Portfolio Holdings
As of 31 Mar 2026
← Back to Fund

Motilal Oswal Nifty PSE ETF Direct · Growth

Sector Allocation

Aggregate portfolio weight by industry sector, sorted by exposure.

Power
28.08%
Aerospace & Defense
17.68%
Petroleum Products
11.79%
Oil
11.50%
Finance
9.35%
Consumable Fuels
8.62%
Gas
3.13%
Electrical Equipment
3.02%
Minerals & Mining
2.22%
Others
3.70%

All Holdings

Complete list of 20 stocks, grouped by sector. Filter by industry to focus.

20 holdings78.7% top 10 weight12 sectors
#Stock% of NAVValue (₹Cr)
Power 3 stocks28.08%
1NTPC Ltd14.81%0.26
3Power Grid Corporation of India Ltd11.30%0.20
16NHPC Ltd1.97%0.03
Aerospace & Defense 2 stocks17.68%
2Bharat Electronics Ltd12.10%0.21
6Hindustan Aeronautics Limited5.58%0.10
Petroleum Products 3 stocks11.79%
7Bharat Petroleum Corp Ltd4.80%0.08
9Indian Oil Corporation Ltd4.27%0.07
13Hindustan Petroleum Corporation Ltd2.72%0.05
Oil 2 stocks11.50%
4Oil & Natural Gas Corporation Ltd9.32%0.16
15Oil India Ltd2.18%0.04
Finance 3 stocks9.35%
8Power Finance Corporation Ltd4.66%0.08
10REC Limited3.21%0.06
17Indian Railway Finance Corporation Limited1.48%0.03
Consumable Fuels 1 stocks8.62%
5Coal India Ltd8.62%0.15
Gas 1 stocks3.13%
11Gail (India) Ltd3.13%0.05
Electrical Equipment 1 stocks3.02%
12Bharat Heavy Electricals Ltd3.02%0.05
Minerals & Mining 1 stocks2.22%
14NMDC Ltd2.22%0.04
Leisure Services 1 stocks1.26%
18Indian Railway Catering & Tourism Corporation Ltd1.26%0.02
Transport Services 1 stocks1.24%
19Container Corporation of India Ltd1.24%0.02
Construction 1 stocks1.20%
20Rail Vikas Nigam Limited1.20%0.02