Scheme All Holdings

Company Sector Name Asset Credit Rating Quantity Holdings (%)
TREPS Debt Others Reverse Repo UR / N.A. 0 5.44
Trent Ltd Retailing Equity 91,311 3.07
Persistent Systems Ltd IT - Software Equity 89,793 3.01
Prestige Estates Projects Ltd Realty Equity 3,40,396 2.97
Indian Hotels Co Ltd Leisure Services Equity 5,65,005 2.59
Dixon Technologies (India) Ltd Consumer Durables Equity 28,177 2.46
PB Fintech Ltd Financial Technology (Fintech) Equity 2,24,967 2.36
Solar Industries India Ltd Chemicals & Petrochemicals Equity 24,164 2.32
Coromandel International Ltd Fertilizers & Agrochemicals Equity 1,61,245 2.20
CG Power & Industrial Solutions Ltd Electrical Equipment Equity 5,24,272 2.14
Max Healthcare Institute Ltd Healthcare Services Equity 3,11,639 2.09
Uno Minda Ltd Auto Components Equity 3,45,859 2.07
Apar Industries Ltd Electrical Equipment Equity 41,305 2.00
Federal Bank Ltd Banks Equity 16,01,186 1.93
GE Vernova T&D India Ltd Electrical Equipment Equity 1,42,189 1.90
Cummins India Ltd Industrial Products Equity 96,623 1.88
Bharti Hexacom Ltd Telecom - Services Equity 1,68,809 1.84
J K Cements Ltd Cement & Cement Products Equity 54,882 1.80
APL Apollo Tubes Ltd Industrial Products Equity 1,64,893 1.78
BSE Ltd Capital Markets Equity 1,06,581 1.70
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