Scheme All Holdings

Company Sector Name Asset Credit Rating Quantity Holdings (%)
C C I Debt Others Reverse Repo UR / N.A. 0 3.57
Krishna Institute of Medical Sciences Ltd Healthcare Services Equity 6,77,329 3.34
Navin Fluorine International Ltd Chemicals & Petrochemicals Equity 64,555 3.01
TBO Tek Ltd Leisure Services Equity 3,22,067 2.79
Sedemac Mechatronics Ltd Auto Components Equity 1,50,549 2.64
Sansera Engineering Ltd Auto Components Equity 1,31,242 2.54
Amagi Media Labs Ltd IT - Services Equity 7,29,783 2.48
J B Chemicals & Pharmaceuticals Ltd Pharmaceuticals & Biotechnology Equity 1,65,913 2.31
Sai Life Sciences Ltd Pharmaceuticals & Biotechnology Equity 3,02,242 2.26
Multi Commodity Exchange of India Ltd Capital Markets Equity 1,22,171 2.10
City Union Bank Ltd Banks Equity 15,89,998 2.01
Affle 3i Ltd IT - Services Equity 2,16,962 1.87
MTAR Technologies Ltd Electrical Equipment Equity 40,348 1.86
Vishal Mega Mart Ltd Retailing Equity 25,65,913 1.83
Clean Max Enviro Energy Solutions Ltd Power Equity 2,17,434 1.80
Triveni Turbine Ltd Electrical Equipment Equity 4,27,022 1.79
Happy Forgings Ltd Industrial Products Equity 1,90,847 1.78
Karur Vysya Bank Ltd Banks Equity 9,85,825 1.77
Aster DM Healthcare Ltd Healthcare Services Equity 3,65,881 1.74
DOMS Industries Ltd Household Products Equity 1,22,742 1.72
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