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Mirae Asset Emerging Bluechip Fund's Portfolio

Stocks based on shareholding data filed with Exchanges

7,797 Cr. Networth
17 #Company holdings
Sector wise breakup of holdings
  • Pharmaceuticals 24%
  • Personal Care 12%
  • Oil Drilling And Exploration 6%
  • Miscellaneous 6%
  • Diversified 6%
  • Finance - Leasing & Hire Purchase 6%
  • Textiles - Readymade Apparels 6%
  • Tyres 6%
  • Cement - Major 6%
  • Paints & Varnishes 6%
  • Auto - 2 & 3 Wheelers 6%
  • Bearings 6%
  • Electricals 6%
  • Computers - Software 6%
Fresh Entry & Exit in Portfolio
Qtr: Mar-2021
Purchase

Shares Qty 8,464,056 % Holding 1.35 %
Qtr: Mar-2021
Sell

Investor holds below 1%
Qtr: Mar-2021
Purchase

Shares Qty 29,041,025 % Holding 5.15 %
Qtr: Mar-2021
Purchase

Shares Qty 121,142 % Holding 1.09 %
Qtr: Mar-2021
Purchase

Shares Qty 763,655 % Holding 1.29 %
Change in holdings from last quarter
Stock Name Mar-2021 Dec-2020 Increase
5.05% 3.99% 1.06%
3.73% 2.79% 0.94%
7.89% 7.54% 0.35%
1.73% 1.43% 0.3%
2.06% 1.82% 0.24%
Stock Name Mar-2021 Dec-2020 Decrease
6.42% 7.61% 1.19%
3.21% 3.62% 0.41%
3.4% 3.79% 0.39%
1.6% 1.98% 0.38%
1.92% 2% 0.08%
1.31% 1.37% 0.06%
1.65% 1.71% 0.06%
Sections