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Index FundsAditya Birla Sun Life AMC Limited

Aditya Birla Sun Life Nifty 50 Index Fund - Growth - Direct Plan

Benchmark: Nifty 50 TRI · Riskometer: Very High

₹251.5983

NAV (2026-08-31)

₹1,488.13 Cr

AUM (2026-08-31)

0.24%

EXPENSE RATIO (DIRECT)

2002-09-10

INCEPTION

BQuality · 75.1/100
?Safety · -/100
ACompound · 84.3/100

Punji Fund Health Score - percentile-within-category. See methodology.

CHART

Rolling CAGR by holding period - min, median, max

Each group is one holding-period length. Full range of outcomes across every overlapping window in the fund's history, not one trailing number.

-47%-8.5%30%69%108%1Y3Y5Y7Y10Y
Min rolling CAGRMedian rolling CAGRMax rolling CAGR
MetricValuePercentileCategory median
3Y Rolling CAGR12.7%50.68th 12.7%

This fund tracks an index, so measuring alpha against that same index would only report its tracking error.

CHART

Top sector holdings

Share of portfolio (% to NAV) in each of the top sectors.

28.9291%8.3464%7.8908%7.1063%TOP 26100%
Banks 28.9291%IT - Software 8.3464%Petroleum Products 7.8908%Automobiles 7.1063%Finance 5.8417%Telecom - Services 5.3557%Construction 4.1175%Diversified FMCG 4.0843%Pharmaceuticals & Biotechnology 3.2478%Consumer Durables 2.9073%Retailing 2.8462%Power 2.62%Ferrous Metals 2.4643%Cement & Cement Products 2.3029%Healthcare Services 1.5534%Insurance 1.2822%Non - Ferrous Metals 1.2601%Aerospace & Defense 1.2407%Transport Infrastructure 1.1178%Transport Services 1.0454%Food Products 0.9667%Consumable Fuels 0.886%Oil 0.8414%Metals & Minerals Trading 0.7756%Agricultural Food & other Products 0.63%Other 0.3403%

TOP HOLDINGS

HDFC Bank Ltd. (Banks)10.2322%
ICICI Bank Ltd. (Banks)9.1838%
Reliance Industries Ltd. (Petroleum Products)7.8908%
Bharti Airtel Ltd. (Telecom - Services)5.3557%
Larsen & Toubro Ltd. (Construction)4.1175%
State Bank of India (Banks)3.7929%
Infosys Ltd. (IT - Software)3.5402%
Axis Bank Ltd. (Banks)3.1537%
Bajaj Finance Ltd. (Finance)2.7318%
Mahindra & Mahindra Ltd. (Automobiles)2.7099%

This fund tracks an index, so its behaviour mirrors that index rather than a manager's decisions. Matching it to peers on behaviour would not say anything useful.

CHART

Asset Allocation

As of Jul-2026

99.66%TOP 3100%
Equity 99.66%Debt 0%Cash 0.34%

CHART

Market Cap Split

As of Jul-2026

98.3043%TOP 3100%
Large 98.3043%Mid 1.3553%Small 0%

Portfolio analytics as of Jul-2026.

Data as of 2026-09-02. Source: AMFI disclosures via Punji. Not investment advice.