
| Company | Weightage (%) |
| Infosys Limited | 29.18% |
| Tata Consultancy Services Limited | 20.73% |
| HCL Technologies Limited | 11.62% |
| Tech Mahindra Limited | 10.36% |
| Wipro Limited | 6.33% |
| Persistent Systems Limited | 6.15% |
| LTIMindtree Limited | 5.18% |
| Coforge Limited | 5.18% |
| Mphasis Limited | 2.94% |
| Oracle Financial Services Software Limited | 1.73% |
Allocation
2,908
0.22%
0.05%
—
Low Risk
0.24
—
30
44.25
1.539
VERY HIGH
Bearish
29.79
32.26
—
The current market price of Nippon India ETF Nifty IT is ₹30.92. ETF prices fluctuate during market hours based on demand, supply, and movements in the underlying index or assets.
Nippon India ETF Nifty IT by Nippon Life India Asset Management Limited is an Equity ETF employing a Passive approach to track the NIFTY IT TRI by holding constituents proportionately. The passive investment objective targets the NIFTY IT TRI return, utilising full constituent exposure; a measured tracking error of 0.1% generally indicates tight replication fidelity to the benchmark's return profile. Portfolio is heavily skewed to IT - Software at 99.4%, with top holdings Infosys 29.2%, TCS 20.7% and HCL 11.6%, the top three comprising 61.5% of assets with concentration risk. Over the latest twelve months the ETF returned 1Y: -13.0%, reflecting IT sector weakness while a low tracking error of 0.1% confirms close index replication despite adverse benchmark performance conditions. Operationally the ETF reported AUM as on Jan 2026 ₹2908.2 Cr with monthly average ₹2990.4 Cr, expense ratio 0.2%, and manager Jitendra Tolani since Feb 2025 with 19 years' experience.
Nippon India ETF Nifty IT is designed to track NIFTY IT TRI, allowing investors to gain exposure to its underlying securities through a single investment.
The expense ratio of Nippon India ETF Nifty IT is 0.22%. This represents the annual fee charged by the fund house for managing the ETF and is deducted from the fund’s assets.
The Assets Under Management (AUM) of Nippon India ETF Nifty IT is approximately ₹2,908.24. AUM reflects the total market value of assets managed by the ETF and is often used as an indicator of fund size and liquidity.
Nippon India ETF Nifty IT is classified under the Very High risk category. The risk level depends on the volatility of the underlying index, market conditions, and asset composition of the ETF.
The tracking error of Nippon India ETF Nifty IT is 0.05%. Tracking error measures how closely the ETF’s performance matches its benchmark index over time.
Nippon India ETF Nifty IT does not currently declare dividends and may reinvest earnings into the fund. Dividend treatment depends on the ETF structure and fund house policy.
Based on available data, Nippon India ETF Nifty IT has delivered the following returns: 1-year return: -16.00%. 3-year return: -16.00%. 5-year return: -16.00%. Past performance does not guarantee future results.
Before investing in Nippon India ETF Nifty IT, investors generally consider the underlying index, expense ratio, tracking error, risk profile, liquidity, and how the ETF fits within their overall portfolio strategy.

AUM
₹ 2,908 Cr
Expense Ratio
0.22%
Performance
STEADY PERFORMER
Technicals
Bearish
Risk
VERY HIGH
Liquidity
GOOD
Consistency
NEUTRAL
95.27
▲ 2.73%
124.52
▲ 1.52%
756.46
▲ 2.41%
25.00
▲ 0.08%
30.92
▲ 0.03%
41.52
▲ 0.70%
954.49
▲ 2.47%
154.73
▼ 1.43%
270.63
▲ 1.98%
1043.39
▲ 0.04%
121.78
▲ 2.10%
864.47
▲ 2.26%
267.86
▲ 2.07%
999.99
▼ 0.00%
76.59
▲ 1.81%
141.49
▲ 1.25%
230.57
▲ 2.54%
260.96
▲ 2.27%
65.39
▲ 0.37%
454.26
▲ 0.74%
97.11
▲ 0.00%
29.54
▲ 0.37%
585.30
▲ 2.83%
496.00
▲ 3.02%
229.76
▲ 3.74%
Bearish
3
Neutral
4
Bullish
7
Bearish
31
Neutral
8
Bullish
7
Bearish
28
Neutral
4
Bullish
0