Fund Tracker
SchemeMotilal Oswal Mutual FundOther Scheme - Other ETFsAMFI code 152874

Motilal Oswal Nifty 500 Momentum 50 ETF

NAV, Motilal Oswal Nifty 500 Momentum 50 ETF₹53.409325 Sep 2026 · Source: AMFI
AUM₹356 craverage for April - June 2026, all plans · Source: AMFI
Total expense ratioRegular 0.94 %a year, as of 25 Sep 2026 · Source: AMFI
Equity held₹398 cr50 stocks · Aug 2026 · Source: AMC file

This month, Aug 2026

compared with Jul 2026
Equity, % of fund99.9%Rest 0.1%: debt, money market, cash, REIT/InvIT units and other assets, not itemised here
Top 10 stocks, % of fund45.4%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: Motilal Oswal Mutual Fund monthly portfolios.

Changes, Aug 2026 vs Jul 2026

50 stocks · by share count
StockChangeShares beforeShares nowDifferenceValue
MCX Trimmed69,66566,764−2,901₹22.7 cr
LAURUSLABS Trimmed1.22 lakh1.17 lakh−5,084₹22.4 cr
SHRIRAMFIN Trimmed1.94 lakh1.86 lakh−8,087₹20.7 cr
HINDALCO Trimmed2.03 lakh1.94 lakh−8,437₹19.7 cr
CUMMINSIND Trimmed35,62134,139−1,482₹17.4 cr
GVT&D Trimmed39,16737,538−1,629₹16.7 cr
ADANIPOWER Trimmed8.61 lakh8.25 lakh−35,864₹16.3 cr
BSE Trimmed50,91648,795−2,121₹16.0 cr
FEDERALBNK Trimmed4.38 lakh4.20 lakh−18,243₹15.0 cr
BHEL Trimmed3.24 lakh3.11 lakh−13,495₹13.7 cr
BHARATFORG Trimmed61,34258,787−2,555₹12.4 cr
CGPOWER Trimmed1.31 lakh1.26 lakh−5,475₹11.5 cr
POWERINDIA Trimmed3,4953,350−145₹11.3 cr
TORNTPHARM Trimmed21,96421,050−914₹10.7 cr
ADANIENSOL Trimmed78,46175,194−3,267₹10.7 cr
NATIONALUM Trimmed2.87 lakh2.75 lakh−11,957₹10.5 cr
POLYCAB Trimmed11,43110,954−477₹10.3 cr
HFCL Trimmed4.04 lakh3.87 lakh−16,811₹9.6 cr
ATHERENERG Trimmed57,68255,279−2,403₹9.5 cr
IDEA Trimmed57.82 lakh55.41 lakh−2.41 lakh₹7.9 cr
ABB Trimmed10,0839,663−420₹7.4 cr
WELCORP Trimmed31,19529,895−1,300₹7.1 cr
GLENMARK Trimmed27,82826,668−1,160₹6.6 cr
KEI Trimmed11,77611,286−490₹6.5 cr
SAIL Trimmed3.42 lakh3.28 lakh−14,252₹6.4 cr
NAVINFLUOR Trimmed7,4957,184−311₹6.2 cr
APARINDS Trimmed3,2953,157−138₹5.6 cr
KARURVYSYA Trimmed1.62 lakh1.55 lakh−6,751₹5.4 cr
ACUTAAS Trimmed17,63016,894−736₹5.3 cr
ABCAPITAL Trimmed1.31 lakh1.26 lakh−5,465₹5.1 cr
KIRLOSENG Trimmed24,72323,693−1,030₹5.0 cr
ANANDRATHI Trimmed21,78720,880−907₹4.6 cr
HINDCOPPER Trimmed77,04273,834−3,208₹3.9 cr
THERMAX Trimmed10,1839,760−423₹3.8 cr
SAILIFE Trimmed26,43825,336−1,102₹3.7 cr
MAHABANK Trimmed3.98 lakh3.81 lakh−16,574₹3.1 cr
CRAFTSMAN Trimmed2,8572,737−120₹3.1 cr
GRANULES Trimmed31,75730,435−1,322₹2.5 cr
SYRMA Trimmed17,65716,920−737₹2.4 cr
GESHIP Trimmed18,93618,148−788₹2.4 cr
NETWEB Trimmed4,1203,950−170₹2.0 cr
RRKABEL Trimmed6,8356,551−284₹1.9 cr
NLCINDIA Trimmed72,48069,464−3,016₹1.9 cr
SCHNEIDER Trimmed15,56214,915−647₹1.8 cr
FINCABLES Trimmed14,77014,155−615₹1.8 cr
BELRISE Trimmed76,71373,518−3,195₹1.7 cr
RBLBANK Trimmed42,86941,083−1,786₹1.6 cr
ABSLAMC Trimmed14,96514,342−623₹1.5 cr
HONASA Trimmed26,25225,158−1,094₹1.2 cr
GMDCLTD Trimmed14,08413,499−585₹0.76 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: Motilal Oswal Mutual Fund monthly portfolios.

