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Navi AMC Limited · Index Funds

Navi Nifty Midsmallcap 400 Index Fund

Other Scheme - Index Funds Direct plan, growth riskometer: Very high benchmark: Nifty MidSmallcap 400 TRI launched 24 Nov 2025 open-ended

At a glance

the fund as it stands today, from public disclosures

NAV, 21 Sep 2026
₹10.74
−0.25% since 18 Sep 2026, the previous NAV
1 year
not enough history
3 years
not enough history
5 years
not enough history
Since launch
7.6%
a year, over 0.8 years
Assets (AUM)
₹12 Cr
Jul 2026 factsheet
Expense ratio, Direct / Regular
0.15% / 0.90%
a year, as of Jul 2026
Holdings
401
top ten are 12% of the fund · Aug 2026
Disclosed history
9 mo
Dec 2025 – Aug 2026 · 4 of 11 checks could run
Fund managers
Ashutosh Shirwaikar · since Dec 2025

As the Jul 2026 factsheet printed it: portfolio turnover 0.76×. Exit load and minimum investment are not yet extracted from the scheme documents.

What only Anveshan can tell you

measured from the disclosures, not quoted from a brochure — each links to how it was done

P5Cost, measured

Cannot be measured: needs both a Direct and a Regular growth class.

The Regular and Direct plans hold the same portfolio; the Regular one pays a distributor out of your money every day. The gap between the two NAVs is that cost, measured from the NAVs rather than quoted from a document.

See how it is measured →
P7Whose record

Run by Ashutosh Shirwaikar for 8 mo

A return earned before they arrived is the house's record, not theirs — the tenure table shows the fund against its category over exactly their months.

Ashutosh Shirwaikar's other funds →
NAVTracking gap

NAV sits 0.11 percentage points from its disclosed portfolio, but the replication is noisy

11 jumps since the last disclosure. We re-price the last disclosed portfolio every day and compare it with the NAV the fund published; a gap that opens and stays is a trade not yet disclosed.

See the daily gap →
P4Consistency

Not measurable yet: needs three years of NAV and a category median.

Take every three-year stretch since the fund had a NAV, one starting each month, and ask two things of each: did it beat the typical fund in its category, and by how much. Counting the wins tells you the record does not depend on when you happen to look; averaging the margin tells you whether winning often was worth anything, because four small wins do not pay for one large loss.

See every window →

headline and record disagree 2 checks found the headline number and the underlying record pointing different ways — marked on the cards below.

NAV and drawdown

Direct plan, growth class · as of 21 Sep 2026

Month-end NAV, indexed to 100 at Dec 2025

90100Dec 2025Mar 2026May 2026Aug 2026Sep 2026Dec 2025: NAV ₹10.26Jan 2026: NAV ₹9.84Feb 2026: NAV ₹9.98Mar 2026: NAV ₹8.91Apr 2026: NAV ₹10.17May 2026: NAV ₹10.40Jun 2026: NAV ₹10.60Jul 2026: NAV ₹10.76Aug 2026: NAV ₹10.98Sep 2026: NAV ₹10.74
90100Dec 2025Mar 2026May 2026Aug 2026Sep 2026Dec 2025: NAV ₹10.26Jan 2026: NAV ₹9.84Feb 2026: NAV ₹9.98Mar 2026: NAV ₹8.91Apr 2026: NAV ₹10.17May 2026: NAV ₹10.40Jun 2026: NAV ₹10.60Jul 2026: NAV ₹10.76Aug 2026: NAV ₹10.98Sep 2026: NAV ₹10.74
90100Dec 2025Mar 2026May 2026Aug 2026Sep 2026Dec 2025: NAV ₹10.26Jan 2026: NAV ₹9.84Feb 2026: NAV ₹9.98Mar 2026: NAV ₹8.91Apr 2026: NAV ₹10.17May 2026: NAV ₹10.40Jun 2026: NAV ₹10.60Jul 2026: NAV ₹10.76Aug 2026: NAV ₹10.98Sep 2026: NAV ₹10.74

10 month-ends · ₹10.26 → ₹10.74, 1.0× since Dec 2025

Deepest fall (max drawdown)
−14.2%
7 Jan 2026 → 23 Mar 2026
Worst month
−10.7%
Mar 2026
Days to recover
44
from the deepest trough back to the old high

Drawdown is measured on the last year of daily NAV; trailing returns are CAGR of the direct growth class. A single end date decides them — the consistency card (P4) below is the record that does not, and it reports both how often the fund beat its category and by how much, because the first without the second can point the wrong way.

Holdings

Aug 2026 disclosure · 401 lines · when each was first held and the change over the last three disclosures

