Mutual Funds - Stock Holdings
AMC:
Scheme:
Stock
Jan 2025
Feb 2025
Mar 2025
Apr 2025
May 2025
Jun 2025
Jul 2025
Aug 2025
Sep 2025
Oct 2025
Nov 2025
Dec 2025
Decreased Allocation
7,37,761
7,43,805
8,12,256
8,03,272
7,84,170
7,89,288
7,74,010
7,70,235
8,32,328
8,12,508
7,93,093
7,62,283
Increased Allocation
7,72,172
7,78,491
7,77,117
7,68,522
7,50,247
7,03,106
6,89,495
6,86,132
6,60,317
6,45,371
6,29,191
6,36,376
Decreased Allocation
87,551
88,267
88,046
87,072
84,996
79,628
78,085
77,702
3,73,241
3,64,354
3,55,647
3,49,427
Decreased Allocation
1,88,020
1,89,560
1,87,820
1,85,742
1,81,310
1,69,866
1,66,576
1,65,764
1,59,244
1,55,452
1,51,738
1,48,741
Decreased Allocation
2,19,989
2,21,790
1,92,350
1,90,223
1,85,694
1,67,186
1,63,950
1,63,149
1,72,047
1,67,949
1,63,937
1,46,327
Decreased Allocation
1,49,195
1,50,417
1,50,053
1,48,394
1,44,854
1,35,597
1,32,970
1,32,322
1,28,478
1,25,417
1,22,422
1,21,214
Decreased Allocation
98,614
99,422
99,122
98,025
95,696
89,384
87,654
87,227
84,041
82,040
80,080
79,069
Decreased Allocation
98,883
99,693
99,274
98,176
95,838
89,770
88,033
87,604
84,160
82,156
80,193
78,606
Decreased Allocation
97,919
98,720
98,230
97,143
94,830
88,840
87,116
86,690
83,293
81,310
79,367
77,798
Decreased Allocation
82,661
83,337
83,130
82,210
80,252
75,182
73,728
73,367
70,490
68,811
67,167
65,868
Decreased Allocation
39,891
40,219
40,107
39,663
38,720
36,271
35,567
70,786
67,993
66,374
64,788
63,507
Decreased Allocation
72,453
73,045
72,841
72,035
70,319
65,881
64,605
64,289
61,762
60,291
58,851
57,671
Decreased Allocation
71,370
71,956
71,762
70,968
69,280
64,901
63,645
63,335
60,833
59,384
57,965
56,821
Decreased Allocation
50,376
50,789
50,597
50,037
48,849
45,765
44,878
44,660
42,884
41,861
40,862
40,051
Decreased Allocation
46,084
46,461
46,134
45,624
44,541
41,729
40,919
40,720
39,133
38,201
37,288
36,558
Decreased Allocation
41,919
42,261
53,571
52,978
51,716
40,701
39,913
39,720
38,147
37,239
36,348
35,640
Decreased Allocation
8,712
8,783
8,682
8,586
41,907
39,268
38,505
38,318
36,860
35,981
35,122
34,413
Decreased Allocation
32,847
33,118
33,032
32,666
31,889
29,874
29,295
29,152
28,007
27,341
26,687
26,161
Decreased Allocation
28,156
28,386
28,221
27,908
27,246
25,533
25,037
24,915
23,908
23,339
22,781
22,339
Decreased Allocation
26,123
26,335
26,271
25,981
25,365
23,758
23,298
23,183
22,259
21,728
21,210
20,797
Increased Allocation
21,848
22,028
21,945
21,703
21,190
19,852
19,469
19,374
20,717
20,222
19,740
20,025
Decreased Allocation
24,734
24,935
24,859
24,584
24,000
22,483
22,049
21,942
21,049
20,548
20,057
19,652
Decreased Allocation
16,473
16,608
16,453
16,271
15,888
14,886
14,600
14,529
13,958
13,624
13,300
13,043
Decreased Allocation
15,326
15,451
15,373
15,203
14,841
13,914
13,644
13,577
13,049
12,739
12,434
12,192
Decreased Allocation
14,657
14,778
14,681
14,518
14,174
13,276
13,020
12,956
12,444
12,147
11,857
11,623
Decreased Allocation
14,438
14,558
14,520
14,360
14,022
13,135
12,880
12,817
12,309
12,016
11,729
11,496
Decreased Allocation
13,126
13,234
13,193
13,047
12,740
11,932
11,702
11,645
11,184
10,915
10,656
10,447
Decreased Allocation
12,361
12,461
12,405
12,268
11,977
11,208
10,990
10,936
10,511
10,259
10,016
9,820
Decreased Allocation
11,275
11,369
11,301
11,176
10,912
10,220
10,021
9,973
9,581
9,353
9,129
9,117
Decreased Allocation
0
0
0
0
0
0
0
0
3,887
3,795
3,704
3,643
14,740
14,862
14,738
14,575
14,233
13,325
13,069
13,005
0
0
0
0
73,776
0
0
0
0
0
0
0
0
0
0
0