Mutual Funds Holdings
AMC:
Scheme:
Stock
Oct 2024
Nov 2024
Dec 2024
Jan 2025
Feb 2025
Mar 2025
Apr 2025
May 2025
Jun 2025
Jul 2025
Aug 2025
Sep 2025
Decreased Allocation
3,04,654
3,79,909
4,95,859
5,72,047
6,39,848
7,24,173
7,77,351
7,91,516
7,94,298
8,08,394
8,23,590
7,97,525
Decreased Allocation
3,37,725
4,21,149
4,11,399
4,74,610
5,30,862
6,00,824
6,44,944
6,56,696
7,68,289
7,81,924
7,96,622
7,71,411
Decreased Allocation
3,79,290
4,72,981
5,44,778
6,28,482
7,02,972
7,95,615
8,54,040
8,69,602
7,59,959
7,73,446
7,87,984
7,63,047
Decreased Allocation
0
0
3,94,077
4,54,626
5,08,510
5,75,525
6,17,788
6,29,046
5,66,465
5,76,518
5,87,356
5,68,767
Decreased Allocation
93,016
1,15,992
1,29,652
2,99,147
3,34,602
3,78,699
4,06,508
4,13,915
4,11,154
4,18,451
4,26,316
4,12,825
Decreased Allocation
0
0
0
0
0
0
0
0
2,93,709
2,98,922
3,04,541
2,94,903
Decreased Allocation
56,832
70,871
91,268
1,05,291
1,17,770
1,33,291
1,43,079
1,45,686
1,33,038
1,35,399
2,75,889
2,67,158
Decreased Allocation
1,23,315
1,53,776
1,65,027
1,90,382
2,12,947
2,41,011
2,58,710
2,63,424
2,51,476
2,55,939
2,60,750
2,52,498
Decreased Allocation
92,713
1,15,615
1,02,871
1,18,678
1,32,743
1,50,237
1,61,270
1,64,209
1,98,079
2,01,594
2,05,383
1,98,884
Decreased Allocation
67,765
84,504
1,20,666
1,39,206
1,55,705
1,76,225
1,89,166
1,92,613
1,97,745
2,01,254
2,05,037
1,98,548
Decreased Allocation
98,732
1,23,120
1,03,231
1,19,092
1,33,208
1,50,763
1,61,834
1,64,783
1,86,289
1,89,595
1,93,159
1,87,046
Decreased Allocation
58,778
73,297
84,114
97,038
1,08,539
1,22,843
1,31,864
1,34,267
1,40,377
1,42,868
1,45,554
1,40,948
Decreased Allocation
48,485
60,462
72,376
83,497
93,392
1,05,700
1,13,462
1,15,530
1,16,030
1,18,089
1,20,309
1,16,502
Increased Allocation
23,854
29,746
33,686
38,862
43,468
49,197
52,809
53,772
54,357
55,321
56,361
1,09,155
Decreased Allocation
39,864
49,711
63,852
73,664
82,394
93,253
1,00,100
1,01,924
1,08,560
1,10,487
1,12,563
1,09,001
Decreased Allocation
0
0
54,786
63,204
70,695
80,012
85,887
87,452
93,256
94,911
96,695
93,635
Decreased Allocation
37,244
46,444
47,065
54,296
60,731
68,735
73,782
75,127
92,858
94,506
96,282
93,235
Decreased Allocation
38,892
48,499
51,900
59,874
66,971
75,797
81,363
82,846
87,614
89,169
90,845
87,970
Decreased Allocation
0
0
30,050
34,667
38,776
43,886
47,109
47,967
49,361
50,237
51,181
49,561
Decreased Allocation
23,170
28,893
34,247
39,510
44,192
50,016
53,689
54,667
48,476
49,336
50,264
48,673
Decreased Allocation
21,420
26,711
30,431
35,106
39,268
44,443
47,706
48,576
46,804
47,634
48,530
46,994
Decreased Allocation
16,491
20,564
25,434
29,341
32,819
37,144
39,872
40,599
41,424
42,159
42,952
41,592
Decreased Allocation
18,033
22,487
24,863
28,683
32,083
36,311
38,977
39,687
36,051
36,691
37,380
36,197
Decreased Allocation
18,851
23,508
18,652
21,518
24,069
27,241
29,241
29,774
31,199
31,753
32,350
31,326
Decreased Allocation
15,387
19,188
18,659
21,526
24,078
27,251
29,252
29,785
29,454
29,976
30,540
29,573
Decreased Allocation
12,050
15,027
17,448
20,129
22,514
25,481
27,352
27,851
29,081
29,598
30,154
29,200
Decreased Allocation
0
0
12,704
14,656
16,393
18,553
19,916
20,279
21,887
22,275
22,694
21,976
Decreased Allocation
0
0
12,507
14,429
16,139
18,266
19,607
19,964
21,188
21,564
21,970
21,274
5,968
7,442
7,134
8,230
9,206
10,419
11,184
11,388
13,495
13,734
13,993
13,550
Decreased Allocation
1,781
2,221
2,136
2,464
2,757
3,120
3,349
3,410
3,414
3,475
3,540
3,428
8,844
11,028
0
0
0
0
0
0
0
0
0
0
1,06,582
1,32,909
1,41,175
1,62,866
1,82,169
2,06,177
2,21,318
2,25,350
0
0
0
0
16,639
20,749
0
0
0
0
0
0
0
0
0
0
0
0
0
42,278
0
0
0
0
0
0
0
0
36,526
45,548
0
0
0
0
0
0
0
0
0
0
77,504
96,648
0
0
0
0
0
0
0
0
0
0
70,525
87,946
0
0
0
0
0
0
0
0
0
0