According to the fact sheet of the Franklin India Flexi Cap Fund as of September 30, Priyanka Gandhi’s portfolio includes shares of ACC, ICICI Bank, HDFC Bank, Axis Bank, Kotak Mahindra Bank, Bharat Electronics, Hindustan Aeronautics, Tata Motors, Mahindra and Mahindra, Kalyan Jewellers, Tech Mahindra, and HCL Technologies.
Congress General Secretary Priyanka Gandhi holds a substantial portfolio of mutual funds. In her affidavit for the Wayanad bypoll, she declared 13,200 units of the Franklin India Flexi Cap Fund, valued at Rs 2.24 crore.
According to the fact sheet of the Franklin India Flexi Cap Fund as of September 30, Priyanka Gandhi’s portfolio includes shares of ACC, ICICI Bank, HDFC Bank, Axis Bank, Kotak Mahindra Bank, Bharat Electronics, Hindustan Aeronautics, Tata Motors, Mahindra and Mahindra, Kalyan Jewellers, Tech Mahindra, and HCL Technologies.
According to the Franklin India website, the fund has allocated its investments as follows: 24.79% in banking, 10.92% in IT, 6.51% in telecom services, 4.78% in cement and cement-related products, 4.48% in construction, 4.3% in automobiles, and 4.21% in petroleum products.
The Congress leader has also invested in other mutual fund schemes, including the Axis Growth Opportunity Fund (Rs 7.87 lakh), Axis Bluechip Fund (Rs 8.36 lakh), HDFC Small Cap Fund (Rs 8.84 lakh), and ICICI Prudential India Opportunity Fund (Rs 7.71 lakh), as of September 30.
Priyanka Gandhi has also invested in the Indian stock market, holding shares in 18 companies, six of which are government firms. As of October 18, the total value of her stock portfolio is Rs 65.72 lakh, with Rs 19.08 lakh invested in government shares.