#HoldingSectorWeightFirst heldHeld for3-mo change
1 BSE LTD
equity
CAPITAL MARKETS 2.05% Dec 2025 9 mo −0.74% points
2 THE FEDERAL BANK LIMITED
equity
BANKS 1.35% Dec 2025 9 mo +0.18% points
3 MULTI COMMODITY EXCHANGE OF INDIA LTD.
equity
CAPITAL MARKETS 1.33% Jan 2026 8 mo +0.09% points
4 LAURUS LABS LIMITED
equity
PHARMACEUTICALS & BIOTECHNOLOGY 1.14% Dec 2025 9 mo +0.27% points
5 ONE 97 COMMUNICATIONS LIMITED
equity
FINANCIAL TECHNOLOGY (FINTECH) 1.11% Dec 2025 9 mo +0.33% points
6 HERO MOTOCORP LIMITED
equity
AUTOMOBILES 1.08% Dec 2025 9 mo +0.03% points
7 COFORGE LIMITED
equity
IT - SOFTWARE 1.06% Dec 2025 9 mo +0.25% points
8 INDUSIND BANK LIMITED
equity
BANKS 1.03% Dec 2025 9 mo +0.04% points
9 BHARAT HEAVY ELECTRICALS LIMITED
equity
ELECTRICAL EQUIPMENT 0.99% Dec 2025 9 mo −0.01% points
10 PB FINTECH LIMITED
equity
FINANCIAL TECHNOLOGY (FINTECH) 0.99% Dec 2025 9 mo +0.03% points
11 DIXON TECHNOLOGIES (INDIA) LIMITED
equity
CONSUMER DURABLES 0.95% Dec 2025 9 mo +0.17% points
12 AU SMALL FINANCE BANK LIMITED
equity
BANKS 0.94% Dec 2025 9 mo +0.02% points
13 PERSISTENT SYSTEMS LTD
equity
IT - SOFTWARE 0.93% Dec 2025 9 mo 0.00% points
14 SUZLON ENERGY LIMITED
equity
ELECTRICAL EQUIPMENT 0.89% Dec 2025 9 mo −0.25% points
15 IDFC FIRST BANK LIMITED
equity
BANKS 0.87% Dec 2025 9 mo +0.09% points
16 BHARAT FORGE LIMITED
equity
AUTO COMPONENTS 0.86% Dec 2025 9 mo 0.00% points
17 GE VERNOVA T&D INDIA LIMITED
equity
ELECTRICAL EQUIPMENT 0.84% Dec 2025 9 mo −0.21% points
18 LIFE INSURANCE CORPORATION OF INDIA
equity
INSURANCE 0.81% Mar 2026 6 mo +0.51% points
19 LUPIN LIMITED
equity
PHARMACEUTICALS & BIOTECHNOLOGY 0.81% Dec 2025 9 mo −0.09% points
20 ASHOK LEYLAND LIMITED
equity
AGRICULTURAL, COMMERCIAL & CONSTRUCTION VEHICLES 0.77% Dec 2025 9 mo +0.04% points
21 INDUS TOWERS LIMITED
equity
TELECOM - SERVICES 0.77% Dec 2025 9 mo −0.17% points
22 INFO EDGE (INDIA) LIMITED
equity
RETAILING 0.77% Mar 2026 6 mo +0.14% points
23 POLYCAB INDIA LIMITED
equity
INDUSTRIAL PRODUCTS 0.77% Dec 2025 9 mo −0.05% points
24 AUROBINDO PHARMA LIMITED
equity
PHARMACEUTICALS & BIOTECHNOLOGY 0.73% Dec 2025 9 mo +0.07% points
25 FSN E-COMMERCE VENTURES LIMITED
equity
RETAILING 0.73% Dec 2025 9 mo +0.14% points
26 TREPS / cash equivalents
TREPS/Reverse Repo/Net Current Assets/Cash/Cash Equivalent · money market
— 0.73% Dec 2025 9 mo +0.31% points
27 FORTIS HEALTHCARE LIMITED
equity
HEALTHCARE SERVICES 0.72% Dec 2025 9 mo −0.08% points
28 MARICO LIMITED
equity
AGRICULTURAL FOOD & OTHER PRODUCTS 0.66% Dec 2025 9 mo −0.06% points
29 HITACHI ENERGY INDIA LIMITED
equity
ELECTRICAL EQUIPMENT 0.65% Dec 2025 9 mo −0.16% points
30 MAX FINANCIAL SERVICES LIMITED
equity
INSURANCE 0.64% Dec 2025 9 mo −0.09% points
31 APL APOLLO TUBES LIMITED
equity
INDUSTRIAL PRODUCTS 0.62% Dec 2025 9 mo +0.07% points
32 SWIGGY LIMITED
equity
RETAILING 0.61% Dec 2025 9 mo +0.03% points
33 YES BANK LTD
equity
BANKS 0.61% Dec 2025 9 mo −0.06% points
34 VODAFONE IDEA LIMITED
equity
TELECOM - SERVICES 0.60% Dec 2025 9 mo −0.04% points
35 ICICI LOMBARD GENERAL INSURANCE COMPANY
equity
INSURANCE 0.58% Mar 2026 6 mo −0.14% points
36 GLENMARK PHARMACEUTICALS LIMITED
equity
PHARMACEUTICALS & BIOTECHNOLOGY 0.57% Dec 2025 9 mo +0.01% points
37 SRF LIMITED
equity
CHEMICALS & PETROCHEMICALS 0.57% Dec 2025 9 mo −0.08% points
38 SONA BLW PRECISION FORGINGS LIMITED
equity
AUTO COMPONENTS 0.56% Dec 2025 9 mo +0.11% points
39 HINDUSTAN PETROLEUM CORPORATION LIMITED
equity
PETROLEUM PRODUCTS 0.54% Dec 2025 9 mo −0.08% points
40 KEI INDUSTRIES LIMITED
equity
INDUSTRIAL PRODUCTS 0.54% Dec 2025 9 mo 0.00% points
41 RADICO KHAITAN LIMITED
equity
BEVERAGES 0.54% Dec 2025 9 mo +0.09% points
42 THE PHOENIX MILLS LIMITED
equity
REALTY 0.54% Dec 2025 9 mo 0.00% points
43 ADITYA BIRLA CAPITAL LIMITED
equity
FINANCE 0.52% Dec 2025 9 mo +0.03% points
44 NATIONAL ALUMINIUM COMPANY LIMITED
equity
NON - FERROUS METALS 0.52% Dec 2025 9 mo −0.11% points
45 GMR AIRPORTS LIMITED
equity
TRANSPORT INFRASTRUCTURE 0.51% Dec 2025 9 mo −0.08% points
46 ATHER ENERGY LIMITED
equity
AUTOMOBILES 0.50% Dec 2025 9 mo +0.20% points
47 KARUR VYSYA BANK LIMITED
equity
BANKS 0.50% Dec 2025 9 mo +0.05% points
48 INDIAN BANK
equity
BANKS 0.49% Dec 2025 9 mo +0.01% points
49 JSW ENERGY LIMITED
equity
POWER 0.49% Mar 2026 6 mo −0.04% points
50 MPHASIS LIMITED
equity
IT - SOFTWARE 0.49% Dec 2025 9 mo 0.00% points
51 NAVIN FLUORINE INTERNATIONAL LIMITED
equity
CHEMICALS & PETROCHEMICALS 0.49% Dec 2025 9 mo +0.06% points
52 ALKEM LABORATORIES LIMITED
equity
PHARMACEUTICALS & BIOTECHNOLOGY 0.48% Dec 2025 9 mo −0.05% points
53 HAVELLS INDIA LIMITED
equity
CONSUMER DURABLES 0.48% Mar 2026 6 mo −0.01% points
54 SUNDARAM FINANCE LIMITED
equity
FINANCE 0.48% Dec 2025 9 mo 0.00% points
55 UPL LIMITED
equity
FERTILIZERS & AGROCHEMICALS 0.48% Dec 2025 9 mo −0.12% points
56 WELSPUN CORP LTD
equity
INDUSTRIAL PRODUCTS 0.48% Dec 2025 9 mo +0.18% points
57 360 ONE WAM LIMITED
equity
CAPITAL MARKETS 0.47% Dec 2025 9 mo 0.00% points
58 NMDC LIMITED
equity
MINERALS & MINING 0.47% Dec 2025 9 mo −0.03% points
59 VISHAL MEGA MART LIMITED
equity
RETAILING 0.47% Dec 2025 9 mo +0.04% points
60 APAR INDUSTRIES LTD
equity
ELECTRICAL EQUIPMENT 0.46% Dec 2025 9 mo +0.10% points
61 ORACLE FINANCIAL SERVICES SOFTWARE
equity
IT - SOFTWARE 0.46% Dec 2025 9 mo +0.07% points
62 TUBE INVESTMENTS OF INDIA LTD
equity
AUTO COMPONENTS 0.46% Dec 2025 9 mo −0.09% points
63 BIOCON LIMITED
equity
PHARMACEUTICALS & BIOTECHNOLOGY 0.45% Dec 2025 9 mo −0.05% points
64 NHPC LIMITED
equity
POWER 0.44% Dec 2025 9 mo +0.03% points
65 STEEL AUTHORITY OF INDIA LIMITED
equity
FERROUS METALS 0.43% Dec 2025 9 mo −0.06% points
66 GODREJ PROPERTIES LIMITED
equity
REALTY 0.42% Dec 2025 9 mo −0.01% points
67 IPCA LABORATORIES LIMITED
equity
PHARMACEUTICALS & BIOTECHNOLOGY 0.42% Dec 2025 9 mo +0.07% points
68 L&T FINANCE LIMITED
equity
FINANCE 0.42% Dec 2025 9 mo +0.02% points
69 MANKIND PHARMA LIMITED
equity
PHARMACEUTICALS & BIOTECHNOLOGY 0.42% Dec 2025 9 mo −0.02% points
70 PIRAMAL FINANCE LTD
equity
FINANCE 0.42% Mar 2026 6 mo +0.04% points
71 PRESTIGE ESTATES PROJECTS LIMITED
equity
REALTY 0.42% Dec 2025 9 mo +0.04% points
72 VOLTAS LIMITED
equity
CONSUMER DURABLES 0.42% Dec 2025 9 mo −0.05% points
73 MRF LIMITED
equity
AUTO COMPONENTS 0.40% Dec 2025 9 mo −0.05% points
74 OIL INDIA LIMITED
equity
OIL 0.40% Dec 2025 9 mo −0.03% points
75 DELHIVERY LIMITED
equity
TRANSPORT SERVICES 0.39% Dec 2025 9 mo −0.03% points
76 HFCL LIMITED
equity
TELECOM - SERVICES 0.39% Dec 2025 9 mo +0.09% points
77 CENTRAL DEPOSITORY SERVICES (INDIA) LTD.
equity
CAPITAL MARKETS 0.38% Dec 2025 9 mo +0.01% points
78 COLGATE PALMOLIVE (INDIA) LIMITED
equity
PERSONAL PRODUCTS 0.38% Dec 2025 9 mo −0.07% points
79 MAHINDRA & MAHINDRA FINANCIAL SERV LTD.
equity
FINANCE 0.38% Dec 2025 9 mo +0.05% points
80 WAAREE ENERGIES LIMITED
equity
ELECTRICAL EQUIPMENT 0.38% Dec 2025 9 mo −0.11% points
81 LLOYDS METALS AND ENERGY LIMITED
equity
MINERALS & MINING 0.36% Dec 2025 9 mo −0.01% points
82 RBL BANK LIMITED
equity
BANKS 0.36% Dec 2025 9 mo +0.02% points
83 UNO MINDA LIMITED
equity
AUTO COMPONENTS 0.36% Dec 2025 9 mo +0.03% points
84 COROMANDEL INTERNATIONAL LIMITED
equity
FERTILIZERS & AGROCHEMICALS 0.35% Dec 2025 9 mo +0.01% points
85 GLAND PHARMA LIMITED
equity
PHARMACEUTICALS & BIOTECHNOLOGY 0.35% Dec 2025 9 mo +0.06% points
86 KALYAN JEWELLERS INDIA LIMITED
equity
CONSUMER DURABLES 0.35% Dec 2025 9 mo +0.12% points
87 PAGE INDUSTRIES LIMITED
equity
TEXTILES & APPARELS 0.35% Dec 2025 9 mo −0.03% points
88 SUPREME INDUSTRIES LIMITED
equity
INDUSTRIAL PRODUCTS 0.35% Dec 2025 9 mo −0.03% points
89 TORRENT POWER LIMITED
equity
POWER 0.35% Dec 2025 9 mo −0.09% points
90 CITY UNION BANK LIMITED
equity
BANKS 0.34% Dec 2025 9 mo +0.04% points
91 DABUR INDIA LIMITED
equity
PERSONAL PRODUCTS 0.34% Dec 2025 9 mo −0.09% points
92 JINDAL STAINLESS LIMITED
equity
FERROUS METALS 0.34% Dec 2025 9 mo −0.02% points
93 LENSKART SOLUTIONS LIMITED
equity
RETAILING 0.34% Mar 2026 6 mo +0.09% points
94 OBEROI REALTY LIMITED
equity
REALTY 0.34% Dec 2025 9 mo +0.01% points
95 PETRONET LNG LIMITED
equity
GAS 0.34% Dec 2025 9 mo +0.01% points
96 JK CEMENT LIMITED
equity
CEMENT & CEMENT PRODUCTS 0.33% Dec 2025 9 mo −0.02% points
97 PNB HOUSING FINANCE LIMITED
equity
FINANCE 0.33% Dec 2025 9 mo +0.01% points
98 REDINGTON LIMITED
equity
COMMERCIAL SERVICES & SUPPLIES 0.33% Dec 2025 9 mo +0.11% points
99 NIPPON LIFE INDIA ASSET MANAGEMENT LTD
equity
CAPITAL MARKETS 0.32% Dec 2025 9 mo 0.00% points
100 ASTER DM HEALTHCARE LIMITED
equity
HEALTHCARE SERVICES 0.31% Dec 2025 9 mo +0.01% points
