Sundaram Consumption Fund (Formerly Known As Sundaram Rural and Consumption Fund)

Sundaram Mutual Fund Β· FM: Rohit Seksaria, Shalav Saket, Anuj Bansal Β· INF903J01NH5 Β· Direct

NAV β‚Ή104.82 AUM β‚Ή1495 Cr as of 22 Sep 2026

Portfolio as of Jul 2026 Β· Last Update: 16-Aug-2026 05:02 PM IST

+ Track Fund

Returns

1D1M3M6M1Y3Y5YRank (1Y)TER
Fund +0.1% -2.6% +6.0% +15.3% -5.8% +9.9% +11.1% 189/234 1.66%
Equity allocation
91.70%
Non-equity allocation (combined)
8.30%

All Equity Holdings (35) as of Jul 2026

# Company Value (β‚Ή Cr) % of AUM Change
1 Bharti Airtel Ltd 131.0 8.76% β€”
2 Eternal Ltd (Previously Zomato Ltd) 128.9 8.63% β€”
3 Mahindra & Mahindra Ltd 114.5 7.66% β€”
4 Apollo Hospitals Enterprise Ltd 76.8 5.14% β€”
5 Titan Company Ltd 71.5 4.78% β€”
6 TVS Motor Company Ltd 68.1 4.56% β€”
7 Nestle India Ltd 65.1 4.36% β€”
8 Interglobe Aviation Ltd 58.5 3.91% β€”
9 S.J.S. Enterprises Ltd 56.2 3.76% β€”
10 Varun Beverages Ltd 50.7 3.39% β€”
11 ITC Ltd 43.7 2.92% β€”
12 Trent Ltd 40.6 2.71% β€”
13 Bajaj Auto Ltd 39.5 2.64% β€”
14 One 97 Communications Ltd 33.2 2.22% β€”
15 Jubilant Foodworks Ltd 32.0 2.14% β€”
16 United Spirits Ltd 30.7 2.06% β€”
17 Whirlpool of India Ltd 29.5 1.97% β€”
18 Asian Paints Ltd 26.4 1.77% β€”
19 Sapphire Foods India Ltd 26.0 1.74% β€”
20 Affle (India) Ltd 24.1 1.61% β€”
21 TATA Motors Ltd 23.6 1.58% β€”
22 Berger Paints (I) Ltd 22.1 1.48% β€”
23 PB Fintech Ltd 21.4 1.43% β€”
24 Safari Industries (India) Ltd 20.9 1.40% β€”
25 Electronics Mart India Ltd 19.8 1.32% β€”
26 Bikaji Foods International Ltd 19.4 1.30% β€”
27 ICICI Bank Ltd 14.9 1.00% β€”
28 360 ONE WAM Ltd (Prev IIFL Wealth Management Ltd) 14.7 0.98% β€”
29 Hyundai Motor India Ltd 14.1 0.94% β€”
30 LG Electronics India Ltd 13.7 0.91% β€”
31 Gillette India Ltd 13.6 0.91% β€”
32 Fortis Health Care Ltd 7.4 0.50% β€”
33 Page Industries Ltd 6.9 0.46% β€”
34 K.P.R. Mill Ltd 6.5 0.43% β€”
35 Manipal Health Enterprises Ltd 5.0 0.33% β€”

All disclosed equity positions are shown. Non-equity allocation is the remaining portfolio weight after disclosed equities.