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Nippon India Credit Risk Fund Segregated Portfolio 2 Direct Quarterly Dividend
Other Bond
Fixed Income
-
3Y returns
+undefined%
₹undefined
Latest NAV
₹undefined (undefined%)
1D Change
₹undefined
AUM
High Risk
Risk Profile
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Min SIP
₹500
Min Lumpsum
None
Lock-in period
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Expense Ratio
1.0% before 12 Months
Exit Load
Price Chart
+ 1Y return
Chart is not available for selected time period
Top Holdings
Sector Breakdown
Fund Manager
Kinjal Desai
Sushil Budhia
Akshay Sharma
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