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
2,05,815
2,12,385
2,29,292
2,32,081
2,63,678
2,64,808
2,71,984
5,47,184
5,10,627
5,28,037
5,32,399
4,58,971
Decreased Allocation
2,51,802
2,59,837
2,80,302
2,83,711
3,22,339
3,23,451
3,32,217
3,34,179
3,24,789
3,35,863
3,38,637
2,90,840
Decreased Allocation
2,24,107
2,31,257
2,49,420
2,52,454
2,86,826
2,87,777
2,95,574
2,97,321
2,77,459
2,86,920
2,89,288
2,48,407
Decreased Allocation
1,91,906
1,98,030
2,15,463
2,18,082
2,47,775
2,49,078
2,55,828
2,57,339
2,40,442
2,48,641
2,50,694
2,15,455
Decreased Allocation
1,84,637
1,90,529
2,10,342
2,12,901
2,41,886
2,42,690
2,49,267
2,50,739
2,33,990
2,41,969
2,43,966
2,09,489
Decreased Allocation
1,84,044
1,89,918
2,04,831
2,07,323
2,35,551
2,36,332
2,42,736
2,44,171
2,27,860
2,35,630
2,37,575
2,04,002
Decreased Allocation
1,29,241
1,33,365
1,43,837
1,45,586
1,65,407
1,65,957
1,70,455
1,71,459
1,60,008
1,65,464
1,66,828
1,43,254
1,23,961
1,27,918
1,37,963
1,39,639
1,58,652
1,59,179
1,63,493
1,64,457
1,53,472
1,58,705
1,60,015
1,37,402
Decreased Allocation
1,04,383
1,07,714
1,16,174
1,17,587
1,33,597
1,34,040
1,37,673
1,49,893
1,39,884
1,44,654
1,45,846
1,25,237
Decreased Allocation
0
0
0
0
0
1,25,105
1,28,495
1,29,255
1,20,620
1,24,733
1,25,763
1,07,990
Decreased Allocation
98,257
1,01,392
1,08,102
1,09,416
1,24,312
1,24,776
1,28,158
1,28,914
1,20,316
1,24,420
1,25,447
1,07,720
Decreased Allocation
77,431
79,902
86,234
87,282
99,167
99,610
1,02,308
1,02,914
96,116
99,393
1,00,215
86,085
Decreased Allocation
72,800
75,124
81,130
82,117
93,296
91,615
94,097
94,653
92,173
95,315
96,101
84,240
Decreased Allocation
7,577
7,817
7,881
7,978
9,065
91,163
93,633
94,186
87,894
90,892
91,642
78,796
Decreased Allocation
40,018
41,297
44,539
45,082
51,220
51,390
52,783
53,095
49,555
51,245
51,668
44,369
Decreased Allocation
31,793
32,806
35,386
35,816
40,692
40,831
41,940
42,185
39,373
40,713
41,053
35,253
Decreased Allocation
28,788
29,706
32,038
32,428
36,841
36,965
37,968
38,191
35,641
36,856
37,160
31,909
Decreased Allocation
29,371
30,307
32,685
33,084
37,589
36,873
37,873
38,097
35,551
36,764
37,067
31,828
Decreased Allocation
27,556
28,436
30,668
31,043
35,270
35,385
36,344
36,558
34,115
35,278
35,570
30,544
Decreased Allocation
24,014
24,782
26,727
27,053
30,736
30,839
31,675
31,863
29,733
30,749
31,000
26,995
Decreased Allocation
24,286
25,061
27,029
27,358
31,084
31,185
32,028
32,219
30,068
31,095
31,348
26,919
Decreased Allocation
19,976
20,614
22,234
22,503
25,565
25,652
26,348
26,504
24,734
25,579
25,787
22,144
Decreased Allocation
17,298
17,849
19,260
19,496
22,151
22,227
22,830
22,964
21,435
22,165
22,349
19,198
Decreased Allocation
14,767
15,237
16,434
16,634
18,896
18,975
19,488
19,604
19,372
20,033
20,196
17,342
Decreased Allocation
12,263
12,655
13,648
13,814
15,697
15,747
16,174
16,271
15,182
15,699
15,829
13,592
Decreased Allocation
11,350
11,713
12,364
12,514
14,218
14,264
14,652
14,737
13,752
14,221
14,339
12,312
0
0
0
0
0
0
0
0
0
0
0
6,760
Decreased Allocation
0
0
0
0
0
7,698
7,907
7,952
7,423
7,678
7,739
6,644
Decreased Allocation
3,592
3,709
3,998
4,047
4,598
4,612
4,736
4,765
4,446
4,599
4,636
3,981
Decreased Allocation
3,062
3,158
3,479
3,519
4,001
4,118
4,230
4,252
3,969
4,105
4,139
3,554
18,008
18,582
19,811
20,051
22,778
0
0
0
0
0
0
0
57,071
58,893
63,520
64,292
73,047
73,292
75,280
75,721
70,671
73,081
73,685
0
0
0
0
0
0
0
0
0
0
68,368
0
0
9,705
10,013
10,799
10,929
12,416
0
0
0
0
0
0
0
25,137
0
0
0
0
0
0
0
0
0
0
0