Asset Allocation for Groww Aggressive Hybrid Fund-regular Plan - Growth Fund Growth
Top 10 Holdings of Groww Aggressive Hybrid Fund-regular Plan - Growth
60.93 % of total assets
Detailed Portfolio of Groww Aggressive Hybrid Fund-regular Plan - Growth
Portfolio Date -31 Mar 2025
Equity Holdings -34
Debt Holdings -3
Other Holdings -3
-
Equity Holdings
-
Debt Holdings
-
Other Holdings
Holdings | % Weight | Value | Sahi Hai/Nahi |
---|---|---|---|
9.18% | 4.097 Cr | ||
7.40% | 3.301 Cr | ||
5.70% | 2.542 Cr | ||
3.01% | 1.344 Cr | ||
2.83% | 1.264 Cr | ||
2.76% | 1.231 Cr | ||
2.74% | 1.225 Cr | ||
2.58% | 1.150 Cr | ||
2.51% | 1.119 Cr | ||
2.50% | 1.115 Cr | ||
2.30% | 1.026 Cr | ||
2.21% | 0.985 Cr | ||
2.12% | 0.946 Cr | ||
2.12% | 0.944 Cr | ||
2.11% | 0.944 Cr | ||
2.09% | 0.933 Cr | ||
1.80% | 0.802 Cr | ||
1.46% | 0.651 Cr | ||
1.17% | 0.522 Cr | ||
1.17% | 0.521 Cr | ||
1.12% | 0.502 Cr | ||
1.00% | 0.446 Cr | ||
0.99% | 0.441 Cr | ||
0.98% | 0.435 Cr | ||
0.97% | 0.435 Cr | ||
0.91% | 0.406 Cr | ||
0.89% | 0.395 Cr | ||
0.78% | 0.348 Cr | ||
0.77% | 0.342 Cr | ||
0.68% | 0.301 Cr | ||
0.58% | 0.257 Cr | ||
0.54% | 0.243 Cr | ||
0.52% | 0.230 Cr | ||
0.52% | 0.230 Cr |
Holdings | % Weight | Value | Sahi Hai/Nahi |
---|---|---|---|
11.79% | 5.263 Cr | ||
11.44% | 5.106 Cr | ||
1.12% | 0.501 Cr |
Holdings | % Weight | Value | Sahi Hai/Nahi |
---|---|---|---|
4.07% | 1.816 Cr | - | |
1.65% | 0.735 Cr | - | |
-1.05% | -0.469 Cr |