137242025-12-31TransactionUnderSubRegulation16BOfRegulation25Domain4137242025-10-012025-12-31137242025-12-31TransactionUnderSubRegulation16BOfRegulation25Domain3137242025-12-31TransactionUnderSubRegulation16BOfRegulation25Domain6137242025-12-31TransactionUnderSubRegulation16BOfRegulation25Domain5137242025-12-31TransactionUnderSubRegulation16BOfRegulation25Domain8137242025-12-31TransactionUnderSubRegulation16BOfRegulation25Domain7137242025-12-31137242025-12-31TransactionUnderSubRegulation16BOfRegulation25Domain2137242025-12-31TransactionUnderSubRegulation16BOfRegulation25Domain1iso4217:INR

Alignment of Interest - Regulation 25 (16B)


360 ONE Asset Management Limited (Erstwhile IIFL Asset Management Ltd)

General information

SEBI Reg.No*MF/067/11/02
BSE Company code*13724
NSE Symbol*360ONEAMC
MSEI Symbol*NOTLISTED
Name of the Mutual Fund*360 ONE Mutual Fund
Reporting type*Quarterly
Date of start of financial year*01-04-2025
Date of end of financial year*31-03-2026
Reporting Quarter*Third quarter
End date of reporting quarter*31-12-2025
Notes

Quarterly Disclosures as per regulations 25 (16B)

SR.Name of Scheme*ISIN*Invested Value (Rs. in Lakhs)*
1360 ONE Dynamic Bond FundINF579M01266241,231.00
2360 ONE Balanced Hybrid FundINF579M01AY9438,734.00
3360 ONE Flexicap FundINF579M01AS1798,154.00
4360 ONE Focused FundINF579M019022,828,298.00
5360 ONE Quant FundINF579M01AI2285,386.00
6360 ONE ELSS Tax Saver Nifty 50 Index FundINF579M01AN234,500.00
7360 ONE Liquid FundINF579M01621340,680.00
8360 ONE Multi Asset Allocation FundINF579M01BM2174,161.00