Name and exposure to top 7 group as a percentage of NAV of the scheme

 

As on October 31, 2024

  Groups Market Value as % of Net Asset
1 HDFC 12.64%
2 TATA 9.70%
3 ICICI 8.24%
4 Reliance 8.23%
5 Infosys 5.74%
6 ITC 4.13%
7 BHARTI 3.93%

As on September 30, 2024

  Groups Market Value as % of Net Asset
1 HDFC 11.97%
2 TATA 8.79%
3 Reliance 8.66%
4 ICICI 7.77%
5 Infosys 5.88%
6 LT 4.23%
7 ITC 4.15%

As on August 31, 2024

  Groups Market Value as % of Net Asset
1 HDFC 11.54%
2 Reliance 9.00%
3 TATA 8.89%
4 ICICI 7.61%
5 Infosys 6.18%
6 LT 4.31%
7 ITC 4.07%

As on July 31, 2024

  Groups Market Value as % of Net Asset
1 HDFC 11.66%
2 Reliance 9.19%
3 TATA 9.06%
4 ICICI 7.71%
5 Infosys 6.08%
6 LT 4.50%
7 SBI 3.73%

As on June 30, 2024

  Groups Market Value as % of Net Asset
1 HDFC 12.22%
2 Reliance 9.74%
3 TATA 8.51%
4 ICICI 7.74%
5 Infosys 5.14%
6 LT 4.31%
7 SBI 3.61%

As on May 31, 2024

  Groups Market Value as % of Net Asset
1 HDFC 12.08%
2 Reliance 9.95%
3 TATA 9.22%
4 ICICI 8.09%
5 Infosys 5.08%
6 LT 4.69%
7 SBI 3.87%

As on April 30, 2024

  Groups Market Value as % of Net Asset
1 HDFC 12.08%
2 Reliance 9.95%
3 TATA 9.22%
4 ICICI 8.09%
5 Infosys 5.08%
6 LT 4.69%
7 ITC 3.87%

As on March 31, 2024

  Groups Market Value as % of Net Asset
1 HDFC 11.74%
2 Reliance 10.22%
3 TATA 9.39%
4 ICICI 7.79%
5 Infosys 5.44%
6 LT 4.52%
7 BAJAJ 4.02%

As on February 29, 2024

  Groups Market Value as % of Net Asset
1 HDFC 11.52%
2 Reliance 10.21%
3 TATA 9.54%
4 ICICI 7.61%
5 Infosys 6.17%
6 LT 4.26%
7 ITC 3.71%

As on January 31, 2024

  Groups Market Value as % of Net Asset
1 HDFC 12.14%
2 Reliance 10.03%
3 TATA 9.08%
4 ICICI 7.48%
5 Infosys 6.16%
6 LT 4.31%
7 ITC 4.06%

As on December 31, 2023

  Groups Market Value as % of Net Asset
1 HDFC 14.17%
2 Reliance 9.18%
3 TATA 9.01%
4 ICICI 7.31%
5 Infosys 5.79%
6 LT 4.47%
7 ITC 4.28%

As on November 30, 2023

  Groups Market Value as % of Net Asset
1 HDFC 13.96%
2 Reliance 9.04%
3 TATA 8.85%
4 ICICI 7.34%
5 Infosys 5.87%
6 ITC 4.33%
7 LT 4.22%