Asset Allocation for Axis Conservative Hybrid Fund - Regular Plan - Growth Fund Growth
Top 10 Holdings of Axis Conservative Hybrid Fund - Regular Plan - Growth
56.52 % of total assets
Detailed Portfolio of Axis Conservative Hybrid Fund - Regular Plan - Growth
Portfolio Date -30 Apr 2025
Equity Holdings -32
Debt Holdings -23
Other Holdings -4
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Equity Holdings
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Debt Holdings
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Other Holdings
Holdings | % Weight | Value | Sahi Hai/Nahi |
---|---|---|---|
2.17% | 5.963 Cr | ||
1.85% | 5.075 Cr | ||
1.65% | 4.536 Cr | ||
1.45% | 3.975 Cr | ||
1.37% | 3.759 Cr | ||
1.10% | 3.025 Cr | ||
0.91% | 2.492 Cr | ||
0.77% | 2.128 Cr | ||
0.67% | 1.839 Cr | ||
0.67% | 1.835 Cr | ||
0.66% | 1.823 Cr | ||
0.62% | 1.707 Cr | ||
0.59% | 1.628 Cr | ||
0.59% | 1.624 Cr | ||
0.57% | 1.568 Cr | ||
0.56% | 1.536 Cr | ||
0.54% | 1.485 Cr | ||
0.51% | 1.408 Cr | ||
0.48% | 1.318 Cr | ||
0.47% | 1.279 Cr | ||
0.46% | 1.266 Cr | ||
0.46% | 1.259 Cr | ||
0.44% | 1.201 Cr | ||
0.39% | 1.074 Cr | ||
0.33% | 0.900 Cr | ||
0.29% | 0.787 Cr | ||
0.28% | 0.769 Cr | ||
0.25% | 0.674 Cr | ||
0.17% | 0.468 Cr | ||
0.12% | 0.321 Cr | ||
0.07% | 0.186 Cr | ||
0.04% | 0.106 Cr |
Holdings | % Weight | Value | Sahi Hai/Nahi |
---|---|---|---|
11.24% | 30.906 Cr | ||
9.75% | 26.800 Cr | ||
5.77% | 15.870 Cr | ||
5.70% | 15.659 Cr | ||
5.69% | 15.632 Cr | ||
3.82% | 10.494 Cr | ||
3.72% | 10.234 Cr | ||
3.71% | 10.197 Cr | ||
3.66% | 10.055 Cr | ||
3.47% | 9.547 Cr | ||
1.83% | 5.040 Cr | ||
1.83% | 5.022 Cr | - | |
1.83% | 5.019 Cr | ||
1.82% | 5.013 Cr | ||
1.82% | 5.002 Cr | ||
1.81% | 4.982 Cr | ||
1.81% | 4.969 Cr | ||
1.80% | 4.955 Cr | ||
1.46% | 4.010 Cr | ||
1.17% | 3.211 Cr | ||
1.12% | 3.082 Cr | ||
0.63% | 1.717 Cr | ||
0.07% | 0.197 Cr |
Holdings | % Weight | Value | Sahi Hai/Nahi |
---|---|---|---|
1.55% | 4.264 Cr | - | |
1.08% | 2.973 Cr | - | |
0.44% | 1.215 Cr | ||
-0.06% | -0.159 Cr | - |