scanner-img
Summary Info
Fund Name Nippon India Mutual Fund
Scheme Name Nippon India Index Fund - BSE Sensex Plan (IDCW-Hy)
AMC Nippon India Mutual Fund
Type Open
Category Equity - Index
Launch Date 09-Sep-10
Fund Manager Himanshu Mange
Net Assets ()Cr 849.49
NAV Graph
  One Month   Three Month   Six Month   One Year   Three Year   Five Year   Since INC
Latest Payouts
Dividends Bonus
Ratio 13.28110.0000 0.0
Date 28-Feb-20 0.0
Performance(%)
1 Week[%] 1 Month[%] 3 Month[%] 6 Month[%] 1 Year[%] 3 Year[%] 5 Year[%] Since INC[%]
Scheme Return 5.76 -0.88 -7.25 -6.02 5.65 9.73 9.02 8.79
Category Avg 7.05 0.29 -4.30 -3.73 11.61 16.88 12.39 5.86
Category Best 12.94 7.21 8.39 13.30 51.05 32.73 18.69 38.53
Category Worst 1.47 -5.01 -18.25 -18.61 -16.88 3.52 9.02 -23.42
Holdings
Company Name No of Shares Market Value Hold %
HDFC Bank 1,518,640 111.13 13.08
Reliance Industr 674,401 90.66 10.67
ICICI Bank 713,414 85.98 10.12
Bharti Airtel 284,169 50.70 5.97
Infosys 347,618 43.49 5.12
Larsen & Toubro 116,543 40.84 4.81
SBI 414,013 40.57 4.78
Axis Bank 284,900 33.10 3.90
ITC 961,582 27.66 3.26
M & M 89,240 26.38 3.11
Kotak Mah. Bank 733,610 25.91 3.05
TCS 100,974 23.82 2.80
Bajaj Finance 266,688 21.37 2.52
Sun Pharma.Inds. 107,613 18.91 2.23
Hind. Unilever 88,991 18.29 2.15
NTPC 473,576 17.57 2.07
Eternal 711,780 16.30 1.92
Maruti Suzuki 13,162 16.19 1.91
Titan Company 40,704 16.09 1.89
Tata Steel 821,201 15.75 1.85
Bharat Electron 357,003 14.30 1.68
HCL Technologies 105,485 14.15 1.67
Power Grid Corpn 454,233 13.45 1.58
UltraTech Cem. 11,748 12.62 1.49
Adani Ports 73,485 9.65 1.14
Asian Paints 44,934 9.73 1.14
Bajaj Finserv 55,835 9.11 1.07
Interglobe Aviat 22,350 8.81 1.04
Tech Mahindra 63,477 8.80 1.04
Trent 21,968 7.24 0.85
TREPS 0 2.37 0.28
Net CA & Others 0 -1.49 -0.19
C C I 0 0.02 0.00