Fund Tracker
SchemeMirae Asset Mutual FundIndex Funds - Equity FundsAMFI code 152972

Mirae Asset Nifty 50 Index Fund

NAV, Mirae Asset Nifty 50 Index Fund - Direct Plan - Growth₹9.660425 Sep 2026 · Source: AMFI
AUM₹62.9 craverage for April - June 2026, all plans · Source: AMFI
Total expense ratioDirect 0.24 % · Regular 0.85 %a year, as of 27 Sep 2026 · Source: AMFI
Equity held₹71.2 cr50 stocks · Aug 2026 · Source: AMC file

This month, Aug 2026

compared with Jul 2026
Equity, % of fund100.0%Rest 0.0%: debt, money market, cash, REIT/InvIT units and other assets, not itemised here
Top 10 stocks, % of fund52.9%as the AMC's file prints % of NAV
New0stocks, by share count
Added0stocks, by share count
Trimmed50stocks, by share count
Exited0stocks, by share count

Stocks held by month, last 12 months collected. Source: Mirae Asset Mutual Fund monthly portfolios.

Changes, Aug 2026 vs Jul 2026

50 stocks · by share count
StockChangeShares beforeShares nowDifferenceValue
HDFCBANK Trimmed1.02 lakh98,894−2,622₹7.0 cr
ICICIBANK Trimmed47,49046,264−1,226₹6.7 cr
RELIANCE Trimmed44,78543,629−1,156₹5.6 cr
BHARTIARTL Trimmed20,15919,638−521₹3.6 cr
LT Trimmed7,7597,559−200₹3.1 cr
SBIN Trimmed27,40226,694−708₹2.8 cr
INFY Trimmed23,25222,652−600₹2.6 cr
AXISBANK Trimmed19,03918,547−492₹2.4 cr
KOTAKBANK Trimmed48,80847,548−1,260₹2.0 cr
M&M Trimmed5,9185,766−152₹1.9 cr
BAJFINANCE Trimmed17,76817,309−459₹1.8 cr
ITC Trimmed63,90462,254−1,650₹1.6 cr
TCS Trimmed6,7686,594−174₹1.6 cr
ETERNAL Trimmed47,92646,689−1,237₹1.5 cr
TITAN Trimmed2,7372,666−71₹1.4 cr
SUNPHARMA Trimmed7,0206,838−182₹1.4 cr
MARUTI Trimmed865842−23₹1.1 cr
HINDUNILVR Trimmed5,8815,730−151₹1.1 cr
SHRIRAMFIN Trimmed9,2849,044−240₹1.0 cr
NTPC Trimmed31,42830,617−811₹1.0 cr
TATASTEEL Trimmed54,79853,383−1,415₹0.98 cr
BEL Trimmed23,74423,131−613₹0.96 cr
HINDALCO Trimmed9,5999,351−248₹0.95 cr
HCLTECH Trimmed6,9896,809−180₹0.89 cr
ULTRACEMCO Trimmed784764−20₹0.87 cr
BAJAJ-AUTO Trimmed734715−19₹0.87 cr
GRASIM Trimmed2,5012,437−64₹0.82 cr
JSWSTEEL Trimmed6,2186,057−161₹0.79 cr
ASIANPAINT Trimmed2,9982,921−77₹0.78 cr
POWERGRID Trimmed30,02129,246−775₹0.77 cr
INDIGO Trimmed1,5011,462−39₹0.77 cr
ADANIPORTS Trimmed4,8914,764−127₹0.76 cr
BAJAJFINSV Trimmed3,8383,739−99₹0.76 cr
EICHERMOT Trimmed914890−24₹0.71 cr
NESTLEIND Trimmed4,7534,631−122₹0.69 cr
TECHM Trimmed4,2104,101−109₹0.67 cr
COALINDIA Trimmed15,87915,469−410₹0.62 cr
TRENT Trimmed2,2062,149−57₹0.62 cr
APOLLOHOSP Trimmed682665−17₹0.59 cr
ONGC Trimmed25,75125,086−665₹0.58 cr
ADANIENT Trimmed1,9131,864−49₹0.53 cr
CIPLA Trimmed3,7303,634−96₹0.51 cr
JIOFIN Trimmed21,75121,190−561₹0.51 cr
SBILIFE Trimmed2,9792,902−77₹0.51 cr
MAXHEALTH Trimmed4,9344,806−128₹0.50 cr
DRREDDY Trimmed4,0413,937−104₹0.45 cr
TATACONSUM Trimmed4,3174,206−111₹0.44 cr
TMPV Trimmed13,85513,497−358₹0.42 cr
HDFCLIFE Trimmed7,1316,947−184₹0.38 cr
WIPRO Trimmed17,95317,490−463₹0.32 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: Mirae Asset Mutual Fund monthly portfolios.

