ANVESHAN Create account

Compare

Up to six funds side by side, and how much of each is the same portfolio as the others. Overlap is Σ min(weight) over the stocks both hold, from the latest disclosures. All 6,937 schemes are searchable — by scheme name, by fund house, or by the category you know them as.

2 of 6 chosen

  • ICICI Prudential Nifty 100 Low Volatility 30 ETFOther ETFs×
  • Nippon India Silver ETFOther ETFs×

Overlap

share of the portfolio the two funds hold in common

each fundagainst each otherICICI Prudential Nifty 100 Low Volatility 30 ETFNippon India Silver ETF
ICICI Prudential Nifty 100 Low Volatility 30 ETFOther ETFs
itself
ICICI Prudential Nifty 100 Low Volatility 30 ETF and Nippon India Silver ETF share 0% of their portfolios
Nippon India Silver ETFOther ETFs
Nippon India Silver ETF and ICICI Prudential Nifty 100 Low Volatility 30 ETF share 0% of their portfolios
itself

No two of these hold much of the same portfolio. The closest pair, ICICI Prudential Nifty 100 Low Volatility 30 ETF and Nippon India Silver ETF, share 0% — not one holding in common. That is a number, not a resemblance: at this level the two funds are doing separate things, and nothing here says whether that is what you wanted.

Read a cell as: of everything the two funds hold, this much is the same holding at the same weight. It is symmetric — the pair above the diagonal and the pair below it are one number shown twice. A pair at 0% holds nothing in common, which is a real answer, and often the useful one.

Side by side

record, cost, returns, drawdown, size

MeasureICICI Prudential Nifty 100 Low Volatility 30 ETFNippon India Silver ETF
CategoryOther ETFsOther ETFs
Fund houseICICI Prudential Asset Management Company LimitedNippon Life India Asset Management Limited
Share of three-year stretches it beat its category P428% of 7585% of 20
Regular plan costs more than Direct by, a year P5not measurednot measured
Portfolio turned over a year P148%not measured
Run by P7Nishit Patel · 5.7 yrsVikram Dhawan · 4.5 yrs
1-year return−4.7%74.8%
3 years p.a.−49.2%46.3%
5 years p.a.−31.7%—
Deepest fall (max drawdown)−90.3%−44.4%
Assets (AUM)₹3,473 Cr₹30,898 Cr
Disclosed history8.7 yrs4.6 yrs
Holdings · top ten weight32 · 37%4 · 100%

Funds in different categories are not comparable on returns — a category error is the first thing the postulates refuse to make. Compare each to its own category on its fund page.