Nippon India Multi Cap Fund Direct-Bonus

    (Scheme Rating)

    • Expense Ratio:
      0.73%

      (0.58% Category
      average)

    • Fund Size:
      Rs. 39,000.80 Cr

      (21.73% of Investment in Category)

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    Investment Growth

    • Type
      • SIP
      • Lumpsum
    SIP
    • Amount
      • 100
      • 500
      • 1,000
      • 5,000
      • 10,000
    5,000
    • Period
      • 3 Months
      • 6 Months
      • 1 Year
      • 3 Years
      • 5 Years
    1 Year
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    Nippon India Multi Cap Fund Direct-Bonus

    (Scheme Rating)

    • NAV as of Dec 26, 2024

      316.110.00%

    • Expense Ratio:

      0.73%

    • Fund Size:

      Rs. 39,000.80 Cr

    • Fund Category:

      Equity: Multi Cap

    • Overview
    • Returns
    • Return Comparison
    • Portfolio
    • Peer Comparison
    • Risk Analysis
    • News
    • Fund Manager
    • Tools
    • About

    Nippon India Multi Cap Fund Direct-Bonus Fund Key Highlights

    Fund Key Highlights not available for this fund

    Nippon India Multi Cap Fund Direct-Bonus Returns

    • Trailing Returns

    • Rolling Returns

    • Discrete Period

    • SIP Returns

    • 1M3M6M1Y3Y5Y
      Annualized Returns-0.55-6.151.3029.2327.4325.48
      Category Avg0.71-5.404.1525.1120.39-
      Rank within Category28202392-
      No. of funds within Category3332262313-
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    Return Comparison

    • This Fund
    • BenchmarkNifty 500 Multicap 50:25:25 Total Return Index
    • 1M
    • 3M
    • 6M
    • 1Y
    • 5Y
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    Nippon India Multi Cap Fund Direct-Bonus Fund Details

    Investment Objective - The scheme aims to invest in stocks across those sectors and industries where India's strong inherent potential is increasingly becoming visible to the world, which are driving our economy and whose fundamental future growth is influenced by ongoing economic reforms, FDI inflows and infrastructural changes.

    Fund HouseNippon India Mutual Fund
    Launch DateJan 01, 2013
    BenchmarkNifty 500 Multicap 50:25:25 Total Return Index
    Return Since Launch17.66%
    RiskometerVery High
    TypeOpen-ended
    Risk GradeLow
    Return GradeHigh

    Nippon India Multi Cap Fund Direct-Bonus Investment Details

    Minimum Investment (Rs.)5,000.00
    Minimum Additional Investment (Rs.)1,000.00
    Minimum SIP Investment (Rs.)1,000.00
    Minimum Withdrawal (Rs.)100.00
    Exit Load

    For units more than 10% of the investments, an exit load of 1% if redeemed within 12 months.

    Portfolio Allocation

    Asset Allocation

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    Asset Allocation History

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    EquityDebtCash

    Sector Allocation

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    Market Cap Allocation

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    Concentration & Valuation Analysis

    NOV 2024OCT 2024SEP 2024AUG 2024JUL 2024JUN 2024
    Number of Holdings117115113110108109
    Top 5 Company Holdings19.48% 19.4% 18.79% 18.12% 18.48% 20.23%
    Top 10 Company Holdings32.11% 32.19% 31.21% 30.51% 31.53% 33.03%
    Company with Highest ExposureHDFC Bank (6.45%)HDFC Bank (6.28%)HDFC Bank (6.12%)HDFC Bank (5.8%)HDFC Bank (5.87%)HDFC Bank (6.51%)
    Number of Sectors171717171717
    Top 3 Sector Holdings56.38% 55.44% 55.29% 55.03% 55.84% 58.57%
    Top 5 Sector Holdings71.75% 70.87% 70.44% 70.37% 71.57% 73.7%
    Sector with Highest ExposureFinancial (27.5%)Financial (27.35%)Financial (25.85%)Financial (24.93%)Financial (24.67%)Financial (26.1%)
    • Top Stock Holdings

    • Sector Holdings in MF

    Peer Comparison

    • Cumulative Returns

    • SIP returns

    • Discrete Returns

    • Quant Measures

    • Asset Allocation

    Risk Ratios

    Ratios are calculated using the calendar month returns for the last 3 years

    • Standard Deviation

      Standard Deviation

      Standard deviation is the deviation of the fund's return around mean.

      Low Volatality

      13.39VS13.74

      Fund Vs Category Avg

    • Beta

      Beta

      Beta shows the portfolio risk in relation to the market. A beta of less than 1 means that the fund returns are less volatile compared to the broader market. A beta of more than 1 means that the fund returns are more volatile than the broader markets. A beta equal to 1 means that fund's volatility is in line with the broader market.

      Low Volatality

      0.90VS0.95

      Fund Vs Category Avg

    • Sharpe Ratio

      Sharpe Ratio

      Sharpe ratio is a risk adjusted performance measure. A fund with a higher Sharpe ratio is considered better than a fund with a lower Sharpe ratio.

      Better risk-adjusted returns

      1.47VS1.09

      Fund Vs Category Avg

    • Treynor's Ratio

      Treynor's Ratio

      Treynor is a risk adjusted performance measure. A fund with a higher Treynor ratio is considered better than a fund with a lower Treynor ratio.

      Better risk-adjusted returns

      22.00VS15.81

      Fund Vs Category Avg

    • Jensen's Alpha

      Jensen's Alpha

      Alpha shows the ability of the fund manager to outperform the market. A higher Alpha is preferred.

      Better risk-adjusted returns

      10.16VS4.82

      Fund Vs Category Avg

    • Mean Return

      Mean Return

      Average return generated by the fund during a specified period.

      Better average monthly returns

      25.61VS20.84

      Fund Vs Category Avg

    Risk Ratio Chart

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    • Risk Ratio
    • Category Average
    Size of Bubbles represents the Fund Size

    Fund Manager

    More Nippon India Mutual Fund

    Scheme NameRatingAsset Size(Cr)1M3M6M1Y3Y
    Nippon India Small Cap Fund Direct- Growth61,646.363.31-4.723.4228.5328.70
    Nippon India Multi Cap Fund Direct-Growth39,000.800.89-5.941.9129.2027.48
    Nippon India Large Cap Fund Direct-Growth35,313.480.75-5.502.5721.9122.26
    Nippon India Growth Fund Direct- Growth34,583.632.12-5.005.5830.3127.62
    Nippon India Liquid Fund Direct-Growth32,107.820.531.723.547.456.45
    Nippon India Money Market Fund Direct-Growth18,195.850.561.803.707.816.78
    Nippon India ELSS Tax Saver Fund Direct-Growth15,665.55-0.12-8.910.5821.6319.12
    Nippon India Arbitrage Fund Direct-Growth15,418.460.491.813.668.156.93
    Nippon India Nivesh Lakshya Fund Direct - Growth9,114.670.880.693.9811.547.11
    Nippon India Low Duration Fund Direct-Growth9,003.760.601.933.907.936.70

    Mutual Fund Tools

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