003P-DP</SCHEME_CODE>
    <RTA_x0020_Code>2003P</RTA_x0020_Code>
    <AMC_SCHEME_CODE>2003P</AMC_SCHEME_CODE>
    <ISIN>INF090I30063</ISIN>
    <AMC_CODE1>FRANKLINTEMPLETON_SIF</AMC_CODE1>
    <SCHEME_NAME>SAPPHIRE EQUITY LONG-SHORT SIF - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1000</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>FTS2003P</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51635</Unique_No>
    <SCHEME_CODE>FSS2001-DP</SCHEME_CODE>
    <RTA_x0020_Code>2001</RTA_x0020_Code>
    <AMC_SCHEME_CODE>2001</AMC_SCHEME_CODE>
    <ISIN>INF090I30022</ISIN>
    <AMC_CODE1>FRANKLINTEMPLETON_SIF</AMC_CODE1>
    <SCHEME_NAME>SAPPHIRE EQUITY LONG-SHORT SIF - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
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    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1000</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>FTS2001</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51636</Unique_No>
    <SCHEME_CODE>FSS2003-DP</SCHEME_CODE>
    <RTA_x0020_Code>2003</RTA_x0020_Code>
    <AMC_SCHEME_CODE>2003</AMC_SCHEME_CODE>
    <ISIN>INF090I30055</ISIN>
    <AMC_CODE1>FRANKLINTEMPLETON_SIF</AMC_CODE1>
    <SCHEME_NAME>SAPPHIRE EQUITY LONG-SHORT SIF - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1000</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>FTS2003</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51637</Unique_No>
    <SCHEME_CODE>CHD102G-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>D102G</RTA_x0020_Code>
    <AMC_SCHEME_CODE>102D1G</AMC_SCHEME_CODE>
    <ISIN>INF2KCX01020</ISIN>
    <AMC_CODE1>CHOICEMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>CHOICE NIFTY 50 INDEX FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <SCHEMETYPE>EQUITY</SCHEMETYPE>
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    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-04-09T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-09T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>CHSD102G</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51638</Unique_No>
    <SCHEME_CODE>CH102G-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>102G</RTA_x0020_Code>
    <AMC_SCHEME_CODE>102G</AMC_SCHEME_CODE>
    <ISIN>INF2KCX01038</ISIN>
    <AMC_CODE1>CHOICEMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>CHOICE NIFTY 50 INDEX FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <SCHEMETYPE>EQUITY</SCHEMETYPE>
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    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
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    <Start_Date>2026-04-09T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-09T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>CHS102G</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>51639</Unique_No>
    <SCHEME_CODE>CHD103G-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>D103G</RTA_x0020_Code>
    <AMC_SCHEME_CODE>103D1G</AMC_SCHEME_CODE>
    <ISIN>INF2KCX01046</ISIN>
    <AMC_CODE1>CHOICEMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>CHOICE NIFTY NEXT 50 INDEX FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
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    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-04-09T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-09T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>CHSD103G</CHA_PAT_Cod>
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    <Unique_No>51640</Unique_No>
    <SCHEME_CODE>CH103G-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>103G</RTA_x0020_Code>
    <AMC_SCHEME_CODE>103G</AMC_SCHEME_CODE>
    <ISIN>INF2KCX01053</ISIN>
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    <SCHEME_NAME>CHOICE NIFTY NEXT 50 INDEX FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
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    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
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    <RED_TXNMODE>DP</RED_TXNMODE>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-04-09T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-09T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>0.01</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>CHS103G</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51641</Unique_No>
    <SCHEME_CODE>AXNDDG-GR</SCHEME_CODE>
    <RTA_x0020_Code>NDDG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>NDDGG</AMC_SCHEME_CODE>
    <ISIN>INF846KA1523</ISIN>
    <AMC_CODE1>AXISMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>AXIS NIFTY INDIA DEFENCE INDEX FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-06T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-06T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>128NDDG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51642</Unique_No>
    <SCHEME_CODE>AXNDGP-GR</SCHEME_CODE>
    <RTA_x0020_Code>NDGP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>NDGPG</AMC_SCHEME_CODE>
    <ISIN>INF846KA1515</ISIN>
    <AMC_CODE1>AXISMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>AXIS NIFTY INDIA DEFENCE INDEX FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-06T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-06T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>128NDGP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51647</Unique_No>
    <SCHEME_CODE>ZEZMIDS-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>ZMIDS</RTA_x0020_Code>
    <AMC_SCHEME_CODE>ZMIDS</AMC_SCHEME_CODE>
    <ISIN>INF0R8F01190</ISIN>
    <AMC_CODE1>ZERODHAMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ZERODHA NIFTY MIDSMALLCAP400 50:50 INDEX FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-04-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>0.01</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>ZZMIDS</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51648</Unique_No>
    <SCHEME_CODE>WWSSLDD-DP</SCHEME_CODE>
    <RTA_x0020_Code>SLDD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>SLDDD</AMC_SCHEME_CODE>
    <ISIN>INF2F0030114</ISIN>
    <AMC_CODE1>THEWEALTHCOMPANYMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>WSIF EQUITY LONG-SHORT FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>100</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-11T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-11T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>917SLDD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51649</Unique_No>
    <SCHEME_CODE>WWSSLDD-DR</SCHEME_CODE>
    <RTA_x0020_Code>SLDD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>SLDDR</AMC_SCHEME_CODE>
    <ISIN>INF2F0030122</ISIN>
    <AMC_CODE1>THEWEALTHCOMPANYMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>WSIF EQUITY LONG-SHORT FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>100</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-11T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-11T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>917SLDD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51650</Unique_No>
    <SCHEME_CODE>WWSSLDG-GR</SCHEME_CODE>
    <RTA_x0020_Code>SLDG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>SLDGG</AMC_SCHEME_CODE>
    <ISIN>INF2F0030106</ISIN>
    <AMC_CODE1>THEWEALTHCOMPANYMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>WSIF EQUITY LONG-SHORT FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>100</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-11T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-11T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>917SLDG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51651</Unique_No>
    <SCHEME_CODE>WWSSLRD-DP</SCHEME_CODE>
    <RTA_x0020_Code>SLRD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>SLRDD</AMC_SCHEME_CODE>
    <ISIN>INF2F0030080</ISIN>
    <AMC_CODE1>THEWEALTHCOMPANYMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>WSIF EQUITY LONG-SHORT FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>100</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-11T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-11T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>917SLRD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51652</Unique_No>
    <SCHEME_CODE>WWSSLRD-DR</SCHEME_CODE>
    <RTA_x0020_Code>SLRD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>SLRDR</AMC_SCHEME_CODE>
    <ISIN>INF2F0030098</ISIN>
    <AMC_CODE1>THEWEALTHCOMPANYMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>WSIF EQUITY LONG-SHORT FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>100</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-11T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-11T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>917SLRD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51653</Unique_No>
    <SCHEME_CODE>WWSSLRG-GR</SCHEME_CODE>
    <RTA_x0020_Code>SLRG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>SLRGG</AMC_SCHEME_CODE>
    <ISIN>INF2F0030072</ISIN>
    <AMC_CODE1>THEWEALTHCOMPANYMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>WSIF EQUITY LONG-SHORT FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>100</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-11T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-11T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>917SLRG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51654</Unique_No>
    <SCHEME_CODE>WWSSFDD-DP</SCHEME_CODE>
    <RTA_x0020_Code>SFDD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>SFDDD</AMC_SCHEME_CODE>
    <ISIN>INF2F0030056</ISIN>
    <AMC_CODE1>THEWEALTHCOMPANYMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>WSIF EQUITY EX-TOP 100 LONG-SHORT FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>100</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-11T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-11T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>917SFDD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51655</Unique_No>
    <SCHEME_CODE>WWSSFDD-DR</SCHEME_CODE>
    <RTA_x0020_Code>SFDD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>SFDDR</AMC_SCHEME_CODE>
    <ISIN>INF2F0030064</ISIN>
    <AMC_CODE1>THEWEALTHCOMPANYMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>WSIF EQUITY EX-TOP 100 LONG-SHORT FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>100</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-11T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-11T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>917SFDD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51656</Unique_No>
    <SCHEME_CODE>WWSSFDG-GR</SCHEME_CODE>
    <RTA_x0020_Code>SFDG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>SFDGG</AMC_SCHEME_CODE>
    <ISIN>INF2F0030049</ISIN>
    <AMC_CODE1>THEWEALTHCOMPANYMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>WSIF EQUITY EX-TOP 100 LONG-SHORT FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>100</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-11T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-11T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>917SFDG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51657</Unique_No>
    <SCHEME_CODE>WWSSFRD-DP</SCHEME_CODE>
    <RTA_x0020_Code>SFRD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>SFRDD</AMC_SCHEME_CODE>
    <ISIN>INF2F0030023</ISIN>
    <AMC_CODE1>THEWEALTHCOMPANYMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>WSIF EQUITY EX-TOP 100 LONG-SHORT FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>100</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-11T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-11T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>917SFRD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51658</Unique_No>
    <SCHEME_CODE>WWSSFRD-DR</SCHEME_CODE>
    <RTA_x0020_Code>SFRD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>SFRDR</AMC_SCHEME_CODE>
    <ISIN>INF2F0030031</ISIN>
    <AMC_CODE1>THEWEALTHCOMPANYMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>WSIF EQUITY EX-TOP 100 LONG-SHORT FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>100</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-11T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-11T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>917SFRD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51659</Unique_No>
    <SCHEME_CODE>WWSSFRG-GR</SCHEME_CODE>
    <RTA_x0020_Code>SFRG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>SFRGG</AMC_SCHEME_CODE>
    <ISIN>INF2F0030015</ISIN>
    <AMC_CODE1>THEWEALTHCOMPANYMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>WSIF EQUITY EX-TOP 100 LONG-SHORT FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>100</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-11T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-11T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>917SFRG</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>51660</Unique_No>
    <SCHEME_CODE>SB708G-GR</SCHEME_CODE>
    <RTA_x0020_Code>708G</RTA_x0020_Code>
    <AMC_SCHEME_CODE>708G</AMC_SCHEME_CODE>
    <ISIN>INF200KB1AL6</ISIN>
    <AMC_CODE1>SBIMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>SBI CRISIL IBX FINANCIAL SERVICES 3-6 MONTHS DEBT INDEX FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-04-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>L708G</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51661</Unique_No>
    <SCHEME_CODE>SB708DP-DP</SCHEME_CODE>
    <RTA_x0020_Code>708DP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>708D</AMC_SCHEME_CODE>
    <ISIN>INF200KB1AM4</ISIN>
    <AMC_CODE1>SBIMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>SBI CRISIL IBX FINANCIAL SERVICES 3-6 MONTHS DEBT INDEX FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-04-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>L708DP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51662</Unique_No>
    <SCHEME_CODE>SBD708P-DP</SCHEME_CODE>
    <RTA_x0020_Code>D708P</RTA_x0020_Code>
    <AMC_SCHEME_CODE>708D1D</AMC_SCHEME_CODE>
    <ISIN>INF200KB1AP7</ISIN>
    <AMC_CODE1>SBIMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>SBI CRISIL IBX FINANCIAL SERVICES 3-6 MONTHS DEBT INDEX FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
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    <STP>N</STP>
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    <End_Date>2099-04-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>LD708P</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51663</Unique_No>
    <SCHEME_CODE>SBD708G-GR</SCHEME_CODE>
    <RTA_x0020_Code>D708G</RTA_x0020_Code>
    <AMC_SCHEME_CODE>708G1D</AMC_SCHEME_CODE>
    <ISIN>INF200KB1AO0</ISIN>
    <AMC_CODE1>SBIMutualFund_MF</AMC_CODE1>
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    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
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    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-04-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>LD708G</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51664</Unique_No>
    <SCHEME_CODE>SBD708D-DR</SCHEME_CODE>
    <RTA_x0020_Code>D708D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>708D1D</AMC_SCHEME_CODE>
    <ISIN>INF200KB1AQ5</ISIN>
    <AMC_CODE1>SBIMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>SBI CRISIL IBX FINANCIAL SERVICES 3-6 MONTHS DEBT INDEX FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-04-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>LD708D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51665</Unique_No>
    <SCHEME_CODE>SBD708D-DP</SCHEME_CODE>
    <RTA_x0020_Code>D708D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>708D1D</AMC_SCHEME_CODE>
    <ISIN>INF200KB1AQ5</ISIN>
    <AMC_CODE1>SBIMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>SBI CRISIL IBX FINANCIAL SERVICES 3-6 MONTHS DEBT INDEX FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
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    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-04-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>LD708D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51666</Unique_No>
    <SCHEME_CODE>SB708D-DR</SCHEME_CODE>
    <RTA_x0020_Code>708D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>708D</AMC_SCHEME_CODE>
    <ISIN>INF200KB1AN2</ISIN>
    <AMC_CODE1>SBIMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>SBI CRISIL IBX FINANCIAL SERVICES 3-6 MONTHS DEBT INDEX FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-04-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>L708D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51667</Unique_No>
    <SCHEME_CODE>SB708D-DP</SCHEME_CODE>
    <RTA_x0020_Code>708D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>708D</AMC_SCHEME_CODE>
    <ISIN>INF200KB1AN2</ISIN>
    <AMC_CODE1>SBIMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>SBI CRISIL IBX FINANCIAL SERVICES 3-6 MONTHS DEBT INDEX FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-04-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>L708D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51668</Unique_No>
    <SCHEME_CODE>SB709D-DR</SCHEME_CODE>
    <RTA_x0020_Code>709D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>709D</AMC_SCHEME_CODE>
    <ISIN>INF200KB1AT9</ISIN>
    <AMC_CODE1>SBIMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>SBI CRISIL IBX FINANCIAL SERVICES 9-12 MONTHS DEBT INDEX FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
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    <Start_Date>2026-04-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>L709D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51669</Unique_No>
    <SCHEME_CODE>SB709D-DP</SCHEME_CODE>
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    <AMC_CODE1>SBIMutualFund_MF</AMC_CODE1>
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    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-04-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>L709D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51670</Unique_No>
    <SCHEME_CODE>SB709DP-DP</SCHEME_CODE>
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    <ISIN>INF200KB1AS1</ISIN>
    <AMC_CODE1>SBIMutualFund_MF</AMC_CODE1>
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    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
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    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-04-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
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  </BSEFundMast>
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    <Unique_No>51671</Unique_No>
    <SCHEME_CODE>SB709G-GR</SCHEME_CODE>
    <RTA_x0020_Code>709G</RTA_x0020_Code>
    <AMC_SCHEME_CODE>709G</AMC_SCHEME_CODE>
    <ISIN>INF200KB1AR3</ISIN>
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    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <Start_Date>2026-04-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <AMC_IND />
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    <Unique_No>51673</Unique_No>
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    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <Start_Date>2026-04-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51674</Unique_No>
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    <AMC_CODE1>SBIMutualFund_MF</AMC_CODE1>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <Start_Date>2026-04-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
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    <SWITCH_Flag>Y</SWITCH_Flag>
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    <CHA_PAT_Cod>LD709G</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>51675</Unique_No>
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    <AMC_CODE1>SBIMutualFund_MF</AMC_CODE1>
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    <PUR_TXNMODE>D</PUR_TXNMODE>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_TXNMODE>D</RED_TXNMODE>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <Start_Date>2026-04-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>LD709P</CHA_PAT_Cod>
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    <Unique_No>51676</Unique_No>
    <SCHEME_CODE>JI230-GR-L1</SCHEME_CODE>
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    <ISIN>INF22M001176</ISIN>
    <AMC_CODE1>JIOBLACKROCKMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>JIOBLACKROCK LARGE CAP FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <PUR_ALLOWED>Y</PUR_ALLOWED>
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    <RED_TXNMODE>DP</RED_TXNMODE>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <STP>N</STP>
    <TAT>L1</TAT>
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    <Start_Date>2026-04-16T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-16T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>JIO230</CHA_PAT_Cod>
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    <Unique_No>51677</Unique_No>
    <SCHEME_CODE>ZEZNH73-GR-L1</SCHEME_CODE>
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    <SCHEME_NAME>ZERODHA NIFTY LARGEMIDCAP250 PLUS 8-13 YR G-SEC 70:30 INDEX FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
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    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
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    <Start_Date>2026-04-22T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-22T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>ZZNH73</CHA_PAT_Cod>
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    <Unique_No>51678</Unique_No>
    <SCHEME_CODE>RGBSD1-GR</SCHEME_CODE>
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    <AMC_CODE1>INVESCOMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>INVESCO INDIA BSE SENSEX INDEX FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
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    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-18T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-18T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>120BSD1</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>51679</Unique_No>
    <SCHEME_CODE>RGBSGP-GR</SCHEME_CODE>
    <RTA_x0020_Code>BSGP</RTA_x0020_Code>
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    <ISIN>INF205KA1BL0</ISIN>
    <AMC_CODE1>INVESCOMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>INVESCO INDIA BSE SENSEX INDEX FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-18T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-18T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>120BSGP</CHA_PAT_Cod>
  </BSEFundMast>
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    <Unique_No>51680</Unique_No>
    <SCHEME_CODE>RGBND1-GR</SCHEME_CODE>
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    <AMC_CODE1>INVESCOMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>INVESCO INDIA NIFTY BANK INDEX FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
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    <End_Date>2099-05-18T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <Start_Date>2026-04-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>L708G</CHA_PAT_Cod>
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    <Unique_No>51683</Unique_No>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <Start_Date>2026-04-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <AMC_IND />
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    <Unique_No>51684</Unique_No>
    <SCHEME_CODE>SBD708P-DP-L1</SCHEME_CODE>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <Start_Date>2026-04-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <CHA_PAT_Cod>LD708P</CHA_PAT_Cod>
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    <Unique_No>51685</Unique_No>
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    <PUR_TXNMODE>DP</PUR_TXNMODE>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
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    <RED_TXNMODE>DP</RED_TXNMODE>
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    <End_Date>2099-04-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>LD708G</CHA_PAT_Cod>
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    <Unique_No>51686</Unique_No>
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    <Start_Date>2026-04-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <CHA_PAT_Cod>LD708D</CHA_PAT_Cod>
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    <Unique_No>51687</Unique_No>
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    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <CHA_PAT_Cod>LD708D</CHA_PAT_Cod>
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    <Unique_No>51688</Unique_No>
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    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <Start_Date>2026-04-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <AMC_IND />
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <Start_Date>2026-04-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <Unique_No>51693</Unique_No>
    <SCHEME_CODE>SB709G-GR-L1</SCHEME_CODE>
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    <ISIN>INF200KB1AR3</ISIN>
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    <Start_Date>2026-04-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <CHA_PAT_Cod>L709G</CHA_PAT_Cod>
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    <Unique_No>51694</Unique_No>
    <SCHEME_CODE>SBD709D-DR-L1</SCHEME_CODE>
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    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <Unique_No>51695</Unique_No>
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    <Start_Date>2026-04-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <CHA_PAT_Cod>LD709D</CHA_PAT_Cod>
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    <Unique_No>51696</Unique_No>
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    <End_Date>2099-04-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <CHA_PAT_Cod>LD709G</CHA_PAT_Cod>
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    <Unique_No>51697</Unique_No>
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    <End_Date>2099-04-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>TSTED</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51699</Unique_No>
    <SCHEME_CODE>TTSTED-DP</SCHEME_CODE>
    <RTA_x0020_Code>TED</RTA_x0020_Code>
    <AMC_SCHEME_CODE>TELSFSIFA</AMC_SCHEME_CODE>
    <ISIN>INF277K30088</ISIN>
    <AMC_CODE1>TATAMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>TITANIUM EQUITY LONG-SHORT FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>TSTED</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51700</Unique_No>
    <SCHEME_CODE>TTSTEDZ-DR</SCHEME_CODE>
    <RTA_x0020_Code>TEDZ</RTA_x0020_Code>
    <AMC_SCHEME_CODE>TELSFSIFC</AMC_SCHEME_CODE>
    <ISIN>INF277K30112</ISIN>
    <AMC_CODE1>TATAMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>TITANIUM EQUITY LONG-SHORT FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>TSTEDZ</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51701</Unique_No>
    <SCHEME_CODE>TTSTEDZ-DP</SCHEME_CODE>
    <RTA_x0020_Code>TEDZ</RTA_x0020_Code>
    <AMC_SCHEME_CODE>TELSFSIFC</AMC_SCHEME_CODE>
    <ISIN>INF277K30112</ISIN>
    <AMC_CODE1>TATAMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>TITANIUM EQUITY LONG-SHORT FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>TSTEDZ</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51702</Unique_No>
    <SCHEME_CODE>TTSTEG-GR</SCHEME_CODE>
    <RTA_x0020_Code>TEG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>TELSFSIFB</AMC_SCHEME_CODE>
    <ISIN>INF277K30070</ISIN>
    <AMC_CODE1>TATAMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>TITANIUM EQUITY LONG-SHORT FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>TSTEG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51703</Unique_No>
    <SCHEME_CODE>TTSTEGZ-GR</SCHEME_CODE>
    <RTA_x0020_Code>TEGZ</RTA_x0020_Code>
    <AMC_SCHEME_CODE>TELSFSIFD</AMC_SCHEME_CODE>
    <ISIN>INF277K30104</ISIN>
    <AMC_CODE1>TATAMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>TITANIUM EQUITY LONG-SHORT FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>TSTEGZ</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51704</Unique_No>
    <SCHEME_CODE>TTSTEDP-DP</SCHEME_CODE>
    <RTA_x0020_Code>TEDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>TELSFSIFA</AMC_SCHEME_CODE>
    <ISIN>INF277K30096</ISIN>
    <AMC_CODE1>TATAMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>TITANIUM EQUITY LONG-SHORT FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>TSTEDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51705</Unique_No>
    <SCHEME_CODE>TTSTEDZP-DP</SCHEME_CODE>
    <RTA_x0020_Code>TEDZP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>TELSFSIFC</AMC_SCHEME_CODE>
    <ISIN>INF277K30120</ISIN>
    <AMC_CODE1>TATAMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>TITANIUM EQUITY LONG-SHORT FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>TSTEDZP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51706</Unique_No>
    <SCHEME_CODE>QUSF5D1-DP</SCHEME_CODE>
    <RTA_x0020_Code>F5D1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>F5D1D</AMC_SCHEME_CODE>
    <ISIN>INF966L30290</ISIN>
    <AMC_CODE1>QUANTMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>QSIF SECTOR ROTATION LONG-SHORT FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-18T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-18T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>905F5D1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51707</Unique_No>
    <SCHEME_CODE>QUSF5D1-DR</SCHEME_CODE>
    <RTA_x0020_Code>F5D1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>F5D1R</AMC_SCHEME_CODE>
    <ISIN>INF966L30282</ISIN>
    <AMC_CODE1>QUANTMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>QSIF SECTOR ROTATION LONG-SHORT FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-18T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-18T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>905F5D1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51708</Unique_No>
    <SCHEME_CODE>QUSF5DG-GR</SCHEME_CODE>
    <RTA_x0020_Code>F5DG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>F5DGG</AMC_SCHEME_CODE>
    <ISIN>INF966L30274</ISIN>
    <AMC_CODE1>QUANTMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>QSIF SECTOR ROTATION LONG-SHORT FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-18T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-18T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>905F5DG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51709</Unique_No>
    <SCHEME_CODE>QUSF5DP-DP</SCHEME_CODE>
    <RTA_x0020_Code>F5DP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>F5DPD</AMC_SCHEME_CODE>
    <ISIN>INF966L30324</ISIN>
    <AMC_CODE1>QUANTMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>QSIF SECTOR ROTATION LONG-SHORT FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-18T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-18T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>905F5DP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51710</Unique_No>
    <SCHEME_CODE>QUSF5DP-DR</SCHEME_CODE>
    <RTA_x0020_Code>F5DP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>F5DPR</AMC_SCHEME_CODE>
    <ISIN>INF966L30316</ISIN>
    <AMC_CODE1>QUANTMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>QSIF SECTOR ROTATION LONG-SHORT FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-18T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-18T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>905F5DP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51711</Unique_No>
    <SCHEME_CODE>QUSF5GP-GR</SCHEME_CODE>
    <RTA_x0020_Code>F5GP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>F5GPG</AMC_SCHEME_CODE>
    <ISIN>INF966L30308</ISIN>
    <AMC_CODE1>QUANTMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>QSIF SECTOR ROTATION LONG-SHORT FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-18T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-18T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>905F5GP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51712</Unique_No>
    <SCHEME_CODE>INARG1-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>ARG1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>ARG1G</AMC_SCHEME_CODE>
    <ISIN>INF666M01ON8</ISIN>
    <AMC_CODE1>GROWWMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>GROWW ARBITRAGE FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-04-29T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-29T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125ARG1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51713</Unique_No>
    <SCHEME_CODE>INARD1-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>ARD1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>ARD1D</AMC_SCHEME_CODE>
    <ISIN>INF666M01OO6</ISIN>
    <AMC_CODE1>GROWWMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>GROWW ARBITRAGE FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-04-29T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-29T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125ARD1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51715</Unique_No>
    <SCHEME_CODE>INARGP-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>ARGP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>ARGPG</AMC_SCHEME_CODE>
    <ISIN>INF666M01OQ1</ISIN>
    <AMC_CODE1>GROWWMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>GROWW ARBITRAGE FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-04-29T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-29T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125ARGP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51716</Unique_No>
    <SCHEME_CODE>INARDP-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>ARDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>ARDPD</AMC_SCHEME_CODE>
    <ISIN>INF666M01OR9</ISIN>
    <AMC_CODE1>GROWWMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>GROWW ARBITRAGE FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-04-29T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-29T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125ARDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51734</Unique_No>
    <SCHEME_CODE>KO1289-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>1289</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K1289</AMC_SCHEME_CODE>
    <ISIN>INF174KA1ZR3</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK MULTI ASSET ACTIVE FOF - REGULAR PLAN - GROWTH</SCHEME_NAME>
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    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
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    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <Unique_No>51735</Unique_No>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <Start_Date>2026-04-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <ISIN>INF174KA1ZO0</ISIN>
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    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
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    <RED_TXNMODE>DP</RED_TXNMODE>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
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    <Start_Date>2026-04-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <AMC_IND />
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    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K1289D</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>51737</Unique_No>
    <SCHEME_CODE>KO1290D-DR-L1</SCHEME_CODE>
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    <AMC_SCHEME_CODE>K1290D</AMC_SCHEME_CODE>
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    <SCHEME_NAME>KOTAK MULTI ASSET ACTIVE FOF - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <Start_Date>2026-04-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K1290D</CHA_PAT_Cod>
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    <Unique_No>51738</Unique_No>
    <SCHEME_CODE>KO129P0-DP-L1</SCHEME_CODE>
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    <AMC_SCHEME_CODE>K129P0</AMC_SCHEME_CODE>
    <ISIN>INF174KA1ZS1</ISIN>
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    <SCHEME_NAME>KOTAK MULTI ASSET ACTIVE FOF - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
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    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <Start_Date>2026-04-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-04-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K129P0</CHA_PAT_Cod>
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    <Unique_No>51739</Unique_No>
    <SCHEME_CODE>KO129D0-DP-L1</SCHEME_CODE>
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    <AMC_SCHEME_CODE>K129D0</AMC_SCHEME_CODE>
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    <SCHEME_NAME>KOTAK MULTI ASSET ACTIVE FOF - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
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    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <CHA_PAT_Cod>K129D0</CHA_PAT_Cod>
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    <Unique_No>51740</Unique_No>
    <SCHEME_CODE>KO1290-DP-L1</SCHEME_CODE>
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    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
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    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <Unique_No>51741</Unique_No>
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    <End_Date>2099-04-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <SWITCH_Flag>N</SWITCH_Flag>
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    <CHA_PAT_Cod>K1290D</CHA_PAT_Cod>
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    <Unique_No>51742</Unique_No>
    <SCHEME_CODE>UASELSRG-GR</SCHEME_CODE>
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    <SCHEME_NAME>ARTHAYA EQUITY LONG SHORT FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
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    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
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    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
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    <Start_Date>2026-05-29T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-29T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <SWITCH_Flag>N</SWITCH_Flag>
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    <LOC_Flag>N</LOC_Flag>
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    <CHA_PAT_Cod>UKSELSRG</CHA_PAT_Cod>
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    <Unique_No>51743</Unique_No>
    <SCHEME_CODE>UASELSRR-DR</SCHEME_CODE>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
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    <SCHEMETYPE>EQUITY</SCHEMETYPE>
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    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
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    <Start_Date>2026-05-29T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-29T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>UKSELSRR</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51744</Unique_No>
    <SCHEME_CODE>UASELSRP-DP</SCHEME_CODE>
    <RTA_x0020_Code>ELSRP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>UKS</AMC_SCHEME_CODE>
    <ISIN>INF582M30020</ISIN>
    <AMC_CODE1>UNIONMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARTHAYA EQUITY LONG SHORT FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
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    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
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    <RED_TXNMODE>DP</RED_TXNMODE>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
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    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-29T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-29T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>UKSELSRP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51745</Unique_No>
    <SCHEME_CODE>UASELSDG-GR</SCHEME_CODE>
    <RTA_x0020_Code>ELSDG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>UKS</AMC_SCHEME_CODE>
    <ISIN>INF582M30046</ISIN>
    <AMC_CODE1>UNIONMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARTHAYA EQUITY LONG SHORT FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-29T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-29T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>UKSELSDG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51746</Unique_No>
    <SCHEME_CODE>UASELSDR-DR</SCHEME_CODE>
    <RTA_x0020_Code>ELSDR</RTA_x0020_Code>
    <AMC_SCHEME_CODE>UKS</AMC_SCHEME_CODE>
    <ISIN>INF582M30061</ISIN>
    <AMC_CODE1>UNIONMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARTHAYA EQUITY LONG SHORT FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-29T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-29T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>UKSELSDR</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51747</Unique_No>
    <SCHEME_CODE>UASELSDP-DP</SCHEME_CODE>
    <RTA_x0020_Code>ELSDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>UKS</AMC_SCHEME_CODE>
    <ISIN>INF582M30053</ISIN>
    <AMC_CODE1>UNIONMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ARTHAYA EQUITY LONG SHORT FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
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    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-29T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-29T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>UKSELSDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51748</Unique_No>
    <SCHEME_CODE>AXNCDG-GR</SCHEME_CODE>
    <RTA_x0020_Code>NCDG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>NCDGG</AMC_SCHEME_CODE>
    <ISIN>INF846KA1549</ISIN>
    <AMC_CODE1>AXISMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>AXIS NIFTY CAPITAL MARKETS INDEX FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-25T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-25T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>128NCDG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51749</Unique_No>
