Nippon India Nifty 500 Low Volatility 50 Index Fund - Direct Plan - Growth Option
As on 10 Mar 2026
Breakdown of this Fund
Agro Chemicals
2.15%
Alcoholic Beverages
4.03%
Auto Ancillaries
4.29%
Automobile
49.06%
Banks
7.22%
Cement
7.75%
Chemicals
1.11%
Consumer Durables
4.78%
Crude Oil & Natural Gas
10.14%
Debt Others
1.07%
Finance
16.56%
FMCG
26.68%
Healthcare
9.65%
Insurance
19.93%
IT - Software
29.09%
Mining & Mineral products
13.88%
Miscellaneous
4.49%
Paints/Varnish
13.87%
Pharmaceuticals
26.94%
Power Generation & Distribution
19.49%
Preference n Warrants
0.05%
Railways
2.05%
Readymade Garments/ Apparells
2.09%
Refineries
6.09%
Telecom-Service
14.23%
Tyres
3.32%