| Company | % NAV | Mkt Value | Weight |
|---|---|---|---|
Reliance Industries Limited |
8.04% | ₹2,546L | |
HDFC Bank Limited |
7.89% | ₹2,501L | |
ICICI Bank Limited |
6.41% | ₹2,030L | |
Hindalco Industries Limited |
4.01% | ₹1,270L | |
Bharti Airtel Limited |
3.77% | ₹1,196L | |
State Bank of India |
3.52% | ₹1,114L | |
Axis Bank Limited |
3.37% | ₹1,068L | |
Infosys Limited |
3.36% | ₹1,065L | |
Bharat Heavy Electricals Limited |
3.27% | ₹1,036L | |
Cartrade Tech Limited |
3.00% | ₹950L | |
Bajaj Finance Limited |
2.92% | ₹924L | |
Tata Steel Limited |
2.40% | ₹760L | |
Persistent Systems Limited |
2.34% | ₹742L | |
Thermax Limited |
2.15% | ₹682L | |
Bharat Electronics Limited |
2.04% | ₹645L | |
Jindal Steel Limited |
1.99% | ₹631L | |
Adani Ports and Special Economic Zone Limited |
1.93% | ₹612L | |
Sun Pharmaceutical Industries Limited |
1.91% | ₹604L | |
Tata Consultancy Services Limited |
1.83% | ₹580L | |
Hitachi Energy India Limited |
1.82% | ₹577L | |
Tech Mahindra Limited |
1.41% | ₹447L | |
HDFC Asset Management Company Limited |
1.32% | ₹418L | |
Vedanta Limited |
1.26% | ₹400L | |
JSW Steel Limited |
1.09% | ₹346L | |
Berger Paints (I) Limited |
1.02% | ₹324L | |
| Instrument | Coupon | % NAV | Mkt Value |
|---|---|---|---|
Net Receivables / (Payables) |
- | 9.58% | ₹3,029L |
| Instrument | % NAV | Mkt Value |
|---|---|---|
TREPS 03-Aug-2026 |
+3.89% | ₹1,233L |
| Instrument | % NAV | Mkt Value |
|---|---|---|
91 Days Tbill (MD 17/09/2026) |
+9.41% | ₹2,980L |
No options positions
No futures positions
Diviniti Equity Long-Short Fund currently holds no short positions. The fund is in its deployment phase, operating as a long-only strategy. The 13.3% cash & equivalents allocation provides liquidity for future short book deployment and earns 6.5–7.5% per annum via TREPS and money market instruments.
Monitor when the fund manager begins deploying the short book — this signals the transition to the intended long-short strategy.
Tequity initiated coverage of Diviniti Equity Long-Short Fund with the March 2026 portfolio disclosure. Updated monthly as ITI Mutual Fund publishes new disclosures on the AMFI portal.
Data sourced directly from AMFI monthly portfolio disclosure. All figures as a percentage of Net Asset Value.
Net long: 100.00%. Gross exposure: 100.00%. Equity: 77.12%, Debt: 9.58%, Cash & Equiv: 13.30%, Options Short: 0.00%, Futures Short: 0.00%. Naked futures short: 0% (fully hedged). Total positions: 33.
Net long: 100.00%. Gross exposure: 100.00%. Equity: 73.16%, Debt: 9.02%, Cash & Equiv: 17.82%, Options Short: 0.00%, Futures Short: 0.00%. Naked futures short: 0% (fully hedged). Total positions: 27.
Net long: 100.00%. Gross exposure: 100.00%. Equity: 74.72%, Debt: 12.41%, Cash & Equiv: 12.87%, Options Short: 0.00%, Futures Short: 0.00%. Naked futures short: 0% (fully hedged). Total positions: 37.
Net long: 100.00%. Gross exposure: 100.00%. Equity: 68.50%, Debt: 15.34%, Cash & Equiv: 16.16%, Options Short: 0.00%, Futures Short: 0.00%. Naked futures short: 0% (fully hedged). Total positions: 36.
Net long: 100.00%. Gross exposure: 100.00%. Equity: 69.55%, Debt: 22.67%, Cash & Equiv: 7.78%, Options Short: 0.00%, Futures Short: 0.00%. Naked futures short: 0% (fully hedged). Total positions: 37.