Learning Centre  | Contact Us  | Feedback  | Download | Careers  | Customer Care  | Market live
                 
 
You Are On : Home   |  Mutual Funds   |  Scheme Profile
Scheme Profile
 
AMC:   Category:   Scheme:
 
Axis Bluechip Fund(G)-Direct Plan
TypeInvestment In% of HoldingsNo. of sharesValue (Rs cr)
Domestic EquitiesHDFC Bank Limited9.6923171502013135.3997
Domestic EquitiesICICI Bank Limited8.8168211532362852.1966
Domestic EquitiesBharti Airtel Limited5.5921104361931809.0097
Domestic EquitiesBajaj Finance Limited5.076418357481642.1867
Domestic EquitiesInfosys Limited4.354989693631408.7730
Domestic EquitiesLarsen & Toubro Limited3.425231727881108.0328
Domestic EquitiesTata Consultancy Services Limited3.146928229601018.0017
Domestic EquitiesSun Pharmaceutical Industries Limited3.01165616215974.2448
Domestic EquitiesReliance Industries Limited2.94497471299952.6653
Domestic EquitiesKotak Mahindra Bank Limited2.89014306087934.9376
Domestic EquitiesMahindra & Mahindra Limited2.73383317434884.3616
Domestic EquitiesState Bank of India2.555910717055826.8208
Domestic EquitiesInterGlobe Aviation Limited2.43341538851787.1761
Domestic EquitiesUltraTech Cement Limited2.2635636190732.2261
Domestic EquitiesPidilite Industries Limited1.92642187098623.1698
Domestic EquitiesThe Indian Hotels Company Limited1.88837756392610.8547
Domestic EquitiesCipla Limited1.67463756294541.7327
Domestic EquitiesInfo Edge (India) Limited1.6016721468518.1150
Domestic EquitiesCholamandalam Investment and Finance Company Ltd1.55133301619501.8296
Domestic EquitiesZomato Limited1.510924232092488.7613
Domestic EquitiesAvenue Supermarts Limited1.26441001703409.0154
Domestic EquitiesNTPC Limited1.261711413330408.1407
Domestic EquitiesTitan Company Limited1.14241206391369.5598
Domestic EquitiesTVS Motor Company Limited1.08141445646349.8246
Domestic EquitiesApollo Hospitals Enterprise Limited1.0525514628340.4882
Domestic EquitiesHDFC Life Insurance Company Limited0.99234681232320.9921
Domestic EquitiesVarun Beverages Limited0.91725498278296.7146
Domestic EquitiesITC Limited0.79996314758258.7472
Domestic EquitiesBajaj Auto Limited0.7038288989227.6901
Domestic EquitiesBharat Electronics Limited0.67977296780219.8666
Domestic EquitiesDivi's Laboratories Limited0.6746377843218.2213
Domestic EquitiesTrent Limited0.6639403329214.7787
Domestic EquitiesMaruti Suzuki India Limited0.6594185144213.3257
Domestic EquitiesUnited Spirits Limited0.64281483827207.9287
Domestic EquitiesMax Healthcare Institute Limited0.60301778156195.0548
Domestic EquitiesMankind Pharma Limited0.5138685487166.2135
Domestic EquitiesTata Consumer Products Limited0.49861609958161.3017
Domestic EquitiesLupin Limited0.4863775806157.3296
Domestic EquitiesSamvardhana Motherson International Limited0.481711899784155.8396
Domestic EquitiesHindustan Unilever Limited0.4540650118146.8519
Domestic EquitiesGodrej Consumer Products Limited0.44051229333142.5104
Domestic EquitiesICICI Lombard General Insurance Company Limited0.3445621660111.4543
Domestic EquitiesDLF Limited0.32191530164104.1277
Domestic EquitiesREC Limited0.2516189607581.3795
Domestic EquitiesTech Mahindra Limited0.219850145271.1184
Domestic EquitiesHindustan Aeronautics Limited0.12889977641.6809
Domestic EquitiesSiemens Limited0.10366351433.5059
Domestic EquitiesHCL Technologies Limited0.100120324232.3663
Domestic EquitiesTata Motors Limited0.095745882430.9454
Domestic EquitiesHyundai Motor India Ltd0.095518089530.8905
Domestic EquitiesICICI Prudential Life Insurance Company Limited0.076543840424.7413
Total 86.8427 28093.1010
Cash & Cash Equivalents and Net AssetsClearing Corporation of India Ltd10.6922 3458.8502
Cash & Cash Equivalents and Net AssetsNet Receivables / (Payables)-6.1123 -1977.2862
Total 4.5799 1481.5640
Treasury Bills182 Days Tbill (MD 08/05/2025)0.383912500000124.2005
Treasury Bills91 Days Tbill (MD 05/06/2025)0.351511500000113.7000
Treasury Bills182 Days Tbill (MD 05/06/2025)0.336211000000108.7566
Treasury Bills91 Days Tbill (MD 17/04/2025)0.30831000000099.7215
Treasury Bills182 Days Tbill (MD 12/06/2025)0.30531000000098.7494
Treasury Bills364 Days Tbill (MD 29/05/2025)0.0459150000014.8502
Total 1.7310 559.9782
Derivatives-FuturesNIFTY April 2025 Future3.61374945501169.0000
Derivatives-FuturesReliance Industries Limited April 2025 Future1.39653525000451.7464
Derivatives-FuturesAvenue Supermarts Limited April 2025 Future0.3237255750104.7015
Derivatives-FuturesITC Limited April 2025 Future0.2780218560089.9265
Derivatives-FuturesState Bank of India April 2025 Future0.2697112500087.2494
Derivatives-FuturesTech Mahindra Limited April 2025 Future0.113925920036.8505
Derivatives-FuturesNTPC Limited April 2025 Future0.081773650026.4440
Total 6.0771 1965.9182
Domestic Mutual Funds UnitsAxis NIFTY 50 ETF0.76939750000248.8590
Total 0.7693 248.8590
 
