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AMC:  Category : Scheme :
Detailed Portfolio
LIC MF Conservative Hybrid Fund(G)
TypeInvestment InPercentage of NAVNo. of sharesValue(Rs in cr)
Domestic EquitiesHDFC Bank Ltd.3.9732216861.9252
Domestic EquitiesReliance Industries Ltd.2.597990311.2588
Domestic EquitiesBharat Forge Ltd.2.193055601.0626
Domestic EquitiesInfosys Ltd.2.080377531.0080
Domestic EquitiesAxis Bank Ltd.1.657458030.8031
Domestic EquitiesHindustan Unilever Ltd.1.376128520.6668
Domestic EquitiesShriram Finance Ltd.1.362561160.6602
Domestic EquitiesICICI Bank Ltd.1.198842130.5809
Domestic EquitiesMahindra & Mahindra Ltd.0.949313540.4600
Domestic EquitiesKWALITY WALL'S INDIA LTD0.015328520.0074
Total 17.4038 8.4330
Corporate Debt8.13% Nuclear Power Corporation **8.7456404.2377
Corporate DebtIndian Railway Finance Corporation Ltd. (ZCB) **5.41805002.6253
Total 14.1637 6.8630
Government Securities7.32% Government of India10.96445000005.3128
Government Securities7.17% Government of India10.93495000005.2985
Government Securities7.65% State Government of Tamil Nadu10.85015000005.2574
Government Securities6.79% Government of India10.68255000005.1762
Government Securities7.38% Government of India4.28152000002.0746
Government Securities7.19% State Government of Tamil Nadu3.21001500001.5554
Total 50.9233 24.6749
Cash & Cash Equivalents and Net AssetsTreps5.0449 2.4445
Cash & Cash Equivalents and Net AssetsNet Receivables / (Payables)-0.1892 -0.0917
Total 4.8556 2.3528
Treasury Bills364 DAYS TBILL RED 01-05-202612.27516000005.9479
Total 12.2751 5.9479
Alternative Investment FundSBI CDMDF--A20.37851570.1834
Total 0.3785 0.1834
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