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KOTAK EQUITY SAVINGS FUNDDII

Whole-market shareholding · as of Sep 2026

₹ 413 cr
Portfolio value
3
Companies
DII
Mostly held as

Sector allocation

  • Capital Goods72%
  • Chemicals16%
  • Hotels & Resorts12%

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3 / 3

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Portfolio composition

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All holdings 3 / 3

Company
Prasol Chemicals LtdSep '261.64%₹ 66 crNew
Emmvee Photovoltaic Power LtdJun '261.29%₹ 297 cr+1.29
Juniper Hotels LtdJun '261.01%₹ 50 cr-0.36