Asset Allocation for Nippon India Nifty Midcap 150 Index Fund Regular Plan Growth Fund Growth
Top 10 Holdings of Nippon India Nifty Midcap 150 Index Fund Regular Plan Growth
18.67 % of total assets
Detailed Portfolio of Nippon India Nifty Midcap 150 Index Fund Regular Plan Growth
Portfolio Date -30 Apr 2025
Equity Holdings -149
Other Holdings -3
-
Equity Holdings
-
Debt Holdings
-
Other Holdings
Holdings | % Weight | Value | Sahi Hai/Nahi |
---|---|---|---|
2.64% | 42.616 Cr | ||
2.50% | 40.296 Cr | ||
2.05% | 33.051 Cr | ||
1.94% | 31.325 Cr | ||
1.73% | 27.975 Cr | ||
1.65% | 26.636 Cr | ||
1.65% | 26.555 Cr | ||
1.55% | 24.991 Cr | ||
1.49% | 24.023 Cr | ||
1.48% | 23.807 Cr | ||
1.36% | 21.911 Cr | ||
1.34% | 21.556 Cr | ||
1.23% | 19.862 Cr | ||
1.20% | 19.340 Cr | ||
1.17% | 18.808 Cr | ||
1.15% | 18.512 Cr | ||
1.11% | 17.960 Cr | ||
1.11% | 17.866 Cr | ||
1.09% | 17.637 Cr | ||
1.05% | 16.972 Cr | ||
1.04% | 16.832 Cr | ||
1.04% | 16.738 Cr | ||
1.03% | 16.622 Cr | ||
1.02% | 16.495 Cr | ||
1.00% | 16.095 Cr | ||
0.99% | 15.911 Cr | ||
0.98% | 15.842 Cr | ||
0.96% | 15.438 Cr | ||
0.95% | 15.391 Cr | ||
0.95% | 15.323 Cr | ||
0.90% | 14.558 Cr | ||
0.90% | 14.537 Cr | ||
0.90% | 14.533 Cr | ||
0.90% | 14.487 Cr | ||
0.90% | 14.456 Cr | ||
0.89% | 14.395 Cr | ||
0.88% | 14.200 Cr | ||
0.86% | 13.892 Cr | ||
0.86% | 13.855 Cr | ||
0.85% | 13.745 Cr | ||
0.85% | 13.743 Cr | ||
0.83% | 13.451 Cr | ||
0.83% | 13.441 Cr | ||
0.83% | 13.425 Cr | ||
0.83% | 13.401 Cr | ||
0.81% | 13.078 Cr | ||
0.80% | 12.918 Cr | ||
0.80% | 12.909 Cr | ||
0.74% | 11.999 Cr | ||
0.72% | 11.610 Cr | ||
0.71% | 11.486 Cr | ||
0.71% | 11.453 Cr | ||
0.70% | 11.296 Cr | ||
0.69% | 11.192 Cr | ||
0.69% | 11.060 Cr | ||
0.69% | 11.055 Cr | ||
0.68% | 10.931 Cr | ||
0.66% | 10.658 Cr | ||
0.66% | 10.579 Cr | ||
0.65% | 10.561 Cr | ||
0.65% | 10.428 Cr | ||
0.64% | 10.268 Cr | ||
0.63% | 10.186 Cr | ||
0.63% | 10.103 Cr | ||
0.61% | 9.871 Cr | ||
0.61% | 9.867 Cr | ||
0.61% | 9.803 Cr | ||
0.61% | 9.794 Cr | ||
0.60% | 9.691 Cr | ||
0.60% | 9.614 Cr | ||
0.59% | 9.584 Cr | ||
0.59% | 9.539 Cr | ||
0.58% | 9.331 Cr | ||
0.58% | 9.324 Cr | ||
0.57% | 9.264 Cr | ||
0.57% | 9.227 Cr | ||
0.57% | 9.169 Cr | ||
0.57% | 9.121 Cr | ||
0.55% | 8.921 Cr | ||
0.51% | 8.220 Cr | ||
0.51% | 8.182 Cr | ||
0.50% | 8.116 Cr | ||
0.49% | 7.951 Cr | ||
0.49% | 7.903 Cr | ||
0.49% | 7.893 Cr | ||
0.49% | 7.850 Cr | ||
0.48% | 7.808 Cr | ||
0.48% | 7.721 Cr | ||
0.48% | 7.699 Cr | ||
0.48% | 7.658 Cr | ||
0.47% | 7.650 Cr | ||
0.47% | 7.639 Cr | ||
0.47% | 7.514 Cr | ||
0.45% | 7.221 Cr | ||
0.44% | 7.155 Cr | ||
0.43% | 6.960 Cr | ||
0.43% | 6.928 Cr | ||
0.43% | 6.913 Cr | ||
0.43% | 6.908 Cr | ||
0.43% | 6.900 Cr | ||
0.42% | 6.793 Cr | ||
0.41% | 6.670 Cr | ||
0.41% | 6.650 Cr | ||
0.41% | 6.581 Cr | ||
0.41% | 6.569 Cr | ||
0.40% | 6.505 Cr | ||
0.40% | 6.368 Cr | ||
0.39% | 6.295 Cr | ||
0.39% | 6.282 Cr | ||
0.39% | 6.272 Cr | ||
0.38% | 6.122 Cr | ||
0.38% | 6.107 Cr | ||
0.38% | 6.081 Cr | ||
0.38% | 6.059 Cr | ||
0.37% | 5.919 Cr | ||
0.36% | 5.776 Cr | ||
0.35% | 5.624 Cr | ||
0.34% | 5.557 Cr | ||
0.34% | 5.537 Cr | ||
0.34% | 5.501 Cr | ||
0.33% | 5.358 Cr | ||
0.33% | 5.338 Cr | ||
0.31% | 5.009 Cr | ||
0.31% | 4.943 Cr | ||
0.31% | 4.921 Cr | ||
0.30% | 4.788 Cr | ||
0.29% | 4.674 Cr | ||
0.29% | 4.668 Cr | ||
0.28% | 4.466 Cr | ||
0.27% | 4.369 Cr | ||
0.27% | 4.348 Cr | ||
0.27% | 4.341 Cr | ||
0.26% | 4.197 Cr | ||
0.24% | 3.938 Cr | ||
0.24% | 3.935 Cr | ||
0.24% | 3.860 Cr | ||
0.24% | 3.809 Cr | ||
0.23% | 3.749 Cr | ||
0.23% | 3.699 Cr | ||
0.23% | 3.666 Cr | ||
0.21% | 3.391 Cr | ||
0.21% | 3.321 Cr | ||
0.21% | 3.317 Cr | ||
0.20% | 3.264 Cr | ||
0.20% | 3.196 Cr | ||
0.19% | 3.028 Cr | ||
0.13% | 2.145 Cr | ||
0.13% | 2.045 Cr | ||
0.07% | 1.183 Cr |
Holdings | % Weight | Value | Sahi Hai/Nahi |
---|
Holdings | % Weight | Value | Sahi Hai/Nahi |
---|---|---|---|
0.19% | 3.116 Cr | - | |
0.00% | 0.020 Cr | - | |
-0.18% | -2.850 Cr | - |