Portfolio Holdings
As of 30 Jun 2026
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Groww Nifty Non Cyclical Consumer Index Fund Direct · Growth

Sector Allocation

Aggregate portfolio weight by industry sector, sorted by exposure.

Retailing
20.89%
Diversified FMCG
17.99%
Consumer Durables
17.63%
Telecom - Services
10.86%
Food Products
6.97%
Transport Services
5.24%
Agricultural Food & other Products
4.93%
Beverages
4.71%
Leisure Services
4.06%
Personal Products
3.97%
Others
1.12%

All Holdings

Complete list of 29 stocks, grouped by sector. Filter by industry to focus.

29 holdings66.4% top 10 weight11 sectors
#Stock% of NAVValue (₹Cr)
Retailing 6 stocks20.89%
3Eternal Limited8.25%3.42
8Trent Limited4.71%1.96
10Avenue Supermarts Limited3.05%1.26
17FSN E-Commerce Ventures Limited1.84%0.76
20Info Edge (India) Limited1.62%0.67
21Vishal Mega Mart Limited1.42%0.59
Diversified FMCG 2 stocks17.99%
1ITC Limited9.88%4.10
4Hindustan Unilever Limited8.11%3.36
Consumer Durables 5 stocks17.63%
5Titan Company Limited7.84%3.25
7Asian Paints Limited5.14%2.13
15Dixon Technologies (India) Limited2.13%0.88
22Voltas Limited1.26%0.52
23Havells India Limited1.26%0.52
Telecom - Services 2 stocks10.86%
2Bharti Airtel Limited9.86%4.09
27Tata Communications Limited1.00%0.41
Food Products 2 stocks6.97%
9Nestle India Limited4.35%1.80
14Britannia Industries Limited2.62%1.08
Transport Services 1 stocks5.24%
6InterGlobe Aviation Limited5.24%2.17
Agricultural Food & other Products 2 stocks4.93%
11Tata Consumer Products Limited3.02%1.25
16Marico Limited1.91%0.79
Beverages 2 stocks4.71%
12Varun Beverages Limited2.99%1.24
19United Spirits Limited1.72%0.71
Leisure Services 3 stocks4.06%
13The Indian Hotels Company Limited2.70%1.12
28Jubilant Foodworks Limited0.71%0.29
29Indian Railway Catering & Tourism Corp0.65%0.27
Personal Products 3 stocks3.97%
18Godrej Consumer Products Limited1.75%0.73
24Colgate Palmolive (India) Limited1.14%0.47
26Dabur India Limited1.08%0.45
Textiles & Apparels 1 stocks1.12%
25Page Industries Limited1.12%0.46