- Rating N.A.
- Plan
- 5D
- 1M
- 6M
- 1Y
- 5Y
- MAX
Key Metrics
- AUM (in Cr)25.53
- CAGR -9.87%
- Exit Load0.20%
- Expense ratio1.10%
- CategoryIndex Funds
- Min Investment1000
- Min SIP500
- Launch Date2024-10-15
Asset Allocation
Holdings As On - 09 December 2025
- Name
- Value (Cr)
- Holding %
- Bajaj Finance
- 1.44
- 5.62%
- Bharti Airtel
- 1.35
- 5.27%
- Sbi Life Insurance Company
- 1.34
- 5.23%
- Bajaj Finserv
- 1.33
- 5.20%
- Bharat Electronics
- 1.32
- 5.16%
- Interglobe Aviation
- 1.29
- 5.02%
- HDFC Bank
- 1.27
- 4.97%
- Kotak Mahindra Bank
- 1.23
- 4.78%
- HDFC Life Insurance Company
- 1.21
- 4.71%
- ICICI Bank
- 1.20
- 4.69%