101 EXIDE INDUSTRIES LIMITED
equity
AUTO COMPONENTS 0.31% Dec 2025 9 mo +0.02% points
102 ICICI PRUDENTIAL LIFE INSURANCE COMPANY
equity
INSURANCE 0.31% Dec 2025 9 mo −0.02% points
103 JSW INFRASTRUCTURE LIMITED
equity
TRANSPORT INFRASTRUCTURE 0.31% Dec 2025 9 mo +0.16% points
104 NEULAND LABORATORIES LTD
equity
PHARMACEUTICALS & BIOTECHNOLOGY 0.31% Dec 2025 9 mo +0.06% points
105 SAI LIFE SCIENCES LTD.
equity
PHARMACEUTICALS & BIOTECHNOLOGY 0.31% Dec 2025 9 mo +0.05% points
106 TATA COMMUNICATIONS LIMITED
equity
TELECOM - SERVICES 0.31% Dec 2025 9 mo −0.07% points
107 ANAND RATHI WEALTH LIMITED
equity
CAPITAL MARKETS 0.30% Dec 2025 9 mo +0.06% points
108 GUJARAT FLUOROCHEMICALS LIMITED
equity
CHEMICALS & PETROCHEMICALS 0.30% Dec 2025 9 mo +0.05% points
109 JUBILANT FOODWORKS LIMITED
equity
LEISURE SERVICES 0.30% Dec 2025 9 mo +0.02% points
110 KRISHNA INSTITUTE OF MEDICAL SCIENCE LTD
equity
HEALTHCARE SERVICES 0.30% Dec 2025 9 mo −0.01% points
111 ANGEL ONE LIMITED
equity
CAPITAL MARKETS 0.29% Feb 2026 7 mo −0.07% points
112 ASTRAL LIMITED
equity
INDUSTRIAL PRODUCTS 0.29% Dec 2025 9 mo −0.03% points
113 BLUE STAR LTD
equity
CONSUMER DURABLES 0.29% Dec 2025 9 mo −0.05% points
114 COMPUTER AGE MANAGEMENT SERVICES LIMITED
equity
CAPITAL MARKETS 0.29% Dec 2025 9 mo −0.02% points
115 MANAPPURAM FINANCE LIMITED
equity
FINANCE 0.29% Dec 2025 9 mo 0.00% points
116 PI INDUSTRIES LIMITED
equity
FERTILIZERS & AGROCHEMICALS 0.29% Dec 2025 9 mo −0.08% points
117 SBI CARDS AND PAYMENT SERVICES LIMITED
equity
FINANCE 0.29% Dec 2025 9 mo −0.02% points
118 BALKRISHNA INDUSTRIES LIMITED
equity
AUTO COMPONENTS 0.28% Dec 2025 9 mo −0.01% points
119 CONTAINER CORPORATION OF INDIA LIMITED
equity
TRANSPORT SERVICES 0.27% Dec 2025 9 mo +0.01% points
120 ITC HOTELS LIMITED
equity
LEISURE SERVICES 0.27% Dec 2025 9 mo −0.02% points
121 KIRLOSKAR OIL ENGINES LTD
equity
INDUSTRIAL PRODUCTS 0.27% Dec 2025 9 mo +0.01% points
122 LG ELECTRONICS INDIA LIMITED
equity
CONSUMER DURABLES 0.27% Mar 2026 6 mo +0.05% points
123 ADANI TOTAL GAS LIMITED
equity
GAS 0.26% Dec 2025 9 mo −0.09% points
124 BANK OF INDIA
equity
BANKS 0.26% Dec 2025 9 mo −0.02% points
125 BANK OF MAHARASHTRA
equity
BANKS 0.26% Dec 2025 9 mo −0.01% points
126 HINDUSTAN COPPER LIMITED
equity
NON - FERROUS METALS 0.26% Dec 2025 9 mo −0.03% points
127 ACUTAAS CHEMICALS LIMITED
equity
PHARMACEUTICALS & BIOTECHNOLOGY 0.25% Mar 2026 6 mo −0.02% points
128 AIA ENGINEERING LIMITED
equity
INDUSTRIAL PRODUCTS 0.25% Dec 2025 9 mo −0.04% points
129 AMBER ENTERPRISES INDIA LIMITED
equity
CONSUMER DURABLES 0.25% Dec 2025 9 mo −0.02% points
130 CRAFTSMAN AUTOMATION LIMITED
equity
AUTO COMPONENTS 0.25% Dec 2025 9 mo +0.07% points
131 LIC HOUSING FINANCE LIMITED
equity
FINANCE 0.25% Dec 2025 9 mo −0.01% points
132 MOTILAL OSWAL FINANCIAL SERVICES
equity
CAPITAL MARKETS 0.25% Dec 2025 9 mo +0.02% points
133 POONAWALLA FINCORP LIMITED
equity
FINANCE 0.25% Dec 2025 9 mo +0.03% points
134 SCHAEFFLER INDIA LTD
equity
AUTO COMPONENTS 0.25% Dec 2025 9 mo −0.02% points
135 AEGIS LOGISTICS LTD
equity
GAS 0.24% Dec 2025 9 mo +0.09% points
136 HIMADRI SPECIALITY CHEMICAL LIMITED
equity
CHEMICALS & PETROCHEMICALS 0.24% Dec 2025 9 mo +0.01% points
137 KALPATARU PROJECTS INTERNATIONAL LIMITED
equity
CONSTRUCTION 0.24% Dec 2025 9 mo 0.00% points
138 WOCKHARDT LTD
equity
PHARMACEUTICALS & BIOTECHNOLOGY 0.24% Dec 2025 9 mo −0.04% points
139 AJANTA PHARMA LIMITED
equity
PHARMACEUTICALS & BIOTECHNOLOGY 0.23% Dec 2025 9 mo +0.03% points
140 AUTHUM INVESTMENT & INFRASTRUCTURE LTD.
equity
FINANCE 0.23% Dec 2025 9 mo +0.02% points
141 BANDHAN BANK LIMITED
equity
BANKS 0.23% Dec 2025 9 mo −0.08% points
142 BILLIONBRAINS GARAGE VENTURES LTD.
equity
CAPITAL MARKETS 0.23% Mar 2026 6 mo +0.04% points
143 CHOLAMANDALAM FINANCIAL HOLDINGS LIMITED
equity
FINANCE 0.23% Dec 2025 9 mo −0.03% points
144 CROMPTON GREAVES CONSUMER ELECTRICAL LTD
equity
CONSUMER DURABLES 0.23% Dec 2025 9 mo −0.07% points
145 DALMIA BHARAT LIMITED
equity
CEMENT & CEMENT PRODUCTS 0.23% Dec 2025 9 mo 0.00% points
146 DR. LAL PATH LABS LTD.
equity
HEALTHCARE SERVICES 0.23% Dec 2025 9 mo +0.02% points
147 ICICI PRUDENTIAL AMC LTD
equity
CAPITAL MARKETS 0.23% Mar 2026 6 mo +0.03% points
148 IIFL FINANCE LIMITED
equity
FINANCE 0.23% Dec 2025 9 mo +0.05% points
149 THERMAX LIMITED
equity
ELECTRICAL EQUIPMENT 0.23% Dec 2025 9 mo −0.09% points
150 APOLLO TYRES LIMITED
equity
AUTO COMPONENTS 0.22% Dec 2025 9 mo +0.01% points
151 BERGER PAINTS (I) LIMITED
equity
CONSUMER DURABLES 0.22% Dec 2025 9 mo −0.01% points
152 GENERAL INSURANCE CORPORATION OF INDIA
equity
INSURANCE 0.22% Dec 2025 9 mo +0.03% points
153 HDB FINANCIAL SERVICES LIMITED
equity
FINANCE 0.22% Mar 2026 6 mo +0.02% points
154 INDIAN RAILWAY CATERING & TOURISM CORP
equity
LEISURE SERVICES 0.22% Dec 2025 9 mo −0.03% points
155 TATA TECHNOLOGIES LIMITED
equity
IT - SERVICES 0.22% Dec 2025 9 mo +0.02% points
156 ABBOTT INDIA LIMITED
equity
PHARMACEUTICALS & BIOTECHNOLOGY 0.21% Dec 2025 9 mo −0.01% points
157 DATA PATTERNS (INDIA) LIMITED
equity
AEROSPACE & DEFENSE 0.21% Dec 2025 9 mo +0.01% points
158 ELGI EQUIPMENTS LIMITED
equity
INDUSTRIAL PRODUCTS 0.21% Dec 2025 9 mo +0.01% points
159 NUVAMA WEALTH MANAGEMENT LIMITED
equity
CAPITAL MARKETS 0.21% Dec 2025 9 mo +0.01% points
160 PTC INDUSTRIES LIMITED
equity
INDUSTRIAL PRODUCTS 0.21% Dec 2025 9 mo +0.05% points
161 CARBORUNDUM UNIVERSAL LIMITED
equity
INDUSTRIAL PRODUCTS 0.20% Dec 2025 9 mo 0.00% points
162 CARTRADE TECH LIMITED
equity
RETAILING 0.20% Mar 2026 6 mo +0.08% points
163 COCHIN SHIPYARD LIMITED
equity
INDUSTRIAL MANUFACTURING 0.20% Dec 2025 9 mo 0.00% points
164 K.P.R. MILL LTD
equity
TEXTILES & APPARELS 0.20% Dec 2025 9 mo +0.02% points
165 KFIN TECHNOLOGIES LIMITED
equity
CAPITAL MARKETS 0.20% Dec 2025 9 mo +0.01% points
166 LINDE INDIA LIMITED
equity
CHEMICALS & PETROCHEMICALS 0.20% Dec 2025 9 mo −0.05% points
167 NARAYANA HRUDAYALAYA LIMITED
equity
HEALTHCARE SERVICES 0.20% Dec 2025 9 mo −0.01% points
168 PIRAMAL PHARMA LIMITED
equity
PHARMACEUTICALS & BIOTECHNOLOGY 0.20% Dec 2025 9 mo +0.02% points
169 STAR HEALTH AND ALLIED INSURANCE CO LTD
equity
INSURANCE 0.20% Dec 2025 9 mo 0.00% points
170 THE GREAT EASTERN SHIPPING COMPANY LTD
equity
TRANSPORT SERVICES 0.20% Dec 2025 9 mo −0.03% points
171 BRIGADE ENTERPRISES LIMITED
equity
REALTY 0.19% Dec 2025 9 mo +0.04% points
172 GLAXOSMITHKLINE PHARMACEUTICALS LTD
equity
PHARMACEUTICALS & BIOTECHNOLOGY 0.19% Dec 2025 9 mo +0.04% points
173 GLOBAL HEALTH LIMITED
equity
HEALTHCARE SERVICES 0.19% Dec 2025 9 mo +0.02% points
174 PREMIER ENERGIES LIMITED
equity
ELECTRICAL EQUIPMENT 0.19% Dec 2025 9 mo −0.01% points
175 TATA ELXSI LIMITED
equity
IT - SOFTWARE 0.19% Dec 2025 9 mo −0.05% points
176 ASAHI INDIA GLASS LIMITED
equity
AUTO COMPONENTS 0.18% Dec 2025 9 mo 0.00% points
177 BHARAT DYNAMICS LIMITED
equity
AEROSPACE & DEFENSE 0.18% Dec 2025 9 mo 0.00% points
178 BHARTI HEXACOM LIMITED
equity
TELECOM - SERVICES 0.18% Dec 2025 9 mo 0.00% points
179 CRISIL LIMITED
equity
FINANCE 0.18% Dec 2025 9 mo +0.02% points
180 DEEPAK NITRITE LTD
equity
CHEMICALS & PETROCHEMICALS 0.18% Dec 2025 9 mo −0.01% points
181 GRANULES INDIA LIMITED
equity
PHARMACEUTICALS & BIOTECHNOLOGY 0.18% Dec 2025 9 mo 0.00% points
182 KAYNES TECHNOLOGY INDIA LTD.
equity
INDUSTRIAL MANUFACTURING 0.18% Dec 2025 9 mo +0.02% points
183 MEESHO LIMITED
equity
RETAILING 0.18% Mar 2026 6 mo +0.10% points
184 ONE SOURCE SPECIALTY PHARMA LTD
equity
PHARMACEUTICALS & BIOTECHNOLOGY 0.18% Dec 2025 9 mo +0.01% points
185 PATANJALI FOODS LIMITED
equity
AGRICULTURAL FOOD & OTHER PRODUCTS 0.18% Dec 2025 9 mo −0.08% points
186 RAIL VIKAS NIGAM LIMITED
equity
CONSTRUCTION 0.18% Dec 2025 9 mo −0.05% points
187 ZF COMM. VEHICLE CONTROL SYSTEMS IND LTD
equity
AUTO COMPONENTS 0.18% Dec 2025 9 mo −0.01% points
188 AARTI INDUSTRIES LIMITED
equity
CHEMICALS & PETROCHEMICALS 0.17% Dec 2025 9 mo +0.01% points
189 AMARA RAJA BATTERIES LTD
equity
AUTO COMPONENTS 0.17% Dec 2025 9 mo −0.01% points
190 HOME FIRST FINANCE COMPANY INDIA LIMITED
equity
FINANCE 0.17% Dec 2025 9 mo +0.01% points
191 SAGILITY INDIA LIMITED
equity
IT - SERVICES 0.17% Dec 2025 9 mo +0.01% points
192 SAMMAAN CAPITAL LTD.
equity
FINANCE 0.17% Dec 2025 9 mo −0.05% points
193 SYRMA SGS TECHNOLOGY LIMITED
equity
INDUSTRIAL MANUFACTURING 0.17% Dec 2025 9 mo +0.03% points
194 THE RAMCO CEMENTS LIMITED
equity
CEMENT & CEMENT PRODUCTS 0.17% Dec 2025 9 mo −0.01% points
195 TIMKEN INDIA LIMITED
equity
INDUSTRIAL PRODUCTS 0.17% Dec 2025 9 mo −0.05% points
196 ADANI WILMAR LIMITED
equity
AGRICULTURAL FOOD & OTHER PRODUCTS 0.16% Dec 2025 9 mo −0.02% points
