FundLens
27
Index — Factor / Smart BetaAvoid

Motilal Oswal BSE Low Volatility Index

Motilal Oswal · Direct–Growth · rank #49 of 55 by Smart Score

Data updated

Trailing returns

vs Nifty 500 (index-fund proxy)
1 Year
-8.4%
-6.3% vs index
3 Years
6.4%
-3.4% vs index
5 Years
Since launch
10.4%

Why this score

Motilal Oswal BSE Low Volatility Index scores 27/100 — #49 of 55 Index — Factor / Smart Beta fund (Avoid). It stands out for expense ratio — beating 70% of peers on expense ratio. The main drag is its 3y return (better than only 9% of peers).

Each bar shows the fund's percentile vs Index — Factor / Smart Beta peers — a longer bar beats more of the category.

3Y return6.42% · 9th percentile in category
1Y return-8.42% · 6th percentile in category
Expense ratio0.50% · 70th percentile in category
Fund size66.87 Cr · 35th percentile in category

Top holdings

top 5 = 20.4% of portfolio
1.Pidilite Industries Ltd4.62%
2.ICICI Bank Ltd4.23%
3.Nestle India Ltd3.93%
4.Titan Company Ltd3.85%
5.Grasim Industries Ltd3.76%

30 disclosed equity positions · portfolio as of Aug 2026 · weights are % of total corpus.

Other Index — Factor / Smart Beta funds