    <SCHEME_CODE>AXNCGP-GR</SCHEME_CODE>
    <RTA_x0020_Code>NCGP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>NCGPG</AMC_SCHEME_CODE>
    <ISIN>INF846KA1531</ISIN>
    <AMC_CODE1>AXISMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>AXIS NIFTY CAPITAL MARKETS INDEX FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
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    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-25T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-25T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>128NCGP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51752</Unique_No>
    <SCHEME_CODE>INYJG1-GR</SCHEME_CODE>
    <RTA_x0020_Code>YJG1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>YJG1G</AMC_SCHEME_CODE>
    <ISIN>INF666M01OU3</ISIN>
    <AMC_CODE1>GROWWMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>GROWW NIFTY PRIVATE BANK INDEX FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125YJG1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51753</Unique_No>
    <SCHEME_CODE>INYJD1-DP</SCHEME_CODE>
    <RTA_x0020_Code>YJD1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>YJD1D</AMC_SCHEME_CODE>
    <ISIN>INF666M01OV1</ISIN>
    <AMC_CODE1>GROWWMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>GROWW NIFTY PRIVATE BANK INDEX FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125YJD1</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>51754</Unique_No>
    <SCHEME_CODE>INYJD1-DR</SCHEME_CODE>
    <RTA_x0020_Code>YJD1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>YJD1R</AMC_SCHEME_CODE>
    <ISIN>INF666M01OW9</ISIN>
    <AMC_CODE1>GROWWMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>GROWW NIFTY PRIVATE BANK INDEX FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125YJD1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51755</Unique_No>
    <SCHEME_CODE>INYJGP-GR</SCHEME_CODE>
    <RTA_x0020_Code>YJGP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>YJGPG</AMC_SCHEME_CODE>
    <ISIN>INF666M01OX7</ISIN>
    <AMC_CODE1>GROWWMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>GROWW NIFTY PRIVATE BANK INDEX FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125YJGP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51756</Unique_No>
    <SCHEME_CODE>INYJDP-DP</SCHEME_CODE>
    <RTA_x0020_Code>YJDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>YJDPD</AMC_SCHEME_CODE>
    <ISIN>INF666M01OY5</ISIN>
    <AMC_CODE1>GROWWMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>GROWW NIFTY PRIVATE BANK INDEX FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125YJDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51757</Unique_No>
    <SCHEME_CODE>INYJDP-DR</SCHEME_CODE>
    <RTA_x0020_Code>YJDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>YJDPR</AMC_SCHEME_CODE>
    <ISIN>INF666M01OZ2</ISIN>
    <AMC_CODE1>GROWWMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>GROWW NIFTY PRIVATE BANK INDEX FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125YJDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51760</Unique_No>
    <SCHEME_CODE>AXNDDG-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>NDDG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>NDDGG</AMC_SCHEME_CODE>
    <ISIN>INF846KA1523</ISIN>
    <AMC_CODE1>AXISMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>AXIS NIFTY INDIA DEFENCE INDEX FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-06T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-06T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>128NDDG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51761</Unique_No>
    <SCHEME_CODE>AXNDGP-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>NDGP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>NDGPG</AMC_SCHEME_CODE>
    <ISIN>INF846KA1515</ISIN>
    <AMC_CODE1>AXISMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>AXIS NIFTY INDIA DEFENCE INDEX FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-06T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-06T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>128NDGP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51766</Unique_No>
    <SCHEME_CODE>MOCTGD-GR</SCHEME_CODE>
    <RTA_x0020_Code>CTGD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>CTGD</AMC_SCHEME_CODE>
    <ISIN>INF247L01GW6</ISIN>
    <AMC_CODE1>MOTILALOSWAL_MF</AMC_CODE1>
    <SCHEME_NAME>MOTILAL OSWAL CONTRA FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>127CTGD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51767</Unique_No>
    <SCHEME_CODE>MOCTPD-DP</SCHEME_CODE>
    <RTA_x0020_Code>CTPD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>CTPD</AMC_SCHEME_CODE>
    <ISIN>INF247L01GX4</ISIN>
    <AMC_CODE1>MOTILALOSWAL_MF</AMC_CODE1>
    <SCHEME_NAME>MOTILAL OSWAL CONTRA FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>127CTPD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51768</Unique_No>
    <SCHEME_CODE>MOCTPD-DR</SCHEME_CODE>
    <RTA_x0020_Code>CTPD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>CTPD</AMC_SCHEME_CODE>
    <ISIN>INF247L01GY2</ISIN>
    <AMC_CODE1>MOTILALOSWAL_MF</AMC_CODE1>
    <SCHEME_NAME>MOTILAL OSWAL CONTRA FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>127CTPD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51769</Unique_No>
    <SCHEME_CODE>MOCTGP-GR</SCHEME_CODE>
    <RTA_x0020_Code>CTGP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>CTGP</AMC_SCHEME_CODE>
    <ISIN>INF247L01GZ9</ISIN>
    <AMC_CODE1>MOTILALOSWAL_MF</AMC_CODE1>
    <SCHEME_NAME>MOTILAL OSWAL CONTRA FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>127CTGP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51770</Unique_No>
    <SCHEME_CODE>MOCTDP-DP</SCHEME_CODE>
    <RTA_x0020_Code>CTDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>CTDP</AMC_SCHEME_CODE>
    <ISIN>INF247L01HA0</ISIN>
    <AMC_CODE1>MOTILALOSWAL_MF</AMC_CODE1>
    <SCHEME_NAME>MOTILAL OSWAL CONTRA FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>127CTDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51771</Unique_No>
    <SCHEME_CODE>MOCTDP-DR</SCHEME_CODE>
    <RTA_x0020_Code>CTDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>CTDP</AMC_SCHEME_CODE>
    <ISIN>INF247L01HB8</ISIN>
    <AMC_CODE1>MOTILALOSWAL_MF</AMC_CODE1>
    <SCHEME_NAME>MOTILAL OSWAL CONTRA FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>127CTDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51774</Unique_No>
    <SCHEME_CODE>KO429D-DR</SCHEME_CODE>
    <RTA_x0020_Code>429D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K429D</AMC_SCHEME_CODE>
    <ISIN>INF174KA1ZU7</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK LOW DURATION FUND - DIRECT PLAN - IDCW WEEKLY REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K429D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51775</Unique_No>
    <SCHEME_CODE>KO429D-DP</SCHEME_CODE>
    <RTA_x0020_Code>429D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K429D</AMC_SCHEME_CODE>
    <ISIN>INF174KA1ZU7</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK LOW DURATION FUND - DIRECT PLAN - IDCW WEEKLY PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K429D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51776</Unique_No>
    <SCHEME_CODE>KO429DD-DP</SCHEME_CODE>
    <RTA_x0020_Code>429DD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K429DD</AMC_SCHEME_CODE>
    <ISIN>INF174KA1ZW3</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK LOW DURATION FUND - DIRECT PLAN - IDCW WEEKLY PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K429DD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51777</Unique_No>
    <SCHEME_CODE>KO429-DR</SCHEME_CODE>
    <RTA_x0020_Code>429</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K429</AMC_SCHEME_CODE>
    <ISIN>INF174KA1ZX1</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK LOW DURATION FUND - REGULAR PLAN - IDCW WEEKLY REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K429</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51778</Unique_No>
    <SCHEME_CODE>KO429-DP</SCHEME_CODE>
    <RTA_x0020_Code>429</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K429</AMC_SCHEME_CODE>
    <ISIN>INF174KA1ZX1</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK LOW DURATION FUND - REGULAR PLAN - IDCW WEEKLY PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K429</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51779</Unique_No>
    <SCHEME_CODE>KO429DP-DP</SCHEME_CODE>
    <RTA_x0020_Code>429DP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K429DP</AMC_SCHEME_CODE>
    <ISIN>INF174KA1ZV5</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK LOW DURATION FUND - REGULAR PLAN - IDCW WEEKLY PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K429DP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51780</Unique_No>
    <SCHEME_CODE>KO430D-DR</SCHEME_CODE>
    <RTA_x0020_Code>430D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K430D</AMC_SCHEME_CODE>
    <ISIN>INF174KA1ZY9</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK LOW DURATION FUND - DIRECT PLAN - IDCW MONTHLY REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K430D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51781</Unique_No>
    <SCHEME_CODE>KO430D-DP</SCHEME_CODE>
    <RTA_x0020_Code>430D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K430D</AMC_SCHEME_CODE>
    <ISIN>INF174KA1ZY9</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK LOW DURATION FUND - DIRECT PLAN - IDCW MONTHLY PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K430D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51782</Unique_No>
    <SCHEME_CODE>KO430DD-DP</SCHEME_CODE>
    <RTA_x0020_Code>430DD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K430DD</AMC_SCHEME_CODE>
    <ISIN>INF174KA1A03</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK LOW DURATION FUND - DIRECT PLAN - IDCW MONTHLY PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K430DD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51783</Unique_No>
    <SCHEME_CODE>KO430-DR</SCHEME_CODE>
    <RTA_x0020_Code>430</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K430</AMC_SCHEME_CODE>
    <ISIN>INF174KA1A11</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK LOW DURATION FUND - REGULAR PLAN - IDCW MONTHLY REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K430</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51784</Unique_No>
    <SCHEME_CODE>KO430-DP</SCHEME_CODE>
    <RTA_x0020_Code>430</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K430</AMC_SCHEME_CODE>
    <ISIN>INF174KA1A11</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK LOW DURATION FUND - REGULAR PLAN - IDCW MONTHLY PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K430</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51785</Unique_No>
    <SCHEME_CODE>KO430DP-DP</SCHEME_CODE>
    <RTA_x0020_Code>430DP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K430DP</AMC_SCHEME_CODE>
    <ISIN>INF174KA1ZZ6</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK LOW DURATION FUND - REGULAR PLAN - IDCW MONTHLY PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K430DP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51786</Unique_No>
    <SCHEME_CODE>KO429D-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>429D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K429D</AMC_SCHEME_CODE>
    <ISIN>INF174KA1ZU7</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK LOW DURATION FUND - DIRECT PLAN - IDCW WEEKLY REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K429D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51787</Unique_No>
    <SCHEME_CODE>KO429D-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>429D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K429D</AMC_SCHEME_CODE>
    <ISIN>INF174KA1ZU7</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK LOW DURATION FUND - DIRECT PLAN - IDCW WEEKLY PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K429D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51788</Unique_No>
    <SCHEME_CODE>KO429DD-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>429DD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K429DD</AMC_SCHEME_CODE>
    <ISIN>INF174KA1ZW3</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK LOW DURATION FUND - DIRECT PLAN - IDCW WEEKLY PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K429DD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51789</Unique_No>
    <SCHEME_CODE>KO429-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>429</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K429</AMC_SCHEME_CODE>
    <ISIN>INF174KA1ZX1</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK LOW DURATION FUND - REGULAR PLAN - IDCW WEEKLY REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K429</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51790</Unique_No>
    <SCHEME_CODE>KO429-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>429</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K429</AMC_SCHEME_CODE>
    <ISIN>INF174KA1ZX1</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK LOW DURATION FUND - REGULAR PLAN - IDCW WEEKLY PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K429</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51791</Unique_No>
    <SCHEME_CODE>KO429DP-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>429DP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K429DP</AMC_SCHEME_CODE>
    <ISIN>INF174KA1ZV5</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK LOW DURATION FUND - REGULAR PLAN - IDCW WEEKLY PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K429DP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51792</Unique_No>
    <SCHEME_CODE>KO430D-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>430D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K430D</AMC_SCHEME_CODE>
    <ISIN>INF174KA1ZY9</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK LOW DURATION FUND - DIRECT PLAN - IDCW MONTHLY REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K430D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51793</Unique_No>
    <SCHEME_CODE>KO430D-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>430D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K430D</AMC_SCHEME_CODE>
    <ISIN>INF174KA1ZY9</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK LOW DURATION FUND - DIRECT PLAN - IDCW MONTHLY PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K430D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51794</Unique_No>
    <SCHEME_CODE>KO430DD-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>430DD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K430DD</AMC_SCHEME_CODE>
    <ISIN>INF174KA1A03</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK LOW DURATION FUND - DIRECT PLAN - IDCW MONTHLY PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K430DD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51795</Unique_No>
    <SCHEME_CODE>KO430-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>430</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K430</AMC_SCHEME_CODE>
    <ISIN>INF174KA1A11</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK LOW DURATION FUND - REGULAR PLAN - IDCW MONTHLY REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K430</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51796</Unique_No>
    <SCHEME_CODE>KO430-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>430</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K430</AMC_SCHEME_CODE>
    <ISIN>INF174KA1A11</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK LOW DURATION FUND - REGULAR PLAN - IDCW MONTHLY PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K430</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51797</Unique_No>
    <SCHEME_CODE>KO430DP-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>430DP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K430DP</AMC_SCHEME_CODE>
    <ISIN>INF174KA1ZZ6</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK LOW DURATION FUND - REGULAR PLAN - IDCW MONTHLY PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K430DP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51798</Unique_No>
    <SCHEME_CODE>SB713D-DR</SCHEME_CODE>
    <RTA_x0020_Code>713D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>713D</AMC_SCHEME_CODE>
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    <End_Date>2099-06-01T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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  <BSEFundMast>
    <Unique_No>51799</Unique_No>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <Start_Date>2026-06-01T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-01T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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  <BSEFundMast>
    <Unique_No>51800</Unique_No>
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    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <STP>N</STP>
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    <Start_Date>2026-06-01T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-01T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
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    <CHA_PAT_Cod>L713G</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>51801</Unique_No>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <Start_Date>2026-06-01T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-01T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
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    <CHA_PAT_Cod>LD713D</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>51802</Unique_No>
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    <RTA_x0020_Code>D713G</RTA_x0020_Code>
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    <ISIN>INF200KB1BC3</ISIN>
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    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_TXNMODE>DP</RED_TXNMODE>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <Start_Date>2026-06-01T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-01T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
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    <CHA_PAT_Cod>LD713G</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51803</Unique_No>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <Start_Date>2026-06-01T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-01T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <RED_AMT_MUL>0.01</RED_AMT_MUL>
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    <CHA_PAT_Cod>LD713P</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>51804</Unique_No>
    <SCHEME_CODE>SB713D-DP</SCHEME_CODE>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <End_Date>2099-06-01T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <Unique_No>51805</Unique_No>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <End_Date>2099-06-01T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <Unique_No>51806</Unique_No>
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    <SCHEME_NAME>SBI CRISIL-IBX 10:90 GILT SDL INDEX - DEC 2029 INDEX FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
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    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <End_Date>2099-06-01T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <SWITCH_Flag>Y</SWITCH_Flag>
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    <Unique_No>51807</Unique_No>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
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    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
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    <Start_Date>2026-06-01T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-01T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
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    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
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    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>L712DP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51808</Unique_No>
    <SCHEME_CODE>SB712G-GR</SCHEME_CODE>
    <RTA_x0020_Code>712G</RTA_x0020_Code>
    <AMC_SCHEME_CODE>712G</AMC_SCHEME_CODE>
    <ISIN>INF200KB1BF6</ISIN>
    <AMC_CODE1>SBIMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>SBI CRISIL-IBX 10:90 GILT SDL INDEX - DEC 2029 INDEX FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-01T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-01T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>L712G</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51809</Unique_No>
    <SCHEME_CODE>SBD712D-DR</SCHEME_CODE>
    <RTA_x0020_Code>D712D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>712D1D</AMC_SCHEME_CODE>
    <ISIN>INF200KB1BK6</ISIN>
    <AMC_CODE1>SBIMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>SBI CRISIL-IBX 10:90 GILT SDL INDEX - DEC 2029 INDEX FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-01T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-01T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>LD712D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51810</Unique_No>
    <SCHEME_CODE>SBD712G-GR</SCHEME_CODE>
    <RTA_x0020_Code>D712G</RTA_x0020_Code>
    <AMC_SCHEME_CODE>712D1G</AMC_SCHEME_CODE>
    <ISIN>INF200KB1BI0</ISIN>
    <AMC_CODE1>SBIMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>SBI CRISIL-IBX 10:90 GILT SDL INDEX - DEC 2029 INDEX FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
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    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-01T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-01T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>LD712G</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51811</Unique_No>
    <SCHEME_CODE>SBD712P-DP</SCHEME_CODE>
    <RTA_x0020_Code>D712P</RTA_x0020_Code>
    <AMC_SCHEME_CODE>712D1D</AMC_SCHEME_CODE>
    <ISIN>INF200KB1BJ8</ISIN>
    <AMC_CODE1>SBIMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>SBI CRISIL-IBX 10:90 GILT SDL INDEX - DEC 2029 INDEX FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
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    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-01T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-01T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>LD712P</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51812</Unique_No>
    <SCHEME_CODE>SB712D-DP</SCHEME_CODE>
    <RTA_x0020_Code>712D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>712D</AMC_SCHEME_CODE>
    <ISIN>INF200KB1BH2</ISIN>
    <AMC_CODE1>SBIMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>SBI CRISIL-IBX 10:90 GILT SDL INDEX - DEC 2029 INDEX FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-01T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-01T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>L712D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51813</Unique_No>
    <SCHEME_CODE>SBD712D-DP</SCHEME_CODE>
    <RTA_x0020_Code>D712D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>712D1D</AMC_SCHEME_CODE>
    <ISIN>INF200KB1BK6</ISIN>
    <AMC_CODE1>SBIMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>SBI CRISIL-IBX 10:90 GILT SDL INDEX - DEC 2029 INDEX FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-01T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-01T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>LD712D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51814</Unique_No>
    <SCHEME_CODE>RGBND1-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>BND1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>BND1</AMC_SCHEME_CODE>
    <ISIN>INF205KA1BO4</ISIN>
    <AMC_CODE1>INVESCOMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>INVESCO INDIA NIFTY BANK INDEX FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-18T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-18T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>120BND1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51815</Unique_No>
    <SCHEME_CODE>RGBNGP-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>BNGP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>BNGP</AMC_SCHEME_CODE>
    <ISIN>INF205KA1BN6</ISIN>
    <AMC_CODE1>INVESCOMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>INVESCO INDIA NIFTY BANK INDEX FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-18T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-18T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>120BNGP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51816</Unique_No>
    <SCHEME_CODE>RGBSD1-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>BSD1</RTA_x0020_Code>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
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    <STP>N</STP>
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    <Start_Date>2026-05-18T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-18T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
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    <Unique_No>51817</Unique_No>
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    <ISIN>INF205KA1BL0</ISIN>
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    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <STP>N</STP>
    <TAT>L1</TAT>
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    <Start_Date>2026-05-18T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-18T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>120BSGP</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>51818</Unique_No>
    <SCHEME_CODE>EISETD1-GR</SCHEME_CODE>
    <RTA_x0020_Code>ETD1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>ETD1</AMC_SCHEME_CODE>
    <ISIN>INF754K30094</ISIN>
    <AMC_CODE1>EDELWEISSMUTUALFUNDSIF_MF</AMC_CODE1>
    <SCHEME_NAME>ALTIVA EQUITY EX-TOP 100 LONG-SHORT FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-10T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-10T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>906ETD1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51819</Unique_No>
    <SCHEME_CODE>EISETD2-DP</SCHEME_CODE>
    <RTA_x0020_Code>ETD2</RTA_x0020_Code>
    <AMC_SCHEME_CODE>ETD2</AMC_SCHEME_CODE>
    <ISIN>INF754K30102</ISIN>
    <AMC_CODE1>EDELWEISSMUTUALFUNDSIF_MF</AMC_CODE1>
    <SCHEME_NAME>ALTIVA EQUITY EX-TOP 100 LONG-SHORT FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
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    <SCHEMETYPE>EQUITY</SCHEMETYPE>
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    <STP>N</STP>
    <TAT>T2</TAT>
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    <Start_Date>2026-06-10T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-10T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>906ETD2</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>51820</Unique_No>
    <SCHEME_CODE>EISETD2-DR</SCHEME_CODE>
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    <AMC_SCHEME_CODE>ETD2</AMC_SCHEME_CODE>
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    <AMC_CODE1>EDELWEISSMUTUALFUNDSIF_MF</AMC_CODE1>
    <SCHEME_NAME>ALTIVA EQUITY EX-TOP 100 LONG-SHORT FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <STP>N</STP>
    <TAT>T2</TAT>
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    <Start_Date>2026-06-10T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-10T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>906ETD2</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>51821</Unique_No>
    <SCHEME_CODE>EISETRG-GR</SCHEME_CODE>
    <RTA_x0020_Code>ETRG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>ETRG</AMC_SCHEME_CODE>
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    <AMC_CODE1>EDELWEISSMUTUALFUNDSIF_MF</AMC_CODE1>
    <SCHEME_NAME>ALTIVA EQUITY EX-TOP 100 LONG-SHORT FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-10T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-10T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>906ETRG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51822</Unique_No>
    <SCHEME_CODE>EISETRD-DP</SCHEME_CODE>
    <RTA_x0020_Code>ETRD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>ETRD</AMC_SCHEME_CODE>
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    <AMC_CODE1>EDELWEISSMUTUALFUNDSIF_MF</AMC_CODE1>
    <SCHEME_NAME>ALTIVA EQUITY EX-TOP 100 LONG-SHORT FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
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    <RED_TXNMODE>DP</RED_TXNMODE>
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    <STP>N</STP>
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    <Start_Date>2026-06-10T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-10T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
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    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>906ETRD</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>51823</Unique_No>
    <SCHEME_CODE>EISETRD-DR</SCHEME_CODE>
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    <AMC_CODE1>EDELWEISSMUTUALFUNDSIF_MF</AMC_CODE1>
    <SCHEME_NAME>ALTIVA EQUITY EX-TOP 100 LONG-SHORT FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_TXNMODE>DP</RED_TXNMODE>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
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    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
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    <Start_Date>2026-06-10T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-10T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <SWITCH_Flag>Y</SWITCH_Flag>
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
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    <CHA_PAT_Cod>906ETRD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51826</Unique_No>
    <SCHEME_CODE>IPS1003-GR</SCHEME_CODE>
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    <AMC_CODE1>ICICIPRUDENTIALMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ISIF ACTIVE ASSET ALLOCATOR LONG-SHORT FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
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    <PUR_AMT_MIN>10000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <STP>N</STP>
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    <Start_Date>2026-06-10T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-10T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
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    <LOC_Flag>N</LOC_Flag>
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    <CHA_PAT_Cod>PS1003</CHA_PAT_Cod>
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    <Unique_No>51827</Unique_No>
    <SCHEME_CODE>IPS6003-GR</SCHEME_CODE>
    <RTA_x0020_Code>6003</RTA_x0020_Code>
    <AMC_SCHEME_CODE>SIFACTLS</AMC_SCHEME_CODE>
    <ISIN>INF109K30067</ISIN>
    <AMC_CODE1>ICICIPRUDENTIALMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ISIF ACTIVE ASSET ALLOCATOR LONG-SHORT FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>10000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-10T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-10T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>PS6003</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51828</Unique_No>
    <SCHEME_CODE>IPS1004-GR</SCHEME_CODE>
    <RTA_x0020_Code>1004</RTA_x0020_Code>
    <AMC_SCHEME_CODE>SIFEQTLS</AMC_SCHEME_CODE>
    <ISIN>INF109K30075</ISIN>
    <AMC_CODE1>ICICIPRUDENTIALMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ISIF EQUITY LONG-SHORT FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>10000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-10T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-10T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>PS1004</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51829</Unique_No>
    <SCHEME_CODE>IPS6004-GR</SCHEME_CODE>
    <RTA_x0020_Code>6004</RTA_x0020_Code>
    <AMC_SCHEME_CODE>SIFEQTLS</AMC_SCHEME_CODE>
    <ISIN>INF109K30083</ISIN>
    <AMC_CODE1>ICICIPRUDENTIALMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>ISIF EQUITY LONG-SHORT FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>10000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-10T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-10T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>PS6004</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51830</Unique_No>
    <SCHEME_CODE>MPSLSD1-GR</SCHEME_CODE>
    <RTA_x0020_Code>LSD1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>LSD1G</AMC_SCHEME_CODE>
    <ISIN>INF769K30043</ISIN>
    <AMC_CODE1>MIRAEASSET_SIF</AMC_CODE1>
    <SCHEME_NAME>PLATINUM HYBRID LONG-SHORT FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>HYBRID (NC)</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1000</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-11T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-11T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>910LSD1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51831</Unique_No>
    <SCHEME_CODE>MPSLSD2-DP</SCHEME_CODE>
    <RTA_x0020_Code>LSD2</RTA_x0020_Code>
    <AMC_SCHEME_CODE>LSD2D</AMC_SCHEME_CODE>
    <ISIN>INF769K30068</ISIN>
    <AMC_CODE1>MIRAEASSET_SIF</AMC_CODE1>
    <SCHEME_NAME>PLATINUM HYBRID LONG-SHORT FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>HYBRID (NC)</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1000</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-11T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-11T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>910LSD2</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51832</Unique_No>
    <SCHEME_CODE>MPSLSD2-DR</SCHEME_CODE>
    <RTA_x0020_Code>LSD2</RTA_x0020_Code>
    <AMC_SCHEME_CODE>LSD2R</AMC_SCHEME_CODE>
    <ISIN>INF769K30050</ISIN>
    <AMC_CODE1>MIRAEASSET_SIF</AMC_CODE1>
    <SCHEME_NAME>PLATINUM HYBRID LONG-SHORT FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>HYBRID (NC)</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1000</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-11T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-11T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>910LSD2</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51833</Unique_No>
    <SCHEME_CODE>MPSLSRD-DP</SCHEME_CODE>
    <RTA_x0020_Code>LSRD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>LSRDD</AMC_SCHEME_CODE>
    <ISIN>INF769K30035</ISIN>
    <AMC_CODE1>MIRAEASSET_SIF</AMC_CODE1>
    <SCHEME_NAME>PLATINUM HYBRID LONG-SHORT FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>HYBRID (NC)</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1000</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-11T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-11T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>910LSRD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51834</Unique_No>
    <SCHEME_CODE>MPSLSRD-DR</SCHEME_CODE>
    <RTA_x0020_Code>LSRD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>LSRDR</AMC_SCHEME_CODE>
    <ISIN>INF769K30027</ISIN>
    <AMC_CODE1>MIRAEASSET_SIF</AMC_CODE1>
    <SCHEME_NAME>PLATINUM HYBRID LONG-SHORT FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>HYBRID (NC)</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1000</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-11T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-11T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>910LSRD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51835</Unique_No>
    <SCHEME_CODE>MPSLSRG-GR</SCHEME_CODE>
    <RTA_x0020_Code>LSRG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>LSRGG</AMC_SCHEME_CODE>
    <ISIN>INF769K30019</ISIN>
    <AMC_CODE1>MIRAEASSET_SIF</AMC_CODE1>
    <SCHEME_NAME>PLATINUM HYBRID LONG-SHORT FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>HYBRID (NC)</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1000</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-11T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-11T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>910LSRG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51836</Unique_No>
    <SCHEME_CODE>WELMDD-DP</SCHEME_CODE>
    <RTA_x0020_Code>LMDD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>LMDDD</AMC_SCHEME_CODE>
    <ISIN>INF2F0001602</ISIN>
    <AMC_CODE1>THEWEALTHCOMPANYMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>THE WEALTH COMPANY LARGE &amp; MID CAP FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-12T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-12T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>174LMDD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51837</Unique_No>
    <SCHEME_CODE>WELMDD-DR</SCHEME_CODE>
    <RTA_x0020_Code>LMDD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>LMDDR</AMC_SCHEME_CODE>
    <ISIN>INF2F0001610</ISIN>
    <AMC_CODE1>THEWEALTHCOMPANYMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>THE WEALTH COMPANY LARGE &amp; MID CAP FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-12T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-12T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>174LMDD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51838</Unique_No>
    <SCHEME_CODE>WELMDG-GR</SCHEME_CODE>
    <RTA_x0020_Code>LMDG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>LMDGG</AMC_SCHEME_CODE>
    <ISIN>INF2F0001594</ISIN>
    <AMC_CODE1>THEWEALTHCOMPANYMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>THE WEALTH COMPANY LARGE &amp; MID CAP FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-12T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-12T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>174LMDG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51839</Unique_No>
    <SCHEME_CODE>WELMRD-DP</SCHEME_CODE>
    <RTA_x0020_Code>LMRD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>LMRDD</AMC_SCHEME_CODE>
    <ISIN>INF2F0001578</ISIN>
    <AMC_CODE1>THEWEALTHCOMPANYMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>THE WEALTH COMPANY LARGE &amp; MID CAP FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-12T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-12T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>174LMRD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51840</Unique_No>
    <SCHEME_CODE>WELMRD-DR</SCHEME_CODE>
    <RTA_x0020_Code>LMRD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>LMRDR</AMC_SCHEME_CODE>
    <ISIN>INF2F0001586</ISIN>
    <AMC_CODE1>THEWEALTHCOMPANYMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>THE WEALTH COMPANY LARGE &amp; MID CAP FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-12T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-12T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>174LMRD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51841</Unique_No>
    <SCHEME_CODE>WELMRG-GR</SCHEME_CODE>
    <RTA_x0020_Code>LMRG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>LMRGG</AMC_SCHEME_CODE>
    <ISIN>INF2F0001560</ISIN>
    <AMC_CODE1>THEWEALTHCOMPANYMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>THE WEALTH COMPANY LARGE &amp; MID CAP FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-12T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-12T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>174LMRG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51842</Unique_No>
    <SCHEME_CODE>AXNCDG-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>NCDG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>NCDGG</AMC_SCHEME_CODE>
    <ISIN>INF846KA1549</ISIN>
    <AMC_CODE1>AXISMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>AXIS NIFTY CAPITAL MARKETS INDEX FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-25T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-25T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>128NCDG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51843</Unique_No>
    <SCHEME_CODE>AXNCGP-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>NCGP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>NCGPG</AMC_SCHEME_CODE>
    <ISIN>INF846KA1531</ISIN>
    <AMC_CODE1>AXISMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>AXIS NIFTY CAPITAL MARKETS INDEX FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-25T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-25T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>128NCGP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51844</Unique_No>
    <SCHEME_CODE>INYJG1-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>YJG1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>YJG1G</AMC_SCHEME_CODE>
    <ISIN>INF666M01OU3</ISIN>
    <AMC_CODE1>GROWWMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>GROWW NIFTY PRIVATE BANK INDEX FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125YJG1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51845</Unique_No>
    <SCHEME_CODE>INYJD1-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>YJD1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>YJD1D</AMC_SCHEME_CODE>
    <ISIN>INF666M01OV1</ISIN>
    <AMC_CODE1>GROWWMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>GROWW NIFTY PRIVATE BANK INDEX FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125YJD1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51846</Unique_No>
    <SCHEME_CODE>INYJD1-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>YJD1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>YJD1R</AMC_SCHEME_CODE>
    <ISIN>INF666M01OW9</ISIN>
    <AMC_CODE1>GROWWMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>GROWW NIFTY PRIVATE BANK INDEX FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125YJD1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51847</Unique_No>
    <SCHEME_CODE>INYJGP-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>YJGP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>YJGPG</AMC_SCHEME_CODE>
    <ISIN>INF666M01OX7</ISIN>
    <AMC_CODE1>GROWWMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>GROWW NIFTY PRIVATE BANK INDEX FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125YJGP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51848</Unique_No>