Full portfolio, Aug 2026 (50 stocks)

CSV, with the 11 months before
Sector
MCX Multi Commodity Exchange of India Limited Financial Services66,764₹22.7 cr5.71%
LAURUSLABS Laurus Labs Limited Healthcare1.17 lakh₹22.4 cr5.63%
SHRIRAMFIN Shriram Finance Limited Financial Services1.86 lakh₹20.7 cr5.19%
HINDALCO Hindalco Industries Limited Metals & Mining1.94 lakh₹19.7 cr4.96%
CUMMINSIND Cummins India Limited Capital Goods34,139₹17.4 cr4.38%
GVT&D GE Vernova T&D India Limited Capital Goods37,538₹16.7 cr4.19%
ADANIPOWER Adani Power Limited Power8.25 lakh₹16.3 cr4.11%
BSE BSE Limited Financial Services48,795₹16.0 cr4.03%
FEDERALBNK The Federal Bank Limited Financial Services4.20 lakh₹15.0 cr3.76%
BHEL Bharat Heavy Electricals Limited Capital Goods3.11 lakh₹13.7 cr3.46%
BHARATFORG Bharat Forge Limited Automobile and Auto Components58,787₹12.4 cr3.11%
CGPOWER CG Power and Industrial Solutions Limited Capital Goods1.26 lakh₹11.5 cr2.90%
POWERINDIA Hitachi Energy India Limited Capital Goods3,350₹11.3 cr2.84%
TORNTPHARM Torrent Pharmaceuticals Limited Healthcare21,050₹10.7 cr2.68%
ADANIENSOL Adani Energy Solutions Limited Power75,194₹10.7 cr2.68%
NATIONALUM National Aluminium Company Limited Metals & Mining2.75 lakh₹10.5 cr2.64%
POLYCAB Polycab India Limited Capital Goods10,954₹10.3 cr2.60%
HFCL HFCL Limited Telecommunication3.87 lakh₹9.6 cr2.42%
ATHERENERG Ather Energy Limited Automobile and Auto Components55,279₹9.5 cr2.39%
IDEA Vodafone Idea Limited Telecommunication55.41 lakh₹7.9 cr2.00%
ABB ABB India Limited Capital Goods9,663₹7.4 cr1.86%
WELCORP Welspun Corp Limited Capital Goods29,895₹7.1 cr1.80%
GLENMARK Glenmark Pharmaceuticals Limited Healthcare26,668₹6.6 cr1.66%
KEI KEI Industries Limited Capital Goods11,286₹6.5 cr1.63%
SAIL Steel Authority of India Limited Metals & Mining3.28 lakh₹6.4 cr1.61%
NAVINFLUOR Navin Fluorine International Limited Chemicals7,184₹6.2 cr1.57%
APARINDS Apar Industries Limited Capital Goods3,157₹5.6 cr1.40%
KARURVYSYA Karur Vysya Bank Limited Financial Services1.55 lakh₹5.4 cr1.36%
ACUTAAS Acutaas Chemicals Limited Healthcare16,894₹5.3 cr1.34%
ABCAPITAL Aditya Birla Capital Limited Financial Services1.26 lakh₹5.1 cr1.29%
KIRLOSENG Kirloskar Oil Engines Limited Capital Goods23,693₹5.0 cr1.25%
ANANDRATHI Anand Rathi Wealth Limited Financial Services20,880₹4.6 cr1.16%
HINDCOPPER Hindustan Copper Limited Metals & Mining73,834₹3.9 cr0.97%
THERMAX Thermax Limited Capital Goods9,760₹3.8 cr0.96%
SAILIFE Sai Life Sciences Limited Healthcare25,336₹3.7 cr0.93%
MAHABANK Bank of Maharashtra Financial Services3.81 lakh₹3.1 cr0.79%
CRAFTSMAN Craftsman Automation Limited Automobile and Auto Components2,737₹3.1 cr0.77%
GRANULES Granules India Limited Healthcare30,435₹2.5 cr0.63%
SYRMA Syrma SGS Technology Limited Capital Goods16,920₹2.4 cr0.61%
GESHIP The Great Eastern Shipping Company Limited Services18,148₹2.4 cr0.59%
NETWEB Netweb Technologies India Limited Information Technology3,950₹2.0 cr0.52%
RRKABEL R R Kabel Limited Capital Goods6,551₹1.9 cr0.48%
NLCINDIA NLC India Limited Power69,464₹1.9 cr0.47%
SCHNEIDER Schneider Electric Infrastructure Limited Capital Goods14,915₹1.8 cr0.46%
FINCABLES Finolex Cables Limited Capital Goods14,155₹1.8 cr0.44%
BELRISE Belrise Industries Limited Automobile and Auto Components73,518₹1.7 cr0.43%
RBLBANK RBL Bank Limited Financial Services41,083₹1.6 cr0.39%
ABSLAMC Aditya Birla Sun Life AMC Limited Financial Services14,342₹1.5 cr0.38%
HONASA Honasa Consumer Limited Fast Moving Consumer Goods25,158₹1.2 cr0.30%
GMDCLTD Gujarat Mineral Development Corporation Limited Metals & Mining13,499₹0.76 cr0.19%

Equity rows as disclosed, Aug 2026. Source: Motilal Oswal Mutual Fund monthly portfolio.

Sectors, Aug 2026

% of equity held
  1. Capital Goods
    31.3%
  2. Financial Services
    24.1%
  3. Healthcare
    12.9%
  4. Metals & Mining
    10.4%
  5. Power
    7.3%
  6. Automobile and Auto Components
    6.7%
  7. Telecommunication
    4.4%
  8. Chemicals
    1.6%
  9. Services
    0.6%
  10. Information Technology
    0.5%
  11. Fast Moving Consumer Goods
    0.3%

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

Large, mid and small cap, Aug 2026

% of equity held
  1. Large Cap
    43.7%
  2. Mid Cap
    35.9%
  3. Small Cap
    20.4%

AMFI's list of Jun 2026. Source: Motilal Oswal Mutual Fund monthly portfolio; AMFI.

Returns, Motilal Oswal Nifty 500 Momentum 50 ETF

NAV to NAV · Source: AMFI
PeriodReturnFromTo
1 year+4.46 % in total 25 Sep 2025 · NAV ₹51.129725 Sep 2026 · NAV ₹53.4093
Since first NAV−8.62 % a year, compounded 30 Sep 2024 · NAV ₹63.878225 Sep 2026 · NAV ₹53.4093

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 152874).

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