Quant Mutual FundsDII
Whole-market shareholding · as of Mar 2026
₹ 2,946 cr
Portfolio value
5
Companies
DII
Mostly held as
Sector allocation
- Life Insurance55%
- Iron & Steel Products20%
- Pharmaceuticals15%
- Specialty Chemicals7%
- Industrial Products3%
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| Company | Sector | 8-qtr trend | |||||
|---|---|---|---|---|---|---|---|
| HDFC Life Insurance Company Ltd | Life Insurance | 1.31% | Dec '25 · 2q | ₹ 1,615 cr | +0.16 | ||
| Usha Martin Ltd | Iron & Steel Products | 3.83% | Mar '23 · 13q | ₹ 586 cr | · | ||
| Pfizer Ltd | Pharmaceuticals | 2.22% | Mar '25 · 5q | ₹ 451 cr | · |