Nippon India Aggressive Hybrid Fund

Nippon India Mutual FundHybridPortfolio as of 31 July 2026

Nippon India Aggressive Hybrid Fund holds 131 instruments (78.58% equity), led by ICICI Bank Limited (4.95%), HDFC Bank Limited (4.55%) and Bharti Airtel Limited (3.77%), as of its 31 July 2026 SEBI-mandated monthly disclosure.

Holdings
131
Equity Allocation
78.58%
AMC
Nippon India Mutual Fund
Category
Hybrid

This page shows the complete disclosed portfolio of Nippon India Aggressive Hybrid Fund, managed by Nippon India Mutual Fund, based on its monthly portfolio disclosure dated 31 July 2026. The fund holds 131 instruments with an equity allocation of 78.58%. Percentages are of net assets (% to NAV). Click any stock to see every other mutual fund that also holds it.

Portfolio Analysis

Nippon India Aggressive Hybrid Fund's top 10 holdings account for 30.59% of its portfolio, in line with the Hybrid category average of 28.9%. Financial Services is its largest sector exposure at 22.92% of net assets, spread across 12 sectors in total. Since its 30 June 2026 disclosure, the fund added 1 new position and exited 2 positions, with NATIONAL HIGHWAYS INFRA TRUS seeing the largest move (-0.69pp to 0.01%).

Top 10 Equity Holdings

What Changed: June 2026 → July 2026

Equity holdings compared between the fund's two latest monthly disclosures. Weights are % to NAV; weight moves can also reflect price changes, not only buying or selling.

1 new entry2 exits10 increased9 reduced

Biggest Weight Increases

StockWeightChange
TVS Motor Company Limited1.43% → 1.76%▲ +0.33
Bajaj Finance Limited2% → 2.24%▲ +0.24
HCL Technologies Limited0.71% → 0.88%▲ +0.17
Bharti Airtel Limited3.6% → 3.77%▲ +0.17
Mahindra & Mahindra Limited1.84% → 2.01%▲ +0.17
ETERNAL LIMITED1.23% → 1.39%▲ +0.16
Infosys Limited1.19% → 1.33%▲ +0.14
Swiggy Limited0.77% → 0.91%▲ +0.14
Coforge Limited0.81% → 0.94%▲ +0.13
ICICI Bank Limited4.82% → 4.95%▲ +0.13

Biggest Weight Reductions

StockWeightChange
NATIONAL HIGHWAYS INFRA TRUS0.7% → 0.01%▼ -0.69
Coal India Limited0.68% → 0.23%▼ -0.45
HDFC Bank Limited4.92% → 4.55%▼ -0.37
Axis Bank Limited3.13% → 2.82%▼ -0.31
Larsen & Toubro Limited3.66% → 3.43%▼ -0.23
Siemens Energy India Limited1.24% → 1.08%▼ -0.16
BROOKFIELD INDIA REAL ESTATE1.06% → 0.93%▼ -0.13
Varun Beverages Limited0.72% → 0.62%▼ -0.1
NTPC Limited2.49% → 2.39%▼ -0.1

Top Holdings — Weight Trend

% to NAV of the fund's current top holdings over its last 6 monthly disclosures (Feb – Jul 2026).

Feb: 3.55%, Mar: 4.19%, Apr: 4.1%, May: 4.49%, Jun: 4.82%, Jul: 4.95%
4.95%
Feb: 5.17%, Mar: 4.89%, Apr: 4.82%, May: 4.68%, Jun: 4.92%, Jul: 4.55%
4.55%
Feb: 2.94%, Mar: 3.76%, Apr: 3.72%, May: 3.62%, Jun: 3.6%, Jul: 3.77%
3.77%
Feb: 3.74%, Mar: 3.36%, Apr: 3.6%, May: 3.67%, Jun: 3.66%, Jul: 3.43%
3.43%
Feb: 3.18%, Mar: 2.93%, Apr: 2.99%, May: 3.05%, Jun: 3.13%, Jul: 2.82%
2.82%

Full Portfolio (131 holdings)

