Mutual Fund Holdings  Home > Equity > Corporate Information > Mutual Fund Holdings
        
        
           
        
        
        
        
        
        
       
                  
                  
                    
                      
                        |  Scheme Name  | 
                         Amount Invested (Rs Cr.) | 
                        % Net Assets | 
                        Total NAV (Rs Cr.) | 
                     
                       
                      
                     
                        
                        
                            | 
                               ICICI Pru Regular Savings Fund
                             | 
                        
                            
                             4.91
                             | 
                            
                                0.15
                             | 
                                
                                 3297.02
                             | 
                            
                          
                           
                        
                    
                      
                            | 
                               360 ONE Balanced Hybrid Fund
                             | 
                        
                            
                             3.41
                             | 
                            
                                0.39
                             | 
                                
                                 864.36
                             | 
                            
                          
                           
                        
                   
                        
                            | 
                               Nippon India Conservative Hybrid Fund
                             | 
                        
                            
                             0.51
                             | 
                            
                                0.06
                             | 
                                
                                 909.06
                             | 
                            
                          
                           
                        
                    
                      
                            | 
                               AXIS Conservative Hybrid Fund
                             | 
                        
                            
                             0.04
                             | 
                            
                                0.01
                             | 
                                
                                 271.42
                             |