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Nippon India Flexi Cap Fund - Regular (G)

Low RIsk
NAV Details
16.60
' ()
NAV as on 16 Jan 2026
Fund Details
Fund Name
Nippon India Mutual Fund
Scheme
Nippon India Flexi Cap Fund - Regular (G)
AMC
Nippon Life India Asset Management Ltd
Type
O
Increm. Investment (₹)
100
Fund Manager
Meenakshi Dawar
Category
Equity - Diversified
Net Assets ( Cr.)
9592.05
Tax Benefits
Section 54EA
Lunch Date
26-07-2021 00:00:00
Min. Investment (₹)
500
Returns
Duration Fund Returns (%) Category Average (%) Category Best (%) Category Worst (%)
1 Week -2.53 -2.45 -0.10 -5.42
1 Month -1.96 -1.13 5.40 -7.47
6 Month -0.48 0.11 10.30 -13.67
1 Year 5.91 7.36 30.42 -14.38
3 Year 15.80 18.19 31.20 2.42
5 Year NA 17.12 29.13 5.07
Since 12.06 13.85 40.36 -18.02
Asset Allocation
Equity - 94.5833%
Net Curr Ass/Net Receivables - 0.03%
Reverse Repos - 2.72%
T-Bills - 2.67%
Corporate Debentures - 7.1%
Debt & Others - 0.04%
Equity - 72.3811%
Govt Securities / Sovereign - 2.82%
Mutual Funds Units - 8.07%
Net Curr Ass/Net Receivables - -0.14%
Pass Through Certificates - 1.56%
Reverse Repos - 8.1743%
Corporate Debentures - 7.1%
Debt & Others - 0.04%
Equity - 72.3811%
Govt Securities / Sovereign - 2.82%
Mutual Funds Units - 8.07%
Net Curr Ass/Net Receivables - -0.14%
Pass Through Certificates - 1.56%
Reverse Repos - 8.1743%
Corporate Debentures - 7.1%
Debt & Others - 0.04%
Equity - 72.3811%
Govt Securities / Sovereign - 2.82%
Mutual Funds Units - 8.07%
Net Curr Ass/Net Receivables - -0.14%
Pass Through Certificates - 1.56%
Reverse Repos - 8.1743%
Cash & Cash Equivalents - 0.67%
Certificate of Deposit - 5.9%
Commercial Paper - 0.68%
Equity - 73.5438%
Mutual Funds Units - 9.38%
Net Curr Ass/Net Receivables - 0.09%
Non Convertable Debenture - 8.55%
Reverse Repos - 0.85%
T-Bills - 0.36%
Certificate of Deposit - 5.85%
Corporate Debentures - 10.46%
Equity - 56.09%
Govt Securities / Sovereign - 3.91%
Mutual Funds Units - 18.55%
Net Curr Ass/Net Receivables - 0.6%
Reverse Repos - 4.54%
Cash & Cash Equivalents - 0.0035%
Equity - 99.67%
Net Curr Ass/Net Receivables - -0.18%
Reverse Repos - 0.51%
Top 5 Holdings
Company Name Hold (%) Value (Cr.)
HDFC Bank 6.85 657.4035
ICICI Bank 4.41 422.5438
Reliance Industr 4.02 385.3171
Axis Bank 3.88 372.5689
Infosys 3.68 353.3371
Peer Comparison
Fund Name 1 Month (%) 6 Month (%) 1 Year (%) 3 Year (%) 5 Year (%)
Quant BFSI Fund - Direct (G) 3.19 9.15 30.42 NA NA
Quant BFSI Fund - Direct (IDCW) 3.19 9.15 30.42 NA NA
Quant BFSI Fund - Regular (IDCW) 3.05 8.30 28.38 NA NA
Quant BFSI Fund - Regular (G) 3.05 8.30 28.38 NA NA
ICICI Pru Commodities Fund - Direct (IDCW) 5.39 9.30 25.20 18.76 25.60
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Contact Details
Tel No.
022-68087000/1860260111
Fax
022-68087097
Address
4th Floor, Tower A, Peninsula Busines-s Park, Ganapatrao Kadam MargLower Parel (W), Mumbai - 400013.
Registrar
KARVY FINTECH PVT LTD
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