Groww Aggressive Hybrid Fund-regular Plan - Monthly Idcw Reinvestment

Hybrid Generate Income and create wealth
Aggressive Hybrid Fund
Category Rank
Groww Aggressive Hybrid Fund-regular Plan - Monthly Idcw Reinvestment
Rating
Fund
Time to Invest
Groww Aggressive Hybrid Fund-regular Plan - Monthly Idcw Reinvestment
NAV
15.562
(02/06/2023)
L 52Wk H
13.17
15.62
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Groww Aggressive Hybrid Fund-regular Plan - Monthly Idcw Reinvestment

Hybrid
Aggressive Hybrid Fund
Generate Income and create wealth
Rank Groww Aggressive Hybrid Fund-regular Plan - Monthly Idcw Reinvestment
Fund
NAV
15.562
(02/06/2023)
Time to Invest
Groww Aggressive Hybrid Fund-regular Plan - Monthly Idcw Reinvestment
Rating
L 52Wk H
13.17
15.62

Asset Allocation for Groww Aggressive Hybrid Fund-regular Plan - Monthly Idcw Reinvestment Fund Growth

Top 10 Holdings of Groww Aggressive Hybrid Fund-regular Plan - Monthly Idcw Reinvestment Fund Growth

68.20 % of total assets
CCILCCIL(14.89%)
182 Days Treasury Bill  07-Sep-2023182 Days Treasury Bill 07-Sep-2023(14.54%)
HDFC Bank LimitedHDFC Bank Limited(7.52%)
Reliance Industries LimitedReliance Industries Limited(7.02%)
ICICI Bank LimitedICICI Bank Limited(6.24%)
Infosys LimitedInfosys Limited(4.11%)
State Bank of IndiaState Bank of India(3.64%)
Housing Development Finance Corp LtdHousing Development Finance Corp Ltd(3.51%)
ITC LimitedITC Limited(3.49%)
Bharti Airtel LimitedBharti Airtel Limited(3.24%)

Detailed Portfolio of Groww Aggressive Hybrid Fund-regular Plan - Monthly Idcw Reinvestment Fund Growth

Portfolio Date -30 Apr 2023
Equity Holdings -32
Debt Holdings -1
Other Holdings -3
Holdings % Weight Value Sahi Hai/Nahi
HDFC Bank Limited 7.52% 2.523 Cr
Reliance Industries Limited 7.02% 2.355 Cr
ICICI Bank Limited 6.24% 2.096 Cr
Infosys Limited 4.11% 1.380 Cr
State Bank of India 3.64% 1.223 Cr
Housing Development Finance Corp Ltd 3.51% 1.180 Cr
ITC Limited 3.49% 1.170 Cr
Bharti Airtel Limited 3.24% 1.087 Cr
Axis Bank Limited 3.16% 1.060 Cr
Hindustan Unilever Limited 3.02% 1.013 Cr
Larsen & Toubro Limited 2.75% 0.922 Cr
Titan Company Limited 2.20% 0.740 Cr
Maruti Suzuki India Limited 1.98% 0.666 Cr
Kotak Mahindra Bank Limited 1.88% 0.631 Cr
Hero MotoCorp Limited 1.87% 0.627 Cr
UltraTech Cement Limited 1.69% 0.567 Cr
Tata Consultancy Services Limited 1.66% 0.557 Cr
Bajaj Finance Limited 1.50% 0.502 Cr
Cummins India Limited 1.41% 0.473 Cr
HCL Technologies Limited 1.33% 0.447 Cr
Hindalco Industries Limited 1.17% 0.393 Cr
Tata Motors Limited 1.08% 0.364 Cr
Ambuja Cements Limited 0.89% 0.297 Cr
ICICI Lombard General Insurance Company 0.79% 0.266 Cr
Sun Pharmaceutical Industries Limited 0.74% 0.247 Cr
Jubilant Foodworks Limited 0.55% 0.183 Cr
HDFC Life Insurance Company Limited 0.48% 0.160 Cr
Avenue Supermarts Limited 0.46% 0.155 Cr
Container Corporation of India Limited 0.46% 0.153 Cr
IDBI Bank Limited 0.16% 0.055 Cr
Asian Paints Limited 0.00% 0.002 Cr
Larsen & Toubro Infotech Ltd 0.00% 0.001 Cr
Holdings % Weight Value Sahi Hai/Nahi
182 Days Treasury Bill 07-Sep-2023 14.54% 4.881 Cr
Holdings % Weight Value Sahi Hai/Nahi
CCIL 14.89% 4.999 Cr -
HDFC Bank Limited 0.45% 0.150 Cr -
Net Receivable/Payable 0.15% 0.049 Cr -

Insight on the composition of the Groww Aggressive Hybrid Fund-regular Plan - Monthly Idcw Reinvestment Fund Growth

Groww Aggressive Hybrid Fund-regular Plan - Monthly Idcw Reinvestment

Style Box of the Groww Aggressive Hybrid Fund-regular Plan - Monthly Idcw Reinvestment Fund Growth

Groww Aggressive Hybrid Fund-regular Plan - Monthly Idcw Reinvestment

Portfolio Characteristics of the Groww Aggressive Hybrid Fund-regular Plan - Monthly Idcw Reinvestment Fund Growth

Groww Aggressive Hybrid Fund-regular Plan - Monthly Idcw Reinvestment