Fund Tracker
SchemeNippon India Mutual FundEquity Scheme - Sectoral/ ThematicAMFI code 108249

Nippon India Quant Fund

NAV, Nippon India Quant Fund - Direct Plan - Growth Option₹77.103525 Sep 2026 · Source: AMFI
AUM₹112 craverage for April - June 2026, all plans · Source: AMFI
Total expense ratioDirect 0.87 % · Regular 1.31 %a year, as of 24 Sep 2026 · Source: AMFI
Equity held₹115 cr34 stocks · Aug 2026 · Source: AMC file

This month, Aug 2026

compared with Jul 2026
Equity, % of fund98.4%Rest 1.6%: debt, money market, cash, REIT/InvIT units and other assets, not itemised here
Top 10 stocks, % of fund42.2%as the AMC's file prints % of NAV
New4stocks, by share count
Added1stocks, by share count
Trimmed0stocks, by share count
Exited3stocks, by share count

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

Changes, Aug 2026 vs Jul 2026

8 stocks · by share count
StockChangeShares beforeShares nowDifferenceValue
NAUKRI New—24,484+24,484₹3.2 cr
ESCORTS New—9,740+9,740₹2.9 cr
SHREECEM New—1,153+1,153₹2.7 cr
BAJAJFINSV New—10,396+10,396₹2.1 cr
DLF Added30,38645,962+15,576₹3.2 cr
SBIN Exited57,000—−57,000₹5.9 cr
GVT&D Exited6,899—−6,899₹3.0 cr
VBL Exited49,000—−49,000₹2.2 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: Nippon India Mutual Fund monthly portfolios.

Full portfolio, Aug 2026 (34 stocks)

CSV, with the 11 months before
Sector
ICICIBANK ICICI Bank Limited Financial Services60,000₹8.7 cr7.49%
HDFCBANK HDFC Bank Limited Financial Services1.10 lakh₹7.8 cr6.69%
LT Larsen & Toubro Limited Construction11,857₹4.8 cr4.12%
DIXON Dixon Technologies (India) Limited Consumer Durables2,850₹4.2 cr3.63%
RELIANCE Reliance Industries Limited Oil, Gas & Consumable Fuels33,000₹4.2 cr3.62%
DIVISLAB Divi's Laboratories Limited Healthcare4,440₹4.2 cr3.61%
BHARTIARTL Bharti Airtel Limited Telecommunication22,000₹4.0 cr3.42%
ETERNAL ETERNAL LIMITED Consumer Services1.17 lakh₹3.8 cr3.29%
BAJFINANCE Bajaj Finance Limited Financial Services34,891₹3.7 cr3.17%
INFY Infosys Limited Information Technology32,071₹3.6 cr3.12%
M&M Mahindra & Mahindra Limited Automobile and Auto Components11,000₹3.6 cr3.10%
INDIGO InterGlobe Aviation Limited Services6,891₹3.6 cr3.10%
TVSMOTOR TVS Motor Company Limited Automobile and Auto Components7,500₹3.3 cr2.80%
CHOLAFIN Cholamandalam Investment and Finance Company Limited Financial Services17,485₹3.2 cr2.79%
NAUKRI Info Edge (India) Limited Consumer Services24,484₹3.2 cr2.76%
DLF DLF Limited Realty45,962₹3.2 cr2.73%
APOLLOHOSP Apollo Hospitals Enterprise Limited Healthcare3,500₹3.1 cr2.67%
TECHM Tech Mahindra Limited Information Technology18,000₹2.9 cr2.52%
ESCORTS Escorts Kubota Limited Capital Goods9,740₹2.9 cr2.50%
HINDUNILVR Hindustan Unilever Limited Fast Moving Consumer Goods14,254₹2.8 cr2.41%
NYKAA FSN E-Commerce Ventures Limited Consumer Services80,000₹2.8 cr2.40%
JSWENERGY JSW Energy Limited Power52,558₹2.7 cr2.35%
TRENT Trent Limited Consumer Services9,477₹2.7 cr2.34%
SHREECEM SHREE CEMENT LIMITED Construction Materials1,153₹2.7 cr2.30%
HDFCAMC HDFC Asset Management Company Limited Financial Services10,126₹2.7 cr2.28%
NTPC NTPC Limited Power80,000₹2.6 cr2.25%
CUMMINSIND Cummins India Limited Capital Goods5,000₹2.6 cr2.19%
EICHERMOT Eicher Motors Limited Automobile and Auto Components3,000₹2.4 cr2.05%
BAJAJ-AUTO Bajaj Auto Limited Automobile and Auto Components1,817₹2.2 cr1.89%
PFC Power Finance Corporation Limited Financial Services65,000₹2.2 cr1.88%
HAL Hindustan Aeronautics Limited Capital Goods4,517₹2.2 cr1.86%
BAJAJFINSV Bajaj Finserv Limited Financial Services10,396₹2.1 cr1.80%
ASIANPAINT Asian Paints Limited Consumer Durables7,515₹2.0 cr1.71%
BRITANNIA Britannia Industries Limited Fast Moving Consumer Goods3,400₹1.8 cr1.53%

Equity rows as disclosed, Aug 2026. Source: Nippon India Mutual Fund monthly portfolio.

Sectors, Aug 2026

% of equity held
  1. Financial Services
    26.5%
  2. Consumer Services
    11.0%
  3. Automobile and Auto Components
    10.0%
  4. Capital Goods
    6.7%
  5. Healthcare
    6.4%
  6. Information Technology
    5.7%
  7. Consumer Durables
    5.4%
  8. Power
    4.7%
  9. Construction
    4.2%
  10. Fast Moving Consumer Goods
    4.0%
  11. Oil, Gas & Consumable Fuels
    3.7%
  12. Telecommunication
    3.5%
  13. Services
    3.1%
  14. Realty
    2.8%
  15. Construction Materials
    2.3%

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

Large, mid and small cap, Aug 2026

% of equity held
  1. Large Cap
    83.8%
  2. Mid Cap
    16.2%

AMFI's list of Jun 2026. Source: Nippon India Mutual Fund monthly portfolio; AMFI.

Returns, Nippon India Quant Fund - Direct Plan - Growth Option

NAV to NAV · Source: AMFI
PeriodReturnFromTo
1 year−0.37 % in total 25 Sep 2025 · NAV ₹77.390725 Sep 2026 · NAV ₹77.1035
3 years+13.40 % a year, compounded 25 Sep 2023 · NAV ₹52.851025 Sep 2026 · NAV ₹77.1035
5 years+12.73 % a year, compounded 24 Sep 2021 · NAV ₹42.324825 Sep 2026 · NAV ₹77.1035
Since first NAV+12.97 % a year, compounded 2 Jan 2013 · NAV ₹14.433825 Sep 2026 · NAV ₹77.1035

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 118769).

Other schemes of Nippon India Mutual Fund (59)

A to Z
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