HDFC BSE Sensex ETF
Stocks held by month, last 12 months collected. Source: HDFC Mutual Fund monthly portfolios.
| Stock | Change | Shares before | Shares now | Difference | Value |
|---|---|---|---|---|---|
| HDFCBANK | Added | 8.99 lakh | 9.00 lakh | +488 | ₹63.8 cr |
| ICICIBANK | Added | 4.23 lakh | 4.23 lakh | +229 | ₹61.4 cr |
| RELIANCE | Added | 3.99 lakh | 3.99 lakh | +215 | ₹51.3 cr |
| BHARTIARTL | Added | 1.80 lakh | 1.80 lakh | +97 | ₹32.9 cr |
| LT | Added | 69,002 | 69,040 | +38 | ₹27.8 cr |
| SBIN | Added | 2.45 lakh | 2.45 lakh | +134 | ₹26.0 cr |
| INFY | Added | 2.06 lakh | 2.06 lakh | +112 | ₹23.2 cr |
| AXISBANK | Added | 1.69 lakh | 1.69 lakh | +92 | ₹21.7 cr |
| KOTAKBANK | Added | 4.34 lakh | 4.35 lakh | +237 | ₹18.2 cr |
| M&M | Added | 52,835 | 52,864 | +29 | ₹17.6 cr |
| BAJFINANCE | Added | 1.58 lakh | 1.58 lakh | +86 | ₹16.8 cr |
| ITC | Added | 5.69 lakh | 5.70 lakh | +310 | ₹14.6 cr |
| TCS | Added | 59,782 | 59,815 | +33 | ₹14.1 cr |
| ETERNAL | Added | 4.27 lakh | 4.27 lakh | +232 | ₹14.0 cr |
| SUNPHARMA | Added | 63,712 | 63,748 | +36 | ₹12.5 cr |
| TITAN | Added | 24,099 | 24,112 | +13 | ₹12.3 cr |
| HINDUNILVR | Added | 52,687 | 52,716 | +29 | ₹10.5 cr |
| MARUTI | Added | 7,607 | 7,611 | +4 | ₹10.3 cr |
| NTPC | Added | 2.80 lakh | 2.81 lakh | +152 | ₹9.2 cr |
| TATASTEEL | Added | 4.86 lakh | 4.86 lakh | +265 | ₹9.0 cr |
| BEL | Added | 2.11 lakh | 2.11 lakh | +116 | ₹8.8 cr |
| HCLTECH | Added | 62,453 | 62,487 | +34 | ₹8.2 cr |
| ULTRACEMCO | Added | 6,956 | 6,960 | +4 | ₹8.0 cr |
| ADANIPORTS | Added | 43,507 | 43,531 | +24 | ₹7.1 cr |
| POWERGRID | Added | 2.69 lakh | 2.69 lakh | +147 | ₹7.1 cr |
| INDIGO | Added | 13,234 | 13,241 | +7 | ₹6.9 cr |
| ASIANPAINT | Added | 26,603 | 26,618 | +15 | ₹6.9 cr |
| BAJAJFINSV | Added | 33,057 | 33,076 | +19 | ₹6.7 cr |
| TECHM | Added | 37,588 | 37,609 | +21 | ₹6.1 cr |
| TRENT | Added | 19,509 | 19,520 | +11 | ₹5.6 cr |
Value: this month's market value in the AMC's file (an exit: last month's). "ISIN changed" = a split or bonus between the months; share counts are not comparable across it. Source: HDFC Mutual Fund monthly portfolios.
