Asset Allocation for Uti Nifty Midcap 150 Quality 50 Index Fund - Regular Plan Growth Fund Growth
Top 10 Holdings of Uti Nifty Midcap 150 Quality 50 Index Fund - Regular Plan Growth
33.08 % of total assets
Detailed Portfolio of Uti Nifty Midcap 150 Quality 50 Index Fund - Regular Plan Growth
Portfolio Date -30 Apr 2025
Equity Holdings -50
Other Holdings -1
-
Equity Holdings
-
Debt Holdings
-
Other Holdings
Holdings | % Weight | Value | Sahi Hai/Nahi |
---|---|---|---|
5.06% | 12.626 Cr | ||
3.60% | 8.989 Cr | ||
3.60% | 8.986 Cr | ||
3.42% | 8.528 Cr | ||
3.11% | 7.772 Cr | ||
3.09% | 7.718 Cr | ||
3.00% | 7.490 Cr | ||
2.98% | 7.442 Cr | ||
2.63% | 6.552 Cr | ||
2.60% | 6.482 Cr | ||
2.49% | 6.226 Cr | ||
2.32% | 5.786 Cr | ||
2.31% | 5.759 Cr | ||
2.30% | 5.753 Cr | ||
2.26% | 5.653 Cr | ||
2.23% | 5.565 Cr | ||
2.21% | 5.518 Cr | ||
2.16% | 5.403 Cr | ||
2.12% | 5.288 Cr | ||
2.09% | 5.221 Cr | ||
2.02% | 5.037 Cr | ||
1.90% | 4.750 Cr | ||
1.89% | 4.725 Cr | ||
1.88% | 4.688 Cr | ||
1.86% | 4.635 Cr | ||
1.82% | 4.542 Cr | ||
1.75% | 4.375 Cr | ||
1.72% | 4.280 Cr | ||
1.70% | 4.240 Cr | ||
1.68% | 4.202 Cr | ||
1.61% | 4.008 Cr | ||
1.58% | 3.932 Cr | ||
1.57% | 3.916 Cr | ||
1.57% | 3.915 Cr | ||
1.52% | 3.800 Cr | ||
1.52% | 3.797 Cr | ||
1.50% | 3.748 Cr | ||
1.49% | 3.722 Cr | ||
1.47% | 3.661 Cr | ||
1.44% | 3.598 Cr | ||
1.35% | 3.380 Cr | ||
1.24% | 3.089 Cr | ||
1.17% | 2.922 Cr | ||
1.11% | 2.775 Cr | ||
1.07% | 2.670 Cr | ||
1.06% | 2.656 Cr | ||
0.99% | 2.477 Cr | ||
0.96% | 2.399 Cr | ||
0.92% | 2.299 Cr | ||
0.91% | 2.262 Cr |
Holdings | % Weight | Value | Sahi Hai/Nahi |
---|
Holdings | % Weight | Value | Sahi Hai/Nahi |
---|---|---|---|
0.16% | 0.403 Cr | - |