Nippon Life India Asset Management Limited

Nippon India Nifty Alpha Low Volatility 30 Index Fund - Regular Plan - Growth Option

EquityIndex
  • Plan: Regular
  • |
  • Type: Open-Ended
  • |
  • Option: Growth
  • 1 yr return-
  • 3 yr return-
  • 5 yr return-
  • Expense Ratio1.01%
  • Lock-in Period--
  • Exit Load0%
  • Fund Size (Cr)Rupees36.9
  • NAVRupees11

Performance Graph

  • Show returns for: 1 yr 3 yrs 5 yrs
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Returns Calculator

  • Show returns for: SIP Lumpsum
  • Monthly SIP (Rupees)
  • Investment years: 1 3 5
  • Amount invested/month: Rupees-
  • Time Period: 1 years
  • Estimated Returns: Rupees0

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Investment Objective

The Investment Objective Of The Scheme Is To Provide Investment Returns Closely Corresponding To The Total Returns Of The Securities As Represented By The Nifty Alpha Low Volatility 30 Index Before Expenses, Subject To Tracking Errors. However, There Can Be No Assurance Or Guarantee That Theinvestment Objective Of The Scheme Will Be Achieved.

Tax Implications

Taxation on mutual fund explained : https://zfunds.in/article/taxes-on-mutual-funds

Riskometer

Top Holdings

  • Companies %
  • ITC Limited 6.2
  • Nestle India Limited 5.2
  • Sun Pharmaceutical Industries Limited 4.5
  • Bajaj Auto Limited 4.5
  • ICICI Bank Limited 4.3
  • Britannia Industries Limited 4.1
  • NTPC Limited 3.8
  • Larsen & Toubro Limited 3.7
  • Mahindra & Mahindra Limited 3.6
  • Bharti Airtel Limited 3.6
  • Siemens Limited 3.5
  • Sectors %
  • Pharmaceuticals9.9
  • Diversified FMCG9.4
  • Retail9.3
  • Automobiles8.2
  • Banks7.6

Fund House