Historical holding Details of Reliance Industries Ltd in HDFC Hybrid Equity Fund Growth

HDFC Hybrid Equity Fund Growth holds 7,350.0 K shares worth 1,102.94 Cr worth of Reliance Industries Ltd shares as of Jun 30, 2025.

Holding Date % of Total Holding 1M Change % Quantity Month Change in Shares Value
Jun 30, 2025 4.44 % - 7,350.0 K - 1,102.94 Cr
May 31, 2025 4.27 % - 7,350.0 K - 1,044.36 Cr
Apr 30, 2025 4.33 % - 7,350.0 K - 1,032.67 Cr
Mar 31, 2025 4.03 % - 7,350.0 K - 937.2 Cr
Feb 28, 2025 3.99 % - 7,350.0 K - 882.07 Cr
Jan 31, 2025 3.98 % - 7,350.0 K - 929.85 Cr
Dec 31, 2024 3.74 % - 7,350.0 K - 893.36 Cr
Nov 30, 2024 3.93 % - 7,350.0 K - 949.77 Cr
Oct 31, 2024 4.07 % - 7,350.0 K - 979.06 Cr
Sep 30, 2024 4.38 % - 3,675.0 K - 1,085.28 Cr
Aug 31, 2024 4.5 % - 3,675.0 K - 1,109.57 Cr
Jul 31, 2024 4.5 % - 3,675.0 K - 1,106.49 Cr
Jun 30, 2024 4.78 % - 3,675.0 K - 1,150.57 Cr
May 31, 2024 4.54 % - 3,675.0 K - 1,051.34 Cr
Apr 30, 2024 4.67 % - 3,675.0 K - 1,078.24 Cr
Mar 31, 2024 4.81 % - 3,675.0 K - 1,092.1 Cr
Feb 29, 2024 4.74 % - 3,675.0 K - 1,073.69 Cr
Jan 31, 2024 4.67 % - 3,675.0 K - 1,048.57 Cr
Dec 31, 2023 4.27 % - 3,675.0 K - 949.97 Cr
Nov 30, 2023 4.12 % - 3,675.0 K - 873.71 Cr
Oct 31, 2023 4.09 % - 3,675.0 K - 840.8 Cr
Sep 30, 2023 4.09 % - 3,675.0 K - 861.79 Cr
Aug 31, 2023 4.26 % - 3,675.0 K - 884.57 Cr
Jul 31, 2023 4.45 % - 3,675.0 K - 936.85 Cr
Jun 30, 2023 4.58 % - 3,675.0 K - 937.22 Cr
May 31, 2023 4.56 % - 3,675.0 K - 907.69 Cr
Apr 30, 2023 4.58 % - 3,675.0 K - 889.53 Cr
Mar 31, 2023 4.54 % - 3,675.0 K - 856.66 Cr
Feb 28, 2023 4.56 % - 3,675.0 K - 853.54 Cr
Jan 31, 2023 4.59 % - 3,675.0 K - 865.04 Cr
Dec 31, 2022 4.88 % - 3,675.0 K - 936.1 Cr
Nov 30, 2022 5.12 % - 3,675.0 K - 1,003.77 Cr
Oct 31, 2022 4.9 % - 3,675.0 K - 936.98 Cr
Sep 30, 2022 4.75 % - 3,675.0 K - 873.82 Cr
Aug 31, 2022 5.13 % - 3,675.0 K - 969.45 Cr
Jul 31, 2022 5.04 % - 3,675.0 K - 922.22 Cr
Jun 30, 2022 5.55 % - 3,675.0 K - 953.9 Cr
May 31, 2022 5.45 % - 3,675.0 K - 967.5 Cr
Apr 30, 2022 5.62 % - 3,675.0 K - 1,025.42 Cr
Mar 31, 2022 5.25 % - 3,675.0 K - 968.27 Cr
Feb 28, 2022 4.79 % - 3,675.0 K - 867.13 Cr
Jan 31, 2022 4.69 % - 3,675.0 K - 877.08 Cr
Dec 31, 2021 4.72 % - 3,675.0 K - 870.3 Cr
Nov 30, 2021 4.82 % -3.29 % 3,675.0 K -125.0 K 883.98 Cr
Oct 31, 2021 5.08 % - 3,800.0 K - 963.77 Cr
Sep 30, 2021 5.06 % - 3,800.0 K - 957.32 Cr
Aug 31, 2021 4.57 % - 3,800.0 K - 858.1 Cr
Jul 31, 2021 4.2 % - 3,800.0 K - 773.41 Cr
Jun 30, 2021 4.4 % - 3,800.0 K - 802.05 Cr
May 31, 2021 4.5 % - 3,800.0 K - 820.91 Cr
Apr 30, 2021 4.4 % - 3,800.0 K - 757.91 Cr
Mar 31, 2021 4.4 % - 3,800.0 K - 761.18 Cr
Feb 28, 2021 4.52 % - 3,800.0 K - 792.6 Cr
Jan 31, 2021 4.21 % - 3,800.0 K - 699.94 Cr
Dec 31, 2020 4.27 % - 3,800.0 K - 733.32 Cr
Nov 30, 2020 4.84 % - 3,800.0 K - 780.71 Cr
Oct 31, 2020 4.84 % - 3,800.0 K - 780.71 Cr
Sep 30, 2020 5.24 % -3.58 % 3,800.0 K -141.01 K 849.05 Cr
Aug 31, 2020 4.81 % - 3,941.01 K - 820.01 Cr
Jul 31, 2020 4.83 % - 3,941.01 K - 814.65 Cr
Jun 30, 2020 4.07 % - 3,941.01 K - 671.59 Cr
May 31, 2020 3.66 % - 3,941.01 K - 577.12 Cr
Apr 30, 2020 3.54 % - 3,941.01 K - 577.75 Cr
Mar 31, 2020 2.95 % - 3,941.01 K - 438.93 Cr
Feb 29, 2020 2.77 % - 3,941.01 K - 523.62 Cr
Jan 31, 2020 2.75 % - 3,941.01 K - 556.33 Cr
Dec 31, 2019 2.9 % - 3,941.01 K - 596.69 Cr
Nov 30, 2019 2.92 % - 3,941.01 K - 611.31 Cr
Oct 31, 2019 2.74 % - 3,941.01 K - 577.1 Cr
Sep 30, 2019 2.49 % - 3,941.01 K - 525.04 Cr
Aug 31, 2019 2.38 % - 3,941.01 K - 492.05 Cr
Jul 31, 2019 2.17 % - 3,941.01 K - 459.62 Cr