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PORTFOLIO COMPOSITION

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Templeton India Equity Income Fund
Fund Franklin Templeton Mutual Fund
Category Equity - Multi Cap
Type Open Ended
NAV(27/09/2024) 151.3516
Percentage Returns
1 Month Ago 1.23%
3 Months Ago 10.92%
1 Year Ago 52.37%
 
Portfolio Details as on 31 Aug. 2024
Company Name Sector Amount (Rs. Crs.) Percentage (%)
Equity
NTPC LtdPower - Generation/Distribution 158.166.18
NHPC LtdPower - Generation/Distribution 134.575.25
Infosys LtdIT Consulting & Software 133.505.21
Oil & Natural Gas Corporation LtdOil Drilling And Exploration 115.764.52
HCL Technologies LtdIT Consulting & Software 112.374.39
ITC LtdCigarettes & Tobacco Products 102.894.02
GAIL (India) LtdGas Transmission/Marketing 99.763.90
Power Grid Corporation of India LtdPower - Transmission/Equipment 97.143.79
Coal India LtdMining/Minerals 89.973.51
HDFC Bank LtdFinance - Banks - Private Sector 68.752.68
CESC LtdPower - Generation/Distribution 63.842.49
Tech Mahindra LtdIT Consulting & Software 57.282.24
Castrol India LtdLubricants 55.832.18
Petronet LNG LtdLPG/CNG/PNG/LNG Bottling/Distribution 55.102.15
Hindustan Petroleum Corporation LtdRefineries 54.122.11
Tata Consultancy Services LtdIT Consulting & Software 54.122.11
Bharat Electronics LtdAerospace & Defense 50.881.99
360 One Wam LtdFinance & Investments 44.251.73
Akzo Nobel India LtdPaints/Varnishes 39.851.56
Emami LtdPersonal Care 38.911.52
Gujarat State Petronet LtdGas Transmission/Marketing 37.181.45
Indian Oil Corporation LtdRefineries 36.601.43
Maruti Suzuki India LtdAuto - Cars & Jeeps 35.971.40
Hindustan Unilever LtdPersonal Care 33.341.30
Chambal Fertilizers & Chemicals LtdFertilisers 30.131.18
Grasim Industries LtdCement 26.991.05
IndusInd Bank LtdFinance - Banks - Private Sector 22.800.89
Gateway Distriparks LtdLogistics - Warehousing/Supply Chain/Others 22.590.88
Colgate Palmolive (India) LtdPersonal Care 21.840.85
Indus Towers LtdTelecom Equipment 20.140.79
Finolex Industries LtdPlastics - Pipes & Fittings 15.590.61
Equity
Grasim Industries Ltd- Partly PaidCement 0.600.02
Cash
Call, Cash & Other Assets 162.836.36
Mediatek Inc 50.461.97
Unilever PLC, (ADR) 47.221.84
YUANTA/P-SHRS TW DVD PLUS ETF 34.951.36
Novatek Microelectronics Corp. Ltd 26.521.04
Hon Hai Precision Industry Co Ltd 24.220.95
Primax Electronics Ltd 20.210.79
Hyundai Motor Co Ltd 19.630.77
Fila Holdings Corp 17.310.68
Cognizant Technology Solutions Corp., A 16.500.64
SK Telecom Co Ltd 15.030.59
Thai Beverage Pcl 14.260.56
Xtep International Holdings Ltd 12.830.50
Health & Happiness H&H International Holdings Ltd 8.490.33
Foreign Securities
Xinyi Solar Holdings Ltd 5.170.20
Embassy Office Parks REITReal Estate Investment Trusts (REIT) 82.453.22
Brookfield India Real Estate TrustReal Estate Investment Trusts (REIT) 66.012.58
Nexus Select Trust REITReal Estate Investment Trusts (REIT) 6.230.24
Total2561.12100.00