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Diviniti Equity Long Short Fund - Direct Plan Growth Option

Portfolio Holdings

Scheme: ITI Diviniti Equity Long Short Fund

As on: 31 December 2025

Scheme Risk Band
RISK BAND
LOWER RISKHIGHER RISK
1
2
3
4
5
RISK-LEVEL 2 ↑
Benchmark Risk Band
Nifty 50 (TRI) Index
RISK BAND
LOWER RISKHIGHER RISK
1
2
3
4
5
RISK-LEVEL 5 ↑

Fund vs Index (Sector Allocation)

Portfolio Classification

Equity 77.73%
Equity Derivatives 50.44%
Debt 72.71%

Other Asset Allocation

TREPS Instruments 6.89
Net Current Assets 65.81

Market Capitalisation

Large Cap 27.29%
Only Large Cap allocation is disclosed

Portfolio Overview

2
Asset Classes
39
Total Holdings

EQUITY & EQUITY RELATED (LONG POSITIONS)

26 holdings

# Name of Instrument / Issuer ISIN Rating / Industry Quantity Market Value (₹ Lakhs) % to AUM
1 HDFC Bank Limited 0.00 8.57%
2 Reliance Industries Limited 0.00 7.79%
3 ICICI Bank Limited 0.00 7.64%
4 Bharti Airtel Limited 0.00 5.69%
5 Larsen & Toubro Limited 0.00 4.50%
6 Infosys Limited 0.00 4.05%
7 State Bank of India 0.00 3.88%
8 Axis Bank Limited 0.00 2.99%
9 Mahindra & Mahindra Limited 0.00 2.96%
10 Kotak Mahindra Bank Limited 0.00 2.93%
11 Maruti Suzuki India Limited 0.00 2.89%
12 Sun Pharmaceutical Industries Limited 0.00 2.84%
13 Tata Consultancy Services Limited 0.00 2.80%
14 SBI Life Insurance Company Limited 0.00 2.42%
15 Bajaj Finance Limited 0.00 2.32%
16 Eternal Limited 0.00 2.29%
17 Titan Company Limited 0.00 1.00%
18 Hindalco Industries Limited 0.00 0.99%
19 Bharat Electronics Limited 0.00 0.95%
20 Tech Mahindra Limited 0.00 0.94%
21 Max Healthcare Institute Limited 0.00 0.93%
22 Asian Paints Limited 0.00 0.86%
23 Adani Ports and Special Economic Zone Ltd 0.00 0.86%
24 Shriram Finance Limited 0.00 0.82%
25 Nestle India Limited 0.00 0.71%
26 JSW Steel Limited 0.00 0.69%
Section Total: 0.00 75.31%

SECTOR ALLOCATION

13 holdings

# Name of Instrument / Issuer ISIN Rating / Industry Quantity Market Value (₹ Lakhs) % to AUM
1 Financial Services 0.00 33.99%
2 Information Technology 0.00 7.80%
3 Oil Gas & Consumable Fuels 0.00 7.79%
4 Automobile and Auto Components 0.00 5.85%
5 Telecommunication 0.00 5.69%
6 Construction 0.00 4.50%
7 Healthcare 0.00 3.77%
8 Consumer Services 0.00 2.29%
9 Consumer Durables 0.00 1.87%
10 Metals & Mining 0.00 1.68%
11 Capital Goods 0.00 0.95%
12 Services 0.00 0.86%
13 Fast Moving Consumer Goods 0.00 0.71%
Section Total: 0.00 77.75%