The fund primarily commits at least 95% of its total asset base (excluding any collateral held from securities lending activities) to the specific securities that make up its reference index, or to other investments possessing highly similar economic traits. The composition of this underlying index is restricted to companies that are both based and publicly traded in India, demonstrate consistent profitability, and are permissible for acquisition by international investors, a status re-evaluated annually. This fund operates as a non-diversified investment vehicle.