Portfolio Holdings
As of 30 Jun 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
32.18%
Finance
26.96%
Capital Markets
20.41%
Retailing
4.28%
Insurance
4.01%
Financial Technology (Fintech)
2.21%
Others
1.54%

All Holdings

Complete list of 30 stocks, grouped by sector. Filter by industry to focus.

30 holdings47.3% top 10 weight7 sectors
#Stock% of NAVValue (₹Cr)
Banks 9 stocks32.18%
1ICICI Bank Limited7.91%5.98
2Axis Bank Limited6.91%5.21
8Ujjivan Small Finance Bank Limited3.73%2.82
9RBL Bank Limited3.66%2.76
14The Federal Bank Limited2.88%2.18
23Karur Vysya Bank Limited1.92%1.45
24The Jammu & Kashmir Bank Limited1.91%1.44
26City Union Bank Limited1.75%1.32
28Tamilnad Mercantile Bank Ltd.1.51%1.14
Finance 10 stocks26.96%
6Bajaj Finance Limited4.02%3.04
10Piramal Finance Ltd3.53%2.67
11Aditya Birla Capital Limited3.19%2.41
12SBFC Finance Limited3.17%2.40
13L&T Finance Limited3.02%2.28
15Shriram Finance Limited2.73%2.06
16INDIA SHELTER FIN CORP LTD2.72%2.05
17Home First Finance Company India Limited2.64%1.99
29Creditaccess Grameen Limited1.05%0.79
30Arman Financial Services Limited0.89%0.67
Capital Markets 6 stocks20.41%
3BSE Ltd5.12%3.86
4Multi Commodity Exchange of India Ltd.4.33%3.27
7ICICI Prudential AMC Ltd3.77%2.85
18Nuvama Wealth Management Limited2.59%1.96
19Nippon Life India Asset Management Ltd2.38%1.80
20Angel One Limited2.22%1.68
Retailing 1 stocks4.28%
5CarTrade Tech Limited4.28%3.23
Insurance 2 stocks4.01%
22Max Financial Services Limited2.14%1.62
25SBI Life Insurance Company Limited1.87%1.41
Financial Technology (Fintech) 1 stocks2.21%
21PB Fintech Limited2.21%1.67
Industrial Products 1 stocks1.54%
27Inox India Limited1.54%1.16