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§01 · MARKETS · AMC · SHRIRAM MUTUAL FUND · CONCENTRATIONAs of 2026-05-30

Shriram Mutual Fund — sector concentration.

Where Shriram Mutual Fund's equity book lives, by sector. Computed from the top-50 stock holdings disclosed in the AMC's monthly portfolio report.

§02 · MARKETS · SECTORS · SHRIRAM MUTUAL FUND · SECTOR EXPOSURESorted by %

How the book splits across sectors.

§03 · MARKETS · HOLDINGS · SHRIRAM MUTUAL FUND · TOP-10 STOCKSFrom top-50, ranked by AUM share

The single names doing the heavy lifting.

Shriram Mutual Fund — top 10 stocks by % of equity AUM, aggregated across every equity scheme this AMC runs.
#StockSector% AUM₹ ExposureSchemes
1HDFC Bank LimitedFinancial Services6.53%₹22 Cr3
2Reliance Industries LimitedEnergy5.56%₹19 Cr3
3Axis Bank LimitedFinancial Services5.00%₹17 Cr3
4Bharti Airtel LimitedCommunication Services4.83%₹16 Cr3
5State Bank of IndiaFinancial Services4.23%₹14 Cr3
6Infosys LimitedTechnology2.69%₹9 Cr3
7Mahindra & Mahindra LimitedConsumer Cyclical2.63%₹9 Cr3
8Adani Ports and Special Economic Zone LimitedIndustrials2.52%₹8 Cr3
9ICICI Bank LimitedFinancial Services2.41%₹8 Cr2
10InterGlobe Aviation LimitedIndustrials2.39%₹8 Cr3
How these numbers are built

Top-50 stock holdings, rolled up across every equity scheme.

The % of AMC equitycolumn is each stock's share ofShriram Mutual Fund's total equity AUM, summed across every equity scheme this AMC runs. A stock held by ten ofShriram Mutual Fund's schemes shows up once here with the combined weight — not ten times.

Sector mapping uses the Morningstar taxonomy via the NSE/BSE ISIN bridge. Stocks outside the AMC's top-50 don't appear in this view; very small overweights may live below the threshold even if the AMC technically holds them.

The Gini coefficient is computed across the same top-50 universe. Shriram Mutual Fund's Gini = 0.490. Compare against the universe on the Gini scoreboard.

Full methodology · last computed 2026-05-30.

Holdings sourced from AMC monthly portfolio disclosures (AMFI), cross-referenced with NSE/BSE symbol masters and the Morningstar sector taxonomy. Concentration analysis is educational research, not a buy/sell signal. MintByte is an AMFI-registered mutual fund distributor (ARN-314872); SEBI Registered Investment Adviser and Research Analyst registrations are in process. Not investment advice.