    <SCHEME_CODE>INYJDP-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>YJDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>YJDPD</AMC_SCHEME_CODE>
    <ISIN>INF666M01OY5</ISIN>
    <AMC_CODE1>GROWWMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>GROWW NIFTY PRIVATE BANK INDEX FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125YJDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51849</Unique_No>
    <SCHEME_CODE>INYJDP-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>YJDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>YJDPR</AMC_SCHEME_CODE>
    <ISIN>INF666M01OZ2</ISIN>
    <AMC_CODE1>GROWWMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>GROWW NIFTY PRIVATE BANK INDEX FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-05-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-05-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125YJDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51852</Unique_No>
    <SCHEME_CODE>INYKG1-GR</SCHEME_CODE>
    <RTA_x0020_Code>YKG1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>YKG1G</AMC_SCHEME_CODE>
    <ISIN>INF666M01PA2</ISIN>
    <AMC_CODE1>GROWWMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>GROWW NIFTY SMALLCAP 250 MOMENTUM QUALITY 100 INDEX FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125YKG1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51853</Unique_No>
    <SCHEME_CODE>INYKD1-DP</SCHEME_CODE>
    <RTA_x0020_Code>YKD1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>YKD1D</AMC_SCHEME_CODE>
    <ISIN>INF666M01PB0</ISIN>
    <AMC_CODE1>GROWWMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>GROWW NIFTY SMALLCAP 250 MOMENTUM QUALITY 100 INDEX FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>N</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125YKD1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51854</Unique_No>
    <SCHEME_CODE>INYKD1-DR</SCHEME_CODE>
    <RTA_x0020_Code>YKD1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>YKD1R</AMC_SCHEME_CODE>
    <ISIN>INF666M01PC8</ISIN>
    <AMC_CODE1>GROWWMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>GROWW NIFTY SMALLCAP 250 MOMENTUM QUALITY 100 INDEX FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>N</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125YKD1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51855</Unique_No>
    <SCHEME_CODE>INYKGP-GR</SCHEME_CODE>
    <RTA_x0020_Code>YKGP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>YKGPG</AMC_SCHEME_CODE>
    <ISIN>INF666M01PD6</ISIN>
    <AMC_CODE1>GROWWMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>GROWW NIFTY SMALLCAP 250 MOMENTUM QUALITY 100 INDEX FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
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  <BSEFundMast>
    <Unique_No>51856</Unique_No>
    <SCHEME_CODE>INYKDP-DP</SCHEME_CODE>
    <RTA_x0020_Code>YKDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>YKDPD</AMC_SCHEME_CODE>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <PUR_ALLOWED>N</PUR_ALLOWED>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125YKDP</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>51857</Unique_No>
    <SCHEME_CODE>INYKDP-DR</SCHEME_CODE>
    <RTA_x0020_Code>YKDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>YKDPR</AMC_SCHEME_CODE>
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    <AMC_CODE1>GROWWMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>GROWW NIFTY SMALLCAP 250 MOMENTUM QUALITY 100 INDEX FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
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    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <PUR_ALLOWED>N</PUR_ALLOWED>
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    <RED_TXNMODE>DP</RED_TXNMODE>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>125YKDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51858</Unique_No>
    <SCHEME_CODE>KO1291-GR</SCHEME_CODE>
    <RTA_x0020_Code>1291</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K1291</AMC_SCHEME_CODE>
    <ISIN>INF174KA1A52</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK NIFTY ALPHA LOW-VOLATILITY 30 INDEX FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-22T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-22T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K1291</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51859</Unique_No>
    <SCHEME_CODE>KO1292-DR</SCHEME_CODE>
    <RTA_x0020_Code>1292</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K1292</AMC_SCHEME_CODE>
    <ISIN>INF174KA1A78</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK NIFTY ALPHA LOW-VOLATILITY 30 INDEX FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-22T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-22T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K1292</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51860</Unique_No>
    <SCHEME_CODE>KO1291D-GR</SCHEME_CODE>
    <RTA_x0020_Code>1291D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K1291D</AMC_SCHEME_CODE>
    <ISIN>INF174KA1A29</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK NIFTY ALPHA LOW-VOLATILITY 30 INDEX FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-22T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-22T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K1291D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51861</Unique_No>
    <SCHEME_CODE>KO1292D-DR</SCHEME_CODE>
    <RTA_x0020_Code>1292D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K1292D</AMC_SCHEME_CODE>
    <ISIN>INF174KA1A45</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK NIFTY ALPHA LOW-VOLATILITY 30 INDEX FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-22T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-22T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K1292D</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>51862</Unique_No>
    <SCHEME_CODE>KO129P2-DP</SCHEME_CODE>
    <RTA_x0020_Code>129P2</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K129P2</AMC_SCHEME_CODE>
    <ISIN>INF174KA1A60</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK NIFTY ALPHA LOW-VOLATILITY 30 INDEX FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_TXNMODE>D</RED_TXNMODE>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-22T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-22T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
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    <SWITCH_Flag>Y</SWITCH_Flag>
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K129P2</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>51863</Unique_No>
    <SCHEME_CODE>KO129D2-DP</SCHEME_CODE>
    <RTA_x0020_Code>129D2</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K129D2</AMC_SCHEME_CODE>
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    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK NIFTY ALPHA LOW-VOLATILITY 30 INDEX FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
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    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_TXNMODE>D</RED_TXNMODE>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
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    <Start_Date>2026-06-22T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-22T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
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    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K129D2</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>51864</Unique_No>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
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    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
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    <Start_Date>2026-06-22T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-22T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
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    <Start_Date>2026-06-22T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-22T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <Start_Date>2026-06-01T00:00:00+05:30</Start_Date>
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    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <LOC_Flag>N</LOC_Flag>
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    <Unique_No>51867</Unique_No>
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    <AMC_SCHEME_CODE>713D</AMC_SCHEME_CODE>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
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    <Start_Date>2026-06-01T00:00:00+05:30</Start_Date>
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    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <Unique_No>51868</Unique_No>
    <SCHEME_CODE>SB713G-GR-L1</SCHEME_CODE>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <CHA_PAT_Cod>L713G</CHA_PAT_Cod>
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    <Unique_No>51869</Unique_No>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <CHA_PAT_Cod>LD713D</CHA_PAT_Cod>
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    <Unique_No>51870</Unique_No>
    <SCHEME_CODE>SBD713G-GR-L1</SCHEME_CODE>
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    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <CHA_PAT_Cod>LD713G</CHA_PAT_Cod>
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    <Unique_No>51871</Unique_No>
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    <End_Date>2099-06-01T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <End_Date>2099-06-01T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <LOC_PER>0</LOC_PER>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <CHA_PAT_Cod>L712G</CHA_PAT_Cod>
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    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <Unique_No>51878</Unique_No>
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    <ISIN>INF200KB1BI0</ISIN>
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    <PUR_TXNMODE>DP</PUR_TXNMODE>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <CHA_PAT_Cod>LD712G</CHA_PAT_Cod>
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    <Unique_No>51879</Unique_No>
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    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <CHA_PAT_Cod>LD712P</CHA_PAT_Cod>
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    <Unique_No>51880</Unique_No>
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    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <Unique_No>51881</Unique_No>
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    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>OSRHADP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51883</Unique_No>
    <SCHEME_CODE>HRSRHLRG-GR</SCHEME_CODE>
    <RTA_x0020_Code>RHLRG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>OS</AMC_SCHEME_CODE>
    <ISIN>INF336L30015</ISIN>
    <AMC_CODE1>HSBCMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>REDHEX HYBRID LONG-SHORT FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-25T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-25T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>OSRHLRG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51884</Unique_No>
    <SCHEME_CODE>HRSRHLRD-DR</SCHEME_CODE>
    <RTA_x0020_Code>RHLRD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>OS</AMC_SCHEME_CODE>
    <ISIN>INF336L30023</ISIN>
    <AMC_CODE1>HSBCMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>REDHEX HYBRID LONG-SHORT FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-25T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-25T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>OSRHLRD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51885</Unique_No>
    <SCHEME_CODE>HRSRHLRD-DP</SCHEME_CODE>
    <RTA_x0020_Code>RHLRD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>OS</AMC_SCHEME_CODE>
    <ISIN>INF336L30023</ISIN>
    <AMC_CODE1>HSBCMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>REDHEX HYBRID LONG-SHORT FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-25T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-25T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>OSRHLRD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51886</Unique_No>
    <SCHEME_CODE>HRSRHLRP-DP</SCHEME_CODE>
    <RTA_x0020_Code>RHLRP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>OS</AMC_SCHEME_CODE>
    <ISIN>INF336L30031</ISIN>
    <AMC_CODE1>HSBCMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>REDHEX HYBRID LONG-SHORT FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-25T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-25T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>OSRHLRP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51887</Unique_No>
    <SCHEME_CODE>HRSRHARD-DR</SCHEME_CODE>
    <RTA_x0020_Code>RHARD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>OS</AMC_SCHEME_CODE>
    <ISIN>INF336L30098</ISIN>
    <AMC_CODE1>HSBCMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>REDHEX HYBRID LONG-SHORT FUND - REGULAR PLAN - ANNUAL IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-25T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-25T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>OSRHARD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51888</Unique_No>
    <SCHEME_CODE>HRSRHARD-DP</SCHEME_CODE>
    <RTA_x0020_Code>RHARD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>OS</AMC_SCHEME_CODE>
    <ISIN>INF336L30098</ISIN>
    <AMC_CODE1>HSBCMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>REDHEX HYBRID LONG-SHORT FUND - REGULAR PLAN - ANNUAL IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-25T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-25T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>OSRHARD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51889</Unique_No>
    <SCHEME_CODE>HRSRHARP-DP</SCHEME_CODE>
    <RTA_x0020_Code>RHARP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>OS</AMC_SCHEME_CODE>
    <ISIN>INF336L30106</ISIN>
    <AMC_CODE1>HSBCMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>REDHEX HYBRID LONG-SHORT FUND - REGULAR PLAN - ANNUAL IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-25T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-25T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>OSRHARP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51890</Unique_No>
    <SCHEME_CODE>HRSRHLDG-GR</SCHEME_CODE>
    <RTA_x0020_Code>RHLDG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>OS</AMC_SCHEME_CODE>
    <ISIN>INF336L30049</ISIN>
    <AMC_CODE1>HSBCMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>REDHEX HYBRID LONG-SHORT FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-25T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-25T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>OSRHLDG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51891</Unique_No>
    <SCHEME_CODE>HRSRHLDP-DP</SCHEME_CODE>
    <RTA_x0020_Code>RHLDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>OS</AMC_SCHEME_CODE>
    <ISIN>INF336L30064</ISIN>
    <AMC_CODE1>HSBCMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>REDHEX HYBRID LONG-SHORT FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-25T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-25T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>OSRHLDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51892</Unique_No>
    <SCHEME_CODE>HRSRHLDD-DR</SCHEME_CODE>
    <RTA_x0020_Code>RHLDD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>OS</AMC_SCHEME_CODE>
    <ISIN>INF336L30056</ISIN>
    <AMC_CODE1>HSBCMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>REDHEX HYBRID LONG-SHORT FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-25T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-25T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>OSRHLDD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51893</Unique_No>
    <SCHEME_CODE>HRSRHLDD-DP</SCHEME_CODE>
    <RTA_x0020_Code>RHLDD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>OS</AMC_SCHEME_CODE>
    <ISIN>INF336L30056</ISIN>
    <AMC_CODE1>HSBCMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>REDHEX HYBRID LONG-SHORT FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-25T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-25T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>OSRHLDD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51894</Unique_No>
    <SCHEME_CODE>HRSRHADD-DR</SCHEME_CODE>
    <RTA_x0020_Code>RHADD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>OS</AMC_SCHEME_CODE>
    <ISIN>INF336L30072</ISIN>
    <AMC_CODE1>HSBCMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>REDHEX HYBRID LONG-SHORT FUND - DIRECT PLAN - ANNUAL IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-25T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-25T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>OSRHADD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51895</Unique_No>
    <SCHEME_CODE>HRSRHADD-DP</SCHEME_CODE>
    <RTA_x0020_Code>RHADD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>OS</AMC_SCHEME_CODE>
    <ISIN>INF336L30072</ISIN>
    <AMC_CODE1>HSBCMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>REDHEX HYBRID LONG-SHORT FUND - DIRECT PLAN - ANNUAL IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-25T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-25T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>OSRHADD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51896</Unique_No>
    <SCHEME_CODE>SH209D-GR</SCHEME_CODE>
    <RTA_x0020_Code>209D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>209D</AMC_SCHEME_CODE>
    <ISIN>INF680P01497</ISIN>
    <AMC_CODE1>SHRIRAMMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>SHRIRAM OVERNIGHT FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T19:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>OVERNIGHT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-01T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-01T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>SH209D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51897</Unique_No>
    <SCHEME_CODE>SH209-GR</SCHEME_CODE>
    <RTA_x0020_Code>209</RTA_x0020_Code>
    <AMC_SCHEME_CODE>209</AMC_SCHEME_CODE>
    <ISIN>INF680P01505</ISIN>
    <AMC_CODE1>SHRIRAMMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>SHRIRAM OVERNIGHT FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T19:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>OVERNIGHT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-01T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-01T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>SH209</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51898</Unique_No>
    <SCHEME_CODE>SH210D-DR</SCHEME_CODE>
    <RTA_x0020_Code>210D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>210D</AMC_SCHEME_CODE>
    <ISIN>INF680P01513</ISIN>
    <AMC_CODE1>SHRIRAMMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>SHRIRAM OVERNIGHT FUND - DIRECT PLAN - DAILY - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T19:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>OVERNIGHT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-01T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-01T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>SH210D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51899</Unique_No>
    <SCHEME_CODE>SH210-DR</SCHEME_CODE>
    <RTA_x0020_Code>210</RTA_x0020_Code>
    <AMC_SCHEME_CODE>210</AMC_SCHEME_CODE>
    <ISIN>INF680P01521</ISIN>
    <AMC_CODE1>SHRIRAMMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>SHRIRAM OVERNIGHT FUND - REGULAR PLAN - DAILY - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T19:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>OVERNIGHT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-01T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-01T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>SH210</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51900</Unique_No>
    <SCHEME_CODE>SH212D-DR</SCHEME_CODE>
    <RTA_x0020_Code>212D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>212D</AMC_SCHEME_CODE>
    <ISIN>INF680P01554</ISIN>
    <AMC_CODE1>SHRIRAMMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>SHRIRAM OVERNIGHT FUND - DIRECT PLAN -  WEEKLY - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T19:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>OVERNIGHT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-01T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-01T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>SH212D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51901</Unique_No>
    <SCHEME_CODE>SH212D-DP</SCHEME_CODE>
    <RTA_x0020_Code>212D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>212D</AMC_SCHEME_CODE>
    <ISIN>INF680P01554</ISIN>
    <AMC_CODE1>SHRIRAMMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>SHRIRAM OVERNIGHT FUND - DIRECT PLAN - WEEKLY - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T19:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>OVERNIGHT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-01T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-01T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>SH212D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51902</Unique_No>
    <SCHEME_CODE>SH212-DR</SCHEME_CODE>
    <RTA_x0020_Code>212</RTA_x0020_Code>
    <AMC_SCHEME_CODE>212</AMC_SCHEME_CODE>
    <ISIN>INF680P01562</ISIN>
    <AMC_CODE1>SHRIRAMMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>SHRIRAM OVERNIGHT FUND - REGULAR PLAN - WEEKLY - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T19:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>OVERNIGHT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-01T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-01T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>SH212</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51903</Unique_No>
    <SCHEME_CODE>SH212-DP</SCHEME_CODE>
    <RTA_x0020_Code>212</RTA_x0020_Code>
    <AMC_SCHEME_CODE>212</AMC_SCHEME_CODE>
    <ISIN>INF680P01562</ISIN>
    <AMC_CODE1>SHRIRAMMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>SHRIRAM OVERNIGHT FUND - REGULAR PLAN - WEEKLY - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T19:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>OVERNIGHT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-01T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-01T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>SH212</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51904</Unique_No>
    <SCHEME_CODE>SH213D-DR</SCHEME_CODE>
    <RTA_x0020_Code>213D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>213D</AMC_SCHEME_CODE>
    <ISIN>INF680P01596</ISIN>
    <AMC_CODE1>SHRIRAMMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>SHRIRAM OVERNIGHT FUND - DIRECT PLAN - FORTNIGHTLY - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T19:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>OVERNIGHT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-01T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-01T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>SH213D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51905</Unique_No>
    <SCHEME_CODE>SH213D-DP</SCHEME_CODE>
    <RTA_x0020_Code>213D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>213D</AMC_SCHEME_CODE>
    <ISIN>INF680P01596</ISIN>
    <AMC_CODE1>SHRIRAMMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>SHRIRAM OVERNIGHT FUND - DIRECT PLAN - FORTNIGHTLY - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T19:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>OVERNIGHT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-01T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-01T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>SH213D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51906</Unique_No>
    <SCHEME_CODE>SH213-DR</SCHEME_CODE>
    <RTA_x0020_Code>213</RTA_x0020_Code>
    <AMC_SCHEME_CODE>213</AMC_SCHEME_CODE>
    <ISIN>INF680P01604</ISIN>
    <AMC_CODE1>SHRIRAMMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>SHRIRAM OVERNIGHT FUND - REGULAR PLAN - FORTNIGHTLY - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T19:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>OVERNIGHT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-01T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-01T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>SH213</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51907</Unique_No>
    <SCHEME_CODE>SH213-DP</SCHEME_CODE>
    <RTA_x0020_Code>213</RTA_x0020_Code>
    <AMC_SCHEME_CODE>213</AMC_SCHEME_CODE>
    <ISIN>INF680P01604</ISIN>
    <AMC_CODE1>SHRIRAMMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>SHRIRAM OVERNIGHT FUND - REGULAR PLAN - FORTNIGHTLY - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T19:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>OVERNIGHT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-01T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-01T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>SH213</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51908</Unique_No>
    <SCHEME_CODE>SH211DP-DP</SCHEME_CODE>
    <RTA_x0020_Code>211DP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>211DP</AMC_SCHEME_CODE>
    <ISIN>INF680P01612</ISIN>
    <AMC_CODE1>SHRIRAMMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>SHRIRAM OVERNIGHT FUND - DIRECT PLAN - MONTHLY - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T19:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>OVERNIGHT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-01T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-01T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>SH211DP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51909</Unique_No>
    <SCHEME_CODE>SH211P-DP</SCHEME_CODE>
    <RTA_x0020_Code>211P</RTA_x0020_Code>
    <AMC_SCHEME_CODE>211P</AMC_SCHEME_CODE>
    <ISIN>INF680P01620</ISIN>
    <AMC_CODE1>SHRIRAMMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>SHRIRAM OVERNIGHT FUND - REGULAR PLAN - MONTHLY - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T19:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>OVERNIGHT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-01T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-01T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>SH211P</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51910</Unique_No>
    <SCHEME_CODE>SH211D-DR</SCHEME_CODE>
    <RTA_x0020_Code>211D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>211D</AMC_SCHEME_CODE>
    <ISIN>INF680P01638</ISIN>
    <AMC_CODE1>SHRIRAMMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>SHRIRAM OVERNIGHT FUND - DIRECT PLAN - MONTHLY - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T19:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>OVERNIGHT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-01T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-01T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>SH211D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51911</Unique_No>
    <SCHEME_CODE>SH211D-DP</SCHEME_CODE>
    <RTA_x0020_Code>211D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>211D</AMC_SCHEME_CODE>
    <ISIN>INF680P01638</ISIN>
    <AMC_CODE1>SHRIRAMMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>SHRIRAM OVERNIGHT FUND - DIRECT PLAN - MONTHLY - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T19:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>OVERNIGHT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-01T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-01T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>SH211D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51912</Unique_No>
    <SCHEME_CODE>SH211-DR</SCHEME_CODE>
    <RTA_x0020_Code>211</RTA_x0020_Code>
    <AMC_SCHEME_CODE>211</AMC_SCHEME_CODE>
    <ISIN>INF680P01646</ISIN>
    <AMC_CODE1>SHRIRAMMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>SHRIRAM OVERNIGHT FUND - REGULAR PLAN - MONTHLY - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T19:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>OVERNIGHT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-01T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-01T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>SH211</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51913</Unique_No>
    <SCHEME_CODE>SH211-DP</SCHEME_CODE>
    <RTA_x0020_Code>211</RTA_x0020_Code>
    <AMC_SCHEME_CODE>211</AMC_SCHEME_CODE>
    <ISIN>INF680P01646</ISIN>
    <AMC_CODE1>SHRIRAMMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>SHRIRAM OVERNIGHT FUND - REGULAR PLAN - MONTHLY - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T19:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>OVERNIGHT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-01T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-01T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>SH211</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51914</Unique_No>
    <SCHEME_CODE>SH209D-GR-L0</SCHEME_CODE>
    <RTA_x0020_Code>209D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>209D</AMC_SCHEME_CODE>
    <ISIN>INF680P01497</ISIN>
    <AMC_CODE1>SHRIRAMMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>SHRIRAM OVERNIGHT FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T13:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T19:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>OVERNIGHT</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L0</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-01T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-01T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>SH209D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51915</Unique_No>
    <SCHEME_CODE>SH209-GR-L0</SCHEME_CODE>
    <RTA_x0020_Code>209</RTA_x0020_Code>
    <AMC_SCHEME_CODE>209</AMC_SCHEME_CODE>
    <ISIN>INF680P01505</ISIN>
    <AMC_CODE1>SHRIRAMMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>SHRIRAM OVERNIGHT FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T13:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T19:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>OVERNIGHT</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L0</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-01T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-01T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>SH209</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51916</Unique_No>
    <SCHEME_CODE>SH210D-DR-L0</SCHEME_CODE>
    <RTA_x0020_Code>210D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>210D</AMC_SCHEME_CODE>
    <ISIN>INF680P01513</ISIN>
    <AMC_CODE1>SHRIRAMMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>SHRIRAM OVERNIGHT FUND - DIRECT PLAN - DAILY - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T13:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T19:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>OVERNIGHT</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L0</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-01T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-01T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>SH210D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51917</Unique_No>
    <SCHEME_CODE>SH210-DR-L0</SCHEME_CODE>
    <RTA_x0020_Code>210</RTA_x0020_Code>
    <AMC_SCHEME_CODE>210</AMC_SCHEME_CODE>
    <ISIN>INF680P01521</ISIN>
    <AMC_CODE1>SHRIRAMMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>SHRIRAM OVERNIGHT FUND - REGULAR PLAN - DAILY - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T13:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T19:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>OVERNIGHT</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L0</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-01T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-01T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>SH210</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51918</Unique_No>
    <SCHEME_CODE>SH212D-DR-L0</SCHEME_CODE>
    <RTA_x0020_Code>212D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>212D</AMC_SCHEME_CODE>
    <ISIN>INF680P01554</ISIN>
    <AMC_CODE1>SHRIRAMMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>SHRIRAM OVERNIGHT FUND - DIRECT PLAN -  WEEKLY - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T13:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T19:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>OVERNIGHT</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L0</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-01T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-01T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>SH212D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51919</Unique_No>
    <SCHEME_CODE>SH212D-DP-L0</SCHEME_CODE>
    <RTA_x0020_Code>212D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>212D</AMC_SCHEME_CODE>
    <ISIN>INF680P01554</ISIN>
    <AMC_CODE1>SHRIRAMMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>SHRIRAM OVERNIGHT FUND - DIRECT PLAN - WEEKLY - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T13:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T19:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>OVERNIGHT</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L0</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-01T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-01T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>SH212D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51920</Unique_No>
    <SCHEME_CODE>SH212-DR-L0</SCHEME_CODE>
    <RTA_x0020_Code>212</RTA_x0020_Code>
    <AMC_SCHEME_CODE>212</AMC_SCHEME_CODE>
    <ISIN>INF680P01562</ISIN>
    <AMC_CODE1>SHRIRAMMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>SHRIRAM OVERNIGHT FUND - REGULAR PLAN - WEEKLY - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T13:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T19:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>OVERNIGHT</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L0</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-01T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-01T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>SH212</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51921</Unique_No>
    <SCHEME_CODE>SH212-DP-L0</SCHEME_CODE>
    <RTA_x0020_Code>212</RTA_x0020_Code>
    <AMC_SCHEME_CODE>212</AMC_SCHEME_CODE>
    <ISIN>INF680P01562</ISIN>
    <AMC_CODE1>SHRIRAMMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>SHRIRAM OVERNIGHT FUND - REGULAR PLAN - WEEKLY - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T13:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T19:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>OVERNIGHT</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L0</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-01T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-01T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>SH212</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51922</Unique_No>
    <SCHEME_CODE>SH213D-DR-L0</SCHEME_CODE>
    <RTA_x0020_Code>213D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>213D</AMC_SCHEME_CODE>
    <ISIN>INF680P01596</ISIN>
    <AMC_CODE1>SHRIRAMMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>SHRIRAM OVERNIGHT FUND - DIRECT PLAN - FORTNIGHTLY - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T13:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T19:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>OVERNIGHT</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L0</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-01T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-01T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>SH213D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51923</Unique_No>
    <SCHEME_CODE>SH213D-DP-L0</SCHEME_CODE>
    <RTA_x0020_Code>213D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>213D</AMC_SCHEME_CODE>
    <ISIN>INF680P01596</ISIN>
    <AMC_CODE1>SHRIRAMMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>SHRIRAM OVERNIGHT FUND - DIRECT PLAN - FORTNIGHTLY - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T13:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T19:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>OVERNIGHT</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L0</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-01T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-01T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>SH213D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51924</Unique_No>
    <SCHEME_CODE>SH213-DR-L0</SCHEME_CODE>
    <RTA_x0020_Code>213</RTA_x0020_Code>
    <AMC_SCHEME_CODE>213</AMC_SCHEME_CODE>
    <ISIN>INF680P01604</ISIN>
    <AMC_CODE1>SHRIRAMMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>SHRIRAM OVERNIGHT FUND - REGULAR PLAN - FORTNIGHTLY - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T13:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T19:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>OVERNIGHT</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L0</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-01T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-01T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>SH213</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51925</Unique_No>
    <SCHEME_CODE>SH213-DP-L0</SCHEME_CODE>
    <RTA_x0020_Code>213</RTA_x0020_Code>
    <AMC_SCHEME_CODE>213</AMC_SCHEME_CODE>
    <ISIN>INF680P01604</ISIN>
    <AMC_CODE1>SHRIRAMMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>SHRIRAM OVERNIGHT FUND - REGULAR PLAN - FORTNIGHTLY - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T13:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T19:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>OVERNIGHT</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L0</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-01T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-01T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>SH213</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51926</Unique_No>
    <SCHEME_CODE>SH211DP-DP-L0</SCHEME_CODE>
    <RTA_x0020_Code>211DP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>211DP</AMC_SCHEME_CODE>
    <ISIN>INF680P01612</ISIN>
    <AMC_CODE1>SHRIRAMMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>SHRIRAM OVERNIGHT FUND - DIRECT PLAN - MONTHLY - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T13:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T19:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>OVERNIGHT</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L0</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-01T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-01T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>SH211DP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51927</Unique_No>
    <SCHEME_CODE>SH211P-DP-L0</SCHEME_CODE>
    <RTA_x0020_Code>211P</RTA_x0020_Code>
    <AMC_SCHEME_CODE>211P</AMC_SCHEME_CODE>
    <ISIN>INF680P01620</ISIN>
    <AMC_CODE1>SHRIRAMMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>SHRIRAM OVERNIGHT FUND - REGULAR PLAN - MONTHLY - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T13:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T19:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>OVERNIGHT</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L0</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-01T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-01T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>SH211P</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51928</Unique_No>
    <SCHEME_CODE>SH211D-DR-L0</SCHEME_CODE>
    <RTA_x0020_Code>211D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>211D</AMC_SCHEME_CODE>
    <ISIN>INF680P01638</ISIN>
    <AMC_CODE1>SHRIRAMMUTUALFUND_MF</AMC_CODE1>
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    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T13:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T19:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>OVERNIGHT</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L0</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-01T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-01T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>SH211D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51929</Unique_No>
    <SCHEME_CODE>SH211D-DP-L0</SCHEME_CODE>
    <RTA_x0020_Code>211D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>211D</AMC_SCHEME_CODE>
    <ISIN>INF680P01638</ISIN>
    <AMC_CODE1>SHRIRAMMUTUALFUND_MF</AMC_CODE1>
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    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T13:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T19:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>OVERNIGHT</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L0</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-01T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-01T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>SH211D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51930</Unique_No>
    <SCHEME_CODE>SH211-DR-L0</SCHEME_CODE>
    <RTA_x0020_Code>211</RTA_x0020_Code>
    <AMC_SCHEME_CODE>211</AMC_SCHEME_CODE>
    <ISIN>INF680P01646</ISIN>
    <AMC_CODE1>SHRIRAMMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>SHRIRAM OVERNIGHT FUND - REGULAR PLAN - MONTHLY - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T13:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T19:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>OVERNIGHT</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L0</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-01T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-01T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>SH211</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51931</Unique_No>
    <SCHEME_CODE>SH211-DP-L0</SCHEME_CODE>
    <RTA_x0020_Code>211</RTA_x0020_Code>
    <AMC_SCHEME_CODE>211</AMC_SCHEME_CODE>
    <ISIN>INF680P01646</ISIN>
