Scheme All Holdings

Company Sector Name Asset Credit Rating Quantity Holdings (%)
Uno Minda Ltd Auto Components Equity 1,05,773 3.94
Shakti Pumps (India) Ltd Industrial Products Equity 1,43,945 3.02
Federal Bank Ltd Banks Equity 3,59,305 2.78
TREPS Debt Others Reverse Repo UR / N.A. 0 2.40
Persistent Systems Ltd IT - Software Equity 11,637 2.11
SRF Ltd Chemicals & Petrochemicals Equity 22,981 2.04
One 97 Communications Ltd Financial Technology (Fintech) Equity 53,968 2.03
Mahindra & Mahindra Financial Services Ltd Finance Equity 1,73,306 2.02
Allied Blenders & Distillers Ltd Beverages Equity 1,13,454 2.01
Trent Ltd Retailing Equity 16,206 2.01
Bharat Electronics Ltd Aerospace & Defense Equity 1,73,129 2.00
Indian Hotels Co Ltd Leisure Services Equity 92,766 1.98
P I Industries Ltd Fertilizers & Agrochemicals Equity 20,794 1.95
KPIT Technologies Ltd IT - Software Equity 54,930 1.86
Schaeffler India Ltd Auto Components Equity 16,173 1.82
Metro Brands Ltd Consumer Durables Equity 51,741 1.81
Coromandel International Ltd Fertilizers & Agrochemicals Equity 27,538 1.81
APL Apollo Tubes Ltd Industrial Products Equity 32,409 1.80
Nippon Life India Asset Management Ltd Capital Markets Equity 70,475 1.79
Prestige Estates Projects Ltd Realty Equity 37,678 1.74
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