| Sector | ||||
|---|---|---|---|---|
| HDFCBANK HDFC Bank Limited | Financial Services | 9.00 lakh | ₹63.8 cr | 11.85% |
| ICICIBANK ICICI Bank Limited | Financial Services | 4.23 lakh | ₹61.4 cr | 11.40% |
| RELIANCE Reliance Industries Limited | Oil, Gas & Consumable Fuels | 3.99 lakh | ₹51.3 cr | 9.53% |
| BHARTIARTL Bharti Airtel Limited | Telecommunication | 1.80 lakh | ₹32.9 cr | 6.11% |
| LT Larsen & Toubro Limited | Construction | 69,040 | ₹27.8 cr | 5.17% |
| SBIN State Bank of India | Financial Services | 2.45 lakh | ₹26.0 cr | 4.83% |
| INFY Infosys Limited | Information Technology | 2.06 lakh | ₹23.2 cr | 4.31% |
| AXISBANK Axis Bank Limited | Financial Services | 1.69 lakh | ₹21.7 cr | 4.02% |
| KOTAKBANK Kotak Mahindra Bank Limited | Financial Services | 4.35 lakh | ₹18.2 cr | 3.37% |
| M&M Mahindra & Mahindra Limited | Automobile and Auto Components | 52,864 | ₹17.6 cr | 3.26% |
| BAJFINANCE Bajaj Finance Limited | Financial Services | 1.58 lakh | ₹16.8 cr | 3.12% |
| ITC ITC Limited | Fast Moving Consumer Goods | 5.70 lakh | ₹14.6 cr | 2.71% |
| TCS Tata Consultancy Services Limited | Information Technology | 59,815 | ₹14.1 cr | 2.63% |
| ETERNAL ETERNAL LIMITED | Consumer Services | 4.27 lakh | ₹14.0 cr | 2.60% |
| SUNPHARMA Sun Pharmaceutical Industries Limited | Healthcare | 63,748 | ₹12.5 cr | 2.32% |
| TITAN Titan Company Limited | Consumer Durables | 24,112 | ₹12.3 cr | 2.29% |
| HINDUNILVR Hindustan Unilever Limited | Fast Moving Consumer Goods | 52,716 | ₹10.5 cr | 1.95% |
| MARUTI Maruti Suzuki India Limited | Automobile and Auto Components | 7,611 | ₹10.3 cr | 1.90% |
| NTPC NTPC Limited | Power | 2.81 lakh | ₹9.2 cr | 1.71% |
| TATASTEEL Tata Steel Limited | Metals & Mining | 4.86 lakh | ₹9.0 cr | 1.66% |
| BEL Bharat Electronics Limited | Capital Goods | 2.11 lakh | ₹8.8 cr | 1.63% |
| HCLTECH HCL Technologies Limited | Information Technology | 62,487 | ₹8.2 cr | 1.52% |
| ULTRACEMCO UltraTech Cement Limited | Construction Materials | 6,960 | ₹8.0 cr | 1.49% |
| ADANIPORTS Adani Ports and Special Economic Zone Limited | Services | 43,531 | ₹7.1 cr | 1.32% |
| POWERGRID Power Grid Corporation of India Limited | Power | 2.69 lakh | ₹7.1 cr | 1.32% |
| INDIGO InterGlobe Aviation Limited | Services | 13,241 | ₹6.9 cr | 1.27% |
| ASIANPAINT Asian Paints Limited | Consumer Durables | 26,618 | ₹6.9 cr | 1.27% |
| BAJAJFINSV Bajaj Finserv Limited | Financial Services | 33,076 | ₹6.7 cr | 1.24% |
| TECHM Tech Mahindra Limited | Information Technology | 37,609 | ₹6.1 cr | 1.13% |
| TRENT Trent Limited | Consumer Services | 19,520 | ₹5.6 cr | 1.04% |
Equity rows as disclosed, Aug 2026. Source: HDFC Mutual Fund monthly portfolio.
- Financial Services39.8%
- Information Technology9.6%
- Oil, Gas & Consumable Fuels9.5%
- Telecommunication6.1%
- Construction5.2%
- Automobile and Auto Components5.2%
- Fast Moving Consumer Goods4.7%
- Consumer Services3.6%
- Consumer Durables3.6%
- Power3.0%
- Services2.6%
- Healthcare2.3%
- Metals & Mining1.7%
- Capital Goods1.6%
- Construction Materials1.5%
AMFI's 22 sectors; one sector per stock, from the fund houses' industry labels. Source: HDFC Mutual Fund monthly portfolio; AMFI.
- Large Cap100.0%
AMFI's list of Jun 2026. Source: HDFC Mutual Fund monthly portfolio; AMFI.
| Period | Return | From | To |
|---|---|---|---|
| 1 year | −8.04 % in total | 25 Sep 2025 · NAV ₹91.2556 | 25 Sep 2026 · NAV ₹83.9154 |
| 3 years | −51.25 % a year, compounded | 25 Sep 2023 · NAV ₹725.5256 | 25 Sep 2026 · NAV ₹83.9154 |
| 5 years | −33.43 % a year, compounded | 24 Sep 2021 · NAV ₹643.3100 | 25 Sep 2026 · NAV ₹83.9154 |
| Since first NAV | −26.96 % a year, compounded | 9 Dec 2015 · NAV ₹2,499.3800 | 25 Sep 2026 · NAV ₹83.9154 |
Past performance may not be sustained in future.
Point-to-point change in the plan's NAV between the two dates shown, as AMFI publishes it; over a year, compounded a year. A period is shown only when a NAV exists within 7 days before its start date. Source: AMFI NAV files (plan code 135854).