AMC-Wise 5-Asset Class Allocation Dashboard
Aggregated directly from scheme names, AMC_CODE, and SCHEME_TYP across June 2025 - 2025 - July 2026
● 100% Reconciled Matrix
📅 Jun 2025 - Jul 2026 ▼
Total AUM (All AMCs)
₹92.96 Cr
100% Share
Equity Allocation
₹48.45 Cr
52.1% Avg
Debt Allocation
₹7.06 Cr
7.6% Avg
Hybrid / FOF Allocation
₹16.18 Cr
17.4% Avg
Commodity / Gold Allocation
₹0.46 Cr
0.5% Avg
Liquid / Cash Allocation
₹20.82 Cr
22.4% Avg
Total AUM by AMC (₹ Cr)
25.76
20.84
17.13
13.79
5.62
4.18
3.29
1.19
AUM (₹ Cr) 0 5 10 15 20 25 30
Avg Asset Class Allocation (%) Across All AMCs
₹92.96 Cr
Total AUM
● Equity 52.1%
● Debt 7.6%
● Hybrid / FOF 17.4%
● Commodity / Gold 0.5%
● Liquid / Cash 22.4%
Asset Class Allocation Heatmap (By %)
| AMC | Equity | Debt | Hybrid | Gold | Liquid |
|---|---|---|---|---|---|
| ICICI Pru | 55% | 1% | 30% | 0% | 13% |
| Kotak Mah | 53% | 1% | 0% | 0% | 45% |
| HDFC MF | 49% | 8% | 22% | 2% | 19% |
| DSP MF | 42% | 33% | 12% | 0% | 13% |
| SBI MF | 51% | 7% | 34% | 0% | 8% |
| Nippon Ind | 68% | 0% | 7% | 0% | 25% |
| ABSL MF | 49% | 0% | 0% | 0% | 50% |
| Tata MF | 72% | 0% | 9% | 0% | 19% |
AMC-Wise 5-Asset Class Allocation Matrix (₹ Cr & %)
| AMC BRAND NAME | TOTAL AUM (₹) & SHARE | EQUITY BOOK (₹ & %) | DEBT BOOK (₹ & %) | HYBRID / FOF (₹ & %) | COMMODITY / GOLD (₹ & %) | LIQUID / CASH (₹ & %) | ACTION |
|---|---|---|---|---|---|---|---|
| ICICI Prudential MF | ₹25.76 Cr 27.7% Share |
₹14.19 Cr 55% Eq |
₹0.32 Cr 1% Debt |
₹7.74 Cr 30% Hyb |
₹0.04 Cr 0% Gold |
₹3.47 Cr 13% Liq |
|
| Kotak Mahindra MF | ₹20.84 Cr 22.4% Share |
₹11.07 Cr 53% Eq |
₹0.25 Cr 1% Debt |
₹0.03 Cr 0% Hyb |
₹0.00 Cr 0% Gold |
₹9.48 Cr 45% Liq |
|
| HDFC Mutual Fund | ₹17.13 Cr 18.4% Share |
₹8.39 Cr 49% Eq |
₹1.31 Cr 8% Debt |
₹3.83 Cr 22% Hyb |
₹0.39 Cr 2% Gold |
₹3.21 Cr 19% Liq |
|
| DSP Mutual Fund | ₹13.79 Cr 14.8% Share |
₹5.73 Cr 42% Eq |
₹4.59 Cr 33% Debt |
₹1.62 Cr 12% Hyb |
₹0.00 Cr 0% Gold |
₹1.86 Cr 13% Liq |
|
| SBI Mutual Fund | ₹5.62 Cr 6.0% Share |
₹2.87 Cr 51% Eq |
₹0.38 Cr 7% Debt |
₹1.91 Cr 34% Hyb |
₹0.00 Cr 0% Gold |
₹0.45 Cr 8% Liq |
|
| Nippon India MF | ₹4.18 Cr 4.5% Share |
₹2.85 Cr 68% Eq |
₹0.00 Cr 0% Debt |
₹0.28 Cr 7% Hyb |
₹0.01 Cr 0% Gold |
₹1.03 Cr 25% Liq |
|
| Aditya Birla Sun Life MF | ₹3.29 Cr 3.5% Share |
₹1.62 Cr 49% Eq |
₹0.01 Cr 0% Debt |
₹0.00 Cr 0% Hyb |
₹0.00 Cr 0% Gold |
₹1.66 Cr 50% Liq |
|
| Tata Mutual Fund | ₹1.19 Cr 1.3% Share |
₹0.86 Cr 72% Eq |
₹0.00 Cr 0% Debt |
₹0.10 Cr 9% Hyb |
₹0.00 Cr 0% Gold |
₹0.23 Cr 19% Liq |
|
| Franklin Templeton MF | ₹1.09 Cr 1.2% Share |
₹0.73 Cr 67% Eq |
₹0.04 Cr 4% Debt |
₹0.32 Cr 30% Hyb |
₹0.00 Cr 0% Gold |
₹0.00 Cr 0% Liq |
|
| Other AMC (PP) | ₹0.06 Cr 0.1% Share |
₹0.01 Cr 22% Eq |
₹0.00 Cr 0% Debt |
₹0.00 Cr 0% Hyb |
₹0.00 Cr 0% Gold |
₹0.05 Cr 78% Liq |
📄 All values are aggregated and reconciled across schemes under each AMC.
