Portfolio as on May 2026 · 10 equity positions
DSP Nifty IT Index Fund is a Index Fund scheme managed by DSP MF Mutual Fund. As of disclosures dated May 2026, the scheme holds 10 equity positions with an estimated equity AUM of ₹₹80 Cr. The portfolio is anchored by its top conviction bet on Infosys, which commands a weight of 26.96%of the fund's total assets.
From a sector allocation perspective, the fund managers have concentrated their largest bet on IT - Software, representing 100.00% of the equity portfolio. This is followed by. Under SEBI's guidelines and based on its underlying assets, this scheme carries a Very High Risk risk classification.
₹6.75 per unit -29.0% vs Jul '25
Last 365 days · daily NAV from AMFI · DSP Nifty IT Index Fund
Based on ~11 months of weekly NAV history from AMFI. Volatility is the annualized standard deviation of NAV returns. Sharpe ratio assumes a 6.5% risk-free rate. Past performance does not guarantee future returns — not investment advice.
Top 10 holdings make up 99.6% of the portfolio · top 5 = 75.7%.
| # | ||||
|---|---|---|---|---|
| 1 | InfosysIT - Software₹21.58 Cr | 26.96% | ₹21.58 Cr | 1.86 L |
| 2 | Tata Consultancy ServicesIT - Software₹15.71 Cr | 19.62% | ₹15.71 Cr | 69.6K |
| 3 | Tech MahindraIT - Software₹9.12 Cr | 11.40% | ₹9.12 Cr | 61.5K |
| 4 | HCL TechnologiesIT - Software₹8.51 Cr | 10.63% | ₹8.51 Cr | 71.9K |
| 5 | WiproIT - Software₹5.65 Cr | 7.06% | ₹5.65 Cr | 2.77 L |
| 6 | Persistent SystemsIT - Software₹5.47 Cr | 6.84% | ₹5.47 Cr | 10.5K |
| 7 | CoforgeIT - Software₹4.79 Cr | 5.98% | ₹4.79 Cr | 33.7K |
| 8 | LTIMindtreeIT - Software₹3.65 Cr | 4.56% | ₹3.65 Cr | 9.0K |
| 9 | MphasisIT - Software₹2.91 Cr | 3.64% | ₹2.91 Cr | 12.8K |
| 10 | Oracle Financial Services SoftwareIT - Software₹2.30 Cr | 2.87% | ₹2.30 Cr | 2.3K |
Equity holdings only, ISIN-verified, from DSP Mutual Fund's public monthly portfolio disclosure (May 2026). Not investment advice.
Weight = the position as a % of this fund's portfolio. Values in ₹: L = Lakh (1,00,000), Cr = Crore (1,00,00,000).