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Nippon India CRISIL IBX AAA Financial Services - Dec 2026 Index Fund Portfolio Analysis

Portfolio Asset Allocation

as on Dec 31, 2025
AAA 97.0 %
Cash & Call Money 2.99 %
Others 0.01 %

Portfolio Overview

as on Dec 31, 2025
Debenture 53.31 %
Bonds/NCDs 18.28 %
Non Convertible Debenture 14.24 %
Bonds 10.15 %

Historical Trend in Instrument Sector Allocation

as on Dec 31, 2025
  • %
  • #
Sector Dec 25 Oct 25 Sep 25 May 25 Dec 24 Nov 24 Oct 24
Financial 97.00000000000001 % 95.9 Cr 95.61000000000001 % 79.48 Cr 94.99 % 67.37 Cr 94.5 % 97.74 Cr 96.17999999999999 % 85.53 Cr 96.51999999999998 % 87.48 Cr 119.69999999999999 % 96.58 Cr 36.48
Others 2.9999999999999996 % 2.97 Cr 4.39 % 3.65 Cr 5.01 % 3.54 Cr 5.5 % 5.71 Cr 3.82 % 3.4 Cr 3.48 % 3.15 Cr -19.700000000000003 % 015.89 Cr 31.6

Sector Allocation Vs Category

as on Dec 31, 2025

Complete Current Instrument Holdings

as on Dec 31, 2025
InstrumentSector% of holdingValue
Bajaj Housing Finance Ltd.Financial 9.67 % 9.56 Cr
Kotak Mahindra Investments Ltd.Financial 9.17 % 9.06 Cr
LIC Housing Finance Ltd.Financial 9.16 % 9.06 Cr
Tata Capital Housing Finance Ltd.Financial 8.14 % 8.04 Cr
Sundaram Finance Ltd.Financial 7.12 % 7.04 Cr
HDB Financial Services Ltd.Financial 7.04 % 6.96 Cr
National Bank For Agriculture & Rural DevelopmentFinancial 5.1 % 6.05 Cr
Indian Railway Finance Corporation Ltd.Financial 5.1 % 5.03 Cr
REC Ltd.Financial 5.09 % 5.03 Cr
Small Industries Devp. Bank of India Ltd.Financial 5.08 % 5.02 Cr
Power Finance Corporation Ltd.Financial 5.08 % 5.02 Cr
Bajaj Finance Ltd.Financial 5.08 % 5.01 Cr
Kotak Mahindra Prime Ltd.Financial 5.07 % 5 Cr
Aditya Birla Finance Ltd.Financial 5.04 % 4.98 Cr
Axis Finance Ltd.Financial 5.04 % 4.98 Cr
OthersOthers 0.01 % 1.44 L