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Mirae Asset India Opportunities Fund - Regular Plan (G)

PLAN: Regular OPTIONS: Growth
42.031 0.28 (0.65%)

NAV as on 27 Jun, 2017

CRISIL MF RANK

Riskometer

MODERATELY HIGH

MODERATELY HIGH

  • Principal at moderately high risk.
FUND FAMILY : Mirae Asset Mutual Fund FUND CLASS : Diversified Equity
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Portfolio Holdings (May 31, 2017)

Equity Sector Qty Value
(Rs in cr.)
%
HDFC Bank Banking & Financial Services 1,777,538.00 290.84 7.56
ICICI Bank Banking & Financial Services 7,881,359.00 257.29 6.69
Larsen Engineering & Capital Goods 957,761.00 168.63 4.38
HDFC Banking & Financial Services 990,870.00 155.55 4.04
SBI Banking & Financial Services 5,228,145.00 150.73 3.92
Maruti Suzuki Automotive 207,132.00 149.36 3.88
Grasim Conglomerates 1,198,355.00 138.42 3.60
IndusInd Bank Banking & Financial Services 927,816.00 137.38 3.57
Kotak Mahindra Banking & Financial Services 1,344,630.00 129.90 3.38
ITC Tobacco 4,094,429.00 127.66 3.32
Infosys Information Technology 1,090,589.00 106.56 2.77
Tata Steel Metals & Mining 1,916,984.00 96.75 2.51
Reliance Oil & Gas 706,331.00 94.70 2.46
Bajaj Auto Automotive 330,288.00 94.00 2.44
Vedanta Metals & Mining 3,690,106.00 88.06 2.29
TCS Information Technology 292,693.00 74.54 1.94
GAIL Oil & Gas 1,743,377.00 72.18 1.88
Adani Ports Engineering & Capital Goods 2,051,232.00 69.54 1.81
Havells India Engineering & Capital Goods 1,396,356.00 68.06 1.77
Ceat Automotive 390,601.00 65.75 1.71
HCL Tech Information Technology 750,691.00 64.88 1.69
HPCL Oil & Gas 1,144,161.00 63.41 1.65
CESC Utilities 638,206.00 58.57 1.52
Tata Chemicals Chemicals 919,235.00 57.76 1.50
Voltas Conglomerates 1,132,002.00 55.05 1.43
Raymond Manufacturing 791,199.00 54.93 1.43
Lupin Pharmaceuticals 453,625.00 52.67 1.37
Zee Entertain Media & Entertainment 1,007,221.00 51.86 1.35
Federal Bank Banking & Financial Services 4,605,104.00 51.32 1.33
Tata Motors Automotive 1,063,700.00 50.65 1.32
Exide Ind Automotive 2,181,074.00 50.22 1.31
Dabur India Consumer Non-durables 1,773,868.00 49.66 1.29
Vinati Organics Chemicals 513,772.00 47.69 1.24
Bharti Airtel Telecommunication 1,268,791.00 47.14 1.23
Sun Pharma Pharmaceuticals 925,433.00 46.42 1.21
Axis Bank Banking & Financial Services 841,000.00 43.23 1.12
Apollo Hospital Services 353,837.00 42.85 1.11
Motilal Oswal Banking & Financial Services 396,541.00 40.90 1.06
Torrent Pharma Pharmaceuticals 314,288.00 38.76 1.01
J. K. Cement Cement & Construction 346,156.00 38.42 1.00
Power Grid Corp Utilities 1,720,000.00 35.77 0.93
Emami Consumer Non-durables 293,786.00 31.99 0.83
Info Edge Miscellaneous 327,869.00 29.97 0.78
IOC Oil & Gas 628,541.00 26.99 0.70
Aurobindo Pharm Pharmaceuticals 395,500.00 22.71 0.59
Asian Paints Chemicals 156,723.00 18.04 0.47
AIA Engineering Engineering & Capital Goods 98,415.00 14.49 0.38
Max Financial Manufacturing 930,873.00 13.82 0.36
Gateway Distri Miscellaneous 372,796.00 9.25 0.24
HUL Consumer Non-durables 63,758.00 6.80 0.18
Motherson Sumi Automotive 32,145.00 1.45 0.04
Bharat Forge Manufacturing 11,109.00 1.30 0.03
Container Corp Services 8,002.00 0.93 0.02
Mutual Funds Fund Class Rating Value %
Mirae Asset Cash Management Fund - DIRECT GROWTHDiversified Equity -7.000.18
Cash / Call Rating Value %
CBLO-51.451.34
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