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Tata Gilt Securities Fund Direct-Growth Portfolio Analysis

Portfolio Asset Allocation

as on Sep 30, 2025
SOV 97.31 %
Cash & Call Money 2.69 %

Portfolio Overview

as on Sep 30, 2025
GOI Securities 82.07000000000001 %
Central Government Loan 7.69 %
State Development Loan 7.55 %
Repo 2.7 %

Historical Trend in Instrument Sector Allocation

as on Sep 30, 2025
  • %
  • #
Sector Sep 25 Aug 25 May 25 Apr 25 Dec 24 Nov 24 Oct 24 Sep 24 Aug 24 Jul 24 Jun 24 May 24 Apr 24 Mar 24 Feb 24 Jan 24 Dec 23 Nov 23 Oct 23 Sep 23
Sovereign 89.76 % 1,137 Cr 89.93 % 1,129 Cr 94.21 % 1,091 Cr 93.53000000000002 % 1,073 Cr 96.89 % 1,046 Cr 96.89 % 947.78 Cr 96.28999999999999 % 841.14 Cr 84.83 % 692.33 Cr 89.21000000000001 % 680.79 Cr 74.47 % 536.06 Cr 86.12 % 582.68 Cr 62.989999999999995 % 458.32 Cr 52.36 % 400.12 Cr 69.47999999999999 % 363.37 Cr 76.13 % 333.29 Cr 59.900000000000006 % 199.8 Cr 74.32 % 233.17 Cr 71.12 % 206.73 Cr 96.03999999999999 % 274.47 Cr 94.6 % 287.29 Cr 84.82
Financial 7.55 % 95.67 Cr 7.65 % 96.06 Cr 0 % 0 0 % 0 0 % 0 0 % 0 0 % 0 0 % 0 0 % 0 6.92 % 49.81 Cr 0 % 0 13.73 % 99.9 Cr 9.8 % 74.89 Cr 0 % 0 5.7 % 24.97 Cr 15.0 % 50 Cr 0 % 0 0 % 0 0 % 0 0 % 0 -3.63

Sector Allocation Vs Category

as on Sep 30, 2025

Complete Current Instrument Holdings

as on Sep 30, 2025
InstrumentSector% of holdingValue
GOISovereign 7.69 % 1,137 Cr
Andhra Pradesh StateFinancial 7.55 % 95.67 Cr