CASH MARGIN DERIVATIVES

Analyze mutual fund ownership, AMC exposure and portfolio concentration for CASH MARGIN DERIVATIVES.

66
Funds Holding
44.55%
Total Exposure

📊 Quick Summary Of This Page

CASH MARGIN DERIVATIVES is held by multiple mutual funds across India, making it an important institutional holding. Analyze fund ownership patterns, exposure levels and investment concentration across AMCs.
🏆
Top Mutual Fund Owners
66
Mutual funds currently holding this company.
📈
Portfolio Exposure
44.55%
Combined exposure across funds.
🏦
Participating AMCs
4
Asset management companies.
🏦 Top AMC Owners
📊 Ownership Insights

CASH MARGIN DERIVATIVES is currently held by 66 mutual funds with a combined exposure of 44.55% .

The top 10 mutual funds together account for approximately 24.92% portfolio weight in this company.

This stock is most actively owned by 4 AMCs across multiple mutual fund categories.

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Frequently Asked Questions

This page shows mutual funds that currently invest in CASH MARGIN DERIVATIVES, along with their exposure and allocation percentage.

Mutual funds invest in CASH MARGIN DERIVATIVES based on factors such as financial performance, growth potential, valuation and sector outlook.

Mutual fund exposure to CASH MARGIN DERIVATIVES represents the total percentage of holdings across all mutual fund portfolios combined.

High mutual fund holding in CASH MARGIN DERIVATIVES indicates institutional interest, but it should be analyzed along with fundamentals and market conditions.

Yes, mutual funds frequently adjust their holdings in CASH MARGIN DERIVATIVES based on market conditions and investment strategy.

Multiple AMCs may invest in CASH MARGIN DERIVATIVES depending on their fund strategy, sector allocation and risk profile.

CASH MARGIN DERIVATIVES belongs to a specific industry sector which influences its inclusion in mutual fund portfolios.

Yes, you can track changes in mutual fund holdings of CASH MARGIN DERIVATIVES whenever new portfolio disclosures are released.

Mutual fund ownership can influence liquidity and demand, but stock price is affected by multiple market and business factors.

You can analyze institutional investment in CASH MARGIN DERIVATIVES by reviewing mutual fund holdings, allocation trends and ownership concentration.