Asset Allocation for Lic Mf Childrens Fund-growth-growth Fund Growth
Top 10 Holdings of Lic Mf Childrens Fund-growth-growth
38.89 % of total assets
Detailed Portfolio of Lic Mf Childrens Fund-growth-growth
Portfolio Date -30 Apr 2025
Equity Holdings -49
Debt Holdings -1
Other Holdings -2
-
Equity Holdings
-
Debt Holdings
-
Other Holdings
Holdings | % Weight | Value | Sahi Hai/Nahi |
---|---|---|---|
3.52% | 0.518 Cr | ||
3.48% | 0.511 Cr | ||
3.43% | 0.504 Cr | ||
3.34% | 0.492 Cr | ||
3.34% | 0.491 Cr | ||
2.80% | 0.412 Cr | ||
2.78% | 0.409 Cr | ||
2.77% | 0.407 Cr | ||
2.65% | 0.390 Cr | ||
2.64% | 0.389 Cr | ||
2.28% | 0.336 Cr | ||
2.19% | 0.323 Cr | ||
2.06% | 0.302 Cr | ||
2.04% | 0.299 Cr | ||
1.94% | 0.286 Cr | ||
1.89% | 0.277 Cr | ||
1.83% | 0.269 Cr | ||
1.82% | 0.267 Cr | ||
1.77% | 0.260 Cr | ||
1.76% | 0.259 Cr | ||
1.74% | 0.256 Cr | ||
1.72% | 0.253 Cr | ||
1.72% | 0.253 Cr | ||
1.68% | 0.247 Cr | ||
1.68% | 0.247 Cr | ||
1.64% | 0.241 Cr | ||
1.61% | 0.236 Cr | ||
1.56% | 0.229 Cr | ||
1.56% | 0.229 Cr | ||
1.54% | 0.226 Cr | ||
1.51% | 0.222 Cr | ||
1.41% | 0.207 Cr | ||
1.36% | 0.201 Cr | ||
1.35% | 0.198 Cr | ||
1.31% | 0.192 Cr | ||
1.20% | 0.176 Cr | ||
1.18% | 0.173 Cr | ||
1.16% | 0.171 Cr | ||
1.16% | 0.170 Cr | ||
1.12% | 0.165 Cr | ||
1.09% | 0.160 Cr | ||
0.99% | 0.145 Cr | ||
0.95% | 0.139 Cr | ||
0.94% | 0.138 Cr | ||
0.91% | 0.134 Cr | ||
0.81% | 0.119 Cr | ||
0.77% | 0.114 Cr | ||
0.49% | 0.072 Cr | ||
0.41% | 0.060 Cr |
Holdings | % Weight | Value | Sahi Hai/Nahi |
---|---|---|---|
10.75% | 1.581 Cr |
Holdings | % Weight | Value | Sahi Hai/Nahi |
---|---|---|---|
2.69% | 0.395 Cr | - | |
-0.29% | -0.042 Cr | - |