Mahindra Manulife Dynamic Bond Fund
Holdings
17
Concentrated
Top 10 weight
87%
Concentration
Strategy
Active
Portfolio style
Equity
4%
Asset allocation
Portfolio
1Sectors7Large positions3.8%Top: ICRA AA+0.0%Cash
Market-cap allocation
Asset allocation
Equity4%
Top holdings
6.9% Government of India 2065DEBT21.2%
7.24% Government of India 2055DEBT9.0%
Reverse RepoDERIVATIVE8.8%
Mahindra Manulife Short Duration Fund - Direct Plan - GrowthMUTUAL_FUND5.7%
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Portfolio read
- 4% equity.
- Large-cap exposure is 0%.
- Largest equity sector is ICRA AA+ at 3.8%.
Watchpoints
- Review concentration alongside the fund mandate.
Generated from current fund metrics. Educational research only.
Peer comparison
Other funds in this category.
Explore comparable funds →Sector exposure
Showing top sectors from the current portfolio.
ICRA AA+3.8%
