Asset Allocation for 360 One Quant Fund - Regular Plan - Growth Fund Growth
Top 10 Holdings of 360 One Quant Fund - Regular Plan - Growth
35.17 % of total assets
Detailed Portfolio of 360 One Quant Fund - Regular Plan - Growth
Portfolio Date -31 Mar 2025
Equity Holdings -35
Other Holdings -1
-
Equity Holdings
-
Debt Holdings
-
Other Holdings
Holdings | % Weight | Value | Sahi Hai/Nahi |
---|---|---|---|
4.08% | 25.770 Cr | ||
3.80% | 24.028 Cr | ||
3.78% | 23.903 Cr | ||
3.75% | 23.672 Cr | ||
3.60% | 22.736 Cr | ||
3.37% | 21.307 Cr | ||
3.35% | 21.158 Cr | ||
3.23% | 20.418 Cr | ||
3.11% | 19.634 Cr | ||
3.10% | 19.572 Cr | ||
3.09% | 19.534 Cr | ||
3.08% | 19.474 Cr | ||
3.00% | 18.940 Cr | ||
3.00% | 18.917 Cr | ||
2.92% | 18.458 Cr | ||
2.92% | 18.451 Cr | ||
2.88% | 18.171 Cr | ||
2.87% | 18.098 Cr | ||
2.85% | 17.988 Cr | ||
2.81% | 17.756 Cr | ||
2.81% | 17.735 Cr | ||
2.73% | 17.251 Cr | ||
2.68% | 16.946 Cr | ||
2.65% | 16.718 Cr | ||
2.52% | 15.947 Cr | ||
2.49% | 15.728 Cr | ||
2.43% | 15.346 Cr | ||
2.38% | 15.051 Cr | ||
2.38% | 15.008 Cr | ||
2.35% | 14.821 Cr | ||
2.26% | 14.288 Cr | ||
2.21% | 13.934 Cr | ||
2.19% | 13.828 Cr | ||
1.73% | 10.903 Cr | ||
1.08% | 6.833 Cr |
Holdings | % Weight | Value | Sahi Hai/Nahi |
---|
Holdings | % Weight | Value | Sahi Hai/Nahi |
---|---|---|---|
0.54% | 3.388 Cr | - |