Portfolio Holdings
As of 31 Aug 2026
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Groww Banking and Financial Services Fund Direct · Growth

Sector Allocation

Aggregate portfolio weight by industry sector, sorted by exposure.

Banks
33.13%
Finance
24.70%
Capital Markets
15.72%
Financial Technology (Fintech)
6.45%
Retailing
4.44%
Insurance
2.71%

All Holdings

Complete list of 34 stocks, grouped by sector. Filter by industry to focus.

34 holdings40.9% top 10 weight6 sectors
#Stock% of NAVValue (₹Cr)
Banks 11 stocks33.13%
1ICICI Bank Limited6.57%5.95
2Axis Bank Limited4.59%4.15
5HDFC Bank Limited3.96%3.59
7Ujjivan Small Finance Bank Limited3.64%3.29
10RBL Bank Limited3.25%2.94
16AU Small Finance Bank Limited2.66%2.41
18IndusInd Bank Limited2.34%2.12
26City Union Bank Limited1.61%1.45
28Tamilnad Mercantile Bank Ltd.1.60%1.45
29The Jammu & Kashmir Bank Limited1.52%1.37
30Karur Vysya Bank Limited1.39%1.26
Finance 10 stocks24.70%
8Shriram Finance Limited3.38%3.06
9Bajaj Finance Limited3.26%2.95
11Piramal Finance Ltd3.13%2.83
13SBFC Finance Limited2.88%2.61
14Aditya Birla Capital Limited2.78%2.52
17L&T Finance Limited2.61%2.36
19Home First Finance Company India Limited2.25%2.04
22INDIA SHELTER FIN CORP LTD1.92%1.73
24Aye Finance Limited1.69%1.53
33Creditaccess Grameen Limited0.80%0.72
Capital Markets 7 stocks15.72%
3Multi Commodity Exchange of India Ltd.4.54%4.11
12ICICI Prudential AMC Ltd2.91%2.63
20Nuvama Wealth Management Limited2.10%1.90
21Gaja Alternative AMC Limited2.09%1.89
25Nippon Life India Asset Management Ltd1.63%1.48
27Angel One Limited1.61%1.46
32SBI Funds Management Ltd0.84%0.77
Financial Technology (Fintech) 2 stocks6.45%
6One 97 Communications Limited3.74%3.38
15PB Fintech Limited2.71%2.45
Retailing 2 stocks4.44%
4CarTrade Tech Limited3.97%3.59
34FSN E-Commerce Ventures Limited0.47%0.43
Insurance 2 stocks2.71%
23Max Financial Services Limited1.77%1.61
31Canara HSBC Life Insurance Company Ltd0.94%0.85