#HoldingSector% to NAV
1ICICI Bank LimitedFinancial Services4.95%
2HDFC Bank LimitedFinancial Services4.55%
3Bharti Airtel LimitedTelecommunication3.77%
4Larsen & Toubro LimitedIndustrials3.43%
5Triparty Repotreps2.89%
6Axis Bank LimitedFinancial Services2.82%
7Reliance Industries LimitedEnergy2.59%
8NTPC LimitedUtilities2.39%
9Bajaj Finance LimitedFinancial Services2.24%
10Mahindra & Mahindra LimitedConsumer Discretionary2.01%
11State Bank of IndiaFinancial Services1.84%
12TVS Motor Company LimitedConsumer Discretionary1.76%
13Sun Pharmaceutical Industries LimitedHealthcare1.56%
14JINDAL STEEL LIMITEDMaterials1.49%
15CUBE HIGHWAYS TRUSTReal Estate1.46%
16Lupin LimitedHealthcare1.39%
17ETERNAL LIMITEDConsumer Discretionary1.39%
18Infosys LimitedInformation Technology1.33%
19Samvardhana Motherson International LimitedConsumer Discretionary1.28%
207.10% Central Government Securitiesbond1.25%
21Tata Steel LimitedMaterials1.2%
22L&T Finance LimitedFinancial Services1.16%
23Hindustan Aeronautics LimitedIndustrials1.15%
248.58% Muthoot Finance Limited 2029 (FRN)bond1.11%
25Siemens Energy India LimitedIndustrials1.08%
26InterGlobe Aviation LimitedServices1.08%
27UTI Asset Management Company LimitedFinancial Services0.97%
28Coforge LimitedInformation Technology0.94%
29BROOKFIELD INDIA REAL ESTATEReal Estate0.93%
30Tata Motors LimitedIndustrials0.91%
31Swiggy LimitedConsumer Discretionary0.91%
32Apollo Hospitals Enterprise LimitedHealthcare0.88%
33HCL Technologies LimitedInformation Technology0.88%
34Kirloskar Oil Engines LimitedIndustrials0.86%
358.20% Adani Power Limitedbond0.86%
367.55% L&T Metro Rail (Hyderabad) Limitedbond0.85%
37Hindustan Unilever LimitedConsumer Staples0.79%
38Rainbow Childrens Medicare LimitedHealthcare0.79%
398.28% Suryapet Khammam Road Pvt Ltdbond0.78%
408.65% Torrent Power Limitedbond0.76%
41MINDSPACE BUSINESS PARKS REIReal Estate0.75%
42Kotak Mahindra Bank LimitedFinancial Services0.72%
437.09% Government of Indiabond0.71%
44Bharat Heavy Electricals LimitedIndustrials0.7%
45Dixon Technologies (India) LimitedConsumer Discretionary0.69%
46Equitas Small Finance Bank LimitedFinancial Services0.68%
47Voltas LimitedConsumer Discretionary0.68%
48JTPM METAL TRADERS PVT LTD ( CATALYST TRUSTEESHIP LIMITE) (^)bond0.66%
49PB Fintech LimitedFinancial Services0.65%
50SBI Life Insurance Company LimitedFinancial Services0.65%
517.8% State Government Securitiesbond0.63%
52Varun Beverages LimitedConsumer Staples0.62%
53KEI Industries LimitedIndustrials0.62%
549.15% Andhra Pradesh State Beverages Corporation Limitedbond0.62%
559.5% Vedanta Aluminium Metal Limitedbond0.62%
567.61% Small Industries Development Bank of India (MD )bond0.62%
57Tech Mahindra LimitedInformation Technology0.61%
58Kaynes Technology India LimitedIndustrials0.61%
599.1% Indusind General Insurance Company Limitedbond0.61%
607.75% Bharti Telecom Ltd. (MD )bond0.61%
617.79% Bajaj Finance Limitedbond0.61%
629.25% Vastu Finserve India Private Limitedbond0.61%
638.2% The Federal Bank Limitedbond0.61%
64Net Current Assetsother0.6%
65NHPC LimitedUtilities0.58%
66NEXUS SELECT TRUSTReal Estate0.57%
678.08% Mancherial Repallewada Road Private Limitedbond0.54%
68Radico Khaitan LimitedConsumer Staples0.53%
69NTPC Green Energy LimitedUtilities0.52%
70LASER POWER & INFRA LTDIndustrials0.51%
71RAAJMARG INFRA INVESTMENT TRServices0.5%
729.5% Incred Financial Services Limitedbond0.49%
739.95% IndoStar Capital Finance Limitedbond0.49%
74National Highways Infra Trustbond0.49%
75Britannia Industries LimitedConsumer Staples0.46%
76Angel One LimitedFinancial Services0.43%
77MphasiS LimitedInformation Technology0.43%
78Titan Company LimitedConsumer Discretionary0.42%
79KNOWLEDGE REALTY TRUSTReal Estate0.42%
80Siemens LimitedIndustrials0.4%
