Deployment of Equity Funds Monthly Report for July   2013 
Sector Classification (as per AMFI) and Derivative Exposure Asset Under Management
  Amount(in Rs. Crores) % of Equity AUM  
BANKS 28,861.85 16.93  
SOFTWARE 22,009.28 12.91  
PHARMACEUTICALS 13,997.60 8.21  
CONSUMER NON DURABLES 13,258.39 7.78  
PETROLEUM PRODUCTS 9,979.18 5.85  
FINANCE 9,235.50 5.42  
AUTO 7,165.09 4.20  
OIL 5,584.90 3.28  
TELECOM - SERVICES 5,250.62 3.08  
CEMENT 4,933.68 2.89  
CONSTRUCTION PROJECT 4,768.19 2.80  
POWER 4,720.47 2.77  
AUTO ANCILLARIES 4,347.67 2.55  
INDUSTRIAL CAPITAL GOODS 4,195.33 2.46  
INDUSTRIAL PRODUCTS 3,808.64 2.23  
MEDIA AND ENTERTAINMENT 3,716.79 2.18  
TRANSPORTATION 2,297.13 1.35  
MINERALS/MINING 2,273.37 1.33  
GAS 1,954.36 1.15  
FERROUS METALS 1,938.49 1.14  
CONSUMER DURABLES 1,815.16 1.06  
CHEMICALS 1,796.73 1.05  
CONSTRUCTION 1,553.12 0.91  
NON - FERROUS METALS 1,460.72 0.86  
PESTICIDES 1,164.65 0.68  
TEXTILE PRODUCTS 1,155.86 0.68  
RETAILING 790.89 0.46  
FERTILISERS 651.22 0.38  
TEXTILE - COTTON 351.21 0.21  
TRADING 296.87 0.17  
DIVERSIFIED 214.38 0.13  
HEALTHCARE SERVICES 202.32 0.12  
ENGINEERING 179.08 0.11  
HOTELS 162.48 0.10  
TEXTILE - SYNTHETIC 147.29 0.09  
PAPER 136.48 0.08  
TELECOM - EQUIPMENT & ACCESSORIES 128.64 0.08  
HARDWARE 44.35 0.03  
OTHERS 1,975.29 1.16  
DERIVATIVES 1,946.76 1.14  
TOTAL 170,470.03 100.00