Portfolio Holdings
As of 31 Mar 2026
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Motilal Oswal Nifty Capital Market Index Fund Direct · Growth

Sector Allocation

Aggregate portfolio weight by industry sector, sorted by exposure.

Capital Markets
93.00%
Services
4.27%
Finance
2.66%

All Holdings

Complete list of 17 stocks, grouped by sector. Filter by industry to focus.

17 holdings83.4% top 10 weight3 sectors
#Stock% of NAVValue (₹Cr)
Capital Markets 15 stocks93.00%
1BSE Limited19.76%65.92
2Multi Commodity Exchange of India Ltd17.67%58.95
3HDFC Asset Management Company Limited13.09%43.67
4360 One WAM Limited7.15%23.86
5Central Depository Services (India) Limited5.78%19.28
6Computer Age Management Services Limited4.36%14.54
8Nippon Life India Asset Management Limited4.14%13.80
9Anand Rathi Wealth Limited3.75%12.52
10KFin Technologies Limited3.39%11.31
11Motilal Oswal Financial Services Ltd2.86%9.53
12ICICI Prudential Asset Management Company Limited2.83%9.46
14Indian Energy Exchange Limited2.64%8.82
15Nuvama Wealth Management Ltd2.59%8.64
16Aditya Birla Sun Life AMC Limited1.85%6.18
17UTI Asset Management Company Ltd1.14%3.81
Services 1 stocks4.27%
7Angel One Limited4.27%14.25
Finance 1 stocks2.66%
13Billionbrains Garage Ventures Ltd2.66%8.87