Learning Centre  | Contact Us  | Feedback  | Download | Careers  | Customer Care  | Market live
                 
 
You Are On : Home   |  Mutual Funds   |  Scheme Profile
Scheme Profile
 
AMC:   Category:   Scheme:
 
BHARAT Bond ETF - April 2025
TypeInvestment In% of HoldingsNo. of sharesValue (Rs cr)
Corporate Debt5.59% SIDBI NCD RED 21-02-2025**11.21601210000001204.6361
Corporate Debt5.4% INDIAN OIL CORP NCD 11-04-25**8.132488000000873.4502
Corporate Debt5.36% HPCL NCD RED 11-04-2025**7.763184000000833.7806
Corporate Debt5.90% REC LTD. NCD RED 31-03-2025**6.854074000000736.1424
Corporate Debt5.77% PFC LTD NCD RED 11-04-2025**6.381969000000685.4315
Corporate Debt6.88% NHB LTD NCD RED 21-01-2025**6.277967500000674.2703
Corporate Debt5.47% NABARD NCD RED 11-04-2025**5.356258000000575.2689
Corporate Debt5.35% HUDCO NCD RED 11-04-2025**4.988354000000535.7626
Corporate Debt6.35% EXIM BANK OF INDIA NCD 18-02-2025**4.736051000000508.6562
Corporate Debt5.25% ONGC NCD RED 11-04-2025**4.060744000000436.1280
Corporate Debt5.34% NLC INDIA LTD. NCD 11-04-25**3.648539500000391.8633
Corporate Debt6.88% REC LTD. NCD RED 20-03-2025**3.346036000000359.3718
Corporate Debt5.70% SIDBI NCD RED 28-03-2025**2.915231500000313.1018
Corporate Debt6.99% IRFC NCD RED 19-03-2025**2.325225000000249.7353
Corporate Debt6.85% POWER GRID CORP NCD RED 15-04-2025**2.088522500000224.3084
Corporate Debt6.39% INDIAN OIL CORP NCD RED 06-03-2025**2.041822000000219.2947
Corporate Debt8.27% REC LTD NCD RED 06-02-2025**1.817619500000195.2194
Corporate Debt9.18% NUCLEAR POWER CORP NCD RD 23-01-25**0.933410000000100.2551
Corporate Debt8.65% POWER FINANCE NCD RED 28-12-2024**0.7919850000085.0490
Corporate Debt8.20% POWER GRID CORP NCD RED 23-01-2025**0.6989750000075.0636
Corporate Debt8.30% REC LTD NCD RED 10-04-2025**0.4670500000050.1610
Corporate Debt5.57% SIDBI NCD RED 03-03-2025**0.2316250000024.8715
Corporate Debt8.80% POWER FIN CORP NCD RED 15-01-2025**0.1836197000019.7237
Corporate Debt8.95% POWER FIN CORP NCD RED 30-03-2025**0.1542165000016.5602
Corporate Debt8.87% EXIM BANK NCD RED 13-03-2025**0.1401150000015.0460
Corporate Debt8.11% EXIM BANK NCD RED 03-02-2025**0.1398150000015.0104
Corporate Debt8.15% EXIM BANK NCD RED 05-03-2025**0.1398150000015.0161
Corporate Debt8.95% INDIAN RAILWAY FIN NCD 10-03-2025**0.04675000005.0210
Corporate Debt8.15% POWER GRID CORP NCD RED 09-03-2025**0.04665000005.0077
Corporate Debt8.2% POWER FIN NCD RED 10-03-2025**0.04665000005.0053
Total 87.9696 9448.2121
Cash & Cash Equivalents and Net AssetsAccrued Interest2.8847 309.8256
Cash & Cash Equivalents and Net AssetsClearing Corporation of India Ltd.0.3052 32.7821
Cash & Cash Equivalents and Net AssetsNet Receivables/(Payables)0.0049 0.5266
Total 3.1948 343.1343
Certificate of DepositNABARD CD RED 15-04-2025#**8.835597500000948.9656
Total 8.8355 948.9656
 
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