    <AMC_CODE1>SHRIRAMMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>SHRIRAM OVERNIGHT FUND - REGULAR PLAN - MONTHLY - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T13:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T19:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>OVERNIGHT</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L0</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-01T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-01T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>SH211</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51932</Unique_No>
    <SCHEME_CODE>MOCTGD-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>CTGD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>CTGD</AMC_SCHEME_CODE>
    <ISIN>INF247L01GW6</ISIN>
    <AMC_CODE1>MOTILALOSWAL_MF</AMC_CODE1>
    <SCHEME_NAME>MOTILAL OSWAL CONTRA FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>127CTGD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51933</Unique_No>
    <SCHEME_CODE>MOCTPD-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>CTPD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>CTPD</AMC_SCHEME_CODE>
    <ISIN>INF247L01GX4</ISIN>
    <AMC_CODE1>MOTILALOSWAL_MF</AMC_CODE1>
    <SCHEME_NAME>MOTILAL OSWAL CONTRA FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>127CTPD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51934</Unique_No>
    <SCHEME_CODE>MOCTPD-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>CTPD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>CTPD</AMC_SCHEME_CODE>
    <ISIN>INF247L01GY2</ISIN>
    <AMC_CODE1>MOTILALOSWAL_MF</AMC_CODE1>
    <SCHEME_NAME>MOTILAL OSWAL CONTRA FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>127CTPD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51935</Unique_No>
    <SCHEME_CODE>MOCTGP-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>CTGP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>CTGP</AMC_SCHEME_CODE>
    <ISIN>INF247L01GZ9</ISIN>
    <AMC_CODE1>MOTILALOSWAL_MF</AMC_CODE1>
    <SCHEME_NAME>MOTILAL OSWAL CONTRA FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>127CTGP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51936</Unique_No>
    <SCHEME_CODE>MOCTDP-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>CTDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>CTDP</AMC_SCHEME_CODE>
    <ISIN>INF247L01HA0</ISIN>
    <AMC_CODE1>MOTILALOSWAL_MF</AMC_CODE1>
    <SCHEME_NAME>MOTILAL OSWAL CONTRA FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>127CTDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51937</Unique_No>
    <SCHEME_CODE>MOCTDP-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>CTDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>CTDP</AMC_SCHEME_CODE>
    <ISIN>INF247L01HB8</ISIN>
    <AMC_CODE1>MOTILALOSWAL_MF</AMC_CODE1>
    <SCHEME_NAME>MOTILAL OSWAL CONTRA FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-04T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>127CTDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51938</Unique_No>
    <SCHEME_CODE>MOEMGD-GR</SCHEME_CODE>
    <RTA_x0020_Code>EMGD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>EMGD</AMC_SCHEME_CODE>
    <ISIN>INF247L01HC6</ISIN>
    <AMC_CODE1>MOTILALOSWAL_MF</AMC_CODE1>
    <SCHEME_NAME>MOTILAL OSWAL BSE CLEAN ENVIRONMENT INDEX FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>127EMGD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51939</Unique_No>
    <SCHEME_CODE>MOEMGP-GR</SCHEME_CODE>
    <RTA_x0020_Code>EMGP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>EMGP</AMC_SCHEME_CODE>
    <ISIN>INF247L01HD4</ISIN>
    <AMC_CODE1>MOTILALOSWAL_MF</AMC_CODE1>
    <SCHEME_NAME>MOTILAL OSWAL BSE CLEAN ENVIRONMENT INDEX FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>127EMGP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51940</Unique_No>
    <SCHEME_CODE>TOSXLSRG-GR</SCHEME_CODE>
    <RTA_x0020_Code>XLSRG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>XLSRG</AMC_SCHEME_CODE>
    <ISIN>INF579M30133</ISIN>
    <AMC_CODE1>360_ONE_MUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>DYNASIF EQUITY EX-TOP 100 LONG-SHORT FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>20000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-29T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-29T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>0.01</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>IFSXLSRG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51941</Unique_No>
    <SCHEME_CODE>TOSXLSRP-DP</SCHEME_CODE>
    <RTA_x0020_Code>XLSRP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>XLSRP</AMC_SCHEME_CODE>
    <ISIN>INF579M30141</ISIN>
    <AMC_CODE1>360_ONE_MUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>DYNASIF EQUITY EX-TOP 100 LONG-SHORT FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>20000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-29T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-29T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>0.01</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>IFSXLSRP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51942</Unique_No>
    <SCHEME_CODE>TOSXLSRR-DR</SCHEME_CODE>
    <RTA_x0020_Code>XLSRR</RTA_x0020_Code>
    <AMC_SCHEME_CODE>XLSRR</AMC_SCHEME_CODE>
    <ISIN>INF579M30158</ISIN>
    <AMC_CODE1>360_ONE_MUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>DYNASIF EQUITY EX-TOP 100 LONG-SHORT FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>20000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-29T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-29T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>0.01</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>IFSXLSRR</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51943</Unique_No>
    <SCHEME_CODE>TOSXLSDG-GR</SCHEME_CODE>
    <RTA_x0020_Code>XLSDG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>XLSDG</AMC_SCHEME_CODE>
    <ISIN>INF579M30166</ISIN>
    <AMC_CODE1>360_ONE_MUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>DYNASIF EQUITY EX-TOP 100 LONG-SHORT FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>20000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-29T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-29T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>0.01</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>IFSXLSDG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51944</Unique_No>
    <SCHEME_CODE>TOSXLSDP-DP</SCHEME_CODE>
    <RTA_x0020_Code>XLSDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>XLSDP</AMC_SCHEME_CODE>
    <ISIN>INF579M30174</ISIN>
    <AMC_CODE1>360_ONE_MUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>DYNASIF EQUITY EX-TOP 100 LONG-SHORT FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>20000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-29T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-29T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>0.01</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>IFSXLSDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51945</Unique_No>
    <SCHEME_CODE>TOSXLSDR-DR</SCHEME_CODE>
    <RTA_x0020_Code>XLSDR</RTA_x0020_Code>
    <AMC_SCHEME_CODE>XLSDR</AMC_SCHEME_CODE>
    <ISIN>INF579M30182</ISIN>
    <AMC_CODE1>360_ONE_MUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>DYNASIF EQUITY EX-TOP 100 LONG-SHORT FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>20000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-29T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-29T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>0.01</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
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    <LOC_PER>0</LOC_PER>
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    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <CHA_PAT_Cod>YD118G</CHA_PAT_Cod>
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    <ISIN>INF2F0001602</ISIN>
    <AMC_CODE1>THEWEALTHCOMPANYMUTUALFUND_MF</AMC_CODE1>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_TXNMODE>DP</RED_TXNMODE>
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    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
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    <Start_Date>2026-06-12T00:00:00+05:30</Start_Date>
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    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <CHA_PAT_Cod>174LMDD</CHA_PAT_Cod>
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    <Unique_No>51951</Unique_No>
    <SCHEME_CODE>WELMDD-DR-L1</SCHEME_CODE>
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    <SCHEME_NAME>THE WEALTH COMPANY LARGE &amp; MID CAP FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
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    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>KSILS1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51957</Unique_No>
    <SCHEME_CODE>KISILS2-DR</SCHEME_CODE>
    <RTA_x0020_Code>ILS2</RTA_x0020_Code>
    <AMC_SCHEME_CODE>KILS2</AMC_SCHEME_CODE>
    <ISIN>INF174K30061</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF_SIF</AMC_CODE1>
    <SCHEME_NAME>INFINITY HYBRID LONG-SHORT FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>1</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>1</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-09T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-09T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>KSILS2</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51958</Unique_No>
    <SCHEME_CODE>KISILS2-DP</SCHEME_CODE>
    <RTA_x0020_Code>ILS2</RTA_x0020_Code>
    <AMC_SCHEME_CODE>KILS2</AMC_SCHEME_CODE>
    <ISIN>INF174K30061</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF_SIF</AMC_CODE1>
    <SCHEME_NAME>INFINITY HYBRID LONG-SHORT FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>1</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>1</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-09T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-09T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>KSILS2</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51959</Unique_No>
    <SCHEME_CODE>KISILS1D-GR</SCHEME_CODE>
    <RTA_x0020_Code>ILS1D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>KILS1D</AMC_SCHEME_CODE>
    <ISIN>INF174K30012</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF_SIF</AMC_CODE1>
    <SCHEME_NAME>INFINITY HYBRID LONG-SHORT FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>1</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>1</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-09T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-09T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>KSILS1D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51960</Unique_No>
    <SCHEME_CODE>KISILS2D-DR</SCHEME_CODE>
    <RTA_x0020_Code>ILS2D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>KILS2D</AMC_SCHEME_CODE>
    <ISIN>INF174K30038</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF_SIF</AMC_CODE1>
    <SCHEME_NAME>INFINITY HYBRID LONG-SHORT FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>1</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>1</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-09T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-09T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>KSILS2D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51961</Unique_No>
    <SCHEME_CODE>KISILS2D-DP</SCHEME_CODE>
    <RTA_x0020_Code>ILS2D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>KILS2D</AMC_SCHEME_CODE>
    <ISIN>INF174K30038</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF_SIF</AMC_CODE1>
    <SCHEME_NAME>INFINITY HYBRID LONG-SHORT FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>1</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>1</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-09T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-09T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>KSILS2D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51962</Unique_No>
    <SCHEME_CODE>KISILSP2-DP</SCHEME_CODE>
    <RTA_x0020_Code>ILSP2</RTA_x0020_Code>
    <AMC_SCHEME_CODE>KILSP2</AMC_SCHEME_CODE>
    <ISIN>INF174K30053</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF_SIF</AMC_CODE1>
    <SCHEME_NAME>INFINITY HYBRID LONG-SHORT FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>1</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>1</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-09T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-09T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>KSILSP2</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51963</Unique_No>
    <SCHEME_CODE>KISILSD2-DP</SCHEME_CODE>
    <RTA_x0020_Code>ILSD2</RTA_x0020_Code>
    <AMC_SCHEME_CODE>KILSD2</AMC_SCHEME_CODE>
    <ISIN>INF174K30020</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF_SIF</AMC_CODE1>
    <SCHEME_NAME>INFINITY HYBRID LONG-SHORT FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>1</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>1</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-09T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-09T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>KSILSD2</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51964</Unique_No>
    <SCHEME_CODE>RGMTRW-DP</SCHEME_CODE>
    <RTA_x0020_Code>MTRW</RTA_x0020_Code>
    <AMC_SCHEME_CODE>RGF</AMC_SCHEME_CODE>
    <ISIN>INF205KA1BQ9</ISIN>
    <AMC_CODE1>INVESCOMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>INVESCO INDIA ULTRA SHORT DURATION FUND - REGULAR PLAN - WEEKLY - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-16T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-16T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>120MTRW</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51965</Unique_No>
    <SCHEME_CODE>RGMTRW-DR</SCHEME_CODE>
    <RTA_x0020_Code>MTRW</RTA_x0020_Code>
    <AMC_SCHEME_CODE>RGF</AMC_SCHEME_CODE>
    <ISIN>INF205KA1BR7</ISIN>
    <AMC_CODE1>INVESCOMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>INVESCO INDIA ULTRA SHORT DURATION FUND - REGULAR PLAN - WEEKLY - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-16T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-16T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
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    <End_Date>2099-06-16T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <Start_Date>2026-06-16T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-16T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>120MTD6</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51968</Unique_No>
    <SCHEME_CODE>RGMTRW-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>MTRW</RTA_x0020_Code>
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    <ISIN>INF205KA1BQ9</ISIN>
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    <SCHEME_NAME>INVESCO INDIA ULTRA SHORT DURATION FUND - REGULAR PLAN - WEEKLY - IDCW PAYOUT</SCHEME_NAME>
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    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
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    <Start_Date>2026-06-16T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-16T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>120MTRW</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>51969</Unique_No>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <PUR_ALLOWED>Y</PUR_ALLOWED>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <Start_Date>2026-06-16T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-16T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
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    <Unique_No>51970</Unique_No>
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    <SCHEME_NAME>INVESCO INDIA ULTRA SHORT DURATION FUND - DIRECT PLAN - WEEKLY - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <LOC_Flag>N</LOC_Flag>
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    <CHA_PAT_Cod>120MTD6</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>51971</Unique_No>
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    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <SCHEME_NAME>GROWW NIFTY SMALLCAP 250 MOMENTUM QUALITY 100 INDEX FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <Start_Date>2026-06-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <CHA_PAT_Cod>125YKG1</CHA_PAT_Cod>
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    <Unique_No>51975</Unique_No>
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    <AMC_SCHEME_CODE>YKGPG</AMC_SCHEME_CODE>
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    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <End_Date>2099-06-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <LOC_Flag>N</LOC_Flag>
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    <End_Date>2099-07-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>ZZLC36</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51979</Unique_No>
    <SCHEME_CODE>ZEZLC41-GR</SCHEME_CODE>
    <RTA_x0020_Code>ZLC41</RTA_x0020_Code>
    <AMC_SCHEME_CODE>ZLC41</AMC_SCHEME_CODE>
    <ISIN>INF0R8F01216</ISIN>
    <AMC_CODE1>ZERODHAMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ZERODHA LIFE CYCLE FUND 2041 - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>0.01</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>ZZLC41</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51980</Unique_No>
    <SCHEME_CODE>HDHNARG-GR</SCHEME_CODE>
    <RTA_x0020_Code>HNARG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>HNARG</AMC_SCHEME_CODE>
    <ISIN>INF179KC1KP2</ISIN>
    <AMC_CODE1>HDFCMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>HDFC NIFTY AUTO INDEX FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>HHNARG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51981</Unique_No>
    <SCHEME_CODE>HDHNADG-GR</SCHEME_CODE>
    <RTA_x0020_Code>HNADG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>HNADG</AMC_SCHEME_CODE>
    <ISIN>INF179KC1KQ0</ISIN>
    <AMC_CODE1>HDFCMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>HDFC NIFTY AUTO INDEX FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>HHNADG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51982</Unique_No>
    <SCHEME_CODE>TAMSPD-DR</SCHEME_CODE>
    <RTA_x0020_Code>MSPD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>TMSPFOFA</AMC_SCHEME_CODE>
    <ISIN>INF277KA1ET0</ISIN>
    <AMC_CODE1>TATAMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>TATA MULTI SECTOR PASSIVE FOF - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T3</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-14T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-14T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>TMSPD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51983</Unique_No>
    <SCHEME_CODE>TAMSPDP-DP</SCHEME_CODE>
    <RTA_x0020_Code>MSPDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>TMSPFOFA</AMC_SCHEME_CODE>
    <ISIN>INF277KA1EU8</ISIN>
    <AMC_CODE1>TATAMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>TATA MULTI SECTOR PASSIVE FOF - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T3</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-14T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-14T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>TMSPDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51984</Unique_No>
    <SCHEME_CODE>TAMSPDZ-DR</SCHEME_CODE>
    <RTA_x0020_Code>MSPDZ</RTA_x0020_Code>
    <AMC_SCHEME_CODE>TMSPFOFC</AMC_SCHEME_CODE>
    <ISIN>INF277KA1EW4</ISIN>
    <AMC_CODE1>TATAMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>TATA MULTI SECTOR PASSIVE FOF - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T3</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-14T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-14T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>TMSPDZ</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51985</Unique_No>
    <SCHEME_CODE>TAMSPZP-DP</SCHEME_CODE>
    <RTA_x0020_Code>MSPZP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>TMSPFOFC</AMC_SCHEME_CODE>
    <ISIN>INF277KA1EX2</ISIN>
    <AMC_CODE1>TATAMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>TATA MULTI SECTOR PASSIVE FOF - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T3</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-14T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-14T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>TMSPZP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51986</Unique_No>
    <SCHEME_CODE>TAMSPG-GR</SCHEME_CODE>
    <RTA_x0020_Code>MSPG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>TMSPFOFB</AMC_SCHEME_CODE>
    <ISIN>INF277KA1ES2</ISIN>
    <AMC_CODE1>TATAMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>TATA MULTI SECTOR PASSIVE FOF - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T3</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-14T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-14T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>TMSPG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51987</Unique_No>
    <SCHEME_CODE>TAMSPGZ-GR</SCHEME_CODE>
    <RTA_x0020_Code>MSPGZ</RTA_x0020_Code>
    <AMC_SCHEME_CODE>TMSPFOFD</AMC_SCHEME_CODE>
    <ISIN>INF277KA1EV6</ISIN>
    <AMC_CODE1>TATAMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>TATA MULTI SECTOR PASSIVE FOF - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T3</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-14T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-14T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
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  <BSEFundMast>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <Start_Date>2026-07-14T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-14T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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  <BSEFundMast>
    <Unique_No>51989</Unique_No>
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    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <Start_Date>2026-07-14T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-14T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <AMC_IND />
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    <Exit_Load>0</Exit_Load>
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    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>TMSPDZ</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>51990</Unique_No>
    <SCHEME_CODE>KO1291-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>1291</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K1291</AMC_SCHEME_CODE>
    <ISIN>INF174KA1A52</ISIN>
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    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
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    <STP>N</STP>
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    <Start_Date>2026-06-22T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-22T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K1291</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>51991</Unique_No>
    <SCHEME_CODE>KO1292-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>1292</RTA_x0020_Code>
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    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
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    <RED_TXNMODE>DP</RED_TXNMODE>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <SWP>N</SWP>
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    <Start_Date>2026-06-22T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-22T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
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    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K1292</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>51992</Unique_No>
    <SCHEME_CODE>KO1291D-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>1291D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K1291D</AMC_SCHEME_CODE>
    <ISIN>INF174KA1A29</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK NIFTY ALPHA LOW-VOLATILITY 30 INDEX FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
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    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
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    <STP>N</STP>
    <TAT>L1</TAT>
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    <Start_Date>2026-06-22T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-22T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K1291D</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>51993</Unique_No>
    <SCHEME_CODE>KO1292D-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>1292D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K1292D</AMC_SCHEME_CODE>
    <ISIN>INF174KA1A45</ISIN>
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    <SCHEME_NAME>KOTAK NIFTY ALPHA LOW-VOLATILITY 30 INDEX FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_TXNMODE>DP</RED_TXNMODE>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <SWP>N</SWP>
    <STP>N</STP>
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    <Start_Date>2026-06-22T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-22T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
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    <CHA_PAT_Cod>K1292D</CHA_PAT_Cod>
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    <Unique_No>51994</Unique_No>
    <SCHEME_CODE>KO129P2-DP-L1</SCHEME_CODE>
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    <AMC_SCHEME_CODE>K129P2</AMC_SCHEME_CODE>
    <ISIN>INF174KA1A60</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
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    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <SWP>N</SWP>
    <STP>N</STP>
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    <Start_Date>2026-06-22T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-22T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <CHA_PAT_Cod>K129P2</CHA_PAT_Cod>
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    <Unique_No>51995</Unique_No>
    <SCHEME_CODE>KO129D2-DP-L1</SCHEME_CODE>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
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    <End_Date>2099-06-22T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <LOC_PER>0</LOC_PER>
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    <End_Date>2099-06-22T00:00:00+05:30</End_Date>
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    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K1292</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>51997</Unique_No>
    <SCHEME_CODE>KO1292D-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>1292D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K1292D</AMC_SCHEME_CODE>
    <ISIN>INF174KA1A45</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK NIFTY ALPHA LOW-VOLATILITY 30 INDEX FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-22T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-22T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K1292D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51998</Unique_No>
    <SCHEME_CODE>JMMADD-DP</SCHEME_CODE>
    <RTA_x0020_Code>MADD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MADD</AMC_SCHEME_CODE>
    <ISIN>INF192K01NS0</ISIN>
    <AMC_CODE1>JM FINANCIAL MUTUAL FUND_MF</AMC_CODE1>
    <SCHEME_NAME>JM MULTI ASSET ALLOCATION FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>105MADD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>51999</Unique_No>
    <SCHEME_CODE>JMMADD-DR</SCHEME_CODE>
    <RTA_x0020_Code>MADD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MADD</AMC_SCHEME_CODE>
    <ISIN>INF192K01NR2</ISIN>
    <AMC_CODE1>JM FINANCIAL MUTUAL FUND_MF</AMC_CODE1>
    <SCHEME_NAME>JM MULTI ASSET ALLOCATION FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>105MADD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52000</Unique_No>
    <SCHEME_CODE>JMMADG-GR</SCHEME_CODE>
    <RTA_x0020_Code>MADG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MADG</AMC_SCHEME_CODE>
    <ISIN>INF192K01NQ4</ISIN>
    <AMC_CODE1>JM FINANCIAL MUTUAL FUND_MF</AMC_CODE1>
    <SCHEME_NAME>JM MULTI ASSET ALLOCATION FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>105MADG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52001</Unique_No>
    <SCHEME_CODE>JMMADP-DP</SCHEME_CODE>
    <RTA_x0020_Code>MADP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MADP</AMC_SCHEME_CODE>
    <ISIN>INF192K01NV4</ISIN>
    <AMC_CODE1>JM FINANCIAL MUTUAL FUND_MF</AMC_CODE1>
    <SCHEME_NAME>JM MULTI ASSET ALLOCATION FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>105MADP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52002</Unique_No>
    <SCHEME_CODE>JMMADP-DR</SCHEME_CODE>
    <RTA_x0020_Code>MADP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MADP</AMC_SCHEME_CODE>
    <ISIN>INF192K01NU6</ISIN>
    <AMC_CODE1>JM FINANCIAL MUTUAL FUND_MF</AMC_CODE1>
    <SCHEME_NAME>JM MULTI ASSET ALLOCATION FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>105MADP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52003</Unique_No>
    <SCHEME_CODE>JMMAGP-GR</SCHEME_CODE>
    <RTA_x0020_Code>MAGP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MAGP</AMC_SCHEME_CODE>
    <ISIN>INF192K01NT8</ISIN>
    <AMC_CODE1>JM FINANCIAL MUTUAL FUND_MF</AMC_CODE1>
    <SCHEME_NAME>JM MULTI ASSET ALLOCATION FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>105MAGP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52004</Unique_No>
    <SCHEME_CODE>JPS701DG-GR</SCHEME_CODE>
    <RTA_x0020_Code>701DG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>701DG</AMC_SCHEME_CODE>
    <ISIN>INF22M030027</ISIN>
    <AMC_CODE1>JIOBLACKROCKMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>PRISM HYBRID LONG - SHORT FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-23T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-23T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>0.1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>JIS701DG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52005</Unique_No>
    <SCHEME_CODE>JPS701RG-GR</SCHEME_CODE>
    <RTA_x0020_Code>701RG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>701RG</AMC_SCHEME_CODE>
    <ISIN>INF22M030019</ISIN>
    <AMC_CODE1>JIOBLACKROCKMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>PRISM HYBRID LONG - SHORT FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-23T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-23T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>0.1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>JIS701RG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52006</Unique_No>
    <SCHEME_CODE>RLCPAW-DP</SCHEME_CODE>
    <RTA_x0020_Code>CPAW</RTA_x0020_Code>
    <AMC_SCHEME_CODE>CPAW</AMC_SCHEME_CODE>
    <ISIN>INF204KC1HF8</ISIN>
    <AMC_CODE1>NipponIndiaMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>NIPPON INDIA ULTRA SHORT DURATION FUND - DIRECT PLAN WEEKLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-25T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-25T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>RMFCPAW</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52007</Unique_No>
    <SCHEME_CODE>RLCPDP-DP</SCHEME_CODE>
    <RTA_x0020_Code>CPDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>CPDP</AMC_SCHEME_CODE>
    <ISIN>INF204KC1HE1</ISIN>
    <AMC_CODE1>NipponIndiaMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>NIPPON INDIA ULTRA SHORT DURATION FUND - REGULAR PLAN WEEKLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-25T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-25T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>RMFCPDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52008</Unique_No>
    <SCHEME_CODE>RLLQAW-DP</SCHEME_CODE>
    <RTA_x0020_Code>LQAW</RTA_x0020_Code>
    <AMC_SCHEME_CODE>LQAWD</AMC_SCHEME_CODE>
    <ISIN>INF204KC1HH4</ISIN>
    <AMC_CODE1>NipponIndiaMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>NIPPON INDIA MONEY MARKET FUND - DIRECT PLAN WEEKLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-25T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-25T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>RMFLQAW</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52009</Unique_No>
    <SCHEME_CODE>RLLQDP-DP</SCHEME_CODE>
    <RTA_x0020_Code>LQDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>LQDPD</AMC_SCHEME_CODE>
    <ISIN>INF204KC1HG6</ISIN>
    <AMC_CODE1>NipponIndiaMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>NIPPON INDIA MONEY MARKET FUND - REGULAR PLAN WEEKLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-25T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-25T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>RMFLQDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52010</Unique_No>
    <SCHEME_CODE>RLCPAW-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>CPAW</RTA_x0020_Code>
    <AMC_SCHEME_CODE>CPAW</AMC_SCHEME_CODE>
    <ISIN>INF204KC1HF8</ISIN>
    <AMC_CODE1>NipponIndiaMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>NIPPON INDIA ULTRA SHORT DURATION FUND - DIRECT PLAN WEEKLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-25T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-25T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>RMFCPAW</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52011</Unique_No>
    <SCHEME_CODE>RLCPDP-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>CPDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>CPDP</AMC_SCHEME_CODE>
    <ISIN>INF204KC1HE1</ISIN>
    <AMC_CODE1>NipponIndiaMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>NIPPON INDIA ULTRA SHORT DURATION FUND - REGULAR PLAN WEEKLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-25T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-25T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>RMFCPDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52012</Unique_No>
    <SCHEME_CODE>RLLQAW-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>LQAW</RTA_x0020_Code>
    <AMC_SCHEME_CODE>LQAWD</AMC_SCHEME_CODE>
    <ISIN>INF204KC1HH4</ISIN>
    <AMC_CODE1>NipponIndiaMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>NIPPON INDIA MONEY MARKET FUND - DIRECT PLAN WEEKLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-25T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-25T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>RMFLQAW</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52013</Unique_No>
    <SCHEME_CODE>RLLQDP-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>LQDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>LQDPD</AMC_SCHEME_CODE>
    <ISIN>INF204KC1HG6</ISIN>
    <AMC_CODE1>NipponIndiaMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>NIPPON INDIA MONEY MARKET FUND - REGULAR PLAN WEEKLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-06-25T00:00:00+05:30</Start_Date>
    <End_Date>2099-06-25T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>RMFLQDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52014</Unique_No>
    <SCHEME_CODE>IC3578-GR</SCHEME_CODE>
    <RTA_x0020_Code>3578</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MULTIFOF</AMC_SCHEME_CODE>
    <ISIN>INF109K1A542</ISIN>
    <AMC_CODE1>ICICIPrudentialMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>ICICI PRUDENTIAL MULTI-ASSET ACTIVE FOF - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>FOF</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-21T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-21T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>0.001</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
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    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <Unique_No>52017</Unique_No>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <Unique_No>52020</Unique_No>
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    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <Unique_No>52021</Unique_No>
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>P9779</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>52024</Unique_No>
    <SCHEME_CODE>CH104G-GR</SCHEME_CODE>
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    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_TXNMODE>DP</RED_TXNMODE>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RED_CUTOFF>1900-01-01T19:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
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    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-06T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-06T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>0.01</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>100</Face_Value>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>CHS104G</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52025</Unique_No>
    <SCHEME_CODE>CHD104G-GR</SCHEME_CODE>
    <RTA_x0020_Code>D104G</RTA_x0020_Code>
    <AMC_SCHEME_CODE>D104G</AMC_SCHEME_CODE>
    <ISIN>INF2KCX01087</ISIN>
    <AMC_CODE1>CHOICEMUTUALFUND_MF</AMC_CODE1>
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    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T19:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
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    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-06T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-06T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>0.01</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>100</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>CHSD104G</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52026</Unique_No>
    <SCHEME_CODE>CH104D-DR</SCHEME_CODE>
    <RTA_x0020_Code>104D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>104D</AMC_SCHEME_CODE>
    <ISIN>INF2KCX01079</ISIN>
    <AMC_CODE1>CHOICEMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>CHOICE OVERNIGHT FUND - REGULAR PLAN - DAILY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>10000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T19:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>OVERNIGHT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-06T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-06T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>0.01</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>100</Face_Value>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>CHS104D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52027</Unique_No>
    <SCHEME_CODE>CHD104D-DR</SCHEME_CODE>
    <RTA_x0020_Code>D104D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>D104D</AMC_SCHEME_CODE>
    <ISIN>INF2KCX01061</ISIN>
    <AMC_CODE1>CHOICEMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>CHOICE OVERNIGHT FUND - DIRECT PLAN - DAILY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>10000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T19:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-06T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-06T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>0.01</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>CHSD104D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52028</Unique_No>
    <SCHEME_CODE>YE118G-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>118G</RTA_x0020_Code>
    <AMC_SCHEME_CODE>118G</AMC_SCHEME_CODE>
    <ISIN>INF03VN01AG6</ISIN>
    <AMC_CODE1>WHITEOAKCAPITALMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>WHITEOAK CAPITAL - AGGRESSIVE HYBRID FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-01T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-01T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>Y118G</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52029</Unique_No>
    <SCHEME_CODE>YED118G-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>D118G</RTA_x0020_Code>
    <AMC_SCHEME_CODE>D118G</AMC_SCHEME_CODE>
    <ISIN>INF03VN01AF8</ISIN>
    <AMC_CODE1>WHITEOAKCAPITALMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>WHITEOAK CAPITAL - AGGRESSIVE HYBRID FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <SCHEMETYPE>EQUITY</SCHEMETYPE>
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    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
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    <Start_Date>2026-07-01T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-01T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>YD118G</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52030</Unique_No>
    <SCHEME_CODE>ISSS2GP-GR</SCHEME_CODE>
    <RTA_x0020_Code>S2GP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>915</AMC_SCHEME_CODE>
    <ISIN>INF205K30014</ISIN>
    <AMC_CODE1>INVESCOMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>SUMMIT EQUITY LONG-SHORT FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>915S2GP</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>52031</Unique_No>
    <SCHEME_CODE>ISSS2DP-DP</SCHEME_CODE>
    <RTA_x0020_Code>S2DP</RTA_x0020_Code>
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    <ISIN>INF205K30022</ISIN>
    <AMC_CODE1>INVESCOMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>SUMMIT EQUITY LONG-SHORT FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>915S2DP</CHA_PAT_Cod>
  </BSEFundMast>
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    <Unique_No>52032</Unique_No>
    <SCHEME_CODE>ISSS2DP-DR</SCHEME_CODE>
    <RTA_x0020_Code>S2DP</RTA_x0020_Code>
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    <AMC_CODE1>INVESCOMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>SUMMIT EQUITY LONG-SHORT FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>915S2DP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52033</Unique_No>
    <SCHEME_CODE>ISSS2D1-GR</SCHEME_CODE>
    <RTA_x0020_Code>S2D1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>915</AMC_SCHEME_CODE>
    <ISIN>INF205K30048</ISIN>
    <AMC_CODE1>INVESCOMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>SUMMIT EQUITY LONG-SHORT FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>915S2D1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52034</Unique_No>
    <SCHEME_CODE>ISSS2D2-DP</SCHEME_CODE>
    <RTA_x0020_Code>S2D2</RTA_x0020_Code>
    <AMC_SCHEME_CODE>915</AMC_SCHEME_CODE>
    <ISIN>INF205K30055</ISIN>
