Portfolio Holdings
As of 31 May 2026
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Parag Parikh Conservative Hybrid Fund Direct · Growth

Sector Allocation

Aggregate portfolio weight by industry sector, sorted by exposure.

Consumable Fuels
2.31%
Power
2.08%
Others
6.35%

All Holdings

Complete list of 10 stocks, grouped by sector. Filter by industry to focus.

10 holdings10.7% top 10 weight9 sectors
#Stock% of NAVValue (₹Cr)
Consumable Fuels 1 stocks2.31%
1Coal India Limited2.31%77.13
Power 1 stocks2.08%
2Power Grid Corporation of India Limited2.08%69.44
Diversified FMCG 1 stocks1.91%
3ITC Limited1.91%64.01
Gas 1 stocks1.90%
4Petronet LNG Limited1.90%63.64
Finance 1 stocks0.95%
5REC Limited0.95%31.72
Industrial Products 1 stocks0.71%
6Swaraj Engines Limited0.71%23.80
IT - Software 1 stocks0.49%
7Coforge Limited0.49%16.37
Telecom - Services 2 stocks0.33%
8Bharti Airtel Limited0.25%8.34
9Indus Towers Limited0.08%2.69
Cement & Cement Products 1 stocks0.06%
10Ambuja Cements Limited0.06%2.02