197 AFFLE (INDIA) LIMITED
equity
IT - SERVICES 0.16% Dec 2025 9 mo +0.01% points
198 ATUL LIMITED
equity
CHEMICALS & PETROCHEMICALS 0.16% Dec 2025 9 mo −0.02% points
199 ENDURANCE TECHNOLOGIES LIMITED
equity
AUTO COMPONENTS 0.16% Dec 2025 9 mo 0.00% points
200 FIVE-STAR BUSINESS FINANCE LIMITED
equity
FINANCE 0.16% Dec 2025 9 mo +0.02% points
201 INDRAPRASTHA GAS LIMITED
equity
GAS 0.16% Dec 2025 9 mo −0.03% points
202 KAJARIA CERAMICS LIMITED
equity
CONSUMER DURABLES 0.16% Dec 2025 9 mo +0.01% points
203 3M INDIA LIMITED
equity
DIVERSIFIED 0.15% Dec 2025 9 mo 0.00% points
204 ADITYA INFOTECH LIMITED
equity
INDUSTRIAL MANUFACTURING 0.15% Mar 2026 6 mo +0.06% points
205 CAPRI GLOBAL CAPITAL LTD
equity
FINANCE 0.15% Dec 2025 9 mo +0.02% points
206 ESCORTS KUBOTA LIMITED
equity
AGRICULTURAL, COMMERCIAL & CONSTRUCTION VEHICLES 0.15% Dec 2025 9 mo −0.01% points
207 INDIAN ENERGY EXCHANGE LIMITED
equity
CAPITAL MARKETS 0.15% Dec 2025 9 mo −0.02% points
208 KPIT TECHNOLOGIES LIMITED
equity
IT - SOFTWARE 0.15% Dec 2025 9 mo −0.06% points
209 L&T TECHNOLOGY SERVICES LTD
equity
IT - SERVICES 0.15% Dec 2025 9 mo −0.01% points
210 NETWEB TECHNOLOGIES INDIA LIMITED
equity
IT - SERVICES 0.15% Dec 2025 9 mo +0.02% points
211 NEYVELI LIGNITE CORPORATION LTD.
equity
POWER 0.15% Dec 2025 9 mo −0.04% points
212 R R KABEL LIMITED
equity
INDUSTRIAL PRODUCTS 0.15% Dec 2025 9 mo +0.04% points
213 TATA CHEMICALS LIMITED
equity
CHEMICALS & PETROCHEMICALS 0.15% Dec 2025 9 mo −0.05% points
214 ANANT RAJ LIMITED
equity
REALTY 0.14% Dec 2025 9 mo +0.01% points
215 BAJAJ HOUSING FINANCE LTD
equity
FINANCE 0.14% Mar 2026 6 mo −0.01% points
216 CASTROL INDIA LIMITED
equity
PETROLEUM PRODUCTS 0.14% Dec 2025 9 mo −0.01% points
217 CESC LIMITED
equity
POWER 0.14% Dec 2025 9 mo −0.05% points
218 CYIENT LIMITED
equity
IT - SERVICES 0.14% Dec 2025 9 mo +0.01% points
219 DEEPAK FERTILIZERS AND PETRO. CORP. LTD
equity
CHEMICALS & PETROCHEMICALS 0.14% Dec 2025 9 mo −0.02% points
220 FINOLEX CABLES LTD
equity
INDUSTRIAL PRODUCTS 0.14% Dec 2025 9 mo 0.00% points
221 GABRIEL INDIA LIMITED
equity
AUTO COMPONENTS 0.14% Mar 2026 6 mo +0.03% points
222 HOUSING AND URBAN DEVELOPMENT CORP. LTD.
equity
FINANCE 0.14% Dec 2025 9 mo −0.03% points
223 INDIAN RENEWABLE ENERGY DEV AGENCY LTD
equity
FINANCE 0.14% Dec 2025 9 mo −0.03% points
224 INVENTURUS KNOWLEDGE SOLUTIONS LIMITED
equity
IT - SERVICES 0.14% Dec 2025 9 mo 0.00% points
225 MOTHERSON SUMI WIRING INDIA LIMITED
equity
AUTO COMPONENTS 0.14% Dec 2025 9 mo −0.02% points
226 NBCC (INDIA) LIMITED
equity
CONSTRUCTION 0.14% Dec 2025 9 mo −0.03% points
227 OLA ELECTRIC MOBILITY LIMITED
equity
AUTOMOBILES 0.14% Dec 2025 9 mo 0.00% points
228 PG ELECTROPLAST LIMITED
equity
CONSUMER DURABLES 0.14% Dec 2025 9 mo +0.01% points
229 UNITED BREWERIES LIMITED
equity
BEVERAGES 0.14% Dec 2025 9 mo −0.02% points
230 USHA MARTIN LTD
equity
INDUSTRIAL PRODUCTS 0.14% Dec 2025 9 mo −0.01% points
231 APTUS VALUE HOUSING FINANCE INDIA LTD
equity
FINANCE 0.13% Dec 2025 9 mo −0.02% points
232 BELRISE INDUSTRIES LIMITED
equity
AUTO COMPONENTS 0.13% Mar 2026 6 mo +0.02% points
233 EID PARRY INDIA LIMITED
equity
FOOD PRODUCTS 0.13% Dec 2025 9 mo 0.00% points
234 FIRSTSOURCE SOLUTIONS LTD
equity
COMMERCIAL SERVICES & SUPPLIES 0.13% Dec 2025 9 mo −0.01% points
235 FORCE MOTORS LTD.
equity
AUTOMOBILES 0.13% Dec 2025 9 mo −0.03% points
236 GODFREY PHILLIPS INDIA LIMITED
equity
CIGARETTES & TOBACCO PRODUCTS 0.13% Dec 2025 9 mo −0.02% points
237 HEXAWARE TECHNOLOGIES LIMITED
equity
IT - SOFTWARE 0.13% Dec 2025 9 mo +0.01% points
238 HONEYWELL AUTOMATION INDIA LIMITED
equity
INDUSTRIAL MANUFACTURING 0.13% Dec 2025 9 mo 0.00% points
239 JYOTI CNC AUTOMATION LTD
equity
INDUSTRIAL MANUFACTURING 0.13% Dec 2025 9 mo +0.05% points
240 NTPC GREEN ENERGY LIMITED
equity
POWER 0.13% Dec 2025 9 mo −0.03% points
241 PVR INOX LIMITED
equity
ENTERTAINMENT 0.13% Dec 2025 9 mo +0.02% points
242 TATA INVESTMENT CORPORATION LTD.
equity
FINANCE 0.13% Dec 2025 9 mo −0.02% points
243 ZEE ENTERTAINMENT ENTERPRISES LIMITED
equity
ENTERTAINMENT 0.13% Dec 2025 9 mo −0.01% points
244 ZEN TECHNOLOGIES LIMITED
equity
AEROSPACE & DEFENSE 0.13% Dec 2025 9 mo 0.00% points
245 ACC LIMITED
equity
CEMENT & CEMENT PRODUCTS 0.12% Dec 2025 9 mo −0.02% points
246 ACME SOLAR HOLDINGS LTD.
equity
POWER 0.12% Dec 2025 9 mo +0.07% points
247 ADITYA BIRLA SUN LIFE MUTUAL FUND
mutual fund unit
— 0.12% Dec 2025 9 mo −0.01% points
248 ANTHEM BIOSCIENCES LIMITED
mutual fund unit
— 0.12% Mar 2026 6 mo +0.04% points
249 BALRAMPUR CHINI MILLS LIMITED
mutual fund unit
— 0.12% Dec 2025 9 mo +0.02% points
250 CCL PRODUCTS (INDIA) LIMITED
mutual fund unit
— 0.12% Dec 2025 9 mo 0.00% points
251 ECLERX SERVICES LIMITED
mutual fund unit
— 0.12% Dec 2025 9 mo +0.02% points
252 IRB INFRASTRUCTURE DEVELOPERS LIMITED
mutual fund unit
— 0.12% Dec 2025 9 mo −0.02% points
253 JAIPRAKASH POWER VENTURES LIMITED
mutual fund unit
— 0.12% Dec 2025 9 mo −0.06% points
254 NATCO PHARMA LIMITED
mutual fund unit
— 0.12% Dec 2025 9 mo −0.03% points
255 NAVA LIMITED
mutual fund unit
— 0.12% Dec 2025 9 mo −0.02% points
256 RAMKRISHNA FORGINGS LIMITED
mutual fund unit
— 0.12% Dec 2025 9 mo +0.02% points
257 SHYAM METALICS AND ENERGY LTD.
mutual fund unit
— 0.12% Dec 2025 9 mo +0.01% points
258 SYNGENE INTERNATIONAL LIMITED
mutual fund unit
— 0.12% Dec 2025 9 mo −0.02% points
259 ADITYA BIRLA REAL ESTATE LIMITED
mutual fund unit
— 0.11% Dec 2025 9 mo 0.00% points
260 BEML LIMITED
mutual fund unit
— 0.11% Dec 2025 9 mo 0.00% points
261 CEAT LIMITED
mutual fund unit
— 0.11% Dec 2025 9 mo 0.00% points
262 COHANCE LIFESCIENCES LIMITED
mutual fund unit
— 0.11% Dec 2025 9 mo −0.01% points
263 CREDITACCESS GRAMEEN LIMITED
mutual fund unit
— 0.11% Dec 2025 9 mo −0.01% points
264 EMAMI LTD
mutual fund unit
— 0.11% Dec 2025 9 mo −0.02% points
265 ENGINEERS INDIA LIMITED
mutual fund unit
— 0.11% Dec 2025 9 mo +0.01% points
266 ERIS LIFESCIENCES LIMITED
mutual fund unit
— 0.11% Dec 2025 9 mo −0.02% points
267 GARDEN REACH SHIPBUILDERS & ENGINEER LTD
mutual fund unit
— 0.11% Dec 2025 9 mo −0.02% points
268 HBL ENGINEERING LIMITED
mutual fund unit
— 0.11% Dec 2025 9 mo −0.04% points
269 JINDAL SAW LTD
mutual fund unit
— 0.11% Dec 2025 9 mo +0.02% points
270 JUBILANT PHARMOVA LIMITED
mutual fund unit
— 0.11% Dec 2025 9 mo −0.02% points
271 PARADEEP PHOSPHATES LIMITED
mutual fund unit
— 0.11% Mar 2026 6 mo +0.02% points
272 PFIZER LIMITED
mutual fund unit
— 0.11% Dec 2025 9 mo 0.00% points
273 RAINBOW CHILDRENS MEDICARE LIMITED
mutual fund unit
— 0.11% Dec 2025 9 mo 0.00% points
274 SCHNEIDER ELECTRIC INFRASTRUCTURE LTD.
mutual fund unit
— 0.11% Dec 2025 9 mo −0.02% points
275 VIJAYA DIAGNOSTIC CENTRE LIMITED
mutual fund unit
— 0.11% Dec 2025 9 mo 0.00% points
276 CAN FIN HOMES LIMITED
mutual fund unit
— 0.10% Dec 2025 9 mo −0.02% points
277 CHALET HOTELS LIMITED
mutual fund unit
— 0.10% Dec 2025 9 mo +0.01% points
278 CHENNAI PETROLEUM CORPORATION LTD.
mutual fund unit
— 0.10% Dec 2025 9 mo +0.02% points
279 CHOICE INTERNATIONAL LIMITED
mutual fund unit
— 0.10% Dec 2025 9 mo +0.01% points
280 EMCURE PHARMACEUTICALS LIMITED
mutual fund unit
— 0.10% Dec 2025 9 mo 0.00% points
281 HONASA CONSUMER LIMITED
mutual fund unit
— 0.10% Dec 2025 9 mo +0.01% points
282 INDEGENE LIMITED
mutual fund unit
— 0.10% Dec 2025 9 mo +0.01% points
283 INOX WIND LIMITED
mutual fund unit
— 0.10% Dec 2025 9 mo −0.05% points
284 ITD CEMENTATION INDIA LIMITED
mutual fund unit
— 0.10% Mar 2026 6 mo 0.00% points
285 PHYSICSWALLAH LIMITED
mutual fund unit
— 0.10% Mar 2026 6 mo +0.02% points
286 POLY MEDICURE LTD
mutual fund unit
— 0.10% Dec 2025 9 mo +0.01% points
287 RELIANCE POWER LIMITED
mutual fund unit
— 0.10% Dec 2025 9 mo −0.03% points
288 SUMITOMO CHEMICAL INDIA LIMITED
mutual fund unit
— 0.10% Dec 2025 9 mo 0.00% points
289 THE JAMMU & KASHMIR BANK LIMITED
mutual fund unit
— 0.10% Dec 2025 9 mo 0.00% points
290 TITAGARH RAIL SYSTEMS LIMITED
mutual fund unit
— 0.10% Dec 2025 9 mo −0.01% points
291 TRIVENI TURBINE LTD.
mutual fund unit
— 0.10% Dec 2025 9 mo −0.04% points
292 WELSPUN LIVING LIMITED
mutual fund unit
— 0.10% Dec 2025 9 mo +0.03% points
293 CHAMBAL FERTILIZERS & CHEMICALS LIMITED
mutual fund unit
— 0.09% Dec 2025 9 mo −0.03% points
294 DEVYANI INTERNATIONAL LIMITED
mutual fund unit
— 0.09% Dec 2025 9 mo +0.01% points
295 EIH LIMITED
mutual fund unit
— 0.09% Dec 2025 9 mo −0.01% points
296 GILLETTE INDIA LIMITED
mutual fund unit
— 0.09% Dec 2025 9 mo −0.02% points
297 GO DIGIT GENERAL INSURANCE LIMITED
mutual fund unit
— 0.09% Dec 2025 9 mo −0.03% points
