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Share Price Information for India Cap (IGC)

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166.00    -4.00 (-2.35%)
Bid:
168.50
Ask:
175.00
Spread: 6.50 (3.858%)
Market Cap: £108.85m
IGC Live PriceLast checked at - London Stock Exchange

Intraday India Cap Share Chart

Net Asset Value

6 Aug 2025 14:55

RNS Number : 2808U
India Capital Growth Fund Limited
06 August 2025
 

06 August 2025

India Capital Growth Fund Limited (the "Company" or "ICGF")

Net Asset Value statement at 31 July 2025

The Company announces its Net Asset Value ("NAV") per ordinary share as at 31 July 2025 was 189.79 pence.

In July, the NAV was up 0.11% in Sterling terms, whilst the BSE MidCap TR Index was down 1.10%, delivering an outperformance against the notional benchmark of 1.21%. In local currency terms, the NAV was down 0.94%.

The Company also announces its Net Asset Value per ordinary share before Indian CGT (deferred tax provision) as at 31 July 2025 was 200.63 pence.

 

Portfolio analysis by sector as at 31 July 2025

 

 

 

Sector

No. of Companies

% of Portfolio

Financial Banks

5

15.9%

Industrials

6

12.6%

Consumer Discretionary

4

10.8%

Consumer Staples

4

9.9%

Auto & Auto Ancillary

4

7.6%

Digital

2

6.8%

Healthcare

2

6.5%

IT Services

2

5.3%

Financial Services

2

5.1%

Cement

2

5.0%

Chemicals

2

4.1%

Textiles

2

3.9%

Financial NBFC

1

1.3%

Energy

0

0.0%

Metals

0

0.0%

Utilities

0

0.0%

Real Estate

0

0.0%

Total Equity Investment

38

94.8%

Cash & cash equivalents

5.2%

Total Portfolio

38

100.0%

 

 

Top 20 holdings as at 31 July 2025

Holding

Sector

% of Portfolio

Dixon Technologies

Consumer Discretionary

5.0%

Skipper

Industrials

4.6%

Neuland Laboratories

Healthcare

4.6%

Multi Commodity Exchange

Financial Services

4.5%

RBL Bank

Financial Banks

4.4%

Federal Bank

Financial Banks

4.4%

Affle India

Digital

3.8%

Emami

Consumer Staples

3.8%

Persistent Systems

IT Services

3.2%

IDFC Bank

Financial Banks

3.2%

CCL Products India

Consumer Staples

3.1%

City Union Bank

Financial Banks

3.1%

JK Lakshmi Cement

Cement

3.0%

Cartrade Technologies

Digital

2.9%

VIP Industries

Consumer Discretionary

2.6%

PI Industries

Chemicals

2.5%

Ramkrishna Forgings

Auto & Auto Ancillary

2.3%

Sona BLW Precision Forgings

Auto & Auto Ancillary

2.2%

Kajaria Ceramics

Consumer Discretionary

2.2%

Balkrishna Industries

Auto & Auto Ancillary

2.1%

 

 

 

Portfolio analysis by market capitalisation size as at 31 July 2025

 

Market capitalisation size

No. of Companies

% of Portfolio

Small Cap (M/Cap < US$3.5bn)

27

64.3%

Mid Cap (US$3.5bn < M/Cap < US$10.5bn)

9

24.2%

Large Cap (M/Cap > US$10.5bn)

2

6.2%

Total Equity Investment

38

94.8%

Net Cash

5.2%

Total Portfolio

38

100.0%

 

 

 

 

 

As investment managers, we must remain as dynamic as the markets in which we invest. The investment team periodically reviews the portfolio and the market capitalisation to best reflect its positioning in the mid and small cap segment of the market. In its review exercise carried out in July'25, the market cap definition of Large, Mid and Small cap companies have been reclassified. The new definitions are based on the classification adopted by the Association of Mutual Funds in India (AMFI), which is mandated by the Securities & Exchange Board of India (SEBI) to define Large / Mid and Small cap companies. The exercise is carried out at 6 monthly intervals.

 

 

AMFI utilizes the following methodology to define market capitalisation (6 months average market cap across all exchanges is considered):

· The top 100 largest companies by market cap are classified as Large Cap.

· The next 150 companies by market cap are defined as Mid Cap.

· All other companies are defined as Small Cap.

As a result, ICGF has adopted the following market cap classifications:

· Small Cap: Market Cap < USD 3.5 billion

· Mid Cap: USD 3.5 billion < Market Cap < USD 10.5 billion

· Large Cap: Market Cap > USD 10.5 billion

 

We have not altered our investment process or the stocks within the portfolio. This reclassification ensures that shareholders, the investment team, and the board have an accurate view of the portfolio holdings.

 

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