Historical holding Details of CARE Ratings Ltd in Mirae Asset Multicap Fund Direct Growth

Mirae Asset Multicap Fund Direct Growth holds - shares worth - worth of CARE Ratings Ltd shares as of Feb 28, 2026.

Holding Date % of Total Holding 1M Change % Quantity Month Change in Shares Value
Feb 28, 2026 - - - -207.19 K -
Jan 31, 2026 0.72 % -17.05 % 207.19 K -42.58 K 33.2 Cr
Dec 31, 2025 0.87 % - 249.78 K - 39.96 Cr
Nov 30, 2025 0.84 % - 249.78 K - 38.02 Cr
Oct 31, 2025 0.91 % 2.68 % 249.78 K 6.51 K 40.08 Cr
Sep 30, 2025 0.9 % - 243.27 K - 37.09 Cr
Aug 31, 2025 0.96 % 1.36 % 243.27 K 3.26 K 38.03 Cr
Jul 31, 2025 1.03 % - 240.0 K - 40.72 Cr
Jun 30, 2025 1.09 % -8.44 % 240.0 K -22.13 K 42.92 Cr
May 31, 2025 1.27 % -36.81 % 262.13 K -152.73 K 47.08 Cr
Apr 30, 2025 1.44 % - 414.86 K - 50.17 Cr
Mar 31, 2025 1.38 % - 414.86 K - 45.88 Cr
Feb 28, 2025 1.52 % - 414.86 K - 46.54 Cr
Jan 31, 2025 1.56 % - 414.86 K - 51.33 Cr
Dec 31, 2024 1.65 % - 414.86 K - 57.24 Cr
Nov 30, 2024 1.83 % - 414.86 K - 62.97 Cr
Oct 31, 2024 1.8 % 8.18 % 414.86 K 31.39 K 60.61 Cr
Sep 30, 2024 1.12 % - 383.48 K - 38.77 Cr
Jul 31, 2024 1.14 % - 383.48 K - 37.98 Cr
Jun 30, 2024 1.31 % - 383.48 K - 40.76 Cr
May 31, 2024 1.39 % - 383.48 K - 38.71 Cr
Apr 30, 2024 1.71 % - 383.48 K - 45.84 Cr
Mar 31, 2024 1.73 % -5.38 % 383.48 K -21.81 K 42.93 Cr
Feb 29, 2024 1.93 % - 405.29 K - 47.04 Cr
Jan 31, 2024 1.77 % 19.94 % 405.29 K 67.37 K 41.78 Cr
Dec 31, 2023 1.45 % 27.77 % 337.91 K 73.45 K 32.16 Cr
Nov 30, 2023 1.24 % 98.34 % 264.46 K 131.12 K 24.19 Cr
Oct 31, 2023 0.7 % 131.18 % 133.34 K 75.66 K 12.14 Cr
Sep 30, 2023 0.3 % - 57.68 K 57.68 K 5.06 Cr