298 GODAWARI POWER AND ISPAT LIMITED
mutual fund unit
— 0.09% Dec 2025 9 mo −0.03% points
299 GRAVITA INDIA LIMITED
mutual fund unit
— 0.09% Dec 2025 9 mo +0.01% points
300 HEG LIMITED
mutual fund unit
— 0.09% Dec 2025 9 mo +0.01% points
301 IFCI LIMITED
mutual fund unit
— 0.09% Dec 2025 9 mo +0.02% points
302 INTELLECT DESIGN ARENA LTD
mutual fund unit
— 0.09% Dec 2025 9 mo −0.01% points
303 JUBILANT INGREVIA LIMITED
mutual fund unit
— 0.09% Dec 2025 9 mo 0.00% points
304 LT FOODS LTD
mutual fund unit
— 0.09% Dec 2025 9 mo 0.00% points
305 MAHANAGAR GAS LIMITED
mutual fund unit
— 0.09% Dec 2025 9 mo −0.01% points
306 MINDA CORPORATION LIMITED
mutual fund unit
— 0.09% Dec 2025 9 mo +0.01% points
307 NCC LIMITED
mutual fund unit
— 0.09% Dec 2025 9 mo −0.01% points
308 PCBL LIMITED
mutual fund unit
— 0.09% Dec 2025 9 mo +0.01% points
309 SAPPHIRE FOODS INDIA LIMITED
mutual fund unit
— 0.09% Dec 2025 9 mo +0.02% points
310 SOBHA LIMITED
mutual fund unit
— 0.09% Dec 2025 9 mo −0.01% points
311 SONATA SOFTWARE LIMITED
mutual fund unit
— 0.09% Dec 2025 9 mo +0.01% points
312 TBO TEK LIMITED
mutual fund unit
— 0.09% Dec 2025 9 mo +0.02% points
313 URBAN CLUB
mutual fund unit
— 0.09% Mar 2026 6 mo +0.02% points
314 VARDHMAN TEXTILES LIMITED
mutual fund unit
— 0.09% Dec 2025 9 mo −0.01% points
315 WHIRLPOOL OF INDIA LIMITED
mutual fund unit
— 0.09% Dec 2025 9 mo −0.01% points
316 AADHAR HOUSING FINANCE LIMITED
mutual fund unit
— 0.08% Dec 2025 9 mo 0.00% points
317 AAVAS FINANCIERS LIMITED
mutual fund unit
— 0.08% Dec 2025 9 mo −0.01% points
318 ADITYA BIRLA LIFESTYLE BRANDS LIMITED
mutual fund unit
— 0.08% Dec 2025 9 mo −0.01% points
319 BAYER CROPSCIENCE LIMITED
mutual fund unit
— 0.08% Dec 2025 9 mo −0.01% points
320 CAPLIN POINT LABORATORIES LIMITED
mutual fund unit
— 0.08% Dec 2025 9 mo +0.01% points
321 CENTRAL BANK OF INDIA
mutual fund unit
— 0.08% Dec 2025 9 mo +0.03% points
322 CIE AUTOMOTIVE INDIA LTD.
mutual fund unit
— 0.08% May 2026 4 mo −0.01% points
323 FERTILIZERS AND CHEMICALS TRAVANCORE LTD
mutual fund unit
— 0.08% Dec 2025 9 mo −0.01% points
324 IDBI BANK LIMITED
mutual fund unit
— 0.08% Dec 2025 9 mo +0.01% points
325 INDIAMART INTERMESH LTD
mutual fund unit
— 0.08% Dec 2025 9 mo −0.02% points
326 JM FINANCIAL LTD
mutual fund unit
— 0.08% Dec 2025 9 mo 0.00% points
327 JSW DULUX LIMITED
mutual fund unit
— 0.08% Dec 2025 9 mo −0.01% points
328 KEC INTERNATIONAL LIMITED
mutual fund unit
— 0.08% Dec 2025 9 mo −0.03% points
329 LEMON TREE HOTELS LIMITED
mutual fund unit
— 0.08% Dec 2025 9 mo −0.01% points
330 NIVA BUPA HEALTH INSURANCE COMPANY LTD.
mutual fund unit
— 0.08% Dec 2025 9 mo −0.01% points
331 NMDC STEEL LIMITED
mutual fund unit
— 0.08% Dec 2025 9 mo 0.00% points
332 OLECTRA GREENTECH LIMITED
mutual fund unit
— 0.08% Dec 2025 9 mo 0.00% points
333 TECHNO ELECTRIC & ENGINEERING COMPANY LI
mutual fund unit
— 0.08% Dec 2025 9 mo −0.01% points
334 ZENSAR TECHNOLOGIES LIMITED
mutual fund unit
— 0.08% Dec 2025 9 mo −0.01% points
335 ZYDUS WELLNESS LTD
mutual fund unit
— 0.08% Mar 2026 6 mo 0.00% points
336 ACTION CONSTRUCTION EQUIPMENT LTD
mutual fund unit
— 0.07% Dec 2025 9 mo +0.01% points
337 AFCONS INFRASTRUCTURE LIMITED
mutual fund unit
— 0.07% Dec 2025 9 mo −0.02% points
338 BATA INDIA LIMITED
mutual fund unit
— 0.07% Dec 2025 9 mo 0.00% points
339 BIRLASOFT LTD
mutual fund unit
— 0.07% Dec 2025 9 mo −0.02% points
340 CONCORD BIOTECH LIMITED
mutual fund unit
— 0.07% Dec 2025 9 mo +0.01% points
341 EMMVEE PHOTOVOLTAIC POWER LIMITED
mutual fund unit
— 0.07% Mar 2026 6 mo +0.01% points
342 GODREJ INDUSTRIES LTD
mutual fund unit
— 0.07% Dec 2025 9 mo −0.01% points
343 GRAPHITE INDIA LTD
mutual fund unit
— 0.07% Dec 2025 9 mo −0.01% points
344 GUJARAT MINERAL DEVELOPMENT CORP.
mutual fund unit
— 0.07% Dec 2025 9 mo −0.02% points
345 INDIAN OVERSEAS BANK
mutual fund unit
— 0.07% Dec 2025 9 mo −0.01% points
346 JK TYRE & INDUSTRIES LTD
mutual fund unit
— 0.07% Dec 2025 9 mo −0.01% points
347 LEELA PALACES HOTELS & RESORTS LIMITED
mutual fund unit
— 0.07% Dec 2025 9 mo +0.02% points
348 SARDA ENERGY & MINERALS LTD
mutual fund unit
— 0.07% Dec 2025 9 mo −0.01% points
349 SJVN LIMITED
mutual fund unit
— 0.07% Dec 2025 9 mo −0.02% points
350 SUN TV NETWORK LIMITED
mutual fund unit
— 0.07% Dec 2025 9 mo −0.01% points
351 SUPREME PETROCHEM LIMITED
mutual fund unit
— 0.07% Mar 2026 6 mo 0.00% points
352 TEJAS NETWORKS LIMITED
mutual fund unit
— 0.07% Dec 2025 9 mo 0.00% points
353 TENNECO CLEAN AIR INDIA LIMITED
mutual fund unit
— 0.07% Mar 2026 6 mo 0.00% points
354 THE NEW INDIA ASSURANCE COMPANY LTD
mutual fund unit
— 0.07% Dec 2025 9 mo +0.01% points
355 THE SHIPPING CORP OF INDIA LTD
mutual fund unit
— 0.07% Dec 2025 9 mo −0.01% points
356 AEGIS VOPAK TERMINALS LIMITED
mutual fund unit
— 0.06% Dec 2025 9 mo +0.01% points
357 ANUPAM RASAYAN INDIA LIMITED
mutual fund unit
— 0.06% Mar 2026 6 mo 0.00% points
358 BIKAJI FOODS INTERNATIONAL LIMITED
mutual fund unit
— 0.06% Dec 2025 9 mo −0.01% points
359 BRAINBEES SOLUTIONS LTD.
mutual fund unit
— 0.06% Dec 2025 9 mo −0.02% points
360 CANARA HSBC LIFE INSURANCE COMPANY LTD
mutual fund unit
— 0.06% Mar 2026 6 mo +0.01% points
361 CLEAN SCIENCE AND TECHNOLOGY LIMITED
mutual fund unit
— 0.06% Dec 2025 9 mo 0.00% points
362 DCM SHRIRAM LIMITED
mutual fund unit
— 0.06% Dec 2025 9 mo −0.01% points
363 DOMS INDUSTRIES LIMITED
mutual fund unit
— 0.06% Dec 2025 9 mo 0.00% points
364 ELECON ENGINEERING COMPANY LIMITED
mutual fund unit
— 0.06% Dec 2025 9 mo −0.01% points
365 IRCON INTERNATIONAL LIMITED
mutual fund unit
— 0.06% Dec 2025 9 mo −0.01% points
366 SBFC FINANCE LIMITED
mutual fund unit
— 0.06% Dec 2025 9 mo 0.00% points
367 SWAN ENERGY LIMITED
mutual fund unit
— 0.06% Dec 2025 9 mo −0.02% points
368 UTI ASSET MANAGEMENT COMPANY LTD
mutual fund unit
— 0.06% Dec 2025 9 mo −0.01% points
369 ADITYA BIRLA FASHION AND RETAIL LIMITED
mutual fund unit
— 0.05% Dec 2025 9 mo 0.00% points
370 ALLIED BLENDERS AND DISTILLERS LIMITED
mutual fund unit
— 0.05% Mar 2026 6 mo 0.00% points
371 BLUE JET HEALTHCARE LTD
mutual fund unit
— 0.05% Dec 2025 9 mo +0.02% points
372 INTERNATIONAL GEMMOLOGICAL INSTITUTE LTD
mutual fund unit
— 0.05% Dec 2025 9 mo −0.01% points
373 JSW CEMENT LIMITED
mutual fund unit
— 0.05% Dec 2025 9 mo 0.00% points
374 JUPITER WAGONS LIMITED
mutual fund unit
— 0.05% Dec 2025 9 mo −0.01% points
375 MANGALORE REFINERY & PETROCHEMICALS LTD
mutual fund unit
— 0.05% Dec 2025 9 mo +0.01% points
376 NEWGEN SOFTWARE TECHNOLOGIES LIMITED
mutual fund unit
— 0.05% Dec 2025 9 mo 0.00% points
377 NUVOCO VISTAS CORPORATION LIMITED
mutual fund unit
— 0.05% Dec 2025 9 mo −0.01% points
378 PINE LABS LIMITED
mutual fund unit
— 0.05% Mar 2026 6 mo +0.01% points
379 SAREGAMA INDIA LIMITED
mutual fund unit
— 0.05% Dec 2025 9 mo 0.00% points
380 SIGNATURE GLOBAL (INDIA) LIMITED
mutual fund unit
— 0.05% Dec 2025 9 mo 0.00% points
381 TRANSFORMERS & RECTIFIERS (INDIA) LTD
mutual fund unit
— 0.05% Dec 2025 9 mo −0.01% points
382 TRIDENT LIMITED
mutual fund unit
— 0.05% Dec 2025 9 mo 0.00% points
383 BLS INTERNATIONAL SERVICES LIMITED
mutual fund unit
— 0.04% Dec 2025 9 mo −0.01% points
384 BLUE DART EXPRESS LIMITED
mutual fund unit
— 0.04% Dec 2025 9 mo −0.01% points
385 INDIA CEMENTS LTD
mutual fund unit
— 0.04% Dec 2025 9 mo 0.00% points
386 ITI LTD.
mutual fund unit
— 0.04% Dec 2025 9 mo −0.01% points
387 JBM AUTO LTD
mutual fund unit
— 0.04% Dec 2025 9 mo 0.00% points
388 RAILTEL CORPORATION OF INDIA LIMITED
mutual fund unit
— 0.04% Dec 2025 9 mo −0.01% points
389 RITES LIMITED
mutual fund unit
— 0.04% Dec 2025 9 mo 0.00% points
390 TEGA INDUSTRIES LIMITED
mutual fund unit
— 0.04% Mar 2026 6 mo −0.01% points
391 THE BOMBAY BURMAH TRADING CORP. LTD
mutual fund unit
— 0.04% Dec 2025 9 mo 0.00% points
392 TRAVEL FOOD SERVICES LIMITED
mutual fund unit
— 0.04% Mar 2026 6 mo 0.00% points
393 UCO BANK
mutual fund unit
— 0.04% Dec 2025 9 mo −0.01% points
394 C.E. INFO SYSTEMS LIMITED
mutual fund unit
— 0.03% Dec 2025 9 mo +0.01% points
395 GALLANTT ISPAT LIMITED
mutual fund unit
— 0.03% Mar 2026 6 mo 0.00% points
396 JAIN RESOURCE RECYCLING LIMITED
mutual fund unit
— 0.03% Mar 2026 6 mo 0.00% points
397 LATENT VIEW ANALYTICS LIMITED
mutual fund unit
— 0.03% Dec 2025 9 mo −0.01% points
398 PRIME FOCUS LTD
mutual fund unit
— 0.03% Jul 2026 2 mo +0.03% points
399 RHI MAGNESITA INDIA LIMITED
mutual fund unit
— 0.03% Dec 2025 9 mo −0.01% points
400 TATA TELESERVICES (MAHARASHTRA) LIMITED
mutual fund unit
— 0.03% Dec 2025 9 mo −0.01% points
401 MMTC LTD
mutual fund unit
— 0.01% Dec 2025 9 mo −0.01% points
Showing 1–401 of 401 rows per page102550all