Full portfolio, Aug 2026 (50 stocks)

CSV, with the 11 months before
Sector
HDFCBANK HDFC Bank Limited Financial Services98,894₹7.0 cr9.86%
ICICIBANK ICICI Bank Limited Financial Services46,264₹6.7 cr9.45%
RELIANCE Reliance Industries Limited Oil, Gas & Consumable Fuels43,629₹5.6 cr7.83%
BHARTIARTL Bharti Airtel Limited Telecommunication19,638₹3.6 cr5.00%
LT Larsen & Toubro Limited Construction7,559₹3.1 cr4.30%
SBIN State Bank of India Financial Services26,694₹2.8 cr3.98%
INFY Infosys Limited Information Technology22,652₹2.6 cr3.61%
AXISBANK Axis Bank Limited Financial Services18,547₹2.4 cr3.39%
KOTAKBANK Kotak Mahindra Bank Limited Financial Services47,548₹2.0 cr2.80%
M&M Mahindra & Mahindra Limited Automobile and Auto Components5,766₹1.9 cr2.66%
BAJFINANCE Bajaj Finance Limited Financial Services17,309₹1.8 cr2.57%
ITC ITC Limited Fast Moving Consumer Goods62,254₹1.6 cr2.24%
TCS Tata Consultancy Services Limited Information Technology6,594₹1.6 cr2.22%
ETERNAL ETERNAL LIMITED Consumer Services46,689₹1.5 cr2.15%
TITAN Titan Company Limited Consumer Durables2,666₹1.4 cr1.91%
SUNPHARMA Sun Pharmaceutical Industries Limited Healthcare6,838₹1.4 cr1.91%
MARUTI Maruti Suzuki India Limited Automobile and Auto Components842₹1.1 cr1.60%
HINDUNILVR Hindustan Unilever Limited Fast Moving Consumer Goods5,730₹1.1 cr1.58%
SHRIRAMFIN Shriram Finance Limited Financial Services9,044₹1.0 cr1.41%
NTPC NTPC Limited Power30,617₹1.0 cr1.41%
TATASTEEL Tata Steel Limited Metals & Mining53,383₹0.98 cr1.38%
BEL Bharat Electronics Limited Capital Goods23,131₹0.96 cr1.35%
HINDALCO Hindalco Industries Limited Metals & Mining9,351₹0.95 cr1.33%
HCLTECH HCL Technologies Limited Information Technology6,809₹0.89 cr1.26%
ULTRACEMCO UltraTech Cement Limited Construction Materials764₹0.87 cr1.23%
BAJAJ-AUTO Bajaj Auto Limited Automobile and Auto Components715₹0.87 cr1.22%
GRASIM Grasim Industries Limited Construction Materials2,437₹0.82 cr1.15%
JSWSTEEL JSW Steel Limited Metals & Mining6,057₹0.79 cr1.11%
ASIANPAINT Asian Paints Limited Consumer Durables2,921₹0.78 cr1.09%
POWERGRID Power Grid Corporation of India Limited Power29,246₹0.77 cr1.08%
INDIGO InterGlobe Aviation Limited Services1,462₹0.77 cr1.08%
ADANIPORTS Adani Ports and Special Economic Zone Limited Services4,764₹0.76 cr1.07%
BAJAJFINSV Bajaj Finserv Limited Financial Services3,739₹0.76 cr1.06%
EICHERMOT Eicher Motors Limited Automobile and Auto Components890₹0.71 cr0.99%
NESTLEIND Nestle India Limited Fast Moving Consumer Goods4,631₹0.69 cr0.97%
TECHM Tech Mahindra Limited Information Technology4,101₹0.67 cr0.94%
COALINDIA Coal India Limited Oil, Gas & Consumable Fuels15,469₹0.62 cr0.87%
TRENT Trent Limited Consumer Services2,149₹0.62 cr0.87%
APOLLOHOSP Apollo Hospitals Enterprise Limited Healthcare665₹0.59 cr0.83%
ONGC Oil & Natural Gas Corporation Limited Oil, Gas & Consumable Fuels25,086₹0.58 cr0.82%
ADANIENT Adani Enterprises Limited Metals & Mining1,864₹0.53 cr0.75%
CIPLA Cipla Limited Healthcare3,634₹0.51 cr0.72%
JIOFIN Jio Financial Services Limited Financial Services21,190₹0.51 cr0.72%
SBILIFE SBI Life Insurance Company Limited Financial Services2,902₹0.51 cr0.71%
MAXHEALTH Max Healthcare Institute Limited Healthcare4,806₹0.50 cr0.70%
DRREDDY Dr. Reddy's Laboratories Limited Healthcare3,937₹0.45 cr0.64%
TATACONSUM TATA CONSUMER PRODUCTS LIMITED Fast Moving Consumer Goods4,206₹0.44 cr0.61%
TMPV Tata Motors Passenger Vehicles Limited Automobile and Auto Components13,497₹0.42 cr0.59%
HDFCLIFE HDFC Life Insurance Company Limited Financial Services6,947₹0.38 cr0.53%
WIPRO Wipro Limited Information Technology17,490₹0.32 cr0.45%

