Asset Allocation for Hdfc Nifty 100 Equal Weight Index Fund Regular Growth Fund Growth
Top 10 Holdings of Hdfc Nifty 100 Equal Weight Index Fund Regular Growth
10.37 % of total assets
Detailed Portfolio of Hdfc Nifty 100 Equal Weight Index Fund Regular Growth
Portfolio Date -31 Mar 2025
Equity Holdings -100
Other Holdings -2
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Equity Holdings
-
Debt Holdings
-
Other Holdings
Holdings | % Weight | Value | Sahi Hai/Nahi |
---|---|---|---|
1.07% | 3.570 Cr | ||
1.04% | 3.488 Cr | ||
1.04% | 3.480 Cr | ||
1.03% | 3.459 Cr | ||
1.03% | 3.457 Cr | ||
1.03% | 3.451 Cr | ||
1.03% | 3.450 Cr | ||
1.03% | 3.450 Cr | ||
1.03% | 3.450 Cr | ||
1.03% | 3.444 Cr | ||
1.03% | 3.443 Cr | ||
1.03% | 3.434 Cr | ||
1.03% | 3.433 Cr | ||
1.03% | 3.430 Cr | ||
1.03% | 3.430 Cr | ||
1.03% | 3.430 Cr | ||
1.02% | 3.425 Cr | ||
1.02% | 3.424 Cr | ||
1.02% | 3.424 Cr | ||
1.02% | 3.415 Cr | ||
1.02% | 3.414 Cr | ||
1.02% | 3.413 Cr | ||
1.02% | 3.410 Cr | ||
1.02% | 3.406 Cr | ||
1.02% | 3.405 Cr | ||
1.02% | 3.400 Cr | ||
1.02% | 3.397 Cr | ||
1.01% | 3.385 Cr | ||
1.01% | 3.385 Cr | ||
1.01% | 3.374 Cr | ||
1.01% | 3.368 Cr | ||
1.01% | 3.368 Cr | ||
1.01% | 3.365 Cr | ||
1.01% | 3.363 Cr | ||
1.00% | 3.359 Cr | - | |
1.00% | 3.357 Cr | ||
1.00% | 3.357 Cr | ||
1.00% | 3.355 Cr | ||
1.00% | 3.355 Cr | ||
1.00% | 3.354 Cr | ||
1.00% | 3.354 Cr | ||
1.00% | 3.353 Cr | ||
1.00% | 3.353 Cr | ||
1.00% | 3.348 Cr | ||
1.00% | 3.347 Cr | ||
1.00% | 3.344 Cr | ||
1.00% | 3.344 Cr | ||
1.00% | 3.342 Cr | ||
1.00% | 3.342 Cr | ||
1.00% | 3.342 Cr | ||
1.00% | 3.340 Cr | ||
1.00% | 3.337 Cr | ||
1.00% | 3.337 Cr | ||
1.00% | 3.336 Cr | ||
1.00% | 3.335 Cr | ||
1.00% | 3.335 Cr | ||
1.00% | 3.330 Cr | ||
1.00% | 3.329 Cr | ||
1.00% | 3.328 Cr | ||
0.99% | 3.328 Cr | ||
0.99% | 3.325 Cr | ||
0.99% | 3.325 Cr | ||
0.99% | 3.324 Cr | ||
0.99% | 3.323 Cr | ||
0.99% | 3.323 Cr | ||
0.99% | 3.316 Cr | ||
0.99% | 3.305 Cr | ||
0.99% | 3.304 Cr | ||
0.99% | 3.303 Cr | ||
0.99% | 3.297 Cr | ||
0.99% | 3.295 Cr | ||
0.98% | 3.293 Cr | ||
0.98% | 3.291 Cr | ||
0.98% | 3.290 Cr | ||
0.98% | 3.290 Cr | ||
0.98% | 3.289 Cr | ||
0.98% | 3.286 Cr | ||
0.98% | 3.279 Cr | ||
0.98% | 3.276 Cr | ||
0.98% | 3.272 Cr | ||
0.98% | 3.270 Cr | ||
0.98% | 3.265 Cr | ||
0.97% | 3.259 Cr | ||
0.97% | 3.258 Cr | ||
0.97% | 3.257 Cr | ||
0.97% | 3.257 Cr | ||
0.97% | 3.257 Cr | ||
0.97% | 3.247 Cr | ||
0.97% | 3.245 Cr | ||
0.97% | 3.240 Cr | ||
0.97% | 3.238 Cr | ||
0.97% | 3.235 Cr | ||
0.97% | 3.232 Cr | ||
0.96% | 3.224 Cr | ||
0.96% | 3.214 Cr | ||
0.96% | 3.213 Cr | ||
0.95% | 3.190 Cr | ||
0.95% | 3.185 Cr | ||
0.95% | 3.177 Cr | ||
0.95% | 3.174 Cr |
Holdings | % Weight | Value | Sahi Hai/Nahi |
---|
Holdings | % Weight | Value | Sahi Hai/Nahi |
---|---|---|---|
0.40% | 1.341 Cr | - | |
-0.22% | -0.742 Cr | - |