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INCO · Columbia India Consumer ETF

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$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 2026-03-31
Net Assets
$213,191,165
Total Assets
$214,719,283
Holdings
31
Filed
2026-05-28
Holding Balance Value % Net Assets
Eternal Ltd 4,737,745 $11,437,672 5.36%
Titan Co Ltd 259,379 $10,805,732 5.07%
ITC Ltd 3,550,822 $10,770,532 5.05%
Hindustan Unilever Ltd 494,081 $10,705,837 5.02%
Nestle India Ltd 855,583 $10,597,282 4.97%
Bajaj Auto Ltd 112,087 $10,377,490 4.87%
Mahindra & Mahindra Ltd 329,924 $10,277,694 4.82%
Maruti Suzuki India Ltd 77,736 $10,085,734 4.73%
Eicher Motors Ltd 144,367 $10,024,392 4.70%
TVS Motor Co Ltd 280,699 $9,954,958 4.67%
Hero MotoCorp Ltd 155,117 $8,280,102 3.88%
Tata Consumer Products Ltd 763,358 $8,167,274 3.83%
Trent Ltd 233,442 $8,111,632 3.80%
Britannia Industries Ltd 140,662 $8,042,384 3.77%
Tata Motors Passenger Vehicles Limited 2,461,493 $7,686,914 3.61%
Avenue Supermarts Ltd 175,846 $7,335,758 3.44%
Varun Beverages Ltd 1,567,624 $6,348,258 2.98%
Indian Hotels Co Ltd/The 1,019,186 $6,135,076 2.88%
Samvardhana Motherson International Ltd 5,307,630 $5,880,159 2.76%
Marico Ltd 640,965 $4,973,373 2.33%
Bharat Forge Ltd 281,678 $4,973,160 2.33%
Godrej Consumer Products Ltd 460,371 $4,779,961 2.24%
Lenskart Solutions Ltd 905,433 $4,766,354 2.24%
United Spirits Ltd 352,376 $4,528,008 2.12%
Swiggy Ltd 1,594,616 $4,372,012 2.05%
FSN E-Commerce Ventures Ltd 1,344,799 $3,331,913 1.56%
Hyundai Motor India Ltd 170,120 $3,189,007 1.50%
Bosch Ltd 10,398 $3,151,233 1.48%
Dabur India Ltd 686,575 $2,971,096 1.39%
LG Electronics India Ltd 121,935 $1,852,511 0.87%
Goldman Sachs Financial Square Funds - Treasury Instruments Fund 758,483 $758,483 0.36%
Showing 1–31 of 31 holdings
Key facts CIK 1450501 CUSIP 19762B707 13F (30d) 25 filings 25 filers