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TRUSTMF Fixed Maturity Plan - Series II (1196 Days) Direct - Growth Portfolio Analysis

Portfolio Asset Allocation

as on Dec 31, 2025
AAA 26.83666393 %
AA 19.7355436 %
A 12.63610867 %
AA+ 11.08975476 %

Portfolio Overview

as on Dec 31, 2025
Debenture 40.429406099999994 %
Non Convertible Debenture 32.3803673 %
Certificate of Deposit 10.96036569 %
Bonds 6.9465007 %

Historical Trend in Instrument Sector Allocation

as on Dec 31, 2025
  • %
  • #
Sector Dec 25 Oct 25 Sep 25 Aug 25 May 25 Mar 25 Dec 24 Nov 24 Oct 24 Sep 24 Aug 24 Jul 24 Jun 24 May 24 Apr 24 Feb 24 Jan 24
Financial 29.98 % 19.02 Cr 30.209999999999997 % 18.96 Cr 25.61 % 15.98 Cr 25.68 % 15.94 Cr 25.260000000000005 % 15.38 Cr 20.0 % 11.97 Cr 22.88 % 13.41 Cr 21.299999999999997 % 12.4 Cr 21.450000000000003 % 12.41 Cr 19.85 % 11.39 Cr 19.990000000000002 % 11.4 Cr 20.130000000000003 % 11.4 Cr 19.419999999999998 % 10.9 Cr 19.52 % 10.88 Cr 19.69 % 10.89 Cr 19.939999999999998 % 10.86 Cr 20.11 % 10.88 Cr 18.09
Energy 18.02 % 11.43 Cr 18.27 % 11.46 Cr 18.4 % 11.47 Cr 18.509999999999998 % 11.49 Cr 16.59 % 10.1 Cr 16.79 % 10.05 Cr 17.09 % 10.01 Cr 17.22 % 10.02 Cr 17.34 % 10.03 Cr 17.47 % 10.02 Cr 17.58 % 10.02 Cr 17.7 % 10.02 Cr 17.79 % 9.99 Cr 17.92 % 9.99 Cr 18.04 % 9.97 Cr 18.3 % 9.97 Cr 18.4 % 9.96 Cr 8.95
Construction 16.28 % 10.32 Cr 16.48 % 10.34 Cr 16.59 % 10.34 Cr 16.71 % 10.37 Cr 17.06 % 10.39 Cr 17.27 % 10.34 Cr 17.62 % 10.32 Cr 17.73 % 10.32 Cr 17.86 % 10.32 Cr 17.96 % 10.31 Cr 18.06 % 10.3 Cr 18.189999999999998 % 10.3 Cr 18.310000000000002 % 10.28 Cr 18.43 % 10.27 Cr 16.18 % 8.95 Cr 16.42 % 8.94 Cr 16.509999999999998 % 8.94 Cr 13.65
Consumer Staples 11.84 % 7.51 Cr 13.99 % 8.78 Cr 14.079999999999998 % 8.78 Cr 14.16 % 8.79 Cr 16.53 % 10.07 Cr 16.77 % 10.03 Cr 17.1 % 10.01 Cr 17.23 % 10.03 Cr 17.35 % 10.03 Cr 17.47 % 10.03 Cr 17.59 % 10.03 Cr 17.75 % 10.05 Cr 17.880000000000003 % 10.04 Cr 17.990000000000002 % 10.03 Cr 18.14 % 10.03 Cr 18.35 % 10 Cr 18.52 % 10.03 Cr 8.69
Communication 6.77 % 4.29 Cr 6.85 % 4.3 Cr 6.89 % 4.29 Cr 6.92 % 4.29 Cr 7.05 % 4.29 Cr 7.12 % 4.26 Cr 7.23 % 4.23 Cr 7.28 % 4.23 Cr 7.31 % 4.22 Cr 7.36 % 4.22 Cr 7.39 % 4.21 Cr 7.44 % 4.21 Cr 7.49 % 4.2 Cr 7.53 % 4.19 Cr 7.58 % 4.19 Cr 7.66 % 4.17 Cr 7.7 % 4.16 Cr 6.77
Others 15.54 % 9.86 Cr 11.0 % 6.89 Cr 15.219999999999999 % 9.49 Cr 13.15 % 8.16 Cr 10.91 % 6.64 Cr 15.35 % 9.19 Cr 11.2 % 6.55 Cr 12.3 % 7.16 Cr 11.72 % 6.77 Cr 12.86 % 7.38 Cr 12.280000000000001 % 7 Cr 11.67 % 6.6 Cr 11.92 % 6.69 Cr 11.35 % 6.32 Cr 13.04 % 7.21 Cr 7.29 % 3.97 Cr 11.26 % 6.1 Cr 36.15
Capital Goods 1.58 % 1 Cr 3.2 % 2.01 Cr 3.23 % 2.01 Cr 4.86 % 3.01 Cr 6.61 % 4.02 Cr 6.72 % 4.02 Cr 6.88 % 4.02 Cr 6.93 % 4.03 Cr 6.98 % 4.03 Cr 7.03 % 4.03 Cr 7.09 % 4.04 Cr 7.14 % 4.04 Cr 7.19 % 4.03 Cr 7.27 % 4.05 Cr 7.32 % 4.05 Cr 7.45 % 4.06 Cr 7.5 % 4.06 Cr 1.31

Sector Allocation Vs Category

as on Dec 31, 2025

Complete Current Instrument Holdings

as on Dec 31, 2025
InstrumentSector% of holdingValue
ONGC Petro Additions Ltd.Energy 7.92 % 5.02 Cr
The Great Eastern Shipping Company Ltd.Energy 7.91 % 5.01 Cr
REC Ltd.Financial 7.91 % 5.01 Cr
Tata Projects Ltd.Construction 7.9 % 5.01 Cr
Aditya Birla Real Estate Ltd.Consumer Staples 7.89 % 5 Cr
Avanse Financial Services Ltd.Financial 7.88 % 4.99 Cr
Summit Digitel Infrastructure Pvt. Ltd.Communication 6.77 % 4.29 Cr
Renserv Global Pvt Ltd.Others 6.32 % 4 Cr
Profectus Capital Private Ltd.Construction 6.32 % 4 Cr
Axis Bank Ltd.Financial 5.46 % 3.46 Cr
National Bank For Agriculture & Rural DevelopmentFinancial 4.71 % 2.99 Cr
Andhra Pradesh State Beverages Corporation Ltd.Consumer Staples 3.95 % 2.5 Cr
Shriram Finance LtdFinancial 3.17 % 2.01 Cr
Power Grid Corporation Of India Ltd.Energy 2.19 % 1.39 Cr
Mindspace Business Parks REITConstruction 2.06 % 1.3 Cr
Uttar Pradesh Power Corporation LtdCapital Goods 1.58 % 1 Cr
Bank Of BarodaFinancial 0.79 % 49.9 L
Reserve Bank of IndiaFinancial 0.06 % 3.99 L