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Mutual Fund

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PORTFOLIO COMPOSITION

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Motilal Oswal Multi Cap Fund - Direct Plan
Fund Motilal Oswal Mutual Fund
Category Equity - Multi Cap
Type Open Ended
NAV(15/05/2025) 13.2645
Percentage Returns
1 Month Ago 8.55%
3 Months Ago 10.71%
1 Year Ago 0%
 
Portfolio Details as on 30 Apr. 2025
Company Name Sector Amount (Rs. Crs.) Percentage (%)
Equity
Coforge LimitedIT Consulting & Software 346.5710.00
Polycab India LimitedCables - Power/Others 331.209.56
Persistent Systems LimitedIT Consulting & Software 297.798.59
Shaily Engineering Plastics LimitedPlastics - Plastic & Plastic Products 283.058.17
Kalyan Jewellers India LimitedGems, Jewellery & Precious Metals 258.097.45
CG Power and Industrial Solutions LimitedElectric Equipment - General 244.407.05
Trent LimitedRetail - Apparel/Accessories 233.596.74
PG Electroplast LimitedConsumer Electronics 187.435.41
Healthcare Global Enterprises LimitedHospitals & Medical Services 145.144.19
Bajaj Holdings & Investment LimitedHolding Company 131.293.79
Jindal Steel & Power LimitedSteel - Sponge Iron 89.572.58
Onesource Specialty Pharma LimitedPharmaceuticals 81.282.35
Sky Gold And Diamonds LimitedGems, Jewellery & Precious Metals 65.481.89
Max Healthcare Institute LimitedHospitals & Medical Services 54.911.58
Hitachi Energy India LimitedElectric Equipment - Switchgear/Circuit Breaker 53.501.54
Dr Agarwals Health Care LimitedHospitals & Medical Services 47.031.36
Kaynes Technology India LimitedElectronics - Equipment/Components 43.101.24
Godfrey Phillips India LimitedCigarettes & Tobacco Products 42.671.23
Supreme Petrochem LimitedPetrochemicals - Polymers 16.210.47
Jubilant Ingrevia LimitedAgricultural Products 9.830.28
Equity
Jio Financial Services LimitedNon-Banking Financial Company (NBFC) 1.540.04
CBLO/Reverse Repo
Collateralized Borrowing & Lending Obligation 265.827.67
Polycab India Limited May 2025 Future -37.48-1.08
Persistent Systems Limited May 2025 Future -53.29-1.54
Derivatives
Trent Limited May 2025 Future -150.09-4.33
Net Receivables / (Payables) 476.2113.74
Total3464.81100.00