Asset Allocation for Lic Mf Low Duration Fund-regular Plan-growth Fund Growth
Top 10 Holdings of Lic Mf Low Duration Fund-regular Plan-growth
37.88 % of total assets
Detailed Portfolio of Lic Mf Low Duration Fund-regular Plan-growth
Portfolio Date -30 Apr 2025
Debt Holdings -47
Other Holdings -3
-
Equity Holdings
-
Debt Holdings
-
Other Holdings
Holdings | % Weight | Value | Sahi Hai/Nahi |
---|
Holdings | % Weight | Value | Sahi Hai/Nahi |
---|---|---|---|
5.06% | 99.984 Cr | ||
4.93% | 97.343 Cr | ||
3.85% | 76.119 Cr | ||
3.76% | 74.182 Cr | ||
3.64% | 71.949 Cr | ||
2.78% | 54.887 Cr | ||
2.69% | 53.204 Cr | ||
2.69% | 53.055 Cr | ||
2.64% | 52.215 Cr | ||
2.63% | 51.906 Cr | ||
2.59% | 51.253 Cr | ||
2.56% | 50.601 Cr | ||
2.50% | 49.382 Cr | ||
2.49% | 49.257 Cr | ||
2.48% | 48.990 Cr | ||
2.48% | 48.957 Cr | ||
2.47% | 48.839 Cr | ||
2.47% | 48.833 Cr | ||
2.47% | 48.748 Cr | ||
2.45% | 48.441 Cr | ||
2.44% | 48.261 Cr | ||
2.43% | 48.087 Cr | ||
2.43% | 47.992 Cr | ||
2.41% | 47.578 Cr | ||
2.41% | 47.556 Cr | ||
2.36% | 46.595 Cr | ||
1.96% | 38.748 Cr | ||
1.96% | 38.646 Cr | ||
1.93% | 38.035 Cr | ||
1.38% | 27.231 Cr | ||
1.35% | 26.740 Cr | ||
1.35% | 26.690 Cr | ||
1.32% | 26.005 Cr | ||
1.31% | 25.905 Cr | ||
1.29% | 25.468 Cr | ||
1.26% | 24.972 Cr | ||
1.22% | 24.115 Cr | ||
1.22% | 24.089 Cr | ||
1.20% | 23.653 Cr | ||
1.20% | 23.611 Cr | ||
1.18% | 23.323 Cr | ||
0.99% | 19.610 Cr | ||
0.74% | 14.569 Cr | ||
0.73% | 14.406 Cr | ||
0.53% | 10.463 Cr | ||
0.49% | 9.597 Cr | ||
0.24% | 4.755 Cr |
Holdings | % Weight | Value | Sahi Hai/Nahi |
---|---|---|---|
5.84% | 115.302 Cr | - | |
0.21% | 4.082 Cr | ||
-5.00% | -98.669 Cr | - |