Scheme All Holdings

Company Sector Name Asset Credit Rating Quantity Holdings (%)
ITC Ltd Diversified FMCG Equity 62,10,000 9.37
Eternal Ltd Retailing Equity 75,60,000 7.87
Titan Company Ltd Consumer Durables Equity 4,50,000 6.83
Radico Khaitan Ltd Beverages Equity 5,06,000 6.25
Net CA & Others Debt Others Net CA & Others Net CA & O 0 5.36
Nestle India Ltd Food Products Equity 10,44,000 5.03
Cartrade Tech Ltd Retailing Equity 4,59,888 4.87
Tata Consumer Products Ltd Agricultural Food & other Products Equity 9,61,000 4.29
Bikaji Foods International Ltd Food Products Equity 13,05,000 3.66
DOMS Industries Ltd Household Products Equity 3,19,057 3.12
BSE Ltd Capital Markets Equity 3,15,000 3.10
LG Electronics India Ltd Consumer Durables Equity 5,37,000 3.06
Bajaj Auto Ltd Automobiles Equity 81,000 2.83
Multi Commodity Exchange of India Ltd Capital Markets Equity 63,000 2.63
Trent Ltd Retailing Equity 1,53,000 2.45
United Spirits Ltd Beverages Equity 4,05,000 2.19
Metro Brands Ltd Consumer Durables Equity 4,56,797 2.06
HDFC Asset Management Company Ltd Capital Markets Equity 1,98,000 1.98
Varun Beverages Ltd Beverages Equity 10,80,000 1.98
Blue Star Ltd Consumer Durables Equity 2,79,000 1.81
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