INCO · Columbia India Consumer ETF
$62.31
-0.56 (-0.89%)
At close · Aug 14
Portfolio holdings reported by registered funds to the SEC on Form N-PORT — the individual securities a fund owns. Only mutual funds, ETFs and closed-end funds file N-PORT, so operating companies show no data.
Columbia India Consumer ETF
Reported 2026-03-31Net Assets
$213,191,165
Total Assets
$214,719,283
Holdings
31
Filed
2026-05-28
| Holding | CUSIP | Balance | Units | Value | % Net Assets | Category | Country |
|---|---|---|---|---|---|---|---|
| Eternal Ltd | 000000000 | 4,737,745 | NS | $11,437,672 | 5.36% | EC | IN |
| Titan Co Ltd | 000000000 | 259,379 | NS | $10,805,732 | 5.07% | EC | IN |
| ITC Ltd | 000000000 | 3,550,822 | NS | $10,770,532 | 5.05% | EC | IN |
| Hindustan Unilever Ltd | 000000000 | 494,081 | NS | $10,705,837 | 5.02% | EC | IN |
| Nestle India Ltd | 000000000 | 855,583 | NS | $10,597,282 | 4.97% | EC | IN |
| Bajaj Auto Ltd | 000000000 | 112,087 | NS | $10,377,490 | 4.87% | EC | IN |
| Mahindra & Mahindra Ltd | 000000000 | 329,924 | NS | $10,277,694 | 4.82% | EC | IN |
| Maruti Suzuki India Ltd | 000000000 | 77,736 | NS | $10,085,734 | 4.73% | EC | IN |
| Eicher Motors Ltd | 000000000 | 144,367 | NS | $10,024,392 | 4.70% | EC | IN |
| TVS Motor Co Ltd | 000000000 | 280,699 | NS | $9,954,958 | 4.67% | EC | IN |
| Hero MotoCorp Ltd | 000000000 | 155,117 | NS | $8,280,102 | 3.88% | EC | IN |
| Tata Consumer Products Ltd | 000000000 | 763,358 | NS | $8,167,274 | 3.83% | EC | IN |
| Trent Ltd | 000000000 | 233,442 | NS | $8,111,632 | 3.80% | EC | IN |
| Britannia Industries Ltd | 000000000 | 140,662 | NS | $8,042,384 | 3.77% | EC | IN |
| Tata Motors Passenger Vehicles Limited | 000000000 | 2,461,493 | NS | $7,686,914 | 3.61% | EC | IN |
| Avenue Supermarts Ltd | 000000000 | 175,846 | NS | $7,335,758 | 3.44% | EC | IN |
| Varun Beverages Ltd | 000000000 | 1,567,624 | NS | $6,348,258 | 2.98% | EC | IN |
| Indian Hotels Co Ltd/The | 000000000 | 1,019,186 | NS | $6,135,076 | 2.88% | EC | IN |
| Samvardhana Motherson International Ltd | 000000000 | 5,307,630 | NS | $5,880,159 | 2.76% | EC | IN |
| Marico Ltd | 000000000 | 640,965 | NS | $4,973,373 | 2.33% | EC | IN |
| Bharat Forge Ltd | 000000000 | 281,678 | NS | $4,973,160 | 2.33% | EC | IN |
| Godrej Consumer Products Ltd | 000000000 | 460,371 | NS | $4,779,961 | 2.24% | EC | IN |
| Lenskart Solutions Ltd | 000000000 | 905,433 | NS | $4,766,354 | 2.24% | EC | IN |
| United Spirits Ltd | 000000000 | 352,376 | NS | $4,528,008 | 2.12% | EC | IN |
| Swiggy Ltd | 000000000 | 1,594,616 | NS | $4,372,012 | 2.05% | EC | IN |
| FSN E-Commerce Ventures Ltd | 000000000 | 1,344,799 | NS | $3,331,913 | 1.56% | EC | IN |
| Hyundai Motor India Ltd | 000000000 | 170,120 | NS | $3,189,007 | 1.50% | EC | IN |
| Bosch Ltd | 000000000 | 10,398 | NS | $3,151,233 | 1.48% | EC | IN |
| Dabur India Ltd | 000000000 | 686,575 | NS | $2,971,096 | 1.39% | EC | IN |
| LG Electronics India Ltd | 000000000 | 121,935 | NS | $1,852,511 | 0.87% | EC | IN |
| Goldman Sachs Financial Square Funds - Treasury Instruments Fund | 38142B500 | 758,483 | NS | $758,483 | 0.36% | EC | US |
Showing 1–31 of 31 holdings
Key facts
CIK
1450501
CUSIP
19762B707
13F (30d)
25 filings
25 filers