Asset Allocation for Axis Nifty Midcap 50 Index Fund Regular Idcw Payout Fund Growth
Top 10 Holdings of Axis Nifty Midcap 50 Index Fund Regular Idcw Payout
34.17 % of total assets








Detailed Portfolio of Axis Nifty Midcap 50 Index Fund Regular Idcw Payout
Portfolio Date -30 Apr 2025
Equity Holdings -50
Other Holdings -2
-
Equity Holdings
-
Debt Holdings
-
Other Holdings
Holdings | % Weight | Value | Sahi Hai/Nahi |
---|---|---|---|
5.02% | 21.266 Cr | ||
4.75% | 20.107 Cr | ||
3.69% | 15.631 Cr | ||
3.30% | 13.959 Cr | ||
3.14% | 13.291 Cr | ||
3.13% | 13.253 Cr | ||
2.94% | 12.472 Cr | ||
2.83% | 11.990 Cr | ||
2.80% | 11.880 Cr | ||
2.58% | 10.934 Cr | ||
2.54% | 10.758 Cr | ||
2.34% | 9.911 Cr | ||
2.28% | 9.650 Cr | ||
2.22% | 9.386 Cr | ||
2.18% | 9.238 Cr | ||
2.10% | 8.903 Cr | ||
2.00% | 8.468 Cr | ||
1.98% | 8.399 Cr | ||
1.94% | 8.231 Cr | ||
1.90% | 8.048 Cr | ||
1.87% | 7.941 Cr | ||
1.82% | 7.704 Cr | ||
1.81% | 7.648 Cr | ||
1.80% | 7.615 Cr | ||
1.71% | 7.263 Cr | ||
1.71% | 7.256 Cr | ||
1.71% | 7.250 Cr | ||
1.70% | 7.212 Cr | ||
1.70% | 7.201 Cr | ||
1.68% | 7.102 Cr | ||
1.64% | 6.931 Cr | ||
1.63% | 6.912 Cr | ||
1.61% | 6.802 Cr | ||
1.59% | 6.725 Cr | ||
1.59% | 6.718 Cr | ||
1.58% | 6.684 Cr | ||
1.53% | 6.463 Cr | ||
1.36% | 5.752 Cr | ||
1.36% | 5.746 Cr | ||
1.34% | 5.668 Cr | ||
1.33% | 5.632 Cr | ||
1.31% | 5.540 Cr | ||
1.31% | 5.530 Cr | ||
1.29% | 5.473 Cr | ||
1.19% | 5.038 Cr | ||
1.14% | 4.824 Cr | ||
1.12% | 4.727 Cr | ||
1.07% | 4.544 Cr | ||
0.97% | 4.097 Cr | ||
0.95% | 4.022 Cr |
Holdings | % Weight | Value | Sahi Hai/Nahi |
---|
Holdings | % Weight | Value | Sahi Hai/Nahi |
---|---|---|---|
0.37% | 1.575 Cr | - | |
-0.40% | -1.679 Cr | - |