Largest sectors, Aug 2026

PHARMACEUTICALS & BIOTECHNOLOGY7.7%
BANKS7.2%
CAPITAL MARKETS6.7%
FINANCE6.0%
AUTO COMPONENTS5.1%
INDUSTRIAL PRODUCTS4.8%
ELECTRICAL EQUIPMENT4.6%
CONSUMER DURABLES3.8%
share of the book05%10%

By market cap, Aug 2026

Large cap1.2%
Mid cap63.3%
Small / micro cap20.9%
Cash & equivalents0.7%
Not classified1.7%
Other12.2%
share of the book025%50%75%100%

"Not classified" is what no cap tier could be inferred for — newly listed names, or lines without an ISIN.

Composition by market cap, month by month — what the fund actually held against what its label says

Large cap: 1% → 1%Mid cap: 63% → 63%Small / micro: 22% → 21%Cash & other: 0% → 1%25%50%75%Dec 2025May 2026Aug 2026
Large cap: 1% → 1%Mid cap: 63% → 63%Small / micro: 22% → 21%Cash & other: 0% → 1%25%50%75%Mid cap 63%Small / micro 21%Dec 2025May 2026Aug 2026
Large cap: 1% → 1%Mid cap: 63% → 63%Small / micro: 22% → 21%Cash & other: 0% → 1%25%50%75%Mid cap 63%Small / micro 21%Dec 2025May 2026Aug 2026
  • Large cap 1%
  • Mid cap 63%
  • Small / micro 21%
  • Cash & other 1%

The seven checks, in full

each: the plain claim, where it sits in the category, and — folded — how it is measured and the case against. A flag fires only where headline and record disagree.

P4 Consistency, not a single end date
Not measurable yet. Needs at least three years of month-end NAV and a category median; not computed for this fund yet.

What this means. Take every three-year stretch since the fund had a NAV, one starting each month, and ask two things of each: did it beat the typical fund in its category, and by how much. Counting the wins tells you the record does not depend on when you happen to look; averaging the margin tells you whether winning often was worth anything, because four small wins do not pay for one large loss.

How it is measured, and the case against

A fund that beats its category in most rolling three-year windows has a record; one that beats it in a few has an end date. How often it won and by how much are different questions, and this card answers both, because a fund can win four windows in five and still be behind across all five.

How often has it beaten its category, across every window?

Why this might matterRolling every three-year window forward month by month gives hundreds of overlapping observations instead of one. A single end date decides a headline five-year figure; the share of windows won cannot be flattered by when you happen to look. The average margin across every window is that share and the payoff multiplied together — win share x average beat plus loss share x average shortfall is exactly the average — so a high share bought with a few ruinous windows cannot hide behind the count.
Why it might notRolling windows overlap heavily, so they are not independent observations and the true sample is far smaller than the count suggests — the card says how many non-overlapping windows the same span holds, and it is usually a handful. A fund that changed manager or mandate carries a record that is only partly its own. The average margin is only as meaningful as the category: where a category is a grab bag (“Other ETFs” holds gold beside equity), a large shortfall says the comparison is wrong, not that the fund is. And none of this forecasts: our own study found the share of windows won does not predict the next three years, and weighting it by payoff gives no reason to think otherwise.
P5 Cost, measured
Not measurable yet. Needs a Direct and a Regular growth class with overlapping NAV history.

What this means. The Regular and Direct plans hold the same portfolio; the Regular one pays a distributor out of your money every day. The gap between the two NAVs is that cost, measured from the NAVs rather than quoted from a document.

How it is measured, and the case against

The Direct plan is the same portfolio, priced differently; the divergence of the two NAVs is the cost, measured rather than quoted.

What does the Regular plan actually cost against its Direct twin?

Why this might matterSame manager, same holdings, same day. The gap between the two NAV series is the one number on this page that is knowable today rather than hoped for, and it compounds for as long as the units are held.
Why it might notA Regular plan buys advice. If that advice stops someone selling in a drawdown it can be worth more than the fee — the cost is visible and the behavioural saving is not, which makes this comparison unfair in exactly one direction.
P1 Churn, and what it bought

Turns over 62% of the portfolio a year

What this means. How much of the portfolio was bought and sold in a year, computed from what the fund disclosed each month. Trading costs something certain; the extra return it is meant to buy is not.

excess return per unit of turnoverneeds the category 1-year median — not computed yet
How it is measured, and the case against

Turnover measured from consecutive disclosures — Σ|Δweight|/2 — costs something certain; the excess return it is meant to buy is not.

Is the trading paying for itself?

Why this might matterAMCs define their own turnover figure inconsistently. This one is computed from what the fund disclosed month to month, so two funds are comparable on it. Read it beside the excess return per unit of turnover.
Why it might notTurnover computed from month-end snapshots misses everything bought and sold inside a month, and a fund forced to sell by redemptions is charged for churn it did not choose.
P2 Conviction or inertia

Typical top-10 holding kept 9 months

What this means. How long a typical top-10 position has been in the top ten. Long-held positions are a decision; a top ten that changes every quarter is a reaction.

active sharenot yet computable — needs index constituent files
How it is measured, and the case against

The median months a top-10 position has been held separates a portfolio somebody chose from one that drifted.

How long does a top-10 position stay a top-10 position?

Why this might matterConcentration is how a manager expresses conviction, and persistence is how long they keep it. Long-held positions with a rising weight are a decision; a top ten that turns over every quarter is a reaction.
Why it might notPersistence without active share is inertia: a portfolio of 166 names that tracks its category closely has diversified away the reason to pay for it. Active share needs index constituent files, which are not loaded yet.
P3 Hit rate of the top ten

4 of 10 top picks beat their peers over the next 6 months, and averaged 0.9 percentage points behind them

30 positions judged, one disclosure at a time · ahead by 18.3 percentage points when it won, behind by 13.7 when it lost

What this means. Take each month's ten largest holdings and check whether each one beat the typical stock its category holds over the next six months, and by how much. A blended return can hide two wins and eight losses; a count of wins can hide one position that lost half its value.

How often, and by how much. The count and the average agree. Ahead by 18.3 percentage points in the 12 positions it won and behind by 13.7 in the 18 it lost, so the average across all 30 is −0.9 percentage points. The worst position was INE208A01029 at the Feb 2026 disclosure, 27.4 percentage points behind. The typical position was −5.7 percentage points, far from the average, so a few positions are carrying it.

positions judged30beat the median stock12average across every position−0.90% points · median −5.73when ahead, by how much+18.30% points over 12 positionswhen behind, by how much−13.69% points over 18 positionsworst position−27.40% points, INE208A01029 at the Feb 2026 disclosurebest position+43.71% points, INE118H01025 at the Dec 2025 disclosure
How it is measured, and the case against

A manager's largest bets, judged one by one over the following six months, say more than the fund's blended return — and how far each one beat or missed the median stock says more than counting how many did.

