Schedules to the financial statements for the year ended March 31, 2011


23.2.15. Details of investments

in Rupee Symbolcrore

Particulars

As at March 31,

2011
2010

Long-term investments

OnMobile Systems Inc., (formerly Onscan Inc.) U.S.

21,54,100 (21,54,100) common stock at US$ 0.4348 each, fully paid, par value US$ 0.001 each

4

4

Merasport Technologies Private Limited

2,420 (2,420) equity shares at Rupee Symbol8,052 each, fully paid, par value Rupee Symbol10 each

2

2

6

6

Less : Provision for investment

2

2

4

4

The details of liquid mutual fund units as at March 31, 2010 is as follows :

in Rupee Symbolcrore

Particulars

Number of units

Amount

Tata Floater Fund – Weekly Dividend

27,28,06,768

275

Kotak Floater Long Term Plan – Weekly Dividend

20,93,66,402

211

Reliance Medium Term Fund – Weekly Dividend Plan D

13,68,30,703

234

Birla Sun Life Savings Fund – Institutional – Weekly Dividend Payout

26,71,60,366

267

ICICI Prudential Flexible Income Plan Premium – Weekly Dividend Payout

2,93,92,648

310

IDFC Money Manager Fund – Treasury Plan – Super Institutional Plan C – Weekly Dividend

38,95,22,783

390

UTI Treasury Advantage Fund – Institutional Weekly Dividend Plan – Payout

38,86,168

389

HDFC Floating Rate Income Fund – Short Term Plan – Dividend Weekly

12,03,96,040

122

DWS Ultra Short Term Fund – Institutional Weekly Dividend

3,96,85,983

40

SBI – SHF – Ultra Short Term Fund – Institutional Plan – Weekly Dividend Payout

3,47,73,535

35

Franklin Templeton India Ultra Short Bond Fund Super Institutional Plan – Weekly Dividend Payout

1,09,36,513

11

DSP BlackRock Floating Rate Fund – Institutional – Weekly Dividend

99,866

10

Religare Ultra Short Term Fund – Institutional Weekly Dividend

2,25,53,650

23

153,74,11,425

2,317

At cost

1,413

At fair value

904

2,317

The balances held in certificates of deposit as at March 31, 2011 is as follows :

in Rupee Symbolcrore

Particulars

Face value Rupee Symbol

Units

Amount

State Bank of Hyderabad

1,00,000

7,500

71

Union Bank of India

1,00,000

5,000

48

12,500

119

The balances held in certificates of deposit as at March 31, 2010 is as follows :

in Rupee Symbolcrore

Particulars

Face value Rupee Symbol

Units

Amount

Punjab National Bank

1,00,000

50,000

480

Bank of Baroda

1,00,000

27,500

265

HDFC Bank

1,00,000

25,000

236

Corporation Bank

1,00,000

20,000

189

Jammu and Kashmir Bank

1,00,000

1,000

10

1,23,500

1,180

The details of investments and disposal of securities during the year ended March 31, 2011 and March 31, 2010 are as follows :

In Rupee Symbolcrore

Particulars

Year ended March 31,

2011

2010

Investment in securities

Subsidiary – Infosys Consulting

50

Subsidiary – Infosys China

42

Subsidiary – Infosys Mexico

14

18

Subsidiary – Infosys Brasil

10

28

Subsidiary – Infosys Public Services

24

Subsidiary – Infosys Shanghai

11

Certificates of deposit

840

1,180

Liquid mutual fund units

1,583

9,016

2,500

10,316

Redemption / disposal of investment in securities

Long-term investments

5

Certificates of deposit

1,901

Liquid mutual fund units

3,900

6,699

5,801

6,704

Net movement in investments

(3,301)

3,612

The details of investment purchased and sold during the year ended March 31, 2011 is as follows :

In Rupee Symbolcrore

Name of the fund

Face value Rupee Symbol

Units

Cost

Birla Sun Life Cash Plus – Institutional Premium – Daily Dividend – Reinvestment

10

17,46,98,810

175

Birla Sun Life Savings Fund – Institutional – Weekly Dividend Payout

10

9,19,03,006

92

ICICI Prudential Flexible Income Plan Premium – Weekly Dividend

100

2,84,44,817

300

ICICI Prudential Liquid Super Institutional Plan – Dividend – Daily

100

3,67,95,966

368

IDFC Money Manager Fund – Investment Plan – Institutional Plan B – Weekly Dividend

10

4,29,06,464

43

Kotak Floater Long Term – Weekly Dividend

10

33,23,89,222

335

Kotak Liquid – Institutional Premium – Daily Dividend

10

6,38,19,533

78

Tata Floater Fund – Weekly Dividend

10

8,42,88,604

85

Reliance Medium Term Fund – Weekly Dividend Plan

10

2,16,35,163

37

Birla Sun Life Short Term Fund – Institutional Fortnightly Dividend – Payout

10

6,85,47,384

70

The details of investments purchased and sold during the year ended March 31, 2010 is as follows :

In Rupee Symbolcrore

Name of the fund

Face value Rupee Symbol

Units

Cost

Birla Sun Life Short Term Fund – Institutional – Fortnightly Dividend

10

30,69,30,245

312

Birla Sun Life Savings Fund – Institutional – Weekly Dividend

10

44,96,87,618

450

DSP BlackRock Strategic Bond Fund – Institutional Plan – Monthly Dividend

1,000

4,90,830

50

DBS Chola Freedom Income – Short Term Fund – Weekly Dividend

10

8,19,67,368

86

HDFC Floating Rate Income Fund – Short-term

10

50,78,57,424

515

ICICI Prudential Floating Rate Plan D – Weekly Dividend

10

23,88,35,963

239

ICICI Prudential Flexible Income Plan Premium – Weekly Dividend

100

4,17,36,593

440

IDFC Money Manager Fund – Treasury Plan – Super Institutional Plan C

10

61,62,18,874

617

Reliance Medium Term Fund – Weekly Dividend Plan D

10

30,23,62,955

517

UTI Treasury Advantage Fund – Institutional Weekly Dividend Payout

1,000

43,48,966

435

HSBC Floating Rate Long Term – Institutional Weekly Dividend Payout

10

13,43,20,855

151

DWS Ultra Short Term Fund – Institutional Weekly Dividend

10

100,27,38,474

1,011

Religare Ultra Short Term Fund – Institutional Weekly Dividend

10

50,89,85,841

510

Principal Floating Rate Fund FMP – Institutional Option – Dividend Payout Weekly

10

11,11,37,088

111

Tata Floater Fund – Weekly Dividend

10

25,78,43,865

260

Kotak Floater Long Term Plan – Weekly Dividend

10

44,64,32,595

450

SBI – SHF – Ultra Short Term Fund – Institutional Plan – Weekly Dividend Payout

10

41,66,63,413

420

Franklin Templeton India Ultra Short Bond Fund Super Institutional Plan – Weekly Dividend Payout

10

12,37,59,926

125