Back Back TopTop
Compliance Officer  |  NOTICE  |  ATTN DP CLIENT  |   Arbitration Rule  |  Investor Grievance  |  BSE ITORS Disclaimer   |   Disclaimer |  Policy  |  Privacy Policy  |  Terms of Uses   Investor Charter |  MSSPL MAND |  MCSPL MAND
Multigain Financial Services Pvt. Ltd. ROC Reg No. U67190DL2004PTC130552, ARN # 31406
Multigain Securities Services Pvt Ltd. ROC Reg No.U74999UP2008PTC035558 Member National Stock Exchange Membership ID 13766 SEBI Reg # INB / INF / INE 231376634 Member Bombay Stock Exchange Membership ID 13766 SEBI Reg # INB / INF 011376630 Member MCX Stock Exchange. Membership No. 59500, SEBI Reg No.INE261330935 Member UNITED Stock Exchange Membership ID 13766 SEBI Reg # INE 271376634
Multigain Commodities Services Pvt Ltd ROC Reg No. U52100UP2008PTC035237 Member MCX Membership No. MCX/TM/ 9080 FMC Reg # MCX/TM/CORP/1694 Member NCDEX Membership No. NCDEX /TM/00926 FMC Reg No. NCDEX/TM/CORP/0903 Member NMCE Membership No. NMCE/TCM/CL0364 FMC Reg No. NMCE/TCM/CORP/0289 Member ICEX Membership No. ICEX/TM/1038 FMC Reg No. ICEX/TM/CORP/0037 Member ACE Membership No. ACE/TCM/6070 FMC Reg No. ACE/TCM/CORP/ Member NSEL Membership No. NSEL/TCM/12400 Member NCDEX SPOT
Copyright 2010-2011 Multigain Financial Services Pvt. Ltd. |   Designed , Developed and Content provided ACCORD FINTECH