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Mirae Asset India Opportunities Fund - Regular Plan (G)

PLAN: Regular OPTIONS: Growth
37.012 0.22 (0.61%)

NAV as on 28 Sep, 2016

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 (Aug 31, 2016)

Equity Sector Qty Value
(Rs in cr.)
%
HDFC Bank Banking & Financial Services 1,371,695.00 177.11 7.75
ICICI Bank Banking & Financial Services 4,036,000.00 104.13 4.56
SBI Banking & Financial Services 4,001,350.00 101.03 4.42
HPCL Oil & Gas 793,306.00 96.68 4.23
IndusInd Bank Banking & Financial Services 796,816.00 94.52 4.14
Maruti Suzuki Automotive 174,632.00 88.25 3.86
Infosys Information Technology 782,062.00 81.01 3.55
Reliance Oil & Gas 740,585.00 78.50 3.44
Larsen Engineering & Capital Goods 515,150.00 77.94 3.41
Sun Pharma Pharmaceuticals 928,075.00 71.99 3.15
Tata Motors Automotive 1,230,700.00 66.17 2.90
UltraTechCement Cement & Construction 147,936.00 59.60 2.61
Lupin Pharmaceuticals 381,044.00 56.48 2.47
HDFC Banking & Financial Services 395,791.00 55.63 2.43
ITC Tobacco 2,014,472.00 52.39 2.29
Dabur India Consumer Non-durables 1,793,098.00 52.11 2.28
TCS Information Technology 205,255.00 51.55 2.26
Asian Paints Chemicals 419,930.00 48.62 2.13
Kotak Mahindra Banking & Financial Services 585,911.00 47.28 2.07
Torrent Pharma Pharmaceuticals 257,288.00 41.99 1.84
Motherson Sumi Automotive 1,283,042.00 41.38 1.81
Exide Ind Automotive 2,121,239.00 39.31 1.72
Voltas Conglomerates 942,155.00 36.77 1.61
Tata Steel Metals & Mining 956,945.00 35.42 1.55
Bajaj Auto Automotive 117,578.00 35.02 1.53
Bharti Airtel Telecommunication 1,004,791.00 33.32 1.46
Adani Ports Engineering & Capital Goods 1,156,322.00 30.41 1.33
Zee Entertain Media & Entertainment 542,061.00 29.24 1.28
Container Corp Services 172,500.00 24.06 1.05
GAIL Oil & Gas 605,400.00 23.24 1.02
Tata Chemicals Chemicals 410,631.00 22.84 1.00
Natco Pharma Pharmaceuticals 328,681.00 22.64 0.99
Axis Bank Banking & Financial Services 376,000.00 22.44 0.98
Gateway Distri Miscellaneous 798,306.00 22.41 0.98
AIA Engineering Engineering & Capital Goods 174,603.00 22.38 0.98
HCL Tech Information Technology 281,191.00 21.89 0.96
Federal Bank Banking & Financial Services 3,156,532.00 21.70 0.95
Vinati Organics Chemicals 330,491.00 19.67 0.86
Power Grid Corp Utilities 1,070,000.00 19.66 0.86
Bharat Forge Manufacturing 226,300.00 19.24 0.84
Info Edge Miscellaneous 232,625.00 19.16 0.84
J. K. Cement Cement & Construction 234,750.00 18.69 0.82
Ceat Automotive 208,212.00 18.60 0.81
CARE Miscellaneous 136,570.00 17.06 0.75
Crompton Greave Engineering & Capital Goods 1,678,803.00 13.98 0.61
Emami Consumer Non-durables 118,479.00 13.59 0.59
Max Financial Manufacturing 743,228.00 11.49 0.50
HUL Consumer Non-durables 107,790.00 9.88 0.43
Sundaram Fin Banking & Financial Services 58,610.00 8.53 0.37
ONGC Oil & Gas 292,097.00 6.90 0.30
ONGC Oil & Gas 174,540.00 6.06 0.27
HT Media Media & Entertainment 587,241.00 4.85 0.21
Mutual Funds Fund Class Rating Value %
Mirae Asset Cash Management Fund - DIRECT GROWTHDiversified Equity -19.340.85
Cash / Call Rating Value %
CBLO-59.962.62
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