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Nippon India Hybrid Bond Fund - Monthly Idcw Payout

Hybrid | Conservative Hybrid Fund

(NAV as of 08/10/2024)
11.04 (0.12)

3Y Returns

1.13%

Min SIP

100

Min Lumpsum

5000

Expense Ratio

1.87%

Fund Size

728 Cr

Inception Date

12-Jan-04

Fund Manager

Sushil Budhia

Exit Load

Nil upto 10% of units and 1% for remaining units on or before 12M, Nil after 12M.

Wealthzi View

Interest Rate Sensitivity

Market Risk / Risk Taken Compared to Benchmark

Fund Size

SIP Returns

Risk Adjusted Returns

Portfolio Credit Quality

Extra Returns Over Benchmark

Returns Consistency

Performance Against Inflation

Overall Fund Zi Tag

Asset Allocation

Equity

11.32%

Debt & Others

88.68%

Market Cap Allocation

Large Cap

11.69%

Mid Cap

0.00%

Small Cap

0.00%

Other Cap

88.31%

Sector Allocation

Finance

33.82%

Real Estate

12.99%

Banks

12.88%

Cash/Deposits/Margins/Treps/Repo/Swaps

6.55%

Telecom

4.00%

Top Ten Holdings

7.58% National Bank For Agriculture and Rural Development

6.39%

7.44% REC Limited

5.74%

Triparty Repo

5.21%

6.75% Piramal Capital & Housing Finance Limited**

4.50%

Macrotech Developers Limited**

3.41%

Investment Objective

The Primary Investment Objective Of The Scheme Is To Generate Regular Income In Order To Make Regular Dividend Payments To Unit Holders And The Secondary Objective Is Growth Of Capital.

Fund House Detail

AMC Name

Nippon Life India Asset Management Limited

Address

Reliance Centre, 7th Floor,South Wing, Off Western Express Highway, Santacruz (East)Mumbai - 400 055

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BSE Member code: 58371

Mutual Fund investments are subject to market risks, read all scheme related documents carefully.
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