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InvestVerdict
360 ONE ELSS Tax Saver Nifty 50 Index Fund
Direct Plan · GROWTH Option · Index Funds · Scheme code 151165
NAV₹13.7053as on 27 Aug 2026
Fund house360 ONE Mutual Fund
CategoryIndex Funds
Plan & optionDirect · GROWTH Option
History3.7 years
Returns (%)
1M
3M
6M
1Y
3Y
5Y
7Y
10Y
Launch
This scheme
-0.21
3.18
-3.29
-0.44
8.71
—
—
—
9.02
Nifty 100 benchmark
0.25
3.49
-1.52
1.84
10.52
9.38
—
—
12.79
Index Funds category median
—
—
—
5.83
8.03
9.81
—
11.77
—
Over a year annualised (CAGR), under a year absolute. Computed from AMFI's published
NAV history for this scheme.
Risk
Volatility
Sharpe
Sortino
Beta
Alpha
Max fall
R²
This scheme
12.4%
0.18
0.25
0.93
-1.30%
-15.4%
98.68
Nifty 100 benchmark
17.1%
0.23
0.32
—
—
-37.0%
—
Risk-free rate 6.5%. Beta, alpha and R² are regressed on the
43 months this scheme and its benchmark share.
Growth of ₹100 since launch
Drawdown from peak (%)
Every one-year period it has lived through
Windows
Worst
Median
Best
Periods that lost money
131
-5.7%
9.9%
33.2%
14%
Every one-year holding period in this scheme's history, not just the last one — the
spread a real investor would have met depending only on when they started.
InvestVerdict
360 ONE ELSS Tax Saver Nifty 50 Index Fund
Direct Plan · GROWTH Option
Allocation
By asset
Equity
99.34%
Cash & Equivalents
0.66%
By market cap
Large Cap
97.82%
Mid Cap
1.52%
Concentration
Number of stocks
50
Top 5 stocks
37.54%
Top 10 stocks
53.28%
Top 20 stocks
71.66%
Largest holding
11.13%
Largest sector
Banks 30.12%
Effective stocks
23.5
Cash
0.66%
InvestVerdict
360 ONE ELSS Tax Saver Nifty 50 Index Fund
Direct Plan · GROWTH Option · holdings
Top 18 holdings
#
Company
Sector
% of fund
1
—
Banks
11.13%
2
—
Banks
8.96%
3
—
Petroleum Products
7.96%
4
—
Telecom - Services
5.06%
5
—
Construction
4.43%
6
—
Banks
3.88%
7
—
Banks
3.52%
8
—
IT - Software
3.20%
9
—
Banks
2.63%
10
—
Diversified FMCG
2.52%
11
—
Automobiles
2.50%
12
—
Finance
2.45%
13
—
IT - Software
1.89%
14
—
Pharmaceuticals & Biotechnology
1.80%
15
—
Retailing
1.74%
16
—
Diversified FMCG
1.71%
17
—
Automobiles
1.68%
18
—
Consumer Durables
1.66%
Sector split
Banks
30.12%
Petroleum Products
7.96%
IT - Software
7.37%
Automobiles
6.71%
Finance
5.42%
Telecom - Services
5.06%
Construction
4.43%
Diversified FMCG
4.23%
Pharmaceuticals & Biotechnology
3.30%
Consumer Durables
2.74%
Not investment advice. InvestVerdict is not a SEBI-registered Investment
Adviser or Research Analyst. Every figure is computed from AMFI's published NAV history and the
portfolio the AMC filed with AMFI; none of it is a recommendation to buy, hold or sell. Past
returns do not predict future ones. Generated 29 Aug 2026.