Mutual Funds Holding IRB INVIT FUND

Services7 fundsISIN INE183W23014

As of 31 July 2026, 7 Indian mutual funds hold IRB INVIT FUND (Services), led by UTI - Equity Savings Fund at 1.9% of its net assets, per the AMCs' SEBI-mandated monthly disclosures.

As of 31 July 2026, 7 Indian mutual fund schemes disclose a holding in IRB INVIT FUND (Services). The table below lists every fund holding this stock along with its weight as a percentage of the fund's net assets (% to NAV), sorted from the highest conviction position downward.

Holding Analysis

Across the 7 funds holding IRB INVIT FUND, the average position size is 0.86% of net assets. The highest-conviction holder is UTI - Equity Savings Fund (Hybrid), at 1.9%. Hybrid funds account for 6 of the 7 holders, with the rest spread across 1 other category. Over the last month, 0 funds initiated a new position and 0 funds exited, with the largest weight change at UTI - Equity Savings Fund (+0.12pp to 1.9%).

Fund Activity Last Month

How funds changed their IRB INVIT FUND position between their two latest monthly disclosures. Weights are % to NAV; weight moves can also reflect price changes, not only buying or selling.

1 increased

Weight Increased

FundWeightChange
UTI - Equity Savings Fund1.78% → 1.9%▲ +0.12

Funds Holding IRB INVIT FUND

#FundAMCCategory% to NAV
1UTI - Equity Savings FundUTI Mutual FundHybrid1.9%
2Aditya Birla Sun Life Equity Hybrid '95 FundAditya Birla Sun Life Mutual FundHybrid1.47%
3UTI - Infrastructure FundUTI Mutual FundThematic0.97%
4UTI Aggressive Hybrid FundUTI Mutual FundHybrid0.76%
5UTI Multi Asset Allocation FundUTI Mutual FundHybrid0.75%
6Aditya Birla Sun Life Balanced Advantage FundAditya Birla Sun Life Mutual FundHybrid0.17%
7Aditya Birla Sun Life Regular Savings FundAditya Birla Sun Life Mutual FundHybrid0.01%

Want to interpret these weights? Read How to Read a Mutual Fund's Monthly Portfolio Disclosure, or look up terms like % to NAV and conviction in the glossary.

Source: SEBI-mandated monthly portfolio disclosures by Indian AMCs. Percentages are of each fund's net assets on its latest disclosure date. For information only, not investment advice.