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Nippon India Nifty Alpha Low Volatility 30 Index Fund

Nippon India Mutual Fund As of 2026-05-31
Holdings
30
Concentrated
Top 10 weight
39%
Concentration
Active share
-
Style
Equity
-
Asset allocation

Portfolio

13Sectors 29High-conviction bets 18%Top sector wt. -Cash

Market-cap allocation

Large cap83%
Mid cap14%

Asset allocation

Asset mix not available.

Top holdings

AI Smart summary

Pros

  • Low top-10 concentration (39%).
  • Large-cap tilt (83%) - relatively stable.

Cons

  • Concentrated in Banks - watch sector risk.

Auto-generated from fund metrics. Educational only - not investment advice.

Peer comparison

Other funds in this category.

No peers found in this category.

Sector exposure

Full industry / sector breakdown aggregated from the fund's holdings.

Banks18.5%
Automobiles10.6%
Insurance10.0%
Pharmaceuticals & Biotechnology9.7%
Cement & Cement Products8.4%
Food Products7.7%
Finance7.5%
Consumer Durables7.4%
Agricultural Food & other Products6.6%
Healthcare Services3.6%
Telecom - Services3.4%
Chemicals & Petrochemicals3.4%
Petroleum Products3.3%