Your Current Location : Fund Card : Portfolio Classification |
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Parag Parikh Dynamic Asset Allocation Fund (G) Direct |
[Hybrid: Balanced Advantage] |
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Instruments Breakdown |
Instruments |
Composition |
Bonds & NCDs |
20.15 |
CP/CD |
0.40 |
Current Asset |
0.24 |
Derivatives/Mutual Fund/ETF |
3.80 |
Equity |
35.84 |
GOI Securities |
36.97 |
Treasury Bill |
0.60 |
Trep |
2.00 |
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Concentration Analysis |
Top 5 Holdings |
14.99% |
Top 10 Holdings |
25.30% |
Top 25 Holdings |
43.79% |
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Sector Analysis |
Sector/Ratings |
Net Asset(%) |
SOV |
37.57 |
AAA |
20.15 |
Banking & Financial |
7.84 |
Oil & GAS |
5.01 |
Debt MF |
3.8 |
Petroleum Products |
3.73 |
FMCG |
3.06 |
Energy |
2.71 |
Finance & Investments |
2.45 |
Cash |
2.24 |
Automobile |
1.69 |
Construction |
1.48 |
Communication |
1.43 |
Industrial Products |
1.24 |
Ferrous Metals |
0.98 |
Transportation |
0.8 |
Retail |
0.69 |
Aerospace & Defence |
0.57 |
Consumer Durables |
0.44 |
Telecom |
0.42 |
A1+ |
0.4 |
Software & Services |
0.34 |
Electricals |
0.27 |
Non - Ferrous Metals |
0.21 |
Minerals & Mining |
0.2 |
Pharma & Biotech |
0.11 |
Miscellaneous |
0.07 |
Metals |
0.06 |
Food Beverage & Tobacco |
0.04 |
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Portfolio Metrics |
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PB Ratio |
2.62 |
PE Ratio |
16.80 |
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Top 25 Holdings |
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Holdings |
Net Asset(%) |
Parag Parikh Liquid Fund- Direct Plan- Growth |
3.80 |
Reliance Industries Limited |
3.73 |
Coal India Limited |
2.50 |
ITC Limited |
2.48 |
POWER GRID CORPORATION OF INDI |
2.48 |
Petronet LNG Limited |
2.47 |
Axis Bank Limited |
2.07 |
Bajaj Finance Limited |
2.04 |
Tri Party Repo |
2.00 |
7.39% Tamilnadu SDL (MD 12/06/2032) |
1.73 |
Kotak Mahindra Bank Limited |
1.65 |
6.64% Power Fin Corpn Ltd NCD 250B (MD15/07/30) |
1.64 |
7.42% Power Fin Corp Ltd BS 246A NCD (MD 15/04/28) |
1.47 |
UltraTech Cement Limited |
1.40 |
NESCO Limited |
1.30 |
Swaraj Engines Limited |
1.24 |
Tata Motors Limited |
1.18 |
HDFC Bank Limited |
1.12 |
7.7% Maharashtra SDL (MD 08/03/2031) |
1.09 |
7.67% Tamilnadu SDL (MD 13/12/2030) |
1.09 |
7.33% Maharashtra SDL (MD 31/05/2031) |
1.07 |
7.74% LIC Hsg Fin NCD Tr 445 Op II (MD 11/02/2028) |
1.06 |
7.57% LIC Hsg Fin NCD Tr 447 Op I (MD 18/10/2029) |
1.06 |
7.95% LIC Hsg Fin Ltd NCD (29/01/28)P27/08 |
1.06 |
7.40 % NABARD NCD Sr 25D (MD 29/04/2030) # |
1.06 |
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Sector Analysis Graphical Mode |
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