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Summary Info
Fund Name ITI Mutual Fund
Scheme Name ITI Bharat Consumption Fund - Direct (G)
AMC ITI Mutual Fund
Type Open
Category Equity - Diversified
Launch Date 06-Feb-25
Fund Manager Dhimant Shah
Net Assets ()Cr 309.88
NAV Graph
  One Month   Three Month   Six Month   One Year   Three Year   Five Year   Since INC
Latest Payouts
Dividends Bonus
Ratio NA NA
Date NA NA
Performance(%)
1 Week[%] 1 Month[%] 3 Month[%] 6 Month[%] 1 Year[%] 3 Year[%] 5 Year[%] Since INC[%]
Scheme Return 2.10 5.84 -2.40 -7.34 2.74 - - 9.48
Category Avg 2.59 6.58 -0.84 -2.13 7.95 18.25 16.06 12.68
Category Best 6.59 15.25 12.11 11.30 31.28 34.11 29.52 41.34
Category Worst 0.37 -5.05 -12.98 -13.56 -11.74 2.10 4.15 -17.12
Holdings
Company Name No of Shares Market Value Hold %
Bharti Airtel 108,128 19.27 6.22
ITC 515,219 14.82 4.78
M & M 48,591 14.36 4.63
Maruti Suzuki 11,156 13.73 4.43
Titan Company 32,989 13.04 4.21
Hind. Unilever 48,614 9.99 3.22
Eternal 425,459 9.74 3.14
Apollo Hospitals 11,828 8.78 2.83
TVS Motor Co. 25,921 8.72 2.81
Nestle India 72,810 8.55 2.76
Tata Power Co. 204,743 7.75 2.50
Eicher Motors 9,652 6.36 2.05
Interglobe Aviat 15,991 6.31 2.03
Max Healthcare 63,732 6.13 1.98
Ather Energy 77,872 5.87 1.89
Bajaj Auto 6,441 5.66 1.83
Adani Power 351,665 5.29 1.71
Marico 70,052 5.16 1.66
Asian Paints 23,668 5.12 1.65
Britannia Inds. 9,290 5.04 1.63
Tata Motors PVeh 170,681 5.06 1.63
Tata Consumer 46,423 4.71 1.52
Trent 14,221 4.69 1.51
Blue Star 27,761 4.47 1.44
Samvardh. Mothe. 425,326 4.47 1.44
Reliance Industr 31,046 4.17 1.35
LG Electronics 28,966 4.17 1.35
Sumitomo Chemi. 113,090 4.12 1.33
Indian Hotels Co 70,797 4.04 1.30
Godrej Consumer 39,957 3.94 1.27
Radico Khaitan 14,797 3.89 1.26
Varun Beverages 100,608 3.86 1.25
Avenue Super. 9,629 3.81 1.23
Sona BLW Precis. 78,071 3.76 1.21
Indus Towers 89,098 3.73 1.20
Dr Reddy's Labs 29,201 3.66 1.18
Hero Motocorp 7,025 3.56 1.15
Dixon Technolog. 3,661 3.54 1.14
Tata Motors 89,688 3.54 1.14
Bikaji Foods 56,501 3.51 1.13
Park Medi World 182,433 3.47 1.12
Vishal Mega Mart 322,943 3.40 1.10
Balkrishna Inds 16,436 3.42 1.10
Sedemac Mechatro 21,993 3.33 1.07
United Spirits 26,968 3.29 1.06
Kalyan Jewellers 85,085 3.20 1.03
Abbott India 1,152 2.99 0.96
Info Edg.(India) 29,128 2.82 0.91
Hindustan Copper 57,714 2.62 0.84
Lemon Tree Hotel 251,181 2.52 0.81
Cartrade Tech 14,683 2.42 0.78
DLF 47,505 2.39 0.77
Emami 60,518 2.38 0.77
Ramkrishna Forg. 50,761 2.37 0.76
One 97 23,117 2.22 0.72
Shakti Pumps 46,150 2.12 0.68
Dodla Dairy 20,752 2.02 0.65
Havells India 14,102 1.68 0.54
IIFL Finance 34,996 1.51 0.49
Net CA & Others 0 -0.75 -0.18
TVS Motor Co. 79,176 0.08 0.03