Of its top-10 positions, how often did they beat the category-median stock?

Why this might matterA fund can beat its category on two positions and lose on eight; the hit rate shows the pattern the aggregate hides. The average margin then shows what the hit rate hides in turn: six winners worth a point each do not pay for four losers worth ten, and only the margin says which happened.
Why it might notSix months is short, sizing matters more than counting, and a manager who is right on the biggest position and wrong on nine small ones has done their job — the margins here are unweighted, so they answer the counting question better, not the sizing one. Overlapping disclosures judge the same position again each month it is held, so one long-held winner is counted many times. And this is a description of six months already past, not a forecast of the next six.
P6 Size against edge

₹12 Cr, 3rd percentile in category; 45% of growth came from inflows

smaller than 97% of the funds in its category (151 funds) · AUM Dec 2025 → Jul 2026 · Regular plan expense ratio 1.37%

What this means. Where the fund sits by size in its category, and how much of its growth was money arriving rather than the portfolio compounding. A very large fund cannot buy what a small one can; size should buy a lower fee in return.

expense ratio, Regular / Direct1.37% / 0.49% · category median 0.90%AUM, Dec 2025 → Jul 2026₹11 Cr → ₹12 Crof that change, from flows rather than returns45% net inflows · NAV +5% over the window

Assets under management, ₹ crore, Dec 2025 – Jul 2026

81012Dec 2025Feb 2026Apr 2026Jun 2026Jul 2026Dec 2025: ₹11 CrJan 2026: ₹11 CrFeb 2026: ₹10 CrMar 2026: ₹8 CrApr 2026: ₹9 CrJun 2026: ₹10 Cr (amfi-aaum)Jul 2026: ₹12 Cr
81012Dec 2025Feb 2026Apr 2026Jun 2026Jul 2026Dec 2025: ₹11 CrJan 2026: ₹11 CrFeb 2026: ₹10 CrMar 2026: ₹8 CrApr 2026: ₹9 CrJun 2026: ₹10 Cr (amfi-aaum)Jul 2026: ₹12 Cr
81012Dec 2025Feb 2026Apr 2026Jun 2026Jul 2026Dec 2025: ₹11 CrJan 2026: ₹11 CrFeb 2026: ₹10 CrMar 2026: ₹8 CrApr 2026: ₹9 CrJun 2026: ₹10 Cr (amfi-aaum)Jul 2026: ₹12 Cr

7 points · months without a factsheet figure use AMFI's quarterly average · Regular-plan expense ratio 1.00% in Dec 2025 → 1.37% in Sep 2026

How it is measured, and the case against

Past a certain size the smaller end of a mandate becomes unreachable, and the fund starts to look like its index; what size should buy in return is a lower expense ratio.

Has the fund outgrown the universe it invests in — and did size buy a lower fee?

Why this might matterSize narrows what the manager can meaningfully hold and should lower what the investor pays. Read the AUM history beside the expense ratio: a fund that has tripled through inflows while its Regular-plan TER sits above the category median has kept the benefit of scale for the house. The flow decomposition says how much of the growth was money arriving rather than the portfolio compounding.
Why it might notScale funds research teams, and plenty of large funds have gone on compounding for decades. Inflows follow performance, so a fund growing fast is usually one that did well; the constraint is real but not automatically binding, and a TER is a ceiling the AMC can cut at any time.
P7 Whose record is this headline and record disagree

Run by Ashutosh Shirwaikar for 8 mo

What this means. How long the people running it now have been running it, read from the monthly factsheets. A five-year record earned under someone else is not evidence about these managers.

running it nowAshutosh Shirwaikar (since Dec 2025)share of the fund's life under the longest-serving current manager89%changes of hands in the archivenone

Who ran it, month by month · factsheets through Sep 2026

2026Ashutosh ShirwaikarAshutosh Shirwaikar: Dec 2025 – now · fund manager · date as printed Dec 2025Sep 2026
2026Ashutosh ShirwaikarAshutosh Shirwaikar: Dec 2025 – now · fund manager · date as printed Dec 2025Sep 2026
2026Ashutosh ShirwaikarAshutosh Shirwaikar: Dec 2025 – now · fund manager · date as printed Dec 2025Sep 2026
running it nowearlier
ManagerRoleFromToFund vs category, those months3-yr stretches won in tenure
Ashutosh Shirwaikar fund manager Dec 2025 now 4.8% vs −2.2% (+7.05% points) —

* dated by first appearance in the archive we hold, not by a date the factsheet printed. Co-managed months count for every manager named; a factsheet names the manager of record, not who made each call. All managers →

The 5-year record predates everyone currently running it. The longest-serving manager on this scheme has been in place about 0.8 years, against a 5-year figure on display. Ashutosh Shirwaikar joined roughly 0.8 years ago. A record earned under different people is not evidence about these ones.
How it is measured, and the case against

A record earned under different people is not evidence about these ones.

Does the displayed record predate the people running it?

Why this might matterA five-year figure on a fund whose longest-serving manager joined two years ago is the house's record more than the person's. The tenure here comes from what each monthly factsheet named, so a change of hands is dated to the month it was disclosed, and the fund's return against its category can be read over exactly those months.
Why it might notFund houses have processes, research desks and mandates that outlast individuals, so a manager change is not a reset. It does mean the displayed record is the house’s more than the person’s.

Tracking gap

the NAV the fund published, against the NAV its last disclosed portfolio would have produced at each day's prices

NAV sits 0.11 percentage points from its disclosed portfolio, but the replication is noisy

What this means. Each day, the NAV the fund published against the NAV its last disclosed portfolio would have produced at that day's prices. A gap that opens and stays is a change the fund has made and not disclosed yet.

