Motilal Oswal Nifty Midcap 150 Index Fund - Direct Plan
As on 27 Jun 2025
Breakdown of this Fund
Aerospace & Defence
5.13%
Agro Chemicals
3.73%
Alcoholic Beverages
0.88%
Auto Ancillaries
4.37%
Automobile
2.86%
Banks
14.74%
Bearings
0.91%
Cables
2.93%
Capital Goods - Electrical Equipment
10.49%
Capital Goods-Non Electrical Equipment
3.23%
Castings, Forgings & Fastners
2.61%
Cement
3.00%
Chemicals
5.50%
Consumer Durables
6.49%
Credit Rating Agencies
0.70%
Crude Oil & Natural Gas
1.35%
Debt Others
0.27%
Diamond, Gems and Jewellery
1.22%
Diversified
0.50%
E-Commerce/App based Aggregator
3.37%
Edible Oil
2.06%
Electronics
0.47%
Entertainment
0.37%
Fertilizers
1.57%
Finance
14.59%
Financial Services
5.76%
FMCG
4.55%
Gas Distribution
3.72%
Healthcare
8.34%
Infrastructure Developers & Operators
1.83%
Insurance
1.59%
IT - Software
16.63%
Logistics
1.19%
Marine Port & Services
0.47%
Mining & Mineral products
2.32%
Miscellaneous
1.82%
Non Ferrous Metals
1.87%
Paints/Varnish
0.94%
Pharmaceuticals
13.83%
Plastic products
2.50%
Power Generation & Distribution
4.59%
Quick Service Restaurant
1.55%
Railways
1.35%
Readymade Garments/ Apparells
2.34%
Realty
6.33%
Refineries
2.39%
Retail
1.03%
Steel
5.94%
Stock/ Commodity Brokers
0.64%
Telecomm Equipment & Infra Services
3.10%
Telecomm-Service
3.06%
Tyres
3.76%