    <AMC_CODE1>INVESCOMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>SUMMIT EQUITY LONG-SHORT FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>915S2D2</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52035</Unique_No>
    <SCHEME_CODE>ISSS2D2-DR</SCHEME_CODE>
    <RTA_x0020_Code>S2D2</RTA_x0020_Code>
    <AMC_SCHEME_CODE>915</AMC_SCHEME_CODE>
    <ISIN>INF205K30063</ISIN>
    <AMC_CODE1>INVESCOMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>SUMMIT EQUITY LONG-SHORT FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>915S2D2</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52036</Unique_No>
    <SCHEME_CODE>MOEMGD-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>EMGD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>EMGD</AMC_SCHEME_CODE>
    <ISIN>INF247L01HC6</ISIN>
    <AMC_CODE1>MOTILALOSWAL_MF</AMC_CODE1>
    <SCHEME_NAME>MOTILAL OSWAL BSE CLEAN ENVIRONMENT INDEX FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>127EMGD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52037</Unique_No>
    <SCHEME_CODE>MOEMGP-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>EMGP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>EMGP</AMC_SCHEME_CODE>
    <ISIN>INF247L01HD4</ISIN>
    <AMC_CODE1>MOTILALOSWAL_MF</AMC_CODE1>
    <SCHEME_NAME>MOTILAL OSWAL BSE CLEAN ENVIRONMENT INDEX FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-02T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-02T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>127EMGP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52038</Unique_No>
    <SCHEME_CODE>AXNWDG-GR</SCHEME_CODE>
    <RTA_x0020_Code>NWDG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>NWDGG</AMC_SCHEME_CODE>
    <ISIN>INF846KA1564</ISIN>
    <AMC_CODE1>AXISMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>AXIS NIFTY50 EQUAL WEIGHT INDEX FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-28T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-28T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>128NWDG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52039</Unique_No>
    <SCHEME_CODE>AXNWGP-GR</SCHEME_CODE>
    <RTA_x0020_Code>NWGP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>NWGPG</AMC_SCHEME_CODE>
    <ISIN>INF846KA1556</ISIN>
    <AMC_CODE1>AXISMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>AXIS NIFTY50 EQUAL WEIGHT INDEX FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-28T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-28T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>128NWGP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52040</Unique_No>
    <SCHEME_CODE>UTLMDG-GR</SCHEME_CODE>
    <RTA_x0020_Code>LMDG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>LMDG</AMC_SCHEME_CODE>
    <ISIN>INF0GCD01891</ISIN>
    <AMC_CODE1>TRUSTMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>TRUSTMF LARGE &amp; MID CAP FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>185LMDG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52041</Unique_No>
    <SCHEME_CODE>UTLMRG-GR</SCHEME_CODE>
    <RTA_x0020_Code>LMRG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>LMRG</AMC_SCHEME_CODE>
    <ISIN>INF0GCD01909</ISIN>
    <AMC_CODE1>TRUSTMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>TRUSTMF LARGE &amp; MID CAP FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>185LMRG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52042</Unique_No>
    <SCHEME_CODE>MOBMGD-GR</SCHEME_CODE>
    <RTA_x0020_Code>BMGD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>BMGD</AMC_SCHEME_CODE>
    <ISIN>INF247L01HE2</ISIN>
    <AMC_CODE1>MOTILALOSWAL_MF</AMC_CODE1>
    <SCHEME_NAME>MOTILAL OSWAL BSE MIDCAP 150 MOMENTUM 30 INDEX FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>127BMGD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52043</Unique_No>
    <SCHEME_CODE>MOBMGP-GR</SCHEME_CODE>
    <RTA_x0020_Code>BMGP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>BMGP</AMC_SCHEME_CODE>
    <ISIN>INF247L01HF9</ISIN>
    <AMC_CODE1>MOTILALOSWAL_MF</AMC_CODE1>
    <SCHEME_NAME>MOTILAL OSWAL BSE MIDCAP 150 MOMENTUM 30 INDEX FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>127BMGP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52044</Unique_No>
    <SCHEME_CODE>AGAMARG-GR</SCHEME_CODE>
    <RTA_x0020_Code>AMARG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>AMARG</AMC_SCHEME_CODE>
    <ISIN>INF2VOA01046</ISIN>
    <AMC_CODE1>ALPHAGREPMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ALPHAGREP MULTI ASSET ALLOCATION FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>AGPAMARG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52045</Unique_No>
    <SCHEME_CODE>AGAMARD-DR</SCHEME_CODE>
    <RTA_x0020_Code>AMARD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>AMARD</AMC_SCHEME_CODE>
    <ISIN>INF2VOA01053</ISIN>
    <AMC_CODE1>ALPHAGREPMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ALPHAGREP MULTI ASSET ALLOCATION FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>AGPAMARD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52046</Unique_No>
    <SCHEME_CODE>AGAMARP-DP</SCHEME_CODE>
    <RTA_x0020_Code>AMARP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>AMARP</AMC_SCHEME_CODE>
    <ISIN>INF2VOA01061</ISIN>
    <AMC_CODE1>ALPHAGREPMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ALPHAGREP MULTI ASSET ALLOCATION FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>AGPAMARP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52047</Unique_No>
    <SCHEME_CODE>AGAMADG-GR</SCHEME_CODE>
    <RTA_x0020_Code>AMADG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>AMADG</AMC_SCHEME_CODE>
    <ISIN>INF2VOA01012</ISIN>
    <AMC_CODE1>ALPHAGREPMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ALPHAGREP MULTI ASSET ALLOCATION FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>AGPAMADG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52048</Unique_No>
    <SCHEME_CODE>AGAMADD-DR</SCHEME_CODE>
    <RTA_x0020_Code>AMADD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>AMADD</AMC_SCHEME_CODE>
    <ISIN>INF2VOA01020</ISIN>
    <AMC_CODE1>ALPHAGREPMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ALPHAGREP MULTI ASSET ALLOCATION FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>AGPAMADD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52049</Unique_No>
    <SCHEME_CODE>AGAMADP-DP</SCHEME_CODE>
    <RTA_x0020_Code>AMADP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>AMADP</AMC_SCHEME_CODE>
    <ISIN>INF2VOA01038</ISIN>
    <AMC_CODE1>ALPHAGREPMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ALPHAGREP MULTI ASSET ALLOCATION FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>AGPAMADP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52050</Unique_No>
    <SCHEME_CODE>AGAMARD-DP</SCHEME_CODE>
    <RTA_x0020_Code>AMARD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>AMARD</AMC_SCHEME_CODE>
    <ISIN>INF2VOA01053</ISIN>
    <AMC_CODE1>ALPHAGREPMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ALPHAGREP MULTI ASSET ALLOCATION FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>AGPAMARD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52051</Unique_No>
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    <RTA_x0020_Code>AMADD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>AMADD</AMC_SCHEME_CODE>
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    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <PUR_ALLOWED>Y</PUR_ALLOWED>
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    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
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    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>AGPAMADD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52052</Unique_No>
    <SCHEME_CODE>MABMD1-GR</SCHEME_CODE>
    <RTA_x0020_Code>BMD1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>BMD1G</AMC_SCHEME_CODE>
    <ISIN>INF769K01QX8</ISIN>
    <AMC_CODE1>MIRAEASSET</AMC_CODE1>
    <SCHEME_NAME>MIRAE ASSET BSE MIDCAP 150 MOMENTUM 30 ETF FOF - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>FOF</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-24T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>117BMD1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52053</Unique_No>
    <SCHEME_CODE>MABMRG-GR</SCHEME_CODE>
    <RTA_x0020_Code>BMRG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>BMRGG</AMC_SCHEME_CODE>
    <ISIN>INF769K01QW0</ISIN>
    <AMC_CODE1>MIRAEASSET</AMC_CODE1>
    <SCHEME_NAME>MIRAE ASSET BSE MIDCAP 150 MOMENTUM 30 ETF FOF - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
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    <SCHEMETYPE>FOF</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-24T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>117BMRG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52056</Unique_No>
    <SCHEME_CODE>CH104G-GR-L0</SCHEME_CODE>
    <RTA_x0020_Code>104G</RTA_x0020_Code>
    <AMC_SCHEME_CODE>104G</AMC_SCHEME_CODE>
    <ISIN>INF2KCX01095</ISIN>
    <AMC_CODE1>CHOICEMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>CHOICE OVERNIGHT FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T13:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T19:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>OVERNIGHT</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L0</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-06T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-06T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>0.01</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>100</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>CHS104G</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52057</Unique_No>
    <SCHEME_CODE>CHD104G-GR-L0</SCHEME_CODE>
    <RTA_x0020_Code>D104G</RTA_x0020_Code>
    <AMC_SCHEME_CODE>D104G</AMC_SCHEME_CODE>
    <ISIN>INF2KCX01087</ISIN>
    <AMC_CODE1>CHOICEMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>CHOICE OVERNIGHT FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T13:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T19:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>OVERNIGHT</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L0</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-06T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-06T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>0.01</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>100</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>CHSD104G</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52058</Unique_No>
    <SCHEME_CODE>CH104D-DR-L0</SCHEME_CODE>
    <RTA_x0020_Code>104D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>104D</AMC_SCHEME_CODE>
    <ISIN>INF2KCX01079</ISIN>
    <AMC_CODE1>CHOICEMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>CHOICE OVERNIGHT FUND - REGULAR PLAN - DAILY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>10000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T13:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T19:00:00+05:30</RED_CUTOFF>
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    <SIP_FLAG>N</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L0</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-06T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-06T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>0.01</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>100</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>CHS104D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52059</Unique_No>
    <SCHEME_CODE>CHD104D-DR-L0</SCHEME_CODE>
    <RTA_x0020_Code>D104D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>D104D</AMC_SCHEME_CODE>
    <ISIN>INF2KCX01061</ISIN>
    <AMC_CODE1>CHOICEMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>CHOICE OVERNIGHT FUND - DIRECT PLAN - DAILY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>10000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>10000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T13:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T19:00:00+05:30</RED_CUTOFF>
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    <SIP_FLAG>N</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L0</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-06T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-06T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>0.01</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>100</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>CHSD104D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52082</Unique_No>
    <SCHEME_CODE>SB714D-DR</SCHEME_CODE>
    <RTA_x0020_Code>714D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>714D</AMC_SCHEME_CODE>
    <ISIN>INF200KB1BN0</ISIN>
    <AMC_CODE1>SBIMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>SBI CRISIL - IBX SDL INDEX - JUNE 2034 INDEX FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
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    <Start_Date>2026-07-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>L714D</CHA_PAT_Cod>
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    <Unique_No>52083</Unique_No>
    <SCHEME_CODE>SB714DP-DP</SCHEME_CODE>
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    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
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    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
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    <Start_Date>2026-07-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
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  <BSEFundMast>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <Start_Date>2026-07-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
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    <LOC_Flag>N</LOC_Flag>
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    <CHA_PAT_Cod>L714G</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>52085</Unique_No>
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    <ISIN>INF200KB1BQ3</ISIN>
    <AMC_CODE1>SBIMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>SBI CRISIL - IBX SDL INDEX - JUNE 2034 INDEX FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <STP>N</STP>
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    <Start_Date>2026-07-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>LD714D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52086</Unique_No>
    <SCHEME_CODE>SBD714G-GR</SCHEME_CODE>
    <RTA_x0020_Code>D714G</RTA_x0020_Code>
    <AMC_SCHEME_CODE>714D1G</AMC_SCHEME_CODE>
    <ISIN>INF200KB1BO8</ISIN>
    <AMC_CODE1>SBIMutualFund_MF</AMC_CODE1>
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    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
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    <Start_Date>2026-07-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>LD714G</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52087</Unique_No>
    <SCHEME_CODE>SBD714P-DP</SCHEME_CODE>
    <RTA_x0020_Code>D714P</RTA_x0020_Code>
    <AMC_SCHEME_CODE>714D1D</AMC_SCHEME_CODE>
    <ISIN>INF200KB1BP5</ISIN>
    <AMC_CODE1>SBIMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>SBI CRISIL - IBX SDL INDEX - JUNE 2034 INDEX FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
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    <Start_Date>2026-07-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>LD714P</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>52088</Unique_No>
    <SCHEME_CODE>SB714D-DP</SCHEME_CODE>
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    <ISIN>INF200KB1BN0</ISIN>
    <AMC_CODE1>SBIMutualFund_MF</AMC_CODE1>
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    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
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    <RED_TXNMODE>P</RED_TXNMODE>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
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    <STP>N</STP>
    <TAT>T1</TAT>
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    <Start_Date>2026-07-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
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    <CHA_PAT_Cod>L714D</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>52089</Unique_No>
    <SCHEME_CODE>SBD714D-DP</SCHEME_CODE>
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    <PUR_TXNMODE>P</PUR_TXNMODE>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <End_Date>2099-07-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <Unique_No>52096</Unique_No>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <Start_Date>2026-08-03T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-03T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <CHA_PAT_Cod>187VLDG</CHA_PAT_Cod>
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    <Unique_No>52097</Unique_No>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <STP>N</STP>
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    <End_Date>2099-08-03T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <LOC_Flag>N</LOC_Flag>
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    <CHA_PAT_Cod>187VLDD</CHA_PAT_Cod>
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    <Unique_No>52098</Unique_No>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>187VLRG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52099</Unique_No>
    <SCHEME_CODE>NJVLRD-DP</SCHEME_CODE>
    <RTA_x0020_Code>VLRD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>VLRD</AMC_SCHEME_CODE>
    <ISIN>INF0J8L01248</ISIN>
    <AMC_CODE1>NJMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>NJ VALUE FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-03T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-03T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>187VLRD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52100</Unique_No>
    <SCHEME_CODE>NJMTDG-GR</SCHEME_CODE>
    <RTA_x0020_Code>MTDG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MTDG</AMC_SCHEME_CODE>
    <ISIN>INF0J8L01172</ISIN>
    <AMC_CODE1>NJMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>NJ MOMENTUM FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-03T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-03T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>187MTDG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52101</Unique_No>
    <SCHEME_CODE>NJMTDD-DP</SCHEME_CODE>
    <RTA_x0020_Code>MTDD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MTDD</AMC_SCHEME_CODE>
    <ISIN>INF0J8L01180</ISIN>
    <AMC_CODE1>NJMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>NJ MOMENTUM FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-03T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-03T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>187MTDD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52102</Unique_No>
    <SCHEME_CODE>NJMTRG-GR</SCHEME_CODE>
    <RTA_x0020_Code>MTRG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MTRG</AMC_SCHEME_CODE>
    <ISIN>INF0J8L01198</ISIN>
    <AMC_CODE1>NJMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>NJ MOMENTUM FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-03T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-03T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>187MTRG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52103</Unique_No>
    <SCHEME_CODE>NJMTRD-DP</SCHEME_CODE>
    <RTA_x0020_Code>MTRD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MTRD</AMC_SCHEME_CODE>
    <ISIN>INF0J8L01206</ISIN>
    <AMC_CODE1>NJMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>NJ MOMENTUM FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-03T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-03T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>187MTRD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52104</Unique_No>
    <SCHEME_CODE>MAMID1-GR</SCHEME_CODE>
    <RTA_x0020_Code>MID1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MID1G</AMC_SCHEME_CODE>
    <ISIN>INF769K01RG1</ISIN>
    <AMC_CODE1>MIRAEASSET</AMC_CODE1>
    <SCHEME_NAME>MIRAE ASSET NIFTY200 MOMENTUM 30 PLUS 8-13 YR G-SEC 75:25 INDEX FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-29T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-29T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>117MID1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52105</Unique_No>
    <SCHEME_CODE>MAMID2-DP</SCHEME_CODE>
    <RTA_x0020_Code>MID2</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MID2D</AMC_SCHEME_CODE>
    <ISIN>INF769K01RI7</ISIN>
    <AMC_CODE1>MIRAEASSET</AMC_CODE1>
    <SCHEME_NAME>MIRAE ASSET NIFTY200 MOMENTUM 30 PLUS 8-13 YR G-SEC 75:25 INDEX FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-29T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-29T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>117MID2</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52106</Unique_No>
    <SCHEME_CODE>MAMID2-DR</SCHEME_CODE>
    <RTA_x0020_Code>MID2</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MID2R</AMC_SCHEME_CODE>
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    <AMC_CODE1>MIRAEASSET</AMC_CODE1>
    <SCHEME_NAME>MIRAE ASSET NIFTY200 MOMENTUM 30 PLUS 8-13 YR G-SEC 75:25 INDEX FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
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    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-29T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-29T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>117MID2</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>52107</Unique_No>
    <SCHEME_CODE>MAMIRG-GR</SCHEME_CODE>
    <RTA_x0020_Code>MIRG</RTA_x0020_Code>
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    <AMC_CODE1>MIRAEASSET</AMC_CODE1>
    <SCHEME_NAME>MIRAE ASSET NIFTY200 MOMENTUM 30 PLUS 8-13 YR G-SEC 75:25 INDEX FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
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    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-29T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-29T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>117MIRG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52108</Unique_No>
    <SCHEME_CODE>MAMIRD-DP</SCHEME_CODE>
    <RTA_x0020_Code>MIRD</RTA_x0020_Code>
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    <ISIN>INF769K01RF3</ISIN>
    <AMC_CODE1>MIRAEASSET</AMC_CODE1>
    <SCHEME_NAME>MIRAE ASSET NIFTY200 MOMENTUM 30 PLUS 8-13 YR G-SEC 75:25 INDEX FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
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    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-29T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-29T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>117MIRD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52109</Unique_No>
    <SCHEME_CODE>MAMIRD-DR</SCHEME_CODE>
    <RTA_x0020_Code>MIRD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MIRDR</AMC_SCHEME_CODE>
    <ISIN>INF769K01RE6</ISIN>
    <AMC_CODE1>MIRAEASSET</AMC_CODE1>
    <SCHEME_NAME>MIRAE ASSET NIFTY200 MOMENTUM 30 PLUS 8-13 YR G-SEC 75:25 INDEX FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-29T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-29T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>117MIRD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52112</Unique_No>
    <SCHEME_CODE>HDHNARG-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>HNARG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>HNARG</AMC_SCHEME_CODE>
    <ISIN>INF179KC1KP2</ISIN>
    <AMC_CODE1>HDFCMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>HDFC NIFTY AUTO INDEX FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>HHNARG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52113</Unique_No>
    <SCHEME_CODE>HDHNADG-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>HNADG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>HNADG</AMC_SCHEME_CODE>
    <ISIN>INF179KC1KQ0</ISIN>
    <AMC_CODE1>HDFCMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>HDFC NIFTY AUTO INDEX FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>HHNADG</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>52114</Unique_No>
    <SCHEME_CODE>ZEZLC36-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>ZLC36</RTA_x0020_Code>
    <AMC_SCHEME_CODE>ZLC36</AMC_SCHEME_CODE>
    <ISIN>INF0R8F01224</ISIN>
    <AMC_CODE1>ZERODHAMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ZERODHA LIFE CYCLE FUND 2036 - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>0.01</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>ZZLC36</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52115</Unique_No>
    <SCHEME_CODE>ZEZLC41-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>ZLC41</RTA_x0020_Code>
    <AMC_SCHEME_CODE>ZLC41</AMC_SCHEME_CODE>
    <ISIN>INF0R8F01216</ISIN>
    <AMC_CODE1>ZERODHAMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ZERODHA LIFE CYCLE FUND 2041 - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>0.01</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>ZZLC41</CHA_PAT_Cod>
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    <Unique_No>52116</Unique_No>
    <SCHEME_CODE>TAMSPD-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>MSPD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>TMSPFOFA</AMC_SCHEME_CODE>
    <ISIN>INF277KA1ET0</ISIN>
    <AMC_CODE1>TATAMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>TATA MULTI SECTOR PASSIVE FOF - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-14T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-14T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>TMSPD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52117</Unique_No>
    <SCHEME_CODE>TAMSPDP-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>MSPDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>TMSPFOFA</AMC_SCHEME_CODE>
    <ISIN>INF277KA1EU8</ISIN>
    <AMC_CODE1>TATAMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>TATA MULTI SECTOR PASSIVE FOF - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-14T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-14T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>TMSPDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52118</Unique_No>
    <SCHEME_CODE>TAMSPDZ-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>MSPDZ</RTA_x0020_Code>
    <AMC_SCHEME_CODE>TMSPFOFC</AMC_SCHEME_CODE>
    <ISIN>INF277KA1EW4</ISIN>
    <AMC_CODE1>TATAMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>TATA MULTI SECTOR PASSIVE FOF - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
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    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
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    <Start_Date>2026-07-14T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-14T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>TMSPDZ</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52119</Unique_No>
    <SCHEME_CODE>TAMSPZP-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>MSPZP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>TMSPFOFC</AMC_SCHEME_CODE>
    <ISIN>INF277KA1EX2</ISIN>
    <AMC_CODE1>TATAMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>TATA MULTI SECTOR PASSIVE FOF - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-14T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-14T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>TMSPZP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52120</Unique_No>
    <SCHEME_CODE>TAMSPG-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>MSPG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>TMSPFOFB</AMC_SCHEME_CODE>
    <ISIN>INF277KA1ES2</ISIN>
    <AMC_CODE1>TATAMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>TATA MULTI SECTOR PASSIVE FOF - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-14T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-14T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>TMSPG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52121</Unique_No>
    <SCHEME_CODE>TAMSPGZ-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>MSPGZ</RTA_x0020_Code>
    <AMC_SCHEME_CODE>TMSPFOFD</AMC_SCHEME_CODE>
    <ISIN>INF277KA1EV6</ISIN>
    <AMC_CODE1>TATAMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>TATA MULTI SECTOR PASSIVE FOF - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-14T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-14T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>TMSPGZ</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52122</Unique_No>
    <SCHEME_CODE>TAMSPD-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>MSPD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>TMSPFOFA</AMC_SCHEME_CODE>
    <ISIN>INF277KA1ET0</ISIN>
    <AMC_CODE1>TATAMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>TATA MULTI SECTOR PASSIVE FOF - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-14T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-14T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>TMSPD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52123</Unique_No>
    <SCHEME_CODE>TAMSPDZ-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>MSPDZ</RTA_x0020_Code>
    <AMC_SCHEME_CODE>TMSPFOFC</AMC_SCHEME_CODE>
    <ISIN>INF277KA1EW4</ISIN>
    <AMC_CODE1>TATAMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>TATA MULTI SECTOR PASSIVE FOF - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-14T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-14T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>TMSPDZ</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52124</Unique_No>
    <SCHEME_CODE>BPSFRG-GR</SCHEME_CODE>
    <RTA_x0020_Code>SFRG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>SFRGG</AMC_SCHEME_CODE>
    <ISIN>INF251K01VV1</ISIN>
    <AMC_CODE1>BARODABNPPARIBASMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>BARODA BNP PARIBAS SERVICES FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-05T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-05T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>178SFRG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52125</Unique_No>
    <SCHEME_CODE>BPSFRD-DP</SCHEME_CODE>
    <RTA_x0020_Code>SFRD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>SFRDD</AMC_SCHEME_CODE>
    <ISIN>INF251K01VW9</ISIN>
    <AMC_CODE1>BARODABNPPARIBASMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>BARODA BNP PARIBAS SERVICES FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-05T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-05T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>178SFRD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52126</Unique_No>
    <SCHEME_CODE>BPSFRD-DR</SCHEME_CODE>
    <RTA_x0020_Code>SFRD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>SFRDR</AMC_SCHEME_CODE>
    <ISIN>INF251K01VX7</ISIN>
    <AMC_CODE1>BARODABNPPARIBASMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>BARODA BNP PARIBAS SERVICES FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-05T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-05T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>178SFRD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52127</Unique_No>
    <SCHEME_CODE>BPSFDG-GR</SCHEME_CODE>
    <RTA_x0020_Code>SFDG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>SFDGG</AMC_SCHEME_CODE>
    <ISIN>INF251K01VY5</ISIN>
    <AMC_CODE1>BARODABNPPARIBASMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>BARODA BNP PARIBAS SERVICES FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-05T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-05T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
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    <SWITCH_Flag>Y</SWITCH_Flag>
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    <End_Date>2099-08-05T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <End_Date>2099-08-05T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <Unique_No>52130</Unique_No>
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    <End_Date>2099-08-06T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <SCHEME_CODE>WEMCDD-DP</SCHEME_CODE>
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    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
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    <End_Date>2099-08-06T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
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    <CHA_PAT_Cod>174MCDD</CHA_PAT_Cod>
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    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <End_Date>2099-08-06T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K434D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52159</Unique_No>
    <SCHEME_CODE>KO434D-DP</SCHEME_CODE>
    <RTA_x0020_Code>434D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K434D</AMC_SCHEME_CODE>
    <ISIN>INF174KA1B02</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK MONEY MARKET FUND - DIRECT PLAN - WEEKLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K434D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52160</Unique_No>
    <SCHEME_CODE>KO434-DR</SCHEME_CODE>
    <RTA_x0020_Code>434</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K434</AMC_SCHEME_CODE>
    <ISIN>INF174KA1B36</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK MONEY MARKET FUND - REGULAR PLAN - WEEKLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K434</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52161</Unique_No>
    <SCHEME_CODE>KO434-DP</SCHEME_CODE>
    <RTA_x0020_Code>434</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K434</AMC_SCHEME_CODE>
    <ISIN>INF174KA1B36</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK MONEY MARKET FUND - REGULAR PLAN - WEEKLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K434</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52162</Unique_No>
    <SCHEME_CODE>KO434DD-DP</SCHEME_CODE>
    <RTA_x0020_Code>434DD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K434DD</AMC_SCHEME_CODE>
    <ISIN>INF174KA1B28</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK MONEY MARKET FUND - DIRECT PLAN - WEEKLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K434DD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52163</Unique_No>
    <SCHEME_CODE>KO434DP-DP</SCHEME_CODE>
    <RTA_x0020_Code>434DP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K434DP</AMC_SCHEME_CODE>
    <ISIN>INF174KA1B10</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK MONEY MARKET FUND - REGULAR PLAN - WEEKLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K434DP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52164</Unique_No>
    <SCHEME_CODE>KO435D-DR</SCHEME_CODE>
    <RTA_x0020_Code>435D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K435D</AMC_SCHEME_CODE>
    <ISIN>INF174KA1B44</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK BOND SHORT TERM FUND - DIRECT PLAN - WEEKLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K435D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52165</Unique_No>
    <SCHEME_CODE>KO435D-DP</SCHEME_CODE>
    <RTA_x0020_Code>435D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K435D</AMC_SCHEME_CODE>
    <ISIN>INF174KA1B44</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK BOND SHORT TERM FUND - DIRECT PLAN - WEEKLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K435D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52166</Unique_No>
    <SCHEME_CODE>KO435-DR</SCHEME_CODE>
    <RTA_x0020_Code>435</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K435</AMC_SCHEME_CODE>
    <ISIN>INF174KA1B77</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK BOND SHORT TERM FUND - REGULAR PLAN - WEEKLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K435</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52167</Unique_No>
    <SCHEME_CODE>KO435-DP</SCHEME_CODE>
    <RTA_x0020_Code>435</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K435</AMC_SCHEME_CODE>
    <ISIN>INF174KA1B77</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK BOND SHORT TERM FUND - REGULAR PLAN - WEEKLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K435</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52168</Unique_No>
    <SCHEME_CODE>KO435DD-DP</SCHEME_CODE>
    <RTA_x0020_Code>435DD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K435DD</AMC_SCHEME_CODE>
    <ISIN>INF174KA1B69</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK BOND SHORT TERM FUND - DIRECT PLAN - WEEKLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K435DD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52169</Unique_No>
    <SCHEME_CODE>KO435DP-DP</SCHEME_CODE>
    <RTA_x0020_Code>435DP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K435DP</AMC_SCHEME_CODE>
    <ISIN>INF174KA1B51</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK BOND SHORT TERM FUND - REGULAR PLAN - WEEKLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K435DP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52170</Unique_No>
    <SCHEME_CODE>KO433D-DR</SCHEME_CODE>
    <RTA_x0020_Code>433D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K433D</AMC_SCHEME_CODE>
    <ISIN>INF174KA1B85</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK CORPORATE BOND FUND - DIRECT PLAN - WEEKLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K433D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52171</Unique_No>
    <SCHEME_CODE>KO433D-DP</SCHEME_CODE>
    <RTA_x0020_Code>433D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K433D</AMC_SCHEME_CODE>
    <ISIN>INF174KA1B85</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK CORPORATE BOND FUND - DIRECT PLAN - WEEKLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K433D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52172</Unique_No>
    <SCHEME_CODE>KO433-DR</SCHEME_CODE>
    <RTA_x0020_Code>433</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K433</AMC_SCHEME_CODE>
    <ISIN>INF174KA1C19</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK CORPORATE BOND FUND - REGULAR PLAN - WEEKLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K433</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52173</Unique_No>
    <SCHEME_CODE>KO433-DP</SCHEME_CODE>
    <RTA_x0020_Code>433</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K433</AMC_SCHEME_CODE>
    <ISIN>INF174KA1C19</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK CORPORATE BOND FUND - REGULAR PLAN - WEEKLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K433</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52174</Unique_No>
    <SCHEME_CODE>KO433DD-DP</SCHEME_CODE>
    <RTA_x0020_Code>433DD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K433DD</AMC_SCHEME_CODE>
    <ISIN>INF174KA1C01</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK CORPORATE BOND FUND - DIRECT PLAN - WEEKLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K433DD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52175</Unique_No>
    <SCHEME_CODE>KO433DP-DP</SCHEME_CODE>
    <RTA_x0020_Code>433DP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K433DP</AMC_SCHEME_CODE>
    <ISIN>INF174KA1B93</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK CORPORATE BOND FUND - REGULAR PLAN - WEEKLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K433DP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52176</Unique_No>
    <SCHEME_CODE>KO432D-DR</SCHEME_CODE>
    <RTA_x0020_Code>432D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K432D</AMC_SCHEME_CODE>
    <ISIN>INF174KA1C27</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK SAVINGS FUND - DIRECT PLAN - WEEKLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K432D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52177</Unique_No>
    <SCHEME_CODE>KO432D-DP</SCHEME_CODE>
    <RTA_x0020_Code>432D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K432D</AMC_SCHEME_CODE>
    <ISIN>INF174KA1C27</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK SAVINGS FUND - DIRECT PLAN - WEEKLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K432D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52178</Unique_No>
    <SCHEME_CODE>KO432-DR</SCHEME_CODE>
    <RTA_x0020_Code>432</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K432</AMC_SCHEME_CODE>
    <ISIN>INF174KA1C50</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK SAVINGS FUND - REGULAR PLAN - WEEKLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K432</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52179</Unique_No>
    <SCHEME_CODE>KO432-DP</SCHEME_CODE>
    <RTA_x0020_Code>432</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K432</AMC_SCHEME_CODE>
    <ISIN>INF174KA1C50</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK SAVINGS FUND - REGULAR PLAN - WEEKLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K432</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52180</Unique_No>
    <SCHEME_CODE>KO432DD-DP</SCHEME_CODE>
    <RTA_x0020_Code>432DD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K432DD</AMC_SCHEME_CODE>
    <ISIN>INF174KA1C43</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK SAVINGS FUND - DIRECT PLAN - WEEKLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K432DD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52181</Unique_No>
    <SCHEME_CODE>KO432DP-DP</SCHEME_CODE>
    <RTA_x0020_Code>432DP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K432DP</AMC_SCHEME_CODE>
    <ISIN>INF174KA1C35</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK SAVINGS FUND - REGULAR PLAN - WEEKLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K432DP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52182</Unique_No>
    <SCHEME_CODE>KO434D-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>434D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K434D</AMC_SCHEME_CODE>
    <ISIN>INF174KA1B02</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK MONEY MARKET FUND - DIRECT PLAN - WEEKLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K434D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52183</Unique_No>
    <SCHEME_CODE>KO434D-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>434D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K434D</AMC_SCHEME_CODE>
    <ISIN>INF174KA1B02</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK MONEY MARKET FUND - DIRECT PLAN - WEEKLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K434D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52184</Unique_No>
