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Nippon India ETF Nifty Dividend Opportunities 50

Low RIsk
NAV Details
88.18
' ()
NAV as on 30 Aug 2024
Fund Details
Fund Name
Nippon India Mutual Fund
Scheme
Nippon India ETF Nifty Dividend Opportunities 50
AMC
Nippon Life India Asset Management Ltd
Type
O
Increm. Investment (₹)
0
Fund Manager
Himanshu Mange
Category
Exchange Traded Funds (ETFs)
Net Assets ( Cr.)
63.28
Tax Benefits
Section 54EA
Lunch Date
24-03-2014 00:00:00
Min. Investment (₹)
5000
Returns
Duration Fund Returns (%) Category Average (%) Category Best (%) Category Worst (%)
1 Week 1.63 1.36 4.28 -1.85
1 Month 1.66 1.80 7.93 -5.98
6 Month 20.48 17.92 29.54 1.30
1 Year 58.29 39.52 115.43 -13.06
3 Year 26.40 18.21 58.79 -4.35
5 Year 25.22 19.36 35.75 -28.26
Since 17.05 23.25 413.28 -30.15
Asset Allocation
Equity - 98.2127%
Net Curr Ass/Net Receivables - 0.71%
Reverse Repos - 1.07%
Equity - 98.2127%
Net Curr Ass/Net Receivables - 0.71%
Reverse Repos - 1.07%
Equity - 98.2127%
Net Curr Ass/Net Receivables - 0.71%
Reverse Repos - 1.07%
Equity - 98.2127%
Net Curr Ass/Net Receivables - 0.71%
Reverse Repos - 1.07%
Equity - 94.6663%
Net Curr Ass/Net Receivables - 1.49%
Reverse Repos - 3.84%
Equity - 94.6761%
Net Curr Ass/Net Receivables - 0.93%
Reverse Repos - 4.39%
Equity - 24.4018%
Fixed Deposit - 0.03%
Govt Securities / Sovereign - 51.59%
Net Curr Ass/Net Receivables - 1.99%
Non Convertable Debenture - 21.6%
T-Bills - 0.15%
Equity - 24.4018%
Fixed Deposit - 0.03%
Govt Securities / Sovereign - 51.59%
Net Curr Ass/Net Receivables - 1.99%
Non Convertable Debenture - 21.6%
T-Bills - 0.15%
Equity - 67.0956%
Fixed Deposit - 1.7%
Govt Securities / Sovereign - 23.39%
Net Curr Ass/Net Receivables - 6.46%
T-Bills - 1.35%
Equity - 67.0956%
Fixed Deposit - 1.7%
Govt Securities / Sovereign - 23.39%
Net Curr Ass/Net Receivables - 6.46%
T-Bills - 1.35%
Equity - 96.3004%
Fixed Deposit - 0.02%
Net Curr Ass/Net Receivables - 3.2%
T-Bills - 0.47%
Equity - 96.3004%
Fixed Deposit - 0.02%
Net Curr Ass/Net Receivables - 3.2%
T-Bills - 0.47%
Equity - 99.7971%
Net Curr Ass/Net Receivables - 0.22%
Equity - 95%
Fixed Deposit - 0.03%
Net Curr Ass/Net Receivables - 4.92%
T-Bills - 0.06%
Equity - 95%
Fixed Deposit - 0.03%
Net Curr Ass/Net Receivables - 4.92%
T-Bills - 0.06%
Equity - 95%
Fixed Deposit - 0.03%
Net Curr Ass/Net Receivables - 4.92%
T-Bills - 0.06%
Equity - 97.1022%
Fixed Deposit - 0.01%
Net Curr Ass/Net Receivables - 2.71%
T-Bills - 0.19%
Warrants - 0%
Cash & Cash Equivalents - 0.0021%
Equity - 99.55%
Net Curr Ass/Net Receivables - 0.09%
Reverse Repos - 0.36%
Top 5 Holdings
Company Name Hold (%) Value (Cr.)
Infosys 10.92 6.9092
ITC 9.95 6.2957
TCS 9.66 6.1119
St Bk of India 7.28 4.6057
Hind. Unilever 5.25 3.3233
Peer Comparison
Fund Name 1 Month (%) 6 Month (%) 1 Year (%) 3 Year (%) 5 Year (%)
CPSE ETF -0.55 29.02 115.43 58.79 35.75
Motilal Oswal BSE Enhanced Value ETF 0.24 22.56 88.19 NA NA
Kotak Nifty Alpha 50 ETF 1.22 29.08 74.01 NA NA
Aditya Birla SL Nifty Next 50 ETF 1.57 28.21 69.27 23.31 24.15
ICICI Pru Nifty Next 50 ETF 1.58 28.09 69.15 23.29 24.07
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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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