HDFC Bank

HDFCBANK
Industry: Private Sector Bank

Mutual Fund Activity - Peer comparision over last 2 Months

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10 Top Mutual Funds - Increased Stakes:

Mutual FundFund CategoryPortfolio MonthMoM Change(%)Portfolio(%)
Edelweiss Large Cap FundLarge-Cap
Feb 20250.07.100
Mar 20251.76.980
Kotak BluechipLarge-Cap
Feb 20250.07.450
Mar 20251.27.360
Mirae Asset Emerging Bluechip FundLarge & Mid-Cap
Feb 202510.75.640
Mar 20251.85.590
Canara Robeco Bluechip Equity FundLarge-Cap
Feb 20250.09.130
Mar 20254.29.290
Canara Robeco Flexi Cap FundFlexi Cap
Feb 20250.07.550
Mar 20252.77.640
ICICI Prudential Bluechip FundLarge-Cap
Feb 20251.19.980
Mar 20250.09.760
Axis Growth Opportunities FundLarge & Mid-Cap
Feb 20250.05.560
Mar 20259.96.100
Mirae Asset Tax Saver FundELSS (Tax Savings)
Feb 20252.09.320
Mar 20250.09.210
HSBC Multi Cap FundMulti-Cap
Feb 20250.03.920
Mar 202513.44.270
Helios Flexi Cap FundFlexi Cap
Feb 20250.06.960
Mar 202519.37.740

1 Top Mutual Funds - Decreased Stakes:

Mutual FundFund CategoryPortfolio MonthMoM Change(%)Portfolio(%)
UTI Flexi Cap FundFlexi Cap
Feb 2025-2.16.440
Mar 2025-0.66.440

12 Top Mutual Funds - Stakes which remain same:

Mutual FundFund CategoryPortfolio MonthMoM Change(%)Portfolio(%)
Kotak Tax Saver-SchemeELSS (Tax Savings)
Feb 20250.09.600
Mar 20250.09.360
HDFC Retirement Savings FundRetirement
Feb 20250.09.330
Mar 20250.09.170
Invesco India Contra FundContra
Feb 20250.08.630
Mar 20250.08.420
Baroda BNP Paribas Large CapLarge-Cap
Feb 20250.08.480
Mar 20250.08.320
SBI Magnum Midcap FundMid-Cap
Feb 20250.01.880
Mar 20250.01.840
Franklin India Smaller Companies FundSmall-Cap
Feb 20250.01.590
Mar 20250.01.580
Bajaj Finserv Flexi CapFlexi Cap
Feb 20250.08.730
Mar 20250.08.470
Nippon India Small Cap FundSmall-Cap
Feb 20250.02.270
Mar 20250.02.190
Parag Parikh Tax Saver FundELSS (Tax Savings)
Feb 20250.08.420
Mar 20250.08.110
Parag Parikh Flexi CapFlexi Cap
Feb 20250.08.430
Mar 20250.08.380
Axis Small Cap FundSmall-Cap
Feb 20250.01.680
Mar 20250.01.640
360 ONE Focused Equity FundFocused Fund
Feb 20250.09.810
Mar 20250.09.770
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