    <SCHEME_CODE>KO434-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>434</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K434</AMC_SCHEME_CODE>
    <ISIN>INF174KA1B36</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK MONEY MARKET FUND - REGULAR PLAN - WEEKLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K434</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52185</Unique_No>
    <SCHEME_CODE>KO434-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>434</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K434</AMC_SCHEME_CODE>
    <ISIN>INF174KA1B36</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK MONEY MARKET FUND - REGULAR PLAN - WEEKLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
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    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
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  <BSEFundMast>
    <Unique_No>52186</Unique_No>
    <SCHEME_CODE>KO434DD-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>434DD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K434DD</AMC_SCHEME_CODE>
    <ISIN>INF174KA1B28</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK MONEY MARKET FUND - DIRECT PLAN - WEEKLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K434DD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52187</Unique_No>
    <SCHEME_CODE>KO434DP-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>434DP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K434DP</AMC_SCHEME_CODE>
    <ISIN>INF174KA1B10</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK MONEY MARKET FUND - REGULAR PLAN - WEEKLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K434DP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52188</Unique_No>
    <SCHEME_CODE>KO435D-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>435D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K435D</AMC_SCHEME_CODE>
    <ISIN>INF174KA1B44</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK BOND SHORT TERM FUND - DIRECT PLAN - WEEKLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K435D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52189</Unique_No>
    <SCHEME_CODE>KO435D-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>435D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K435D</AMC_SCHEME_CODE>
    <ISIN>INF174KA1B44</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK BOND SHORT TERM FUND - DIRECT PLAN - WEEKLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K435D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52190</Unique_No>
    <SCHEME_CODE>KO435-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>435</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K435</AMC_SCHEME_CODE>
    <ISIN>INF174KA1B77</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK BOND SHORT TERM FUND - REGULAR PLAN - WEEKLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K435</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52191</Unique_No>
    <SCHEME_CODE>KO435-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>435</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K435</AMC_SCHEME_CODE>
    <ISIN>INF174KA1B77</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK BOND SHORT TERM FUND - REGULAR PLAN - WEEKLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K435</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52192</Unique_No>
    <SCHEME_CODE>KO435DD-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>435DD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K435DD</AMC_SCHEME_CODE>
    <ISIN>INF174KA1B69</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK BOND SHORT TERM FUND - DIRECT PLAN - WEEKLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K435DD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52193</Unique_No>
    <SCHEME_CODE>KO435DP-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>435DP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K435DP</AMC_SCHEME_CODE>
    <ISIN>INF174KA1B51</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK BOND SHORT TERM FUND - REGULAR PLAN - WEEKLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K435DP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52194</Unique_No>
    <SCHEME_CODE>KO433D-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>433D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K433D</AMC_SCHEME_CODE>
    <ISIN>INF174KA1B85</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK CORPORATE BOND FUND - DIRECT PLAN - WEEKLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K433D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52195</Unique_No>
    <SCHEME_CODE>KO433D-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>433D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K433D</AMC_SCHEME_CODE>
    <ISIN>INF174KA1B85</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK CORPORATE BOND FUND - DIRECT PLAN - WEEKLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K433D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52196</Unique_No>
    <SCHEME_CODE>KO433-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>433</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K433</AMC_SCHEME_CODE>
    <ISIN>INF174KA1C19</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK CORPORATE BOND FUND - REGULAR PLAN - WEEKLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K433</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52197</Unique_No>
    <SCHEME_CODE>KO433-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>433</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K433</AMC_SCHEME_CODE>
    <ISIN>INF174KA1C19</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK CORPORATE BOND FUND - REGULAR PLAN - WEEKLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K433</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52198</Unique_No>
    <SCHEME_CODE>KO433DD-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>433DD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K433DD</AMC_SCHEME_CODE>
    <ISIN>INF174KA1C01</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK CORPORATE BOND FUND - DIRECT PLAN - WEEKLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K433DD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52199</Unique_No>
    <SCHEME_CODE>KO433DP-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>433DP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K433DP</AMC_SCHEME_CODE>
    <ISIN>INF174KA1B93</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK CORPORATE BOND FUND - REGULAR PLAN - WEEKLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K433DP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52200</Unique_No>
    <SCHEME_CODE>KO432D-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>432D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K432D</AMC_SCHEME_CODE>
    <ISIN>INF174KA1C27</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK SAVINGS FUND - DIRECT PLAN - WEEKLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K432D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52201</Unique_No>
    <SCHEME_CODE>KO432D-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>432D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K432D</AMC_SCHEME_CODE>
    <ISIN>INF174KA1C27</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK SAVINGS FUND - DIRECT PLAN - WEEKLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K432D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52202</Unique_No>
    <SCHEME_CODE>KO432-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>432</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K432</AMC_SCHEME_CODE>
    <ISIN>INF174KA1C50</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK SAVINGS FUND - REGULAR PLAN - WEEKLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K432</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52203</Unique_No>
    <SCHEME_CODE>KO432-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>432</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K432</AMC_SCHEME_CODE>
    <ISIN>INF174KA1C50</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK SAVINGS FUND - REGULAR PLAN - WEEKLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K432</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52204</Unique_No>
    <SCHEME_CODE>KO432DD-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>432DD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K432DD</AMC_SCHEME_CODE>
    <ISIN>INF174KA1C43</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK SAVINGS FUND - DIRECT PLAN - WEEKLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K432DD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52205</Unique_No>
    <SCHEME_CODE>KO432DP-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>432DP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>K432DP</AMC_SCHEME_CODE>
    <ISIN>INF174KA1C35</ISIN>
    <AMC_CODE1>KOTAKMAHINDRAMF</AMC_CODE1>
    <SCHEME_NAME>KOTAK SAVINGS FUND - REGULAR PLAN - WEEKLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>K432DP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52206</Unique_No>
    <SCHEME_CODE>AGAFCRG-GR</SCHEME_CODE>
    <RTA_x0020_Code>AFCRG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>AFCRG</AMC_SCHEME_CODE>
    <ISIN>INF2VOA01103</ISIN>
    <AMC_CODE1>ALPHAGREPMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ALPHAGREP FLEXI CAP FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>AGPAFCRG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52207</Unique_No>
    <SCHEME_CODE>AGAFCRD-DR</SCHEME_CODE>
    <RTA_x0020_Code>AFCRD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>AFCRD</AMC_SCHEME_CODE>
    <ISIN>INF2VOA01111</ISIN>
    <AMC_CODE1>ALPHAGREPMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ALPHAGREP FLEXI CAP FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>AGPAFCRD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52208</Unique_No>
    <SCHEME_CODE>AGAFCRP-DP</SCHEME_CODE>
    <RTA_x0020_Code>AFCRP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>AFCRP</AMC_SCHEME_CODE>
    <ISIN>INF2VOA01129</ISIN>
    <AMC_CODE1>ALPHAGREPMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ALPHAGREP FLEXI CAP FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>AGPAFCRP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52209</Unique_No>
    <SCHEME_CODE>AGAFCDG-GR</SCHEME_CODE>
    <RTA_x0020_Code>AFCDG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>AFCDG</AMC_SCHEME_CODE>
    <ISIN>INF2VOA01079</ISIN>
    <AMC_CODE1>ALPHAGREPMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ALPHAGREP FLEXI CAP FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>AGPAFCDG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52210</Unique_No>
    <SCHEME_CODE>AGAFCDD-DR</SCHEME_CODE>
    <RTA_x0020_Code>AFCDD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>AFCDD</AMC_SCHEME_CODE>
    <ISIN>INF2VOA01087</ISIN>
    <AMC_CODE1>ALPHAGREPMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ALPHAGREP FLEXI CAP FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>AGPAFCDD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52211</Unique_No>
    <SCHEME_CODE>AGAFCDP-DP</SCHEME_CODE>
    <RTA_x0020_Code>AFCDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>AFCDP</AMC_SCHEME_CODE>
    <ISIN>INF2VOA01095</ISIN>
    <AMC_CODE1>ALPHAGREPMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ALPHAGREP FLEXI CAP FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>AGPAFCDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52212</Unique_No>
    <SCHEME_CODE>AGAFCRD-DP</SCHEME_CODE>
    <RTA_x0020_Code>AFCRD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>AFCRD</AMC_SCHEME_CODE>
    <ISIN>INF2VOA01111</ISIN>
    <AMC_CODE1>ALPHAGREPMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ALPHAGREP FLEXI CAP FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>AGPAFCRD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52213</Unique_No>
    <SCHEME_CODE>AGAFCDD-DP</SCHEME_CODE>
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    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <Start_Date>2026-07-21T00:00:00+05:30</Start_Date>
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    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <Unique_No>52219</Unique_No>
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    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <Unique_No>52222</Unique_No>
    <SCHEME_CODE>IC3577-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>3577</RTA_x0020_Code>
    <AMC_SCHEME_CODE>BALHYBID</AMC_SCHEME_CODE>
    <ISIN>INF109K1A492</ISIN>
    <AMC_CODE1>ICICIPrudentialMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>ICICI PRUDENTIAL BALANCED HYBRID FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-21T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-21T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>0.001</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>P3577</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52223</Unique_No>
    <SCHEME_CODE>IC9779-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>9779</RTA_x0020_Code>
    <AMC_SCHEME_CODE>BALHYBID</AMC_SCHEME_CODE>
    <ISIN>INF109K1A526</ISIN>
    <AMC_CODE1>ICICIPrudentialMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>ICICI PRUDENTIAL BALANCED HYBRID FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-21T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-21T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>0.001</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>P9779</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52226</Unique_No>
    <SCHEME_CODE>MABMD1-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>BMD1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>BMD1G</AMC_SCHEME_CODE>
    <ISIN>INF769K01QX8</ISIN>
    <AMC_CODE1>MIRAEASSET</AMC_CODE1>
    <SCHEME_NAME>MIRAE ASSET BSE MIDCAP 150 MOMENTUM 30 ETF FOF - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>FOF</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-24T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>117BMD1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52227</Unique_No>
    <SCHEME_CODE>MABMRG-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>BMRG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>BMRGG</AMC_SCHEME_CODE>
    <ISIN>INF769K01QW0</ISIN>
    <AMC_CODE1>MIRAEASSET</AMC_CODE1>
    <SCHEME_NAME>MIRAE ASSET BSE MIDCAP 150 MOMENTUM 30 ETF FOF - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>FOF</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-24T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>117BMRG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52228</Unique_No>
    <SCHEME_CODE>SBD715P-DP</SCHEME_CODE>
    <RTA_x0020_Code>D715P</RTA_x0020_Code>
    <AMC_SCHEME_CODE>715D1D</AMC_SCHEME_CODE>
    <ISIN>INF200KB1BV3</ISIN>
    <AMC_CODE1>SBIMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>SBI NIFTY MIDCAP 150 MOMENTUM 50 ETF FOF - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-12T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-12T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>LD715P</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52229</Unique_No>
    <SCHEME_CODE>SBD715G-GR</SCHEME_CODE>
    <RTA_x0020_Code>D715G</RTA_x0020_Code>
    <AMC_SCHEME_CODE>715D1G</AMC_SCHEME_CODE>
    <ISIN>INF200KB1BU5</ISIN>
    <AMC_CODE1>SBIMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>SBI NIFTY MIDCAP 150 MOMENTUM 50 ETF FOF - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-12T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-12T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>LD715G</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52230</Unique_No>
    <SCHEME_CODE>SBD715D-DR</SCHEME_CODE>
    <RTA_x0020_Code>D715D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>715D1D</AMC_SCHEME_CODE>
    <ISIN>INF200KB1BW1</ISIN>
    <AMC_CODE1>SBIMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>SBI NIFTY MIDCAP 150 MOMENTUM 50 ETF FOF - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-12T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-12T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>LD715D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52231</Unique_No>
    <SCHEME_CODE>SB715D-DR</SCHEME_CODE>
    <RTA_x0020_Code>715D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>715D</AMC_SCHEME_CODE>
    <ISIN>INF200KB1BT7</ISIN>
    <AMC_CODE1>SBIMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>SBI NIFTY MIDCAP 150 MOMENTUM 50 ETF FOF - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-12T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-12T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>L715D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52232</Unique_No>
    <SCHEME_CODE>SB715DP-DP</SCHEME_CODE>
    <RTA_x0020_Code>715DP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>715D</AMC_SCHEME_CODE>
    <ISIN>INF200KB1BS9</ISIN>
    <AMC_CODE1>SBIMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>SBI NIFTY MIDCAP 150 MOMENTUM 50 ETF FOF - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-12T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-12T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>L715DP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52233</Unique_No>
    <SCHEME_CODE>SB715G-GR</SCHEME_CODE>
    <RTA_x0020_Code>715G</RTA_x0020_Code>
    <AMC_SCHEME_CODE>715G</AMC_SCHEME_CODE>
    <ISIN>INF200KB1BR1</ISIN>
    <AMC_CODE1>SBIMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>SBI NIFTY MIDCAP 150 MOMENTUM 50 ETF FOF - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-12T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-12T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>L715G</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52234</Unique_No>
    <SCHEME_CODE>SBD715D-DP</SCHEME_CODE>
    <RTA_x0020_Code>D715D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>715D1D</AMC_SCHEME_CODE>
    <ISIN>INF200KB1BW1</ISIN>
    <AMC_CODE1>SBIMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>SBI NIFTY MIDCAP 150 MOMENTUM 50 ETF FOF - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-12T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-12T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>LD715D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52235</Unique_No>
    <SCHEME_CODE>SB715D-DP</SCHEME_CODE>
    <RTA_x0020_Code>715D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>715D</AMC_SCHEME_CODE>
    <ISIN>INF200KB1BT7</ISIN>
    <AMC_CODE1>SBIMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>SBI NIFTY MIDCAP 150 MOMENTUM 50 ETF FOF - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-12T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-12T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>L715D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52238</Unique_No>
    <SCHEME_CODE>AGAMADP-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>AMADP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>AMADP</AMC_SCHEME_CODE>
    <ISIN>INF2VOA01038</ISIN>
    <AMC_CODE1>ALPHAGREPMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ALPHAGREP MULTI ASSET ALLOCATION FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>AGPAMADP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52239</Unique_No>
    <SCHEME_CODE>AGAMARD-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>AMARD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>AMARD</AMC_SCHEME_CODE>
    <ISIN>INF2VOA01053</ISIN>
    <AMC_CODE1>ALPHAGREPMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ALPHAGREP MULTI ASSET ALLOCATION FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>AGPAMARD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52240</Unique_No>
    <SCHEME_CODE>AGAMADD-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>AMADD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>AMADD</AMC_SCHEME_CODE>
    <ISIN>INF2VOA01020</ISIN>
    <AMC_CODE1>ALPHAGREPMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ALPHAGREP MULTI ASSET ALLOCATION FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>AGPAMADD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52241</Unique_No>
    <SCHEME_CODE>AGAMARG-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>AMARG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>AMARG</AMC_SCHEME_CODE>
    <ISIN>INF2VOA01046</ISIN>
    <AMC_CODE1>ALPHAGREPMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ALPHAGREP MULTI ASSET ALLOCATION FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>AGPAMARG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52242</Unique_No>
    <SCHEME_CODE>AGAMARD-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>AMARD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>AMARD</AMC_SCHEME_CODE>
    <ISIN>INF2VOA01053</ISIN>
    <AMC_CODE1>ALPHAGREPMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ALPHAGREP MULTI ASSET ALLOCATION FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>AGPAMARD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52243</Unique_No>
    <SCHEME_CODE>AGAMARP-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>AMARP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>AMARP</AMC_SCHEME_CODE>
    <ISIN>INF2VOA01061</ISIN>
    <AMC_CODE1>ALPHAGREPMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ALPHAGREP MULTI ASSET ALLOCATION FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>AGPAMARP</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>52244</Unique_No>
    <SCHEME_CODE>AGAMADG-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>AMADG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>AMADG</AMC_SCHEME_CODE>
    <ISIN>INF2VOA01012</ISIN>
    <AMC_CODE1>ALPHAGREPMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ALPHAGREP MULTI ASSET ALLOCATION FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>AGPAMADG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52245</Unique_No>
    <SCHEME_CODE>AGAMADD-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>AMADD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>AMADD</AMC_SCHEME_CODE>
    <ISIN>INF2VOA01020</ISIN>
    <AMC_CODE1>ALPHAGREPMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ALPHAGREP MULTI ASSET ALLOCATION FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-27T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-27T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>AGPAMADD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52246</Unique_No>
    <SCHEME_CODE>AXNWDG-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>NWDG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>NWDGG</AMC_SCHEME_CODE>
    <ISIN>INF846KA1564</ISIN>
    <AMC_CODE1>AXISMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>AXIS NIFTY50 EQUAL WEIGHT INDEX FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-28T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-28T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>128NWDG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52247</Unique_No>
    <SCHEME_CODE>AXNWGP-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>NWGP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>NWGPG</AMC_SCHEME_CODE>
    <ISIN>INF846KA1556</ISIN>
    <AMC_CODE1>AXISMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>AXIS NIFTY50 EQUAL WEIGHT INDEX FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-28T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-28T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>128NWGP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52254</Unique_No>
    <SCHEME_CODE>MAMID1-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>MID1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MID1G</AMC_SCHEME_CODE>
    <ISIN>INF769K01RG1</ISIN>
    <AMC_CODE1>MIRAEASSET</AMC_CODE1>
    <SCHEME_NAME>MIRAE ASSET NIFTY200 MOMENTUM 30 PLUS 8-13 YR G-SEC 75:25 INDEX FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-29T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-29T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>117MID1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52255</Unique_No>
    <SCHEME_CODE>MAMID2-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>MID2</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MID2D</AMC_SCHEME_CODE>
    <ISIN>INF769K01RI7</ISIN>
    <AMC_CODE1>MIRAEASSET</AMC_CODE1>
    <SCHEME_NAME>MIRAE ASSET NIFTY200 MOMENTUM 30 PLUS 8-13 YR G-SEC 75:25 INDEX FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-29T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-29T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>117MID2</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52256</Unique_No>
    <SCHEME_CODE>MAMID2-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>MID2</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MID2R</AMC_SCHEME_CODE>
    <ISIN>INF769K01RH9</ISIN>
    <AMC_CODE1>MIRAEASSET</AMC_CODE1>
    <SCHEME_NAME>MIRAE ASSET NIFTY200 MOMENTUM 30 PLUS 8-13 YR G-SEC 75:25 INDEX FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-29T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-29T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>117MID2</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>52257</Unique_No>
    <SCHEME_CODE>MAMIRG-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>MIRG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MIRGG</AMC_SCHEME_CODE>
    <ISIN>INF769K01RD8</ISIN>
    <AMC_CODE1>MIRAEASSET</AMC_CODE1>
    <SCHEME_NAME>MIRAE ASSET NIFTY200 MOMENTUM 30 PLUS 8-13 YR G-SEC 75:25 INDEX FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-29T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-29T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>117MIRG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52258</Unique_No>
    <SCHEME_CODE>MAMIRD-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>MIRD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MIRDD</AMC_SCHEME_CODE>
    <ISIN>INF769K01RF3</ISIN>
    <AMC_CODE1>MIRAEASSET</AMC_CODE1>
    <SCHEME_NAME>MIRAE ASSET NIFTY200 MOMENTUM 30 PLUS 8-13 YR G-SEC 75:25 INDEX FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-29T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-29T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
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    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>117MIRD</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>52259</Unique_No>
    <SCHEME_CODE>MAMIRD-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>MIRD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MIRDR</AMC_SCHEME_CODE>
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    <AMC_CODE1>MIRAEASSET</AMC_CODE1>
    <SCHEME_NAME>MIRAE ASSET NIFTY200 MOMENTUM 30 PLUS 8-13 YR G-SEC 75:25 INDEX FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-29T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-29T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>117MIRD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52260</Unique_No>
    <SCHEME_CODE>MOBMGD-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>BMGD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>BMGD</AMC_SCHEME_CODE>
    <ISIN>INF247L01HE2</ISIN>
    <AMC_CODE1>MOTILALOSWAL_MF</AMC_CODE1>
    <SCHEME_NAME>MOTILAL OSWAL BSE MIDCAP 150 MOMENTUM 30 INDEX FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>127BMGD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52261</Unique_No>
    <SCHEME_CODE>MOBMGP-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>BMGP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>BMGP</AMC_SCHEME_CODE>
    <ISIN>INF247L01HF9</ISIN>
    <AMC_CODE1>MOTILALOSWAL_MF</AMC_CODE1>
    <SCHEME_NAME>MOTILAL OSWAL BSE MIDCAP 150 MOMENTUM 30 INDEX FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>127BMGP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52262</Unique_No>
    <SCHEME_CODE>UTLMDG-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>LMDG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>LMDG</AMC_SCHEME_CODE>
    <ISIN>INF0GCD01891</ISIN>
    <AMC_CODE1>TRUSTMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>TRUSTMF LARGE &amp; MID CAP FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>185LMDG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52263</Unique_No>
    <SCHEME_CODE>UTLMRG-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>LMRG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>LMRG</AMC_SCHEME_CODE>
    <ISIN>INF0GCD01909</ISIN>
    <AMC_CODE1>TRUSTMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>TRUSTMF LARGE &amp; MID CAP FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-07-30T00:00:00+05:30</Start_Date>
    <End_Date>2099-07-30T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>185LMRG</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>52264</Unique_No>
    <SCHEME_CODE>NJMTDG-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>MTDG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MTDG</AMC_SCHEME_CODE>
    <ISIN>INF0J8L01172</ISIN>
    <AMC_CODE1>NJMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>NJ MOMENTUM FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-03T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-03T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>187MTDG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52265</Unique_No>
    <SCHEME_CODE>NJMTDD-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>MTDD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MTDD</AMC_SCHEME_CODE>
    <ISIN>INF0J8L01180</ISIN>
    <AMC_CODE1>NJMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>NJ MOMENTUM FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-03T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-03T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>187MTDD</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>52266</Unique_No>
    <SCHEME_CODE>NJMTRG-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>MTRG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MTRG</AMC_SCHEME_CODE>
    <ISIN>INF0J8L01198</ISIN>
    <AMC_CODE1>NJMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>NJ MOMENTUM FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
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    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-03T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-03T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>187MTRG</CHA_PAT_Cod>
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    <Unique_No>52267</Unique_No>
    <SCHEME_CODE>NJMTRD-DP-L1</SCHEME_CODE>
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    <SCHEME_NAME>NJ MOMENTUM FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
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    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
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    <RED_TXNMODE>DP</RED_TXNMODE>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
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    <SWP>N</SWP>
    <STP>N</STP>
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    <Start_Date>2026-08-03T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-03T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>187MTRD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52268</Unique_No>
    <SCHEME_CODE>NJVLDG-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>VLDG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>VLDG</AMC_SCHEME_CODE>
    <ISIN>INF0J8L01214</ISIN>
    <AMC_CODE1>NJMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>NJ VALUE FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-03T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-03T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>187VLDG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52269</Unique_No>
    <SCHEME_CODE>NJVLDD-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>VLDD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>VLDD</AMC_SCHEME_CODE>
    <ISIN>INF0J8L01222</ISIN>
    <AMC_CODE1>NJMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>NJ VALUE FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-03T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-03T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>187VLDD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52270</Unique_No>
    <SCHEME_CODE>NJVLRG-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>VLRG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>VLRG</AMC_SCHEME_CODE>
    <ISIN>INF0J8L01230</ISIN>
    <AMC_CODE1>NJMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>NJ VALUE FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-03T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-03T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>187VLRG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52271</Unique_No>
    <SCHEME_CODE>NJVLRD-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>VLRD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>VLRD</AMC_SCHEME_CODE>
    <ISIN>INF0J8L01248</ISIN>
    <AMC_CODE1>NJMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>NJ VALUE FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-03T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-03T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>187VLRD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52280</Unique_No>
    <SCHEME_CODE>AGALORG-GR</SCHEME_CODE>
    <RTA_x0020_Code>ALORG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>ALORG</AMC_SCHEME_CODE>
    <ISIN>INF2VOA01160</ISIN>
    <AMC_CODE1>ALPHAGREPMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ALPHAGREP LIQUID OMNI FOF - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-10T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-10T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>AGPALORG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52281</Unique_No>
    <SCHEME_CODE>AGALORD-DR</SCHEME_CODE>
    <RTA_x0020_Code>ALORD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>ALORD</AMC_SCHEME_CODE>
    <ISIN>INF2VOA01178</ISIN>
    <AMC_CODE1>ALPHAGREPMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ALPHAGREP LIQUID OMNI FOF - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-10T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-10T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>AGPALORD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52282</Unique_No>
    <SCHEME_CODE>AGALORP-DP</SCHEME_CODE>
    <RTA_x0020_Code>ALORP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>ALORP</AMC_SCHEME_CODE>
    <ISIN>INF2VOA01186</ISIN>
    <AMC_CODE1>ALPHAGREPMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ALPHAGREP LIQUID OMNI FOF - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-10T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-10T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>AGPALORP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52283</Unique_No>
    <SCHEME_CODE>AGALODG-GR</SCHEME_CODE>
    <RTA_x0020_Code>ALODG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>ALODG</AMC_SCHEME_CODE>
    <ISIN>INF2VOA01137</ISIN>
    <AMC_CODE1>ALPHAGREPMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ALPHAGREP LIQUID OMNI FOF - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-10T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-10T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>AGPALODG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52284</Unique_No>
    <SCHEME_CODE>AGALODD-DR</SCHEME_CODE>
    <RTA_x0020_Code>ALODD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>ALODD</AMC_SCHEME_CODE>
    <ISIN>INF2VOA01145</ISIN>
    <AMC_CODE1>ALPHAGREPMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ALPHAGREP LIQUID OMNI FOF - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-10T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-10T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>AGPALODD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52285</Unique_No>
    <SCHEME_CODE>AGALODP-DP</SCHEME_CODE>
    <RTA_x0020_Code>ALODP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>ALODP</AMC_SCHEME_CODE>
    <ISIN>INF2VOA01152</ISIN>
    <AMC_CODE1>ALPHAGREPMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ALPHAGREP LIQUID OMNI FOF - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-10T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-10T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>AGPALODP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52286</Unique_No>
    <SCHEME_CODE>AGALORD-DP</SCHEME_CODE>
    <RTA_x0020_Code>ALORD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>ALORD</AMC_SCHEME_CODE>
    <ISIN>INF2VOA01178</ISIN>
    <AMC_CODE1>ALPHAGREPMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ALPHAGREP LIQUID OMNI FOF - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-10T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-10T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>AGPALORD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52287</Unique_No>
    <SCHEME_CODE>AGALODD-DP</SCHEME_CODE>
    <RTA_x0020_Code>ALODD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>ALODD</AMC_SCHEME_CODE>
    <ISIN>INF2VOA01145</ISIN>
    <AMC_CODE1>ALPHAGREPMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ALPHAGREP LIQUID OMNI FOF - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-10T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-10T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>AGPALODD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52296</Unique_No>
    <SCHEME_CODE>FR1008-GR</SCHEME_CODE>
    <RTA_x0020_Code>1008</RTA_x0020_Code>
    <AMC_SCHEME_CODE>1008</AMC_SCHEME_CODE>
    <ISIN>INF090I01YT5</ISIN>
    <AMC_CODE1>FRANKLINTEMPLETON</AMC_CODE1>
    <SCHEME_NAME>FRANKLIN INDIA SHORT TERM FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>FTI1008</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52297</Unique_No>
    <SCHEME_CODE>FR1009-DR</SCHEME_CODE>
    <RTA_x0020_Code>1009</RTA_x0020_Code>
    <AMC_SCHEME_CODE>1009</AMC_SCHEME_CODE>
    <ISIN>INF090I01YV1</ISIN>
    <AMC_CODE1>FRANKLINTEMPLETON</AMC_CODE1>
    <SCHEME_NAME>FRANKLIN INDIA SHORT TERM FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>FTI1009</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52298</Unique_No>
    <SCHEME_CODE>FR1009P-DP</SCHEME_CODE>
    <RTA_x0020_Code>1009P</RTA_x0020_Code>
    <AMC_SCHEME_CODE>1009P</AMC_SCHEME_CODE>
    <ISIN>INF090I01YU3</ISIN>
    <AMC_CODE1>FRANKLINTEMPLETON</AMC_CODE1>
    <SCHEME_NAME>FRANKLIN INDIA SHORT TERM FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>FTI1009P</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52299</Unique_No>
    <SCHEME_CODE>FR1010-GR</SCHEME_CODE>
    <RTA_x0020_Code>1010</RTA_x0020_Code>
    <AMC_SCHEME_CODE>1010</AMC_SCHEME_CODE>
    <ISIN>INF090I01YW9</ISIN>
    <AMC_CODE1>FRANKLINTEMPLETON</AMC_CODE1>
    <SCHEME_NAME>FRANKLIN INDIA SHORT TERM FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>FTI1010</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52300</Unique_No>
    <SCHEME_CODE>FR1011-DR</SCHEME_CODE>
    <RTA_x0020_Code>1011</RTA_x0020_Code>
    <AMC_SCHEME_CODE>1011</AMC_SCHEME_CODE>
    <ISIN>INF090I01YY5</ISIN>
    <AMC_CODE1>FRANKLINTEMPLETON</AMC_CODE1>
    <SCHEME_NAME>FRANKLIN INDIA SHORT TERM FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>FTI1011</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52301</Unique_No>
    <SCHEME_CODE>FR1011P-DP</SCHEME_CODE>
    <RTA_x0020_Code>1011P</RTA_x0020_Code>
    <AMC_SCHEME_CODE>1011P</AMC_SCHEME_CODE>
    <ISIN>INF090I01YX7</ISIN>
    <AMC_CODE1>FRANKLINTEMPLETON</AMC_CODE1>
    <SCHEME_NAME>FRANKLIN INDIA SHORT TERM FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
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    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>174MCDD</CHA_PAT_Cod>
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    <Unique_No>52321</Unique_No>
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    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <Unique_No>52322</Unique_No>
    <SCHEME_CODE>WEMCDG-GR-L1</SCHEME_CODE>
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    <LOC_Flag>N</LOC_Flag>
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  <BSEFundMast>
    <Unique_No>52340</Unique_No>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-10T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>G422</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52341</Unique_No>
    <SCHEME_CODE>ID423-DP</SCHEME_CODE>
    <RTA_x0020_Code>423</RTA_x0020_Code>
    <AMC_SCHEME_CODE>423</AMC_SCHEME_CODE>
    <ISIN>INF194KB1LA4</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>BANDHAN CONTRA FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-10T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>G423</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52342</Unique_No>
    <SCHEME_CODE>ID423R-DR</SCHEME_CODE>
    <RTA_x0020_Code>423R</RTA_x0020_Code>
    <AMC_SCHEME_CODE>423R</AMC_SCHEME_CODE>
    <ISIN>INF194KB1LB2</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>BANDHAN CONTRA FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
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    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-10T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>G423R</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52343</Unique_No>
    <SCHEME_CODE>IDD422-GR</SCHEME_CODE>
    <RTA_x0020_Code>D422</RTA_x0020_Code>
    <AMC_SCHEME_CODE>D422</AMC_SCHEME_CODE>
    <ISIN>INF194KB1KX8</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>BANDHAN CONTRA FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-10T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GD422</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52344</Unique_No>
    <SCHEME_CODE>IDD423-DP</SCHEME_CODE>
    <RTA_x0020_Code>D423</RTA_x0020_Code>
    <AMC_SCHEME_CODE>D423</AMC_SCHEME_CODE>
    <ISIN>INF194KB1LC0</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>BANDHAN CONTRA FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-10T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GD423</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52345</Unique_No>
    <SCHEME_CODE>IDD423R-DR</SCHEME_CODE>
    <RTA_x0020_Code>D423R</RTA_x0020_Code>
    <AMC_SCHEME_CODE>D423R</AMC_SCHEME_CODE>
