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Groww Nifty 500 Low Volatility 50 ETF

India Fund Index Funds · Groww Asset Management Ltd. · 50 holdings · INF666M01LB9 · as of 2026-07-10

How this ETF's holdings score on the six lenses, weighted by holding weight. A transparency roll-up of the stock atom — descriptive, not a forecast of outperformance.

Leadership-breadth
16%
7 of 50 holdings lead ≥2 lenses
Composition

Sector mix of the holdings

Where the ETF is invested, by sector — each holding’s weight summed into its sector. From the latest disclosed basket.
Automobile0.2%7
Financial Services0.1%8
Energy0.1%3
Pharma0.1%5
FMCG0.1%6
IT0.1%3
Consumer Durables0.1%4
Infrastructure0.1%5
Oil & Gas0.1%2
Healthcare0.0%1
Banking0.0%1
Chemicals0.0%2
Other (3)0.0%3
15 sectors · 1% of the portfolio mapped to a sector (rest = cash / unclassified).

Glass box

How the score is built

Click a lens to expand its holdings, ranked by contribution (weight × decile); each name links to its own evidence. Descriptive, not a forecast.

Leadership breadth
16%
= 7 of 50 holdings lead ≥2 lenses (weighted) · lenses below are holdings-weighted
Technical53/100›
Fundamental56/100›
Catalyst52/100›
Flow51/100›
Valuation33/100›
Trend

Price & relative strength

Trend

Price · EMA 20 / 50 / 200

GROWWLOVOL daily close with the three trend EMAs · atlas_foundation.ohlcv_stock.

₹ (close)
10.25+0.06

Relative strength

RS vs baseline · rebased to 100

GROWWLOVOL ÷ Nifty 500, rebased to 100 at window start — above 100 = outperforming since then.

RS vs Nifty 500 (=100)
101.65-0.17
Look-through

Look-through holdings

Every holding by weight, with each name’s lens deciles, leadership and 3-month RS. Click a symbol for its full evidence.
SymbolSectorWeightTchFndCatFlwValLeadRS 3M
COALINDIAEnergy5.22%368790/2-4.3%
ASIANPAINTConsumer Durables5.10%7661030/2+10.0%
POWERGRIDEnergy4.99%438880/2-10.4%
BAJFINANCEFinancial Services4.76%9931030/2+5.3%
BHARTIARTLInfrastructure4.56%6810830/2-0.0%
BAJAJ-AUTOAutomobile4.16%1099351/2+0.2%
MARUTIAutomobile4.12%568170/2-3.1%
APOLLOHOSPHealthcare3.77%1057220/2+14.5%
TCSIT3.61%274880/2-22.1%
EICHERMOTAutomobile3.60%10107541/2-4.1%
ONGCOil & Gas3.55%5187100/2-18.2%
DRREDDYPharma3.40%725170/2-0.3%
BRITANNIAFMCG3.11%263650/2-6.8%
TECHMIT2.96%347360/2-4.3%
HDFCLIFEFinancial Services2.84%111240/2-11.9%
FEDERALBNKBanking2.54%935450/2+9.1%
TATAPOWEREnergy2.33%4110970/2-9.3%
DIVISLABPharma2.22%1081611/2+8.1%
TVSMOTORAutomobile2.15%7510120/2-8.9%
MARICOFMCG2.06%997120/2+9.4%
TORNTPHARMPharma2.05%1085611/2+14.6%
HEROMOTOCOAutomobile1.86%3109990/2-13.7%
IOCOil & Gas1.72%1149100/2-6.6%
WIPROIT1.68%1510190/2-19.0%
MFSLFinancial Services1.53%416540/2-8.0%
ICICIGIFinancial Services1.32%365860/2-2.8%
ALKEMPharma1.29%9881061/2+0.5%
UNITDSPRFMCG1.27%643230/2+5.6%
GODREJCPFMCG1.19%643350/2-2.4%
DABURFMCG1.19%158870/2-1.6%
BOSCHLTDAutomobile1.18%986721/2+9.8%
HAVELLSConsumer Durables1.03%344170/2-10.4%
AMBUJACEMInfrastructure1.02%2561090/2-7.1%
COLPALFMCG1.00%394970/2+3.1%
ZYDUSLIFEPharma0.93%1010101061/2+23.3%
MRFLogistics0.91%551890/2-5.4%
ICICIPRULIFinancial Services0.82%218650/2-13.6%
PAGEINDConsumer Durables0.75%841340/2+9.4%
LICIFinancial Services0.69%662390/2+6.5%
PIINDChemicals0.65%1221080/2-15.3%
IRCTCTourism0.58%292880/2-11.7%
CROMPTONConsumer Durables0.53%1210880/2+3.9%
SBICARDFinancial Services0.52%167270/2-16.5%
DALBHARATInfrastructure0.49%227390/2-14.8%
ACCInfrastructure0.40%3441100/2-7.7%
TATACHEMChemicals0.39%3167100/2+0.2%
RAMCOCEMInfrastructure0.35%134970/2-10.3%
TATATECHDigital0.31%848920/2+22.4%
STARHEALTHFinancial Services0.30%10—7110/2+25.2%
MSUMIAutomobile0.26%435470/2-1.0%

Native from atlas_foundation — the lens journal looked through de_etf_holdings; identity from Morningstar (de_mf_master). ← Back to ETFs