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Scheme Profile
 
AMC:   Category:   Scheme:
 
Quant Aggressive Hybrid Fund(G)
TypeInvestment In% of HoldingsNo. of sharesValue (Rs cr)
Domestic EquitiesHDFC Bank Limited8.30321749527162.5748
Domestic EquitiesLarsen & Toubro Limited7.9671396700155.9943
Domestic EquitiesAdani Power Limited7.270310515000142.3521
Domestic EquitiesBajaj Auto Limited7.0181143177137.4141
Domestic EquitiesICICI Bank Limited6.1638890668120.6855
Domestic EquitiesAdani Green Energy Limited5.92481361098116.0064
Domestic EquitiesHDFC Life Insurance Co Ltd5.77561547000113.0857
Domestic EquitiesAdani Enterprises Limited4.516343768088.4289
Domestic EquitiesSamvardhana Motherson International Ltd3.6738637140071.9331
Domestic EquitiesAurobindo Pharma Limited3.444655844867.4438
Domestic EquitiesJio Financial Services Limited3.1066239001160.8258
Domestic EquitiesHDFC Asset Management Company Ltd2.975723160058.2636
Domestic EquitiesShriram Finance Limited1.450527844028.4009
Total 67.5905 1323.4090
Government Securities7.23% Maharashtra SDL - 04-Sep-20352.5190500000049.3209
Government Securities5.74% GOI - 15-Nov-20262.2523440000044.1001
Government Securities6.79% GOI - 07-OCT-20341.7938350000035.1225
Government Securities6.9% GOI 15-Apr-20651.1942250000023.3821
Government Securities7.26% GOI MAT 06-Feb-20331.0521200000020.6003
Government Securities6.64% GOI - 16-Jun-20350.9307183360018.2224
Government SecuritiesGsec Strip Mat 12/03/280.8354186080016.3567
Government Securities7.29% GOI SGRB MAT 27-Jan-20330.5269100000010.3157
Total 11.1043 217.4207
Cash & Cash Equivalents and Net AssetsTREPS 02-Feb-2026 DEPO 104.96239718797.1605
Cash & Cash Equivalents and Net AssetsNCA-NET CURRENT ASSETS-3.2114 -62.8791
Total 1.7509 34.2814
Treasury Bills364 Days Treasury Bill 20-Feb-20265.09311000000099.7213
Treasury Bills364 Days Treasury Bill 21-May-20262.3611470000046.2299
Total 7.4542 145.9512
Certificate of DepositSIDBI CD 10-Nov-20264.83471000000094.6623
Total 4.8347 94.6623
Derivatives-FuturesBajaj Auto Limited3.06106225059.9343
Derivatives-FuturesICICI Bank Limited1.689324290033.0757
Total 4.7503 93.0100
Domestic Mutual Funds UnitsQUANT GILT FUND -DIRECT PLAN-GROWTH0.312249997506.1135
Total 0.3122 6.1135
RightsAdani Enterprises Limited PP RE0.3071382896.0129
Total 0.3071 6.0129
REITs & InvITsCapital Infra Trust InvIT1.8959505050037.1212
Total 1.8959 37.1212
 
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