    <ISIN>INF194KB1LD8</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>BANDHAN CONTRA FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-10T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GD423R</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52346</Unique_No>
    <SCHEME_CODE>ID423-DR</SCHEME_CODE>
    <RTA_x0020_Code>423</RTA_x0020_Code>
    <AMC_SCHEME_CODE>423</AMC_SCHEME_CODE>
    <ISIN>INF194KB1LA4</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>BANDHAN CONTRA FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
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    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-10T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>G423</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52347</Unique_No>
    <SCHEME_CODE>IDD423-DR</SCHEME_CODE>
    <RTA_x0020_Code>D423</RTA_x0020_Code>
    <AMC_SCHEME_CODE>D423</AMC_SCHEME_CODE>
    <ISIN>INF194KB1LC0</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>BANDHAN CONTRA FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-10T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
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    <Unique_No>52352</Unique_No>
    <SCHEME_CODE>SBD716G-GR</SCHEME_CODE>
    <RTA_x0020_Code>D716G</RTA_x0020_Code>
    <AMC_SCHEME_CODE>716D1G</AMC_SCHEME_CODE>
    <ISIN>INF200KB1CA5</ISIN>
    <AMC_CODE1>SBIMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>SBI BALANCED HYBRID FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>5000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
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    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
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    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-10T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>LD716G</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>52353</Unique_No>
    <SCHEME_CODE>SBD716P-DP</SCHEME_CODE>
    <RTA_x0020_Code>D716P</RTA_x0020_Code>
    <AMC_SCHEME_CODE>716D1D</AMC_SCHEME_CODE>
    <ISIN>INF200KB1CB3</ISIN>
    <AMC_CODE1>SBIMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>SBI BALANCED HYBRID FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>5000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-10T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>LD716P</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52354</Unique_No>
    <SCHEME_CODE>SB716D-DR</SCHEME_CODE>
    <RTA_x0020_Code>716D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>716D</AMC_SCHEME_CODE>
    <ISIN>INF200KB1BZ4</ISIN>
    <AMC_CODE1>SBIMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>SBI BALANCED HYBRID FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>5000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-10T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>L716D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52355</Unique_No>
    <SCHEME_CODE>SBD716D-DR</SCHEME_CODE>
    <RTA_x0020_Code>D716D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>716D1D</AMC_SCHEME_CODE>
    <ISIN>INF200KB1CC1</ISIN>
    <AMC_CODE1>SBIMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>SBI BALANCED HYBRID FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>5000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-10T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>LD716D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52356</Unique_No>
    <SCHEME_CODE>SB716G-GR</SCHEME_CODE>
    <RTA_x0020_Code>716G</RTA_x0020_Code>
    <AMC_SCHEME_CODE>716G</AMC_SCHEME_CODE>
    <ISIN>INF200KB1BX9</ISIN>
    <AMC_CODE1>SBIMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>SBI BALANCED HYBRID FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>5000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-10T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>L716G</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52357</Unique_No>
    <SCHEME_CODE>SB716DP-DP</SCHEME_CODE>
    <RTA_x0020_Code>716DP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>716D</AMC_SCHEME_CODE>
    <ISIN>INF200KB1BY7</ISIN>
    <AMC_CODE1>SBIMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>SBI BALANCED HYBRID FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>5000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-10T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>L716DP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52358</Unique_No>
    <SCHEME_CODE>SB716D-DP</SCHEME_CODE>
    <RTA_x0020_Code>716D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>716D</AMC_SCHEME_CODE>
    <ISIN>INF200KB1BZ4</ISIN>
    <AMC_CODE1>SBIMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>SBI BALANCED HYBRID FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>5000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-10T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>L716D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52359</Unique_No>
    <SCHEME_CODE>SBD716D-DP</SCHEME_CODE>
    <RTA_x0020_Code>D716D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>716D1D</AMC_SCHEME_CODE>
    <ISIN>INF200KB1CC1</ISIN>
    <AMC_CODE1>SBIMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>SBI BALANCED HYBRID FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>5000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-10T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>LD716D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52360</Unique_No>
    <SCHEME_CODE>ABS2001B-GR</SCHEME_CODE>
    <RTA_x0020_Code>2001B</RTA_x0020_Code>
    <AMC_SCHEME_CODE>2001B</AMC_SCHEME_CODE>
    <ISIN>INF209K30081</ISIN>
    <AMC_CODE1>BIRLASUNLIFEMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>APEX EQUITY EX-TOP 100 LONG-SHORT FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-10T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>BS2001B</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52361</Unique_No>
    <SCHEME_CODE>ABS2001Y-GR</SCHEME_CODE>
    <RTA_x0020_Code>2001Y</RTA_x0020_Code>
    <AMC_SCHEME_CODE>2001Y</AMC_SCHEME_CODE>
    <ISIN>INF209K30073</ISIN>
    <AMC_CODE1>BIRLASUNLIFEMUTUALFUND_MF_SIF</AMC_CODE1>
    <SCHEME_NAME>APEX EQUITY EX-TOP 100 LONG-SHORT FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-10T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>BS2001Y</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52362</Unique_No>
    <SCHEME_CODE>ABS2002B-GR</SCHEME_CODE>
    <RTA_x0020_Code>2002B</RTA_x0020_Code>
    <AMC_SCHEME_CODE>2002B</AMC_SCHEME_CODE>
    <ISIN>INF209K30107</ISIN>
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    <End_Date>2026-08-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <CHA_PAT_Cod>BS2002B</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>52363</Unique_No>
    <SCHEME_CODE>ABS2002Y-GR</SCHEME_CODE>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <Start_Date>2026-08-10T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>10000</RED_AMT_MIN>
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    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
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    <CHA_PAT_Cod>BS2002Y</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52364</Unique_No>
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    <RTA_x0020_Code>119G</RTA_x0020_Code>
    <AMC_SCHEME_CODE>119G</AMC_SCHEME_CODE>
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    <AMC_CODE1>WHITEOAKCAPITALMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>WHITEOAK CAPITAL DIVIDEND YIELD FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
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    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-10T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>Y119G</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52365</Unique_No>
    <SCHEME_CODE>YE119D-DR</SCHEME_CODE>
    <RTA_x0020_Code>119D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>119D</AMC_SCHEME_CODE>
    <ISIN>INF03VN01AM4</ISIN>
    <AMC_CODE1>WHITEOAKCAPITALMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>WHITEOAK CAPITAL DIVIDEND YIELD FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
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    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
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    <Start_Date>2026-08-10T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>Y119D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52366</Unique_No>
    <SCHEME_CODE>YE119DP-DP</SCHEME_CODE>
    <RTA_x0020_Code>119DP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>119DP</AMC_SCHEME_CODE>
    <ISIN>INF03VN01AL6</ISIN>
    <AMC_CODE1>WHITEOAKCAPITALMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>WHITEOAK CAPITAL DIVIDEND YIELD FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-10T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>Y119DP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52367</Unique_No>
    <SCHEME_CODE>YED119G-GR</SCHEME_CODE>
    <RTA_x0020_Code>D119G</RTA_x0020_Code>
    <AMC_SCHEME_CODE>D119G</AMC_SCHEME_CODE>
    <ISIN>INF03VN01AH4</ISIN>
    <AMC_CODE1>WHITEOAKCAPITALMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>WHITEOAK CAPITAL DIVIDEND YIELD FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
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    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-10T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>YD119G</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52368</Unique_No>
    <SCHEME_CODE>YED119D-DR</SCHEME_CODE>
    <RTA_x0020_Code>D119D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>D119D</AMC_SCHEME_CODE>
    <ISIN>INF03VN01AK8</ISIN>
    <AMC_CODE1>WHITEOAKCAPITALMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>WHITEOAK CAPITAL DIVIDEND YIELD FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
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    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
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    <Start_Date>2026-08-10T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>YD119D</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>52369</Unique_No>
    <SCHEME_CODE>YED119P-DP</SCHEME_CODE>
    <RTA_x0020_Code>D119P</RTA_x0020_Code>
    <AMC_SCHEME_CODE>D119P</AMC_SCHEME_CODE>
    <ISIN>INF03VN01AJ0</ISIN>
    <AMC_CODE1>WHITEOAKCAPITALMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>WHITEOAK CAPITAL DIVIDEND YIELD FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
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    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
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    <Start_Date>2026-08-10T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>YD119P</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>52370</Unique_No>
    <SCHEME_CODE>AGALODP-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>ALODP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>ALODP</AMC_SCHEME_CODE>
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    <AMC_CODE1>ALPHAGREPMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ALPHAGREP LIQUID OMNI FOF - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
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    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-10T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-10T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>AGPALODP</CHA_PAT_Cod>
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    <Unique_No>52371</Unique_No>
    <SCHEME_CODE>AGALORD-DP-L1</SCHEME_CODE>
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    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <CHA_PAT_Cod>AGPALORG</CHA_PAT_Cod>
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    <Unique_No>52374</Unique_No>
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    <CHA_PAT_Cod>AGPALORD</CHA_PAT_Cod>
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    <Unique_No>52375</Unique_No>
    <SCHEME_CODE>AGALORP-DP-L1</SCHEME_CODE>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <CHA_PAT_Cod>AGPALORP</CHA_PAT_Cod>
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    <Start_Date>2026-08-10T00:00:00+05:30</Start_Date>
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    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <CHA_PAT_Cod>AGPALODG</CHA_PAT_Cod>
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    <Unique_No>52377</Unique_No>
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    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <CHA_PAT_Cod>AGPALODD</CHA_PAT_Cod>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <CHA_PAT_Cod>108SDG1</CHA_PAT_Cod>
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    <Unique_No>52380</Unique_No>
    <SCHEME_CODE>TSKXGPD-GR</SCHEME_CODE>
    <RTA_x0020_Code>KXGP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>790</AMC_SCHEME_CODE>
    <ISIN>INF789F1AG76</ISIN>
    <AMC_CODE1>UTIMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>UTI NIFTY 500 EXCHANGE TRADED FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>5000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-10T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>108KXGP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52381</Unique_No>
    <SCHEME_CODE>TSKXGP-GR</SCHEME_CODE>
    <RTA_x0020_Code>KXGP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>790</AMC_SCHEME_CODE>
    <ISIN>INF789F1AG76</ISIN>
    <AMC_CODE1>UTIMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>UTI NIFTY 500 EXCHANGE TRADED FUND</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>5000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-10T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>108KXGP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52382</Unique_No>
    <SCHEME_CODE>ZEZARBI-GR</SCHEME_CODE>
    <RTA_x0020_Code>ZARBI</RTA_x0020_Code>
    <AMC_SCHEME_CODE>ZARBI</AMC_SCHEME_CODE>
    <ISIN>INF0R8F01232</ISIN>
    <AMC_CODE1>ZERODHAMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ZERODHA ARBITRAGE FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>5000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>0.01</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>ZZARBI</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52383</Unique_No>
    <SCHEME_CODE>ASLQRGW-GR</SCHEME_CODE>
    <RTA_x0020_Code>LQRGW</RTA_x0020_Code>
    <AMC_SCHEME_CODE>LQRGW</AMC_SCHEME_CODE>
    <ISIN>INF2XUU01021</ISIN>
    <AMC_CODE1>ASKMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ASK LIQUID FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>1</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>1</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>LIQUID</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-12T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-25T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>ASKLQRGW</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52384</Unique_No>
    <SCHEME_CODE>ASLQDGW-GR</SCHEME_CODE>
    <RTA_x0020_Code>LQDGW</RTA_x0020_Code>
    <AMC_SCHEME_CODE>LQDGW</AMC_SCHEME_CODE>
    <ISIN>INF2XUU01013</ISIN>
    <AMC_CODE1>ASKMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ASK LIQUID FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>1</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>1</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>LIQUID</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-12T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-25T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>ASKLQDGW</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52385</Unique_No>
    <SCHEME_CODE>ASLQRDR-DR</SCHEME_CODE>
    <RTA_x0020_Code>LQRDR</RTA_x0020_Code>
    <AMC_SCHEME_CODE>LQRDR</AMC_SCHEME_CODE>
    <ISIN>INF2XUU01047</ISIN>
    <AMC_CODE1>ASKMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ASK LIQUID FUND - REGULAR PLAN - DAILY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>1</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>1</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>LIQUID</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-12T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-25T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>ASKLQRDR</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52386</Unique_No>
    <SCHEME_CODE>ASLQDDR-DR</SCHEME_CODE>
    <RTA_x0020_Code>LQDDR</RTA_x0020_Code>
    <AMC_SCHEME_CODE>LQDDR</AMC_SCHEME_CODE>
    <ISIN>INF2XUU01039</ISIN>
    <AMC_CODE1>ASKMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ASK LIQUID FUND - DIRECT PLAN - DAILY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>1</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>1</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>LIQUID</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-12T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-25T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>ASKLQDDR</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52387</Unique_No>
    <SCHEME_CODE>ASLQRMR-DR</SCHEME_CODE>
    <RTA_x0020_Code>LQRMR</RTA_x0020_Code>
    <AMC_SCHEME_CODE>LQRMR</AMC_SCHEME_CODE>
    <ISIN>INF2XUU01104</ISIN>
    <AMC_CODE1>ASKMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ASK LIQUID FUND - REGULAR PLAN - MONTHLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>1</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>1</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>LIQUID</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-12T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-25T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>ASKLQRMR</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52388</Unique_No>
    <SCHEME_CODE>ASLQDMR-DR</SCHEME_CODE>
    <RTA_x0020_Code>LQDMR</RTA_x0020_Code>
    <AMC_SCHEME_CODE>LQDMR</AMC_SCHEME_CODE>
    <ISIN>INF2XUU01120</ISIN>
    <AMC_CODE1>ASKMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ASK LIQUID FUND - DIRECT PLAN - MONTHLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>1</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>1</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>LIQUID</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-12T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-25T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>ASKLQDMR</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52389</Unique_No>
    <SCHEME_CODE>ASLQRMR-DP</SCHEME_CODE>
    <RTA_x0020_Code>LQRMR</RTA_x0020_Code>
    <AMC_SCHEME_CODE>LQRMR</AMC_SCHEME_CODE>
    <ISIN>INF2XUU01104</ISIN>
    <AMC_CODE1>ASKMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ASK LIQUID FUND - REGULAR PLAN - MONTHLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>1</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>1</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>LIQUID</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-12T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-25T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>ASKLQRMR</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52390</Unique_No>
    <SCHEME_CODE>ASLQDMR-DP</SCHEME_CODE>
    <RTA_x0020_Code>LQDMR</RTA_x0020_Code>
    <AMC_SCHEME_CODE>LQDMR</AMC_SCHEME_CODE>
    <ISIN>INF2XUU01120</ISIN>
    <AMC_CODE1>ASKMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ASK LIQUID FUND - DIRECT PLAN - MONTHLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>1</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>1</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>LIQUID</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-12T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-25T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>ASKLQDMR</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52391</Unique_No>
    <SCHEME_CODE>ASLQRMP-DP</SCHEME_CODE>
    <RTA_x0020_Code>LQRMP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>LQRMP</AMC_SCHEME_CODE>
    <ISIN>INF2XUU01096</ISIN>
    <AMC_CODE1>ASKMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ASK LIQUID FUND - REGULAR PLAN - MONTHLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>1</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>1</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>LIQUID</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-12T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-25T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>ASKLQRMP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52392</Unique_No>
    <SCHEME_CODE>ASLQDMP-DP</SCHEME_CODE>
    <RTA_x0020_Code>LQDMP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>LQDMP</AMC_SCHEME_CODE>
    <ISIN>INF2XUU01112</ISIN>
    <AMC_CODE1>ASKMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ASK LIQUID FUND - DIRECT PLAN - MONTHLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>1</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>1</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>LIQUID</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-12T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-25T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>ASKLQDMP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52393</Unique_No>
    <SCHEME_CODE>ASLQRWR-DR</SCHEME_CODE>
    <RTA_x0020_Code>LQRWR</RTA_x0020_Code>
    <AMC_SCHEME_CODE>LQRWR</AMC_SCHEME_CODE>
    <ISIN>INF2XUU01062</ISIN>
    <AMC_CODE1>ASKMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ASK LIQUID FUND - REGULAR PLAN - WEEKLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>1</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>1</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>LIQUID</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-12T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-25T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>ASKLQRWR</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52394</Unique_No>
    <SCHEME_CODE>ASLQDWR-DR</SCHEME_CODE>
    <RTA_x0020_Code>LQDWR</RTA_x0020_Code>
    <AMC_SCHEME_CODE>LQDWR</AMC_SCHEME_CODE>
    <ISIN>INF2XUU01088</ISIN>
    <AMC_CODE1>ASKMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ASK LIQUID FUND - DIRECT PLAN - WEEKLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>1</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>1</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>LIQUID</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-12T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-25T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>ASKLQDWR</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52395</Unique_No>
    <SCHEME_CODE>ASLQRWR-DP</SCHEME_CODE>
    <RTA_x0020_Code>LQRWR</RTA_x0020_Code>
    <AMC_SCHEME_CODE>LQRWR</AMC_SCHEME_CODE>
    <ISIN>INF2XUU01062</ISIN>
    <AMC_CODE1>ASKMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ASK LIQUID FUND - REGULAR PLAN - WEEKLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>1</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>1</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>LIQUID</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-12T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-25T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>ASKLQRWR</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52396</Unique_No>
    <SCHEME_CODE>ASLQDWR-DP</SCHEME_CODE>
    <RTA_x0020_Code>LQDWR</RTA_x0020_Code>
    <AMC_SCHEME_CODE>LQDWR</AMC_SCHEME_CODE>
    <ISIN>INF2XUU01088</ISIN>
    <AMC_CODE1>ASKMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ASK LIQUID FUND - DIRECT PLAN - WEEKLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>1</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>1</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>LIQUID</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-12T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-25T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>ASKLQDWR</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52397</Unique_No>
    <SCHEME_CODE>ASLQRWP-DP</SCHEME_CODE>
    <RTA_x0020_Code>LQRWP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>LQRWP</AMC_SCHEME_CODE>
    <ISIN>INF2XUU01054</ISIN>
    <AMC_CODE1>ASKMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ASK LIQUID FUND - REGULAR PLAN - WEEKLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>1</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>1</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>LIQUID</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-12T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-25T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>ASKLQRWP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52398</Unique_No>
    <SCHEME_CODE>ASLQDWP-DP</SCHEME_CODE>
    <RTA_x0020_Code>LQDWP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>LQDWP</AMC_SCHEME_CODE>
    <ISIN>INF2XUU01070</ISIN>
    <AMC_CODE1>ASKMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ASK LIQUID FUND - DIRECT PLAN - WEEKLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
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    <RED_QTY_MULTIPLE>1</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>LIQUID</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-12T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-25T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>ASKLQDWP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52399</Unique_No>
    <SCHEME_CODE>AXOEGPD-GR</SCHEME_CODE>
    <RTA_x0020_Code>OEGP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>OEGPG</AMC_SCHEME_CODE>
    <ISIN>INF846KA1598</ISIN>
    <AMC_CODE1>AXISMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>AXIS NIFTY ENERGY ETF - DIRECT PLAN</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>5000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T23:59:59+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-12T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-21T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>128OEGP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52400</Unique_No>
    <SCHEME_CODE>AXOEGP-GR</SCHEME_CODE>
    <RTA_x0020_Code>OEGP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>OEGPG</AMC_SCHEME_CODE>
    <ISIN>INF846KA1598</ISIN>
    <AMC_CODE1>AXISMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>AXIS NIFTY ENERGY ETF</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>5000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T23:59:59+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-12T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-21T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>128OEGP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52401</Unique_No>
    <SCHEME_CODE>HDETFRG-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>ETFRG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>ETFRG</AMC_SCHEME_CODE>
    <ISIN>INF179KC1KR8</ISIN>
    <AMC_CODE1>HDFCMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>HDFC NIFTY METAL ETF FOF - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-12T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-12T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>HETFRG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52402</Unique_No>
    <SCHEME_CODE>HDETFDG-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>ETFDG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>ETFDG</AMC_SCHEME_CODE>
    <ISIN>INF179KC1KS6</ISIN>
    <AMC_CODE1>HDFCMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>HDFC NIFTY METAL ETF FOF - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-12T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-12T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>HETFDG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52403</Unique_No>
    <SCHEME_CODE>SBD715P-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>D715P</RTA_x0020_Code>
    <AMC_SCHEME_CODE>715D1D</AMC_SCHEME_CODE>
    <ISIN>INF200KB1BV3</ISIN>
    <AMC_CODE1>SBIMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>SBI NIFTY MIDCAP 150 MOMENTUM 50 ETF FOF - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-12T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-12T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>LD715P</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52404</Unique_No>
    <SCHEME_CODE>SBD715G-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>D715G</RTA_x0020_Code>
    <AMC_SCHEME_CODE>715D1G</AMC_SCHEME_CODE>
    <ISIN>INF200KB1BU5</ISIN>
    <AMC_CODE1>SBIMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>SBI NIFTY MIDCAP 150 MOMENTUM 50 ETF FOF - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-12T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-12T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>LD715G</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52405</Unique_No>
    <SCHEME_CODE>SBD715D-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>D715D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>715D1D</AMC_SCHEME_CODE>
    <ISIN>INF200KB1BW1</ISIN>
    <AMC_CODE1>SBIMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>SBI NIFTY MIDCAP 150 MOMENTUM 50 ETF FOF - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-12T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-12T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>LD715D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52406</Unique_No>
    <SCHEME_CODE>SB715D-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>715D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>715D</AMC_SCHEME_CODE>
    <ISIN>INF200KB1BT7</ISIN>
    <AMC_CODE1>SBIMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>SBI NIFTY MIDCAP 150 MOMENTUM 50 ETF FOF - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-12T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-12T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>L715D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52407</Unique_No>
    <SCHEME_CODE>SB715DP-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>715DP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>715D</AMC_SCHEME_CODE>
    <ISIN>INF200KB1BS9</ISIN>
    <AMC_CODE1>SBIMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>SBI NIFTY MIDCAP 150 MOMENTUM 50 ETF FOF - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
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    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <SIP_FLAG>Y</SIP_FLAG>
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    <STP>N</STP>
    <TAT>L1</TAT>
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    <Start_Date>2026-08-12T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-12T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>L715DP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52408</Unique_No>
    <SCHEME_CODE>SB715G-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>715G</RTA_x0020_Code>
    <AMC_SCHEME_CODE>715G</AMC_SCHEME_CODE>
    <ISIN>INF200KB1BR1</ISIN>
    <AMC_CODE1>SBIMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>SBI NIFTY MIDCAP 150 MOMENTUM 50 ETF FOF - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
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    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-12T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-12T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>L715G</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52409</Unique_No>
    <SCHEME_CODE>SBD715D-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>D715D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>715D1D</AMC_SCHEME_CODE>
    <ISIN>INF200KB1BW1</ISIN>
    <AMC_CODE1>SBIMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>SBI NIFTY MIDCAP 150 MOMENTUM 50 ETF FOF - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-12T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-12T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>LD715D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52410</Unique_No>
    <SCHEME_CODE>SB715D-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>715D</RTA_x0020_Code>
    <AMC_SCHEME_CODE>715D</AMC_SCHEME_CODE>
    <ISIN>INF200KB1BT7</ISIN>
    <AMC_CODE1>SBIMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>SBI NIFTY MIDCAP 150 MOMENTUM 50 ETF FOF - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-12T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-12T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>L715D</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52411</Unique_No>
    <SCHEME_CODE>AGAFCRG-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>AFCRG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>AFCRG</AMC_SCHEME_CODE>
    <ISIN>INF2VOA01103</ISIN>
    <AMC_CODE1>ALPHAGREPMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ALPHAGREP FLEXI CAP FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>AGPAFCRG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52412</Unique_No>
    <SCHEME_CODE>AGAFCRD-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>AFCRD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>AFCRD</AMC_SCHEME_CODE>
    <ISIN>INF2VOA01111</ISIN>
    <AMC_CODE1>ALPHAGREPMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ALPHAGREP FLEXI CAP FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>AGPAFCRD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52413</Unique_No>
    <SCHEME_CODE>AGAFCRP-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>AFCRP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>AFCRP</AMC_SCHEME_CODE>
    <ISIN>INF2VOA01129</ISIN>
    <AMC_CODE1>ALPHAGREPMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ALPHAGREP FLEXI CAP FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>AGPAFCRP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52414</Unique_No>
    <SCHEME_CODE>AGAFCDG-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>AFCDG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>AFCDG</AMC_SCHEME_CODE>
    <ISIN>INF2VOA01079</ISIN>
    <AMC_CODE1>ALPHAGREPMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ALPHAGREP FLEXI CAP FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>AGPAFCDG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52415</Unique_No>
    <SCHEME_CODE>AGAFCDD-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>AFCDD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>AFCDD</AMC_SCHEME_CODE>
    <ISIN>INF2VOA01087</ISIN>
    <AMC_CODE1>ALPHAGREPMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ALPHAGREP FLEXI CAP FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>500</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>AGPAFCDD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52416</Unique_No>
    <SCHEME_CODE>AGAFCDP-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>AFCDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>AFCDP</AMC_SCHEME_CODE>
    <ISIN>INF2VOA01095</ISIN>
    <AMC_CODE1>ALPHAGREPMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ALPHAGREP FLEXI CAP FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
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    <End_Date>2099-08-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <Unique_No>52417</Unique_No>
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    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <Start_Date>2026-08-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
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    <CHA_PAT_Cod>AGPAFCRD</CHA_PAT_Cod>
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    <Unique_No>52418</Unique_No>
    <SCHEME_CODE>AGAFCDD-DP-L1</SCHEME_CODE>
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    <AMC_SCHEME_CODE>AFCDD</AMC_SCHEME_CODE>
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    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <STP>N</STP>
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    <Start_Date>2026-08-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <CHA_PAT_Cod>AGPAFCDD</CHA_PAT_Cod>
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    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <STP>N</STP>
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    <Start_Date>2026-08-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <CHA_PAT_Cod>FTI1008</CHA_PAT_Cod>
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    <Unique_No>52420</Unique_No>
    <SCHEME_CODE>FR1009-DR-L1</SCHEME_CODE>
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    <AMC_SCHEME_CODE>1009</AMC_SCHEME_CODE>
    <ISIN>INF090I01YV1</ISIN>
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    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <STP>N</STP>
    <TAT>L1</TAT>
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    <Start_Date>2026-08-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <CHA_PAT_Cod>FTI1009</CHA_PAT_Cod>
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    <Unique_No>52421</Unique_No>
    <SCHEME_CODE>FR1009P-DP-L1</SCHEME_CODE>
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    <AMC_SCHEME_CODE>1009P</AMC_SCHEME_CODE>
    <ISIN>INF090I01YU3</ISIN>
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    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_TXNMODE>D</RED_TXNMODE>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <SWP>N</SWP>
    <STP>N</STP>
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    <Start_Date>2026-08-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>FTI1009P</CHA_PAT_Cod>
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    <Unique_No>52422</Unique_No>
    <SCHEME_CODE>FR1010-GR-L1</SCHEME_CODE>
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    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <Start_Date>2026-08-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <SWITCH_Flag>N</SWITCH_Flag>
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    <CHA_PAT_Cod>FTI1010</CHA_PAT_Cod>
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    <Unique_No>52423</Unique_No>
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    <Start_Date>2026-08-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <SWITCH_Flag>N</SWITCH_Flag>
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    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>FTI1011</CHA_PAT_Cod>
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    <SCHEME_CODE>FR1011P-DP-L1</SCHEME_CODE>
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    <End_Date>2099-08-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <CHA_PAT_Cod>FTI1011P</CHA_PAT_Cod>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
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    <STP>N</STP>
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    <Start_Date>2026-08-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>FTI1009</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>52426</Unique_No>
    <SCHEME_CODE>FR1011-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>1011</RTA_x0020_Code>
    <AMC_SCHEME_CODE>1011</AMC_SCHEME_CODE>
    <ISIN>INF090I01YY5</ISIN>
    <AMC_CODE1>FRANKLINTEMPLETON</AMC_CODE1>
    <SCHEME_NAME>FRANKLIN INDIA SHORT TERM FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
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    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
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    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
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    <STP>N</STP>
    <TAT>L1</TAT>
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    <Start_Date>2026-08-13T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-13T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>FTI1011</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52427</Unique_No>
    <SCHEME_CODE>TSHYGP-GR</SCHEME_CODE>
    <RTA_x0020_Code>HYGP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>792</AMC_SCHEME_CODE>
    <ISIN>INF789F1AH00</ISIN>
    <AMC_CODE1>UTIMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>UTI BALANCED HYBRID FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-14T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-28T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>108HYGP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52428</Unique_No>
    <SCHEME_CODE>TSHYG1-GR</SCHEME_CODE>
    <RTA_x0020_Code>HYG1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>792</AMC_SCHEME_CODE>
    <ISIN>INF789F1AH18</ISIN>
    <AMC_CODE1>UTIMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>UTI BALANCED HYBRID FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-14T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-28T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>108HYG1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52429</Unique_No>
    <SCHEME_CODE>TSHYDP-DP</SCHEME_CODE>
    <RTA_x0020_Code>HYDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>792</AMC_SCHEME_CODE>
    <ISIN>INF789F1AH26</ISIN>
    <AMC_CODE1>UTIMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>UTI BALANCED HYBRID FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-14T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-28T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>108HYDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52430</Unique_No>
    <SCHEME_CODE>TSHYD1-DP</SCHEME_CODE>
    <RTA_x0020_Code>HYD1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>792</AMC_SCHEME_CODE>
    <ISIN>INF789F1AH34</ISIN>
    <AMC_CODE1>UTIMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>UTI BALANCED HYBRID FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-14T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-28T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>108HYD1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52431</Unique_No>
    <SCHEME_CODE>BJMMDW-DP</SCHEME_CODE>
    <RTA_x0020_Code>MMDW</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MMDWD</AMC_SCHEME_CODE>
    <ISIN>INF0QA701CK6</ISIN>
    <AMC_CODE1>BAJAJ FINSERV_MF</AMC_CODE1>
    <SCHEME_NAME>BAJAJ FINSERV MONEY MARKET FUND - DIRECT PLAN - WEEKLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-14T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-14T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>189MMDW</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52432</Unique_No>
    <SCHEME_CODE>BJMMRW-DP</SCHEME_CODE>
    <RTA_x0020_Code>MMRW</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MMRWD</AMC_SCHEME_CODE>
    <ISIN>INF0QA701CJ8</ISIN>
    <AMC_CODE1>BAJAJ FINSERV_MF</AMC_CODE1>