Equity rows as disclosed, Aug 2026. Source: Mirae Asset Mutual Fund monthly portfolio.

Sectors, Aug 2026

% of equity held
  1. Financial Services
    36.5%
  2. Oil, Gas & Consumable Fuels
    9.5%
  3. Information Technology
    8.5%
  4. Automobile and Auto Components
    7.1%
  5. Fast Moving Consumer Goods
    5.4%
  6. Telecommunication
    5.0%
  7. Healthcare
    4.8%
  8. Metals & Mining
    4.6%
  9. Construction
    4.3%
  10. Consumer Services
    3.0%
  11. Consumer Durables
    3.0%
  12. Power
    2.5%
  13. Construction Materials
    2.4%
  14. Services
    2.1%
  15. Capital Goods
    1.3%

AMFI's 22 sectors; one sector per stock, from the fund houses' industry labels. Source: Mirae Asset Mutual Fund monthly portfolio; AMFI.

Large, mid and small cap, Aug 2026

% of equity held
  1. Large Cap
    98.7%
  2. Mid Cap
    1.3%

AMFI's list of Jun 2026. Source: Mirae Asset Mutual Fund monthly portfolio; AMFI.

Returns, Mirae Asset Nifty 50 Index Fund - Direct Plan - Growth

NAV to NAV · Source: AMFI
PeriodReturnFromTo
1 year−6.22 % in total 25 Sep 2025 · NAV ₹10.301025 Sep 2026 · NAV ₹9.6604
Since first NAV−1.35 % a year, compounded 25 Oct 2024 · NAV ₹9.915025 Sep 2026 · NAV ₹9.6604

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 152972).

Other schemes of Mirae Asset Mutual Fund (53)

A to Z
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