Mutual funds reduce cash holdings to five-year low

Mutual fund managers have lowered cash levels in equity portfolios to the lowest point in five years. They used the opportunity created by recent declines in banking and IT stocks to buy shares.

Managers deployed capital into companies offering attractive valuations and strong earnings potential. Parag Parikh Flexicap was among the funds that cut cash positions significantly.

The moves mark a clear shift toward investing in sectors that had faced recent price pressure. This approach allowed funds to take advantage of lower stock prices while maintaining focus on resilient businesses.

Overall equity mutual fund cash holdings reached the five-year low as a result of these purchases.

Makala yanayohusiana

Equity mutual fund managers often keep cash reserves to handle market conditions and investor needs.

Imeripotiwa na AI

Retail investors put ₹38,440 crore into equity mutual funds last month, a modest decline from March levels. The dip occurred amid uncertainty over oil prices and lower SIP collections.

Global investors cut their holdings in India's financial services sector during the second half of May, though at a slower pace than earlier in the month. They sold shares worth ₹5,181 crore in the period. FPIs stayed net sellers overall despite inflows into other areas.

Imeripotiwa na AI

Global fund managers are reconsidering exits from Indian stocks as falling oil prices and rupee stabilization reduce key concerns. Daily foreign selling has slowed while inflows into India-focused ETFs have turned positive. Analysts note that attractive valuations could support a market rerating if earnings growth holds.

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