● Equity
● Debt
● Hybrid / FOF
● Commodity / Gold
● Liquid / Cash
🔄 Last Refreshed: 27 Jul 2025, 10:30 AM
Practice-Wide Sector & Industry Exposure
Projected from sectoral mandates and institutional diversified benchmark weights
📊 Sector Concentration Progress Bars
1. Sovereign & Corporate Fixed Income₹30.46 Cr (32.8%)
2. IT, Software & Technology₹24.87 Cr (26.8%)
3. Banking & Financial Services (BFSI)₹14.20 Cr (15.3%)
4. Infrastructure & Capital Goods₹5.65 Cr (6.1%)
5. FMCG & Domestic Consumption₹4.30 Cr (4.6%)
6. Healthcare & Pharmaceuticals₹3.82 Cr (4.1%)
7. Energy, Utilities & Resources₹3.73 Cr (4.0%)
8. Automobiles & Ancillaries₹3.18 Cr (3.4%)
9. Metals, Mining & Chemicals₹2.76 Cr (3.0%)
Macro Asset Class Allocation Dashboard (5 Classes including Commodity & Gold)
Aggregating Equity, Debt, Hybrid, Commodity/Gold, and Cash reserves
| Macro Asset Category | Total Invested Volume (₹) | % Share of AUM | Total Inflow (₹) | Redemptions (₹) | Net Added Capital (₹) | Scheme & Folio Reach |
|---|---|---|---|---|---|---|
| Equity Book | ₹48.33 Cr | 52.0% AUM | +₹40.87 Cr | -₹7.46 Cr | +₹33.41 Cr | 94 Schemes (952 Folios) |
| Ultra Liquid & Cash | ₹21.44 Cr | 23.1% AUM | +₹13.08 Cr | -₹8.36 Cr | +₹4.72 Cr | 19 Schemes (205 Folios) |
| Hybrid, FOF & Multi-Asset | ₹15.84 Cr | 17.0% AUM | +₹13.21 Cr | -₹2.64 Cr | +₹10.57 Cr | 18 Schemes (282 Folios) |
| Debt & Fixed Income | ₹6.90 Cr | 7.4% AUM | +₹3.28 Cr | -₹3.62 Cr | +₹-0.33 Cr | 11 Schemes (92 Folios) |
| Commodity & Gold Book | ₹0.44 Cr | 0.5% AUM | +₹0.44 Cr | -₹0.00 Cr | +₹0.44 Cr | 4 Schemes (6 Folios) |
Granular SEBI / AMFI Fund Category Master
Direct listing of all 14 scheme categories in SCHEME_TYP
| SEBI Fund Category (SCHEME_TYP) | Macro Asset Group | Total Volume (₹) & Share | Inflows (₹) | Redemptions (₹) | Net Capital Added (₹) | Folios | Avg Ticket (₹) |
|---|---|---|---|---|---|---|---|
| Equity(G) | Equity Book | ₹47.67 Cr (51.3%) | +₹40.24 Cr | -₹7.44 Cr | +₹32.80 Cr | 940 Folios | ₹76,225 |
| Ultra Liquid | Ultra Liquid & Cash | ₹20.96 Cr (22.5%) | +₹12.87 Cr | -₹8.09 Cr | +₹4.78 Cr | 198 Folios | ₹124,100 |
| MIP | Debt & Fixed Income | ₹6.13 Cr (6.6%) | +₹2.96 Cr | -₹3.17 Cr | +₹-0.21 Cr | 78 Folios | ₹65,374 |
| STP | Hybrid, FOF & Multi-Asset | ₹5.47 Cr (5.9%) | +₹3.15 Cr | -₹2.32 Cr | +₹0.83 Cr | 50 Folios | ₹148,565 |
| FOF | Hybrid, FOF & Multi-Asset | ₹4.88 Cr (5.2%) | +₹4.74 Cr | -₹0.14 Cr | +₹4.59 Cr | 154 Folios | ₹65,237 |
| Balanced | Hybrid, FOF & Multi-Asset | ₹4.06 Cr (4.4%) | +₹3.88 Cr | -₹0.18 Cr | +₹3.71 Cr | 73 Folios | ₹190,396 |
| FOF Domestic | Commodity & Gold Book | ₹1.49 Cr (1.6%) | +₹1.49 Cr | -₹0.00 Cr | +₹1.49 Cr | 24 Folios | ₹372,593 |
| Bond | Debt & Fixed Income | ₹0.74 Cr (0.8%) | +₹0.30 Cr | -₹0.44 Cr | +₹-0.15 Cr | 13 Folios | ₹52,949 |
| Equity(S) | Equity Book | ₹0.65 Cr (0.7%) | +₹0.62 Cr | -₹0.03 Cr | +₹0.59 Cr | 34 Folios | ₹36,595 |
| Cash | Ultra Liquid & Cash | ₹0.48 Cr (0.5%) | +₹0.21 Cr | -₹0.27 Cr | +₹-0.06 Cr | 7 Folios | ₹92,178 |
| Gold FOF | Commodity & Gold Book | ₹0.39 Cr (0.4%) | +₹0.39 Cr | -₹0.00 Cr | +₹0.39 Cr | 2 Folios | ₹1,925,406 |
| Arbitrage Fund | Debt & Fixed Income | ₹0.02 Cr (0.0%) | +₹0.02 Cr | -₹0.00 Cr | +₹0.02 Cr | 1 Folios | ₹47,602 |
| Index Fund | Equity Book | ₹0.01 Cr (0.0%) | +₹0.01 Cr | -₹0.00 Cr | +₹0.01 Cr | 2 Folios | ₹19,136 |
| ELSS | Equity Book | ₹0.00 Cr (0.0%) | +₹0.00 Cr | -₹0.00 Cr | +₹0.00 Cr | 1 Folios | ₹28,539 |