AOAngel One

Angel One Nifty Total Market Momentum Quality 50 ETF

IndexETFs - IndexBenchmark: Nifty Total Market Momentum Quality 50 - TRI
NAV · 15 Sep 2026₹9.99-3.30%
AUM₹17 Cr
Expense Ratio1.37%
CAGR
Exit Load
Min SIP
Launched2025

Investment Objective

The investment objective of the Scheme is to replicate Nifty Total Market Momentum Quality 50 Index with an aim to provide returns before expenses, that track the total return of Nifty Total MarketMomentum Quality 50 Index, subject to tracking errors. However, there can be no assurance or guarantee that the investment objective of the Scheme will be achieved.

Fund Mandate

Cash & Cash Equivalents & Money Market instruments, Reverse repo and / or Tri-Party Repo on G-Sec and / or T-Bills and/or units of money market / liquid schemes0%–5%
Equities and equity related securities constituting Nifty Total Market Momentum Quality 50 Index (including stock and index derivatives)95%–100%
Asset Allocation
Domestic Equity99.8%
Cash & Equivalents0.2%
Fund Managers
KS
Kewal Shah
Fund Manager
Key Information
1.37%
₹1,000
Nil
Inception21 Nov 2025
AMCAngel One
Top Holdings
1Bajaj Auto LimitedAutomobiles5.72%
2Multi Commodity Exchange of India Ltd.Capital Markets5.40%
3Eicher Motors LimitedAutomobiles5.23%
4Torrent Pharmaceuticals LimitedPharmaceuticals & Biotechnology4.88%
5Bharat Electronics LimitedAerospace & Defense4.84%
6CG Power And Industrial Solutions LtdElectrical Equipment4.73%
7GE Vernova T&D India LimitedElectrical Equipment4.63%
8Coal India LimitedConsumable Fuels4.47%
9Cummins India LimitedIndustrial Products4.45%
10BSE LtdCapital Markets4.14%
Sector Allocation
Electrical Equipment17.7%
Capital Markets12.2%
Automobiles10.9%
Industrial Products8.1%
Pharmaceuticals & Biotechnology4.9%
Aerospace & Defense4.8%
Consumable Fuels4.5%
Chemicals & Petrochemicals3.4%
Personal Products3.2%
Agricultural Food & other Products2.9%
Auto Components2.3%
Non - Ferrous Metals2.2%
Latest News

No recent news found for Angel One Nifty Total Market Momentum Quality 50 ETF.

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Trailing Returns
PeriodReturns
1 Day-3.30%
1 Week-4.05%
1 Month-4.16%
3 Months-2.62%
6 Months+9.63%
9 Months+2.93%
-0.10%
Risk Metrics
21.28%

A measure of how much a fund's returns swing up and down over time. Higher means a bumpier ride — more volatility — even if the average return ends up the same as a steadier fund.

1.00

How sensitive a fund is to overall market moves. A beta of 1 means it roughly moves in line with the market; below 1 means smaller swings than the market; above 1 means bigger swings in both directions.

-0.06

How much extra return a fund earned for every unit of risk (volatility) it took on, compared to a safe, risk-free investment. Higher means better risk-adjusted performance — not just higher returns, but smarter ones.

-0.86%

The extra return a fund generated above what its benchmark index would predict, given the risk it took. Positive alpha suggests the fund manager added genuine value beyond just tracking the market.

-0.14

Similar to the Sharpe Ratio, but only counts downside volatility (the bad kind) rather than penalizing a fund for volatile-but-positive swings. Higher means better returns per unit of "harmful" risk.

-10.84%

The single worst peak-to-trough fall a fund has experienced over a given period — the deepest "how much would I have lost if I'd bought at the top and sold at the bottom" scenario.

Fees
1.37%
Nil
₹1,000
Capital Gains Tax, general rules

This is an equity-oriented fund. Under rules effective since Budget 2024 (23 July 2024):

Short-Term Capital Gains (held ≤ 12 months): taxed at a flat 20%.

Long-Term Capital Gains (held > 12 months): taxed at 12.5% on gains above ₹1.25 lakh in a financial year, with no indexation benefit.

General information only, not tax advice, actual liability depends on your overall income and applicable law at the time of redemption. Consult a tax advisor for your specific situation.

Frequently Asked QuestionsGeneral mutual-fund FAQs, not specific to this scheme