Asset Allocation for Jm Aggressive Hybrid Fund - Half Yearly Idcw Payout Option Fund Growth
Top 10 Holdings of Jm Aggressive Hybrid Fund - Half Yearly Idcw Payout Option
41.26 % of total assets
Detailed Portfolio of Jm Aggressive Hybrid Fund - Half Yearly Idcw Payout Option
Portfolio Date -30 Apr 2025
Equity Holdings -32
Debt Holdings -28
Other Holdings -2
-
Equity Holdings
-
Debt Holdings
-
Other Holdings
Holdings | % Weight | Value | Sahi Hai/Nahi |
---|---|---|---|
4.68% | 37.564 Cr | ||
4.65% | 37.290 Cr | ||
4.61% | 36.960 Cr | ||
3.83% | 30.745 Cr | ||
3.57% | 28.588 Cr | ||
3.56% | 28.556 Cr | ||
3.47% | 27.806 Cr | ||
2.86% | 22.893 Cr | ||
2.70% | 21.641 Cr | ||
2.62% | 21.001 Cr | ||
2.50% | 20.031 Cr | ||
2.48% | 19.873 Cr | ||
2.48% | 19.872 Cr | ||
2.36% | 18.908 Cr | ||
2.16% | 17.320 Cr | ||
2.12% | 17.015 Cr | ||
2.09% | 16.768 Cr | ||
2.03% | 16.297 Cr | ||
1.98% | 15.849 Cr | ||
1.84% | 14.765 Cr | ||
1.83% | 14.679 Cr | ||
1.83% | 14.671 Cr | ||
1.75% | 14.015 Cr | ||
1.72% | 13.767 Cr | ||
1.53% | 12.275 Cr | ||
1.49% | 11.937 Cr | ||
1.42% | 11.392 Cr | ||
1.14% | 9.152 Cr | ||
0.84% | 6.735 Cr | ||
0.83% | 6.667 Cr | ||
0.70% | 5.587 Cr | ||
0.54% | 4.336 Cr |
Holdings | % Weight | Value | Sahi Hai/Nahi |
---|---|---|---|
5.33% | 42.753 Cr | ||
1.69% | 13.571 Cr | ||
1.29% | 10.369 Cr | ||
0.95% | 7.616 Cr | ||
0.78% | 6.267 Cr | ||
0.75% | 6.039 Cr | ||
0.69% | 5.539 Cr | ||
0.65% | 5.175 Cr | ||
0.64% | 5.149 Cr | ||
0.64% | 5.148 Cr | ||
0.64% | 5.122 Cr | ||
0.64% | 5.097 Cr | ||
0.63% | 5.047 Cr | ||
0.63% | 5.039 Cr | ||
0.62% | 5.002 Cr | ||
0.62% | 4.955 Cr | ||
0.60% | 4.808 Cr | ||
0.52% | 4.175 Cr | ||
0.32% | 2.555 Cr | ||
0.32% | 2.525 Cr | ||
0.26% | 2.081 Cr | ||
0.25% | 2.036 Cr | ||
0.25% | 2.036 Cr | ||
0.25% | 2.017 Cr | ||
0.25% | 1.995 Cr | ||
0.19% | 1.544 Cr | ||
0.07% | 0.525 Cr | ||
0.06% | 0.513 Cr |
Holdings | % Weight | Value | Sahi Hai/Nahi |
---|---|---|---|
4.71% | 37.770 Cr | - | |
0.57% | 4.555 Cr | - |