Fund Overview
Fund

HDFC NIFTY100 Low Volatility 30 Index Fund

Underlying Index: Nifty100 Low Volatility 30ISIN: INF179KC1IM3

10.400.32% (1Y)
End of Day NAV as on Jul 24, 2026
9.39.810.210.711.2Dec 2025Mar 2026Jul 2026

Fundamentals

Asset TypeEquity
Underlying Index TypeStrategy Index
No. of Companies30
Market Cap FocusLarge Cap
P/E39.80
P/B9.21
Div Yield1.54%
Std Deviation (1 yr)0.74%

Fund Parameters

AUM (Cr)234
Base Expense Ratio0.39%
Tracking Error0.09%
All-In-Cost0.48%
Inception Date10 Jul 2024
Scheme Plan - Option - TypeDirect Plan - Growth - Open ended scheme
Native Score

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Sectoral Allocation

Fund Holdings

Market Cap Classification

Advanced Ratios

Alpha-0.01
Beta0.99
Sharpe Ratio-0.01
Sortino Ratio-0.02
Treynor Ratio-0.01
Information Ratio-0.10
Upside Capture97.16%
Downside Capture100.68%

Index Methodology

Factor BasisLow Volatility
UniverseNifty 100
WeightageFactor Tilt: Volatility Score * FF Market Cap,Max Weight per stock = 5%
Stocks Included30 stocks with the least volatility in the Nifty 100 are selected. Ranked Ascending by volatility score. Volatility Score = 1/ Std Deviation of returns for last one year.
ExclusionsConstituents that undergo merger, demerger, delisting, specific cases of capital restructuring; Constituent Excluded from Nifty 100; DVR Shares

Fund • Last updated: 7/26/2026