Fund Overview
Fund

HDFC Nifty100 Quality 30 Index Fund

Underlying Index: Nifty100 Quality 30ISIN: INF179KC1JF5

10.71-2.93% (1Y)
End of Day NAV as on Sep 10, 2026
9.510.110.611.111.6Sep 2025Feb 2026Sep 2026

Fundamentals

Asset TypeEquity
Underlying Index TypeStrategy Index
No. of Companies30
Market Cap FocusLarge Cap
P/E37.48
P/B10.75
Div Yield2.13%
Std Deviation (1 yr)0.80%

Fund Parameters

AUM (Cr)143
Base Expense Ratio0.31%
Tracking Error0.14%
All-In-Cost0.45%
Inception Date20 Feb 2025
Scheme Plan - Option - TypeDirect Plan - Growth - Open ended scheme
Native Score

Similar Exchange Traded Funds (ETFs)

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Fund NameLast CloseAUM (Cr)Avg Exp RatioTracking Error1M ADTO (Cr)1M Avg NAV GapAll-In-CostScore
57.40210.25%0.01%0-0.22%0.26%

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Fund NameLast CloseAUM (Cr)Avg Exp RatioTracking ErrorAll-In-CostScore
N/A1340.37%0.14%0.51%

Sectoral Allocation

Total
100%
allocation
  • IT22.7%
  • FMCG22.5%
  • Automobile & Ancillaries14.4%
  • Capital Goods10.1%
  • Chemicals8.9%
  • Healthcare7.6%
  • Mining3.8%
  • Finance3.0%
  • Non - Ferrous Metals2.8%
  • Alcohol2.3%
  • Ship Building1.6%
  • Others0.3%
  • Miscellaneous0.0%

Fund Holdings

NameWeight
Tata Consultancy Services Ltd.5.4%
Nestle India Ltd.5.2%
Infosys Ltd.5.1%
HCL Technologies Ltd.4.7%
ITC Ltd.4.6%
Hindustan Unilever Ltd.4.6%
Maruti Suzuki India Ltd.4.5%
Bharat Electronics Ltd.4.5%
Bajaj Auto Ltd.4.3%
Britannia Industries Ltd.4.2%
Coal India Ltd.3.8%
Asian Paints Ltd.3.7%
Eicher Motors Ltd.3.6%
Hindustan Aeronautics Ltd.3.4%
Divi's Laboratories Ltd.3.4%
Tech Mahindra Ltd.3.1%
HDFC Asset Management Company Ltd.3.0%
Hindustan Zinc Ltd.2.8%
Solar Industries India Ltd.2.7%
Pidilite Industries Ltd.2.5%
Dr. Reddy's Laboratories Ltd.2.4%
LTM Ltd.2.3%
United Spirits Ltd.2.3%
ABB India Ltd.2.2%
Varun Beverages Ltd.2.2%
Wipro Ltd.2.1%
Bosch Ltd.2.0%
Godrej Consumer Products Ltd.1.8%
Zydus Lifesciences Ltd.1.7%
Mazagon Dock Shipbuilders Ltd.1.6%
Net Current Asset0.3%
Tri-Party Repo (TREPS)0.0%

Holdings Concentration

Total covered: 100%
Top 1–5
5 holdings
25.0%
25%
share
Top 6–10
5 holdings
22.0%
22%
share
Top 11–20
10 holdings
32.1%
32%
share
Beyond 20
12 holdings
20.9%
21%
share

Market Cap Classification

Total
100%
allocation
  • Large Cap89.7%
  • Mid Cap10.0%

Advanced Ratios

Alpha-0.01
Beta0.99
Sharpe Ratio0.02
Sortino Ratio0.03
Treynor Ratio0.02
Information Ratio-0.09
Upside Capture96.51%
Downside Capture100.47%

Index Methodology

Factor BasisQuality
UniverseNifty 100
WeightageFactor tilt: SQRT (FF Marketcap) x Normalized Quality Score . Max Weight per stock = 5%
Stocks IncludedTop 30 companies from its parent Nifty 100 index, based on their quality scores are selected. Steps: [A] Return on equity (ROE), debt to-equity (D/E) ratio and EPS growth variability in the previous 5 years are computed for each stock. [B] Z Scores of each are computed: [(x-Mean)/Std devation)]. Normalized Quality Score = Equal Wtd. avg of Z-Scores of all metrics. Exlcude D/E for Financial Firms.
ExclusionsConstituents moving out of the Nifty 100 and currently part of the Nifty 100 Quality 30 are excluded; Rank of stocks in the index goes beyond 50

Fund • Last updated: 11/09/2026