MarketsSuper InvestorsSPARROW ASIA DIVERSIFIED OPPORTUNITIES FUND
SF

SPARROW ASIA DIVERSIFIED OPPORTUNITIES FUND

FII / ForeignDisclosed Indian equity holdings above the 1% filing threshold.

Disclosed value
₹335 Cr
Today
₹3.9 Cr -1.16%
Companies
3
As of
31 Mar 2026
Returns vs NIFTY current basket, 1 year
0%+37.0%-4.4%JunSeptDecMarJun
This portfolio +37.0% NIFTY 50 -4.4%ahead of NIFTY by 41.4 pts
Today’s disclosed holdings valued back over the past year vs the NIFTY 50, rebased to 0%. Not a record of actual trades.
Sector allocation
Financial Services69.3%
Consumer Durables29.8%
Capital Goods0.9%
Portfolio X-ray
Top-5 weight
100%
Wtd P/E
25.0
Wtd ROE
13.1%
Holdings
3
By market cap
Large 0% Mid 69% Small 31%
Bought / added last quarter
No additions last quarter.
Sold / trimmed last quarter
Holdings · 3
CompanyStakeValueTodayQ/QP/EROE
Paisalo Digital Ltd
PAISALO · Financial Services
4.38%₹231.9 Cr-1.92%▼ -0.43pp22.314%
Responsive Industries Ltd
RESPONIND · Consumer Durables
2.13%₹99.8 Cr+0.56%31.610%
Sampann Utpadan India Ltd
SAMPANN · Capital Goods
2.31%₹3.2 Cr+1.69%20.321%
Stake history by quarter (%) increased trimmed
CompanyMar '26Dec '25Sept '25Jun '25
Paisalo Digital Ltd4.384.813.17·
Responsive Industries Ltd2.132.132.132.13
Sampann Utpadan India Ltd2.312.312.312.77

Holdings are taken exactly as filed in public shareholding disclosures, shown only once a stake crosses the 1% disclosure threshold, so this is the holder’s large positions, not every holding. Value = disclosed shares × latest market price, so it moves daily while share counts update each quarter; “Q/Q” compares with the prior filing (pp = percentage points). Names are shown as filed and folded only for capitalisation and spacing, never different spellings; a common name could, in principle, represent more than one person. For information only, not investment advice.