Latest gap beyond expense accrual
−0.11% points
expense added back ≈ 0.20% a year
Jumps since the disclosure
11noisy
15 Sep 2026 −0.27% points · 8 Jul 2026 −0.25% points · 3 Aug 2026 +0.25% points
Window
60 days
25 Jun 2026 – 18 Sep 2026
-0.250.000.250.50−0.27% points jump−0.27% points jump−0.25% points jump−0.25% points jump+0.25% points jump+0.25% points jump25 Jun 202617 Jul 20267 Aug 202628 Aug 202618 Sep 202625 Jun 2026: +0.53% points (published 1.84%, replicated 1.31%)29 Jun 2026: +0.44% points (published 1.46%, replicated 1.02%)30 Jun 2026: +0.48% points (published 1.94%, replicated 1.46%)1 Jul 2026: +0.11% points (published 0.30%, replicated 0.19%)2 Jul 2026: +0.28% points (published 0.96%, replicated 0.69%)3 Jul 2026: +0.30% points (published 0.85%, replicated 0.55%)6 Jul 2026: +0.30% points (published 1.26%, replicated 0.96%)7 Jul 2026: +0.20% points (published 0.85%, replicated 0.65%)8 Jul 2026: −0.05% points (published -0.88%, replicated -0.83%)9 Jul 2026: +0.12% points (published 0.54%, replicated 0.42%)10 Jul 2026: +0.36% points (published 1.91%, replicated 1.55%)13 Jul 2026: +0.47% points (published 2.01%, replicated 1.55%)14 Jul 2026: +0.27% points (published 1.31%, replicated 1.04%)15 Jul 2026: +0.35% points (published 1.83%, replicated 1.48%)16 Jul 2026: +0.36% points (published 1.58%, replicated 1.22%)17 Jul 2026: +0.29% points (published 1.15%, replicated 0.86%)20 Jul 2026: +0.28% points (published 1.53%, replicated 1.24%)21 Jul 2026: +0.32% points (published 1.92%, replicated 1.59%)22 Jul 2026: +0.14% points (published 0.75%, replicated 0.62%)23 Jul 2026: −0.05% points (published -0.29%, replicated -0.24%)24 Jul 2026: −0.04% points (published -0.43%, replicated -0.38%)27 Jul 2026: +0.13% points (published 0.72%, replicated 0.59%)28 Jul 2026: +0.04% points (published 0.56%, replicated 0.52%)29 Jul 2026: +0.25% points (published 1.56%, replicated 1.31%)30 Jul 2026: +0.10% points (published 1.03%, replicated 0.93%)31 Jul 2026: +0.15% points (published 1.50%, replicated 1.35%)3 Aug 2026: +0.25% points (published 1.27%, replicated 1.02%)4 Aug 2026: +0.24% points (published 1.12%, replicated 0.89%)5 Aug 2026: +0.30% points (published 1.53%, replicated 1.23%)6 Aug 2026: +0.30% points (published 1.33%, replicated 1.03%)7 Aug 2026: +0.28% points (published 1.49%, replicated 1.21%)10 Aug 2026: +0.32% points (published 1.77%, replicated 1.45%)11 Aug 2026: +0.36% points (published 1.81%, replicated 1.45%)12 Aug 2026: +0.27% points (published 1.90%, replicated 1.63%)13 Aug 2026: +0.30% points (published 2.01%, replicated 1.71%)14 Aug 2026: +0.29% points (published 1.52%, replicated 1.23%)17 Aug 2026: +0.30% points (published 1.68%, replicated 1.38%)18 Aug 2026: +0.34% points (published 1.50%, replicated 1.16%)19 Aug 2026: +0.26% points (published 1.11%, replicated 0.85%)20 Aug 2026: +0.34% points (published 1.55%, replicated 1.21%)21 Aug 2026: +0.36% points (published 1.75%, replicated 1.40%)24 Aug 2026: +0.34% points (published 1.72%, replicated 1.39%)25 Aug 2026: +0.32% points (published 1.97%, replicated 1.65%)26 Aug 2026: +0.40% points (published 2.18%, replicated 1.78%)27 Aug 2026: +0.33% points (published 2.07%, replicated 1.74%)28 Aug 2026: +0.38% points (published 2.20%, replicated 1.81%)31 Aug 2026: +0.30% points (published 2.04%, replicated 1.74%)1 Sep 2026: 0.00% points (published -0.82%, replicated -0.82%)2 Sep 2026: −0.06% points (published -1.40%, replicated -1.34%)3 Sep 2026: +0.04% points (published -0.76%, replicated -0.80%)4 Sep 2026: +0.11% points (published -0.84%, replicated -0.94%)7 Sep 2026: +0.09% points (published -1.12%, replicated -1.22%)8 Sep 2026: +0.06% points (published -0.97%, replicated -1.03%)9 Sep 2026: +0.03% points (published -1.41%, replicated -1.44%)10 Sep 2026: 0.00% points (published -1.65%, replicated -1.65%)11 Sep 2026: −0.04% points (published -1.97%, replicated -1.93%)15 Sep 2026: −0.31% points (published -4.16%, replicated -3.85%)16 Sep 2026: −0.33% points (published -4.19%, replicated -3.86%)17 Sep 2026: −0.22% points (published -3.37%, replicated -3.15%)18 Sep 2026: −0.12% points (published -1.94%, replicated -1.82%)
-0.250.000.250.50−0.27% points jump−0.27% points jump−0.25% points jump−0.25% points jump+0.25% points jump+0.25% points jump25 Jun 202617 Jul 20267 Aug 202628 Aug 202618 Sep 202625 Jun 2026: +0.53% points (published 1.84%, replicated 1.31%)29 Jun 2026: +0.44% points (published 1.46%, replicated 1.02%)30 Jun 2026: +0.48% points (published 1.94%, replicated 1.46%)1 Jul 2026: +0.11% points (published 0.30%, replicated 0.19%)2 Jul 2026: +0.28% points (published 0.96%, replicated 0.69%)3 Jul 2026: +0.30% points (published 0.85%, replicated 0.55%)6 Jul 2026: +0.30% points (published 1.26%, replicated 0.96%)7 Jul 2026: +0.20% points (published 0.85%, replicated 0.65%)8 Jul 2026: −0.05% points (published -0.88%, replicated -0.83%)9 Jul 2026: +0.12% points (published 0.54%, replicated 0.42%)10 Jul 2026: +0.36% points (published 1.91%, replicated 1.55%)13 Jul 2026: +0.47% points (published 2.01%, replicated 1.55%)14 Jul 2026: +0.27% points (published 1.31%, replicated 1.04%)15 Jul 2026: +0.35% points (published 1.83%, replicated 1.48%)16 Jul 2026: +0.36% points (published 1.58%, replicated 1.22%)17 Jul 2026: +0.29% points (published 1.15%, replicated 0.86%)20 Jul 2026: +0.28% points (published 1.53%, replicated 1.24%)21 Jul 2026: +0.32% points (published 1.92%, replicated 1.59%)22 Jul 2026: +0.14% points (published 0.75%, replicated 0.62%)23 Jul 2026: −0.05% points (published -0.29%, replicated -0.24%)24 Jul 2026: −0.04% points (published -0.43%, replicated -0.38%)27 Jul 2026: +0.13% points (published 0.72%, replicated 0.59%)28 Jul 2026: +0.04% points (published 0.56%, replicated 0.52%)29 Jul 2026: +0.25% points (published 1.56%, replicated 1.31%)30 Jul 2026: +0.10% points (published 1.03%, replicated 0.93%)31 Jul 2026: +0.15% points (published 1.50%, replicated 1.35%)3 Aug 2026: +0.25% points (published 1.27%, replicated 1.02%)4 Aug 2026: +0.24% points (published 1.12%, replicated 0.89%)5 Aug 2026: +0.30% points (published 1.53%, replicated 1.23%)6 Aug 2026: +0.30% points (published 1.33%, replicated 1.03%)7 Aug 2026: +0.28% points (published 1.49%, replicated 1.21%)10 Aug 2026: +0.32% points (published 1.77%, replicated 1.45%)11 Aug 2026: +0.36% points (published 1.81%, replicated 1.45%)12 Aug 2026: +0.27% points (published 1.90%, replicated 1.63%)13 Aug 2026: +0.30% points (published 2.01%, replicated 1.71%)14 Aug 2026: +0.29% points (published 1.52%, replicated 1.23%)17 Aug 2026: +0.30% points (published 1.68%, replicated 1.38%)18 Aug 2026: +0.34% points (published 1.50%, replicated 1.16%)19 Aug 2026: +0.26% points (published 1.11%, replicated 0.85%)20 Aug 2026: +0.34% points (published 1.55%, replicated 1.21%)21 Aug 2026: +0.36% points (published 1.75%, replicated 1.40%)24 Aug 2026: +0.34% points (published 1.72%, replicated 1.39%)25 Aug 2026: +0.32% points (published 1.97%, replicated 1.65%)26 Aug 2026: +0.40% points (published 2.18%, replicated 1.78%)27 Aug 2026: +0.33% points (published 2.07%, replicated 1.74%)28 Aug 2026: +0.38% points (published 2.20%, replicated 1.81%)31 Aug 2026: +0.30% points (published 2.04%, replicated 1.74%)1 Sep 2026: 0.00% points (published -0.82%, replicated -0.82%)2 Sep 2026: −0.06% points (published -1.40%, replicated -1.34%)3 Sep 2026: +0.04% points (published -0.76%, replicated -0.80%)4 Sep 2026: +0.11% points (published -0.84%, replicated -0.94%)7 Sep 2026: +0.09% points (published -1.12%, replicated -1.22%)8 Sep 2026: +0.06% points (published -0.97%, replicated -1.03%)9 Sep 2026: +0.03% points (published -1.41%, replicated -1.44%)10 Sep 2026: 0.00% points (published -1.65%, replicated -1.65%)11 Sep 2026: −0.04% points (published -1.97%, replicated -1.93%)15 Sep 2026: −0.31% points (published -4.16%, replicated -3.85%)16 Sep 2026: −0.33% points (published -4.19%, replicated -3.86%)17 Sep 2026: −0.22% points (published -3.37%, replicated -3.15%)18 Sep 2026: −0.12% points (published -1.94%, replicated -1.82%)
-0.250.000.250.50−0.27% points jump−0.27% points jump−0.25% points jump−0.25% points jump+0.25% points jump+0.25% points jump25 Jun 202617 Jul 20267 Aug 202628 Aug 202618 Sep 202625 Jun 2026: +0.53% points (published 1.84%, replicated 1.31%)29 Jun 2026: +0.44% points (published 1.46%, replicated 1.02%)30 Jun 2026: +0.48% points (published 1.94%, replicated 1.46%)1 Jul 2026: +0.11% points (published 0.30%, replicated 0.19%)2 Jul 2026: +0.28% points (published 0.96%, replicated 0.69%)3 Jul 2026: +0.30% points (published 0.85%, replicated 0.55%)6 Jul 2026: +0.30% points (published 1.26%, replicated 0.96%)7 Jul 2026: +0.20% points (published 0.85%, replicated 0.65%)8 Jul 2026: −0.05% points (published -0.88%, replicated -0.83%)9 Jul 2026: +0.12% points (published 0.54%, replicated 0.42%)10 Jul 2026: +0.36% points (published 1.91%, replicated 1.55%)13 Jul 2026: +0.47% points (published 2.01%, replicated 1.55%)14 Jul 2026: +0.27% points (published 1.31%, replicated 1.04%)15 Jul 2026: +0.35% points (published 1.83%, replicated 1.48%)16 Jul 2026: +0.36% points (published 1.58%, replicated 1.22%)17 Jul 2026: +0.29% points (published 1.15%, replicated 0.86%)20 Jul 2026: +0.28% points (published 1.53%, replicated 1.24%)21 Jul 2026: +0.32% points (published 1.92%, replicated 1.59%)22 Jul 2026: +0.14% points (published 0.75%, replicated 0.62%)23 Jul 2026: −0.05% points (published -0.29%, replicated -0.24%)24 Jul 2026: −0.04% points (published -0.43%, replicated -0.38%)27 Jul 2026: +0.13% points (published 0.72%, replicated 0.59%)28 Jul 2026: +0.04% points (published 0.56%, replicated 0.52%)29 Jul 2026: +0.25% points (published 1.56%, replicated 1.31%)30 Jul 2026: +0.10% points (published 1.03%, replicated 0.93%)31 Jul 2026: +0.15% points (published 1.50%, replicated 1.35%)3 Aug 2026: +0.25% points (published 1.27%, replicated 1.02%)4 Aug 2026: +0.24% points (published 1.12%, replicated 0.89%)5 Aug 2026: +0.30% points (published 1.53%, replicated 1.23%)6 Aug 2026: +0.30% points (published 1.33%, replicated 1.03%)7 Aug 2026: +0.28% points (published 1.49%, replicated 1.21%)10 Aug 2026: +0.32% points (published 1.77%, replicated 1.45%)11 Aug 2026: +0.36% points (published 1.81%, replicated 1.45%)12 Aug 2026: +0.27% points (published 1.90%, replicated 1.63%)13 Aug 2026: +0.30% points (published 2.01%, replicated 1.71%)14 Aug 2026: +0.29% points (published 1.52%, replicated 1.23%)17 Aug 2026: +0.30% points (published 1.68%, replicated 1.38%)18 Aug 2026: +0.34% points (published 1.50%, replicated 1.16%)19 Aug 2026: +0.26% points (published 1.11%, replicated 0.85%)20 Aug 2026: +0.34% points (published 1.55%, replicated 1.21%)21 Aug 2026: +0.36% points (published 1.75%, replicated 1.40%)24 Aug 2026: +0.34% points (published 1.72%, replicated 1.39%)25 Aug 2026: +0.32% points (published 1.97%, replicated 1.65%)26 Aug 2026: +0.40% points (published 2.18%, replicated 1.78%)27 Aug 2026: +0.33% points (published 2.07%, replicated 1.74%)28 Aug 2026: +0.38% points (published 2.20%, replicated 1.81%)31 Aug 2026: +0.30% points (published 2.04%, replicated 1.74%)1 Sep 2026: 0.00% points (published -0.82%, replicated -0.82%)2 Sep 2026: −0.06% points (published -1.40%, replicated -1.34%)3 Sep 2026: +0.04% points (published -0.76%, replicated -0.80%)4 Sep 2026: +0.11% points (published -0.84%, replicated -0.94%)7 Sep 2026: +0.09% points (published -1.12%, replicated -1.22%)8 Sep 2026: +0.06% points (published -0.97%, replicated -1.03%)9 Sep 2026: +0.03% points (published -1.41%, replicated -1.44%)10 Sep 2026: 0.00% points (published -1.65%, replicated -1.65%)11 Sep 2026: −0.04% points (published -1.97%, replicated -1.93%)15 Sep 2026: −0.31% points (published -4.16%, replicated -3.85%)16 Sep 2026: −0.33% points (published -4.19%, replicated -3.86%)17 Sep 2026: −0.22% points (published -3.37%, replicated -3.15%)18 Sep 2026: −0.12% points (published -1.94%, replicated -1.82%)

Each point is one day's gap in percentage points — a hundredth of a point is what a day's trading noise looks like.

Read it this way: a daily residual under about 0.02 percentage points — two hundredths of a point — is trading noise and the expense ratio accruing. A jump that stays is a portfolio change the fund has not disclosed yet — the size bounds how material. A gap that opens then closes is usually a dividend going ex-date.

Marked noisy: the replication jumped on 46 days in the window. Read the gap as coverage, not as a signal.

Share classes

latest NAV per AMFI code

PlanOptionNAVDate
direct
Navi Nifty midsmallcap 400 Index Fund- Direct - Growth
growth₹10.7421 Sep 2026
regular
Navi Nifty Midsmall 400 Index Fund - Regular - Growth
growth₹10.6721 Sep 2026
The Direct / Regular gap, in money
Direct growth NAV
₹10.74
Regular growth NAV
₹10.67
NAV divergence to date
0.7% — same portfolio, priced differently
Regular costs more by
not computed
On ₹1,00,000 over ten years
not computed

A Regular plan buys advice. The fee is visible and the behavioural saving is not; both are shown, neither is netted off.

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