Mutual Funds Holdings
AMC:
Scheme:
Stock
Oct 2024
Nov 2024
Dec 2024
Jan 2025
Feb 2025
Mar 2025
Apr 2025
May 2025
Jun 2025
Decreased Allocation
8,088
10,458
11,646
15,615
19,261
21,785
23,452
24,453
24,356
Decreased Allocation
7,205
9,317
10,379
13,916
17,166
19,352
20,833
21,722
21,634
Decreased Allocation
6,595
8,528
9,525
12,771
15,754
17,804
19,166
19,984
19,947
Increased Allocation
6,125
7,921
8,838
11,850
14,618
16,519
17,783
18,542
18,647
Decreased Allocation
0
0
0
0
0
16,259
17,503
18,250
18,184
Decreased Allocation
5,896
7,625
8,503
11,401
14,063
15,857
17,070
17,798
17,725
Decreased Allocation
4,117
5,324
5,931
7,952
9,809
11,097
11,946
12,456
12,405
3,939
5,093
5,674
7,607
9,384
10,607
11,419
11,906
11,854
Decreased Allocation
3,373
4,361
4,858
6,514
8,035
9,090
9,786
10,203
10,162
Decreased Allocation
3,345
4,325
4,820
6,463
7,972
8,991
9,680
10,092
10,052
Decreased Allocation
3,129
4,046
4,512
6,049
7,462
8,425
9,070
9,456
9,424
Decreased Allocation
3,109
4,021
4,479
6,006
7,409
8,382
9,023
9,408
9,370
Decreased Allocation
0
0
0
0
0
7,666
8,253
8,605
8,573
Decreased Allocation
2,478
3,204
3,572
4,789
5,908
6,687
7,200
7,506
7,487
1,229
1,589
3,546
4,755
5,866
6,647
7,156
7,461
7,461
Increased Allocation
2,330
3,013
3,359
4,504
5,556
6,278
6,759
7,047
7,130
Increased Allocation
243
314
350
470
579
612
659
686
6,951
Decreased Allocation
1,972
2,550
2,841
3,809
4,698
5,315
5,723
5,966
5,943
Decreased Allocation
1,845
2,386
2,625
3,520
4,342
4,884
5,258
5,482
5,461
Decreased Allocation
1,276
1,650
1,839
2,466
3,042
3,441
3,705
3,862
3,847
Decreased Allocation
1,265
1,635
1,820
2,441
3,011
3,388
3,648
3,803
3,789
Decreased Allocation
243
314
350
2,347
2,895
3,275
3,527
3,676
3,662
Decreased Allocation
1,023
1,323
1,474
1,977
2,438
2,747
2,958
3,083
3,072
Decreased Allocation
938
1,213
1,352
1,812
2,236
2,523
2,717
2,832
2,821
Decreased Allocation
927
1,199
1,338
1,795
2,214
2,505
2,698
2,812
2,804
Decreased Allocation
918
1,187
1,326
1,777
2,193
2,482
2,673
2,786
2,772
Decreased Allocation
888
1,149
1,280
1,716
2,117
2,390
2,574
2,682
2,672
Decreased Allocation
833
1,078
1,202
1,611
1,988
2,220
2,391
2,492
2,483
Decreased Allocation
774
1,001
1,112
1,491
1,839
2,077
2,236
2,331
2,322
Decreased Allocation
774
1,001
1,109
1,486
1,834
2,073
2,233
2,327
2,312
Decreased Allocation
640
828
923
1,237
1,526
1,727
1,860
1,938
1,931
Decreased Allocation
574
742
827
1,109
1,368
1,541
1,660
1,729
1,723
Decreased Allocation
565
731
814
1,092
1,347
1,524
1,641
1,710
1,704
Decreased Allocation
551
713
795
1,066
1,315
1,484
1,598
1,666
1,660
Decreased Allocation
530
685
763
1,024
1,263
1,427
1,537
1,602
1,593
Decreased Allocation
477
617
688
923
1,138
1,316
1,418
1,477
1,472
Decreased Allocation
474
614
685
918
1,133
1,273
1,371
1,429
1,421
Decreased Allocation
393
508
566
759
936
1,058
1,140
1,188
1,184
Decreased Allocation
388
502
560
751
927
1,048
1,130
1,177
1,173
Decreased Allocation
359
465
518
694
857
965
1,040
1,083
1,080
Decreased Allocation
323
418
465
624
769
898
967
1,008
1,000
Decreased Allocation
311
402
448
601
741
839
904
941
938
Decreased Allocation
204
264
311
418
515
609
657
684
682
Decreased Allocation
193
249
278
372
460
520
560
583
582
Decreased Allocation
119
154
172
231
285
321
347
361
360
114
147
164
221
272
307
331
344
344
Decreased Allocation
112
145
162
217
268
303
328
341
340
Increased Allocation
99
128
142
191
236
272
294
305
310
Decreased Allocation
96
124
139
186
229
259
280
291
290
88
113
126
170
209
236
255
265
265
1,683
2,176
2,424
3,250
4,009
0
0
0
0
102
132
147
197
244
0
0
0
0
0
0
0
1,561
0
0
0
0
0