81Info Edge (India) LimitedConsumer Discretionary0.4%
82Avenue Supermarts LimitedConsumer Discretionary0.39%
83Cholamandalam Financial Holdings LimitedFinancial Services0.38%
84Vishal Mega Mart LimitedConsumer Discretionary0.38%
85Meesho LimitedConsumer Discretionary0.38%
86Delhivery LimitedServices0.38%
87SMALL INDUSTRIES DEVELOPMENT BANK OF INDIAbond0.37%
88Fortis Healthcare LimitedHealthcare0.34%
89ICICI Lombard General Insurance Company LimitedFinancial Services0.33%
90Trent LimitedConsumer Discretionary0.33%
919% Aptus Finance India Private Limitedbond0.32%
92Electronics Mart India LimitedConsumer Discretionary0.31%
93Whirlpool of India LimitedConsumer Discretionary0.3%
94Oil & Natural Gas Corporation LimitedEnergy0.3%
95Acme Solar Holdings LimitedUtilities0.3%
969.10% Cholamandalam Investment and Finance Company Limitedbond0.3%
97Crompton Greaves Consumer Electricals LimitedConsumer Discretionary0.29%
98Gland Pharma LimitedHealthcare0.29%
99Medplus Health Services LimitedConsumer Discretionary0.29%
100Kfin Technologies LimitedFinancial Services0.28%
101CESC LimitedUtilities0.28%
102Cholamandalam Investment and Finance Company LimitedFinancial Services0.27%
103Unicommerce Esolutions LimitedInformation Technology0.27%
104Tube Investments of India LimitedConsumer Discretionary0.26%
1058.35% State Government Securitiesbond0.25%
1067.76% State Government Securitiesbond0.25%
1079.40% Vedanta Aluminium Metal Limitedbond0.25%
1087.48% National Bank for Agriculture and Rural Development (MD )bond0.25%
109Bharat Petroleum Corporation LimitedEnergy0.24%
1107.30% Government of India (MD )bond0.24%
1117.61% Kotak Mahindra Investments Limitedbond0.24%
112Coal India LimitedEnergy0.23%
1137.18% Government Securitiesbond0.23%
114JSW Cement LimitedMaterials0.22%
115National Highways Infra Trustbond0.18%
116JK Cement LimitedMaterials0.16%
1179.35% Telangana State Industrial Infrastructure Corporation Limitedbond0.15%
1188.95% Vedanta Aluminium Metal Limitedbond0.15%
119Latent View Analytics LimitedInformation Technology0.14%
120INDIGRID INFRASTRUCTURE TRUSUtilities0.12%
1219.3% AU Small Finance Bank Limitedbond0.12%
122WESTLIFE FOODWORLD LIMITEDConsumer Discretionary0.1%
123L&T Technology Services LimitedInformation Technology0.08%
1247.42% Tamilnadu State Development Loansbond0.05%
125Cash Margin - CCILother0.03%
126TVS Motor Company Ltd 6.00% (Cumulative Non-Convertible Redeemable Preference Share)bond0.02%
127NATIONAL HIGHWAYS INFRA TRUSServices0.01%
1286.68% Government of Indiabond0%
1297.57% Government of Indiabond0%
1306.22% Central Government Securities_Floating Rate Bondbond0%
1317.26% Government of Indiabond0%

Frequently Asked Questions

Yes. As of its 31 July 2026 disclosure, ICICI Bank Limited is 4.95% of Nippon India Aggressive Hybrid Fund's net assets — its number 1 holding.
Yes. As of its 31 July 2026 disclosure, HDFC Bank Limited is 4.55% of Nippon India Aggressive Hybrid Fund's net assets — its number 2 holding.
Yes. As of its 31 July 2026 disclosure, Bharti Airtel Limited is 3.77% of Nippon India Aggressive Hybrid Fund's net assets — its number 3 holding.
Yes. As of its 31 July 2026 disclosure, Larsen & Toubro Limited is 3.43% of Nippon India Aggressive Hybrid Fund's net assets — its number 4 holding.
Yes. As of its 31 July 2026 disclosure, Axis Bank Limited is 2.82% of Nippon India Aggressive Hybrid Fund's net assets — its number 5 holding.

New to reading these? See How to Read a Mutual Fund's Monthly Portfolio Disclosure, or check terms like % to NAV in the glossary.

Source: Nippon India Mutual Fund's SEBI-mandated monthly portfolio disclosure, dated 31 July 2026. Data is for information only, not investment advice. Holdings may have changed since the disclosure date.