Mutual Fund  

Fund House Category Scheme
  
Scheme Profile  
Summary Info
Fund Name : Groww Mutual Fund
Scheme Name : Groww Nifty India Railways PSU ETF
AMC : Groww Mutual Fund
Type : Open
Category : Exchange Traded Funds (ETFs)
Launch Date : 16-Jan-2025
Fund Manager : Nikhil Satam
Net Assets:(Rs cr) 152.92
NAV Details
NAV Date : 11-Aug-2026
NAV [Rs]: 29.25
Buy/Resale Price [Rs] : 0.00
Sell/Repurchase Price [Rs] : 0.00
Entry Load % : Nil
Exit Load % : Nil
NAV Chart
Latest Payouts
  Dividends Bonus
Ratio NA NA
Date NA NA
Investment Details
Tax benefits : NA
Min. Investment(Rs) : 500
Increm.Investment(Rs) : 500
Performance(%) Date : 07-Aug-2026
  1 Week 1 Month 3 Month 6 Month 1 Year 3 Year 5 Year Since Inception
Scheme Return 1.29 1.11 -12.67 -11.85 -16.32 NA NA -14.22
Category Avg 0.58 2.60 2.45 0.60 15.51 15.72 11.95 12.73
Category Best 6.65 13.26 13.09 33.71 99.91 47.40 30.44 127.31
Category Worst -2.30 -9.27 -12.53 -15.89 -15.66 -0.16 1.75 -21.98
Asset Allocation
Sector Allocation
Holdings 30-Jun-2026
Company Name Sector Market Value No. Of Shares Hold
    Rs Cr.   %
I R F C Finance 28.52 3150538 19.90
Container Corpn. Logistics 25.84 543715 18.03
I R C T C Railways 23.89 475128 16.67
Rail Vikas Infrastructure Developers & Operators 21.08 894055 14.71
NTPC Power Generation & Distribution 8.08 226421 5.63
Bharat Electron Aerospace & Defence 7.04 171060 4.91
Ircon Intl. Infrastructure Developers & Operators 6.73 513215 4.69
O N G C Crude Oil & Natural Gas 4.36 185523 3.04
Rites Miscellaneous 4.32 210998 3.01
Railtel Corpn. Railways 4.24 137636 2.96
B P C L Refineries 2.94 96795 2.05
B H E L Capital Goods - Electrical Equipment 2.88 69622 2.01
H P C L Refineries 1.81 45864 1.26
S A I L Steel 1.20 69045 0.84
BEML Ltd Aerospace & Defence 0.32 1825 0.22
ITI Aerospace & Defence 0.14 4600 0.10
M R P L Refineries 0.13 8419 0.09
Net CA & Others Debt Others -0.16 0 -0.11
Statistical Ratios
What is Beta ?
Beta is a measure of the volatility of the portfolio to that of the index. In simple words it shows the movement of the portfolio in comparison. The Higher the Beta, higher the volatility of the scheme to the index. If its greater than1 , then the portfolio is highly volatile to the movemnts in the index. If the beta is lesser than 1 , then scheme is less volatile to the index and beta which is close to 1 implies that the scheme is closely following the index.
Beta [%]* SD [%]* Sharpe Ratio [%]* Jensons Alpha [%]* ER [%]*
1.4236 7.9152 -0.2505 -7.2339 -0.0773
 
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