Fund Overview
ETF

Groww Nifty 500 Low Volatility 50 ETF

Ticker: GROWWLOVOLUnderlying Index: Nifty500 Low Volatility 50ISIN: INF666M01LB9

10.19-2.59% (1Y)
End of Day NAV as on Sep 10, 2026
9.59.910.310.711Sep 2025Feb 2026Sep 2026

Fundamentals

Asset TypeEquity
Underlying Index TypeStrategy Index
No. of Companies50
Market Cap FocusMulti / Flexi Cap
P/E35.13
P/B7.34
Div Yield1.79%
Down from 52w High7.33%
Up from 52w Low8.55%
Std Deviation (1 yr)0.75%

Fund Parameters

AUM (Cr)4
Base Expense Ratio0.30%
Tracking Error0.02%
All-In-Cost0.32%
Inception Date13 Jun 2025
Scheme Option - TypeGrowth - Open ended scheme
ETF Market Data
Latest Price10.20
NAV Gap0.07%
1M Avg NAV Gap-0.01%
Daily Volume6,224
1M Avg Daily Volume9,813
1M Avg Daily Turnover0.0
Native Score

Similar Exchange Traded Funds (ETFs)

No similar exchange traded funds (etfs) available for this index

Similar Index Funds

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Fund NameLast CloseAUM (Cr)Avg Exp RatioTracking ErrorAll-In-CostScore
N/A290.30%0.11%0.41%

Sectoral Allocation

Total
100%
allocation
  • Healthcare21.7%
  • Automobile & Ancillaries13.0%
  • Power11.5%
  • IT8.5%
  • Bank7.0%
  • FMCG6.8%
  • Chemicals5.3%
  • Telecom4.9%
  • Construction Materials4.7%
  • Insurance4.5%
  • Crude Oil3.6%
  • Mining2.8%
  • Finance1.6%
  • Alcohol1.2%
  • Others1.0%
  • Capital Goods0.8%
  • Textile0.6%
  • Hospitality0.5%

Fund Holdings

NameWeight
Tata Consultancy Services Ltd.5.2%
Sun Pharmaceutical Industries Ltd.5.0%
Bharti Airtel Ltd.4.9%
State Bank Of India4.9%
NTPC Ltd.4.8%
Power Grid Corporation Of India Ltd.4.5%
Maruti Suzuki India Ltd.4.5%
Ultratech Cement Ltd.4.0%
Bajaj Auto Ltd.3.7%
Apollo Hospitals Enterprise Ltd.3.5%
Asian Paints Ltd.3.1%
Divi's Laboratories Ltd.3.1%
Coal India Ltd.2.8%
Torrent Pharmaceuticals Ltd.2.7%
Cipla Ltd.2.6%
Oil & Natural Gas Corporation Ltd.2.6%
Britannia Industries Ltd.2.2%
The Federal Bank Ltd.2.1%
Marico Ltd.2.1%
Tata Power Company Ltd.2.1%
Lupin Ltd.2.1%
Eicher Motors Ltd.2.1%
Dr. Reddy's Laboratories Ltd.2.0%
Tech Mahindra Ltd.2.0%
TVS Motor Company Ltd.1.9%
HDFC Life Insurance Company Ltd.1.9%
Pidilite Industries Ltd.1.7%
ICICI Lombard General Insurance Company Ltd.1.3%
United Spirits Ltd.1.2%
Wipro Ltd.1.1%
Godrej Consumer Products Ltd.1.0%
Indian Oil Corporation Ltd.1.0%
Net Current Asset1.0%
Max Financial Services Ltd.0.9%
Zydus Lifesciences Ltd.0.9%
Havells India Ltd.0.8%
Colgate-Palmolive (India) Ltd.0.7%
Dabur India Ltd.0.7%
Page Industries Ltd.0.6%
ICICI Prudential Life Insurance Company Ltd.0.5%
Ambuja Cements Ltd.0.5%
Life Insurance Corporation of India0.5%
Indian Railway Catering And Tourism Corporation Ltd.0.5%
Castrol India Ltd.0.5%
PI Industries Ltd.0.4%
SBI Cards And Payment Services Ltd.0.4%
Star Health and Allied Insurance Company Ltd.0.4%
MRF Ltd.0.3%
Bajaj Housing Finance Ltd.0.3%
ACC Ltd.0.3%
Tata Technologies Ltd.0.2%

Holdings Concentration

Total covered: 100%
Top 1–5
5 holdings
24.8%
25%
share
Top 6–10
5 holdings
20.2%
20%
share
Top 11–20
10 holdings
25.5%
25%
share
Beyond 20
31 holdings
29.5%
30%
share

Market Cap Classification

Total
100%
allocation
  • Large Cap80.0%
  • Mid Cap17.7%
  • Small Cap1.3%

Advanced Ratios

Alpha-0.00
Beta0.99
Sharpe Ratio0.02
Sortino Ratio0.04
Treynor Ratio0.02
Information Ratio-0.12
Upside Capture98.97%
Downside Capture99.59%

Index Methodology

Factor BasisLow Volatility
UniverseNifty 500
WeightageFactor Tilt: Volatility Score * FF Market Cap, Max Weight per stock = 5%
Stocks Included50 stocks with the least volatility in Nifty 500 are selected. Ranked Ascending by volatility score. Volatility Score = 1/ Std Deviation of returns for last one year.
Exclusions>1 year trading history; Promoter Pledge > 20%, Bottom 10 percentile stocks based on Turnover ratio and Avg Daily Trading Volume; Non-F&O stock which has hit Upper or Lower circuit for 20% of trading days in past 6 months; Rank of Eligible Stocks goes below 75, Constituent Excluded from Nifty 500, Rank of Stock falls below 75

Fund • Last updated: 11/09/2026