Get App Open
In App
Open App
Success
Alert
Please select a Day.
Info
you are here:

Nomura India Investment Fund Mother Fund's Portfolio

Stocks based on shareholding data filed with Exchanges

3,744 Cr. Networth
18 #Company holdings
Sector wise breakup of holdings
  • Computers - Software 11%
  • Speciality Chemicals 11%
  • Miscellaneous 11%
  • Software 11%
  • Construction - Residential & Commercial Complexes 11%
  • Finance - General 11%
  • Telecommunications - Service 6%
  • Consumer Food 6%
  • Hotels 6%
  • Finance - Others 6%
  • Banks - Private Sector 6%
  • Hospital & Healthcare Services 6%
  • Retailing 6%
Fresh Entry & Exit in Portfolio
Qtr: Dec-2022
Purchase

Shares Qty 1,215,688 % Holding 1.13 %
Qtr: Dec-2022
Purchase

Shares Qty 1,088,280 % Holding 1.08 %
Qtr: Dec-2022
Purchase

Shares Qty 838,525 % Holding 1.44 %
Qtr: Dec-2022
Purchase

Shares Qty 14,298,258 % Holding 1.8 %
Qtr: Dec-2022
Purchase

Shares Qty 1,994,334 % Holding 1.06 %
Qtr: Dec-2022
Sell

Investor holds below 1%
Qtr: Dec-2022
Purchase

Shares Qty 519,975 % Holding 1.15 %
Change in holdings from last quarter
Stock Name Dec-2022 Sept-2022 Increase
1.57% 1.16% 0.41%
Stock Name Dec-2022 Sept-2022 Decrease
1.2% 1.45% 0.25%
2.08% 2.25% 0.17%
2.3% 2.36% 0.06%
1.47% 1.5% 0.03%