HDFC NIFTY 100 Equal Weight Fund NAV Hits 17.7838
By Market Desk
HDFC NIFTY 100 Equal Weight Index Fund – Direct Plan NAV reached 17.7838 on Aug 19, 2026. Explore its Large Cap Blend/Growth strategy and portfolio insights.
The HDFC NIFTY 100 Equal Weight Index Fund – Direct Plan reported its Net Asset Value (NAV) at 17.7838 as of August 19, 2026. This key metric offers a current valuation for investors tracking the fund’s performance.
The fund is officially categorized as a Large Cap Blend/Growth fund. This classification provides investors with immediate insight into its investment strategy and target market segment within the broader equity landscape.
Portfolio Insights and Analysis
Comprehensive information on the fund’s structure includes detailed asset allocation data. This analysis delineates the distribution of investments across critical categories such as equity, debt, and cash, providing transparency into the fund’s underlying exposures.
Further insights are available through concentration analysis, which details the number of holdings within the fund’s portfolio. This helps evaluate diversification levels and potential risks associated with concentrated positions.
The fund’s profile also identifies its top company and sector holdings. Understanding these specific exposures is crucial for investors assessing the fund’s alignment with their strategic objectives and market outlook.
A dedicated style analysis covers valuation and market capitalization trends. This examination spans the period from February to July 2026, offering historical context on the fund’s investment approach and performance characteristics during that timeframe.
Investor Resources and Tools
Investors can access various tools to monitor and evaluate the HDFC NIFTY 100 Equal Weight Index Fund. These resources facilitate informed decision-making and ongoing portfolio management.
Available functionalities include options for tracking transactions, viewing comprehensive factsheets, and comparing the fund with its peers. Additionally, basic fund attributes and historical data are readily accessible for thorough due diligence.