HDFC Index Nifty 50

HDFC Index Nifty 50

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Index Funds
NAV: ₹ 210.26 as on 03-05-2024

About the Fund

HDFC Index Nifty 50 is an equity fund. This fund was started on 17 July, 2002. The fund is managed by . The fund could potentially beat inflation in the long-run.

Key Parameters

  1. HDFC Index Nifty 50 has ₹12764 Cr worth of assets under management (AUM) as on Mar 2024 and is more than category average.
  2. The fund has an expense ratio 0.3.
Fund Performance

Overview

Expense ratio
Expense ratio
0.3%
Benchmark
Benchmark
IISL Nifty 50 TR INR
AUM
AUM
₹12764 Cr
Inception Date
Inception Date
17 July, 2002
Min Lumpsum/SIP
Min Lumpsum/SIP
₹100/₹100
Exit Load
Exit Load
0.25%
Lock In
Lock In
No Lock-in
TurnOver
TurnOver
7.84%

HDFC Index Nifty 50 Distribution as on (31-Mar-24)

  • Equity 100%

Size breakup

Large cap
99.4%
Mid cap
0.7%
Sector Allocation

Mar'24

Feb'24

Jan'24

Financial Services
33.5%
Energy
13.7%
Tech
13%
Consumer Cyclical
9.2%
Consumer Defensive
8.2%
Basic Materials
6.2%
Industrial
5.5%
Health
4.4%
Communication
3.2%
Utilities
2.9%

Top Holdings of HDFC Index Nifty 50 as on (30-Apr-24)

  • Equity

Equity Holdings50

Gainers & Losers Returns for the month of Mar

Top Growth Drivers
1M Return
Axis Bank Ltd
Axis Bank Ltd
7.4%
ICICI Bank Ltd
ICICI Bank Ltd
5.9%

Monthly Changes Updates

All changes are between Jan'24 and Mar'24
Fund Performance
Mar'24
Feb'24
Jan'24
Fund Returns
1.56%
1.29%
-0.02%
Nifty 50
-0.05%
1.32%
-0.07%
  • This fund’s returns stands at 1.56% whereas the fund’s underlying benchmark Nifty 50 returns stands at -0.05% as on Mar'24
  • This fund outperformed Nifty 50 by 1.61% in Mar'24
AUM Change
Parameters
Mar'24
Feb'24
Jan'24
AUM
₹ 12.6K Cr
₹ 12.6K Cr
₹ 12.2K Cr
  • AUM of the fund stands at 12.6K Cr as of Mar'24
  • AUM has remained same between Mar'24 and Feb'24
Fund Portfolio Changes

Mutual Fund Insights

Insights icon
In the last 3 years, DSP Nifty 50 Equal Weight Index Fund Direct Growth has given 21.11% return, outperforming this fund by 4.94% per annum.
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Over the last 6 months, this fund has experienced a 29.9% growth in AUM moving from 9.82K Cr to 12.76K Cr.
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This fund has one of the lowest expense ratio in the category (index funds). Its expense ratio is 0.3% which is lower than the category average expense ratio of 0.33%.
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In the last 5 years, DSP Nifty 50 Equal Weight Index Fund Direct Growth has given 17.92% return, outperforming this fund by 3.28% per annum.
Insights icon
In the last 1 year, Motilal Oswal S&P BSE Enhanced Value Index Fund Direct Growth has given 96.2% return, outperforming this fund by 71.08%.

HDFC Index Nifty 50 Highlights

Risk meter
pointer

Very High Risk

Investors understand that their principal will be at Very High Risk
About the fund

About the fund

This fund has delivered an average annual returns of 14.83% since inception which is less than its category average return of 19.45%
Fund Allocations

Fund Allocations

This fund has an allocation of 100.09% in Equity, 0% in Debt and -0.09% in Cash related instruments
AUM size ₹12764 Cr

AUM size ₹12764 Cr

This fund has AUM of ₹12764 Cr which is more than its category average of ₹ 669 Cr
Expense Ratio 0.3%

Expense Ratio 0.3%

This fund has an expense ratio of 0.3% which is less than its category average expense ratio of 0.5%

Frequently Asked Questions

The current NAV of HDFC Index Nifty 50 is ₹210.26 as on 03-May-2024.
Existing (Absolute + CAGR) as on 03-May-2024.
HDFC Index Nifty 50
Absolute Returns
CAGR Returns
1 Month Returns
0.14%
0.14%
6 Month Returns
16.89%
16.89%
1 Year Returns
25.12%
25.12%
3 Years Returns
56.81%
16.18%
5 Years Returns
98%
14.64%
With INDmoney, the process of investing is very simple and involves zero commission.
  • Click Buy on the fund name.
  • Input the amount you are looking to invest.
  • Select Lump Sum or SIP (Weekly, Monthly or Quarterly).
  • Select your bank account and proceed with Payment.
0.3% as on April 2024
₹12764 Cr as on April 2024
HDFC Bank Ltd(11.08%), Reliance Industries Ltd(10.23%), ICICI Bank Ltd(7.81%), Infosys Ltd(5.44%), Larsen & Toubro Ltd(4.53%) as on April 2024
Financial Services(33.56%), Energy(13.74%), Tech(13.05%) as on April 2024
The alpha ratio for the HDFC Index Nifty 50 for various period is as follows:
Fund Name
Alpha 1 Year
Alpha 3 Years
Alpha 5 Years
HDFC Index Nifty 50
-0.39
-0.44
-0.55
As on April 2024
The alpha for HDFC Index Nifty 50 is calculated against IISL Nifty 50 TR INR. Higher alpha indicates that this fund has generated extra returns compared to the benchmark index. An alpha of 1.0 means the fund has outperformed its benchmark index by 1%.
The Beta ratio for the HDFC Index Nifty 50 for various period is as follows:
Fund Name
Beta 1 Year
Beta 3 Years
Beta 5 Years
HDFC Index Nifty 50
1
1
1
As on April 2024
The Beta for HDFC Index Nifty 50 is calculated with IISL Nifty 50 TR INR. Beta tells the volatility of the mutual fund relative to its benchmark. If the beta of a mutual fund is more than 1, then the mutual fund is more volatile than its benchmark. If beta is less than 1, then the mutual fund is less volatile than the benchmark.
The sharpe ratio for the HDFC Index Nifty 50 for various period is as follows:
Fund Name
Sharpe Ratio 1 Year
Sharpe Ratio 3 Years
Sharpe Ratio 5 Years
HDFC Index Nifty 50
1.63
0.83
0.56
As on April 2024
The sharpe ratio for HDFC Index Nifty 50 is calculated with IISL Nifty 50 TR INR. Sharpe ratio tells risk-adjusted-returns of the mutual fund. The higher a fund's Sharpe ratio, the better a fund's returns have been relative to the risk it has taken on.
The standard deviation for the HDFC Index Nifty 50 for various period is as follows:
Fund Name
Standard Deviation 1 Year
Standard Deviation 3 Years
Standard Deviation 5 Years
HDFC Index Nifty 50
10.39
12.84
18.57
As on April 2024
Standard deviation tells the volatility of the returns of the mutual fund. The higher a fund's Standard deviation, the higher the volatility of the fund's returns.
Sortino ratio is 1.57 as on April 2024. Sortino ratio tells the downside risk-adjusted-returns of the mutual fund.
The Exit load of HDFC Index Nifty 50 is 0.25%