    <SCHEME_NAME>BAJAJ FINSERV MONEY MARKET FUND - REGULAR PLAN - WEEKLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
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    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-14T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-14T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>189MMRW</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52433</Unique_No>
    <SCHEME_CODE>BJMMDW-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>MMDW</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MMDWD</AMC_SCHEME_CODE>
    <ISIN>INF0QA701CK6</ISIN>
    <AMC_CODE1>BAJAJ FINSERV_MF</AMC_CODE1>
    <SCHEME_NAME>BAJAJ FINSERV MONEY MARKET FUND - DIRECT PLAN - WEEKLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-14T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-14T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>189MMDW</CHA_PAT_Cod>
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    <Unique_No>52434</Unique_No>
    <SCHEME_CODE>BJMMRW-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>MMRW</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MMRWD</AMC_SCHEME_CODE>
    <ISIN>INF0QA701CJ8</ISIN>
    <AMC_CODE1>BAJAJ FINSERV_MF</AMC_CODE1>
    <SCHEME_NAME>BAJAJ FINSERV MONEY MARKET FUND - REGULAR PLAN - WEEKLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
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    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-14T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-14T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>189MMRW</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52435</Unique_No>
    <SCHEME_CODE>RLAOGP-GR</SCHEME_CODE>
    <RTA_x0020_Code>AOGP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>AOGP</AMC_SCHEME_CODE>
    <ISIN>INF204KC1HM4</ISIN>
    <AMC_CODE1>NipponIndiaMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>NIPPON INDIA INCOME PLUS ARBITRAGE OMNI FUND OF FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-17T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-31T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>RMFAOGP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52436</Unique_No>
    <SCHEME_CODE>RLAOAD-DP</SCHEME_CODE>
    <RTA_x0020_Code>AOAD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>AOAD</AMC_SCHEME_CODE>
    <ISIN>INF204KC1HP7</ISIN>
    <AMC_CODE1>NipponIndiaMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>NIPPON INDIA INCOME PLUS ARBITRAGE OMNI FUND OF FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-17T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-31T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>RMFAOAD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52437</Unique_No>
    <SCHEME_CODE>RLAOAD-DR</SCHEME_CODE>
    <RTA_x0020_Code>AOAD</RTA_x0020_Code>
    <AMC_SCHEME_CODE>AOAD</AMC_SCHEME_CODE>
    <ISIN>INF204KC1HQ5</ISIN>
    <AMC_CODE1>NipponIndiaMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>NIPPON INDIA INCOME PLUS ARBITRAGE OMNI FUND OF FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-17T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-31T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>RMFAOAD</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52438</Unique_No>
    <SCHEME_CODE>RLAODP-DP</SCHEME_CODE>
    <RTA_x0020_Code>AODP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>AODP</AMC_SCHEME_CODE>
    <ISIN>INF204KC1HN2</ISIN>
    <AMC_CODE1>NipponIndiaMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>NIPPON INDIA INCOME PLUS ARBITRAGE OMNI FUND OF FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-17T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-31T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>RMFAODP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52439</Unique_No>
    <SCHEME_CODE>RLAODP-DR</SCHEME_CODE>
    <RTA_x0020_Code>AODP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>AODP</AMC_SCHEME_CODE>
    <ISIN>INF204KC1HR3</ISIN>
    <AMC_CODE1>NipponIndiaMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>NIPPON INDIA INCOME PLUS ARBITRAGE OMNI FUND OF FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-17T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-31T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>RMFAODP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52440</Unique_No>
    <SCHEME_CODE>RLAOAG-GR</SCHEME_CODE>
    <RTA_x0020_Code>AOAG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>AOAG</AMC_SCHEME_CODE>
    <ISIN>INF204KC1HO0</ISIN>
    <AMC_CODE1>NipponIndiaMutualFund_MF</AMC_CODE1>
    <SCHEME_NAME>NIPPON INDIA INCOME PLUS ARBITRAGE OMNI FUND OF FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-17T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-31T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>RMFAOAG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52441</Unique_No>
    <SCHEME_CODE>EDSHD1-GR</SCHEME_CODE>
    <RTA_x0020_Code>SHD1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>SHD1</AMC_SCHEME_CODE>
    <ISIN>INF754K01XR8</ISIN>
    <AMC_CODE1>EDELWEISSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>EDELWEISS ULTRA SHORT TERM FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-17T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>118SHD1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52442</Unique_No>
    <SCHEME_CODE>EDSHD2-DP</SCHEME_CODE>
    <RTA_x0020_Code>SHD2</RTA_x0020_Code>
    <AMC_SCHEME_CODE>SHD2</AMC_SCHEME_CODE>
    <ISIN>INF754K01XS6</ISIN>
    <AMC_CODE1>EDELWEISSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>EDELWEISS ULTRA SHORT TERM FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-17T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>118SHD2</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52443</Unique_No>
    <SCHEME_CODE>EDSHD2-DR</SCHEME_CODE>
    <RTA_x0020_Code>SHD2</RTA_x0020_Code>
    <AMC_SCHEME_CODE>SHD2</AMC_SCHEME_CODE>
    <ISIN>INF754K01XT4</ISIN>
    <AMC_CODE1>EDELWEISSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>EDELWEISS ULTRA SHORT TERM FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-17T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>118SHD2</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52444</Unique_No>
    <SCHEME_CODE>EDSHRG-GR</SCHEME_CODE>
    <RTA_x0020_Code>SHRG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>SHRG</AMC_SCHEME_CODE>
    <ISIN>INF754K01XV0</ISIN>
    <AMC_CODE1>EDELWEISSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>EDELWEISS ULTRA SHORT TERM FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-17T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>118SHRG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52445</Unique_No>
    <SCHEME_CODE>EDSHDP-DP</SCHEME_CODE>
    <RTA_x0020_Code>SHDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>SHDP</AMC_SCHEME_CODE>
    <ISIN>INF754K01XW8</ISIN>
    <AMC_CODE1>EDELWEISSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>EDELWEISS ULTRA SHORT TERM FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-17T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>118SHDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52446</Unique_No>
    <SCHEME_CODE>EDSHDP-DR</SCHEME_CODE>
    <RTA_x0020_Code>SHDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>SHDP</AMC_SCHEME_CODE>
    <ISIN>INF754K01XX6</ISIN>
    <AMC_CODE1>EDELWEISSMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>EDELWEISS ULTRA SHORT TERM FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-17T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>118SHDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52449</Unique_No>
    <SCHEME_CODE>QJIAD1-DP</SCHEME_CODE>
    <RTA_x0020_Code>IAD1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>IAD1D</AMC_SCHEME_CODE>
    <ISIN>INF966L01EK1</ISIN>
    <AMC_CODE1>QUANTMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>QUANT INCOME PLUS ARBITRAGE ACTIVE FOF - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>5000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-17T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-31T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>166IAD1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52450</Unique_No>
    <SCHEME_CODE>QJIAD1-DR</SCHEME_CODE>
    <RTA_x0020_Code>IAD1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>IAD1R</AMC_SCHEME_CODE>
    <ISIN>INF966L01EL9</ISIN>
    <AMC_CODE1>QUANTMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>QUANT INCOME PLUS ARBITRAGE ACTIVE FOF - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>5000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-17T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-31T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>166IAD1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52451</Unique_No>
    <SCHEME_CODE>QJIADG-GR</SCHEME_CODE>
    <RTA_x0020_Code>IADG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>IADGG</AMC_SCHEME_CODE>
    <ISIN>INF966L01EJ3</ISIN>
    <AMC_CODE1>QUANTMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>QUANT INCOME PLUS ARBITRAGE ACTIVE FOF - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>5000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-17T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-31T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>166IADG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52452</Unique_No>
    <SCHEME_CODE>QJIADP-DP</SCHEME_CODE>
    <RTA_x0020_Code>IADP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>IADPD</AMC_SCHEME_CODE>
    <ISIN>INF966L01EN5</ISIN>
    <AMC_CODE1>QUANTMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>QUANT INCOME PLUS ARBITRAGE ACTIVE FOF - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>5000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-17T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-31T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>166IADP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52453</Unique_No>
    <SCHEME_CODE>QJIADP-DR</SCHEME_CODE>
    <RTA_x0020_Code>IADP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>IADPR</AMC_SCHEME_CODE>
    <ISIN>INF966L01EO3</ISIN>
    <AMC_CODE1>QUANTMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>QUANT INCOME PLUS ARBITRAGE ACTIVE FOF - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>5000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-17T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-31T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>166IADP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52454</Unique_No>
    <SCHEME_CODE>QJIAGP-GR</SCHEME_CODE>
    <RTA_x0020_Code>IAGP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>IAGPG</AMC_SCHEME_CODE>
    <ISIN>INF966L01EM7</ISIN>
    <AMC_CODE1>QUANTMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>QUANT INCOME PLUS ARBITRAGE ACTIVE FOF - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>5000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-17T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-31T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>166IAGP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52455</Unique_No>
    <SCHEME_CODE>ITMAD1-DP</SCHEME_CODE>
    <RTA_x0020_Code>MAD1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MAD1D</AMC_SCHEME_CODE>
    <ISIN>INF00XX01DT4</ISIN>
    <AMC_CODE1>ITI MUTUAL FUND_MF</AMC_CODE1>
    <SCHEME_NAME>ITI MULTI ASSET ALLOCATION FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>5000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-17T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-31T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>152MAD1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52456</Unique_No>
    <SCHEME_CODE>ITMAD1-DR</SCHEME_CODE>
    <RTA_x0020_Code>MAD1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MAD1R</AMC_SCHEME_CODE>
    <ISIN>INF00XX01DU2</ISIN>
    <AMC_CODE1>ITI MUTUAL FUND_MF</AMC_CODE1>
    <SCHEME_NAME>ITI MULTI ASSET ALLOCATION FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>5000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-17T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-31T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>152MAD1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52457</Unique_No>
    <SCHEME_CODE>ITMADP-DP</SCHEME_CODE>
    <RTA_x0020_Code>MADP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MADPD</AMC_SCHEME_CODE>
    <ISIN>INF00XX01DQ0</ISIN>
    <AMC_CODE1>ITI MUTUAL FUND_MF</AMC_CODE1>
    <SCHEME_NAME>ITI MULTI ASSET ALLOCATION FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>5000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-17T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-31T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>152MADP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52458</Unique_No>
    <SCHEME_CODE>ITMADP-DR</SCHEME_CODE>
    <RTA_x0020_Code>MADP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MADPR</AMC_SCHEME_CODE>
    <ISIN>INF00XX01DR8</ISIN>
    <AMC_CODE1>ITI MUTUAL FUND_MF</AMC_CODE1>
    <SCHEME_NAME>ITI MULTI ASSET ALLOCATION FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>5000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-17T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-31T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>152MADP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52459</Unique_No>
    <SCHEME_CODE>ITMAG1-GR</SCHEME_CODE>
    <RTA_x0020_Code>MAG1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MAG1G</AMC_SCHEME_CODE>
    <ISIN>INF00XX01DS6</ISIN>
    <AMC_CODE1>ITI MUTUAL FUND_MF</AMC_CODE1>
    <SCHEME_NAME>ITI MULTI ASSET ALLOCATION FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>5000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-17T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-31T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>152MAG1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52460</Unique_No>
    <SCHEME_CODE>ITMAGP-GR</SCHEME_CODE>
    <RTA_x0020_Code>MAGP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>MAGPG</AMC_SCHEME_CODE>
    <ISIN>INF00XX01DP2</ISIN>
    <AMC_CODE1>ITI MUTUAL FUND_MF</AMC_CODE1>
    <SCHEME_NAME>ITI MULTI ASSET ALLOCATION FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>5000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>5000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-17T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-31T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>152MAGP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52461</Unique_No>
    <SCHEME_CODE>JI191-GR</SCHEME_CODE>
    <RTA_x0020_Code>191</RTA_x0020_Code>
    <AMC_SCHEME_CODE>191</AMC_SCHEME_CODE>
    <ISIN>INF22M001259</ISIN>
    <AMC_CODE1>JIOBLACKROCKMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>JIOBLACKROCK ARBITRAGE FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>T2</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-17T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-17T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>0.1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>JIO191</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52462</Unique_No>
    <SCHEME_CODE>JI191-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>191</RTA_x0020_Code>
    <AMC_SCHEME_CODE>191</AMC_SCHEME_CODE>
    <ISIN>INF22M001259</ISIN>
    <AMC_CODE1>JIOBLACKROCKMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>JIOBLACKROCK ARBITRAGE FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-17T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-17T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>0.1</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>JIO191</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52463</Unique_No>
    <SCHEME_CODE>JI231-GR</SCHEME_CODE>
    <RTA_x0020_Code>231</RTA_x0020_Code>
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    <CHA_PAT_Cod>120LFD1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52499</Unique_No>
    <SCHEME_CODE>RGOND1-GR-S3</SCHEME_CODE>
    <RTA_x0020_Code>OND1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>120OND1</AMC_SCHEME_CODE>
    <ISIN>INF205KA1PH3</ISIN>
    <AMC_CODE1>INVESCOMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>INVESCO INDIA PHARMA AND HEALTHCARE FUND - NFO SMART SWITCH - INVESCO INDIA OVERNIGHT FUND - DIRECT-GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T19:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>OVERNIGHT</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-18T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-28T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>120OND1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52500</Unique_No>
    <SCHEME_CODE>RGOND1-GR-L0-S3</SCHEME_CODE>
    <RTA_x0020_Code>OND1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>120OND1</AMC_SCHEME_CODE>
    <ISIN>INF205KA1PH3</ISIN>
    <AMC_CODE1>INVESCOMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>INVESCO INDIA PHARMA AND HEALTHCARE FUND - NFO SMART SWITCH - INVESCO INDIA OVERNIGHT FUND - DIRECT-GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T13:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T19:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>OVERNIGHT</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L0</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-18T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-28T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>120OND1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52501</Unique_No>
    <SCHEME_CODE>RGONGP-GR-S3</SCHEME_CODE>
    <RTA_x0020_Code>ONGP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>120ONGP</AMC_SCHEME_CODE>
    <ISIN>INF205KA1PH4</ISIN>
    <AMC_CODE1>INVESCOMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>INVESCO INDIA PHARMA AND HEALTHCARE FUND - NFO SMART SWITCH - INVESCO INDIA OVERNIGHT FUND - REGULAR -GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T19:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>OVERNIGHT</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-18T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-28T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>120ONGP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52502</Unique_No>
    <SCHEME_CODE>RGONGP-GR-L0-S3</SCHEME_CODE>
    <RTA_x0020_Code>ONGP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>120ONGP</AMC_SCHEME_CODE>
    <ISIN>INF205KA1PH4</ISIN>
    <AMC_CODE1>INVESCOMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>INVESCO INDIA PHARMA AND HEALTHCARE FUND - NFO SMART SWITCH - INVESCO INDIA OVERNIGHT FUND - REGULAR -GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T13:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T19:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>OVERNIGHT</SCHEMETYPE>
    <SIP_FLAG>N</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L0</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-18T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-28T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>1000</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>120ONGP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52503</Unique_No>
    <SCHEME_CODE>RGPHD1-GR</SCHEME_CODE>
    <RTA_x0020_Code>PHD1</RTA_x0020_Code>
    <AMC_SCHEME_CODE>120</AMC_SCHEME_CODE>
    <ISIN>INF205KA1BX5</ISIN>
    <AMC_CODE1>INVESCOMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>INVESCO INDIA PHARMA AND HEALTHCARE FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-18T00:00:00+05:30</Start_Date>
    <End_Date>2026-09-01T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>120PHD1</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52504</Unique_No>
    <SCHEME_CODE>RGPHD2-DP</SCHEME_CODE>
    <RTA_x0020_Code>PHD2</RTA_x0020_Code>
    <AMC_SCHEME_CODE>120</AMC_SCHEME_CODE>
    <ISIN>INF205KA1BY3</ISIN>
    <AMC_CODE1>INVESCOMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>INVESCO INDIA PHARMA AND HEALTHCARE FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-18T00:00:00+05:30</Start_Date>
    <End_Date>2026-09-01T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>120PHD2</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52505</Unique_No>
    <SCHEME_CODE>RGPHD2-DR</SCHEME_CODE>
    <RTA_x0020_Code>PHD2</RTA_x0020_Code>
    <AMC_SCHEME_CODE>120</AMC_SCHEME_CODE>
    <ISIN>INF205KA1BZ0</ISIN>
    <AMC_CODE1>INVESCOMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>INVESCO INDIA PHARMA AND HEALTHCARE FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-18T00:00:00+05:30</Start_Date>
    <End_Date>2026-09-01T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>120PHD2</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52506</Unique_No>
    <SCHEME_CODE>RGPHGP-GR</SCHEME_CODE>
    <RTA_x0020_Code>PHGP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>120</AMC_SCHEME_CODE>
    <ISIN>INF205KA1BU1</ISIN>
    <AMC_CODE1>INVESCOMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>INVESCO INDIA PHARMA AND HEALTHCARE FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-18T00:00:00+05:30</Start_Date>
    <End_Date>2026-09-01T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>120PHGP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52507</Unique_No>
    <SCHEME_CODE>RGPHDP-DP</SCHEME_CODE>
    <RTA_x0020_Code>PHDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>120</AMC_SCHEME_CODE>
    <ISIN>INF205KA1BV9</ISIN>
    <AMC_CODE1>INVESCOMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>INVESCO INDIA PHARMA AND HEALTHCARE FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-18T00:00:00+05:30</Start_Date>
    <End_Date>2026-09-01T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
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    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>120PHDP</CHA_PAT_Cod>
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  <BSEFundMast>
    <Unique_No>52508</Unique_No>
    <SCHEME_CODE>RGPHDP-DR</SCHEME_CODE>
    <RTA_x0020_Code>PHDP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>120</AMC_SCHEME_CODE>
    <ISIN>INF205KA1BW7</ISIN>
    <AMC_CODE1>INVESCOMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>INVESCO INDIA PHARMA AND HEALTHCARE FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>1000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>1000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
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    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-18T00:00:00+05:30</Start_Date>
    <End_Date>2026-09-01T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>1000</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.001</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>120PHDP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52509</Unique_No>
    <SCHEME_CODE>DS2069-GR</SCHEME_CODE>
    <RTA_x0020_Code>2069</RTA_x0020_Code>
    <AMC_SCHEME_CODE>2069</AMC_SCHEME_CODE>
    <ISIN>INF740KA1ZJ5</ISIN>
    <AMC_CODE1>DSP_MF</AMC_CODE1>
    <SCHEME_NAME>DSP FINANCIAL SERVICES SECTORAL DEBT FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-19T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>D2069</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52510</Unique_No>
    <SCHEME_CODE>DS2070-DP</SCHEME_CODE>
    <RTA_x0020_Code>2070</RTA_x0020_Code>
    <AMC_SCHEME_CODE>2070</AMC_SCHEME_CODE>
    <ISIN>INF740KA1ZK3</ISIN>
    <AMC_CODE1>DSP_MF</AMC_CODE1>
    <SCHEME_NAME>DSP FINANCIAL SERVICES SECTORAL DEBT FUND - REGULAR PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-19T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>D2070</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52511</Unique_No>
    <SCHEME_CODE>DS2071-DR</SCHEME_CODE>
    <RTA_x0020_Code>2071</RTA_x0020_Code>
    <AMC_SCHEME_CODE>2071</AMC_SCHEME_CODE>
    <ISIN>INF740KA1ZL1</ISIN>
    <AMC_CODE1>DSP_MF</AMC_CODE1>
    <SCHEME_NAME>DSP FINANCIAL SERVICES SECTORAL DEBT FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
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    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-19T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>D2071</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52512</Unique_No>
    <SCHEME_CODE>DS2072-GR</SCHEME_CODE>
    <RTA_x0020_Code>2072</RTA_x0020_Code>
    <AMC_SCHEME_CODE>2072</AMC_SCHEME_CODE>
    <ISIN>INF740KA1ZM9</ISIN>
    <AMC_CODE1>DSP_MF</AMC_CODE1>
    <SCHEME_NAME>DSP FINANCIAL SERVICES SECTORAL DEBT FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
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    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-19T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>D2072</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52513</Unique_No>
    <SCHEME_CODE>DS2073-DP</SCHEME_CODE>
    <RTA_x0020_Code>2073</RTA_x0020_Code>
    <AMC_SCHEME_CODE>2073</AMC_SCHEME_CODE>
    <ISIN>INF740KA1ZN7</ISIN>
    <AMC_CODE1>DSP_MF</AMC_CODE1>
    <SCHEME_NAME>DSP FINANCIAL SERVICES SECTORAL DEBT FUND - DIRECT PLAN - IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
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    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-19T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>D2073</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52514</Unique_No>
    <SCHEME_CODE>DS2074-DR</SCHEME_CODE>
    <RTA_x0020_Code>2074</RTA_x0020_Code>
    <AMC_SCHEME_CODE>2074</AMC_SCHEME_CODE>
    <ISIN>INF740KA1ZO5</ISIN>
    <AMC_CODE1>DSP_MF</AMC_CODE1>
    <SCHEME_NAME>DSP FINANCIAL SERVICES SECTORAL DEBT FUND - DIRECT PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>D</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>D</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-19T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>100</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>D2074</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52515</Unique_No>
    <SCHEME_CODE>DS2070-DR</SCHEME_CODE>
    <RTA_x0020_Code>2070</RTA_x0020_Code>
    <AMC_SCHEME_CODE>2070</AMC_SCHEME_CODE>
    <ISIN>INF740KA1ZK3</ISIN>
    <AMC_CODE1>DSP_MF</AMC_CODE1>
    <SCHEME_NAME>DSP FINANCIAL SERVICES SECTORAL DEBT FUND - REGULAR PLAN - IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
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    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-19T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>D2070</CHA_PAT_Cod>
  </BSEFundMast>
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    <Unique_No>52516</Unique_No>
    <SCHEME_CODE>DS2073-DR</SCHEME_CODE>
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    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
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    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
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    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
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    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-19T00:00:00+05:30</Start_Date>
    <End_Date>2026-08-24T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
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    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
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    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>D2073</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52517</Unique_No>
    <SCHEME_CODE>IDD67P-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>D67P</RTA_x0020_Code>
    <AMC_SCHEME_CODE>D67P</AMC_SCHEME_CODE>
    <ISIN>INF194KB1KT6</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>BANDHAN LOW DURATION FUND - DIRECT PLAN - WEEKLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>0.01</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GD67P</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52518</Unique_No>
    <SCHEME_CODE>ID67P-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>67P</RTA_x0020_Code>
    <AMC_SCHEME_CODE>67P</AMC_SCHEME_CODE>
    <ISIN>INF194KB1KS8</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>BANDHAN LOW DURATION FUND - REGULAR PLAN - WEEKLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>0.01</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>G67P</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52519</Unique_No>
    <SCHEME_CODE>ID67P-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>67P</RTA_x0020_Code>
    <AMC_SCHEME_CODE>67P</AMC_SCHEME_CODE>
    <ISIN>INF194KB1KS8</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>BANDHAN LOW DURATION FUND - REGULAR PLAN - WEEKLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>0.01</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>G67P</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52520</Unique_No>
    <SCHEME_CODE>IDDFRWP-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>DFRWP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>DFRWP</AMC_SCHEME_CODE>
    <ISIN>INF194KB1KP4</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>BANDHAN MONEY MARKET FUND - DIRECT PLAN - WEEKLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>0.01</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GDFRWP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52521</Unique_No>
    <SCHEME_CODE>IDDFRWP-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>DFRWP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>DFRWP</AMC_SCHEME_CODE>
    <ISIN>INF194KB1KP4</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>BANDHAN MONEY MARKET FUND - DIRECT PLAN - WEEKLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>0.01</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GDFRWP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52522</Unique_No>
    <SCHEME_CODE>IDFRWP-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>FRWP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>FRWP</AMC_SCHEME_CODE>
    <ISIN>INF194KB1KO7</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>BANDHAN MONEY MARKET FUND - REGULAR PLAN - WEEKLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>0.01</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GFRWP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52523</Unique_No>
    <SCHEME_CODE>IDFRWP-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>FRWP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>FRWP</AMC_SCHEME_CODE>
    <ISIN>INF194KB1KO7</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>BANDHAN MONEY MARKET FUND - REGULAR PLAN - WEEKLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>0.01</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GFRWP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52524</Unique_No>
    <SCHEME_CODE>IDD332P-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>D332P</RTA_x0020_Code>
    <AMC_SCHEME_CODE>D332P</AMC_SCHEME_CODE>
    <ISIN>INF194KB1KR0</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>BANDHAN ULTRA SHORT DURATION FUND - DIRECT PLAN - WEEKLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>0.01</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GD332P</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52525</Unique_No>
    <SCHEME_CODE>IDD332P-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>D332P</RTA_x0020_Code>
    <AMC_SCHEME_CODE>D332P</AMC_SCHEME_CODE>
    <ISIN>INF194KB1KR0</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>BANDHAN ULTRA SHORT DURATION FUND - DIRECT PLAN - WEEKLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
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    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>0.01</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GD332P</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52526</Unique_No>
    <SCHEME_CODE>ID332P-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>332P</RTA_x0020_Code>
    <AMC_SCHEME_CODE>332P</AMC_SCHEME_CODE>
    <ISIN>INF194KB1KQ2</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>BANDHAN ULTRA SHORT DURATION FUND - REGULAR PLAN - WEEKLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>0.01</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>G332P</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52527</Unique_No>
    <SCHEME_CODE>ID332P-DR-L1</SCHEME_CODE>
    <RTA_x0020_Code>332P</RTA_x0020_Code>
    <AMC_SCHEME_CODE>332P</AMC_SCHEME_CODE>
    <ISIN>INF194KB1KQ2</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>BANDHAN ULTRA SHORT DURATION FUND - REGULAR PLAN - WEEKLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>0.01</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>G332P</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52528</Unique_No>
    <SCHEME_CODE>IDD67P-DP</SCHEME_CODE>
    <RTA_x0020_Code>D67P</RTA_x0020_Code>
    <AMC_SCHEME_CODE>D67P</AMC_SCHEME_CODE>
    <ISIN>INF194KB1KT6</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>BANDHAN LOW DURATION FUND - DIRECT PLAN - WEEKLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>0.01</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GD67P</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52529</Unique_No>
    <SCHEME_CODE>IDD67P-DR</SCHEME_CODE>
    <RTA_x0020_Code>D67P</RTA_x0020_Code>
    <AMC_SCHEME_CODE>D67P</AMC_SCHEME_CODE>
    <ISIN>INF194KB1KT6</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>BANDHAN LOW DURATION FUND - DIRECT PLAN - WEEKLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>0.01</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GD67P</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52530</Unique_No>
    <SCHEME_CODE>ID67P-DP</SCHEME_CODE>
    <RTA_x0020_Code>67P</RTA_x0020_Code>
    <AMC_SCHEME_CODE>67P</AMC_SCHEME_CODE>
    <ISIN>INF194KB1KS8</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>BANDHAN LOW DURATION FUND - REGULAR PLAN - WEEKLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>0.01</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>G67P</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52531</Unique_No>
    <SCHEME_CODE>ID67P-DR</SCHEME_CODE>
    <RTA_x0020_Code>67P</RTA_x0020_Code>
    <AMC_SCHEME_CODE>67P</AMC_SCHEME_CODE>
    <ISIN>INF194KB1KS8</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>BANDHAN LOW DURATION FUND - REGULAR PLAN - WEEKLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>0.01</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>G67P</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52532</Unique_No>
    <SCHEME_CODE>IDDFRWP-DP</SCHEME_CODE>
    <RTA_x0020_Code>DFRWP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>DFRWP</AMC_SCHEME_CODE>
    <ISIN>INF194KB1KP4</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>BANDHAN MONEY MARKET FUND - DIRECT PLAN - WEEKLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>0.01</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GDFRWP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52533</Unique_No>
    <SCHEME_CODE>IDDFRWP-DR</SCHEME_CODE>
    <RTA_x0020_Code>DFRWP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>DFRWP</AMC_SCHEME_CODE>
    <ISIN>INF194KB1KP4</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>BANDHAN MONEY MARKET FUND - DIRECT PLAN - WEEKLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>0.01</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GDFRWP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52534</Unique_No>
    <SCHEME_CODE>IDFRWP-DP</SCHEME_CODE>
    <RTA_x0020_Code>FRWP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>FRWP</AMC_SCHEME_CODE>
    <ISIN>INF194KB1KO7</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>BANDHAN MONEY MARKET FUND - REGULAR PLAN - WEEKLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>0.01</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GFRWP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52535</Unique_No>
    <SCHEME_CODE>IDFRWP-DR</SCHEME_CODE>
    <RTA_x0020_Code>FRWP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>FRWP</AMC_SCHEME_CODE>
    <ISIN>INF194KB1KO7</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>BANDHAN MONEY MARKET FUND - REGULAR PLAN - WEEKLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>0.01</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GFRWP</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52536</Unique_No>
    <SCHEME_CODE>IDD332P-DP</SCHEME_CODE>
    <RTA_x0020_Code>D332P</RTA_x0020_Code>
    <AMC_SCHEME_CODE>D332P</AMC_SCHEME_CODE>
    <ISIN>INF194KB1KR0</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>BANDHAN ULTRA SHORT DURATION FUND - DIRECT PLAN - WEEKLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>0.01</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GD332P</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52537</Unique_No>
    <SCHEME_CODE>IDD332P-DR</SCHEME_CODE>
    <RTA_x0020_Code>D332P</RTA_x0020_Code>
    <AMC_SCHEME_CODE>D332P</AMC_SCHEME_CODE>
    <ISIN>INF194KB1KR0</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>BANDHAN ULTRA SHORT DURATION FUND - DIRECT PLAN - WEEKLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>0.01</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GD332P</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52538</Unique_No>
    <SCHEME_CODE>ID332P-DP</SCHEME_CODE>
    <RTA_x0020_Code>332P</RTA_x0020_Code>
    <AMC_SCHEME_CODE>332P</AMC_SCHEME_CODE>
    <ISIN>INF194KB1KQ2</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>BANDHAN ULTRA SHORT DURATION FUND - REGULAR PLAN - WEEKLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>0.01</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>G332P</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52539</Unique_No>
    <SCHEME_CODE>ID332P-DR</SCHEME_CODE>
    <RTA_x0020_Code>332P</RTA_x0020_Code>
    <AMC_SCHEME_CODE>332P</AMC_SCHEME_CODE>
    <ISIN>INF194KB1KQ2</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>BANDHAN ULTRA SHORT DURATION FUND - REGULAR PLAN - WEEKLY IDCW REINVESTMENT</SCHEME_NAME>
    <PUR_TXNMODE>P</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>P</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>Y</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Y</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>Y</SWP>
    <STP>N</STP>
    <TAT>T1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>0.01</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>G332P</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52540</Unique_No>
    <SCHEME_CODE>IDD67P-DP-L1</SCHEME_CODE>
    <RTA_x0020_Code>D67P</RTA_x0020_Code>
    <AMC_SCHEME_CODE>D67P</AMC_SCHEME_CODE>
    <ISIN>INF194KB1KT6</ISIN>
    <AMC_CODE1>BANDHANMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>BANDHAN LOW DURATION FUND - DIRECT PLAN - WEEKLY IDCW PAYOUT</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>100</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>100</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>N</DIVIDEND_FLAG>
    <SCHEMETYPE>DEBT</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-19T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-19T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>0.01</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>1</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>GD67P</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52541</Unique_No>
    <SCHEME_CODE>ZEZARBI-GR-L1</SCHEME_CODE>
    <RTA_x0020_Code>ZARBI</RTA_x0020_Code>
    <AMC_SCHEME_CODE>ZARBI</AMC_SCHEME_CODE>
    <ISIN>INF0R8F01232</ISIN>
    <AMC_CODE1>ZERODHAMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>ZERODHA ARBITRAGE FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>200000</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>200000</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T14:30:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T14:30:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>CAMS</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>L1</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-20T00:00:00+05:30</Start_Date>
    <End_Date>2099-08-20T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>0.01</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>N</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>ZZARBI</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52542</Unique_No>
    <SCHEME_CODE>QTFLRG-GR</SCHEME_CODE>
    <RTA_x0020_Code>FLRG</RTA_x0020_Code>
    <AMC_SCHEME_CODE>154516</AMC_SCHEME_CODE>
    <ISIN>INF082J01515</ISIN>
    <AMC_CODE1>QUANTUMMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>QUANTUM FLEXI CAP FUND - REGULAR PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-21T00:00:00+05:30</Start_Date>
    <End_Date>2026-09-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>NORMAL</Scheme_Plan>
    <RED_AMT_MIN>0.001</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
    <LOC_Flag>N</LOC_Flag>
    <LOC_PER>0</LOC_PER>
    <CHA_PAT_Cod>123FLRG</CHA_PAT_Cod>
  </BSEFundMast>
  <BSEFundMast>
    <Unique_No>52543</Unique_No>
    <SCHEME_CODE>QTFLGP-GR</SCHEME_CODE>
    <RTA_x0020_Code>FLGP</RTA_x0020_Code>
    <AMC_SCHEME_CODE>154515</AMC_SCHEME_CODE>
    <ISIN>INF082J01507</ISIN>
    <AMC_CODE1>QUANTUMMUTUALFUND_MF</AMC_CODE1>
    <SCHEME_NAME>QUANTUM FLEXI CAP FUND - DIRECT PLAN - GROWTH</SCHEME_NAME>
    <PUR_TXNMODE>DP</PUR_TXNMODE>
    <PUR_AMT_MIN>500</PUR_AMT_MIN>
    <Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>500</Additonal_x0020_Pur_x0023__x0020_Amt_x0023_>
    <PUR_AMT_MAX>0</PUR_AMT_MAX>
    <PUR_ALLOWED>Y</PUR_ALLOWED>
    <PUR_CUTOFF>1900-01-01T15:00:00+05:30</PUR_CUTOFF>
    <RED_TXNMODE>DP</RED_TXNMODE>
    <RED_QTY_MIN>0.001</RED_QTY_MIN>
    <RED_QTY_MULTIPLE>0.001</RED_QTY_MULTIPLE>
    <RED_QTY_MAX>0</RED_QTY_MAX>
    <RED_ALLOWED>N</RED_ALLOWED>
    <RED_CUTOFF>1900-01-01T15:00:00+05:30</RED_CUTOFF>
    <RTAAGENTCODE>KARVY</RTAAGENTCODE>
    <AMC_ACTIVE>1</AMC_ACTIVE>
    <DIVIDEND_FLAG>Z</DIVIDEND_FLAG>
    <SCHEMETYPE>EQUITY</SCHEMETYPE>
    <SIP_FLAG>Y</SIP_FLAG>
    <SWP>N</SWP>
    <STP>N</STP>
    <TAT>MF</TAT>
    <PUR_AMT_MULTIPLE>1</PUR_AMT_MULTIPLE>
    <Start_Date>2026-08-21T00:00:00+05:30</Start_Date>
    <End_Date>2026-09-04T00:00:00+05:30</End_Date>
    <Scheme_Plan>DIRECT</Scheme_Plan>
    <RED_AMT_MIN>0.001</RED_AMT_MIN>
    <RED_AMT_MAX>0</RED_AMT_MAX>
    <RED_AMT_MUL>0.01</RED_AMT_MUL>
    <SWITCH_Flag>Y</SWITCH_Flag>
    <AMC_IND />
    <Face_Value>10</Face_Value>
    <Exit_Load_Flag>N</Exit_Load_Flag>
    <Exit_Load>0</Exit_Load>
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