Consolidated my portfolio allocation. In cash 5% and will deploy if market presents better (tempting) opportunities.
Instrument | Allocation |
---|---|
KOTAKBANK | 8% |
IDFC | 2% |
IDFCFIRSTB | 6% |
SGB | 6% |
INTELLECT | 5% |
PRAJIND | 5% |
PVRINOX | 4% |
PAUSHAKLTD | 4% |
SKIPPER | 4% |
HDFCBANK | 4% |
VINATIORGA | 3% |
HINDWAREAP | 3% |
3BBLACKBIO | 3% |
SYNGENE | 3% |
EIHOTEL | 3% |
RACLGEAR | 3% |
PRINCEPIPE | 2% |
AVANTIFEED | 2% |
ASIANPAINT | 2% |
UJJIVANSFB | 2% |
CARYSIL | 2% |
KNRCON | 2% |
MOLDTKPAC | 2% |
SANGHVIMOV | 2% |
NATCOPHARM | 2% |
HBLPOWER | 2% |
SUNTECK | 2% |
LAURUSLABS | 1% |
APLLTD | 1% |
SATIA | 1% |
PIIND | 1% |
AMBIKCO | 1% |
HDFCAMC | 1% |
MARICO | 1% |
AEGISLOG | 1% |
KRBL | 1% |
UNIPARTS | 1% |
DRREDDY | 1% |
DHPIND | 1% |
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