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Nippon India Credit Risk Fund Segregated Portfolio 1 Direct Income Dist cum Cap Wdrl
Other Bond
Fixed Income
-
Last updated on 2022-01-27
3Y returns
+undefined%
₹0.29
Latest NAV
₹0.22 (295.22%)
1D Change
₹23.68
AUM
High Risk
Risk Profile
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Min SIP
₹500
Min Lumpsum
None
Lock-in period
undefined%
Expense Ratio
1.0% before 12 Months
Exit Load
Price Chart
+340.33 1Y return
Chart is not available for selected time period
Top Holdings
Vodafone Idea Limited
89.99%
Net Current Assets
10.01%
Sector Breakdown
Fund Manager
Kinjal Desai
Sushil Budhia
Investment Objective
The Fund focuses on maximizing accrual with increased allocation to AA- and below segment, while maintaining duration of 1.5 - 2.5 years. Core mandate is to generate returns through accrual, hence low duration profile. Emphasis is on credit risk diversification.
Download Scheme Document